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LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN2-5|TXN8-8|TXN4-1|TXN4-4|380000|||Quarterly|||||2017-05-16||||||| | | | | | | | | |||N|0|N|N|404A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|20.23|20.14|0.0|0.0|0.0|20.97|0.0|20.1|0.0|0.0|20.14|0.0|20.14|0.0|20.14|20.01|20.43|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|20.0|20.43|22.46|16.66|4526|267304 63227|AAIC PRC|AAICpC|041356700|US0413567001|Arlington Asset Investment Corp.|8.250% Series C Fixed-to-Floating Rate Cumulative Redeemable Preferred Stock|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN1-7|TXN4-8|TXN1-4|TXN1-7|960000|||Quarterly|||||2019-03-14||||||| | | | | | | | | |||N|0|N|N|404A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|24.38|24.3171|0.0|0.0|0.0|24.15|0.0|24.33|0.0|0.0|24.33|0.0|24.33|0.0|24.33|24.3|24.4|0.0|0.0|24.3|24.5|0.0|0.0|0.0|0.0|24.3|24.4|24.99|19.85|866|603475 71188|AAIN|AAIN|041356809||Arlington Asset Investment Corp.|6.000% Senior Notes Due 2026|Real estate investment trust|G|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN2-2|TXN8-8|TXN2-5|TXN4-7|0|||Quarterly|||||2021-07-19|2026-08-01|||||| | | | | | | | | |||N|0|N|N|404A||US|||50|5020|502040|50204000|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Industrial|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|23.48|23.295|0.0|0.0|0.0|23.49|0.0|23.49|0.0|0.0|23.49|23.49|23.49|0.0|23.49|23.34|23.55|23.34|23.53|21.75|24.9|0.0|0.0|0.0|0.0|23.34|23.55|23.9|20.99|3407|276760 43256|AAL|AAL|02376R102|US02376R1023|American Airlines Group Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN5-5|TXN14-6|TXN6-3|TXN5-5|653540000|||NotApplicable|||||||||||| | | | | | | | | |||N|5|Y|N||USA||||40|4050|405010|40501010|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Airlines|N||N||||||Y|0|Y||||||13.34|13.35|0.0|13.35|13.34|13.345|13.3439|13.34|0.0|0.0|13.345|13.345|13.35|13.34|13.34|13.35|13.345|13.34|13.35|13.35|13.34|13.35|12.42|14.18|13.34|13.35|13.32|13.37|13.34|0.0|13.34|13.35|19.08|10.86|50756384|6366217937 41395|AAMC|AAMC|02153X108|VI02153X1080|Altisource Asset Management Corporation|Common stock|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities 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LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-4|TXN4-4|TXN2-5|TXN1-1|TXN1-2|30330000|||Quarterly|||||2020-12-01||||||| | | | | | | | | |||N|0|N|Y|408A|USA|US|||40|4020|402010|40201040|Consumer Discretionary|Consumer Products and Services|Consumer Services |Rental and Leasing Services: Consumer|N||N||||||Y|0|Y||Y|2|||9.8|9.81|0.0|9.79|9.81|9.805|9.81|9.805|0.0|0.0|9.8|9.72|9.805|9.79|9.78|9.8|9.75|9.8|9.805|9.8|9.8|9.81|7.52|11.9|9.7|9.81|9.75|9.84|9.74|9.85|9.8|9.81|16.16|6.72|426957|91706265 42753|AAOI|AAOI|03823U102|US03823U1025|Applied Optoelectronics Inc|COM 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NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN6-2|TXN12-1|TXN6-6|TXN6-2|15552750000|||NotApplicable|||||||||||| | | | | | | | | |||Y|1|Y|N||USA||||10|1010|101020|10102030|Technology|Technology|Technology Hardware and Equipment|Computer Hardware|N||N||||||Y|0|Y||||||189.43|189.43|0.0|189.48|189.41|189.43|189.4257|189.44|0.0|0.0|189.43|189.45|189.43|189.43|189.44|189.43|189.48|189.45|189.48|189.43|189.41|189.47|177.93|189.99|189.43|189.46|189.34|189.55|189.32|189.57|189.44|189.46|198.23|124.17|43389519|13834175235 74379|AAPU|AAPU|25461A874|US25461A8743|Direxion Daily AAPL Bull 1.5X 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ETF|ETF||ETS|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-4|TXN2-7|TXN7-8|TXN1-8|TXN3-2|20000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|26.5052|0.0|0.0|0.0|0.0|26.62|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|26.5052|0.0|26.5052|26.46|26.54|26.41|26.49|26.45|26.55|0.0|0.0|0.0|0.0|26.47|26.55|26.855|25.01|241|15993 36352|AAT|AAT|024013104|US0240131047|American Assets Trust, Inc.|Common Stock|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|6|P|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-7|TXN3-7|TXN8-6|TXN1-3|TXN4-2|60730000|||Quarterly|||||2011-01-13||||||| | | | | | | | | |||N|0|N|Y|414A|USA|US|||35|3510|351020|35102000|Real Estate|Real Estate |Real Estate Investment Trusts|Diversified REITs|N||N||||||N|0|Y||Y|2|||21.28|21.36|0.0|21.2|21.35|21.36|21.34|21.34|0.0|0.0|21.36|21.35|21.35|21.35|21.39|21.35|21.36|21.35|20.69|21.35|21.34|21.37|16.12|25.93|21.24|21.48|21.31|21.38|21.34|21.37|21.34|21.37|29.73|16.0415|391556|98736235 15852|AAU|AAU|020283305|CA0202833053|Almaden Minerals Ltd|Common Shares|Operating company|A|N|Y|A|Y|Y|Y|Y|Y|||Brendan E. Cryan and Company, L.L.C.|CRYN|0235|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN12-6|TXN2-1|TXN6-8|TXN1-2|TXN3-7|137220000|||NotApplicable|||||2015-08-10||||||| | | | | | | | | |||N|0|N|N|130E|CAN|CA|||55|5510|551020|55102000|Basic Materials|Basic Resources|Industrial Metals and Mining|General Mining|N||N||||||Y|2|Y||Y|2|||0.1459|0.1455|0.0|0.0|0.147|0.1451|0.147201|0.148|0.0|0.0|0.1451|0.1455|0.1455|0.0|0.0|0.1452|0.145|0.145|0.147|0.145|0.1387|0.1541|0.145|0.147|0.14|0.15|0.1387|0.1541|0.143|0.151|0.145|0.147|0.28|0.1057|133219|64059877 28658|AAXJ|AAXJ|464288182|US4642881829|iShares MSCI All Country Asia ex Japan ETF|ASIA EX 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LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN1-2|TXN1-8|TXN1-6|TXN3-8|111800000|||Quarterly|||||1988-04-14||||||| | | | | | | | | |||N|0|N|N|416A|USA|US|||30|3020|302020|30202010|Financials|Financial Services |Investment Banking and Brokerage Services |Asset Managers and Custodians|N||N||||||Y|0|Y||Y|2|||28.54|28.46|0.0|28.53|28.46|28.53|28.495|28.46|0.0|0.0|28.5|29.11|28.46|28.53|28.46|28.46|28.53|28.46|28.53|28.46|28.46|28.53|28.43|28.56|26.71|30.45|23.09|28.59|28.46|28.6|28.46|28.53|42.0|25.83|390312|70864245 53193|ABAT|ABAT|02451V309|US02451V3096|American Battery Technology Company|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN5-5|TXN12-8|TXN5-1|TXN6-1|47760000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||55|5510|551020|55102000|Basic Materials|Basic Resources|Industrial Metals and Mining|General Mining|N||N||||||Y|0|Y||||||4.48|4.49|0.0|4.52|4.49|4.5|4.51|4.495|0.0|0.0|4.49|4.48|4.54|4.48|4.49|4.48|4.49|4.49|0.0|4.54|3.45|5.51|3.45|5.51|4.21|4.76|4.45|4.54|4.49|4.53|4.49|4.51|13.78|3.33|617099|16636091 41179|ABBV|ABBV|00287Y109|US00287Y1091|AbbVie Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|D|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-1|TXN4-5|TXN2-7|TXN3-4|TXN2-3|1765540000|||Quarterly|||||2012-12-10||||||| | | | | | | | | |||N|1|Y|Y|140A|USA|US|||20|2010|201030|20103015|Health Care |Health Care |Pharmaceuticals and Biotechnology|Pharmaceuticals |N||N||||||Y|0|Y||Y|1|||144.17|144.16|0.0|144.14|144.16|144.16|144.14|144.17|0.0|0.0|144.15|144.19|144.14|144.22|144.13|144.15|144.19|144.14|144.155|144.15|144.13|144.15|136.19|154.21|144.1|144.18|144.11|144.22|144.11|144.27|144.13|144.15|168.11|130.9601|4845465|1275942501 18|ABCB|ABCB|03076K108|US03076K1088|Ameris Bancorp|COM USD1||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN5-3|TXN12-3|TXN5-6|TXN5-4|69050000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||||||46.37|46.37|0.0|46.36|46.38|46.42|46.38|46.36|0.0|0.0|46.42|46.42|46.35|46.38|46.27|46.43|0.0|46.38|46.39|46.35|46.26|46.47|35.0|56.31|46.23|46.51|46.31|54.87|46.3|0.0|46.35|46.4|52.62|28.33|332053|96325852 68458|ABCL|ABCL|00288U106|CA00288U1066|AbCellera Biologics Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN6-2|TXN14-8|TXN5-3|TXN6-6|290170000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CAN||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||4.63|4.625|0.0|4.66|4.62|4.625|4.625|4.63|0.0|0.0|4.63|4.64|4.64|4.635|4.63|4.625|4.645|4.63|4.62|4.64|4.63|4.64|3.59|5.76|4.63|4.64|4.59|4.66|4.61|4.66|4.63|4.64|12.72|3.87|1842857|479921059 67949|ABCM|ABCM|000380204|US0003802040|ABCAM|ADS||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN5-8|TXN12-6|TXN6-4|TXN5-7|229720000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||GBR||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||23.99|23.98|0.0|0.0|23.98|23.98|23.98|23.98|0.0|0.0|23.98|23.98|23.98|23.98|23.98|23.98|23.98|23.985|23.97|23.98|23.97|23.99|18.58|29.37|23.97|23.99|23.97|23.99|0.0|0.0|23.98|23.99|25.32|12.48|3729028|710222383 16689|ABEO|ABEO|00289Y206|US00289Y2063|Abeona Therapeutics Inc|COM USD.04||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN6-3|TXN14-1|TXN5-8|TXN6-6|24770000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||4.55|4.61|0.0|0.0|4.59|4.6|4.65|4.66|0.0|0.0|4.605|4.59|4.64|4.55|4.59|4.65|4.55|4.65|4.48|4.64|4.44|4.79|3.51|5.73|4.47|4.77|4.52|4.68|4.5|4.69|4.57|4.65|5.4|2.19|408695|37352727 65435|ABEQ|ABEQ|90470L568|US90470L5681|Unified Series Trust|Absolute Select Value ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Ultimus Fund Solutions (Absolute Investment Advisers)|GTS Securities 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The Fund may invest in companies of any market capitalization and in any economic sector. 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Products|N||N||||||N|0|Y||Y|2|||5.41|5.4|0.0|0.0|5.41|5.405|5.41|5.405|0.0|0.0|5.405|5.405|5.41|5.46|5.42|5.41|5.41|5.42|5.46|5.41|5.41|5.42|4.24|6.72|5.4|5.43|5.38|5.44|5.37|5.45|5.41|5.42|6.615|4.295|529435|135205371 74026|ACDC|ACDC|74319N100|US74319N1000|ProFrac Holding Corp|COM CL A USD0.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN6-6|TXN12-8|TXN5-4|TXN5-4|159390000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||60|6010|601010|60101030|Energy|Energy|Oil, Gas and Coal|Oil Equipment and Services|N||N||||||Y|0|Y||||||8.49|8.485|0.0|8.3|8.49|8.485|8.48|8.47|0.0|0.0|8.485|8.49|8.48|8.48|8.33|8.49|8.48|8.47|8.45|8.48|8.39|8.57|6.53|10.41|8.41|8.54|8.45|8.5|8.44|8.49|8.46|8.48|26.23|7.75|450884|152182871 59410|ACEL|ACEL|00436Q106|US00436Q1067|Accel Entertainment, Inc.|Class A-1 Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|H|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-5|TXN4-6|TXN2-5|TXN2-3|TXN3-2|84800000|||NotApplicable|||||2017-08-18||||||| | | | | | | | | |||N|0|N|Y|408A|USA|US|||40|4050|405010|40501020|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Casinos and Gambling|N||N||||||Y|0|Y||Y|2|||10.12|10.1|0.0|10.23|10.09|10.105|10.095|10.105|0.0|0.0|10.1|10.1|10.1|10.1|10.11|10.1|10.08|10.095|10.11|10.1|10.09|10.1|7.79|12.54|10.09|10.12|10.07|10.13|10.08|10.14|10.09|10.1|12.05|7.26|338786|63166844 61210|ACES|ACES|00162Q460|US00162Q4608|ALPS ETF Trust|ALPS Clean Energy ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ALPS|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-1|TXN1-6|TXN1-8|TXN1-4|TXN2-2|8550002|||Quarterly|||||2021-03-29||ACES.NV|ACES.SO|ACES.EU|ACES.TC|ACES.IV| | | | | | | | | |1x|The fund seeks to track the performance of an index comprised of U.S. and Canadian based companies that primarily operate in the Clean Energy sector. Constituents are companies focused on renewables and other clean technologies which enable the evolution of a more sustainable energy sector. The index is classified into 2 categories and 7 thematic sub-segments: Renewables - Solar, Wind, Hydro/Geothermal, Biomass/Biofuel Clean Technology - Electric Vehicles/ Energy Storage, Efficiency/Light Emitting Diode (LED)/Smart Grid, Fuel CellsThe Fund seeks to obtain a total maximum return, consistent with preservation of capital.|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|1|||32.67|32.59|0.0|0.0|32.78|32.4|32.585|32.72|0.0|0.0|0.0|32.67|32.64|32.58|32.65|0.0|0.0|32.7|32.79|32.7|31.26|34.32|32.58|32.81|32.58|32.7|32.58|32.81|32.58|32.81|32.58|32.7|55.5157|27.96|72349|22848022 60604|ACET|ACET|007002108|US0070021086|Adicet Bio Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN6-7|TXN13-7|TXN5-1|TXN6-8|43170000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||1.24|1.23|0.0|0.0|1.24|1.24|1.23|1.24|0.0|0.0|1.24|1.225|1.24|1.24|1.22|1.245|1.21|1.23|0.0|1.24|1.21|1.27|0.992|1.51|1.21|1.26|1.21|1.27|1.21|1.27|1.23|1.24|20.8797|1.1|347152|133343290 53|ACGL|ACGL|G0450A105|BMG0450A1053|Arch Capital Group Ltd|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN5-2|TXN13-7|TXN5-4|TXN6-5|373170000|||NotApplicable|||||||||||| | | | | | | | | |||N|5|Y|N||BMU||||30|3030|303020|30302010|Financials|Insurance|Non-life Insurance|Full Line Insurance|N||N||||||N|0|Y||||||81.96|81.98|0.0|81.99|81.98|81.985|81.98|81.99|0.0|0.0|81.98|82.03|81.99|82.01|81.96|81.985|81.95|81.99|82.57|81.99|81.92|82.04|77.3|87.05|81.95|82.02|81.91|82.04|81.96|82.05|81.98|81.99|90.65|58.71|1662565|453505479 70854|ACGLN|ACGLN|03939A404|US03939A4040|Arch Capital Group Ltd|4.550 DEP PFD G||U|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN6-3|TXN14-6|TXN5-5|TXN5-2|20000000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||BMU||||||||||||N||N||||||N|0|Y||||||19.8|19.88|0.0|0.0|19.66|19.79|19.75|19.78|0.0|0.0|19.87|19.88|19.71|19.85|0.0|19.67|0.0|19.8|19.69|19.71|0.0|0.0|0.0|0.0|19.3|20.25|0.0|0.0|0.0|0.0|19.71|19.8|20.635|16.49|40602|12978362 59416|ACGLO|ACGLO|03939A107|US03939A1079|Arch Capital Group Ltd|NON CUM PFD F||B|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN5-8|TXN11-2|TXN5-3|TXN5-2|13200000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||BMU||||||||||||N||N||||||N|0|Y||||||22.68|22.65|0.0|0.0|22.68|22.58|22.58|22.63|0.0|0.0|22.65|0.0|22.69|22.68|22.68|22.67|22.6|22.57|22.68|22.69|0.0|0.0|0.0|0.0|22.12|22.76|0.0|0.0|0.0|0.0|22.57|22.69|24.43|19.2001|56156|5597552 38980|ACHC|ACHC|00404A109|US00404A1097|Acadia Healthcare Co Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN5-6|TXN10-4|TXN5-2|TXN6-3|92220000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||USA||||20|2010|201010|20101010|Health Care |Health Care |Health Care Providers|Health Care Facilities|N||N||||||Y|0|Y||||||74.78|74.76|0.0|74.52|74.77|74.82|74.75|74.74|0.0|0.0|74.78|74.82|74.75|74.88|74.75|74.86|74.75|74.74|74.8|74.75|74.4|75.29|70.12|79.67|74.42|75.17|74.64|74.86|74.63|74.81|74.74|74.78|87.615|66.49|345572|133049420 70058|ACHL|ACHL|00449L102|US00449L1026|Achilles Therapeutics plc|ADS||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-3|TXN6-2|TXN13-8|TXN6-7|TXN5-1|40940000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||GBR||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||0.832|0.83|0.0|0.0|0.832|0.823|0.83|0.82|0.0|0.0|0.83|0.825|0.825|0.0|0.0|0.0|0.0|0.83|0.823|0.83|0.648|1.01|0.648|1.01|0.7655|0.8957|0.648|1.01|0.0|0.0|0.82|0.8399|1.85|0.7402|80223|38533609 68543|ACHR|ACHR|03945R102|US03945R1023|Archer Aviation Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|M|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-3|TXN2-2|TXN8-5|TXN3-2|TXN1-1|254270000|||NotApplicable|||||2020-12-18||||||| | | | | | | | | |||N|0|N|Y|408A|USA|US|||50|5020|502010|50201010|Industrials|Industrial Goods and Services|Aerospace and Defense|Aerospace|N||N||||||Y|0|Y||Y|2|||6.52|6.51|0.0|6.48|6.51|6.51|6.51|6.51|0.0|0.0|6.51|6.495|6.515|6.495|6.5|6.51|6.5|6.52|6.5|6.51|6.51|6.52|5.03|7.85|6.51|6.53|6.49|6.54|6.51|6.55|6.51|6.52|7.49|1.62|6175777|1153494822 68544|ACHR WS|ACHR.WS|03945R110|US03945R1106|Archer Aviation Inc.|Redeemable Warrants, each whole warrant exercisable for one Class A common stock at an exercise price of $11.50|Operating company|C|N|N|N|Y|Y|Y|Y|Y|6|M|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN1-5|TXN5-8|TXN2-3|TXN3-6|285450000|||NotApplicable|||||2020-12-18|2026-09-16|||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||||||||||N||N||||||N|0|Y|D|N||||0.0|0.0|0.0|0.0|0.0|1.5|1.55|0.0|0.0|0.0|1.49|0.0|1.49|0.0|0.0|1.55|0.0|1.55|0.0|1.55|1.5|1.55|0.0|0.0|1.41|1.65|0.0|0.0|0.0|0.0|1.5|1.55|2.08|0.15|24077|12035024 19128|ACHV|ACHV|004468500|US0044685008|Achieve Life Sciences Inc|COM USD0.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN6-8|TXN14-5|TXN5-2|TXN5-5|21170000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CAN||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||0.0|5.8|0.0|0.0|5.8|5.77|5.8|5.93|0.0|0.0|5.84|0.0|5.76|0.0|0.0|0.0|0.0|5.79|0.0|5.76|5.61|5.99|0.0|0.0|5.62|5.96|4.72|7.17|0.0|0.0|5.76|5.81|10.3|2.36|51354|23338470 66836|ACI|ACI|013091103|US0130911037|Albertsons Companies, Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|A|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-6|TXN4-3|TXN1-4|TXN3-3|TXN2-3|575890000|||Quarterly|||||2020-06-26||||||| | | | | | | | | |||N|0|Y|Y|146D|USA|US|||45|4520|452010|45201010|Consumer Staples |Personal Care, Drug and Grocery Stores |Personal Care, Drug and Grocery Stores |Food Retailers and Wholesalers |N||N||||||Y|0|Y||Y|1|||21.78|21.78|0.0|21.8|21.79|21.785|21.785|21.785|0.0|0.0|21.79|21.805|21.78|21.79|21.79|21.79|21.81|21.78|21.81|21.79|21.78|21.79|20.54|23.36|21.78|21.79|21.76|21.81|21.75|21.79|21.78|21.79|23.88|19.14|2722495|844456162 29175|ACIC|ACIC|910710102|US9107101027|American Coastal Insurance Corp|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN5-3|TXN10-4|TXN6-8|TXN5-7|43900000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3030|303020|30302025|Financials|Insurance|Non-life Insurance|Property and Casualty Insurance|N||N||||||Y|0|Y||||||8.55|8.665|0.0|8.65|8.67|8.65|8.64|8.65|0.0|0.0|8.65|8.56|8.64|8.67|8.62|8.65|0.0|8.65|8.7|8.64|8.57|8.75|6.76|10.58|8.59|8.74|8.61|8.68|8.6|8.67|8.64|8.65|9.96|6.61|3021328|35830058 63998|ACIO|ACIO|26922A222|US26922A2226|Aptus Collared Investment Opportunity ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-8|TXN2-7|TXN7-8|TXN3-5|TXN2-6|17730000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||32.39|32.2441|0.0|0.0|32.2|32.16|32.22|32.38|0.0|0.0|0.0|0.0|32.19|0.0|0.0|0.0|0.0|32.2441|0.0|32.2441|24.85|39.6|24.85|39.6|32.2|32.27|24.85|39.6|0.0|0.0|32.22|32.27|32.41|28.5591|37636|16931353 53979|ACIU|ACIU|H00263105|CH0329023102|AC Immune SA|COM CHF.02||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN6-8|TXN11-2|TXN6-1|TXN6-4|83620000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHE||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||3.4|3.37|0.0|0.0|3.4|3.4|3.35|3.39|0.0|0.0|3.29|3.35|3.35|3.39|0.0|3.29|0.0|3.35|0.0|3.35|3.2|3.61|2.62|4.23|3.21|3.54|2.68|3.92|0.0|0.0|3.33|3.41|3.8299|1.68|74424|79486907 4107|ACIW|ACIW|004498101|US0044981019|ACI Worldwide Inc|CL A COM USD.005||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN5-4|TXN13-3|TXN6-3|TXN5-6|108720000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502050|50205015|Industrials|Industrial Goods and Services|Industrial Support Services|Transaction Processing Services|N||N||||||Y|0|Y||||||27.6|27.59|0.0|27.59|27.61|27.59|27.61|27.61|0.0|0.0|27.6|27.6|27.6|27.58|27.59|27.59|27.59|27.61|27.6|27.6|27.56|27.63|20.94|33.74|27.58|27.64|27.59|27.65|27.59|27.65|27.6|27.62|29.14|19.56|597739|179409829 56|ACLS|ACLS|054540208|US0545402085|Axcelis Technologies Inc.|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN6-8|TXN13-1|TXN5-1|TXN6-3|32750000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101020|10102020|Technology|Technology|Technology Hardware and Equipment|Production Technology Equipment|N||N||||||Y|0|Y||||||124.71|124.84|0.0|124.37|124.71|125.09|125.05|125.13|0.0|0.0|124.29|124.3|125.11|124.681|124.42|124.85|122.08|125.09|124.42|125.11|123.84|126.36|96.14|150.41|124.11|126.17|124.86|125.25|125.05|125.29|125.05|125.13|201.0|75.73|390522|131608239 73401|ACLX|ACLX|03940C100|US03940C1009|Arcellx Inc|COM USD0.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN5-5|TXN12-1|TXN6-5|TXN5-6|48690000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||55.19|55.02|0.0|55.19|55.13|55.03|55.195|55.2|0.0|0.0|55.14|55.17|55.19|55.2|55.01|55.095|54.94|55.19|55.02|55.19|54.56|55.63|41.85|67.6|54.64|55.58|42.54|55.29|55.11|55.32|55.11|55.19|56.09|18.7|640477|125165851 24512|ACM|ACM|00766T100|US00766T1007|AECOM|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|R|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-5|TXN1-6|TXN3-5|TXN4-8|TXN1-3|135990000|||Quarterly|||||2007-05-10||||||| | | | | | | | | |||N|0|Y|Y|110B|USA|US|||50|5010|501010|50101015|Industrials|Construction and Materials|Construction and Materials |Engineering and Contracting Services|N||N||||||Y|0|Y||Y|1|||90.53|90.62|0.0|90.54|90.6|90.6|90.61|90.6|0.0|0.0|90.62|90.49|90.59|90.52|90.57|90.6|90.43|90.61|90.54|90.6|90.61|90.62|84.22|95.96|90.46|90.7|90.53|90.66|90.6|90.68|90.61|90.62|92.16|74.4|827603|200979754 60010|ACMR|ACMR|00108J109|US00108J1097|ACM Research Inc|CL A COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN5-7|TXN11-1|TXN6-4|TXN6-4|55590000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101020|10102020|Technology|Technology|Technology Hardware and Equipment|Production Technology Equipment|N||N||||||Y|0|Y||||||16.66|16.66|0.0|16.48|16.61|16.645|16.63|16.63|0.0|0.0|16.64|16.64|16.62|16.63|16.53|16.65|16.65|16.61|16.66|16.62|16.49|16.82|12.87|20.39|16.51|16.79|16.57|16.67|16.6|16.67|16.62|16.65|21.07|6.91|649349|205328220 4590|ACN|ACN|G1151C101|IE00B4BNMY34|Accenture plc|Class A Ordinary Shares|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|P|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-7|TXN3-2|TXN9-7|TXN4-2|TXN2-8|627610000|||Quarterly|||||2009-09-01||||||| | | | | | | | | |||N|1|Y|Y|108A|IRL|IE|||50|5020|502050|50205020|Industrials|Industrial Goods and Services|Industrial Support Services|Professional Business Support Services|N||N||||||Y|0|Y||Y|1|||336.27|336.36|0.0|336.41|336.29|336.35|336.52|336.37|0.0|0.0|336.47|336.36|336.45|336.36|336.56|336.43|336.59|336.36|336.53|336.43|336.35|336.36|313.61|357.61|336.16|336.61|336.07|345.0|336.29|336.56|336.35|336.36|338.81|242.8|2349476|515804161 10256|ACNB|ACNB|000868109|US0008681092|ACNB Corp|COM 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USD1||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN6-5|TXN12-4|TXN6-7|TXN6-3|10130000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||55|5510|551020|55102010|Basic Materials|Basic Resources|Industrial Metals and Mining|Iron and Steel|N||N||||||Y|0|Y||||||0.0|0.0|0.0|0.0|0.0|8.05|8.076|8.08|0.0|0.0|8.08|0.0|8.2|0.0|0.0|8.08|0.0|8.08|0.0|8.08|7.67|8.49|0.0|0.0|7.94|8.25|0.0|0.0|0.0|0.0|8.1|8.23|11.625|7.32|9691|1897030 73922|ACON|ACON|655187102|US6551871022|Aclarion Inc|COM USD0.00001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-3|TXN6-4|TXN10-7|TXN5-8|TXN6-1|8790000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201020|20102020|Health Care |Health Care |Medical Equipment and Services|Medical Services|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.275|0.268|0.2621|0.0|0.0|0.0|0.0|0.0|0.265|0.0|0.0|0.0|0.0|0.2621|0.0|0.2621|0.2096|0.33|0.2096|0.33|0.2601|0.2931|0.2096|0.33|0.0|0.0|0.2621|0.2749|2.37|0.251001|17260|175502470 73923|ACONW|ACONW|655187110|US6551871105|Aclarion Inc|WT EXP 120126||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-5|TXN5-3|TXN12-7|TXN5-2|TXN5-2|8230000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.025|0.0309|0.5872|0.0051|0|1700412 61|ACOR|ACOR|00484M700|US00484M7002|Acorda Therapeutics Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN5-4|TXN11-3|TXN6-4|TXN6-5|1240000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103015|Health Care |Health Care |Pharmaceuticals and Biotechnology|Pharmaceuticals |N||N||||||N|0|Y||||||10.87|0.0|0.0|0.0|0.0|10.49|10.4899|0.0|0.0|0.0|10.49|10.49|10.41|0.0|0.0|0.0|0.0|10.87|0.0|10.87|9.8|11.42|0.0|0.0|9.91|11.3|9.8|11.42|0.0|0.0|10.32|10.87|18.205|0.4489|4662|66127438 36439|ACP|ACP|003057106|US0030571063|abrdn Income Credit Strategies Fund|Common Shares|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN2-2|TXN4-8|TXN3-7|TXN1-7|52110000|||Monthly|||||2011-01-27||||||| | | | | | | | | 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|||N|0|N|N|406C|GBR|US|||||||||||N||N||||||N|0|Y||Y|2|||22.48|0.0|0.0|0.0|22.49|22.46|22.46|21.68|0.0|0.0|0.0|0.0|22.37|22.47|0.0|22.37|0.0|22.37|0.0|22.37|22.37|23.33|0.0|0.0|20.97|24.88|0.0|0.0|0.0|0.0|22.37|23.33|26.327|19.65|3922|614283 16009|ACR|ACR|00489Q102|US00489Q1022|ACRES Commercial Realty Corp.|Common Stock|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN4-1|TXN6-8|TXN2-5|TXN3-8|8460000|||Quarterly|||||2015-09-01||||||| | | | | | | | | |||N|0|N|Y|414A|USA|US|||30|3020|302030|30203000|Financials|Financial Services |Mortgage Real Estate Investment Trusts|Mortgage REITs: Diversified|N||N||||||Y|0|Y||Y|2|||7.99|7.9|0.0|0.0|7.99|7.96|7.98|7.99|0.0|0.0|8.0|0.0|7.93|7.99|0.0|7.9|0.0|7.9|0.0|7.9|7.8|7.9|0.0|0.0|7.67|8.06|6.1|9.34|0.0|0.0|7.8|7.9|10.17|6.62|495741|3374425 44452|ACR PRC|ACRpC|00489Q201|US00489Q2012|ACRES Commercial Realty Corp.|8.625% Fixed-to-Floating Series C Cumulative Redeemable Preferred Stock, par value $0.001 per share|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN1-2|TXN4-8|TXN2-6|TXN1-3|4800000|||Quarterly|||||2014-06-17||||||| | | | | | | | | |||N|0|N|N|414A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|22.55|22.6996|22.17|0.0|0.0|22.46|0.0|22.6|0.0|0.0|22.6996|22.55|22.6996|0.0|22.6996|22.44|22.7|22.6|22.7|21.98|23.15|0.0|0.0|0.0|0.0|22.44|22.7|23.53|19.62|7314|1891374 70767|ACR PRD|ACRpD|00489Q300|US00489Q3002|ACRES Commercial Realty Corp.|7.875% Series D Cumulative Redeemable Preferred Stock|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|6|H|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN1-8|TXN6-8|TXN2-8|TXN1-4|4610000|||Quarterly|||||2021-06-01||||||| | | | | | | | | |||N|0|N|N|414A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||20.37|0.0|0.0|0.0|0.0|20.31|20.37|20.59|0.0|0.0|20.1|0.0|20.28|0.0|0.0|20.31|0.0|20.31|0.0|20.31|20.27|20.85|0.0|0.0|20.03|21.27|0.0|0.0|0.0|0.0|20.27|20.85|21.5|16.75|3743|1359516 39938|ACRE|ACRE|04013V108|US04013V1089|Ares Commercial Real Estate Corporation|Common Stock|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|6|Q|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-4|TXN2-7|TXN8-4|TXN2-3|TXN4-5|54140000|||Quarterly|||||2012-04-26||||||| | | | | | | | | |||N|0|N|Y|400A|USA|US|||35|3510|351020|35102030|Real Estate|Real Estate |Real Estate Investment Trusts|Office REITs|N||N||||||Y|0|Y||Y|2|||10.28|10.29|0.0|0.0|10.29|10.285|10.285|10.285|0.0|0.0|10.285|10.28|10.285|10.28|10.29|10.29|10.26|10.29|10.02|10.29|10.28|10.29|7.95|12.61|10.28|10.35|10.25|10.32|10.24|10.33|10.28|10.29|12.745|7.52|424126|150578934 71552|ACRO|ACRO|005029103|US0050291030|Acropolis Infrastructure Acquisition Corp.|Class A Common Stock|Special purpose acquisition company|A|N|N|N|Y|Y|Y|Y|Y|6|M|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN2-3|TXN6-8|TXN3-6|TXN4-8|8000000|||NotApplicable|||||2021-08-30||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|10.34|0.0|0.0|0.0|0.0|10.355|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.34|0.0|10.34|0.0|10.34|10.34|10.37|0.0|0.0|10.12|10.58|0.0|0.0|0.0|0.0|10.34|10.37|10.4|9.86|466|36790049 71553|ACRO WS|ACRO.WS|005029111|US0050291113|Acropolis Infrastructure Acquisition Corp.|Warrants, each exercisable for one share of Class A Common Stock at an exercise price of $11.50 per share|Special purpose acquisition company|C|N|N|N|Y|Y|Y|Y|Y|6|M|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN8-8|TXN4-8|TXN3-8|TXN3-8|TXN1-2|0|||NotApplicable|||||2021-08-30||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||||||||||N||N||||||N|0|Y|D|N||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0252|0.0|0.0|0.0|0.0|0.0|0.0|0.0105|0.012|0.0474|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.015|0.0599|0.309|0.0105|350|3697056 71089|ACRO U|ACRO.U|005029202|US0050292020|Acropolis Infrastructure Acquisition Corp.|Units, each consisting of one share of Class A Common Stock and one-third of one Warrant|Special purpose acquisition company|R|N|N|N|Y|Y|Y|Y|Y|6|M|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN2-5|TXN2-8|TXN3-4|TXN1-8|34500000|||NotApplicable|||||2021-07-09||||||| | | | | | | | | 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Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||0.9829|0.9828|0.0|0.9515|0.982|0.9809|0.9829|0.9829|0.0|0.0|0.9828|0.9783|0.9826|0.9728|0.9669|0.9799|0.9526|0.9824|0.9688|0.9826|0.9582|1.01|0.76|1.16|0.973|0.9937|0.9613|0.9972|0.955|0.9995|0.9807|0.9824|18.54|0.5902|4000057|387862233 74884|ACRV|ACRV|004890109|US0048901096|Acrivon Therapeutics Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN6-5|TXN10-2|TXN5-2|TXN5-3|22190000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||5.06|4.83|0.0|0.0|0.0|4.33|4.555|4.4|0.0|0.0|4.61|0.0|5.24|4.43|0.0|0.0|0.0|5.05|4.32|5.24|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|25.47|3.4113|66589|8548715 36500|ACRX|ACRX|00444T209|US00444T2096|AcelRx Pharmaceuticals Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-4|TXN5-7|TXN14-7|TXN5-6|TXN6-7|16950000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103015|Health Care |Health Care |Pharmaceuticals and Biotechnology|Pharmaceuticals |N||N||||||Y|0|Y||||||0.7599|0.83|0.0|0.0|0.7813|0.83|0.83|0.0|0.0|0.0|0.7844|0.0|0.83|0.0|0.0|0.0|0.0|0.8259|0.0|0.83|0.7694|0.882|0.6548|1.0|0.7694|0.85|0.7878|0.8568|0.7832|0.8658|0.8101|0.83|2.78|0.425|79880|47830356 54249|ACSI|ACSI|886364710|US8863647108|American Customer Satisfaction ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN3-2|TXN5-8|TXN3-1|TXN2-3|1550000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|48.1655|0.0|0.0|0.0|0.0|43.6999|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|48.1655|0.0|48.1655|0.0|0.0|0.0|0.0|47.8|48.47|48.0|48.48|0.0|0.0|48.15|48.18|48.5661|41.0819|3|90191 41265|ACST|ACST|00430K865|CA00430K8656|Acasti Pharma Inc|CL A SHS||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN6-5|TXN10-4|TXN6-5|TXN6-6|9400000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CAN||||20|2010|201030|20103015|Health Care |Health Care |Pharmaceuticals and Biotechnology|Pharmaceuticals |N||N||||||N|0|Y||||||2.3|0.0|0.0|0.0|0.0|2.3|2.282|2.34|0.0|0.0|2.3|0.0|2.33|0.0|0.0|0.0|0.0|2.33|0.0|2.33|2.18|2.45|0.0|0.0|2.18|2.45|2.18|2.45|0.0|0.0|2.3|2.33|3.7594|0.34|26818|17509571 70593|ACT|ACT|29249E109|US29249E1091|Enact Holdings Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN5-8|TXN11-7|TXN5-6|TXN6-1|159700000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302010|30201025|Financials|Financial Services |Finance and Credit Services|Mortgage Finance|N||N||||||Y|0|Y||||||27.94|27.96|0.0|0.0|27.97|27.98|27.95|27.965|0.0|0.0|27.95|27.8|27.96|0.0|27.98|27.945|0.0|27.97|27.94|27.96|27.8|28.16|21.37|34.05|27.84|28.13|27.94|28.0|27.96|28.0|27.96|28.0|29.74|20.8401|230929|51354614 64|ACTG|ACTG|003881307|US0038813079|Acacia Research Corp|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN5-6|TXN14-1|TXN6-8|TXN6-2|99890000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502050|50205020|Industrials|Industrial Goods and Services|Industrial Support Services|Professional Business Support Services|N||N||||||Y|0|Y||||||3.95|3.95|0.0|3.79|3.95|3.935|3.935|3.935|0.0|0.0|3.94|3.93|3.94|3.95|3.88|3.94|3.91|3.94|3.89|3.94|3.93|3.97|3.0|4.78|3.93|3.96|3.9|3.97|3.93|3.98|3.93|3.95|4.655|3.43|525301|59039917 67978|ACTV|ACTV|90214Q717|US90214Q7170|Two Roads Shared Trust|LeaderShares Activist Leaders ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Ultimus Fund Solutions (LeaderShares)|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-2|TXN1-1|TXN6-7|TXN1-6|TXN4-3|3080000|||Yearly|||||2020-10-27||ACTV.NV|ACTV.SO|ACTV.EU|ACTV.TC|ACTV.IV| | | | | | | | | |1x|The Fund is an actively managed exchange-traded fund (ETF) that employs an investment approach that focuses on equity securities that are the target of shareholder activism. These equity securities are identified using a proprietary quantitative methodology built on the foundation of tracking legally mandated filings known as 13D filings that are submitted with the Securities and Exchange Commission (SEC). Rules adopted under the Securities Exchange Act of 1934 require a shareholder that acquires, with an activist intent, more than 5% of a companys shares to file a form with the SEC known as a Schedule 13D that discloses the investors identity and the investors purpose in acquiring those shares. The Funds Adviser identifies Activist Leader investors utilizing a proprietary methodology based upon qualitative elements, including research into the effectiveness of activist investors achievement of stated objectives and creation of positive shareholder returns in positions that were the subject of a 13D filing by them. Because the Advisers identification of Activist Leaders investors is based on ongoing research, the list of Activist Leaders investors may change over time The Fund will be invested in equity securities of companies listed on a U.S. exchange with market capitalizations of at least $1 billion at the time of initial purchase. The Fund may focus its investments in a particular sector, industry or group of industries. 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Services|Household Goods and Home Construction|Household Equipment and Products|N||N||||||N|0|Y||Y|2|||38.88|38.0|0.0|0.0|0.0|38.24|38.44|38.52|0.0|0.0|37.0|37.94|38.47|38.89|0.0|36.05|38.93|38.93|29.59|38.93|35.45|40.6|37.02|38.7|35.72|40.03|0.0|0.0|0.0|0.0|37.02|38.7|41.4|21.27|29739|2015403 49979|ACV|ACV|92840N100|US92840N1000|Virtus Diversified Income & Convertible Fund|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN1-1|TXN9-8|TXN4-4|TXN4-1|10360000|||Monthly|||||2015-05-22||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||20.17|20.05|0.0|0.0|20.08|20.08|20.07|20.08|0.0|0.0|20.2|0.0|20.08|20.08|0.0|20.07|0.0|20.07|0.0|20.07|20.06|20.1|15.44|24.62|18.67|21.54|15.89|24.13|20.04|20.1|20.06|20.1|24.2099|16.82|31276|8423188 69909|ACVA|ACVA|00091G104|US00091G1040|ACV Auctions Inc|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN6-6|TXN10-5|TXN5-8|TXN6-1|136170000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4020|402010|40201070|Consumer Discretionary|Consumer Products and Services|Consumer Services |Consumer Services: Misc.|N||N||||||Y|0|Y||||||15.66|15.66|0.0|0.0|15.66|15.645|15.66|15.64|0.0|0.0|15.65|15.68|15.66|15.645|15.635|15.6|15.58|15.66|15.66|15.66|15.61|15.67|12.1|19.26|15.61|15.68|15.62|15.69|15.6|15.7|15.64|15.66|18.68|7.19|591038|272623886 68008|ACVF|ACVF|26923N108|US26923N1081|ETF Opportunities Trust|American Conservative Values ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Ridgeline Research|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-8|TXN4-7|TXN5-7|TXN1-7|TXN4-5|1900000|||Quarterly|||||2020-10-29||ACVF.NV|ACVF.SO|ACVF.EU|ACVF.TC| | | | | | | | | | ||Long-term capital appreciation with capital preservation as a secondary objective, achieved by investing in equity securitiesof U.S. companies that meet politically conservative values and are generally companies with large market capitalizations.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||34.97|34.92|0.0|0.0|0.0|34.88|34.88|34.87|0.0|0.0|34.92|0.0|34.92|0.0|0.0|0.0|34.87|34.92|0.0|34.92|34.56|35.3|34.84|34.92|34.91|34.92|34.9|34.97|0.0|0.0|34.91|34.92|35.45|29.3518|10970|1771464 27586|ACWI|ACWI|464288257|US4642882579|iShares MSCI ACWI ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN6-2|TXN14-7|TXN5-2|TXN6-3|185600000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||98.15|98.15|0.0|98.17|98.14|98.14|98.125|98.145|0.0|0.0|98.14|98.16|98.14|98.16|98.15|98.155|98.165|98.15|98.15|98.14|98.09|98.16|91.0|104.92|98.12|98.16|97.98|98.3|98.02|98.3|98.14|98.15|99.53|83.59|3605453|808225949 38948|ACWV|ACWV|464286525|US4642865251|iShares MSCI Global Min Vol Factor ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-8|TXN1-2|TXN2-6|TXN3-2|TXN2-3|42700000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||99.14|99.14|0.0|0.0|99.14|99.15|99.12|99.14|0.0|0.0|99.15|0.0|99.15|99.19|99.13|99.14|0.0|99.14|0.0|99.14|99.13|104.18|92.82|105.43|99.13|99.2|94.37|104.18|0.0|0.0|99.13|99.17|100.69|92.11|126584|54059186 27587|ACWX|ACWX|464288240|US4642882405|iShares MSCI ACWI ex US ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN6-2|TXN10-8|TXN6-8|TXN6-2|89400000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||49.29|49.325|0.0|0.0|49.32|49.315|49.32|49.315|0.0|0.0|49.32|49.32|49.32|49.29|49.29|49.325|49.285|49.32|49.32|49.32|49.29|49.34|46.22|52.4|49.32|49.34|49.24|49.41|49.24|49.41|49.32|49.34|51.3|44.89|1840686|345206746 70860|ACXP|ACXP|00510M104|US00510M1045|Acurx Pharmaceuticals Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN5-5|TXN14-7|TXN5-1|TXN6-8|13770000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||3.68|3.62|0.0|0.0|3.72|3.71|3.68|3.71|0.0|0.0|3.68|0.0|3.71|0.0|0.0|3.68|0.0|3.68|3.61|3.71|3.56|3.81|2.91|4.59|3.58|3.8|3.63|3.77|3.63|3.77|3.68|3.72|8.82|1.17|56834|53647216 69127|ADAG|ADAG|005329107|US0053291078|Adagene Inc|ADR||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN6-8|TXN10-3|TXN6-7|TXN5-7|54720000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|1.61|1.64|1.615|1.6|0.0|0.0|0.0|0.0|1.62|1.64|0.0|0.0|0.0|1.615|0.0|1.615|1.22|1.82|0.0|0.0|1.51|1.8|1.22|1.82|0.0|0.0|1.62|1.7|2.1|1.0139|27930|4592589 49756|ADAP|ADAP|00653A107|US00653A1079|Adaptimmune Therapeutics plc|ADR||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-7|TXN5-5|TXN12-7|TXN5-4|TXN5-6|1362730000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||GBR||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||0.5224|0.5203|0.0|0.0|0.525|0.52|0.5286|0.5248|0.0|0.0|0.52|0.5242|0.5286|0.519|0.5203|0.5525|0.52|0.52|0.5203|0.5286|0.5049|0.5487|0.4156|0.624|0.52|0.545|0.5021|0.5514|0.4941|0.5554|0.5248|0.5286|2.35|0.42|618353|145632718 75|ADBE|ADBE|00724F101|US00724F1012|Adobe Inc|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|4|0.01|0.01|5000000|1|100|TXN13-8|TXN5-7|TXN10-2|TXN5-4|TXN5-4|455300000|||NotApplicable|||||||||||| | | | | | | | | |||N|1|Y|N||USA||||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||||||604.68|604.74|0.0|604.15|604.75|605.07|604.759|604.81|0.0|0.0|604.81|604.17|604.56|604.83|604.96|604.82|604.96|604.75|604.96|604.56|604.22|605.12|562.86|640.41|604.27|604.97|604.23|605.03|604.58|604.81|604.58|604.8|628.6|318.6|2541501|712447424 4602|ADC|ADC|008492100|US0084921008|Agree Realty Corporation|Common Stock|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-7|TXN1-4|TXN3-4|TXN4-2|TXN3-2|100520000|||Monthly|||||1994-04-15||||||| | | | | | | | | |||N|0|Y|Y|412A|USA|US|||35|3510|351020|35102045|Real Estate|Real Estate |Real Estate Investment Trusts|Retail REITs|N||N||||||Y|0|Y||Y|1|||61.49|61.48|0.0|61.5|61.5|61.51|61.5|61.5|0.0|0.0|61.46|61.54|61.5|61.595|61.5|61.5|61.51|61.5|61.59|61.5|61.48|61.5|57.02|64.75|61.41|61.57|61.43|61.55|61.48|61.55|61.48|61.5|75.71|52.69|1270671|216203630 71744|ADC PRA|ADCpA|008492209|US0084922097|Agree Realty Corporation|Depositary Shares, each representing 1/1,000th of a 4.250% Series A Cumulative Redeemable Preferred Stock|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN3-5|TXN4-8|TXN2-7|TXN3-6|7000000|||Monthly|||||2021-09-21||||||| | | | | | | | | |||N|0|N|N|412A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||17.99|18.11|0.0|0.0|0.0|17.9|17.93|18.02|0.0|0.0|18.0|0.0|17.88|17.99|0.0|17.93|0.0|17.93|0.0|17.93|17.93|18.0|0.0|0.0|17.49|18.0|0.0|0.0|0.0|0.0|17.93|18.0|19.23|15.71|18279|2702542 66432|ADCT|ADCT|H0036K147|CH0499880968|ADC Therapeutics SA|Common Shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|6|S|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN3-6|TXN5-8|TXN2-8|TXN1-1|89040000|||Adhoc|||||2020-05-15||||||| | | | | | | | | |||N|0|N|Y|140A|CHE|CH|||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|2|Y||Y|2|||1.13|1.12|0.0|0.0|1.13|1.135|1.131|1.135|0.0|0.0|1.13|1.13|1.13|1.13|1.135|1.11|1.13|1.131|1.13|1.11|1.13|1.14|0.872|1.34|1.11|1.16|1.1|1.16|1.09|1.17|1.13|1.14|5.75|0.359908|856167|111064025 27984|ADD|ADD|G2287A209|KYG2287A2093|Color Star Technology Co Ltd|CL A ORD USD0.04||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-4|TXN5-7|TXN10-5|TXN6-7|TXN6-5|22510000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4020|402010|40201010|Consumer Discretionary|Consumer Products and Services|Consumer Services |Education Services|N||N||||||N|0|Y||||||0.29|0.3|0.0|0.0|0.29|0.302|0.3038|0.291|0.0|0.0|0.0|0.3|0.3025|0.0|0.0|0.3|0.0|0.3038|0.3|0.3038|0.2738|0.315|0.24|0.3536|0.2738|0.31|0.24|0.3385|0.0|0.0|0.2883|0.3038|2.778|0.18|98431|37615930 4118|ADEA|ADEA|00676P107|US00676P1075|Adeia Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN6-4|TXN11-2|TXN6-2|TXN6-7|107170000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101020|10102020|Technology|Technology|Technology Hardware and Equipment|Production Technology Equipment|N||N||||||Y|0|Y||||||9.63|9.62|0.0|9.59|9.62|9.625|9.63|9.63|0.0|0.0|9.62|9.62|9.62|9.62|9.6|9.62|9.62|9.63|9.66|9.62|9.54|9.71|7.29|11.68|9.55|9.7|9.61|9.65|9.58|9.66|9.62|9.63|12.37|7.12|421210|126540753 79|ADES|ADES|00770C101|US00770C1018|Advanced Emissions Solutions Inc|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN6-6|TXN12-7|TXN6-8|TXN6-8|33180000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||65|6510|651030|65103035|Utilities|Utilities|Waste and Disposal Services|Waste and Disposal Services|N||N||||||Y|0|Y||||||2.69|2.58|0.0|0.0|2.72|2.68|2.69|2.68|0.0|0.0|2.65|0.0|2.64|2.559|0.0|0.0|0.0|2.69|0.0|2.64|2.57|2.77|2.1|3.35|2.6|2.73|2.6|2.73|2.6|2.74|2.64|2.68|3.78|1.17|72190|24781292 69452|ADEX|ADEX|007024102|US0070241023|Adit EdTech Acquisition Corp|Common Stock|Special purpose acquisition company|A|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-5|TXN4-6|TXN7-8|TXN4-8|TXN3-6|8900000|||NotApplicable|||||2023-02-16||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y|C|Y|2|||10.12|8.19|0.0|0.0|10.12|8.89|7.94|7.6|0.0|0.0|8.9|0.0|7.99|8.84|0.0|0.0|8.03|8.03|8.5|8.03|0.0|0.0|7.34|8.84|7.05|9.19|0.0|0.0|0.0|0.0|7.34|8.84|11.38|7.52|17563|1508015 69453|ADEX WS|ADEX.WS|007024110|US0070241106|Adit EdTech Acquisition Corp|Redeemable Warrants, each whole warrant exercisable for shares of common stock at an exercise price of $11.50 per share|Special purpose acquisition company|C|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN12-7|TXN3-8|TXN9-8|TXN3-4|TXN3-5|0|||NotApplicable|||||2023-02-16||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||||||||||N||N||||||N|0|Y|C|N||||0.0598|0.0598|0.0|0.0|0.0499|0.0598|0.0598|0.0|0.0|0.0|0.05215|0.0|0.034|0.0|0.0|0.05215|0.0598|0.0598|0.05215|0.0598|0.05|0.18|0.0503|0.0598|0.05|0.2|0.0|0.0|0.0|0.0|0.0503|0.0598|0.1825|0.015|228913|3122350 68715|ADEX U|ADEX.U|007024201|US0070242013|Adit EdTech Acquisition Corp|Units, each consisting of one share of common stock, and one-half of one redeemable warrant|Special purpose acquisition company|R|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-2|TXN4-8|TXN4-8|TXN2-5|TXN3-3|0|||NotApplicable|||||2023-02-16||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||||||||||N||N||||||N|0|Y|C|Y|2|||0.0|9.29|0.0|0.0|10.1|9.21|9.01|8.355|0.0|0.0|0.0|0.0|9.36|9.53|0.0|0.0|8.8|8.8|8.49|8.8|7.52|10.8|7.88|9.65|7.36|9.59|7.52|10.8|0.0|0.0|7.88|9.0|12.7|8.0|30648|230734 67275|ADFI|ADFI|90214Q725|US90214Q7253|Anfield Dynamic Fixed Income ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-6|TXN1-1|TXN2-8|TXN4-5|TXN2-3|2680000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|8.41|0.0|0.0|0.0|0.0|8.405|8.2278|0.0|0.0|0.0|0.0|0.0|8.4|0.0|0.0|0.0|8.41|8.4|8.41|8.33|8.51|0.0|0.0|8.35|8.48|7.85|9.04|0.0|0.0|8.34|8.43|8.69|7.92|8588|3492074 4606|ADI|ADI|032654105|US0326541051|Analog Devices Inc|COM USD.16||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN5-4|TXN10-6|TXN5-7|TXN6-4|496260000|||NotApplicable|||||||||||| | | | | | | | | |||N|5|Y|N||USA||||10|1010|101020|10102010|Technology|Technology|Technology Hardware and 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EXP||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-5|TXN6-6|TXN10-8|TXN6-2|TXN5-8|88210000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y|C|||||0.0|0.0|0.0|0.0|0.0|0.025|0.025|0.0|0.0|0.0|0.0|0.0276|0.025|0.0|0.0|0.0|0.0|0.025|0.0|0.025|0.0|0.0|0.0|0.0|0.0175|0.0|0.0|0.0|0.0|0.0|0.022|0.0251|0.2477|0.0189|91387|2928332 97|ADTN|ADTN|00486H105|US00486H1059|ADTRAN Holdings Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN5-6|TXN14-1|TXN5-5|TXN5-7|78700000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||15|1510|151010|15101010|Telecommunications|Telecommunications|Telecommunications Equipment|Telecommunications Equipment|N||N||||||Y|0|Y||||||6.11|6.115|0.0|0.0|6.1|6.1|6.1|6.105|0.0|0.0|6.105|6.1|6.1|6.11|6.11|6.1|6.13|6.1|6.11|6.1|6.09|6.12|4.7|7.52|6.09|6.12|6.08|6.14|6.07|6.11|6.1|6.11|21.15|4.91|1677592|196613051 66803|ADTX|ADTX|007025604|US0070256047|Aditxt Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN6-7|TXN11-6|TXN5-1|TXN5-4|440000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y|D|||||3.9|3.87|0.0|0.0|3.8|3.87|3.8601|3.87|0.0|0.0|3.85|3.78|3.98|3.87|3.76|3.9|0.0|3.8601|3.9|3.98|3.72|4.06|2.95|4.75|3.7|4.05|3.83|4.0|3.81|4.01|3.86|3.94|68.08|0.285|630761|99287783 31717|ADUS|ADUS|006739106|US0067391062|Addus HomeCare Corp|COM 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LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-6|TXN3-6|TXN1-8|TXN4-8|TXN4-5|79030000|||Yearly|||||2003-12-04||||||| | | | | | | | | |||N|0|N|Y|416A|USA|US|||30|3030|303010|30301010|Financials|Insurance|Life Insurance|Life Insurance|N||N||||||Y|0|Y||Y|2|||55.51|55.55|0.0|55.52|55.52|55.55|55.545|55.55|0.0|0.0|55.5|55.5|55.54|55.5|55.5|55.55|55.47|55.55|55.55|55.55|55.53|55.55|42.75|68.09|55.49|55.55|55.5|55.57|55.51|55.57|55.53|55.55|55.75|31.57|394022|151729069 65124|AEL PRA|AELpA|025676503|US0256765035|American Equity Investment Life Holding Company|Depositary Shares, each representing a 1/1,000th interest in a share of 5.95% Fixed-Rate Reset Non-Cumulative Preferred Stock, Series A|Operating company|B|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN4-3|TXN9-8|TXN1-6|TXN2-4|16000000|||Quarterly|||||2019-11-25||||||| | | | | | | | | |||N|0|N|N|416A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|22.57|0.0|0.0|22.8|23.04|23.06|23.11|0.0|0.0|0.0|0.0|23.1|0.0|0.0|23.06|0.0|23.06|0.0|23.06|22.94|23.18|0.0|0.0|22.48|23.56|0.0|0.0|0.0|0.0|22.94|23.18|24.62|19.45|37509|5727822 66792|AEL PRB|AELpB|025676602|US0256766025|American Equity Investment Life Holding Company|Depositary Shares, each representing a 1/1,000th interest in a share of 6.625% Fixed-Rate Reset Non-Cumulative Preferred Stock, Series B|Operating company|B|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN1-6|TXN2-8|TXN4-1|TXN3-8|12000000|||Quarterly|||||2020-06-22||||||| | | | | | | | | |||N|0|N|N|416A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|24.77|0.0|0.0|24.86|24.86|24.86|0.0|0.0|0.0|24.85|0.0|24.92|0.0|0.0|24.86|0.0|24.86|0.0|24.86|24.87|24.92|0.0|0.0|24.31|25.05|0.0|0.0|0.0|0.0|24.87|24.92|25.98|21.225|36567|5150079 4626|AEM|AEM|008474108|CA0084741085|Agnico Eagle Mines Limited|Common Shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|6|P|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-1|TXN3-6|TXN7-6|TXN4-5|TXN2-2|494380000|||Quarterly|||||1994-11-22||||||| | | | | | | | | |||N|0|N|Y|130C|CAN|CA|||55|5510|551030|55103025|Basic Materials|Basic Resources|Precious Metals and Mining|Gold Mining|N||N||||||Y|0|Y||Y|2|||53.51|53.51|0.0|53.16|53.51|53.51|53.51|53.48|0.0|0.0|53.5|53.5|53.51|53.51|53.505|53.51|53.54|53.51|53.51|53.51|53.5|53.51|41.47|65.64|53.46|53.52|53.44|53.55|53.44|53.51|53.5|53.51|61.15|43.22|4179674|623229504 71035|AEMB|AEMB|025072414|US0250724145|American Century ETF Trust|American Century Emerging Markets Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||American Century Investments|Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-6|TXN2-2|TXN8-5|TXN3-1|TXN3-2|900000|||Monthly|||||2021-07-01||AEMB.NV|AEMB.SO|AEMB.EU|AEMB.TC|AEMB.IV| | | | | | | | | |1x|American Century Emerging Markets Bond ETF (AEMB) employs an active, research-driven process designed to exploit the opportunities and manage the risks of EMD investing. It seeks to complement core fixed income allocations for more consistent income over a full market cycle. 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Equipment|N||N||||||N|0|Y||||||2.15|2.14|0.0|0.0|2.06|2.11|2.05|2.11|0.0|0.0|2.07|2.13|2.14|0.0|0.0|0.0|0.0|2.06|0.0|2.06|1.92|2.24|0.0|0.0|1.99|2.21|1.65|2.42|0.0|0.0|2.06|2.15|2.2|0.195|58075|138869814 75689|AENT|AENT|01861F102|US01861F1021|Alliance Entertainment Holding Corp|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN6-6|TXN13-6|TXN5-1|TXN6-7|50970000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.905|0.0|0.0|0.0|0.905|0.0|0.9738|0.0|0.0|0.0|0.0|0.0|1.01|0.905|0.0|0.0|0.0|1.0|0.0|1.01|0.0|0.0|0.0|0.0|0.9186|1.01|0.0|0.0|0.0|0.0|0.9186|1.01|3.09|0.741|8557|2910001 75968|AENTW|AENTW|01861F110|US01861F1104|Alliance Entertainment Holding Corp|WT EXP 021126||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-6|TXN5-2|TXN14-2|TXN6-7|TXN5-2|50500000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y|C|||||0.0062|0.0062|0.0|0.0|0.0|0.0062|0.0063|0.0|0.0|0.0|0.0|0.0|0.0062|0.0|0.0|0.0|0.0|0.0062|0.0|0.0062|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0062|0.011|0.09|0.0062|11409|832860 61229|AENZ|AENZ|00776D202|US00776D2027|Aenza S.A.A.|American Depositary Shares (each representing five Common Shares)|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN1-1|TXN3-8|TXN1-6|TXN4-3|1196980000|||Adhoc|||||2013-07-24||||||| | | | | | | | | |||N|0|N|Y|100A|PER|PE|||50|5010|501010|50101010|Industrials|Construction and Materials|Construction and Materials |Construction|N||N||||||N|0|Y||Y|2|||1.8|1.86|0.0|0.0|2.04|2.04|2.275|2.14|0.0|0.0|2.07|1.85|2.0|0.0|0.0|2.23|1.85|2.28|0.0|2.23|2.13|2.28|0.0|0.0|1.99|2.43|0.0|0.0|0.0|0.0|2.13|2.28|3.6|1.52|46900|1420528 108|AEO|AEO|02553E106|US02553E1064|American Eagle Outfitters, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-5|TXN2-7|TXN3-3|TXN4-3|TXN1-7|197540000|||Quarterly|||||2007-03-08||||||| | | | | | | | | |||N|0|N|Y|146F|USA|US|||40|4040|404010|40401020|Consumer Discretionary|Retail |Retailers |Apparel Retailers|N||N||||||Y|0|Y||Y|2|||19.62|19.63|0.0|19.63|19.62|19.625|19.63|19.63|0.0|0.0|19.63|19.62|19.625|19.62|19.615|19.63|19.6|19.63|19.615|19.63|19.62|19.63|15.13|24.04|19.62|19.64|19.59|19.65|19.59|19.65|19.62|19.63|20.21|9.95|4772911|1062128257 70198|AEON|AEON|00791X100|US00791X1000|AEON Biopharma, Inc.|Class A Common Stock|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-2|TXN2-7|TXN4-8|TXN2-3|TXN2-5|37160000|||NotApplicable|||||2023-07-24||||||| | | | | | | | | |||N|0|N|N|140A|USA|US|||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||Y|2|||0.0|5.95|0.0|0.0|0.0|6.0|6.03|5.89|0.0|0.0|5.69|0.0|6.03|0.0|0.0|4.54|5.89|5.89|0.0|5.89|0.0|0.0|5.85|6.03|5.58|6.03|0.0|0.0|0.0|0.0|5.85|6.03|11.88|3.37|2257|7975776 70199|AEON WS|AEON.WS|00791X118|US00791X1182|AEON Biopharma, Inc.|Warrants, each whole warrant exercisable to purchase one share of Class A Common Stock at an exercise price of $11.50 per share|Operating company|C|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN10-2|TXN1-3|TXN1-5|TXN3-1|TXN3-1|0|||NotApplicable|||||2023-07-24||||||| | | | | | | | | |||N|0|N|N|140A|USA|US|||||||||||N||N||||||N|0|Y||N||||0.0|0.0|0.0|0.0|0.0|0.0|0.0475|0.0|0.0|0.0|0.0475|0.0|0.0|0.0|0.0|0.0|0.0475|0.0475|0.0|0.0475|0.0|0.0|0.045|0.05|0.045|0.135|0.0|0.0|0.0|0.0|0.045|0.05|0.3|0.0371|896|2520749 4629|AEP|AEP|025537101|US0255371017|American Electric Power Co Inc|COM USD6.5||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN5-7|TXN10-1|TXN6-1|TXN5-1|525880000|||NotApplicable|||||||||||| | | | | | | | | |||N|5|Y|N||USA||||65|6510|651010|65101015|Utilities|Utilities|Electricity|Conventional Electricity|N||N||||||Y|0|Y||||||80.14|80.14|0.0|80.36|80.15|80.145|80.14|80.15|0.0|0.0|80.15|80.09|80.13|80.13|80.12|80.155|80.08|80.15|80.14|80.13|80.08|80.2|74.98|85.26|80.11|80.17|80.13|80.17|80.09|80.21|80.13|80.15|100.32|69.38|3449048|712773968 18300|AER|AER|N00985106|NL0000687663|AerCap Holdings N.V.|Ordinary Shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|6|P|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-5|TXN3-5|TXN4-5|TXN2-8|TXN2-2|210120000|||NotApplicable|||||2006-11-21||||||| | | | | | | | | |||N|0|N|Y|180B|IRL|NL|||50|5020|502060|50206050|Industrials|Industrial Goods and Services|Industrial Transportation|Commercial Vehicle-Equipment Leasing|N||N||||||Y|0|Y||Y|2|||69.12|69.12|0.0|69.1|69.02|69.045|69.095|69.09|0.0|0.0|69.04|69.05|69.12|69.06|69.01|69.12|69.04|69.095|69.08|69.12|69.07|69.12|53.31|85.05|68.98|69.16|69.03|69.13|69.07|69.14|69.07|69.12|70.0|49.575|1305856|324553546 72865|AERT|AERT|G0136H102|KYG0136H1020|Aeries Technology Inc|ORD SHS CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN5-8|TXN11-6|TXN5-3|TXN5-6|15260000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|2.36|2.31|0.0|0.0|0.0|2.32|0.0|2.36|0.0|0.0|0.0|0.0|2.36|0.0|2.36|1.79|2.84|1.79|2.84|2.16|2.46|1.79|2.84|0.0|0.0|2.31|2.36|3.74|1.5|12688|9774333 72866|AERTW|AERTW|G0136H110|KYG0136H1103|Aeries Technology Inc|WT EXP 11/6/2028||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-1|TXN6-6|TXN14-6|TXN6-6|TXN5-3|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y|C|||||0.0|0.09|0.0|0.0|0.0|0.09|0.09|0.0|0.0|0.0|0.08|0.0|0.088|0.0|0.0|0.09|0.0|0.088|0.0|0.088|0.0704|0.1617|0.0704|0.1617|0.0704|0.14|0.0704|0.1617|0.0|0.0|0.088|0.1303|0.14|0.06|207653|839471 4631|AES|AES|00130H105|US00130H1059|The AES Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-7|TXN4-3|TXN3-2|TXN2-8|TXN4-4|669630000|||Quarterly|||||1996-10-16||||||| | | | | | | | | |||N|5|Y|Y|112A|USA|US|||65|6510|651010|65101015|Utilities|Utilities|Electricity|Conventional Electricity|N||N||||||Y|0|Y||Y|1|||17.98|17.98|0.0|17.95|17.99|17.98|17.99|17.99|0.0|0.0|17.98|17.98|17.98|17.98|17.975|17.98|17.96|17.98|17.98|17.98|17.98|17.99|16.79|18.89|17.97|17.99|17.96|18.01|17.95|18.01|17.98|17.99|29.89|11.43|7498911|1432577229 69705|AESC|AESC|00130H204|US00130H2040|The AES Corporation|Corporate Units|Operating company|G|N|N|N|Y|Y|Y|Y|Y|6|H|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN1-2|TXN6-8|TXN4-6|TXN4-7|10430000|||Quarterly|||||2021-03-15|2024-02-15|||||| | | | | | | | | |||N|0|N|N|112A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|71.43|0.0|0.0|67.48|67.48|70.61|68.14|0.0|0.0|0.0|0.0|70.72|0.0|0.0|70.77|0.0|71.12|0.0|70.77|70.71|74.65|0.0|0.0|70.71|71.12|0.0|0.0|0.0|0.0|70.71|71.12|104.45|47.6899|4928|13839932 75403|AESI|AESI|642045108|US6420451089|Atlas Energy Solutions Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-7|TXN2-7|TXN4-6|TXN4-4|TXN2-3|100030000|||Quarterly|||||2023-03-09||||||| | | | | | | | | |||N|0|N|Y|134F|USA|US|||60|6010|601010|60101020|Energy|Energy|Oil, Gas and Coal|Oil Refining and Marketing|N||N||||||Y|0|Y||Y|2|||17.77|17.77|0.0|17.77|17.8|17.79|17.8|17.8|0.0|0.0|17.78|17.78|17.81|17.78|17.69|17.8|17.81|17.8|17.78|17.8|17.78|17.8|13.76|22.02|17.66|17.84|17.75|17.84|17.73|17.84|17.78|17.8|24.69|15.06|880310|94566625 65251|AESR|AESR|90214Q733|US90214Q7337|Anfield US Equity Sector Rotation ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN3-5|TXN3-8|TXN3-4|TXN3-2|7130000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|13.02|0.0|0.0|13.0|13.03|13.015|0.0|0.0|0.0|13.04|12.94|12.98|13.04|0.0|0.0|0.0|13.02|13.04|13.02|12.92|13.19|0.0|0.0|13.02|13.07|13.02|13.07|0.0|0.0|13.02|13.07|13.2|11.25|12453|8548163 76410|AETH|AETH|091748301|US0917483010|Bitwise Funds Trust|Bitwise Ethereum Strategy ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Bitwise|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-4|TXN3-8|TXN9-7|TXN3-6|TXN4-2|50004|||Yearly|||||2023-10-02||AETH.NV|AETH.SO|AETH.EU|AETH.TC| | | | | | | | | | ||Managed futures exchange traded fund that invest in front-month CME ether futures, rolls the futures contracts monthly|N|0|N|N|416A|USA|US|COMMODITIES_AND_FUTURES|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|24.46|33.0|33.2|33.345|0.0|0.0|0.0|0.0|33.07|33.161|0.0|0.0|0.0|33.3047|30.89|33.3047|30.87|35.53|33.28|33.36|33.28|33.36|33.28|33.37|33.27|33.38|33.28|33.36|33.36|22.715|6477|136620 65688|AEVA|AEVA|00835Q103|US00835Q1031|Aeva Technologies, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|M|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN2-8|TXN4-4|TXN5-8|TXN2-1|TXN2-7|223980000|||NotApplicable|||||2020-02-27||||||| | | | | | | | | |||N|0|N|Y|408A|USA|US|||10|1010|101020|10102010|Technology|Technology|Technology Hardware and Equipment|Semiconductors|N||N||||||Y|2|Y||Y|2|||0.5631|0.561|0.0|0.0|0.5561|0.5585|0.561|0.5561|0.0|0.0|0.561|0.561|0.561|0.5648|0.5697|0.5586|0.5046|0.56|0.5603|0.5586|0.5586|0.561|0.4464|0.672|0.5474|0.5697|0.5328|0.5904|0.559|0.581|0.5586|0.561|2.1|0.465|629179|230712685 65689|AEVA WS|AEVA.WS|00835Q111|US00835Q1114|Aeva Technologies, Inc.|Redeemable Warrants, each whole warrant exercisable for shares of common stock at an exercise price of $11.50 per share|Operating company|C|N|N|N|Y|Y|Y|Y|Y|6|M|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN1-8|TXN1-8|TXN4-8|TXN3-6|TXN4-4|223170000|||NotApplicable|||||2020-02-27||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||||||||||N||N||||||N|2|Y|C|N||||0.0|0.0125|0.0|0.0|0.0|0.0212|0.0|0.0|0.0|0.0|0.0149|0.0214|0.0149|0.0|0.0|0.0212|0.0|0.0212|0.0|0.0212|0.0113|0.0256|0.0|0.0|0.0125|0.0228|0.0|0.0|0.0|0.0|0.0114|0.0214|0.34|0.0062|21524|9486398 4634|AEY|AEY|006743405|US0067434052|ADDvantage Technologies Group Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN6-1|TXN13-4|TXN5-6|TXN5-8|1500000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||15|1510|151010|15101010|Telecommunications|Telecommunications|Telecommunications Equipment|Telecommunications Equipment|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|3.11|0.0|0.0|0.0|3.06|0.0|3.11|0.0|0.0|0.0|0.0|3.09|0.0|3.09|2.38|3.81|2.38|3.83|2.99|3.32|2.38|3.81|0.0|0.0|3.09|3.18|3.88|0.2101|10354|13717623 61686|AEYE|AEYE|050734201|US0507342014|AudioEye Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN5-3|TXN12-2|TXN6-1|TXN6-7|11890000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101010|10101020|Technology|Technology|Software and Computer Services|Consumer Digital Services |N||N||||||Y|0|Y||||||4.59|4.6|0.0|0.0|0.0|4.57|4.53|4.6|0.0|0.0|4.66|4.66|4.51|0.0|0.0|0.0|0.0|4.53|0.0|4.51|4.35|4.92|3.62|5.59|4.44|4.66|3.62|5.59|0.0|0.0|4.54|4.57|7.8899|3.37|42882|6740358 115|AEZS|AEZS|007975501|CA0079755017|AEterna Zentaris Inc|COM NPV SVTG||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN6-3|TXN11-6|TXN5-4|TXN6-5|4860000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||0.0|2.1|0.0|0.0|2.09|2.11|2.1|0.0|0.0|0.0|0.0|0.0|2.15|0.0|0.0|2.1|0.0|2.09|0.0|2.09|1.98|2.26|0.0|0.0|2.0|2.26|1.6|2.65|0.0|0.0|2.09|2.15|4.0|1.3601|11971|2753384 74124|AFAR|AFAR|G06362100|KYG063621000|Aura FAT Projects Acquisition Corp|CL A ORD||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN6-1|TXN10-8|TXN5-6|TXN5-4|2910000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||SGP||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.9|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.81|11.56|0.0|0.0|0.0|0.0|10.83|10.89|11.64|10.18|141|6842605 73886|AFARU|AFARU|G06362118|KYG063621182|Aura FAT Projects Acquisition Corp|UNITS||R|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN6-6|TXN14-7|TXN6-1|TXN5-6|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||SGP||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|9.77|11.12|0.0|0.0|0.0|0.0|9.77|11.12|11.478|9.54|0|58341 74125|AFARW|AFARW|G06362126|KYG063621265|Aura FAT Projects Acquisition Corp|WT EXP||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-5|TXN6-1|TXN10-5|TXN6-2|TXN5-2|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||SGP||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0152|0.0|0.0|0.0|0.0|0.0|0.0152|0.0152|0.0|0.0|0.0|0.0|0.0152|0.0|0.0152|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0151|0.0175|0.12|0.0116|1070|1507332 4637|AFB|AFB|01864U106|US01864U1060|AllianceBernstein National Municipal Income Fund, Inc.|Common Stock|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN2-4|TXN7-8|TXN4-2|TXN1-3|28750000|||Monthly|||||2002-01-29||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||10.68|10.73|0.0|10.68|10.74|10.73|10.685|10.695|0.0|0.0|10.7|0.0|10.69|0.0|10.74|10.69|10.7|10.685|0.0|10.69|10.67|10.7|8.26|13.1|10.02|11.39|10.65|10.73|10.67|10.72|10.67|10.7|11.46|8.95|78152|16975824 57204|AFBI|AFBI|00832E103|US00832E1038|Affinity Bancshares Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN6-1|TXN13-3|TXN5-6|TXN6-6|6390000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|14.29|0.0|14.293|14.41|0.0|0.0|0.0|0.0|14.31|0.0|0.0|0.0|0.0|14.29|0.0|14.29|0.0|0.0|0.0|0.0|13.46|15.19|0.0|0.0|0.0|0.0|14.26|15.02|16.5|11.29|2156|1352712 69136|AFCG|AFCG|00109K105|US00109K1051|AFC Gamma Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN6-4|TXN11-6|TXN5-5|TXN5-2|20460000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302030|30203010|Financials|Financial Services |Mortgage Real Estate Investment Trusts|Mortgage REITs: Commercial|N||N||||||Y|0|Y||||||0.0|0.0|0.0|11.71|11.76|11.71|11.77|11.72|0.0|0.0|11.73|11.74|11.78|11.77|0.0|0.0|11.73|11.77|0.0|11.78|11.64|11.89|9.17|14.4|11.66|11.88|11.73|11.82|11.76|11.83|11.76|11.78|17.64|9.91|66078|35561316 4640|AFG|AFG|025932104|US0259321042|American Financial Group, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN2-4|TXN1-8|TXN4-1|TXN3-2|83780000|||Quarterly|||||1978-11-14||||||| | | | | | | | | |||N|0|Y|Y|170A|USA|US|||30|3030|303020|30302025|Financials|Insurance|Non-life Insurance|Property and Casualty Insurance|N||N||||||Y|0|Y||Y|1|||116.63|116.61|0.0|116.66|116.67|116.59|116.74|116.62|0.0|0.0|116.66|116.53|116.72|116.63|116.59|116.68|116.78|116.74|116.48|116.68|116.74|116.79|109.9|125.21|115.95|117.44|111.37|116.83|116.47|116.85|116.74|116.79|143.15|105.22|704822|83627679 63266|AFGB|AFGB|025932807|US0259328070|American Financial Group, Inc.|5.875% Subordinated Debentures due 2059|Operating company|G|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN4-2|TXN8-8|TXN1-4|TXN3-4|5000000|||Quarterly|||||2019-03-19|2059-03-30|||||| | | | | | | | | |||N|0|N|N|170A||US|||||||||||N||N||||||N|0|Y||Y|2|||23.33|23.0|0.0|0.0|23.13|23.64|23.1713|23.2|0.0|0.0|0.0|0.0|23.2|0.0|22.842812|23.13|23.45|23.13|0.0|23.13|23.12|23.45|23.42|23.8|22.73|23.95|0.0|0.0|0.0|0.0|23.12|23.45|25.99|21.32|8466|2613676 65164|AFGC|AFGC|025932880|US0259328807|American Financial Group, Inc.|5.125% Subordinated Debentures due 2059|Operating company|G|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN2-4|TXN1-5|TXN3-3|TXN1-5|8000000|||Quarterly|||||2019-12-04|2059-12-15|||||| | | | | | | | | |||N|0|N|N|170A||US|||||||||||N||N||||||N|0|Y||Y|2|||19.569687|20.25|0.0|0.0|0.0|19.929687|20.2888|19.599687|0.0|0.0|20.44|0.0|20.42|0.0|0.0|20.2888|0.0|20.2888|0.0|20.2888|20.02|20.44|0.0|0.0|19.61|20.86|0.0|0.0|0.0|0.0|20.02|20.44|23.5859|18.23|12187|2110516 66607|AFGD|AFGD|025932872|US0259328724|American Financial Group, Inc.|5.625% Subordinated Debentures due 2060|Operating company|G|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN4-8|TXN8-8|TXN4-7|TXN2-4|6000000|||Quarterly|||||2020-06-03|2060-06-01|||||| | | | | | | | | |||N|0|N|N|170A||US|||||||||||N||N||||||N|0|Y||Y|2|||21.86|21.85|0.0|0.0|21.93|21.74|21.84|21.93|0.0|0.0|21.86|21.95|21.9|0.0|0.0|22.04|21.86|21.88|0.0|22.04|21.85|21.98|21.9|22.2|21.4|22.42|0.0|0.0|0.0|0.0|21.85|22.42|25.24|20.02|7492|1796909 67548|AFGE|AFGE|025932864|US0259328641|American Financial Group, Inc.|4.500% Subordinated Debentures due 2060|Operating company|G|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN1-3|TXN3-8|TXN4-4|TXN1-6|8000000|||Quarterly|||||2020-09-18|2060-09-15|||||| | | | | | | | | |||N|0|N|N|170A||US|||||||||||N||N||||||N|0|Y||Y|2|||18.12|18.12|0.0|0.0|18.12|18.1|18.02|18.12|0.0|0.0|0.0|0.0|0.0|0.0|0.0|18.02|18.1|18.02|18.12|18.02|17.85|18.14|17.88|18.26|17.46|18.5|0.0|0.0|0.0|0.0|17.85|18.14|20.38|16.204|4707|5966742 67154|AFIB|AFIB|005111109|US0051111096|Acutus Medical Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-8|TXN5-7|TXN14-8|TXN6-2|TXN5-3|29300000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||Y|0|Y||||||0.2399|0.2317|0.0|0.0|0.2399|0.2356|0.2398|0.2308|0.0|0.0|0.2356|0.2399|0.2342|0.2317|0.0|0.2317|0.0|0.238|0.2343|0.2342|0.19|0.2809|0.19|0.2865|0.227|0.2428|0.19|0.2809|0.0|0.0|0.2305|0.238|1.96|0.1601|175065|54897093 61776|AFIF|AFIF|90214Q766|US90214Q7667|Two Roads Shared Trust - Anfield Universal Fixed Income ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-7|TXN2-2|TXN6-8|TXN2-4|TXN4-2|11880000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|9.01|0.0|0.0|0.0|9.01|9.005|9.01|0.0|0.0|0.0|0.0|9.01|9.0|0.0|0.0|0.0|9.01|0.0|9.01|0.0|0.0|0.0|0.0|8.95|9.02|0.0|0.0|0.0|0.0|9.0|9.02|9.37|8.62|15223|8755568 76714|AFJKU|AFJKU|G01341117|KYG013411171|Aimei Health Technology Co Ltd|UNIT||R|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN5-8|TXN12-1|TXN6-3|TXN6-8|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||10.15|10.15|0.0|0.0|10.15|10.15|10.15|10.15|0.0|0.0|10.15|10.15|10.15|10.15|10.15|10.15|10.17|10.15|10.18|10.15|0.0|0.0|0.0|0.0|9.55|10.18|0.0|0.0|0.0|0.0|10.15|10.16|10.23|10.15|6856249|6856249 28432|AFK|AFK|92189F866|US92189F8665|VanEck ETF Trust|VanEck Africa Index ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||VanEck Vectors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN1-1|TXN9-8|TXN4-8|TXN2-5|3050000|||Yearly|||||2008-07-14||AFK.NV|AFK.SO|AFK.EU|AFK.TC|AFK.IV| | | | | | | | | |1x|The Market Vectors Africa Index ETF (AFK) seeks to replicate as closely as possible, before fees and expenses, the price and yield performance of the Dow Jones Africa Titans 50 Index(DJAFKT). DJAFKT is a rules-based, modified capitalization-weighted, float-adjusted index comprised of publicly traded companies that are headquartered in Africa or that generate the majority of their revenues in Africa. The Fund normally invests at least 80% of its total assets in securities that comprise the Funds benchmark index. The Index is comprised of African companies. The Index includes local listings of companies that are incorporated in Africa and offshore listings of companies incorporated outside of Africa that generate at least 50% of their revenues (or, where applicable, have at least 50% of their assets) in Africa. The weighting of each country in the Index is determined by the size of its gross domestic product (GDP) relative to the GDPs of the other countries represented in the Index.|N|0|N|N|406C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||0.0|13.71|0.0|0.0|0.0|13.99|13.99|14.155|0.0|0.0|13.95|0.0|13.99|13.94|0.0|14.03|0.0|13.9218|0.0|13.9218|13.01|14.98|0.0|0.0|13.88|13.99|13.01|14.98|0.0|0.0|13.88|13.99|17.67|12.9611|10716|2639913 4643|AFL|AFL|001055102|US0010551028|AFLAC Incorporated|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-4|TXN2-2|TXN4-1|TXN3-6|TXN3-6|584380000|||Quarterly|||||1974-06-14||||||| | | | | | | | | |||N|5|Y|Y|410B|USA|US|||30|3030|303010|30301010|Financials|Insurance|Life Insurance|Life Insurance|N||N||||||Y|0|Y||Y|1|||82.71|82.72|0.0|82.76|82.71|82.72|82.71|82.725|0.0|0.0|82.75|82.7|82.71|82.71|82.765|82.73|82.755|82.72|82.71|82.73|82.72|82.73|78.02|88.47|82.69|82.77|82.64|82.81|82.66|82.82|82.72|82.73|83.45|60.2|2217251|563688656 65162|AFLG|AFLG|33740F821|US33740F8216|First Trust Exchange-Traded Fund VIII|First Trust Active Factor Large Cap ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||First Trust|Latour Trading, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-2|TXN1-5|TXN4-8|TXN3-7|TXN3-2|200002|||Quarterly|||||2019-12-04||AFLG.NV|AFLG.SO|AFLG.EU|AFLG.TC|AFLG.IV| | | | | | | | | ||The First Trust Active Factor Large Cap ETF seeks to provide capital appreciation. Under normal market conditions, the Fund will invest at least 80% of its net assets (including investment borrowings) in equity securities issued by large capitalization companies. The Fund will principally invest in the common stocks of U.S. companies that are listed and traded on U.S. national securities exchanges. To be eligible for inclusion in the Funds portfolio, a security must be one of the 600 largest U.S. companies by market capitalization at the time of purchase.|N|0|N|N|412C|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|26.38|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|26.4197|0.0|26.4197|26.32|26.51|0.0|0.0|26.35|26.48|26.0|26.67|0.0|0.0|26.35|26.48|26.5099|22.82|203|93859 65161|AFMC|AFMC|33740F813|US33740F8133|First Trust Exchange-Traded Fund VIII|First Trust Active Factor Mid Cap ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||First Trust|Latour Trading, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-1|TXN2-4|TXN5-8|TXN2-3|TXN3-2|200002|||Quarterly|||||2019-12-04||AFMC.NV|AFMC.SO|AFMC.EU|AFMC.TC|AFMC.IV| | | | | | | | | ||The First Trust Active Factor Mid Cap ETF seeks to provide capital appreciation. Under normal market conditions, the Fund will invest at least 80% of its net assets (including investment borrowings) in equity securities issued by mid capitalization companies. The Fund will principally invest in the common stocks of U.S. companies that are listed and traded on U.S. national securities exchanges. To be eligible for inclusion in the Funds portfolio, a security must be among the 400 to 1,200 largest U.S. companies by market capitalization at the time of purchase.|N|0|N|N|412C|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|24.589|22.44|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|25.3894|0.0|25.3894|25.3|25.48|0.0|0.0|25.32|25.45|12.61|37.8|0.0|0.0|25.32|25.45|25.85|21.84|41|598220 44903|AFMD|AFMD|N01045108|NL0010872420|Affimed NV|COM EUR.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-2|TXN5-8|TXN14-4|TXN6-8|TXN5-8|149340000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||DEU||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||0.459|0.4598|0.0|0.0|0.459|0.459|0.4599|0.4519|0.0|0.0|0.4537|0.452|0.4544|0.455|0.0|0.45|0.4402|0.4599|0.0|0.4544|0.4368|0.4754|0.3616|0.5401|0.443|0.463|0.4275|0.4829|0.0|0.0|0.45|0.4599|2.15|0.2235|378318|206038059 69058|AFRI|AFRI|X3R81D102|GI000A3DNK69|Forafric Agro Holdings Limited|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN6-2|TXN14-8|TXN6-7|TXN5-8|26880000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||GIB||||45|4510|451020|45102030|Consumer Staples |Food, Beverage and Tobacco |Food Producers|Fruit and Grain Processing|N||N||||||N|0|Y||||||0.0|11.12|0.0|0.0|11.16|11.17|11.175|0.0|0.0|0.0|0.0|0.0|11.17|0.0|0.0|11.12|0.0|11.12|0.0|11.17|10.6|11.65|0.0|0.0|11.06|11.25|0.0|0.0|0.0|0.0|11.06|11.25|12.12|9.35|5356|3887366 69059|AFRIW|AFRIW|X3R81D110|GI000A3DNK77|Forafric Agro Holdings Limited|WT EXP 060927||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN6-1|TXN14-6|TXN6-5|TXN5-7|26880000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||GIB||||||||||||N||N||||||N|0|Y||||||0.0|1.47|0.0|0.0|0.0|1.46|1.44|0.0|0.0|0.0|0.0|0.0|1.47|0.0|0.0|0.0|0.0|1.47|0.0|1.47|0.0|0.0|0.0|0.0|1.36|1.47|0.0|0.0|0.0|0.0|1.45|1.47|1.48|0.301|5081|3487882 68748|AFRM|AFRM|00827B106|US00827B1061|Affirm Holdings Inc|COM USD.00001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN5-5|TXN11-4|TXN6-2|TXN6-7|242120000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||USA||||50|5020|502050|50205015|Industrials|Industrial Goods and Services|Industrial Support Services|Transaction Processing Services|N||N||||||Y|0|Y||||||38.555|38.55|0.0|38.6|38.56|38.55|38.553|38.55|0.0|0.0|38.555|38.59|38.56|38.56|38.55|38.55|38.575|38.553|38.56|38.56|38.52|38.56|36.46|41.01|38.54|38.56|38.48|38.65|38.47|38.66|38.55|38.56|39.11|8.62|27938302|3873067228 65160|AFSM|AFSM|33740F797|US33740F7978|First Trust Exchange-Traded Fund VIII|First Trust Active Factor Small Cap ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||First Trust|Latour Trading, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-4|TXN2-7|TXN1-5|TXN2-7|TXN3-2|150002|||Quarterly|||||2019-12-04||AFSM.NV|AFSM.SO|AFSM.EU|AFSM.TC|AFSM.IV| | | | | | | | | ||The First Trust Active Factor Small Cap ETF seeks to provide capital appreciation. Under normal market conditions, the Fund will invest at least 80% of its net assets (including investment borrowings) in equity securities issued by small capitalization companies. The Fund will principally invest in the common stocks of U.S. companies that are listed and traded on U.S. national securities exchanges. To be eligible for inclusion in the Funds portfolio, a security must be among the 800 to 2,000 largest U.S. companies by market capitalization at the time of purchase.|N|0|N|N|412C|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|23.0574|24.6588|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|25.5721|0.0|25.5721|25.47|25.67|25.45|25.57|25.5|25.63|12.68|38.01|0.0|0.0|25.5|25.63|26.17|22.116|4|318245 4646|AFT|AFT|037636107|US0376361079|Apollo Senior Floating Rate Fund Inc.|Common Stock, $0.001 par value per share|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN1-7|TXN9-8|TXN2-5|TXN2-3|15570000|||Monthly|||||2011-02-24||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||12.95|12.94|0.0|12.93|12.93|12.93|12.93|12.96|0.0|0.0|12.94|12.97|12.945|12.94|12.95|12.95|12.94|12.93|13.0|12.95|12.93|12.96|10.09|16.01|12.17|13.8|12.9|16.01|12.91|12.97|12.93|12.96|13.75|12.15|413171|14983049 49494|AFTY|AFTY|69374H626|US69374H6264|Pacer Funds Trust|Pacer CSOP FTSE China A50 ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Pacer Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-8|TXN4-1|TXN2-8|TXN4-2|TXN3-1|305882|||Yearly|||||2020-01-23||AFTY.NV|AFTY.SO|AFTY.EU|AFTY.TC|AFTY.IV| | | | | | | | | |1x|The Fund seeks long-term capital appreciation by tracking the performance of the FTSE China A50 Net Total Return Index (the Index). The Index is comprised of A-Shares issued by the 50 largest companies in the China A-Shares market. The Index is a net total return index. This means that the performance of the Index assumes that dividends paid by the Index constituents, net of any withholding taxes, are reinvested in additional shares of such Index constituents.|N|0|N|N|416A|HKG|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|13.8599|0.0|0.0|0.0|0.0|0.0|0.0|14.361|0.0|0.0|0.0|13.8668|0.0|13.8668|13.84|13.89|0.0|0.0|13.84|13.89|0.0|0.0|0.0|0.0|13.84|13.89|17.9765|13.7113|133|225022 64102|AFYA|AFYA|G01125106|KYG011251066|Afya Limited|COM CL A USD0.00005||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN6-7|TXN11-2|TXN6-5|TXN5-3|47920000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||BRA||||40|4020|402010|40201010|Consumer Discretionary|Consumer Products and Services|Consumer Services |Education Services|N||N||||||N|0|Y||||||20.55|20.5|0.0|20.5|20.53|20.51|20.5|20.53|0.0|0.0|20.45|20.45|20.5|20.56|20.48|20.49|20.55|20.53|20.55|20.5|20.28|20.69|15.57|25.1|20.34|20.67|20.46|25.1|20.45|20.56|20.5|20.56|21.18|9.66|106723|52206287 32285|AG|AG|32076V103|CA32076V1031|First Majestic Silver Corp.|Common Shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|6|O|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-3|TXN1-4|TXN4-6|TXN3-6|TXN3-8|286940000|||Quarterly|||||2010-12-15||||||| | | | | | | | | |||N|0|N|Y|130C|CAN|CA|||55|5510|551030|55103030|Basic Materials|Basic Resources|Precious Metals and Mining|Platinum and Precious Metals|N||N||||||Y|0|Y||Y|2|||6.09|6.08|0.0|0.0|6.08|6.08|6.08|6.095|0.0|0.0|6.08|6.09|6.085|6.09|6.095|6.09|6.1|6.08|6.08|6.09|6.08|6.09|4.74|7.48|6.06|6.11|6.05|6.12|6.07|6.09|6.07|6.09|9.52|4.38|8651987|1328665255 59936|AGAE|AGAE|019170109|US0191701095|Allied Gaming & Entertainment Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-4|TXN6-7|TXN13-6|TXN5-8|TXN5-8|36840000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4030|403010|40301010|Consumer Discretionary|Media|Media|Entertainment|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.91|0.9001|0.0|0.0|0.0|0.92|0.9001|0.92|0.0|0.0|0.0|0.9097|0.92|0.0|0.92|0.855|0.966|0.728|1.09|0.8527|0.9499|0.728|1.09|0.0|0.0|0.9135|0.92|1.49|0.76|50868|11497284 64046|AGBA|AGBA|G01212102|VGG012121023|AGBA Group Holding Limited|ORD||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-2|TXN5-1|TXN13-4|TXN6-2|TXN5-8|67560000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||HKG||||30|3020|302020|30202000|Financials|Financial Services |Investment Banking and Brokerage Services |Diversified Financial Services |N||N||||||N|0|Y||||||0.0|0.46|0.0|0.0|0.4593|0.46|0.4593|0.4599|0.0|0.0|0.4521|0.0|0.46|0.0|0.0|0.0|0.0|0.46|0.0|0.46|0.3643|0.552|0.3643|0.552|0.4521|0.4704|0.3643|0.552|0.0|0.0|0.4593|0.4671|6.3|0.4112|30160|126190251 64048|AGBAW|AGBAW|G01212110|VGG012121106|AGBA Group Holding Limited|WT EXP 031527||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-5|TXN5-5|TXN11-5|TXN6-7|TXN5-5|67560000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||HKG||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|1.9|0.0|0.0|0.0|0.0|0.0125|0.0195|0.12|0.009|0|2452142 4647|AGCO|AGCO|001084102|US0010841023|AGCO Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|P|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-6|TXN2-8|TXN4-7|TXN1-5|TXN4-5|74880000|||Quarterly|||||1994-04-06||||||| | | | | | | | | |||N|0|Y|Y|126A|USA|US|||50|5020|502040|50204010|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Agricultural|N||N||||||Y|0|Y||Y|1|||116.96|117.14|0.0|117.12|117.07|117.095|117.18|117.095|0.0|0.0|117.14|117.14|117.17|116.6|117.14|117.15|116.67|117.15|117.15|117.15|117.12|117.15|108.68|124.8|117.04|117.71|116.98|123.46|116.93|117.22|117.12|117.15|145.53|109.81|612033|147420785 16904|AGD|AGD|00302M106|US00302M1062|abrdn Global Dynamic Dividend Fund|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN2-1|TXN4-8|TXN3-1|TXN3-1|12550000|||Monthly|||||2014-01-21||||||| | | | | | | | | |||N|0|N|N|406C|GBR|US|||||||||||N||N||||||N|0|Y||Y|2|||9.13|9.13|0.0|0.0|9.13|9.15|9.145|9.145|0.0|0.0|9.14|9.14|9.15|0.0|0.0|9.15|9.13|9.15|0.0|9.15|9.14|9.15|7.13|11.29|8.54|9.8|9.11|9.18|0.0|0.0|9.14|9.15|10.61|8.1974|94618|15008997 62490|AGE|AGE|00848H108|US00848H1086|AgeX Therapeutics Inc.|Common Stock|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||J. Streicher & Co. L.L.C.|JSCO|3856|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN10-1|TXN2-7|TXN7-8|TXN2-5|TXN1-8|37950000|||Monthly|||||2018-11-29||||||| | | | | | | | | |||N|0|N|N|140A|USA|US|||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||Y|2|||0.3521|0.352|0.0|0.0|0.352|0.353|0.368|0.352|0.0|0.0|0.3522|0.3521|0.368|0.4061|0.0|0.0|0.368|0.368|0.3418|0.368|0.3344|0.3868|0.3521|0.368|0.3521|0.375|0.2952|0.4212|0.347|0.378|0.3521|0.368|1.0|0.3321|115589|18432916 129|AGEN|AGEN|00847G705|US00847G7051|Agenus Inc/DE|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-6|TXN5-7|TXN13-4|TXN6-4|TXN5-2|381500000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||0.8301|0.8296|0.0|0.8333|0.8333|0.8296|0.8296|0.832|0.0|0.0|0.8319|0.83|0.833|0.834|0.8318|0.8297|0.8322|0.8315|0.8304|0.833|0.813|0.8528|0.6656|0.996|0.8166|0.8473|0.8041|0.8522|0.8296|0.8606|0.8296|0.8315|3.0696|0.6134|9909738|1237670901 68928|AGFY|AGFY|00853E305|US00853E3053|Agrify Corp|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN6-8|TXN11-4|TXN5-8|TXN5-7|1650000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502040|50204010|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Agricultural|N||N||||||N|0|Y||||||1.46|1.46|0.0|0.0|1.46|1.47|1.4741|0.0|0.0|0.0|0.0|0.0|1.47|0.0|0.0|0.0|0.0|1.4741|1.46|1.4741|1.19|1.82|0.0|0.0|1.43|1.51|1.19|1.81|0.0|0.0|1.46|1.48|3.65|0.14|14076|362246684 4651|AGG|AGG|464287226|US4642872265|iShares Trust|iShares Core U.S. Aggregate Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-6|TXN1-5|TXN7-2|TXN2-3|TXN4-3|996200000|||Monthly|||||2007-08-31||AGG.NV|AGG.SO|AGG.EU|AGG.TC|AGG.IV| | | | | | | | | |1x|The iShares Core Total U.S. Bond Market ETF (the Fund) seeks to track the investment results of an index composed of the total U.S. investment-grade bond market. The Underlying Index includes investment-grade U.S. Treasury bonds, government-related bonds, corporate bonds, mortgage-backed pass-through securities, commercial mortgage-backed securities and asset-backed securities that are publicly offered for sale in the United States. The Underlying Index may include large-, mid- or small-capitalization companies, and components primarily include mortgage-backed pass-through and treasury securities, and industrials companies. The components of the Underlying Index, and the degree to which these components represent certain industries, may change over time. The securities in the Underlying Index have $250 million or more of outstanding face value and have at least one year remaining to maturity, with the exception of amortizing securities such as asset-backed and mortgage-backed securities, which have lower thresholds as defined by the index provider. In addition, the securities in the Underlying Index must be denominated in U.S. dollars and must be fixed-rate and non-convertible. Certain types of securities, such as state and local government series bonds, structured notes with embedded swaps or other special features, private placements, floating-rate securities and Eurobonds are excluded from the Underlying Index. TheUnderlying Index is market capitalization-weighted and the securities in the Underlying Index are updated on the last business day of each month.|N|0|N|N|412C|USA|US|FIXED_INCOME|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||96.47|96.465|0.0|96.38|96.46|96.465|96.475|96.46|0.0|0.0|96.46|96.46|96.47|96.46|96.46|96.46|96.475|96.46|96.46|96.46|91.69|101.33|90.38|102.56|96.48|96.49|91.69|101.33|94.54|98.46|96.48|96.49|101.15|91.5819|9440199|1804092803 73483|AGGH|AGGH|82889N723|US82889N7232|Simplify Exchange Traded Funds|Simplify Aggregate Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Simplify|Wolverine Trading, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN3-4|TXN7-8|TXN1-5|TXN2-1|6275001|||Monthly|||||2022-02-15||AGGH.NV|AGGH.SO|AGGH.EU|AGGH.TC| | | | | | | | | | |1x|The Simplify Aggregate Bond PLUS Credit Hedge ETF seeks to maximize total return by investing primarily in investment grade bonds while mitigating credit risk by applying a credit hedging strategy.|N|0|N|N|416A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||21.51|21.52|0.0|0.0|21.48|21.47|21.4707|21.495|0.0|0.0|21.5|0.0|21.5|0.0|0.0|0.0|0.0|21.57|0.0|21.57|0.0|0.0|0.0|0.0|21.47|21.53|0.0|0.0|0.0|0.0|21.47|21.53|24.98|20.6301|24856|8478280 50269|AGGY|AGGY|97717X511|US97717X5115|WisdomTree Trust|WisdomTree Yield Enhanced U.S. Aggregate Bond Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||WisdomTree|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-5|TXN4-5|TXN6-8|TXN3-4|TXN2-8|20700000|||Monthly|||||2015-07-09||AGGY.NV|AGGY.SO|AGGY.EU|AGGY.TC|AGGY.IV| | | | | | | | | |1x|The WisdomTree Barclays U.S. Aggregate Bond Enhanced Yield Fund (the Fund) seeks to track the price and yield performance, before fees and expenses, of the Barclays U.S. Aggregate Enhanced Yield Index (the Index).|N|0|N|N|406C|USA|US|FIXED_INCOME|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||42.77|42.83|0.0|0.0|42.81|42.825|42.83|42.805|0.0|0.0|42.785|42.8|42.835|42.78|42.82|42.8|0.0|42.83|0.0|42.83|40.44|45.23|39.9|45.76|42.82|42.87|39.9|45.76|0.0|0.0|42.82|42.87|44.58|40.6213|117922|39350876 37346|AGI|AGI|011532108|CA0115321089|Alamos Gold Inc.|Class A Common Shares, Without Par Value|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|11|Q|Virtu Americas LLC|NITC|295|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-7|TXN4-2|TXN4-6|TXN4-7|TXN1-7|396370000|||Quarterly|||||2015-07-06||||||| | | | | | | | | |||N|0|N|Y|130C|CAN|CA|||55|5510|551030|55103025|Basic Materials|Basic Resources|Precious Metals and Mining|Gold Mining|N||N||||||Y|0|Y||Y|2|||14.52|14.52|0.0|14.4|14.52|14.52|14.52|14.52|0.0|0.0|14.525|14.55|14.52|14.545|14.55|14.53|14.54|14.52|14.545|14.53|14.52|14.53|11.29|17.55|14.51|14.54|14.5|14.56|14.5|14.53|14.52|14.53|14.95|9.435|4215452|670410541 74205|AGIH|AGIH|46431W523|US46431W5233|iShares U.S. ETF Trust|iShares Inflation Hedged U.S. Aggregate Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-8|TXN3-8|TXN3-8|TXN4-8|TXN3-2|100000|||Monthly|||||2022-06-24||AGIH.NV|AGIH.SO|AGIH.EU|AGIH.TC|AGIH.IV| | | | | | | | | |1x|The iShares Inflation Hedged U.S. Aggregate Bond ETF (the Fund) seeks to track the investment results of an index designed to mitigate the inflation risk of a portfolio composed of U.S. dollar-denominated, investment-grade bonds.|N|0|N|N|416A|USA|US|FIXED_INCOME|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|24.0818|0.0|24.0818|0.0|0.0|0.0|0.0|24.05|24.13|0.0|0.0|0.0|0.0|24.02|24.13|24.9747|23.28|0|8567 42388|AGIO|AGIO|00847X104|US00847X1046|Agios Pharmaceuticals Inc|COM USD0.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN6-6|TXN14-5|TXN5-8|TXN6-6|55890000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||23.06|23.03|0.0|23.02|23.07|23.06|23.06|23.07|0.0|0.0|23.06|23.02|23.07|23.03|23.05|23.05|22.66|23.06|22.76|23.07|23.02|23.24|17.85|28.17|23.01|23.11|18.07|23.11|0.0|23.11|23.03|23.07|31.87|19.795|301621|112314496 70222|AGL|AGL|00857U107|US00857U1079|agilon health, inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|T|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-3|TXN3-7|TXN3-1|TXN2-3|TXN4-6|406040000|||NotApplicable|||||2021-04-15||||||| | | | | | | | | |||N|0|Y|Y|122B|USA|US|||20|2010|201010|20101025|Health Care |Health Care |Health Care Providers|Health Care Services|N||N||||||Y|0|Y||Y|1|||11.34|11.34|0.0|11.36|11.33|11.33|11.34|11.335|0.0|0.0|11.33|11.33|11.34|11.34|11.27|11.33|11.33|11.34|11.33|11.33|11.33|11.34|10.58|12.01|11.32|11.35|11.29|11.37|11.29|11.34|11.33|11.34|29.44|10.41|2910564|673825597 4654|AGM|AGM|313148306|US3131483063|Federal Agricultural Mortgage Corporation|Class C Non-Voting Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN4-1|TXN7-8|TXN4-4|TXN3-5|9310000|||Quarterly|||||1999-06-18||||||| | | | | | | | | |||N|0|N|Y|408A|USA|US|||30|3020|302010|30201025|Financials|Financial Services |Finance and Credit Services|Mortgage Finance|N||N||||||Y|0|Y||Y|2|||170.8|170.76|0.0|168.85|168.65|171.02|170.75|170.88|0.0|0.0|168.69|0.0|170.79|168.65|170.88|171.2|0.0|170.76|167.54|171.2|170.77|171.2|129.76|208.26|170.21|172.22|129.76|171.4|170.26|171.45|170.77|171.2|180.16|111.28|46041|13294108 44540|AGM PRC|AGMpC|313148876|US3131488765|Federal Agricultural Mortgage Corporation|6.000% Fixed-to-Floating Rate Non-Cumulative Preferred Stock, Series C|Operating company|B|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN4-3|TXN4-8|TXN1-1|TXN2-2|3000000|||Quarterly|||||2014-06-27||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||30|3020|302010|30201025|Financials|Financial Services |Finance and Credit Services|Mortgage Finance|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|25.1441|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|25.1441|0.0|25.1441|0.0|25.1441|25.14|25.55|25.18|25.55|23.47|27.24|0.0|0.0|0.0|0.0|25.14|25.55|33.0|24.4|310|417538 63644|AGM PRD|AGMpD|313148868|US3131488682|Federal Agricultural Mortgage Corporation|5.700% Non-Cumulative Preferred Stock, Series D|Operating company|B|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN3-1|TXN2-8|TXN3-7|TXN3-1|4000000|||Quarterly|||||2019-05-17||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||22.8|23.21|0.0|0.0|0.0|23.02|22.6917|23.06|0.0|0.0|23.0|0.0|22.8|0.0|0.0|22.98|0.0|22.98|0.0|22.98|22.86|23.1|22.69|23.1|22.35|23.56|0.0|0.0|0.0|0.0|22.86|23.1|25.7|20.26|5608|1058889 66542|AGM PRE|AGMpE|313148850|US3131488500|Federal Agricultural Mortgage Corporation|5.750% Non-Cumulative Preferred Stock, Series E|Operating company|B|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN1-1|TXN8-8|TXN2-8|TXN1-4|3180000|||Quarterly|||||2020-05-27||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||22.6|0.0|0.0|0.0|0.0|23.0|22.93|22.96|0.0|0.0|23.0|0.0|0.0|0.0|0.0|23.0|0.0|23.0|0.0|23.0|23.03|23.41|0.0|0.0|21.29|24.99|0.0|0.0|0.0|0.0|23.03|23.41|24.97|20.31|3170|675427 67364|AGM PRF|AGMpF|313148843|US3131488435|Federal Agricultural Mortgage Corporation|5.250% Non-Cumulative Preferred Stock, Series F|Operating company|B|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN1-2|TXN1-5|TXN4-2|TXN1-7|4800000|||Quarterly|||||2020-08-26||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|21.25|0.0|0.0|0.0|0.0|21.67|21.75|0.0|0.0|0.0|21.5|0.0|0.0|0.0|21.67|0.0|21.67|0.0|21.67|21.69|22.99|0.0|0.0|21.7|23.24|0.0|0.0|0.0|0.0|21.69|22.99|23.99|17.82|5016|2253640 70773|AGM PRG|AGMpG|313148835|US3131488351|Federal Agricultural Mortgage Corporation|4.875% Non-Cumulative Preferred Stock, Series G|Operating company|B|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN3-5|TXN2-8|TXN4-2|TXN4-3|5000000|||Quarterly|||||2021-06-03||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||19.23|19.24|0.0|0.0|0.0|19.25|19.235|19.23|0.0|0.0|19.25|19.25|19.23|0.0|0.0|19.32|19.25|19.32|0.0|19.32|19.2|19.64|19.12|19.2|18.79|20.03|0.0|0.0|0.0|0.0|18.79|19.89|21.356|17.16|7196|1950924 4655|AGM A|AGM.A|313148108|US3131481083|Federal Agricultural Mortgage Corporation|Class A Voting Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN2-3|TXN3-8|TXN2-6|TXN2-8|1030000|||Quarterly|||||1999-06-18||||||| | | | | | | | | |||N|0|N|Y|408A|USA|US|||30|3020|302010|30201025|Financials|Financial Services |Finance and Credit Services|Mortgage Finance|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|130.28|0.0|0.0|0.0|0.0|0.0|135.51|0.0|0.0|128.32|0.0|0.0|0.0|128.32|132.98|140.9|0.0|0.0|128.89|144.13|0.0|0.0|0.0|0.0|128.89|144.13|148.81|92.32|16|60236 60899|AGMH|AGMH|G0132V105|VGG0132V1058|AGM Group Holdings Inc-REDH|COM Cl A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN6-5|TXN13-7|TXN5-1|TXN6-8|24260000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||HKG||||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||N|0|Y||||||0.0|1.6|0.0|0.0|0.0|1.56|1.558|0.0|0.0|0.0|0.0|0.0|1.59|0.0|0.0|0.0|0.0|1.52|0.0|1.52|0.0|0.0|0.0|0.0|1.51|1.7|0.0|0.0|0.0|0.0|1.51|1.59|2.46|1.498|4098|1385859 27931|AGNC|AGNC|00123Q104|US00123Q1040|AGNC Investment Corp|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN6-7|TXN10-6|TXN6-1|TXN6-7|671110000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||USA||||30|3020|302030|30203000|Financials|Financial Services |Mortgage Real Estate Investment Trusts|Mortgage REITs: Diversified|N||N||||||Y|0|Y||||||9.07|9.06|0.0|9.07|9.07|9.065|9.06|9.065|0.0|0.0|9.065|9.07|9.08|9.06|9.05|9.065|9.07|9.06|9.06|9.08|9.06|9.08|8.44|9.58|9.06|9.08|9.03|9.1|9.06|9.1|9.06|9.07|12.25|6.81|13722826|2891344557 74623|AGNCL|AGNCL|00123Q856|US00123Q8565|AGNC Investment Corp|7.75 SER G DP PFD||U|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN5-4|TXN14-4|TXN5-3|TXN6-1|6000000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|21.57|0.0|0.0|21.65|21.6|21.5863|21.6|0.0|0.0|21.6|0.0|21.6|21.61|0.0|21.62|21.62|21.57|0.0|21.57|0.0|0.0|0.0|0.0|21.07|22.05|0.0|0.0|0.0|0.0|21.57|21.65|23.7499|19.7801|37563|4679445 63126|AGNCM|AGNCM|00123Q609|US00123Q6098|AGNC Investment Corp|PFD Ser D||B|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN5-3|TXN14-1|TXN5-4|TXN6-4|9400000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||23.69|23.65|0.0|0.0|23.65|23.65|23.69|23.67|0.0|0.0|0.0|0.0|23.7|0.0|0.0|0.0|23.7|23.7|0.0|23.7|0.0|0.0|0.0|0.0|23.2|24.12|0.0|0.0|0.0|0.0|23.65|23.7|24.2|19.5|58633|5279304 59441|AGNCN|AGNCN|00123Q500|US00123Q5009|AGNC Investment Corp|PFD SrC 1/1000||B|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN5-2|TXN11-3|TXN5-4|TXN6-5|13000000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||25.49|25.47|0.0|0.0|25.37|25.33|25.32|25.49|0.0|0.0|25.5|25.5|25.45|25.49|0.0|25.49|25.34|25.47|25.46|25.45|23.92|26.78|0.0|0.0|24.87|25.98|0.0|0.0|0.0|0.0|25.45|25.47|26.18|23.52|62409|8328553 64779|AGNCO|AGNCO|00123Q807|US00123Q8078|AGNC Investment Corp|PFD Ser E||U|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN6-7|TXN11-2|TXN5-4|TXN5-4|16100000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||23.38|23.29|0.0|0.0|23.4|23.39|23.38|0.0|0.0|0.0|23.28|0.0|23.39|0.0|0.0|23.32|0.0|23.38|0.0|23.39|21.88|24.68|17.86|28.78|22.89|23.82|17.86|28.78|0.0|0.0|23.38|23.4|24.0|19.89|15616|8655158 65564|AGNCP|AGNCP|00123Q872|US00123Q8722|AGNC Investment Corp|6.125 DP RP SR F||B|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN6-3|TXN14-4|TXN6-5|TXN6-2|23000000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||21.63|21.73|0.0|0.0|21.59|21.59|21.58|21.575|0.0|0.0|21.57|0.0|21.65|0.0|0.0|21.72|21.57|21.58|0.0|21.65|20.51|22.95|16.3|26.76|21.11|22.16|16.3|26.76|0.0|0.0|21.54|21.73|22.34|18.31|23215|13526001 53043|AGNG|AGNG|37954Y772|US37954Y7720|Global X Aging Population ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN6-6|TXN14-7|TXN5-6|TXN5-5|1990000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|26.94|0.0|0.0|0.0|0.0|0.0|27.03|0.0|0.0|0.0|0.0|26.98|0.0|27.03|0.0|0.0|0.0|0.0|26.78|27.18|0.0|0.0|0.0|0.0|26.95|27.03|28.875|24.41|1893|2182047 4657|AGO|AGO|G0585R106|BMG0585R1060|Assured Guaranty Ltd.|Common Shares|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|I|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-7|TXN1-8|TXN8-8|TXN2-6|TXN1-6|57260000|||Quarterly|||||2004-04-23||||||| | | | | | | | | |||N|0|Y|Y|410B|BMU|BM|||30|3030|303020|30302025|Financials|Insurance|Non-life Insurance|Property and Casualty Insurance|N||N||||||Y|0|Y||Y|1|||68.64|68.66|0.0|68.7|68.66|68.65|68.64|68.61|0.0|0.0|68.59|68.44|68.61|68.53|68.62|68.6|68.42|68.61|68.67|68.6|68.62|68.63|63.95|72.85|68.45|68.77|68.51|68.69|68.51|68.69|68.62|68.63|68.87|45.21|432162|58272832 70535|AGOX|AGOX|85521B742|US85521B7423|Starboard Investment Trust|Adaptive Alpha Opportunities ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Nottingham|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-3|TXN3-6|TXN2-8|TXN1-6|TXN2-6|9813738|||Yearly|||||2021-05-10||AGOX.NV|AGOX.SO|AGOX.EU|AGOX.TC| | | | | | | | | | |1x|The Adaptive Growth Opportunities ETF seeks capital appreciation. The Fund is a momentum driven global go anywhere, strategy, unconstrained by style box. The fund utilizes Bluestones proprietary process that identifies securities offering exceptional up/down capture benefits over more recent markets|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||23.869|23.87|0.0|0.0|23.88|23.87|23.81|23.78|0.0|0.0|23.96|0.0|23.84|23.88|0.0|0.0|0.0|23.8901|0.0|23.8901|0.0|0.0|0.0|0.0|23.86|23.92|0.0|0.0|0.0|0.0|23.86|25.51|24.99|20.11|359118|7232823 29621|AGQ|AGQ|74347W353|US74347W3530|ProShares Trust II|ProShares Ultra Silver|Trust|ETV|N|N|P|Y|Y|Y|Y|Y||||||||ProShares Advisors |Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-7|TXN2-4|TXN5-4|TXN1-6|TXN4-1|13746526|||NotApplicable|||||2008-12-03|2099-05-31|AGQ.NV|AGQ.SO|AGQ.EU|AGQ.TC|AGQ.IV| | | | | | | | | |2x|ProShares Ultra Silver seeks daily investment results, before fees and expenses, that correspond to twice (200%) the daily performance of silver bullion as measured by the U.S. Dollar fixing price for delivery in London. ProShares Ultra Silver is not an investment company registered under the Investment Company Act of 1940. Please read the prospectus carefully before investing. This ETF seeks a return of 200% of the return of a benchmark (target) for a single day. Due to the compounding of daily returns, returns over periods other than one day will likely differ in amount and possibly direction from the target return for the same period. Investors should monitor their ProShares holdings consistent with their strategies, as frequent as daily. For more on correlation, leverage and other risks, please read the prospectus. The London Silver Price Fixing is the procedure by which the price of silver is set on the London market by the three members of the London Silver Pool. It is designed to fix a price for settling contracts between members of the London bullion market. Silver is priced in U.S. cents per troy ounce. The London Bullion Market Associations (LMBA) Silver Pool sets or fixes the price of silver once a day, at 12:00 GMT . The ProShares Silver ETFs will be benchmarked to the 12:00 GMT, or the 7 am ET, price. Daily price quotes can be viewed at the London Bullion Market Association.|N|0|N|N|416A|USA|US|COMMODITIES_AND_FUTURES|LEVERAGED|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||29.31|29.28|0.0|29.45|29.28|29.28|29.27|29.34|0.0|0.0|29.28|29.31|29.29|29.291|29.35|29.31|29.3|29.3|29.33|29.3|29.24|29.32|29.24|29.32|29.28|29.3|29.24|29.32|29.22|29.35|29.28|29.3|36.3|21.3|1801256|189057478 76666|AGQI|AGQI|33740F383|US33740F3837|First Trust Exchange-Traded Fund VIII|First Trust Active Global Quality Income ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y|||||||||Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-3|TXN2-4|TXN3-8|TXN2-3|TXN4-4|8381908|||Quarterly|||||2023-11-21||||||| | | | | | | | | |||N|0|N|N|412C|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|12.74|0.0|0.0|0.0|12.78|12.78|12.75|0.0|0.0|12.74|0.0|12.78|0.0|0.0|0.0|0.0|12.78|0.0|12.78|12.75|12.8|12.74|12.88|12.77|12.8|12.73|12.89|12.74|12.89|12.77|12.8|12.8499|12.54|62933|10771882 52175|AGR|AGR|05351W103|US05351W1036|Avangrid, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-7|TXN3-1|TXN8-8|TXN4-8|TXN2-4|386770000|||Quarterly|||||2015-12-17||||||| | | | | | | | | |||N|0|Y|Y|302A|USA|US|||65|6510|651010|65101015|Utilities|Utilities|Electricity|Conventional Electricity|N||N||||||Y|0|Y||Y|1|||31.89|31.865|0.0|31.86|31.87|31.865|31.86|31.865|0.0|0.0|31.86|31.9|31.855|31.96|31.89|31.86|31.86|31.85|31.88|31.86|31.85|31.87|29.96|34.13|31.84|31.92|31.82|31.9|31.82|31.87|31.85|31.87|44.77|27.46|971657|181574209 74204|AGRH|AGRH|46431W531|US46431W5316|iShares U.S. ETF Trust|iShares Interest Rate Hedged U.S. Aggregate Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-3|TXN3-1|TXN9-8|TXN4-7|TXN4-8|200000|||Monthly|||||2022-06-24||AGRH.NV|AGRH.SO|AGRH.EU|AGRH.TC|AGRH.IV| | | | | | | | | |1x|The iShares Interest Rate Hedged U.S. Aggregate Bond ETF (the Fund) seeks to track the investment results of an index designed to mitigate the interest rate risk of a portfolio composed of U.S. dollar-denominated, investment-grade bonds.|N|0|N|N|416A|USA|US|FIXED_INCOME|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|25.694432|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|25.6803|0.0|25.6803|0.0|0.0|0.0|0.0|25.65|25.73|0.0|0.0|0.0|0.0|25.65|25.72|25.805|25.3|1|182904 71086|AGRI|AGRI|C00948122|CAC009481226|AgriForce Growing Systems Ltd|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-2|TXN5-3|TXN11-2|TXN5-4|TXN6-7|1410000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CAN||||50|5020|502040|50204010|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Agricultural|N||N||||||N|0|Y|C|||||0.6692|0.663|0.0|0.0|0.66|0.6692|0.6725|0.6721|0.0|0.0|0.6692|0.6692|0.66|0.695|0.68|0.6799|0.675|0.6725|0.689|0.66|0.592|0.7956|0.5512|0.7956|0.666|0.7071|0.6381|0.7079|0.6325|0.7035|0.67|0.6725|3.68|0.075|1140015|900548683 71091|AGRIW|AGRIW|C00948114|CAC009481143|AgriForce Growing Systems Ltd|WT EXP 020124||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-7|TXN6-6|TXN11-7|TXN6-5|TXN6-3|53580000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CAN||||||||||||N||N||||||N|0|Y|C|||||0.0|0.0|0.0|0.0|0.0|0.0|0.003|0.0|0.0|0.0|0.003|0.0|0.006|0.0|0.0|0.0|0.0|0.0039|0.0|0.0039|0.0|0.0|0.0|0.0|0.0|0.38|0.0|0.0|0.0|0.0|0.0029|0.006|0.2998|0.0022|32297|1820932 36451|AGRO|AGRO|L00849106|LU0584671464|Adecoagro S.A.|Common Shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN4-6|TXN6-5|TXN4-3|TXN4-2|107640000|||BiAnnually|||||2011-01-28||||||| | | | | | | | | |||N|0|N|Y|118C|LUX|LU|||45|4510|451020|45102010|Consumer Staples |Food, Beverage and Tobacco |Food Producers|Farming, Fishing, Ranching and Plantations|N||N||||||Y|0|Y||Y|2|||11.05|11.045|0.0|11.65|11.04|11.055|11.041|11.05|0.0|0.0|11.05|11.05|11.045|11.15|11.16|11.03|11.16|11.03|11.05|11.03|11.03|11.04|8.58|13.68|11.02|11.13|11.01|11.08|11.03|11.09|11.03|11.04|11.98|6.95|542321|128763184 44301|AGRX|AGRX|00847L308|US00847L3087|Agile Therapeutics Inc|COM USD.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN5-8|TXN11-2|TXN6-3|TXN6-6|2510000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103015|Health Care |Health Care |Pharmaceuticals and Biotechnology|Pharmaceuticals |N||N||||||N|0|Y||||||0.0|2.47|0.0|0.0|2.46|2.42|2.54|2.46|0.0|0.0|2.32|2.33|2.47|2.51|0.0|2.56|2.38|2.47|0.0|2.47|2.27|2.6|1.8|3.02|2.3|2.56|2.27|2.6|0.0|0.0|2.39|2.47|9.13|0.175|203927|59886657 60576|AGS|AGS|72814N104|US72814N1046|PlayAGS, Inc.|Common Stock, par value $0.01 per share|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN4-3|TXN2-8|TXN1-8|TXN1-1|38710000|||NotApplicable|||||2018-01-26||||||| | | | | | | | | |||N|0|N|Y|104B|USA|US|||40|4050|405010|40501020|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Casinos and Gambling|N||N||||||Y|0|Y||Y|2|||7.69|7.7|0.0|0.0|7.7|7.705|7.7|7.71|0.0|0.0|7.71|7.72|7.7|7.69|7.73|7.71|7.78|7.71|7.69|7.71|7.7|7.71|6.02|9.57|7.65|7.76|7.67|7.74|7.66|7.73|7.7|7.71|8.3|4.3801|223823|105638020 70328|AGTI|AGTI|00848J104|US00848J1043|Agiliti, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|O|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN2-4|TXN9-8|TXN1-6|TXN3-2|134840000|||NotApplicable|||||2021-04-23||||||| | | | | | | | | |||N|0|N|Y|122B|USA|US|||20|2010|201010|20101030|Health Care |Health Care |Health Care Providers|Health Care: Misc.|N||N||||||Y|0|Y||Y|2|||8.4|8.4|0.0|8.44|8.42|8.44|8.435|8.4|0.0|0.0|8.41|8.44|8.4|8.45|8.36|8.41|8.51|8.41|8.435|8.41|8.41|8.43|6.53|10.32|8.36|8.51|6.53|8.45|8.37|8.43|8.41|8.43|20.17|5.07|252342|71108327 10320|AGX|AGX|04010E109|US04010E1091|Argan, Inc.|Common Stock, $0.15 par value|Operating company|A|N|N|N|Y|Y|Y|Y|Y|11|Q|Virtu Americas LLC|NITC|295|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN1-6|TXN7-8|TXN1-5|TXN2-5|13320000|||Quarterly|||||2013-10-02||||||| | | | | | | | | |||N|0|N|Y|110B|USA|US|||50|5010|501010|50101015|Industrials|Construction and Materials|Construction and Materials |Engineering and Contracting Services|N||N||||||N|0|Y||Y|2|||46.81|46.99|0.0|47.12|47.12|47.08|47.07|47.105|0.0|0.0|46.74|47.33|47.095|46.94|46.07|47.15|46.36|47.13|45.8|47.15|47.07|47.13|36.05|57.99|46.69|47.52|46.99|47.23|47.07|47.23|47.07|47.13|47.8|32.975|84457|16338880 135|AGYS|AGYS|00847J105|US00847J1051|Agilysys Inc|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN5-7|TXN14-4|TXN6-3|TXN5-1|25370000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||N|0|Y||||||0.0|87.93|0.0|87.9|0.0|88.04|87.84|87.97|0.0|0.0|88.19|88.0|87.87|0.0|0.0|87.83|0.0|87.84|87.94|87.87|86.75|88.84|66.87|107.61|87.37|88.12|87.5|88.33|87.87|88.4|87.87|88.08|91.61|60.59|137336|34907187 29285|AGZ|AGZ|464288166|US4642881662|iShares Trust|iShares Agency Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-4|TXN4-7|TXN7-8|TXN2-6|TXN4-5|6300000|||Monthly|||||2008-11-07||AGZ.NV|AGZ.SO|AGZ.EU|AGZ.TC|AGZ.IV| | | | | | | | | |1x|The iShares Barclays Agency Bond Fund seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the agency sector of the U.S. government bond market as defined by the Barclays Capital U.S. Agency Bond Index. THE UNDERLYING INDEX MEASURES THE PERFORMANCE OF THE AGENCY SECTOR OF THE U.S. GOVERNMENT BOND MARKET AND IS COMPRISED OF investment-GRADE NATIVE-CURRENCY U.S. DOLLAR-DENOMINATED DEBENTURES ISSUED BY GOVERNMENT AND GOVERNMENT-RELATED AGENCIES, INCLUDING THE FEDERAL NATIONAL MORTGAGE ASSOCIATION (FNMA OR FANNIE MAE). THE UNDERLYING INDEX INCLUDES BOTH CALLABLE AND NON-CALLABLE AGENCY SECURITIES THAT ARE PUBLICLY-ISSUED BY U.S. GOVERNMENT AGENCIES, QUASI-FEDERAL CORPORATIONS (AS DESCRIBED BELOW), AND CORPORATE AND FOREIGN DEBT GUARANTEED BY THE U.S. GOVERNMENT. IN ADDITION, THE SECURITIES MUST BE FIXED RATE AND NON-CONVERTIBLE.|N|0|N|N|412C|USA|US|FIXED_INCOME|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||106.96|107.02|0.0|0.0|106.96|107.0|107.0402|0.0|0.0|0.0|107.0|0.0|106.99|107.27|0.0|0.0|0.0|107.02|106.319491|107.02|101.7|112.46|0.0|0.0|107.02|107.08|101.7|112.46|0.0|0.0|107.02|107.06|109.18|104.8|35043|11031329 43306|AGZD|AGZD|97717W380|US97717W3806|WisdomTree Interest Rate Hedged US Aggregate Bond Fund|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN6-4|TXN10-4|TXN6-5|TXN5-8|8750000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||22.33|22.39|0.0|0.0|22.37|22.33|22.36|0.0|0.0|0.0|22.33|0.0|22.39|22.37|22.37|0.0|0.0|22.39|22.33|22.39|20.79|23.8|20.79|23.8|22.23|22.46|20.79|23.8|0.0|0.0|22.36|22.4|46.27|21.81|489064|13490175 60895|AHCO|AHCO|00653Q102|US00653Q1022|AdaptHealth Corp|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN5-3|TXN13-3|TXN6-5|TXN6-5|136390000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||Y|0|Y||||||9.2|9.2|0.0|9.11|9.19|9.195|9.195|9.195|0.0|0.0|9.19|9.19|9.2|9.19|9.19|9.19|9.29|9.195|9.175|9.2|9.18|9.24|7.24|11.24|9.19|9.27|9.16|9.23|9.15|9.23|9.19|9.2|23.0|6.37|905113|294502272 60011|AHG|AHG|98422P108|US98422P1084|Akso Health Group|ADR||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-4|TXN5-7|TXN12-6|TXN6-7|TXN6-5|68600000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||10|1010|101010|10101020|Technology|Technology|Software and Computer Services|Consumer Digital Services |N||N||||||N|0|Y||||||0.92|0.91|0.0|0.0|0.91|0.0|0.9385|0.0|0.0|0.0|0.91|0.0|0.89|0.0|0.0|0.0|0.0|0.9101|0.0|0.9101|0.8455|0.9872|0.0|2.15|0.8355|1.0|0.774|1.1|0.0|0.0|0.89|0.9401|2.11|0.2|12954|16725602 41954|AHH|AHH|04208T108|US04208T1088|Armada Hoffler Properties, Inc.|Common Stock, par value $0.01 per share|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|8|O|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-4|TXN3-8|TXN4-5|TXN1-5|TXN1-7|67400000|||Quarterly|||||2013-05-08||||||| | | | | | | | | |||N|0|N|Y|414A|USA|US|||35|3510|351020|35102000|Real Estate|Real Estate |Real Estate Investment Trusts|Diversified REITs|N||N||||||Y|0|Y||Y|2|||11.54|11.55|0.0|11.5|11.54|11.54|11.545|11.545|0.0|0.0|11.54|11.54|11.545|11.54|11.53|11.55|11.46|11.55|11.535|11.55|11.54|11.55|8.69|13.94|11.52|11.57|11.51|11.57|11.52|11.57|11.54|11.55|13.73|9.8101|319957|70290385 63870|AHH PRA|AHHpA|04208T207|US04208T2078|Armada Hoffler Properties, Inc.|6.75% Series A Cumulative Redeemable Perpetual Preferred Stock|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN3-2|TXN1-5|TXN2-8|TXN1-7|6840000|||Quarterly|||||2019-06-19||||||| | | | | | | | | |||N|0|N|N|414A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|23.31|23.1401|22.695|0.0|0.0|0.0|0.0|23.22|0.0|0.0|23.22|0.0|23.22|0.0|23.22|22.95|23.35|0.0|0.0|22.49|23.82|0.0|0.0|0.0|0.0|22.95|23.35|23.47|19.5201|1431|2552977 72471|AHI|AHI|00777C203|US00777C2035|Advanced Health Intelligence Ltd|ADS||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN6-8|TXN10-4|TXN6-8|TXN6-1|233850000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||AUS||||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||N|0|Y||||||0.0|2.09|0.0|0.0|0.0|2.07|2.0715|0.0|0.0|0.0|2.06|0.0|2.04|2.02|0.0|0.0|0.0|2.06|0.0|2.06|1.68|2.55|1.56|2.57|1.99|2.08|1.68|2.55|0.0|0.0|2.04|2.08|6.68|0.1601|17798|483913571 41945|AHL PRC|AHLpC|G05384154||Aspen Insurance Holdings Limited|5.95% Fixed-to-Floating Rate Perpetual Non-Cumulative Preference Shares|Operating company|B|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN4-6|TXN5-8|TXN1-6|TXN4-2|0|||Quarterly|||||2013-05-07||||||| | | | | | | | | |||N|0|N|N|410B||BM|||50|5020|502040|50204000|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Industrial|N||N||||||N|0|Y||Y|2|||0.0|25.85|0.0|0.0|25.56|26.09|25.7503|25.89|0.0|0.0|25.79|0.0|25.87|0.0|0.0|25.84|25.95|25.7503|0.0|25.84|25.75|25.9|25.81|25.9|25.24|26.42|0.0|0.0|0.0|0.0|25.23|25.9|26.19|22.01|23449|5877168 53970|AHL PRD|AHLpD|G05384162||Aspen Insurance Holdings Limited|5.625% Perpetual Non-Cumulative Preference Shares|Operating company|B|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN1-7|TXN6-8|TXN4-4|TXN4-6|0|||Quarterly|||||2016-09-22||||||| | | | | | | | | |||N|0|N|N|410B||BM|||50|5020|502040|50204000|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Industrial|N||N||||||N|0|Y||Y|2|||20.8|19.6|0.0|0.0|20.5|20.5|20.565|20.575|0.0|0.0|20.1|0.0|20.58|20.68|0.0|20.54|0.0|20.565|0.0|20.54|20.5|20.72|0.0|0.0|20.15|20.98|0.0|0.0|0.0|0.0|20.5|20.72|22.5969|16.65|11016|3681652 64305|AHL PRE|AHLpE|G05384204||Aspen Insurance Holdings Limited|Depositary Shares, each representing a 1/1000th interest in a share of 5.625% Perpetual Non-Cumulative Preference Shares|Operating company|B|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN1-3|TXN4-8|TXN4-4|TXN1-5|0|||Quarterly|||||2019-08-15||||||| | | | | | | | | |||N|0|N|N|410B||BM|||50|5020|502040|50204000|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Industrial|N||N||||||N|0|Y||Y|2|||19.82|19.87|0.0|0.0|0.0|19.68|19.67|19.71|0.0|0.0|19.65|19.89|19.78|19.82|0.0|19.67|19.78|19.67|0.0|19.67|19.66|19.8|19.65|19.79|19.28|20.19|0.0|0.0|0.0|0.0|19.66|19.8|22.5546|15.83|19010|3714358 76230|AHLT|AHLT|02368W309|US02368W3097|American Beacon Select Funds|American Beacon AHL Trend ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||American Beacon Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN2-2|TXN8-5|TXN4-6|TXN1-8|1000000|||Yearly|||||2023-08-31||AHLT.NV|AHLT.SO|AHLT.EU|AHLT.TC| | | | | | | | | | ||The Fund seeks to achieve its investment objective by implementing a quantitative trading strategy and systematic investment process designed to capitalize on price trends (up and/or down) in a broad range of over 20 global markets including stock indices, bonds, and currencies by utilizing derivative instruments. As the owner of a long position in a derivative instrument, the Fund may benefit from an increase in the price of the underlying investment and, as the owner of a short position, the Fund may benefit from a decrease in the price of the underlying investment.|N|0|N|N|416A|USA|US|HYBRID|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||23.691|0.0|0.0|23.65|0.0|0.0|23.9844|23.7|0.0|0.0|0.0|23.65|0.0|23.711|0.0|0.0|0.0|23.98|23.98|23.98|22.31|25.75|0.0|0.0|23.96|24.0|22.31|25.75|23.68|24.31|23.96|24.0|27.58|22.565|13871|1528766 74128|AHOY|AHOY|886364579|US8863645797|Tidal ETF Trust|Newday Ocean Health ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Tidal ETF Services |GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-4|TXN4-8|TXN1-5|TXN3-2|TXN3-2|125000|||Yearly|||||2022-06-07||AHOY.NV|AHOY.SO|AHOY.EU|AHOY.TC| | | | | | | | | | |1x|The Fund is an actively managed exchange traded fund (ETF) that seeks to achieve its investment objective of seeking long-term capital appreciation by investing primarily in equity securities or American Depositary Receipts (ADRs) of Ocean Health companies.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|20.9199|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|21.0049|0.0|21.0049|0.0|0.0|0.0|0.0|20.96|21.04|0.0|0.0|0.0|0.0|20.96|21.04|21.1796|18.2907|55|67881 4682|AHT|AHT|044103869|US0441038694|Ashford Hospitality Trust, Inc.|Common Stock|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-6|TXN1-4|TXN3-7|TXN3-5|TXN1-7|34510000|||Quarterly|||||2003-08-26||||||| | | | | | | | | |||N|0|N|Y|412A|USA|US|||35|3510|351020|35102015|Real Estate|Real Estate |Real Estate Investment Trusts|Hotel and Lodging REITs|N||N||||||Y|0|Y||Y|2|||0.0|2.39|0.0|0.0|2.38|2.39|2.3891|2.395|0.0|0.0|2.39|2.39|2.385|2.38|2.43|2.39|2.39|2.38|2.39|2.39|2.38|2.39|1.87|2.94|2.38|2.4|2.36|2.42|2.37|2.4|2.38|2.39|7.52|1.92|373049|126533328 25183|AHT PRD|AHTpD|044103406|US0441034065|Ashford Hospitality Trust, Inc.|8.45% Series D Cumulative Preferred Stock|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN4-4|TXN5-8|TXN1-4|TXN2-6|1170000|||Quarterly|||||2007-07-30||||||| | | | | | | | | |||N|0|N|N|412A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||11.99|0.0|0.0|0.0|0.0|11.8|11.8|0.0|0.0|0.0|12.05|0.0|0.0|0.0|0.0|11.8|0.0|11.8|0.0|11.8|11.79|12.03|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|11.79|12.03|24.3|8.23|6355|1100073 53491|AHT PRF|AHTpF|044103604|US0441036045|Ashford Hospitality Trust, Inc.|7.375% Series F Cumulative Preferred Stock, par value $0.01 per share|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN2-8|TXN9-8|TXN3-4|TXN4-8|1250000|||Quarterly|||||2016-07-19||||||| | | | | | | | | |||N|0|N|N|412A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|9.78|0.0|0.0|0.0|10.0|10.0|0.0|0.0|0.0|0.0|0.0|10.0|0.0|0.0|10.0|0.0|10.0|0.0|10.0|9.9|10.2|0.0|0.0|9.25|10.87|0.0|0.0|0.0|0.0|9.9|10.2|19.5|7.83|3259|763800 54178|AHT PRG|AHTpG|044103703|US0441037035|Ashford Hospitality Trust, Inc.|7.375% Series G Cumulative Preferred Stock|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|8|G|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN2-6|TXN4-8|TXN1-4|TXN2-2|1530000|||Quarterly|||||2016-10-21||||||| | | | | | | | | |||N|0|N|N|412A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||14.87|15.0|0.0|0.0|15.86|0.0|14.6|14.87|0.0|0.0|14.9|0.0|15.29|0.0|12.9391|15.29|0.0|15.29|0.0|15.29|14.44|15.3|0.0|0.0|13.63|16.31|0.0|0.0|0.0|0.0|14.44|15.3|21.62|7.8103|3557|845459 59446|AHT PRH|AHTpH|044103802|US0441038025|Ashford Hospitality Trust, Inc.|7.50% Series H Cumulative Preferred Stock, par value $0.01 per share|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|8|G|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN2-6|TXN8-8|TXN1-1|TXN1-2|1310000|||Quarterly|||||2017-08-29||||||| | | | | | | | | |||N|0|N|N|412A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|9.9|0.0|0.0|0.0|10.0|9.9|0.0|0.0|0.0|10.15|0.0|9.9|0.0|0.0|9.9|0.0|9.9|0.0|9.9|9.76|9.9|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|9.76|9.9|19.9|8.21|6198|526047 60165|AHT PRI|AHTpI|044103885|US0441038850|Ashford Hospitality Trust, Inc.|7.50% Series I Cumulative Preferred Stock|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|8|G|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN3-7|TXN5-8|TXN2-2|TXN2-4|1250000|||Quarterly|||||2017-11-22||||||| | | | | | | | | |||N|0|N|N|412A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|9.53|0.0|0.0|0.0|10.0|9.8|0.0|0.0|0.0|10.13|0.0|9.84|0.0|0.0|10.05|0.0|10.05|0.0|10.05|9.6|10.11|0.0|0.0|8.97|10.87|0.0|0.0|0.0|0.0|9.6|10.11|19.5821|7.91|6207|850551 72418|AHYB|AHYB|025072331|US0250723311|American Century ETF Trust|American Century Select High Yield ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||American Century Investments|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-6|TXN4-3|TXN5-8|TXN2-8|TXN3-2|700000|||Monthly|||||2021-11-18||AHYB.NV|AHYB.SO|AHYB.EU|AHYB.TC|AHYB.IV| | | | | | | | | |1x|American Century Select High Yield ETF is an actively managed exchange-traded fund incorporated in the USA. The fund seeks to provide high current income. Types of high-yield securities the fund may invest in include; US corporate bonds, preferred securities, convertible securities, and cash & cash equivalents.|N|0|N|N|406B|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|44.4515|44.385|0.0|0.0|0.0|0.0|44.52|44.31|0.0|0.0|0.0|44.5203|0.0|44.5203|0.0|0.0|0.0|0.0|44.51|44.59|0.0|0.0|0.0|0.0|44.51|44.59|44.8666|42.314|850|274277 68400|AI|AI|12468P104|US12468P1049|C3.ai, Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-3|TXN4-8|TXN6-1|TXN2-4|TXN2-2|114700000|||NotApplicable|||||2020-12-09||||||| | | | | | | | | |||N|0|N|Y|108A|USA|US|||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||Y|2|||30.32|30.305|0.0|30.15|30.31|30.32|30.3089|30.315|0.0|0.0|30.32|30.37|30.31|30.31|30.325|30.31|30.33|30.3089|30.325|30.31|30.3|30.31|23.78|36.84|30.27|30.34|30.26|30.39|30.24|30.39|30.3|30.31|48.87|10.16|9696800|4379666489 26259|AIA|AIA|464288430|US4642884302|iShares Asia 50 ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN6-2|TXN14-5|TXN5-3|TXN6-3|24650000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||56.361|56.31|0.0|0.0|56.27|56.26|56.31|56.22|0.0|0.0|56.31|56.25|56.3|56.251|0.0|56.32|0.0|56.31|0.0|56.3|53.34|59.67|56.02|60.1|56.3|56.7|56.01|57.1|56.02|0.0|56.3|56.37|67.4999|53.52|51518|18847749 73531|AIB|AIB|G0R45S109|KYG0R45S1096|AIB Acquisition Corporation|CL A COM USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN6-1|TXN13-4|TXN6-3|TXN6-8|3610000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|11.28|0.0|0.0|0.0|11.63|11.34|11.33|0.0|0.0|11.69|0.0|11.28|0.0|0.0|0.0|11.32|11.28|11.5|11.28|0.0|0.0|0.0|0.0|10.64|12.42|0.0|0.0|0.0|0.0|11.28|11.6|12.25|10.17|29479|1082060 73532|AIBBR|AIBBR|G0R45S117||AIB Acquisition Corporation Right|||D|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-3|TXN5-3|TXN11-2|TXN5-3|TXN5-2|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||50|5020|502040|50204000|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Industrial|N||N||||||N|0|Y|C|||||0.12|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.12|0.0|0.0|0.0|0.0|0.12|0.0|0.12|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.09|0.15|0.15|0.08|3257|940326 73247|AIBBU|AIBBU|G0R45S125|KYG0R45S1252|AIB Acquisition Corporation|UNITS||R|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN5-2|TXN10-2|TXN6-4|TXN5-2|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|11.36|0.0|0.0|0.0|11.7|11.51|0.0|0.0|0.0|0.0|0.0|11.36|0.0|0.0|11.36|0.0|11.36|11.7|11.36|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|11.01|12.51|12.1|10.3|6159|15765 49565|AIC|AIC|041356502|US0413565021|Arlington Asset Investment Corp.|6.750% Notes due 2025|Real estate investment trust|G|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN3-5|TXN3-8|TXN1-3|TXN3-5|1400000|||Quarterly|||||2015-03-20|2025-03-15|||||| | | | | | | | | |||N|0|N|N|404A||US|||||||||||N||N||||||N|0|Y||Y|2|||24.21|0.0|0.0|0.0|0.0|24.275|24.2089|0.0|0.0|0.0|24.21|23.778125|0.0|0.0|0.0|24.2089|0.0|24.2089|0.0|24.2089|24.2|24.24|0.0|0.0|24.0|24.3|0.0|0.0|0.0|0.0|24.2|24.24|24.88|23.09|4320|679476 75778|AIDB|AIDB|30151E574|US30151E5740|Exchange Listed Funds Trust|QRAFT AI-Pilot U.S. Large Cap Dynamic Beta and Income ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Exchange Traded Concepts|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-8|TXN4-2|TXN5-8|TXN1-5|TXN3-2|120001|||Quarterly|||||2023-05-24||AIDB.NV|AIDB.SO|AIDB.EU|AIDB.TC| | | | | | | | | | ||The QRAFT AI-Pilot U.S.Large Cap Dynamic Beta ETF (theFund) seeks long-term capital appreciation|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|25.84|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|27.048|0.0|27.048|26.77|27.32|26.98|27.01|27.02|27.06|25.02|28.85|0.0|0.0|27.02|27.06|27.49|24.54|123|177692 59889|AIEQ|AIEQ|26924G813|US26924G8134|ETF Managers Trust|AI Powered Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ETF Managers Group|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-4|TXN4-8|TXN6-5|TXN4-5|TXN4-4|3350000|||Quarterly|||||2017-10-18||AIEQ.NV|AIEQ.SO|AIEQ.EC|AIEQ.TC|AIEQ.IV| | | | | | | | | ||The Fund is actively managed and invests primarily in equity securities listed on a U.S. exchange based on the results of a proprietary, quantitative model (the Equbot Model) developed by Equbot LLC (Equbot) with Watson. Equbot, the Funds sub-adviser, is a technology based company focused on applying artificial intelligence (AI) based solutions to investment analyses. As an IBM Global Entrepreneur company, Equbot leverages IBMs Watson AI to conduct an objective, fundamental analysis of U.S.-listed common stocks and real estate investment trusts (REITs) based on up to ten years of historical data and apply that analysis to recent economic and news data. Each day, the Equbot Model ranks each company based on the probability of the company benefiting from current economic conditions, trends, and world events and identifies approximately 30 to 70 companies with the greatest potential for appreciation and their corresponding weights, while maintaining volatility comparable to the broader U.S. equity market. The Fund may invest in the securities of companies of any market capitalization.IBMs Watson AI is a supercomputer capable of answering natural language questions by connecting large amounts of data, both structured (e.g., spreadsheets) and unstructured (e.g., news articles), and learning from each analysis it conducts to produce a more accurate answer with each subsequent question. The Funds investment adviser utilizes the recommendations of the Equbot Model to decide which securities to purchase and sell, while complying with the Investment Company Act of 1940 and its rules and regulations. The Funds investment adviser anticipates primarily making purchase and sale decisions based on information from the Equbot Model. The Fund may frequently and actively purchase and sell securities.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||Y|0|Y||Y|2|||32.54|31.16|0.0|0.0|31.23|32.65|32.5401|32.53|0.0|0.0|32.65|32.17|32.5|30.94|0.0|0.0|0.0|32.6206|0.0|32.6206|32.24|32.92|32.5|32.67|32.56|32.67|32.5|34.78|32.5|32.67|32.57|32.67|33.7864|26.62|49824|4679825 41543|AIF|AIF|037638103|US0376381036|Apollo Tactical Income Fund Inc.|Common Stock, $0.001 par value per share|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN3-4|TXN7-8|TXN4-3|TXN3-7|15570000|||Monthly|||||2013-02-26||||||| | | | | | | | | |||N|0|N|N|406B|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||12.89|12.83|0.0|0.0|12.88|12.84|12.84|12.835|0.0|0.0|12.84|12.91|12.84|0.0|0.0|12.86|12.83|12.85|0.0|12.86|12.83|12.85|9.99|15.8|12.72|13.73|12.81|12.86|12.83|12.86|12.83|12.85|13.7|11.77|104202|17449876 4689|AIG|AIG|026874784|US0268747849|American International Group, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|J|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-2|TXN3-2|TXN2-8|TXN2-2|TXN1-8|702040000|||Quarterly|||||2009-07-01||||||| | | | | | | | | |||N|1|Y|Y|410B|USA|US|||30|3030|303020|30302010|Financials|Insurance|Non-life Insurance|Full Line Insurance|N||N||||||Y|0|Y||Y|1|||66.01|66.0|0.0|66.03|66.01|66.01|66.01|66.01|0.0|66.0|66.01|66.0|66.01|66.01|66.0|66.0|65.91|66.0|66.0|66.0|65.99|66.0|62.16|70.01|65.98|66.02|65.96|66.04|65.95|66.05|65.99|66.0|66.47|45.66|4116296|922132808 63231|AIG PRA|AIGpA|026874768|US0268747682|American International Group, Inc.|Depositary Shares Each Representing a 1/1000th Interest in a Share of Series A 5.85% Non-Cumulative Perpetual Preferred Stock|Operating company|B|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN4-1|TXN4-8|TXN4-6|TXN1-8|20000000|||Quarterly|||||2019-03-15||||||| | | | | | | | | |||N|0|N|N|410B|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||24.43|23.624375|0.0|0.0|0.0|24.38|24.4138|24.375|0.0|0.0|0.0|0.0|24.3|24.45|0.0|24.3|0.0|24.3|0.0|24.3|24.3|24.45|18.94|30.07|23.83|24.51|18.94|30.07|0.0|0.0|18.94|24.44|25.6735|20.87|38964|12135780 64896|AIH|AIH|00809M104|US00809M1045|Aesthetic Medical International Holdings Group Limited|ADS||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-8|TXN6-7|TXN10-5|TXN6-8|TXN5-8|130450000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||20|2010|201010|20101025|Health Care |Health Care |Health Care Providers|Health Care Services|N||N||||||N|0|Y|C|||||0.0|0.0|0.0|0.0|0.0|0.6463|0.63205|0.0|0.0|0.0|0.0|0.0|0.632|0.0|0.0|0.0|0.0|0.63205|0.0|0.63205|0.0|0.0|0.0|0.0|0.5909|0.6757|0.0|0.0|0.0|0.0|0.632|0.6321|1.7|0.4823|3609|2417266 60776|AIHS|AIHS|817225204|US8172252046|Senmiao Technology Ltd|COM 0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-3|TXN5-7|TXN11-3|TXN6-3|TXN5-5|9570000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||30|3020|302010|30201020|Financials|Financial Services |Finance and Credit Services|Consumer Lending|N||N||||||N|0|Y|C|||||0.318|0.3398|0.0|0.0|0.32|0.3182|0.33165|0.333|0.0|0.0|0.32|0.0|0.32|0.0|0.0|0.0|0.0|0.33165|0.0|0.32|0.303|0.3668|0.2552|0.4191|0.2981|0.3671|0.2672|0.4191|0.0|0.0|0.319|0.3443|1.12|0.2|91495|13259611 6751|AIM|AIM|00901B105|US00901B1052|AIM ImmunoTech Inc.|Common Stock|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Brendan E. Cryan and Company, L.L.C.|CRYN|0235|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN10-8|TXN4-7|TXN1-5|TXN1-5|TXN1-2|48840000|||NotApplicable|||||2019-06-11||||||| | | | | | | | | |||N|0|N|N|140A|USA|US|||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||Y|2|||0.45|0.45|0.0|0.4621|0.45|0.4494|0.449899|0.4481|0.0|0.0|0.45|0.449|0.45|0.45|0.45|0.45|0.45|0.45|0.45|0.45|0.4358|0.46|0.4481|0.45|0.4455|0.45|0.4314|0.4725|0.0|0.0|0.4481|0.45|0.8359|0.291|111193|35453389 73940|AIMAU|AIMAU|G0135E100|KYG0135E1008|Aimfinity Investment Corp I|UNIT EX 020129||R|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN6-1|TXN12-1|TXN5-3|TXN5-2|8540000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.18|11.98|0.0|0.0|0.0|0.0|10.9|11.98|11.32|9.96|0|570555 74167|AIMAW|AIMAW|G0135E126|KYG0135E1263|Aimfinity Investment Corp I|WT 1 EX 042127||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-5|TXN5-8|TXN11-4|TXN6-2|TXN5-6|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.017|0.05|0.26|0.0134|0|1163599 74168|AIMBU|AIMBU|G0135E142|KYG0135E1420|Aimfinity Investment Corp I|UNITS||R|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN5-8|TXN12-8|TXN5-8|TXN5-8|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.86|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.5|11.57|0.0|0.0|0.0|0.0|10.86|10.91|12.7|10.035|11|2554283 74389|AIMD|AIMD|00902F204|US00902F2048|Ainos Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-1|TXN6-4|TXN14-5|TXN6-2|TXN5-6|20290000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201020|20102015|Health Care |Health Care |Medical Equipment and Services|Medical Supplies|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.5749|0.0|0.0|0.0|0.0|0.0|0.599|0.0|0.0|0.0|0.0|0.5749|0.0|0.5749|0.4561|0.7198|0.4561|0.7198|0.5701|0.6397|0.4561|0.7198|0.0|0.0|0.58|0.5998|1.83|0.5019|5577|79677814 74345|AIMDW|AIMDW|00902F113|US00902F1131|Ainos Inc|WT EXP 072927||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-1|TXN5-3|TXN14-5|TXN6-8|TXN5-7|20290000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.28|0.0|0.0|0.0|0.0|0.28|0.0|0.28|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0651|0.63|0.7532|0.061301|100|483019 4695|AIN|AIN|012348108|US0123481089|Albany International Corp.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN1-1|TXN4-8|TXN4-7|TXN4-6|31200000|||Quarterly|||||1988-09-30||||||| | | | | | | | | |||N|0|N|Y|138A|USA|US|||50|5020|502040|50204050|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Specialty|N||N||||||N|0|Y||Y|2|||88.57|89.3|0.0|89.1|88.57|89.44|89.36|89.385|0.0|0.0|88.75|89.35|89.31|88.57|88.57|89.39|88.12|89.31|87.98|89.39|89.31|89.46|68.1|108.76|89.22|89.58|89.17|89.57|89.31|89.46|89.31|89.46|115.3942|78.2|130534|34117718 48740|AINC|AINC|044104107|US0441041078|Ashford Inc.|Common Stock|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-3|TXN1-7|TXN3-8|TXN1-5|TXN4-5|3210000|||NotApplicable|||||2014-11-07||||||| | | | | | | | | |||N|0|N|N|310A|USA|US|||30|3020|302020|30202010|Financials|Financial Services |Investment Banking and Brokerage Services |Asset Managers and Custodians|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|4.91|4.9999|5.34|0.0|0.0|4.95|0.0|0.0|0.0|0.0|0.0|4.91|4.91|0.0|4.91|0.0|0.0|4.9|4.99|4.66|5.3|0.0|0.0|0.0|0.0|4.9|4.99|17.5353|4.91|3837|811774 64904|AIO|AIO|92838Y100|US92838Y1001|Virtus Artificial Intelligence & Technology Opportunities Fund|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN1-1|TXN2-8|TXN1-6|TXN4-5|34340000|||Monthly|||||2019-10-29||||||| | | | | | | | | |||N|0|N|N|406B|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||17.25|17.27|0.0|17.28|17.26|17.27|17.25|17.3|0.0|0.0|17.25|17.28|17.25|17.23|17.25|17.27|17.26|17.25|0.0|17.27|17.24|17.27|13.49|21.43|17.24|18.52|17.21|17.31|17.2|17.29|17.18|17.29|19.08|15.09|139612|24241798 72145|AIP|AIP|04302A104|US04302A1043|ARTERIS INC|COM USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN5-4|TXN14-6|TXN6-3|TXN5-4|36850000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101020|10102020|Technology|Technology|Technology Hardware and Equipment|Production Technology Equipment|N||N||||||Y|0|Y||||||5.4|5.39|0.0|5.45|5.38|5.415|5.415|5.39|0.0|0.0|5.37|5.33|5.4|5.46|5.39|5.415|5.44|5.415|5.27|5.4|5.34|5.52|4.15|6.68|5.35|5.49|5.38|5.45|5.38|5.44|5.4|5.42|8.08|3.27|191635|38672086 60985|AIQ|AIQ|37954Y632|US37954Y6326|Global X Artificial Intelligence & Technology ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN5-3|TXN13-6|TXN5-4|TXN6-2|26570002|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||29.56|29.555|0.0|0.0|29.57|29.55|29.55|29.57|0.0|0.0|29.55|0.0|29.56|29.56|29.45|29.555|29.55|29.56|0.0|29.56|29.51|29.56|29.41|29.65|29.54|29.56|29.5|29.6|29.5|29.59|29.54|29.56|29.94|19.58|337071|56286080 4698|AIR|AIR|000361105|US0003611052|AAR CORP.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN4-7|TXN6-8|TXN1-7|TXN3-4|35300000|||Quarterly|||||1980-11-17||||||| | | | | | | | | |||N|0|N|Y|102B|USA|US|||50|5020|502010|50201010|Industrials|Industrial Goods and Services|Aerospace and Defense|Aerospace|N||N||||||Y|0|Y||Y|2|||69.8|70.59|0.0|70.56|70.58|70.54|70.639|70.595|0.0|0.0|70.05|70.56|70.6|70.06|69.48|70.58|70.51|70.64|69.8|70.58|70.56|70.64|53.67|86.11|69.97|71.2|70.46|70.72|70.56|70.64|70.56|70.64|70.64|41.17|242876|44408360 68361|AIRC|AIRC|03750L109|US03750L1098|Apartment Income REIT Corp.|Common Stock|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|8|M|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-6|TXN3-1|TXN2-5|TXN3-1|TXN1-8|146990000|||Quarterly|||||2020-12-03||||||| | | | | | | | | |||N|0|Y|Y|414A|USA|US|||35|3510|351020|35102040|Real Estate|Real Estate |Real Estate Investment Trusts|Residential REITs|N||N||||||Y|0|Y||Y|1|||32.5|32.51|0.0|32.5|32.49|32.5|32.5|32.51|0.0|0.0|32.49|32.5|32.49|32.49|32.15|32.49|32.42|32.49|32.49|32.49|32.48|32.49|30.18|34.41|32.46|32.53|32.45|32.55|32.45|32.54|32.48|32.49|40.285|28.22|1193117|211201971 76505|AIRE|AIRE|75607T105|US75607T1051|reAlpha Tech Corp|COM USD0.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN5-6|TXN10-3|TXN6-8|TXN5-1|42520000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||35|3510|351010|35101015|Real Estate|Real Estate |Real Estate Investment and Services Development|Real Estate Services|N||N||||||N|0|Y||||||3.34|3.45|0.0|3.37|3.39|3.41|3.41|3.45|0.0|0.0|3.44|3.37|3.46|3.39|3.33|3.38|3.27|3.45|3.31|3.46|2.65|4.16|2.65|4.16|3.33|3.67|2.65|4.16|0.0|0.0|3.38|3.46|575.41|3.02|397031|61590826 53655|AIRG|AIRG|00938A104|US00938A1043|Airgain Inc|COM USD.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN5-6|TXN11-7|TXN6-7|TXN5-1|10440000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||15|1510|151010|15101010|Telecommunications|Telecommunications|Telecommunications Equipment|Telecommunications Equipment|N||N||||||Y|0|Y||||||2.51|2.84|0.0|0.0|2.8|2.64|2.74|2.51|0.0|0.0|2.81|0.0|2.74|0.0|0.0|2.34|0.0|2.79|0.0|2.74|2.67|2.88|0.0|0.0|2.69|2.86|0.0|0.0|0.0|0.0|2.74|2.8|8.5|1.63|511519|6506392 41607|AIRI|AIRI|00912N403|US00912N4034|Air Industries Group|Common Stock|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Brendan E. Cryan and Company, L.L.C.|CRYN|0235|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-1|TXN4-1|TXN4-8|TXN1-7|TXN4-6|3290000|||Quarterly|||||2013-06-12||||||| | | | | | | | | |||N|0|N|N|102B|USA|US|||50|5020|502010|50201020|Industrials|Industrial Goods and Services|Aerospace and Defense|Defense|N||N||||||N|4|Y||Y|2|||0.0|2.9|0.0|0.0|0.0|2.96|2.974|0.0|0.0|0.0|0.0|3.0|0.0|0.0|0.0|0.0|2.974|2.974|0.0|2.974|2.71|3.14|2.9|3.0|2.7|3.16|0.0|0.0|0.0|0.0|2.9|3.0|5.98|2.6|564|3307094 43662|AIRR|AIRR|33738R704|US33738R7044|First Trust RBA American Industrial Renaissance ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN5-2|TXN14-6|TXN6-7|TXN6-5|10350000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||52.84|53.12|0.0|0.0|53.21|53.13|53.14|53.14|0.0|0.0|53.01|52.5|53.19|52.83|53.13|52.88|52.5|53.14|53.21|53.19|49.32|56.3|52.89|53.3|52.93|53.22|52.89|53.3|52.93|53.3|53.0|53.22|55.664|43.3101|134362|16782541 72177|AIRS|AIRS|009496100|US0094961002|AirSculpt Technologies Inc|COM USD0.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN5-7|TXN10-5|TXN5-4|TXN6-4|57360000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201010|20101030|Health Care |Health Care |Health Care Providers|Health Care: Misc.|N||N||||||Y|0|Y||||||0.0|5.72|0.0|0.0|5.75|5.82|5.75|5.775|0.0|0.0|5.78|5.8|5.79|5.91|0.0|5.7|5.8|5.75|5.89|5.79|5.65|5.91|4.45|7.05|5.67|5.89|5.73|5.81|5.72|5.82|5.75|5.79|9.935|2.96|90824|42892155 146|AIRT|AIRT|009207101|US0092071010|Air T Inc|COM USD.05||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN6-4|TXN13-8|TXN5-1|TXN6-3|2820000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502010|50201010|Industrials|Industrial Goods and Services|Aerospace and Defense|Aerospace|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|17.99|0.0|0.0|0.0|0.0|0.0|17.27|0.0|0.0|0.0|0.0|17.99|0.0|17.99|0.0|0.0|0.0|0.0|15.51|18.72|0.0|0.0|16.2|0.0|16.21|18.0|28.95|15.91|543|947637 63796|AIRTP|AIRTP|00919P302|US00919P3029|Air T Inc|PFD||B|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN5-3|TXN14-5|TXN6-8|TXN6-8|1090000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502010|50201010|Industrials|Industrial Goods and Services|Aerospace and Defense|Aerospace|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|16.5|16.5|0.0|0.0|0.0|16.5|17.0|16.99|0.0|0.0|0.0|0.0|16.5|0.0|16.5|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|16.5|17.0|24.21|14.69|3663|209538 4700|AIT|AIT|03820C105|US03820C1053|Applied Industrial Technologies, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|O|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN3-2|TXN7-8|TXN2-3|TXN1-1|38760000|||Quarterly|||||1965-01-11||||||| | | | | | | | | |||N|0|N|Y|154B|USA|US|||50|5020|502050|50205010|Industrials|Industrial Goods and Services|Industrial Support Services|Industrial Suppliers|N||N||||||Y|0|Y||Y|2|||167.15|168.57|0.0|168.17|168.41|168.41|168.42|168.4|0.0|0.0|165.53|167.8|168.41|165.52|168.34|168.38|168.1|168.28|165.57|168.38|168.28|168.38|128.44|204.12|167.86|168.88|168.0|168.56|167.98|168.38|168.28|168.38|168.6|116.94|237576|49370805 76611|AITRU|AITRU|G01490138|KYG014901386|AI Transportation Acquisition Corp|UNIT (1 ORD 3/4 WT)||R|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN5-7|TXN10-3|TXN6-1|TXN6-7|6280000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|10.17|10.1789|0.0|0.0|0.0|10.18|0.0|10.18|0.0|0.0|0.0|10.18|10.17|0.0|10.17|0.0|0.0|0.0|0.0|9.5|10.88|0.0|0.0|0.0|0.0|10.17|10.2|10.1999|10.1|11807|6198145 60835|AIU|AIU|68276W400|US68276W4006|Meta Data Limited|American Depositary Shares, each representing two (2) Class A Ordinary Shares|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN2-6|TXN3-8|TXN4-7|TXN4-5|76970000|||NotApplicable|||||2022-01-24||||||| | | | | | | | | |||N|0|N|Y|180B|CHN|KY|||40|4020|402010|40201010|Consumer Discretionary|Consumer Products and Services|Consumer Services |Education Services|N||N||||||N|0|Y|C|Y|2|||0.975|0.9751|0.0|0.0|0.975|1.025|1.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|1.0|0.0|1.0|0.0|1.0|1.0|1.02|0.0|0.0|0.95|1.08|0.95|1.08|0.0|0.0|1.0|1.1|1.7|0.8|27291|5869673 4701|AIV|AIV|03748R747|US03748R7474|Apartment Investment and Management Company|Class A Common Stock|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|8|M|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-3|TXN1-1|TXN5-2|TXN2-4|TXN1-1|145760000|||Adhoc|||||2019-02-21||||||| | | | | | | | | |||N|0|N|Y|414A|USA|US|||35|3510|351020|35102040|Real Estate|Real Estate |Real Estate Investment Trusts|Residential REITs|N||N||||||Y|0|Y||Y|2|||7.23|7.235|0.0|0.0|7.25|7.24|7.24|7.255|0.0|0.0|7.24|7.25|7.24|7.235|7.24|7.25|7.255|7.24|7.25|7.25|7.23|7.25|5.55|8.88|7.23|7.25|7.2|7.28|7.22|7.28|7.23|7.25|8.93|5.63|1620305|270198544 16679|AIVI|AIVI|97717W786|US97717W7864|WisdomTree Trust|WisdomTree International AI Enhanced Value Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||WisdomTree|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-6|TXN4-1|TXN5-8|TXN1-2|TXN2-2|1950000|||Quarterly|||||2007-10-10||DOO.NV|DOO.SO|DOO.EU|DOO.TC|DOO.IV| | | | | | | | | |1x|WisdomTree International Dividend ex-Financials Fund seeks investment results that closely correspond to the price and yield performance, before fees and expenses, of the WisdomTree International Dividend ex-Financials Index. WisdomTree International Dividend ex-Financials Index measures the performance of high dividend-yielding international stocks outside the financial sector. The index consists primarily of large- and mid-capitalization companies incorporated in Europe, Japan, Australia, New Zealand, Hong Kong and Singapore that pass WisdomTree Investments market capitalization, liquidity and selection requirements.|N|0|N|N|406C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||38.95|38.95|0.0|0.0|38.95|38.95|39.0089|38.95|0.0|0.0|38.95|0.0|38.95|38.95|0.0|0.0|0.0|39.0508|38.95|39.0508|0.0|0.0|0.0|0.0|39.02|39.08|0.0|0.0|0.0|0.0|39.02|39.08|40.75|35.82|4072|1095735 16669|AIVL|AIVL|97717W406|US97717W4069|WisdomTree Trust|WisdomTree U.S. AI Enhanced Value Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||WisdomTree|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-2|TXN3-4|TXN1-5|TXN1-6|TXN4-8|4000000|||Quarterly|||||2007-11-27||DTN.NV|DTN.SO|DTN.EU|DTN.TC|DTN.IV| | | | | | | | | |1x|WisdomTree Dividend ex-Financials Fund seeks investment results that closely correspond to the price and yield performance, before fees and expenses, of the WisdomTree Dividend ex-Financials Index. Prior to May 7, 2009, the WisdomTree Dividend ex-Financials Fund was named the WisdomTree Dividend Top 100 Fund. WisdomTree Dividend ex-Financials index measures the performance of high dividend-yielding stocks outside the financial sector. The index consists primarily of large- and mid-capitalization companies listed on major U.S. stock exchanges that pass WisdomTree Investments market capitalization, liquidity and selection requirements.|N|0|N|N|406C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||93.12|0.0|0.0|0.0|93.12|92.73|93.1101|92.74|0.0|0.0|0.0|0.0|93.16|93.12|0.0|93.09|0.0|93.1541|0.0|93.1541|93.08|93.3|92.95|93.3|93.08|93.13|92.94|93.31|92.94|93.3|93.08|93.13|98.08|83.41|3764|1027238 75412|AIXI|AIXI|98423X100|US98423X1000|Xiao-I Corp|ADR||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN6-1|TXN11-7|TXN6-8|TXN6-2|24020000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||N|0|Y||||||2.23|0.0|0.0|0.0|2.29|2.24|2.28|2.25|0.0|0.0|2.15|2.15|2.27|2.3|0.0|2.29|0.0|2.28|0.0|2.28|1.73|2.79|1.73|2.79|2.08|2.41|2.17|2.31|2.16|2.32|2.21|2.28|10.39|1.4|46405|60439787 76680|AIYY|AIYY|88636J790|US88636J7900|Tidal Trust II|YieldMax AI Option Income Strategy ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y|||||||||Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-2|TXN3-3|TXN6-8|TXN1-4|TXN3-2|125000|||Monthly|||||2023-11-28||||||| | | | | | | | | |||N|0|N|N|416A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||20.63|20.6|0.0|0.0|20.64|20.52|20.63|20.685|0.0|0.0|0.0|0.0|20.66|20.59|0.0|0.0|0.0|20.5898|0.0|20.5898|16.1|25.19|16.1|25.19|20.54|20.66|16.1|25.19|0.0|0.0|20.54|20.66|21.37|19.63|18572|91956 4712|AIZ|AIZ|04621X108|US04621X1081|Assurant, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN3-6|TXN8-8|TXN3-5|TXN1-5|52590000|||Quarterly|||||2004-02-05||||||| | | | | | | | | |||N|5|Y|Y|410B|USA|US|||30|3030|303020|30302025|Financials|Insurance|Non-life Insurance|Property and Casualty Insurance|N||N||||||Y|0|Y||Y|1|||171.4|171.49|0.0|171.37|171.42|171.42|171.37|171.49|0.0|0.0|171.0|171.4|171.47|171.34|171.0|171.43|168.63|171.37|171.44|171.43|171.36|171.47|159.19|181.18|171.3|171.56|171.27|171.58|171.37|171.46|171.37|171.46|171.5814|104.49|365172|91467531 68297|AIZN|AIZN|04621X306|US04621X3061|Assurant, Inc.|5.25% Subordinated Notes due 2061|Operating company|G|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN3-4|TXN8-8|TXN2-8|TXN3-4|10000000|||Quarterly|||||2020-11-25|2061-01-15|||||| | | | | | | | | |||N|0|N|N|410B||US|||||||||||N||N||||||N|0|Y||Y|2|||19.58|19.95|0.0|18.411875|19.94|20.115|19.7828|20.115|0.0|0.0|19.99|0.0|20.27|0.0|19.85|19.95|19.95|19.84|0.0|19.95|19.77|20.1|0.0|0.0|19.66|20.5|0.0|0.0|0.0|0.0|19.77|20.1|23.6048|17.59|26166|3883576 4713|AJG|AJG|363576109|US3635761097|Arthur J. Gallagher & Co.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-5|TXN1-3|TXN3-3|TXN3-3|TXN4-7|215900000|||Quarterly|||||1987-12-01||||||| | | | | | | | | |||N|5|Y|Y|410A|USA|US|||30|3030|303020|30302015|Financials|Insurance|Non-life Insurance|Insurance Brokers|N||N||||||Y|0|Y||Y|1|||248.04|247.64|0.0|247.55|247.5|247.58|247.52|247.47|0.0|0.0|247.58|247.53|247.55|247.58|247.5|247.55|247.86|247.48|247.5|247.55|247.48|247.55|232.29|265.62|247.42|247.66|247.3|247.75|247.32|247.55|247.48|247.55|254.001|174.445|696591|193982021 49352|AJX|AJX|38983D300|US38983D3008|Great Ajax Corp.|Common stock|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN3-7|TXN1-5|TXN3-6|TXN4-7|27470000|||Quarterly|||||2015-02-13||||||| | | | | | | | | |||N|0|N|Y|414A|USA|US|||30|3020|302030|30203000|Financials|Financial Services |Mortgage Real Estate Investment Trusts|Mortgage REITs: Diversified|N||N||||||Y|0|Y||Y|2|||4.81|4.845|0.0|4.83|4.85|4.85|4.84|4.85|0.0|0.0|4.84|4.87|4.84|4.85|4.6|4.84|4.85|4.84|0.0|4.84|4.84|4.85|3.73|5.92|4.81|4.88|4.81|4.88|4.8|4.85|4.84|4.85|9.24|4.08|90488|36271872 57210|AJXA|AJXA|38983D409|US38983D4097|Great Ajax Corp.|7.25% Convertible Senior Notes due 2024|Real estate investment trust|G|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN3-1|TXN3-8|TXN4-6|TXN3-4|4140000|||Quarterly|||||2017-04-28|2024-04-30|||||| | | | | | | | | |||N|0|N|N|414A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|24.65|24.6854|24.85|0.0|0.0|24.68|0.0|0.0|0.0|0.0|24.63|0.0|24.68|0.0|24.63|24.55|24.68|24.57|24.7|24.08|25.19|0.0|0.0|0.0|0.0|24.55|24.68|24.9|23.42|6621|3123334 71756|AKA|AKA|00152K200|US00152K2006|a.k.a. Brands Holding Corp.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|B|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN3-2|TXN2-8|TXN3-1|TXN3-5|10630000|||NotApplicable|||||2021-09-22||||||| | | | | | | | | |||N|0|N|Y|146F|USA|US|||40|4040|404010|40401020|Consumer Discretionary|Retail |Retailers |Apparel Retailers|N||N||||||N|0|Y||Y|2|||0.0|9.45|0.0|0.0|9.4|9.62|9.11|0.0|0.0|0.0|9.47|0.0|9.36|9.24|0.0|9.12|0.0|9.11|0.0|9.12|9.11|9.47|7.13|11.6|8.93|9.65|7.44|11.54|0.0|0.0|9.11|9.47|10.0|0.3|10110|42438733 148|AKAM|AKAM|00971T101|US00971T1016|AKAMAI TECHNOLOGIES INC|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN5-8|TXN11-3|TXN6-3|TXN5-6|150830000|||NotApplicable|||||||||||| | | | | | | | | |||N|5|Y|N||USA||||10|1010|101010|10101020|Technology|Technology|Software and Computer Services|Consumer Digital Services |N||N||||||Y|0|Y||||||115.94|115.91|0.0|115.9|115.9|115.96|115.91|115.9|0.0|0.0|115.91|115.97|115.9|115.89|115.98|116.045|116.12|115.9|115.96|115.9|115.83|116.0|109.3|123.7|115.87|115.95|115.83|115.98|0.0|115.98|115.9|115.94|116.88|70.65|848265|366784981 73694|AKAN|AKAN|00971M205|CA00971M2058|Akanda Corp|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-3|TXN6-8|TXN14-4|TXN5-6|TXN5-7|3890000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||GBR||||20|2010|201030|20103020|Health Care |Health Care |Pharmaceuticals and Biotechnology|Cannabis Producers|N||N||||||N|0|Y|D|||||0.5054|0.501|0.0|0.5211|0.5054|0.501|0.5011|0.54|0.0|0.0|0.501|0.53|0.501|0.0|0.0|0.53|0.0|0.5011|0.0|0.5011|0.4079|0.6024|0.4079|0.6042|0.4718|0.5545|0.4079|0.6024|0.0|0.0|0.5011|0.52|2.7|0.1241|316575|508449657 43794|AKBA|AKBA|00972D105|US00972D1054|Akebia Therapeutics Inc|COM USD0.00001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN5-2|TXN13-1|TXN6-3|TXN5-4|188390000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||1.15|1.14|0.0|1.14|1.15|1.14|1.145|1.145|0.0|0.0|1.15|1.145|1.15|1.14|1.14|1.155|1.14|1.14|1.15|1.15|1.12|1.15|0.904|1.36|1.12|1.15|1.12|1.18|1.13|1.15|1.14|1.15|1.84|0.2805|2065353|417694230 71021|AKLI|AKLI|00974B107|US00974B1070|Akili Inc|COM USD||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-4|TXN6-3|TXN14-7|TXN5-1|TXN5-7|78310000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502050|50205020|Industrials|Industrial Goods and Services|Industrial Support Services|Professional Business Support Services|N||N||||||Y|0|Y||||||0.5|0.4999|0.0|0.0|0.0|0.488|0.49745|0.477|0.0|0.0|0.5|0.0|0.476|0.5|0.0|0.5|0.0|0.49745|0.0|0.476|0.4|0.5875|0.4|0.5875|0.4465|0.5332|0.4|0.5875|0.0|0.0|0.476|0.5|2.2|0.33|18411|38240728 4719|AKO A|AKO.A|29081P204|US29081P2048|Embotelladora Andina S.A.|Series A American Depositary Shares (Each representing six Series A Shares)|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|8|R|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN4-1|TXN7-8|TXN3-1|TXN3-4|473290000|||Quarterly|||||1994-07-06||||||| | | | | | | | | |||N|0|N|Y|118A|CHL|CL|||45|4510|451010|45101020|Consumer Staples |Food, Beverage and Tobacco |Beverages|Soft Drinks|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|12.43|11.421|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|12.43|0.0|12.43|0.0|12.43|11.61|12.43|0.0|0.0|11.41|13.28|0.0|0.0|0.0|0.0|11.37|12.43|13.5|8.6301|1091|453737 4720|AKO B|AKO.B|29081P303|US29081P3038|Embotelladora Andina S.A.|Series B American Depositary Shares (Each representing six Series B Shares)|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|8|R|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN2-6|TXN4-8|TXN3-4|TXN4-5|473280000|||Quarterly|||||1997-04-07||||||| | | | | | | | | |||N|0|N|Y|118A|CHL|CL|||45|4510|451010|45101020|Consumer Staples |Food, Beverage and Tobacco |Beverages|Soft Drinks|N||N||||||N|0|Y||Y|2|||14.8|14.8|0.0|0.0|0.0|14.51|14.58|0.0|0.0|0.0|0.0|0.0|14.8|0.0|0.0|14.75|0.0|14.8|0.0|14.75|13.38|14.95|0.0|0.0|14.3|15.7|0.0|0.0|0.0|0.0|14.5|15.69|17.66|11.49|3606|5124976 4722|AKR|AKR|004239109|US0042391096|Acadia Realty Trust|Common Shares of Beneficial Interest|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|6|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-3|TXN3-4|TXN5-8|TXN4-2|TXN4-3|95340000|||Quarterly|||||1993-05-27||||||| | | | | | | | | |||N|0|N|Y|412A|USA|US|||35|3510|351020|35102045|Real Estate|Real Estate |Real Estate Investment Trusts|Retail REITs|N||N||||||Y|0|Y||Y|2|||16.035|16.035|0.0|14.82|16.04|16.035|16.04|16.035|0.0|0.0|16.03|16.04|16.04|16.045|15.96|16.03|15.99|16.04|16.04|16.03|16.03|16.04|12.4|19.63|16.03|16.06|16.0|16.07|15.99|16.09|16.03|16.04|16.36|12.37|593725|168122120 63883|AKRO|AKRO|00973Y108|US00973Y1082|Akero Therapeutics Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN5-3|TXN10-3|TXN6-8|TXN5-7|55710000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||17.89|17.91|0.0|17.92|17.91|17.89|17.9|17.9|0.0|0.0|17.91|17.88|17.91|17.9|17.87|17.88|18.07|17.9|17.89|17.91|17.73|18.06|14.13|21.79|17.78|18.04|17.85|17.94|17.87|17.95|17.89|17.91|58.38|11.25|1317661|227830181 51258|AKTS|AKTS|00973N102|US00973N1028|Akoustis Technologies Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-8|TXN5-6|TXN11-2|TXN5-7|TXN6-8|72480000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||15|1510|151010|15101010|Telecommunications|Telecommunications|Telecommunications Equipment|Telecommunications Equipment|N||N||||||Y|0|Y||||||0.5999|0.5999|0.0|0.0|0.5958|0.6049|0.61|0.6049|0.0|0.0|0.6075|0.6049|0.6087|0.59|0.0|0.6|0.5758|0.61|0.6|0.6087|0.5841|0.6266|0.4704|0.7312|0.5923|0.6188|0.5864|0.6279|0.5786|0.6299|0.6044|0.6067|4.955|0.46|606437|170701810 43475|AKTX|AKTX|00972G207|US00972G2075|Akari Therapeutics Plc|ADR||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN6-7|TXN13-7|TXN6-6|TXN6-5|11305950000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||GBR||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||3.24|0.0|0.0|0.0|0.0|0.0|3.34|0.0|0.0|0.0|0.0|0.0|3.25|0.0|0.0|0.0|0.0|3.24|0.0|3.24|2.88|3.54|2.36|4.12|2.81|3.59|2.66|3.96|0.0|0.0|3.02|3.37|4.3899|0.1404|4404|68231513 70242|AKYA|AKYA|00974H104|US00974H1041|Akoya Biosciences Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN6-4|TXN13-6|TXN5-4|TXN5-6|49080000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||Y|0|Y||||||4.8|4.84|0.0|0.0|4.83|4.83|4.82|4.8|0.0|0.0|4.8|4.85|4.84|4.86|4.79|4.84|4.95|4.79|4.87|4.84|4.68|4.97|3.72|5.9|4.69|4.96|4.73|4.9|4.71|4.93|4.81|4.84|13.25|3.04|356217|37658994 4725|AL|AL|00912X302|US00912X3026|Air Lease Corporation|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-5|TXN3-5|TXN2-4|TXN1-3|TXN2-7|111030000|||Quarterly|||||2011-04-19||||||| | | | | | | | | |||N|0|Y|Y|202B|USA|US|||50|5020|502060|50206050|Industrials|Industrial Goods and Services|Industrial Transportation|Commercial Vehicle-Equipment Leasing|N||N||||||Y|0|Y||Y|1|||39.39|39.39|0.0|39.41|39.38|39.41|39.38|39.4|0.0|0.0|39.39|39.41|39.415|39.39|39.395|39.4|39.41|39.4|39.395|39.4|39.39|39.4|36.77|41.97|39.36|39.47|39.35|39.45|39.34|39.46|39.39|39.4|46.2|33.33|946117|149317578 63123|AL PRA|ALpA|00912X500|US00912X5005|Air Lease Corporation|6.150% Fixed-to-Floating Rate Non-Cumulative Perpetual Preferred Stock, Series A|Operating company|B|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN4-3|TXN7-8|TXN4-8|TXN1-6|10000000|||Quarterly|||||2019-03-07||||||| | | | | | | | | |||N|0|N|N|202B|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||24.62|24.7|0.0|0.0|0.0|24.71|24.82|24.71|0.0|0.0|0.0|0.0|24.79|0.0|0.0|24.79|0.0|24.79|0.0|24.79|24.7|24.8|24.78|24.84|24.26|25.34|0.0|0.0|0.0|0.0|24.7|24.8|25.03|19.17|10287|5342748 61446|ALAR|ALAR|78643B500|US78643B5003|Alarum Technologies Ltd|ADR||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN6-6|TXN10-6|TXN5-4|TXN5-3|58770000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||ISR||||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||N|0|Y||||||4.94|4.96|0.0|0.0|4.89|4.91|4.9|4.85|0.0|0.0|0.0|4.77|4.97|4.83|0.0|0.0|0.0|4.95|0.0|4.97|4.64|5.15|3.79|6.12|4.64|5.08|3.79|6.12|0.0|0.0|4.85|4.95|5.67|1.46|69245|17100359 4728|ALB|ALB|012653101|US0126531013|Albemarle Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|P|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-6|TXN4-6|TXN5-8|TXN3-6|TXN3-2|117350000|||Quarterly|||||1994-02-22||||||| | | | | | | | | |||N|5|Y|Y|106B|USA|US|||55|5520|552010|55201000|Basic Materials|Chemicals|Chemicals|Chemicals: Diversified|N||N||||||Y|0|Y||Y|1|||120.04|119.94|0.0|119.99|119.97|119.94|119.9|119.985|0.0|0.0|119.98|119.95|119.9|120.4|119.95|119.98|119.96|119.93|119.96|119.98|119.92|119.96|112.99|127.56|119.86|120.11|119.71|120.2|119.72|120.17|119.92|119.96|293.01|112.0|3416663|501897352 57470|ALBT|ALBT|05344R203|US05344R2031|Avalon GloboCare Corp|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-6|TXN6-5|TXN11-8|TXN6-5|TXN5-4|11000000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||35|3510|351010|35101010|Real Estate|Real Estate |Real Estate Investment and Services Development|Real Estate Holding and Development |N||N||||||N|0|Y||||||0.5195|0.0|0.0|0.0|0.4969|0.5|0.496327|0.0|0.0|0.0|0.497|0.0|0.4915|0.0|0.0|0.0|0.0|0.5195|0.0|0.5195|0.4721|0.5487|0.3976|0.627|0.4606|0.5545|0.3976|0.627|0.0|0.0|0.4915|0.519|5.2031|0.3|18207|25044187 63404|ALC|ALC|H01301128|CH0432492467|Alcon Inc.|Ordinary Shares, nominal value CHF 0.04 per share|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|6|T|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-4|TXN1-4|TXN4-4|TXN1-5|TXN3-8|490090000|||Yearly|||||2019-04-09||||||| | | | | | | | | |||N|0|N|Y|122B|CHE|CH|||20|2010|201020|20102015|Health Care |Health Care |Medical Equipment and Services|Medical Supplies|N||N||||||Y|0|Y||Y|2|||73.26|73.245|0.0|72.84|73.24|73.245|73.25|73.24|0.0|0.0|73.32|73.35|73.245|73.24|73.29|73.23|73.07|73.23|73.3|73.23|73.23|73.26|56.39|89.26|73.23|73.37|73.19|73.3|73.18|73.31|73.23|73.26|86.2|63.78|1462299|208514870 71028|ALCC|ALCC|02156V109|US02156V1098|AltC Acquisition Corp.|Class A common stock|Special purpose acquisition company|A|N|N|N|Y|Y|Y|Y|Y|5|H|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN4-1|TXN4-8|TXN1-6|TXN1-2|30600000|||NotApplicable|||||2021-07-08||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||10.3|10.37|0.0|0.0|0.0|10.37|10.36|0.0|0.0|0.0|10.37|0.0|10.37|0.0|0.0|10.35|0.0|10.35|0.0|10.35|10.35|10.37|8.02|12.74|10.17|10.61|8.25|12.48|0.0|0.0|10.35|10.37|10.77|9.82|18436|94198544 158|ALCO|ALCO|016230104|US0162301040|Alico Inc|COM USD1||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN5-5|TXN11-5|TXN6-4|TXN6-5|7610000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||45|4510|451020|45102010|Consumer Staples |Food, Beverage and Tobacco |Food Producers|Farming, Fishing, Ranching and Plantations|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|28.69|28.685|28.345|0.0|0.0|28.69|28.3|28.76|0.0|0.0|0.0|0.0|28.69|0.0|28.76|28.11|29.22|21.9|35.21|28.22|29.16|21.9|35.21|0.0|0.0|28.58|28.76|30.0|22.58|24553|7748275 75935|ALCY|ALCY|G0232F109|KYG0232F1090|Alchemy Investments Acquisition Corp 1|CL A ORD||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN6-4|TXN11-7|TXN6-2|TXN5-2|12100000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||10.4|10.4|0.0|0.0|10.4|10.4|10.4|0.0|0.0|0.0|10.4|0.0|10.4|0.0|0.0|10.4|0.0|10.4|0.0|10.4|0.0|10.42|0.0|0.0|10.39|11.11|0.0|0.0|0.0|0.0|10.39|10.41|11.28|10.17|45260|2366110 75665|ALCYU|ALCYU|G0232F117|KYG0232F1173|Alchemy Investments Acquisition Corp 1|UNITS||R|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN6-1|TXN12-2|TXN5-8|TXN6-5|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.39|10.75|0.0|0.0|0.0|0.0|10.39|10.75|10.845|10.09|0|9633220 75936|ALCYW|ALCYW|G0232F133|KYG0232F1330|Alchemy Investments Acquisition Corp 1|WT EXP 113027||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-1|TXN5-5|TXN13-5|TXN5-4|TXN6-7|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.1575|0.2|1.62|0.15|0|1756580 43924|ALDX|ALDX|01438T106|US01438T1060|Aldeyra Therapeutics Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN6-1|TXN12-6|TXN5-3|TXN5-7|58820000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||3.28|3.27|0.0|3.33|3.28|3.27|3.2775|3.27|0.0|0.0|3.27|3.27|3.27|3.265|3.265|3.27|3.265|3.2775|3.27|3.27|3.26|3.28|2.57|4.0|3.26|3.28|3.24|3.31|3.26|3.29|3.27|3.28|11.97|1.42|2119956|314425643 4730|ALE|ALE|018522300|US0185223007|Allete, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-5|TXN1-1|TXN1-8|TXN2-1|TXN2-2|57480000|||Quarterly|||||2004-09-09||||||| | | | | | | | | |||N|0|N|Y|302A|USA|US|||65|6510|651010|65101015|Utilities|Utilities|Electricity|Conventional Electricity|N||N||||||N|0|Y||Y|2|||56.18|56.19|0.0|56.16|56.26|56.17|56.22|56.24|0.0|0.0|56.23|56.23|56.24|56.26|56.26|56.25|56.18|56.25|56.19|56.25|56.24|56.25|42.97|68.57|56.21|56.31|56.17|56.31|56.15|56.33|56.24|56.25|66.925|49.29|333805|71276280 62957|ALEC|ALEC|014442107|US0144421072|Alector Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN5-2|TXN14-5|TXN6-2|TXN5-8|84140000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||5.62|5.615|0.0|5.62|5.62|5.615|5.61|5.615|0.0|0.0|5.62|5.62|5.62|5.62|5.63|5.61|5.62|5.62|5.53|5.62|5.55|5.68|4.27|6.82|5.57|5.66|5.59|5.66|5.59|5.67|5.62|5.63|9.86|3.66|774337|137862867 40223|ALEX|ALEX|014491104|US0144911049|Alexander & Baldwin, Inc.|Common Stock|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|5|L|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-4|TXN4-1|TXN5-4|TXN4-8|TXN3-5|72540000|||Quarterly|||||2012-06-14||||||| | | | | | | | | |||N|0|N|Y|414A|USA|US|||35|3510|351020|35102000|Real Estate|Real Estate |Real Estate Investment Trusts|Diversified REITs|N||N||||||N|0|Y||Y|2|||17.54|17.545|0.0|17.54|17.57|17.57|17.54|17.545|0.0|0.0|17.54|17.59|17.54|17.57|17.3|17.53|17.57|17.53|17.55|17.53|17.53|17.54|13.23|21.57|17.51|17.59|17.51|17.57|17.51|17.54|17.53|17.54|20.49|15.56|303243|59501209 4732|ALG|ALG|011311107|US0113111076|Alamo Group Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN4-1|TXN2-8|TXN1-5|TXN3-4|12010000|||Quarterly|||||1995-07-28||||||| | | | | | | | | |||N|0|N|Y|126A|USA|US|||50|5020|502040|50204020|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Construction and Handling|N||N||||||Y|0|Y||Y|2|||188.02|188.48|0.0|188.96|188.34|189.6|188.52|188.55|0.0|0.0|186.16|186.16|188.54|186.177|185.9|188.64|172.99|188.52|186.26|188.64|188.5|188.86|143.92|231.48|187.77|190.36|188.07|189.46|188.51|188.86|188.51|188.86|200.81|137.47|42550|12458050 68010|ALGM|ALGM|01749D105|US01749D1054|Allegro Microsystems Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN5-2|TXN12-1|TXN6-2|TXN5-4|192470000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||USA||||10|1010|101020|10102010|Technology|Technology|Technology Hardware and Equipment|Semiconductors|N||N||||||Y|0|Y||||||27.335|27.34|0.0|27.3|27.34|27.33|27.33|27.34|0.0|0.0|27.36|27.34|27.33|27.355|27.36|27.335|27.33|27.33|27.18|27.33|27.31|27.36|25.57|28.9|27.31|27.36|27.3|27.36|27.3|27.37|27.33|27.35|53.05|24.655|993496|342147695 165|ALGN|ALGN|016255101|US0162551016|Align Technology Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN6-5|TXN14-5|TXN6-8|TXN6-2|76590000|||NotApplicable|||||||||||| | | | | | | | | |||N|5|Y|N||USA||||20|2010|201020|20102015|Health Care |Health Care |Medical Equipment and Services|Medical Supplies|N||N||||||Y|0|Y||||||219.58|219.54|0.0|219.6|219.5|219.47|219.59|219.49|0.0|0.0|219.55|219.45|219.6|219.53|219.67|219.66|219.5|219.6|219.53|219.6|218.03|221.01|204.48|231.61|219.41|220.74|219.17|219.93|219.49|0.0|219.54|219.6|413.2|176.34|870036|208408381 67900|ALGS|ALGS|01626L105|US01626L1052|Aligos Therapeutics Inc|COM USD.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-7|TXN5-4|TXN11-4|TXN5-4|TXN5-3|71840000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||0.69|0.6807|0.0|0.0|0.71|0.69|0.695|0.7|0.0|0.0|0.695|0.74|0.691|0.69|0.0|0.69|0.0|0.68|0.69|0.68|0.6564|0.7296|0.552|0.8808|0.6671|0.7242|0.552|0.8808|0.0|0.0|0.68|0.71|2.41|0.5388|65840|45847472 18406|ALGT|ALGT|01748X102|US01748X1028|Allegiant Travel Co|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN6-5|TXN14-5|TXN5-1|TXN6-1|18400000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4050|405010|40501010|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Airlines|N||N||||||Y|0|Y||||||73.92|73.85|0.0|73.92|73.76|73.76|73.705|73.69|0.0|0.0|73.78|73.8|73.71|73.92|73.95|73.75|74.53|73.69|74.01|73.71|73.15|75.05|56.11|91.15|73.28|74.9|73.5|73.85|73.59|73.77|73.64|73.73|130.93|54.87|287246|51962165 69978|ALHC|ALHC|01625V104|US01625V1044|Alignment Healthcare Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN6-7|TXN12-3|TXN5-8|TXN6-7|189100000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201010|20101020|Health Care |Health Care |Health Care Providers|Health Care Management Services|N||N||||||Y|0|Y||||||7.49|7.485|0.0|0.0|7.49|7.495|7.48|7.485|0.0|0.0|7.48|7.48|7.48|7.47|7.43|7.48|7.32|7.47|0.0|7.48|7.46|7.49|5.68|9.18|7.42|7.56|7.44|7.52|7.46|7.5|7.47|7.49|13.12|4.88|291384|193197866 32597|ALIM|ALIM|016259202|US0162592028|Alimera Sciences Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN5-4|TXN14-4|TXN6-1|TXN6-2|52420000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103015|Health Care |Health Care |Pharmaceuticals and Biotechnology|Pharmaceuticals |N||N||||||Y|0|Y||||||3.4|3.43|0.0|0.0|3.47|3.47|3.42|3.44|0.0|0.0|0.0|0.0|3.41|0.0|0.0|3.45|0.0|3.42|0.0|3.41|3.27|3.7|0.0|0.0|3.34|3.58|2.68|4.08|0.0|0.0|3.41|3.51|3.9|1.3|76490|44887617 71070|ALIT|ALIT|01626W101|US01626W1018|Alight, Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|O|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN3-1|TXN7-1|TXN2-2|TXN4-7|501180000|||NotApplicable|||||2021-07-06||||||| | | | | | | | | |||N|0|N|Y|108B|USA|US|||50|5020|502050|50205020|Industrials|Industrial Goods and Services|Industrial Support Services|Professional Business Support Services|N||N||||||Y|0|Y||Y|2|||7.88|7.88|0.0|0.0|7.87|7.875|7.88|7.875|0.0|0.0|7.875|7.88|7.89|7.88|7.88|7.89|7.885|7.89|7.88|7.89|7.88|7.89|6.07|9.71|7.87|7.89|7.85|7.91|7.84|7.92|7.88|7.89|10.185|6.33|2144382|705417314 4735|ALK|ALK|011659109|US0116591092|Alaska Air Group, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|M|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-1|TXN2-5|TXN5-7|TXN3-8|TXN3-1|128050000|||Quarterly|||||1983-02-23||||||| | | | | | | | | |||N|5|Y|Y|202A|USA|US|||40|4050|405010|40501010|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Airlines|N||N||||||Y|0|Y|C|Y|1|||34.09|34.09|0.0|34.09|34.12|34.08|34.0799|34.08|0.0|0.0|34.09|34.15|34.07|34.11|34.12|34.08|34.145|34.0799|34.1|34.08|34.07|34.08|31.82|35.88|34.07|34.1|34.02|34.14|34.01|34.15|34.07|34.08|57.179|30.75|22669440|437313356 166|ALKS|ALKS|G01767105|IE00B56GVS15|Alkermes Plc|ORD SHS||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN6-7|TXN14-3|TXN6-2|TXN6-7|166880000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||IRL||||20|2010|201030|20103015|Health Care |Health Care |Pharmaceuticals and Biotechnology|Pharmaceuticals |N||N||||||Y|0|Y||||||26.33|26.32|0.0|26.35|26.31|26.31|26.34|26.33|0.0|25.78|26.33|26.33|26.33|26.34|26.36|26.32|26.325|26.33|26.32|26.33|26.04|26.37|20.0|31.85|26.07|26.37|26.27|26.36|26.3|26.38|26.32|26.34|33.71|22.01|6165873|368873123 70216|ALKT|ALKT|01644J108|US01644J1088|Alkami Technology Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN5-2|TXN14-1|TXN6-4|TXN6-6|95360000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||||||22.83|22.78|0.0|22.86|22.77|22.78|22.77|22.78|0.0|0.0|22.79|22.8|22.8|22.86|22.85|22.84|22.65|22.77|22.67|22.8|22.58|23.03|22.73|22.84|22.6|22.99|22.74|22.83|22.73|22.84|22.77|22.8|23.24|10.93|544167|70070957 4736|ALL|ALL|020002101|US0200021014|The Allstate Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|J|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-3|TXN1-8|TXN2-4|TXN4-3|TXN2-6|261690000|||Quarterly|||||1993-06-03||||||| | | | | | | | | |||N|5|Y|Y|410A|USA|US|||30|3030|303020|30302025|Financials|Insurance|Non-life Insurance|Property and Casualty Insurance|N||N||||||Y|0|Y||Y|1|||138.43|138.61|0.0|138.64|138.64|138.58|138.61|138.59|0.0|0.0|138.6|138.62|138.6|138.73|138.29|138.64|138.65|138.64|138.71|138.64|138.6|138.68|129.6|147.58|138.54|138.68|138.54|138.72|138.57|138.67|138.6|138.67|142.15|100.573|1320568|418673190 41294|ALL PRB|ALLpB|020002309|US0200023093|The Allstate Corporation|5.100% Fixed-To-Floating Rate Subordinated Debentures due 2053|Operating company|B|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN2-1|TXN5-8|TXN2-3|TXN4-5|20000000|||Quarterly|||||2013-01-15|2053-01-15|||||| | | | | | | | | |||N|0|N|N|410A||US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|25.58|0.0|0.0|0.0|25.55|25.59|25.53|0.0|0.0|25.6|25.6|25.58|0.0|0.0|25.59|25.58|25.58|0.0|25.59|25.57|25.59|25.58|25.6|25.03|26.15|0.0|0.0|0.0|0.0|25.57|25.59|26.35|24.5|13509|11042498 64274|ALL PRH|ALLpH|020002838|US0200028381|The Allstate Corporation|Depositary Shares each representing a 1/1,000th interest in a share of Fixed Rate Noncumulative Perpetual Preferred Stock, Series H|Operating company|B|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN1-4|TXN4-8|TXN2-6|TXN3-2|46000000|||Quarterly|||||2019-08-09||||||| | | | | | | | | |||N|0|N|N|410A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||22.63|22.56|0.0|0.0|22.49|22.49|22.42|22.44|0.0|0.0|22.5|22.5|22.47|22.38|22.38|22.42|0.0|22.42|22.175|22.42|22.41|22.5|17.32|27.73|22.0|22.55|17.32|27.73|0.0|0.0|22.41|22.5|24.46|18.38|86913|30292070 65023|ALL PRI|ALLpI|020002812|US0200028126|The Allstate Corporation|Depositary Shares each representing a 1/1,000th interest in a share of Fixed Rate Noncumulative Perpetual Preferred Stock, Series I|Operating company|B|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN4-3|TXN9-8|TXN2-6|TXN1-2|12000000|||Quarterly|||||2019-11-13||||||| | | | | | | | | |||N|0|N|N|410A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||21.04|21.15|0.0|0.0|21.12|21.12|21.1021|21.11|0.0|0.0|21.03|0.0|21.1|0.0|0.0|21.09|0.0|21.03|0.0|21.09|21.03|21.09|0.0|0.0|20.59|21.58|19.95|22.39|0.0|0.0|21.03|21.09|24.16|17.5001|15212|6827405 75789|ALL PRJ|ALLpJ|020002788|US0200027888|The Allstate Corporation|Depositary Shares each representing a 1/1,000th interest in a share of Fixed Rate Noncumulative Perpetual Preferred Stock, Series J|Operating company|B|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN2-3|TXN6-8|TXN1-7|TXN3-8|24000000|||Quarterly|||||2023-05-30||||||| | | | | | | | | |||N|0|N|N|410A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||27.01|27.01|0.0|0.0|27.11|26.98|26.965|26.935|0.0|0.0|27.22|0.0|26.94|27.04|27.06|26.96|26.98|26.935|26.72|26.96|26.89|26.97|26.89|26.97|26.38|27.54|0.0|0.0|0.0|0.0|26.9|26.97|27.32|25.15|43470|17220813 43129|ALLE|ALLE|G0176J109|IE00BFRT3W74|Allegion Public Limited Company|Ordinary Shares|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-6|TXN2-5|TXN9-5|TXN4-4|TXN2-1|87790000|||Quarterly|||||2013-11-18||||||| | | | | | | | | |||N|5|Y|Y|180B|IRL|IE|||50|5020|502020|50202020|Industrials|Industrial Goods and Services|Electronic and Electrical Equipment|Electronic Equipment: Control and Filter|N||N||||||Y|0|Y||Y|1|||107.12|107.15|0.0|107.05|107.15|107.15|107.02|107.03|0.0|0.0|107.04|107.15|107.07|106.94|107.15|107.05|108.41|107.05|107.15|107.05|107.05|107.08|99.85|113.84|107.01|107.11|106.95|107.17|107.05|107.19|107.05|107.08|128.36|95.94|661039|176626682 73715|ALLG|ALLG|N0796A100|NL0015000TA9|Allego N.V.|Ordinary Shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|6|M|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN1-4|TXN6-8|TXN2-6|TXN3-7|267180000|||NotApplicable|||||2022-03-17||||||| | | | | | | | | |||N|0|N|Y|180B|NLD|NL|||60|6010|601020|60102010|Energy|Energy|Alternative Energy|Alternative Fuels |N||N||||||Y|0|Y||Y|2|||1.18|1.17|0.0|1.13|1.16|1.16|1.16|1.17|0.0|0.0|1.18|1.16|1.16|1.169|1.17|1.18|0.0|1.16|1.16|1.18|1.16|1.17|0.944|1.39|1.14|1.22|1.13|1.21|1.12|1.22|1.16|1.17|4.89|0.9853|122969|25476502 61271|ALLK|ALLK|01671P100|US01671P1003|Allakos Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN5-7|TXN11-5|TXN5-1|TXN5-1|87480000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||2.64|2.62|0.0|2.49|2.64|2.62|2.62|2.645|0.0|0.0|2.62|2.63|2.62|2.64|2.64|2.64|2.6|2.62|2.63|2.62|2.6|2.65|2.01|3.19|2.6|2.65|2.59|2.66|2.6|2.64|2.62|2.63|8.73|1.475|1655709|233110199 61938|ALLO|ALLO|019770106|US0197701065|Allogene Therapeutics Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN6-1|TXN13-5|TXN5-8|TXN6-3|168280000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||2.54|2.54|0.0|0.0|2.54|2.55|2.545|2.55|0.0|0.0|2.56|2.55|2.56|2.56|2.56|2.54|2.56|2.54|2.56|2.56|2.53|2.58|1.98|3.12|2.53|2.58|2.52|2.59|2.53|2.56|2.54|2.55|9.6|2.23|2568899|486801953 73005|ALLR|ALLR|016744302|US0167443029|ALLARITY THERAPEUTICS INC|COM 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USD.1||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN6-6|TXN11-6|TXN5-4|TXN6-4|38260000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||ISR||||10|1010|101010|10101010|Technology|Technology|Software and Computer Services|Computer Services|N||N||||||Y|0|Y||||||1.32|1.31|0.0|0.0|1.31|1.315|1.32|1.32|0.0|0.0|1.32|1.32|1.32|0.0|1.3|1.32|0.0|1.32|1.32|1.32|1.08|1.56|1.02|1.56|1.29|1.32|1.28|1.35|1.27|1.36|1.31|1.32|3.925|1.255|208245|23151795 43904|ALLY|ALLY|02005N100|US02005N1000|Ally Financial Inc.|Common Stock, par value $.01 per share|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-2|TXN1-6|TXN2-7|TXN4-4|TXN2-5|301630000|||Quarterly|||||2014-04-10||||||| | | | | | | | | |||N|0|Y|Y|408A|USA|US|||30|3020|302010|30201020|Financials|Financial Services |Finance and Credit Services|Consumer Lending|N||N||||||Y|0|Y||Y|1|||30.78|30.775|0.0|31.04|30.78|30.78|30.78|30.78|0.0|0.0|30.77|30.78|30.775|30.78|30.77|30.78|30.76|30.79|30.795|30.78|30.78|30.79|28.99|32.5|30.76|30.81|30.73|30.82|30.73|30.82|30.78|30.79|35.78|21.585|3877653|1228120526 213|ALNT|ALNT|019330109|US0193301092|Allient Inc|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN5-2|TXN10-6|TXN6-8|TXN5-5|16210000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502020|50202040|Industrials|Industrial Goods and Services|Electronic and Electrical Equipment|Electronic Equipment: Other|N||N||||||N|0|Y||||||0.0|27.19|0.0|27.35|27.54|27.52|27.5|27.485|0.0|0.0|27.0|0.0|27.58|0.0|0.0|0.0|0.0|27.54|0.0|27.58|27.02|28.02|0.0|0.0|27.42|27.61|27.43|27.72|27.54|27.71|27.54|27.58|36.215|25.12|37376|3368075 174|ALNY|ALNY|02043Q107|US02043Q1076|Alnylam Pharmaceuticals Inc|COM USD.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN6-1|TXN12-3|TXN5-4|TXN6-7|125490000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||172.62|172.905|0.0|171.14|172.895|172.94|172.845|172.86|0.0|0.0|172.76|172.15|172.87|172.87|172.2|172.57|171.06|172.87|172.85|172.87|172.65|173.08|162.15|183.1|172.52|173.19|172.47|173.24|172.74|172.88|172.75|172.88|242.97|148.1|387361|155788440 176|ALOT|ALOT|04638F108|US04638F1084|AstroNova Inc|COM USD.05||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN5-3|TXN11-2|TXN5-2|TXN5-5|7430000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101020|10102030|Technology|Technology|Technology Hardware and Equipment|Computer Hardware|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|14.4|14.4516|14.5|0.0|0.0|0.0|0.0|14.36|0.0|0.0|0.0|0.0|14.365|0.0|14.36|0.0|0.0|0.0|0.0|13.83|15.05|0.0|0.0|0.0|0.0|14.25|14.48|17.21|11.45|7560|1891781 50131|ALPN|ALPN|02083G100|US02083G1004|Alpine Immune Sciences Inc|COM USD0.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN6-7|TXN14-2|TXN6-1|TXN5-1|58000000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||16.01|16.0|0.0|15.54|16.01|16.01|16.01|16.005|0.0|0.0|16.01|16.07|16.02|16.02|15.99|16.01|16.06|16.03|16.01|16.02|15.84|16.19|12.54|19.86|15.87|16.17|15.96|19.06|15.99|16.09|16.02|16.06|16.33|5.8101|748005|65098834 58794|ALPP|ALPP|02083E204|US02083E2046|Alpine 4 Holdings Inc|CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-1|TXN6-2|TXN14-1|TXN5-8|TXN5-4|24610000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||||||0.88|0.8701|0.0|0.0|0.9216|0.8999|0.9|0.9216|0.0|0.0|0.9|0.88|0.925|0.0|0.0|0.0|0.0|0.9216|0.0|0.925|0.8165|0.969|0.6802|1.07|0.8531|0.94|0.8484|0.951|0.844|0.9522|0.8705|0.9257|2.9599|0.2499|59763|92106524 50210|ALRM|ALRM|011642105|US0116421050|Alarm.com Holdings Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN5-3|TXN13-3|TXN6-6|TXN6-3|49990000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||||||57.05|57.47|0.0|57.1|57.45|57.46|57.469|57.47|0.0|0.0|57.11|0.0|57.46|57.3|57.35|57.34|0.0|57.39|57.28|57.46|56.91|57.99|43.51|70.42|56.95|57.6|57.34|57.54|57.34|57.46|57.37|57.46|62.64|44.92|263489|53992838 58951|ALRN|ALRN|00887A204|US00887A2042|Aileron Therapeutics Inc|COM 0.001USD||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN5-2|TXN12-3|TXN5-4|TXN5-8|4890000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|2.42|2.4296|2.45|0.0|0.0|2.43|0.0|2.42|0.0|0.0|0.0|0.0|2.42|0.0|2.42|2.28|2.58|1.88|2.58|2.33|2.47|1.94|2.98|0.0|0.0|2.42|2.46|3.3|1.01|26543|9059435 30370|ALRS|ALRS|01446U103|US01446U1034|Alerus Financial Corp|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN5-5|TXN11-7|TXN5-8|TXN5-4|19780000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302020|30202000|Financials|Financial Services |Investment Banking and Brokerage Services |Diversified Financial Services |N||N||||||Y|0|Y||||||0.0|18.8|0.0|0.0|18.76|18.75|18.83|18.765|0.0|0.0|18.78|0.0|18.83|0.0|18.75|18.83|0.0|18.82|0.0|18.83|18.4|19.1|0.0|0.0|18.41|19.07|0.0|0.0|0.0|0.0|18.77|18.87|24.16|13.11|53626|8915231 73238|ALSA|ALSA|G0230C108|KYG0230C1087|Alpha Star Acquisition Corp|COM 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Parts|N||N||||||Y|0|Y||Y|1|||55.03|55.09|0.0|54.94|55.09|55.1|55.1|55.1|0.0|0.0|55.11|55.1|55.095|55.14|54.99|55.11|55.06|55.11|55.0|55.11|55.08|55.11|51.32|58.07|54.88|55.57|55.04|55.16|55.08|55.14|55.08|55.11|61.53|41.08|686998|165656266 6704|ALT|ALT|02155H200|US02155H2004|Altimmune Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN6-1|TXN13-6|TXN5-7|TXN5-7|53730000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||4.62|4.625|0.0|4.61|4.63|4.625|4.63|4.63|0.0|0.0|4.63|4.62|4.63|4.63|4.61|4.625|4.605|4.63|4.62|4.63|4.62|4.7|3.62|5.68|4.62|4.63|4.59|4.66|4.61|4.66|4.62|4.63|17.17|2.09|52958550|527250453 63488|ALTG|ALTG|02128L106|US02128L1061|Alta Equipment Group Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|P|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-7|TXN3-4|TXN3-6|TXN3-4|TXN1-3|32370000|||Quarterly|||||2019-04-25||||||| | | | | | | | | |||N|0|N|Y|408A|USA|US|||40|4040|404010|40401030|Consumer Discretionary|Retail |Retailers |Specialty Retailers |N||N||||||Y|0|Y||Y|2|||10.36|10.4|0.0|10.47|10.4|10.355|10.4|10.41|0.0|0.0|10.4|10.35|10.4|10.35|10.48|10.4|10.32|10.4|10.39|10.4|10.39|10.4|8.11|12.59|10.35|10.59|10.36|10.44|10.35|10.45|10.39|10.4|20.6|8.76|306150|58039047 68652|ALTG PRA|ALTGpA|02128L205|US02128L2051|Alta Equipment Group Inc.|Depositary Shares (each representing 1/1000th in a share of 10% Series A Cumulative Perpetual 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LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-8|TXN3-8|TXN7-8|TXN3-8|TXN2-4|12400000|||Quarterly|||||2020-06-25||ALTL.NV|ALTL.SO|ALTL.EU|ALTL.TC|ALTL.IV| | | | | | | | | |1x|-|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|1|||33.29|33.3|0.0|0.0|33.19|33.29|33.32|33.35|0.0|0.0|0.0|0.0|33.3|0.0|33.35|33.3|33.32|33.3186|0.0|33.3186|33.3|33.36|33.25|33.37|33.3|33.32|33.27|33.36|33.25|33.38|33.3|33.32|42.22|31.04|81006|36095674 3099|ALTO|ALTO|021513106|US0215131063|Alto Ingredients Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN5-5|TXN10-6|TXN5-5|TXN6-6|76140000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||55|5520|552010|55201020|Basic Materials|Chemicals|Chemicals|Specialty Chemicals|N||N||||||Y|0|Y||||||2.59|2.59|0.0|0.0|2.59|2.59|2.59|2.59|0.0|0.0|2.585|2.58|2.59|2.6|2.58|2.585|2.58|2.59|2.58|2.59|2.55|2.61|2.0|3.16|2.55|2.61|2.55|2.62|2.57|2.6|2.58|2.59|4.975|1.2001|985188|291731098 59991|ALTR|ALTR|021369103|US0213691035|Altair Engineering Inc|CL A COM USD.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN6-7|TXN11-4|TXN5-4|TXN6-6|54630000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||||||72.01|71.86|0.0|71.92|71.84|71.87|71.86|71.85|0.0|0.0|71.88|71.87|71.84|0.0|0.0|71.98|70.41|71.86|71.57|71.84|71.3|72.63|55.12|88.82|71.33|72.03|71.72|72.0|71.66|71.95|71.84|71.95|78.4899|43.6772|358646|68449601 68950|ALTU|ALTU|02156Y103|US02156Y1038|Altitude Acquisition Corp|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN5-8|TXN10-2|TXN5-1|TXN5-3|8840000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||10.25|0.0|0.0|0.0|0.0|10.29|10.28|0.0|0.0|0.0|0.0|0.0|10.31|0.0|0.0|0.0|0.0|10.29|0.0|10.29|8.2|12.48|0.0|0.0|9.63|11.03|8.2|12.48|0.0|0.0|10.27|10.45|10.31|9.9|3298|2033200 68419|ALTUU|ALTUU|02156Y202|US02156Y2028|Altitude Acquisition 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|||N|0|N|N||USA||||||||||||N||N||||||N|0|Y|D|||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.029|0.0|0.0|0.0|0.0|0.029|0.0|0.029|0.0|0.0|0.0|0.0|0.0|0.18|0.0|0.0|0.0|0.0|0.0201|0.029|0.115|0.017999|1723|5664393 50292|ALTY|ALTY|37954Y806|US37954Y8066|Global X Alternative Income ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN5-7|TXN10-2|TXN5-1|TXN5-1|3120000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|11.15|0.0|0.0|0.0|0.0|0.0|11.19|0.0|0.0|0.0|0.0|11.15|0.0|11.19|0.0|0.0|0.0|0.0|11.09|11.23|0.0|0.0|0.0|0.0|11.13|11.19|12.0|10.31|5806|3924459 76448|ALUM|ALUM|90290T817|US90290T8172|USCF ETF Trust|USCF Aluminum Strategy Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||United States Commodity Funds |IMC Chicago, LLC, DBA IMC Financial Markets|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN2-5|TXN4-8|TXN2-3|TXN3-1|100000|||Yearly|||||2023-10-06||ALUM.NV|ALUM.SO|ALUM.EU|ALUM.TC| | | | | | | | | | ||The USCF Aluminum Strategy Fund (the Fund) seeks investment results that generally correspond over the long term to the performance of the price of aluminum. The Fund is an actively managed exchange-traded fund (ETF). The Fund seeks to achieve its investment objective by using a proprietary methodology that seeks to provide exposure to the price of aluminum through aluminum-based derivatives investments (Aluminum Derivatives). The Fund will primarily invest in aluminum futures, however, in order to gain the desired economic exposure, the Fund may also invest in cash-settled options, forward contracts, options on futures contracts, and other options. The Fund may invest in Aluminum Derivatives that are traded on U.S. and non-U.S. exchanges. The Fund does not seek to track any specific benchmark or index.|N|0|N|N|416A|USA|US|COMMODITIES_AND_FUTURES|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|29.35|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|29.0471|0.0|29.0471|28.83|29.67|28.96|29.15|28.94|29.15|28.96|29.15|28.96|29.15|28.96|29.15|30.5302|29.0|2305|13382 76095|ALUR|ALUR|02008G102|US02008G1022|Allurion Technologies Holdings, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|S|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN1-5|TXN5-8|TXN1-5|TXN4-4|47510000|||NotApplicable|||||2023-08-02||||||| | | | | | | | | |||N|0|N|Y|140A|USA|US|||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y|C|Y|2|||3.74|3.52|0.0|4.56|3.53|3.5|3.53|3.53|0.0|0.0|0.0|3.62|3.575|3.521|0.0|3.52|0.0|3.52|0.0|3.52|3.52|3.63|0.0|0.0|3.31|3.77|0.0|0.0|0.0|0.0|3.52|3.63|9.0|2.63|42477|9100367 76096|ALUR WS|ALUR.WS|02008G110|US02008G1105|Allurion Technologies Holdings, Inc.|Warrants, each whole warrant exercisable to purchase 1.420455 shares of common stock at an exercise price of $8.10 per share of common stock|Operating company|C|N|N|N|Y|Y|Y|Y|Y|6|S|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN4-8|TXN2-1|TXN5-8|TXN1-4|TXN2-6|47460000|||NotApplicable|||||2023-08-02|2033-08-01|||||| | | | | | | | | 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Parts|N||N||||||Y|0|Y||Y|2|||105.18|105.32|0.0|105.3|105.18|105.3|105.315|105.31|0.0|0.0|105.29|105.29|105.31|105.34|105.305|105.32|105.33|105.315|105.04|105.32|105.29|105.32|80.9|128.03|104.8|105.72|105.18|105.4|105.2|105.37|105.29|105.32|105.89|73.655|533304|229199027 68090|ALVO|ALVO|L01800108|LU2458332611|Alvotech|ORD USD0.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN5-2|TXN14-3|TXN5-6|TXN6-4|267250000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||ISL||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||9.52|9.4|0.0|9.44|9.59|9.5|9.415|9.36|0.0|0.0|9.36|9.36|9.49|9.38|0.0|9.36|0.0|9.4|9.38|9.49|0.0|0.0|0.0|0.0|8.86|9.84|0.0|9.54|9.21|9.69|9.39|9.5|14.6|6.28|158749|19940231 68089|ALVOW|ALVOW|L01800116|LU2458333858|Alvotech|WT EXP 06/15/2027||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN6-1|TXN11-5|TXN6-2|TXN6-1|266020000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||ISL||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|1.56|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|1.51|2.0|0.0|0.0|0.0|0.0|1.51|1.88|3.11|0.4701|3|5749093 67092|ALVR|ALVR|019818103|US0198181036|Allovir Inc|COM USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN5-1|TXN11-4|TXN6-5|TXN5-6|114060000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||2.09|2.09|0.0|0.0|2.08|2.095|2.1|2.09|0.0|0.0|2.09|2.09|2.1|2.1|2.09|2.09|2.09|2.09|2.09|2.1|2.08|2.1|1.62|2.5|2.08|2.1|2.07|2.12|2.08|2.11|2.09|2.1|7.72|1.31|909504|136590307 4748|ALX|ALX|014752109|US0147521092|Alexander's, Inc.|Common Stock|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|6|Q|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN2-5|TXN4-8|TXN2-3|TXN1-4|5110000|||Quarterly|||||1969-10-07||||||| | | | | | | | | |||N|0|N|Y|400A|USA|US|||35|3510|351020|35102045|Real Estate|Real Estate |Real Estate Investment Trusts|Retail REITs|N||N||||||N|0|Y||Y|2|||195.1|184.76|0.0|179.78|185.24|185.0|184.8901|185.0|0.0|0.0|185.0|0.0|184.835|192.0|180.01|185.47|185.21|185.0|190.79|185.47|184.6|184.93|181.27|188.62|181.05|186.0|147.0|222.78|0.0|0.0|184.6|184.93|242.63|155.6|36419|2966168 67008|ALXO|ALXO|00166B105|US00166B1052|Alx Oncology Holdings Inc|COM USD0.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN5-1|TXN10-4|TXN5-8|TXN5-5|49820000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||8.04|8.3|0.0|8.35|8.36|8.31|8.3|8.295|0.0|0.0|8.31|8.34|8.3|8.36|8.29|8.3|8.34|8.3|8.36|8.3|8.29|8.4|6.56|10.14|8.22|8.39|8.27|8.33|8.27|8.32|8.29|8.3|12.33|3.9357|332991|121649024 62209|ALYA|ALYA|01643B106|CA01643B1067|Alithya Group Inc|SUB VTG CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN6-8|TXN11-5|TXN5-2|TXN5-1|88370000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CAN||||10|1010|101010|10101010|Technology|Technology|Software and Computer Services|Computer Services|N||N||||||N|0|Y||||||1.081|1.12|0.0|0.0|1.12|1.1|1.1|1.11|0.0|0.0|1.12|1.11|1.08|1.087|0.0|1.101|1.1|1.1|1.1|1.08|0.9975|1.16|0.0|0.0|1.04|1.16|0.0|0.0|0.0|0.0|1.06|1.1|2.25|1.01|105145|9346068 70871|ALZN|ALZN|02262M407|US02262M4078|Alzamend Neuro Inc|COM USD.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN5-8|TXN10-4|TXN5-4|TXN5-7|6470000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||1.03|1.04|0.0|0.0|1.03|1.04|1.03|1.09|0.0|0.0|1.05|1.03|1.06|1.031|0.0|1.06|0.0|1.03|0.0|1.03|1.0|1.09|0.816|1.28|1.02|1.09|0.9955|1.09|0.9969|1.1|1.03|1.06|2.032|0.1132|105844|49323677 57237|AM|AM|03676B102|US03676B1026|Antero Midstream Corporation|Common Stock, par value $0.01 per share|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|O|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-7|TXN1-6|TXN3-6|TXN1-2|TXN1-6|479710000|||Quarterly|||||2019-03-13||||||| | | | | | | | | |||N|0|Y|Y|134C|USA|US|||60|6010|601010|60101035|Energy|Energy|Oil, Gas and Coal|Pipelines|N||N||||||Y|0|Y||Y|1|||13.38|13.365|0.0|13.37|13.37|13.37|13.36|13.365|0.0|0.0|13.365|13.365|13.37|13.35|13.35|13.37|13.37|13.38|13.365|13.37|13.37|13.38|12.47|14.17|13.36|13.39|13.33|13.4|13.33|13.41|13.37|13.38|13.46|9.56|1659284|567784875 61395|AMAL|AMAL|022671101|US0226711010|Amalgamated Financial Corp|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN6-6|TXN13-6|TXN5-6|TXN6-5|30390000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||||||22.28|22.2|0.0|22.19|22.23|22.3|22.24|22.23|0.0|0.0|22.23|22.23|22.24|0.0|0.0|22.18|0.0|22.24|0.0|22.24|21.98|22.42|16.9|27.23|22.02|22.44|22.19|22.27|22.22|22.28|22.22|22.24|26.89|14.05|101724|31817338 70904|AMAM|AMAM|641871108|US6418711080|Ambrx Biopharma Inc|COM USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN5-8|TXN10-2|TXN6-4|TXN5-7|63150000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||12.02|12.06|0.0|12.05|12.05|12.03|12.05|12.02|0.0|0.0|12.03|12.35|12.02|12.01|12.06|12.02|12.13|12.05|12.02|12.02|11.88|12.21|9.56|14.81|11.89|12.19|11.93|14.81|11.94|12.12|12.02|12.03|16.86|0.38|1256185|395780405 188|AMAT|AMAT|038222105|US0382221051|Applied Materials Inc|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN5-3|TXN10-6|TXN6-8|TXN5-5|836530000|||NotApplicable|||||||||||| | | | | | | | | |||N|5|Y|N||USA||||10|1010|101020|10102020|Technology|Technology|Technology Hardware and Equipment|Production Technology Equipment|N||N||||||Y|0|Y||||||148.25|148.27|0.0|148.27|148.27|148.27|148.26|148.26|0.0|0.0|148.27|148.28|148.27|148.32|148.29|148.3|148.36|148.28|148.39|148.27|148.25|148.32|138.54|156.63|148.26|148.3|148.16|148.39|148.22|148.4|148.26|148.27|157.76|93.675|5859577|1387084815 72370|AMAX|AMAX|85521B783|US85521B7837|Starboard Investment Trust|Adaptive Hedged Multi-Asset Income ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Nottingham|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-6|TXN2-2|TXN9-8|TXN2-5|TXN4-6|4820546|||Monthly|||||2021-11-15||AMAX.NV|AMAX.SO|AMAX.EU|AMAX.TC| | | | | | | | | | |1x|The RH Hedged Multi-Asset Income ETF (the Fund) seeks total return through a combination of capital appreciation and current income.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|7.34|0.0|0.0|0.0|0.0|0.0|7.38|0.0|0.0|0.0|0.0|7.34|0.0|7.34|0.0|0.0|0.0|0.0|7.38|7.41|0.0|0.0|0.0|0.0|7.38|7.41|8.55|6.9|828416|8452096 40828|AMBA|AMBA|G037AX101|KYG037AX1015|Ambarella Inc|COM USD.00045||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN5-8|TXN11-7|TXN6-8|TXN6-5|39880000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101020|10102010|Technology|Technology|Technology Hardware and Equipment|Semiconductors|N||N||||||Y|0|Y||||||58.19|58.19|0.0|56.83|58.15|58.2|58.17|58.17|0.0|0.0|58.01|57.57|58.2|58.18|58.18|58.02|56.5|58.17|0.0|58.2|57.61|58.67|44.08|71.47|57.99|58.63|58.08|58.26|58.11|58.27|58.12|58.18|99.855|43.59|564794|125307616 41912|AMBC|AMBC|023139884|US0231398845|Ambac Financial Group, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|A|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN4-7|TXN6-4|TXN1-8|TXN4-6|45200000|||NotApplicable|||||2020-02-03||||||| | | | | | | | | |||N|0|N|Y||USA|US|||30|3030|303020|30302025|Financials|Insurance|Non-life Insurance|Property and Casualty Insurance|N||N||||||Y|0|Y||Y|2|||14.89|14.89|0.0|14.78|14.89|14.91|14.89|14.88|0.0|0.0|14.88|14.89|14.86|14.9|14.81|14.88|14.91|14.86|14.89|14.88|14.87|14.88|11.41|18.25|14.77|15.03|14.84|14.92|14.83|14.93|14.87|14.88|17.75|11.26|469525|97487482 75387|AMBI|AMBI|G02532102|KYG025321020|Ambipar Emergency Response|Class A Ordinary Shares|Operating company|A|N|Y|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN3-5|TXN4-8|TXN2-3|TXN1-4|16200000|||NotApplicable|||||2023-03-06||||||| | | | | | | | | |||N|0|N|N|180B|BRA|KY|||65|6510|651030|65103035|Utilities|Utilities|Waste and Disposal Services|Waste and Disposal Services|N||N||||||N|0|Y||Y|2|||5.6|6.51|0.0|0.0|5.97|6.7|6.5394|6.72|0.0|0.0|6.98|0.0|6.12|5.43|0.0|0.0|6.51|6.51|6.85|6.51|0.0|0.0|5.87|6.9|6.0|7.35|0.0|0.0|0.0|0.0|5.87|6.9|25.3551|5.26|20687|29860085 75386|AMBI WS|AMBI.WS|G02532110|KYG025321103|Ambipar Emergency Response|Warrants to purchase Class A ordinary shares, each whole warrant exercisable for one Class A ordinary share at an exercise price of $11.50 per share|Operating company|C|N|Y|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN11-5|TXN2-4|TXN9-8|TXN2-1|TXN3-3|1522140000|||NotApplicable|||||2023-03-06|2028-03-03|||||| | | | | | | | | |||N|0|N|N|180B|BRA|KY|||||||||||N||N||||||N|0|Y||N||||0.0|0.0|0.0|0.0|0.0|0.37|0.39|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.39|0.39|0.0|0.39|0.0|0.0|0.384|0.39|0.374|0.406|0.0|0.0|0.0|0.0|0.384|0.39|0.72|0.2979|2419|3598384 61082|AMBO|AMBO|02322P200|US02322P2002|Ambow Education Holding Ltd.|American Depository Shares each representing two Class A ordinary shares|Operating company|H|N|Y|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN10-8|TXN2-8|TXN5-8|TXN4-1|TXN4-4|52020000|||Adhoc|||||2018-06-01||||||| | | | | | | | | |||N|0|N|N|310A|CHN|KY|||40|4020|402010|40201010|Consumer Discretionary|Consumer Products and Services|Consumer Services |Education Services|N||N||||||N|2|Y|C|Y|2|||0.1656|0.1655|0.0|0.0|0.1655|0.1655|0.1656|0.0|0.0|0.0|0.1511|0.1656|0.172|0.0|0.0|0.0|0.178|0.178|0.0|0.178|0.1572|0.1812|0.166|0.1725|0.1545|0.1725|0.1335|0.1987|0.0|0.0|0.166|0.1725|0.6964|0.125|38424|31424395 71345|AMBP|AMBP|L02235106|LU2369833749|Ardagh Metal Packaging S.A.|Shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|8|D|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-5|TXN1-8|TXN8-3|TXN3-8|TXN3-4|597590000|||Quarterly|||||2021-08-05||||||| | | | | | | | | |||N|0|Y|Y|408A|LUX|LU|||50|5020|502030|50203030|Industrials|Industrial Goods and Services|General Industrials|Containers and Packaging|N||N||||||Y|0|Y||Y|1|||4.09|4.095|0.0|0.0|4.1|4.095|4.095|4.095|0.0|0.0|4.095|4.09|4.095|4.09|4.09|4.09|4.095|4.095|4.09|4.09|4.09|4.1|3.82|4.37|4.09|4.11|4.07|4.12|4.09|4.13|4.09|4.1|5.9|2.57|2083712|340989779 71346|AMBP WS|AMBP.WS|L02235114|LU2369834044|Ardagh Metal Packaging S.A.|Warrants, each exercisable for one Share at an exercise price of $11.50 per share|Operating company|C|N|Y|N|Y|Y|Y|Y|Y|8|D|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN6-8|TXN4-7|TXN4-8|TXN2-8|TXN2-8|597600000|||NotApplicable|||||2021-08-05|2026-08-04|||||| | | | | | | | | |||N|0|N|N|408A|LUX|LU|||||||||||N||N||||||N|0|Y|D|N||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0801|0.1|0.064|0.12|0.0775|0.1066|0.064|0.12|0.0|0.0|0.0801|0.1|0.7999|0.03|0|5064526 43302|AMC|AMC|00165C302|US00165C3025|AMC Entertainment Holdings, Inc.|Class A Common Stock,|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|B|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-7|TXN3-8|TXN6-6|TXN2-5|TXN1-2|198360000|||Quarterly|||||2013-12-18||||||| | | | | | | | | |||N|0|Y|Y|144A|USA|US|||40|4030|403010|40301010|Consumer Discretionary|Media|Media|Entertainment|N||N||||||Y|0|Y||Y|1|||7.5|7.49|0.0|7.49|7.5|7.5|7.4918|7.49|0.0|0.0|7.49|7.49|7.495|7.49|7.49|7.49|7.49|7.495|7.485|7.49|7.49|7.5|6.97|7.96|7.49|7.5|7.46|7.52|7.48|7.52|7.49|7.5|16.6|1.94|30553658|7037408850 63808|AMCR|AMCR|G0250X107|JE00BJ1F3079|Amcor plc|Ordinary Shares|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|Q|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-5|TXN2-6|TXN6-4|TXN1-3|TXN2-1|1445340000|||Quarterly|||||2019-06-11||||||| | | | | | | | | |||N|5|Y|Y|136D|CHE|JE|||50|5020|502030|50203030|Industrials|Industrial Goods and Services|General Industrials|Containers and Packaging|N||N||||||Y|0|Y||Y|1|||9.48|9.48|0.0|9.48|9.49|9.48|9.485|9.48|0.0|0.0|9.48|9.48|9.485|9.48|9.49|9.48|9.49|9.485|9.48|9.48|9.48|9.49|8.9|10.13|9.48|9.49|9.46|9.51|9.45|9.52|9.48|9.49|12.78|8.45|10790957|1795750729 38376|AMCX|AMCX|00164V103|US00164V1035|AMC Networks Inc|CL A COM USD0.1||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN6-3|TXN10-3|TXN5-7|TXN5-6|32070000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4030|403010|40301010|Consumer Discretionary|Media|Media|Entertainment|N||N||||||Y|0|Y||||||16.39|16.75|0.0|16.14|16.75|16.75|16.73|16.74|0.0|0.0|16.75|16.65|16.74|16.74|16.58|16.79|16.55|16.74|0.0|16.74|16.62|16.93|12.89|20.49|16.71|16.91|16.7|16.77|16.71|16.76|16.73|16.74|27.46|9.96|441745|97160151 4755|AMD|AMD|007903107|US0079031078|Advanced Micro Devices Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN6-2|TXN11-2|TXN6-4|TXN5-4|1615500000|||NotApplicable|||||||||||| | | | | | | | | |||N|1|Y|N||USA||||10|1010|101020|10102010|Technology|Technology|Technology Hardware and Equipment|Semiconductors|N||N||||||Y|0|Y||||||118.57|118.58|0.0|118.53|118.59|118.59|118.585|118.58|0.0|0.0|118.58|118.58|118.57|118.58|118.57|118.59|118.57|118.6|118.685|118.57|118.56|118.62|110.92|125.0|118.55|118.61|118.52|118.66|118.5|118.67|118.59|118.61|132.83|60.05|39854418|14200778428 76195|AMDS|AMDS|38747R819|US38747R8198|GraniteShares 1x Short AMD Daily ETF|ETF||ETS|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN5-5|TXN10-5|TXN5-8|TXN5-2|30000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|22.305|0.0|0.0|0.0|0.0|0.0|22.08|22.399|0.0|0.0|0.0|22.399|0.0|22.08|22.05|22.15|0.0|0.0|22.08|22.15|0.0|0.0|0.0|0.0|22.08|22.15|28.3219|20.97|852|37530 76327|AMDY|AMDY|88634T477|US88634T4774|Tidal Trust II|Yieldmax AMD Option Income Strategy ETF|Trust|ETS|N|N|P|Y|Y|Y|Y|Y||||||||Tidal ETF Services |Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-1|TXN4-3|TXN4-8|TXN3-3|TXN2-7|1200000|||Monthly|||||2023-09-19||AMDY.NV|AMDY.SO|AMDY.EU|AMDY.TC| | | | | | | | | | |1x|the Fund uses a synthetic covered call strategy to provide income and exposure to the share price returns of AMD, subject to a limit on potential investment gains as a result of the nature of the options strategy it employs.|N|0|N|N|416A|USA|US|HYBRID|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||20.52|20.5|0.0|20.51|20.52|20.5|20.51|20.43|0.0|0.0|20.45|20.5|20.5|20.52|20.33|20.51|0.0|20.53|20.18|20.53|15.99|24.97|15.99|24.97|20.46|20.53|15.99|20.58|20.44|20.55|20.46|20.53|21.31|17.8934|188670|2996882 4756|AME|AME|031100100|US0311001004|AMETEK, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|Q|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-2|TXN2-6|TXN5-5|TXN3-3|TXN4-7|230800000|||Quarterly|||||1930-07-01||||||| | | | | | | | | |||N|5|Y|Y|112A|USA|US|||50|5020|502020|50202025|Industrials|Industrial Goods and Services|Electronic and Electrical Equipment|Electronic Equipment: Gauges and Meters|N||N||||||Y|0|Y||Y|1|||157.28|157.27|0.0|157.23|157.25|157.28|157.26|157.31|0.0|0.0|157.18|156.98|157.28|157.17|156.79|157.29|157.03|157.27|157.3|157.29|157.26|157.28|146.18|166.32|157.21|157.43|157.17|164.45|157.17|157.32|157.26|157.28|164.7499|131.52|1394486|228551778 197|AMED|AMED|023436108|US0234361089|Amedisys Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN6-1|TXN13-7|TXN5-1|TXN6-5|32630000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||USA||||20|2010|201010|20101025|Health Care |Health Care |Health Care Providers|Health Care Services|N||N||||||Y|0|Y||||||93.51|93.55|0.0|0.0|93.55|93.56|93.55|93.55|0.0|0.0|93.55|93.5|93.55|93.34|93.94|93.49|93.67|93.55|93.25|93.55|93.31|93.75|87.1|99.39|93.31|93.74|88.64|98.09|0.0|0.0|93.51|93.55|106.015|69.365|302124|111135452 60267|AMEH|AMEH|03763A207|US03763A2078|Apollo Medical Holdings Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN5-1|TXN14-5|TXN6-4|TXN6-8|58280000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201010|20101010|Health Care |Health Care |Health Care Providers|Health Care Facilities|N||N||||||Y|0|Y||||||34.39|34.87|0.0|34.54|34.86|34.88|34.83|34.84|0.0|0.0|34.85|34.52|34.88|34.3|0.0|34.87|34.82|34.83|0.0|34.88|34.49|35.22|34.73|34.99|34.52|35.17|34.72|35.0|34.83|35.01|34.83|34.89|40.81|26.89|131925|39672592 4758|AMG|AMG|008252108|US0082521081|Affiliated Managers Group, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN3-3|TXN6-8|TXN4-7|TXN1-3|33810000|||Quarterly|||||1997-11-21||||||| | | | | | | | | |||N|0|Y|Y|416A|USA|US|||30|3020|302020|30202010|Financials|Financial Services |Investment Banking and Brokerage Services |Asset Managers and Custodians|N||N||||||Y|0|Y||Y|1|||135.8|137.76|0.0|137.38|136.77|137.635|137.635|137.71|0.0|0.0|137.57|136.78|137.81|137.64|135.65|137.8|135.45|137.8|136.815|137.8|137.75|137.76|128.21|146.09|137.57|137.95|130.69|137.92|137.75|137.94|137.75|137.76|180.63|120.22|159483|61698712 203|AMGN|AMGN|031162100|US0311621009|Amgen Inc|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN6-2|TXN11-3|TXN5-4|TXN5-2|535180000|||NotApplicable|||||||||||| | | | | | | | | |||Y|1|Y|N||USA||||20|2010|201030|20103015|Health Care |Health Care |Pharmaceuticals and Biotechnology|Pharmaceuticals |N||N||||||Y|0|Y||||||272.51|272.6|0.0|272.63|272.51|272.6|272.461|272.53|0.0|0.0|272.71|272.92|272.54|272.69|272.52|272.625|272.53|272.53|272.53|272.54|272.28|272.85|254.34|287.24|272.38|272.63|257.72|272.77|272.42|272.68|272.45|272.53|288.46|211.71|2357389|570217434 42428|AMH|AMH|02665T306|US02665T3068|American Homes 4 Rent|Class A Common Shares of Beneficial Interest|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|8|R|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-1|TXN2-1|TXN3-4|TXN4-6|TXN4-2|361420000|||Quarterly|||||2013-08-01||||||| | | | | | | | | |||N|0|Y|Y|414A|USA|US|||35|3510|351020|35102040|Real Estate|Real Estate |Real Estate Investment Trusts|Residential REITs|N||N||||||Y|0|Y||Y|1|||35.9|35.89|0.0|35.6|35.9|35.895|35.9|35.9|0.0|0.0|35.9|35.91|35.89|35.9|35.91|35.89|35.9|35.89|35.915|35.89|35.89|35.9|33.6|38.01|35.86|35.9|35.86|35.93|35.85|35.94|35.89|35.9|37.97|28.785|4925369|517946372 59202|AMH PRG|AMHpG|02665T876|US02665T8760|American Homes 4 Rent|Series G cumulative redeemable perpetual preferred shares of beneficial interest, $0.01 par value per share|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN2-7|TXN6-8|TXN2-4|TXN4-8|4600000|||Quarterly|||||2017-07-19||||||| | | | | | | | | |||N|0|N|N|414A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|23.35|0.0|0.0|0.0|23.48|23.59|23.31|0.0|0.0|23.48|0.0|23.42|0.0|0.0|23.59|0.0|23.59|0.0|23.59|23.23|23.57|0.0|0.0|22.77|24.12|0.0|0.0|0.0|0.0|23.23|23.57|24.985|19.53|2078|1508214 61821|AMH PRH|AMHpH|02665T868|US02665T8687|American Homes 4 Rent|6.25% Series H Cumulative Redeemable Perpetual Preferred Shares of Beneficial Interest, $0.01 par value per share|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN1-2|TXN5-8|TXN3-8|TXN1-5|4600000|||Quarterly|||||2018-09-24||||||| | | | | | | | | |||N|0|N|N|414A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|24.58|24.5403|24.5|0.0|0.0|0.0|0.0|24.51|23.72|0.0|24.58|0.0|24.56|0.0|24.58|24.58|24.63|0.0|0.0|24.07|25.1|0.0|0.0|0.0|0.0|24.58|24.63|25.81|21.7472|7694|2207270 74479|AMID|AMID|02072L839|US02072L8393|Argent Mid Cap ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN5-8|TXN13-3|TXN6-2|TXN5-2|1410000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|28.19|0.0|0.0|0.0|0.0|27.57|0.0|28.19|0.0|0.0|0.0|0.0|28.18|28.27|0.0|0.0|0.0|0.0|28.19|28.26|28.1943|22.9384|621|489150 30716|AMJ|AMJ|46625H365|US46625H3654|JPMorgan Chase & Co.|Alerian MLP Index ETN due May 24, 2024|Operating company|ETN|N|N|P|Y|Y|Y|Y|Y||||||||JPMorgan Chase|Wolverine Trading, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-3|TXN1-8|TXN7-3|TXN1-1|TXN2-5|119000000|||Quarterly|||||2009-04-02|2024-05-24| |AMJ.SO| | |AMJ.IV| | | | | | | | | |1x|JPMorgan Alerian MLP Index Exchange Traded Notes provide convenient access to midstream energy MLPs. The ETNs pay a variable quarterly coupon linked to the cash distributions paid on the MLPs in the index, less accrued tracking fees. The Alerian MLP Index is a market-cap weighted, float-adjusted index created to provide a comprehensive benchmark for investors to track the performance of the energy MLP sector. The Index components are selected by Alerian Capital Management, LLC.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|8|Y||Y|1|||25.94|25.94|0.0|0.0|25.955|25.94|25.955|25.96|0.0|0.0|25.96|25.95|25.94|25.94|25.94|25.94|25.91|25.96|0.0|25.96|25.87|27.3|25.84|26.09|25.9|25.96|25.87|26.09|25.87|26.04|25.84|25.96|26.13|20.71|391161|79029131 64076|AMK|AMK|04546L106|US04546L1061|AssetMark Financial Holdings, Inc.|Common Stock, $0.001 par value per share|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|A|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN3-8|TXN5-8|TXN3-3|TXN2-6|74270000|||NotApplicable|||||2019-07-18||||||| | | | | | | | | |||N|0|N|Y|408A|USA|US|||30|3020|302020|30202010|Financials|Financial Services |Investment Banking and Brokerage Services |Asset Managers and Custodians|N||N||||||Y|0|Y||Y|2|||26.29|26.375|0.0|26.24|26.36|26.36|26.36|26.37|0.0|0.0|26.34|26.16|26.38|26.38|0.0|26.39|25.86|26.39|26.41|26.39|26.38|26.39|20.06|32.15|26.3|26.45|26.33|26.43|26.34|26.45|26.38|26.39|33.0|22.58|98092|28273593 208|AMKR|AMKR|031652100|US0316521006|Amkor Technology Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN6-2|TXN14-4|TXN5-5|TXN6-4|245770000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101020|10102020|Technology|Technology|Technology Hardware and Equipment|Production Technology Equipment|N||N||||||Y|0|Y||||||28.44|28.42|0.0|28.34|28.44|28.425|28.43|28.43|0.0|0.0|28.45|28.47|28.42|28.42|28.475|28.44|28.475|28.43|28.44|28.42|28.4|28.48|21.67|34.42|28.39|28.5|28.4|28.46|28.4|28.46|28.42|28.43|31.38|17.5814|737976|239152121 53745|AMLI|AMLI|027259209|CA0272592092|American Lithium Corp|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN6-1|TXN11-5|TXN6-6|TXN6-1|214660000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CAN||||55|5510|551030|55103030|Basic Materials|Basic Resources|Precious Metals and Mining|Platinum and Precious Metals|N||N||||||N|0|Y||||||1.17|1.17|0.0|0.0|1.18|1.175|1.175|1.17|0.0|0.0|1.18|1.17|1.15|1.189|0.0|1.17|1.18|1.16|1.19|1.15|1.16|1.21|0.888|1.42|1.16|1.2|1.14|1.21|1.13|1.22|1.16|1.18|3.83|1.0|239974|106643156 35660|AMLP|AMLP|00162Q452|US00162Q4525|ALPS ETF Trust|Alerian MLP ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ALPS|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-1|TXN4-1|TXN4-7|TXN2-2|TXN2-7|169807420|||Quarterly|||||2010-08-24||AMLP.NV|AMLP.SO|AMLP.EU|AMLP.TC|AMLP.IV| | | | | | | | | |1x|The Fund seeks investment results that correspond (before fees and expenses) generally to the price and yield performance of its underlying index, the Alerian MLP Infrastructure Index (the Index). The Fund employs a passive management - or indexing - investment approach designed to track the performance of the Index. The Index is a rules based, modified capitalization weighted, float adjusted index intended to give investors a means of tracking the overall performance of the United States energy infrastructure Master Limited Partnership (MLP) asset class. The Index was developed by Alerian, a leading provider of objective MLP benchmarks, data and analytics. The Index is comprised of 25 energy infrastructure MLPs that earn a majority of their cash flow from the transportation, storage and processing of energy commodities.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||44.19|44.19|0.0|44.08|44.2|44.19|44.19|44.19|0.0|0.0|44.2|44.19|44.19|44.21|44.19|44.19|44.19|44.15|44.2|44.15|43.75|44.67|44.0|44.4|44.19|44.2|44.03|44.4|44.04|44.36|44.19|44.2|44.43|35.68|1324839|322144120 73129|AMLX|AMLX|03237H101|US03237H1014|Amylyx Pharmaceuticals Inc|COM USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN6-3|TXN11-4|TXN5-8|TXN5-4|67520000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||14.5|14.45|0.0|14.45|14.46|14.445|14.455|14.445|0.0|0.0|14.45|14.45|14.46|14.46|14.45|14.44|14.52|14.46|14.46|14.46|14.32|14.62|11.16|18.04|14.34|14.6|14.43|14.49|14.43|14.48|14.45|14.46|41.9297|11.82|1124634|269702996 4681|AMN|AMN|001744101|US0017441017|AMN Healthcare Services, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|T|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN2-2|TXN9-8|TXN2-4|TXN4-5|37790000|||NotApplicable|||||2001-11-13||||||| | | | | | | | | |||N|0|N|Y|122B|USA|US|||50|5020|502050|50205020|Industrials|Industrial Goods and Services|Industrial Support Services|Professional Business Support Services|N||N||||||Y|0|Y||Y|2|||72.89|72.88|0.0|72.42|72.95|72.88|72.94|72.89|0.0|0.0|72.77|72.74|72.95|72.91|72.88|72.94|72.54|72.94|72.88|72.94|72.93|72.94|55.39|88.43|72.68|73.05|55.39|73.03|72.76|73.02|72.93|72.94|122.975|57.8|493987|161303263 66793|AMNA|AMNA|90269A351|US90269A3510|UBS AG|ETRACS Alerian Midstream Energy Index ETN|Operating company|ETN|N|N|P|Y|Y|Y|Y|Y||||||||UBS|IMC Chicago, LLC, DBA IMC Financial Markets|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-6|TXN2-2|TXN2-8|TXN1-4|TXN2-5|2000000|||Quarterly|||||2020-06-22|2050-06-21|AMNA.NV|AMNA.SO|AMNA.EU|AMNA.TC|AMNA.IV| | | | | | | | | |1x|ETRACS Alerian Midstream Energy Index ETN is an exchange-traded note issued in the USA. It provides exposure to the performance of the Alerian Midstream Energy price return Index. The underlying index is a broad based composite of North American energy infrastructure companies. The Securities are senior unsecured debt securites.|N|0|N|N|416A||CH|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|39.5551|0.0|39.5551|0.0|0.0|0.0|0.0|39.44|39.7|0.0|0.0|0.0|0.0|39.44|39.7|39.7254|34.5558|0|35650 211|AMNB|AMNB|027745108|US0277451086|American National Bankshares Inc|COM USD1.0||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN5-6|TXN11-5|TXN6-5|TXN6-6|10630000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||||||0.0|0.0|0.0|0.0|0.0|43.1|43.01|0.0|0.0|0.0|43.01|0.0|43.48|0.0|0.0|0.0|0.0|43.44|0.0|43.48|42.75|43.97|0.0|0.0|42.83|43.81|0.0|0.0|0.0|0.0|43.34|43.49|43.94|25.26|12300|7265069 66932|AMND|AMND|90269A252|US90269A2520|UBS AG|ETRACS Alerian Midstream Energy High Dividend Index ETN due July 19, 2050|Operating company|ETN|N|N|P|Y|Y|Y|Y|Y||||||||UBS|IMC Chicago, LLC, DBA IMC Financial Markets|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-2|TXN1-8|TXN3-8|TXN2-4|TXN3-2|1000000|||Quarterly|||||2020-07-16|2050-07-19|AMND.NV|AMND.SO|AMND.EU|AMND.TC|AMND.IV| | | | | | | | | |1x|ETRACS Alerian Midstream Energy High Dividend Index ETN is an exchange-traded note issued in the USA. It provides exposure to the performance of the Alerian Midstream Energy Dividend price return Index. The underlying index is a fundamentally-weighted index based on the liquid, dividend-paying portion of the North American energy infrastructure market. The Securities are senior unsecured debt securites.|N|0|N|N|416A||CH|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|39.6999|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|41.2819|0.0|41.2819|0.0|0.0|0.0|0.0|41.17|41.44|30.65|45.42|0.0|0.0|41.17|41.44|41.2824|35.769|45|15562 63658|AMOM|AMOM|30151E780|US30151E7803|Exchange Listed Funds Trust|QRAFT AI-Enhanced US Large Cap Momentum ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Exchange Traded Concepts|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-6|TXN3-7|TXN7-7|TXN3-5|TXN3-3|450001|||Quarterly|||||2019-05-21||AMOM.NV|AMOM.SO|AMOM.EU|AMOM.TC|AMOM.IV| | | | | | | | | ||The QRAFT AI-Enhanced US Large Cap Momentum ETF (the Fund) seeks capital appreciation. In pursuing the Funds investment objective, the Adviser consults a database generated by Qrafts AI Quantitative Investment System (AQUA), which automatically selects and weights portfolios of U.S. large cap companies to provide exposure to a portfolio of 50 companies that have had higher returns relative to their similar-sized peers over a period of time. |N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||Y|0|Y||Y|2|||0.0|30.44|0.0|0.0|0.0|32.06|32.05|30.275|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|32.1289|0.0|32.1289|31.79|32.45|32.02|32.08|32.1|32.14|32.1|32.14|0.0|0.0|32.1|32.14|32.54|25.88|1659|633662 4769|AMP|AMP|03076C106|US03076C1062|Ameriprise Financial, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-6|TXN3-2|TXN1-8|TXN2-4|TXN4-5|101200000|||Quarterly|||||2005-09-15||||||| | | | | | | | | |||N|5|Y|Y|408A|USA|US|||30|3020|302020|30202010|Financials|Financial Services |Investment Banking and Brokerage Services |Asset Managers and Custodians|N||N||||||Y|0|Y||Y|1|||353.86|354.08|0.0|353.98|353.85|353.96|353.74|353.865|0.0|0.0|353.94|352.98|353.92|353.1|353.85|353.74|353.13|353.74|353.98|353.74|353.73|353.74|333.58|378.83|353.56|354.02|353.5|354.13|353.73|354.26|353.73|353.74|358.14|275.09|739060|123775329 75744|AMPD|AMPD|88636J808|US88636J8080|Tidal Trust II|CNIC ICE U.S. Carbon Neutral Power Futures Index ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Tidal ETF Services |Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-1|TXN4-6|TXN3-8|TXN2-7|TXN3-4|200000|||Yearly|||||2023-05-19||AMPD.NV|AMPD.SO|AMPD.EU|AMPD.TC| | | | | | | | | | |1x|The Fund seeks to replicate the total return performance of The ICE U.S. Carbon Neutral Power Index (the Index), an index owned, calculated, andpublished daily by ICE Data Indices LLC (the Index Provider). The Fund is a passively managed exchange-traded fund (ETF). The Fundsinvestment adviser (the Adviser) seeks to achieve its investment objective by investing the Funds assets in liquid U.S. electricity futures and carbonallowance futures contracts|N|0|N|N|416A|USA|US|COMMODITIES_AND_FUTURES|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|23.9|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|23.8954|0.0|23.8954|23.83|23.97|23.83|23.97|23.88|23.94|23.83|23.98|23.83|23.94|23.88|23.94|25.76|22.63|75|151632 74950|AMPE|AMPE|03209T307|US03209T3077|Ampio Pharmaceuticals Inc.|Common Stock|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-3|TXN3-8|TXN2-8|TXN2-6|TXN3-6|830000|||NotApplicable|||||2022-11-22||||||| | | | | | | | | |||N|0|N|N|140A|USA|US|||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y|C|Y|2|||2.67|2.61|0.0|0.0|2.63|2.63|2.5901|2.74|0.0|0.0|2.63|2.75|2.59|2.78|3.1|2.78|2.67|2.67|0.0|2.67|2.31|3.13|2.6|2.61|2.45|2.77|2.31|3.13|0.0|0.0|2.6|2.61|7.47|0.1677|285557|84041740 57446|AMPG|AMPG|03211Q200|US03211Q2003|AmpliTech Group Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN5-7|TXN13-1|TXN5-4|TXN6-6|9690000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502050|50205020|Industrials|Industrial Goods and Services|Industrial Support Services|Professional Business Support Services|N||N||||||N|0|Y||||||0.0|1.73|0.0|0.0|1.72|1.73|1.715|0.0|0.0|0.0|0.0|1.63|1.72|0.0|0.0|0.0|1.7|1.73|0.0|1.73|1.61|1.83|1.37|2.11|1.64|1.8|1.37|2.01|0.0|0.0|1.71|1.73|3.57|1.5|13660|10349499 69235|AMPGW|AMPGW|03211Q119|US03211Q1195|AmpliTech Group Inc|WT EXP 010126||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-8|TXN6-3|TXN14-3|TXN5-8|TXN6-5|9690000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y|C|||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.13|0.0|0.0|0.0|0.0|0.13|0.0|0.13|0.0|0.0|0.0|0.0|0.0|2.68|0.0|0.0|0.0|0.0|0.12|0.152|0.7571|0.0301|100|576654 44517|AMPH|AMPH|03209R103|US03209R1032|Amphastar Pharmaceuticals Inc|COM USD.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN5-3|TXN14-3|TXN6-5|TXN5-1|47910000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103015|Health Care |Health Care |Pharmaceuticals and Biotechnology|Pharmaceuticals |N||N||||||Y|0|Y||||||60.32|59.91|0.0|60.39|60.01|59.94|59.91|59.92|0.0|0.0|60.07|60.09|59.92|60.07|60.05|60.33|60.39|59.95|60.36|59.92|59.47|60.5|46.46|74.19|59.5|60.45|59.81|60.09|59.87|60.04|59.92|60.01|67.66|27.58|757502|91495722 71826|AMPL|AMPL|03213A104|US03213A1043|Amplitude Inc|COM CL A USD0.00001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN5-1|TXN11-4|TXN6-1|TXN5-5|83670000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||||||11.47|11.455|0.0|0.0|11.46|11.455|11.44|11.46|0.0|0.0|11.46|11.4|11.47|11.46|11.42|11.45|11.45|11.45|11.46|11.47|11.42|11.48|8.92|14.09|11.42|11.47|11.43|11.49|11.44|11.49|11.45|11.47|16.95|8.5|549396|131695611 68975|AMPS|AMPS|02217A102|US02217A1025|Altus Power, Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|O|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN1-5|TXN5-3|TXN3-7|TXN1-6|158990000|||NotApplicable|||||2021-02-01||||||| | | | | | | | | |||N|0|N|Y|408A|USA|US|||65|6510|651010|65101010|Utilities|Utilities|Electricity|Alternative Electricity|N||N||||||Y|0|Y||Y|2|||5.295|5.3|0.0|5.3|5.3|5.295|5.3|5.3|0.0|0.0|5.295|5.3|5.295|5.29|5.29|5.3|5.295|5.3|5.3|5.3|5.29|5.3|4.14|6.54|5.29|5.32|5.27|5.32|5.29|5.33|5.29|5.3|8.58|4.08|972327|284954553 74625|AMPX|AMPX|03214Q108|US03214Q1085|Amprius Technologies, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|O|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN1-8|TXN5-8|TXN3-5|TXN3-4|88400000|||NotApplicable|||||2022-09-15||||||| | | | | | | | | |||N|0|N|Y|408A|USA|KY|||50|5020|502020|50202010|Industrials|Industrial Goods and Services|Electronic and Electrical Equipment|Electrical Components |N||N||||||Y|0|Y||Y|2|||4.43|4.445|0.0|4.33|4.43|4.44|4.45|4.435|0.0|0.0|4.44|4.44|4.45|4.43|4.42|4.45|4.21|4.45|4.43|4.45|4.44|4.45|3.44|5.4|4.39|4.49|4.41|4.47|4.42|4.47|4.44|4.45|10.63|2.6|249232|69577846 73920|AMPX WS|AMPX.WS|03214Q116|US03214Q1168|Amprius Technologies, Inc.|Warrants to purchase one share of Common Stock at an exercise price of $11.50 per share|Operating company|C|N|N|N|Y|Y|Y|Y|Y|6|O|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN2-8|TXN1-2|TXN5-8|TXN1-5|TXN2-5|87640000|||NotApplicable|||||2022-04-22|2027-09-14|||||| | | | | | | | | |||N|0|N|N|408A|USA|KY|||||||||||N||N||||||N|0|Y||N||||0.0|0.0|0.0|0.0|0.0|0.0|0.2551|0.28|0.0|0.0|0.241|0.0|0.26|0.0|0.0|0.26|0.0|0.26|0.0|0.26|0.2595|0.3195|0.2163|0.3762|0.25|0.3407|0.2163|0.3762|0.0|0.0|0.26|0.3241|0.7975|0.13|10291|12286888 54182|AMPY|AMPY|03212B103|US03212B1035|Amplify Energy Corp.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-4|TXN4-3|TXN5-7|TXN2-1|TXN1-3|39100000|||Quarterly|||||2017-05-04||||||| | | | | | | | | |||N|0|N|Y|134A|USA|US|||60|6010|601010|60101010|Energy|Energy|Oil, Gas and Coal|Oil: Crude Producers|N||N||||||Y|0|Y||Y|2|||6.04|6.045|0.0|5.89|6.04|6.045|6.045|6.045|0.0|0.0|6.04|6.04|6.04|6.02|6.0|6.05|5.99|6.045|6.05|6.05|6.04|6.05|4.64|7.32|6.02|6.05|6.02|6.07|6.01|6.08|6.04|6.05|10.23|5.84|678883|124692908 62272|AMR|AMR|020764106|US0207641061|Alpha Metallurgical Resources, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|D|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN1-1|TXN1-8|TXN2-1|TXN3-6|13280000|||Quarterly|||||2018-11-09||||||| | | | | | | | | |||N|0|N|Y|134B|USA|US|||60|6010|601010|60101040|Energy|Energy|Oil, Gas and Coal|Coal|N||N||||||Y|0|Y||Y|2|||291.57|293.89|0.0|293.91|291.58|294.0|294.37|293.9|0.0|0.0|293.04|295.36|294.39|293.62|292.14|294.4|292.21|294.4|292.91|294.4|294.14|294.4|223.64|359.18|290.98|296.69|293.42|294.95|294.15|294.98|294.14|294.4|297.36|130.54|219397|64362993 35494|AMRC|AMRC|02361E108|US02361E1082|Ameresco, Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|I|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-7|TXN4-5|TXN4-7|TXN1-7|TXN1-5|34240000|||NotApplicable|||||2010-07-22||||||| | | | | | | | | |||N|0|N|Y|170A|USA|US|||60|6010|601020|60102020|Energy|Energy|Alternative Energy|Renewable Energy Equipment |N||N||||||Y|0|Y||Y|2|||32.32|32.39|0.0|32.32|32.36|32.37|32.39|32.41|0.0|28.55|32.37|32.34|32.37|32.32|32.36|32.36|32.36|32.35|32.36|32.36|32.34|32.35|24.83|39.34|32.29|32.44|32.28|32.45|32.34|32.48|32.34|32.35|68.39|18.4|440985|94380093 43765|AMRK|AMRK|00181T107|US00181T1079|A-Mark Precious Metals Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN5-3|TXN14-2|TXN5-4|TXN5-8|23210000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4040|404010|40401030|Consumer Discretionary|Retail |Retailers |Specialty Retailers |N||N||||||Y|0|Y||||||30.15|30.5|0.0|30.17|30.5|30.555|30.5427|30.48|0.0|0.0|30.54|30.01|30.55|30.54|29.99|30.54|29.69|30.555|30.26|30.55|30.21|31.03|23.37|36.77|30.28|30.98|30.47|30.62|0.0|0.0|30.54|30.56|42.11|23.14|298646|54478910 222|AMRN|AMRN|023111206|US0231112063|Amarin Corp PLC|SPON ADR||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-1|TXN6-6|TXN10-2|TXN6-8|TXN6-2|387900000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||IRL||||20|2010|201030|20103015|Health Care |Health Care |Pharmaceuticals and Biotechnology|Pharmaceuticals |N||N||||||Y|0|Y||||||0.7058|0.7058|0.0|0.706|0.71|0.704|0.704101|0.703|0.0|0.0|0.703|0.703|0.704|0.707|0.7027|0.7026|0.731|0.704101|0.707|0.704|0.6862|0.7237|0.5944|0.8636|0.7|0.721|0.6846|0.7237|0.6796|0.7074|0.704|0.706|2.23|0.651|3035774|651950918 60962|AMRX|AMRX|03168L105|US03168L1052|Amneal Pharmaceuticals, Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|T|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN3-6|TXN1-8|TXN1-4|TXN4-7|306540000|||NotApplicable|||||2018-05-07||||||| | | | | | | | | |||N|0|N|Y|140A|USA|US|||20|2010|201030|20103015|Health Care |Health Care |Pharmaceuticals and Biotechnology|Pharmaceuticals |N||N||||||Y|0|Y||Y|2|||4.71|4.71|0.0|4.72|4.7|4.71|4.715|4.71|0.0|0.0|4.71|4.705|4.71|4.7|4.71|4.71|4.695|4.71|4.71|4.71|4.71|4.72|3.66|5.76|4.69|4.73|4.68|4.75|4.67|4.73|4.71|4.72|4.77|1.24|1356220|259211955 4771|AMS|AMS|029595105|US0295951059|American Shared Hospital Services|Common Stock|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||J. Streicher & Co. L.L.C.|JSCO|3856|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-6|TXN3-2|TXN6-8|TXN3-8|TXN1-8|6300000|||NotApplicable|||||1988-06-16||||||| | | | | | | | | |||N|0|N|N|140A|USA|US|||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|2.4473|0.0|0.0|0.0|0.0|0.0|2.45|0.0|0.0|0.0|2.43|2.43|0.0|2.43|0.0|0.0|2.4|2.42|2.3|2.56|0.0|0.0|0.0|0.0|2.4|2.42|3.75|2.1606|2345|3871649 223|AMSC|AMSC|030111207|US0301112076|American Superconductor Corp|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN5-2|TXN10-7|TXN5-8|TXN5-8|30320000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||60|6010|601020|60102020|Energy|Energy|Alternative Energy|Renewable Energy Equipment |N||N||||||Y|0|Y||||||9.83|9.845|0.0|9.84|9.85|9.87|9.85|9.855|0.0|0.0|9.85|9.89|9.86|9.773|9.85|9.85|9.84|9.85|9.83|9.86|9.77|9.96|9.84|9.89|9.78|9.95|9.83|9.89|9.84|9.89|9.86|9.87|17.37|3.2019|537839|216932327 15699|AMSF|AMSF|03071H100|US03071H1005|AMERISAFE Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN5-2|TXN11-2|TXN5-4|TXN5-5|19180000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3030|303020|30302025|Financials|Insurance|Non-life Insurance|Property and Casualty Insurance|N||N||||||N|0|Y||||||0.0|48.43|0.0|48.48|48.47|48.56|48.4615|48.48|0.0|0.0|48.5|0.0|48.49|48.46|0.0|48.7|48.56|48.48|0.0|48.49|48.06|48.98|36.83|59.33|48.07|48.49|48.35|48.59|48.42|48.6|48.44|48.49|57.06|47.26|146700|19679798 67647|AMST|AMST|031094204|US0310942042|Amesite Inc|COM 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Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-3|TXN5-2|TXN13-3|TXN5-8|TXN6-7|41850000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||0.2|0.201|0.0|0.0|0.207|0.2038|0.199|0.199|0.0|0.0|0.2029|0.2029|0.199|0.201|0.0|0.0|0.0|0.199|0.0|0.199|0.1568|0.2388|0.1568|0.2388|0.1948|0.203|0.1568|0.2388|0.0|0.0|0.1989|0.199|1.31|0.1343|137347|111314404 67934|AMTR|AMTR|90269A245|US90269A2454|UBS AG|ETRACS Alerian Midstream Energy Total Return Index ETN|Operating company|ETN|N|N|P|Y|Y|Y|Y|Y||||||||UBS|IMC Chicago, LLC, DBA IMC Financial 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It provides exposure to the performance of the Alerian Midstream Energy Adjusted Net Total Return Index. The underlying index is a broad based composite of North American energy infrastructure companies. 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Investing in the Securities involves significant risks. The ETNs do not guarantee any return of your initial investment. You may lose some or all of your principal at maturity, early redemption or upon exercise by UBS of its call right if the level of the Index as measured by the VWAP Level declines or does not increase by an amount sufficient to offset the Accrued Tracking Fee and the Redemption Fee Amount, if applicable. The Securities may pay a quarterly coupon during their term. You will receive a cash payment at maturity or upon exercise by UBS of its call right, based on the performance of the Index less the Accrued Tracking Fee, as described herein. You will receive a cash payment upon early redemption based on the performance of the Index less the Accrued Tracking Fee and the Redemption Fee Amount, as described herein. Payment at maturity or upon early redemption is subject to the creditworthiness of UBS. In addition, the actual and perceived creditworthiness of UBS will affect the market value, if any, of the Securities prior to maturity, call or early redemption. |N|0|N|N|416A||CH|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|16.3|16.07|16.3384|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|16.354|16.31|16.354|0.0|0.0|16.26|16.41|16.34|16.37|16.29|16.42|16.29|16.42|16.34|16.37|16.39|13.23|2556|889959 232|AMWD|AMWD|030506109|US0305061097|American Woodmark Corp|COM USD.1||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN6-1|TXN13-7|TXN6-4|TXN5-1|16030000|||NotApplicable|||||||||||| | | | | | | | | 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Services|N||N||||||Y|0|Y||Y|2|||1.34|1.34|0.0|1.32|1.34|1.335|1.335|1.335|0.0|0.0|1.335|1.34|1.335|1.33|1.34|1.33|1.34|1.34|1.34|1.33|1.33|1.34|1.04|1.58|1.33|1.34|1.3|1.37|1.33|1.38|1.33|1.34|4.275|0.9251|1531181|332706359 4776|AMX|AMX|02390A101|US02390A1016|America Movil, S.A.B. de C.V.|American Depositary Shares (each representing the right to receive twenty (20) Series B Shares)|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-7|TXN2-7|TXN3-2|TXN3-2|TXN1-7|62782200000|||BiAnnually|||||2023-03-16||||||| | | | | | | | | |||N|0|N|Y|306A|MEX|MX|||15|1510|151020|15102015|Telecommunications|Telecommunications|Telecommunications Service Providers |Telecommunications Services|N||N||||||Y|0|Y||Y|2|||18.36|18.355|0.0|0.0|18.36|18.355|18.355|18.35|0.0|0.0|18.36|18.35|18.35|18.36|18.35|18.35|18.355|18.35|18.34|18.35|18.35|18.36|14.21|22.39|18.35|18.37|18.27|18.43|18.27|18.43|18.35|18.36|23.07|15.995|1860035|404438411 46087|AMZA|AMZA|26923G772|US26923G7723|ETFis Series Trust I|InfraCap MLP ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Virtus ETF Advisers |Wolverine Trading, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-7|TXN1-1|TXN6-8|TXN4-1|TXN3-5|9515000.4|||Monthly|||||2014-10-02||AMZA.NV|AMZA.SO|AMZA.EU|AMZA.TC|AMZA.IV| | | | | | | | | ||InfraCapMLP ETF(Ticker:AMZA)(the Fund) seeks total return primarily through investments in equity securities of publicly-traded master limited partnerships and limited liability companies taxed as partnerships 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Retailers|N||N||||||Y|0|Y||||||144.81|144.88|0.0|144.84|144.8|144.88|144.879|144.85|0.0|0.0|144.88|144.83|144.84|144.86|144.82|144.835|144.81|144.88|144.86|144.84|144.85|144.9|144.76|144.93|144.87|144.9|144.77|144.93|0.0|0.0|144.87|144.89|149.26|81.43|48294244|13870112679 76529|AMZP|AMZP|78433H733|US78433H7338|Kurv Yield Premium Strategy Amazon (AMZN) ETF|ETF||ETS|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-3|TXN4-1|TXN4-8|TXN1-1|TXN3-2|20000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|26.5137|0.0|0.0|0.0|0.0|26.6799|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|26.5137|0.0|26.5137|26.48|26.55|26.36|26.43|26.48|26.59|0.0|0.0|0.0|0.0|26.48|26.55|26.8664|24.97|263|16230 74554|AMZU|AMZU|25461A858|US25461A8586|Direxion Daily AMZN Bull 1.5X Shares|ETF||ETS|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN5-6|TXN10-4|TXN6-3|TXN5-5|1750001|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|25.95|0.0|0.0|25.94|25.96|25.95|25.74|0.0|0.0|25.95|25.8|26.0|25.859|25.98|26.0|0.0|25.95|0.0|26.0|25.95|26.0|20.25|31.39|25.95|25.98|20.25|31.39|0.0|0.0|25.95|25.98|27.18|12.3199|220293|44761814 76040|AMZY|AMZY|88634T840|US88634T8403|Tidal Trust II|YieldMax AMZN Option Income Strategy ETF|Trust|ETS|N|N|P|Y|Y|Y|Y|Y||||||||Tidal ETF Services |Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN4-8|TXN7-8|TXN1-4|TXN3-4|1975000|||Monthly|||||2023-07-25||AMZY.NV|AMZY.SO|AMZY.EU|AMZY.TC| | | | | | | | | | ||the Fund uses a synthetic covered call strategy to provide income and exposure to the share price returns of AMZN, subject to a limit on potential investment gains as a result of the nature of the options strategy it employs.|N|0|N|N|416A|USA|US|HYBRID|ACTIVE|||||||||N||N||||||Y|0|Y||Y|2|||20.919|20.88|0.0|0.0|20.85|20.87|20.88|0.0|0.0|0.0|20.83|20.86|20.87|20.809|0.0|20.78|0.0|20.88|20.88|20.88|15.89|25.61|15.89|25.61|20.82|20.88|15.89|25.61|0.0|0.0|20.82|20.88|22.198|18.3|69895|6607717 4779|AN|AN|05329W102|US05329W1027|AutoNation, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|M|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN1-8|TXN7-7|TXN2-3|TXN2-8|42520000|||NotApplicable|||||1997-06-20||||||| | | | | | | | | |||N|0|Y|Y|146G|USA|US|||40|4040|404010|40401030|Consumer Discretionary|Retail |Retailers |Specialty Retailers |N||N||||||Y|0|Y||Y|1|||139.46|139.11|0.0|139.12|139.13|139.115|139.12|139.1|0.0|0.0|139.18|139.11|139.05|139.31|139.68|139.12|139.08|139.12|138.81|139.12|139.12|139.19|130.03|146.92|138.2|140.34|138.95|139.3|139.09|139.19|139.12|139.19|182.0849|99.72|441059|149450601 56562|ANAB|ANAB|032724106|US0327241065|AnaptysBio Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN5-6|TXN12-5|TXN6-3|TXN6-1|26580000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||15.59|15.585|0.0|15.56|15.56|15.58|15.5|15.58|0.0|0.0|15.46|15.48|15.59|15.58|15.55|15.5|15.47|15.585|15.55|15.59|15.23|15.73|15.45|15.64|15.27|15.71|15.42|16.37|15.44|0.0|15.58|15.59|32.435|13.36|312099|59106270 240|ANDE|ANDE|034164103|US0341641035|Andersons Inc (The)|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN5-6|TXN10-7|TXN5-7|TXN6-7|33750000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||45|4510|451020|45102010|Consumer Staples |Food, Beverage and Tobacco |Food Producers|Farming, Fishing, Ranching and Plantations|N||N||||||Y|0|Y||||||52.04|52.12|0.0|52.16|52.16|51.93|52.19|52.16|0.0|0.0|51.99|0.0|52.2|0.0|0.0|51.88|0.0|52.16|0.0|52.2|51.65|52.68|40.23|63.46|51.65|52.65|52.0|52.33|52.1|52.38|52.1|52.21|53.6|33.2|166720|51716801 70517|ANEB|ANEB|034569103|US0345691036|Anebulo Pharmaceuticals Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN5-6|TXN10-4|TXN6-2|TXN5-2|25630000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y|C|||||0.0|0.0|0.0|0.0|0.0|0.0|2.36|0.0|0.0|0.0|2.3|0.0|2.43|2.41|0.0|0.0|0.0|2.36|0.0|2.36|0.0|0.0|0.0|0.0|2.19|2.52|0.0|0.0|0.0|0.0|2.28|2.43|4.05|1.62|5750|1994051 44394|ANET|ANET|040413106|US0404131064|Arista Networks, Inc.|Common Stock, par value $0.0001 per share|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|H|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-5|TXN4-6|TXN3-4|TXN4-3|TXN2-7|311100000|||Adhoc|||||2014-06-06||||||| | | | | | | | | |||N|5|Y|Y|108B|USA|US|||15|1510|151010|15101010|Telecommunications|Telecommunications|Telecommunications Equipment|Telecommunications Equipment|N||N||||||Y|0|Y||Y|1|||215.29|215.17|0.0|215.09|215.15|215.12|215.11|215.23|0.0|0.0|215.16|215.1|215.16|215.11|215.11|215.1|215.29|215.18|214.1|215.1|215.1|215.11|199.35|226.91|215.05|215.28|214.9|215.45|214.88|215.23|215.1|215.11|223.52|107.57|1741579|626016862 67899|ANEW|ANEW|74347G796|US74347G7960|ProShares Trust|ProShares MSCI Transformational Changes ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ProShares Advisors |Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-5|TXN1-8|TXN7-8|TXN1-6|TXN4-7|225001|||Quarterly|||||2020-10-16||ANEW.NV|ANEW.SO|ANEW.EU|ANEW.TC|ANEW.IV| | | | | | | | | |1x|-|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|36.3238|0.0|36.3238|0.0|0.0|0.0|0.0|36.19|36.43|0.0|0.0|0.0|0.0|36.19|36.43|38.2367|30.0038|1|144670 4784|ANF|ANF|002896207|US0028962076|Abercrombie & Fitch Co.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|M|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-4|TXN1-1|TXN1-8|TXN4-6|TXN4-7|50360000|||Quarterly|||||1996-09-26||||||| | | | | | | | | |||N|0|N|Y|146F|USA|US|||40|4040|404010|40401020|Consumer Discretionary|Retail |Retailers |Apparel Retailers|N||N||||||Y|0|Y||Y|2|||77.3|77.21|0.0|77.25|77.15|77.19|77.15|77.2|0.0|0.0|77.21|77.34|77.18|77.17|77.3|77.22|77.34|77.17|77.22|77.22|77.16|77.19|59.74|93.6|77.07|77.34|77.01|77.31|77.0|77.19|77.16|77.19|78.83|21.03|1174437|407544770 67328|ANGH|ANGH|G0369L101|KYG0369L1014|Anghami Inc|ORD||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN5-5|TXN11-2|TXN5-2|TXN5-7|27660000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||ARE||||40|4030|403010|40301035|Consumer Discretionary|Media|Media|Radio and TV Broadcasters|N||N||||||N|0|Y||||||0.0|0.0|0.0|2.22|0.0|2.22|2.19|2.22|0.0|0.0|2.22|2.22|2.24|0.0|0.0|0.0|0.0|2.19|0.0|2.24|1.69|2.75|1.69|2.75|2.15|2.31|2.15|2.29|2.14|2.3|2.19|2.25|3.49|0.63|107802|76916241 67329|ANGHW|ANGHW|G0369L119|KYG0369L1196|Anghami Inc|WT EXP||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-1|TXN5-8|TXN10-2|TXN6-6|TXN6-7|26010000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||ARE||||||||||||N||N||||||N|0|Y|C|||||0.0|0.0|0.0|0.0|0.0|0.0|0.04|0.0|0.0|0.0|0.0|0.0|0.0505|0.0|0.0|0.0|0.0|0.04|0.0|0.04|0.0|0.0|0.0|0.0|0.035|0.1125|0.0|0.0|0.0|0.0|0.035|0.0499|0.15|0.01|3105|7734393 39099|ANGI|ANGI|00183L102|US00183L1026|Angi Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN5-3|TXN13-4|TXN5-5|TXN5-4|85140000|||NotApplicable|||||||||||| | | | | | | | | 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5157|ANIP|ANIP|00182C103|US00182C1036|ANI Pharmaceuticals Inc|COM USD.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN5-8|TXN13-2|TXN5-3|TXN6-4|20430000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103015|Health Care |Health Care |Pharmaceuticals and Biotechnology|Pharmaceuticals |N||N||||||Y|0|Y||||||50.09|49.99|0.0|50.12|50.04|50.1|50.005|50.06|0.0|0.0|50.04|50.07|50.07|49.99|0.0|49.99|50.04|50.005|50.02|50.07|49.44|50.57|39.06|61.25|49.6|50.54|49.75|50.25|49.96|50.28|49.99|50.08|65.89|36.36|188455|30043044 11287|ANIX|ANIX|03528H109|US03528H1095|Anixa Biosciences Inc|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN5-6|TXN13-6|TXN6-5|TXN5-4|31070000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||3.84|3.85|0.0|0.0|3.68|3.73|3.73|3.68|0.0|0.0|3.85|3.77|3.69|3.79|3.96|3.85|0.0|3.73|3.79|3.69|3.53|3.97|2.89|4.64|3.53|3.99|2.89|4.64|0.0|0.0|3.68|3.78|6.45|2.75|540202|16722378 76403|ANL|ANL|00704R109|US00704R1095|Adlai Nortye Ltd|ADR||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN6-4|TXN12-4|TXN5-4|TXN6-2|93710000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CYM||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||10.71|0.0|0.0|0.0|0.0|10.73|10.8486|0.0|0.0|0.0|0.0|0.0|10.87|10.72|0.0|0.0|0.0|10.8486|0.0|10.8486|0.0|0.0|0.0|0.0|10.3|11.17|0.0|0.0|0.0|0.0|10.7|11.0|19.2999|7.82|1093|968722 67048|ANNX|ANNX|03589W102|US03589W1027|Annexon Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN5-8|TXN12-5|TXN6-4|TXN5-5|53240000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||2.37|2.37|0.0|2.38|2.37|2.405|2.41|2.39|0.0|0.0|2.37|2.4|2.37|2.39|2.38|2.39|2.38|2.37|2.37|2.37|2.32|2.46|1.83|2.95|2.33|2.42|2.33|2.43|2.33|2.43|2.36|2.37|7.65|1.57|386377|132262973 76612|ANSCU|ANSCU|G0131Y126|KYG0131Y1263|Agriculture & Natural Solutions Acquisition Corp|UNIT(1 ORD 1/2 WRRT)||R|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN6-8|TXN12-6|TXN5-4|TXN5-6|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|10.1|0.0|10.09|0.0|10.085|10.09|10.09|0.0|0.0|10.09|0.0|10.1|0.0|0.0|0.0|10.09|10.1|0.0|10.1|0.0|0.0|0.0|0.0|10.08|10.1|0.0|0.0|0.0|0.0|10.08|10.1|10.1|10.04|25101|30532747 257|ANSS|ANSS|03662Q105|US03662Q1058|ANSYS Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN5-5|TXN11-2|TXN6-7|TXN5-2|86870000|||NotApplicable|||||||||||| | | | | | | 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Agencies|N||N||||||N|0|Y|C|||||0.0|0.0|0.0|0.0|0.0|0.0|0.6201|0.0|0.0|0.0|0.0|0.0|0.6747|0.0|0.0|0.0|0.0|0.6511|0.0|0.6511|0.6185|0.714|0.0|0.0|0.6079|0.7252|0.5209|0.84|0.0|0.0|0.6511|0.6799|2.43|0.4809|1631|1766907 73770|ANTX|ANTX|037326105|US0373261058|AN2 Therapeutics Inc|COM USD0.00001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN5-1|TXN11-2|TXN5-6|TXN6-5|29740000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||18.93|18.98|0.0|17.0|18.7|18.87|18.95|18.95|0.0|0.0|18.65|18.94|18.95|18.03|18.33|18.63|0.0|18.95|17.53|18.95|18.16|19.62|14.73|23.26|18.88|19.4|14.73|23.26|18.61|19.2|18.88|19.02|19.075|4.87|112405|13399750 65461|ANVS|ANVS|03615A108|US03615A1088|Annovis Bio, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|T|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN2-6|TXN7-8|TXN4-1|TXN4-2|10260000|||NotApplicable|||||2021-11-18||||||| | | | | | | | | |||N|0|N|Y|122A|USA|US|||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||Y|2|||9.89|9.88|0.0|9.95|9.9|9.89|9.87|9.9|0.0|0.0|9.885|9.75|9.86|9.85|9.94|9.85|8.6|9.85|9.88|9.85|9.85|9.89|7.55|12.26|9.64|10.18|9.78|9.96|9.85|9.97|9.85|9.89|23.8881|5.42|432986|16418053 44573|ANY|ANY|84841L407|CA84841L4073|Sphere 3D Corp|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN5-5|TXN14-2|TXN6-7|TXN6-1|14360000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101010|10101010|Technology|Technology|Software and Computer Services|Computer Services|N||N||||||Y|0|Y||||||1.06|1.05|0.0|0.0|1.05|1.07|1.05|1.06|0.0|0.0|1.05|1.05|1.07|1.06|1.06|1.06|1.04|1.05|1.06|1.07|0.988|1.13|1.02|1.1|1.05|1.08|1.02|1.09|0.0|0.0|1.05|1.07|2.99|0.2311|11163881|169106532 29297|AOA|AOA|464289859|US4642898591|iShares Trust|iShares Core Aggressive Allocation ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Pundion LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-2|TXN1-3|TXN3-8|TXN4-6|TXN3-3|26550000|||Quarterly|||||2008-11-07||AOA.NV|AOA.SO|AOA.EU|AOA.TC|AOA.IV| | | | | | | | | |1x|The iShares S&P Aggressive Allocation Fund seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the S&P Target Risk Aggressive Index. The Fund is a fund of funds and seeks its investment objective by investing primarily in the securities of other iShares funds (each, an Underlying Fund and collectively, the Underlying Funds) that themselves seek investment results corresponding to their own underlying index. The Underlying Funds invest primarily in distinct asset classes, such as large-capitalization U.S. equity, mid-capitalization U.S. equity, emerging market securities, the aggregate bond market or the U.S. treasury bond market; each such asset class has its own risk profile.The Underlying Index measures the performance of S&Ps proprietary allocation model, which is intended to represent an aggressive target risk allocation strategy as defined by S&P. The Underlying Index seeks to provide significant exposure to equities, while also allocating a smaller portion of exposure to fixed income securities in an effort to produce long-term capital appreciation. S&Ps estimation of an aggressive target risk allocation may differ from your own.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||66.72|66.63|0.0|0.0|66.66|66.71|66.77|66.71|0.0|0.0|66.54|66.44|66.73|66.6|67.06|0.0|0.0|66.7|0.0|66.7|63.39|70.11|66.53|66.84|66.71|66.76|66.52|66.92|66.53|66.84|66.53|66.84|67.81|59.2675|298747|26908178 18875|AOD|AOD|00326L100|US00326L1008|abrdn Total Dynamic Dividend Fund|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN3-2|TXN1-8|TXN2-2|TXN3-5|105430000|||Monthly|||||2014-01-21||||||| | | | | | | | | |||N|0|N|N|406B|GBR|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||7.87|7.86|0.0|0.0|7.87|7.865|7.86|7.865|0.0|0.0|7.865|7.87|7.86|7.86|7.86|7.86|7.86|7.86|0.0|7.86|7.86|7.87|6.07|9.65|7.85|7.88|7.84|7.89|7.85|7.88|7.86|7.87|8.55|7.015|332825|69512532 73468|AOGO|AOGO|042644104|US0426441046|Arogo Capital Acquisition Corp|CL A COM USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN6-3|TXN11-4|TXN6-4|TXN5-7|1760000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|10.72|10.73|0.0|0.0|0.0|0.0|0.0|10.73|0.0|0.0|0.0|0.0|10.73|0.0|10.73|0.0|0.0|0.0|0.0|10.02|11.37|0.0|0.0|0.0|0.0|10.72|10.73|11.6693|9.99|46104|6726741 73042|AOGOU|AOGOU|042644203|US0426442036|Arogo Capital Acquisition Corp|UNITS||R|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN5-8|TXN14-5|TXN6-6|TXN5-4|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|9.89|13.62|0.0|0.0|0.0|0.0|10.59|12.78|11.31|10.06|0|40532 73469|AOGOW|AOGOW|042644112|US0426441129|Arogo Capital Acquisition Corp|WT EXP 032328||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-3|TXN6-3|TXN10-6|TXN6-2|TXN5-2|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0166|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.01|0.018|0.0753|0.0074|10|2193986 29294|AOK|AOK|464289883|US4642898831|iShares Trust|iShares Core Conservative Allocation ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-1|TXN2-1|TXN6-8|TXN3-8|TXN3-4|19300000|||Monthly|||||2008-11-07||AOK.NV|AOK.SO|AOK.EU|AOK.TC|AOK.IV| | | | | | | | | |1x|The iShares S&P Conservative Allocation Fund seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the S&P Target Risk Conservative Index. The Fund is a fund of funds and seeks its investment objective by investing primarily in the securities of other iShares funds (each, an Underlying Fund and collectively, the Underlying Funds) that themselves seek investment results corresponding to their own underlying indexes. The Underlying Funds invest primarily in distinct asset classes, such as large-capitalization U.S. equity, mid-capitalization U.S. equity, emerging market securities, the aggregate bond market or the U.S. treasury bond market; each such asset class has its own risk profile.The Underlying Index measures the performance of Standard & Poors Financial Services LLC, a subsidiary of The McGraw-Hill Companies (S&P) proprietary allocation model, which is intended to represent a conservative target risk allocation strategy as defined by S&P. The Underlying Index seeks to emphasize exposure to fixed income, while maintaining smaller equity exposure, in order to seek current income, capital preservation and help avoid excessive volatility of returns. S&Ps estimation of a conservative target risk allocation may differ from your own.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||35.149|35.21|0.0|0.0|35.21|35.18|35.205|35.175|0.0|0.0|35.2|35.18|35.205|35.18|35.14|35.19|35.18|35.19|0.0|35.19|35.1|35.21|35.09|37.31|35.2|35.21|35.09|36.94|35.09|35.29|35.2|35.21|35.64|33.05|551573|37982131 29295|AOM|AOM|464289875|US4642898757|iShares Trust|iShares Core Moderate Allocation ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-2|TXN4-8|TXN8-6|TXN1-6|TXN3-6|34550000|||Quarterly|||||2008-11-07||AOM.NV|AOM.SO|AOM.EU|AOM.TC|AOM.IV| | | | | | | | | |1x|The iShares S&P Moderate Allocation Fund seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the S&P Target Risk Moderate Index. The Fund is a fund of funds and seeks its investment objective by investing primarily in the securities of other iShares funds (each, an Underlying Fund and collectively, the Underlying Funds) that themselves seek investment results corresponding to their own underlying index. The Underlying Funds invest primarily in distinct asset classes, such as large-capitalization U.S. equity, mid-capitalization U.S. equity, emerging market securities, the aggregate bond market or the U.S. treasury bond market; each such asset class has its own risk profile.The Underlying Index measures the performance of S&Ps proprietary allocation model, which is intended to represent a moderate target risk allocation strategy as defined by S&P. The Underlying Index seeks to provide significant exposure to fixed income, while also allocating a smaller portion of exposure to equities in order to seek current income, some capital preservation, and an opportunity for moderate to low capital appreciation. S& Ps estimation of a moderate target risk allocation may differ from your own.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||40.23|40.44|0.0|0.0|40.42|40.45|40.45|40.435|0.0|0.0|40.45|0.0|40.44|40.41|40.42|40.44|0.0|40.43|0.0|40.43|40.02|40.86|40.28|40.58|40.44|40.45|40.28|42.48|40.28|40.58|40.44|40.45|40.8785|37.72|462926|37998039 70902|AOMR|AOMR|03464Y108|US03464Y1082|Angel Oak Mortgage REIT, Inc.|Common Stock|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN1-8|TXN6-8|TXN2-5|TXN3-3|24970000|||Quarterly|||||2021-06-17||||||| | | | | | | | | |||N|0|N|Y|414A|USA|US|||30|3020|302030|30203000|Financials|Financial Services |Mortgage Real Estate Investment Trusts|Mortgage REITs: Diversified|N||N||||||N|0|Y||Y|2|||10.44|10.57|0.0|0.0|10.58|10.6|10.58|10.59|0.0|0.0|10.57|10.59|10.6|10.58|0.0|10.57|0.0|10.59|10.59|10.57|10.59|10.6|8.21|12.86|10.55|10.63|10.54|10.63|10.56|10.64|10.59|10.6|10.6|4.4301|46243|18465231 4801|AON|AON|G0403H108|IE00BLP1HW54|Aon plc|Class A Ordinary Shares|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-6|TXN3-6|TXN7-7|TXN2-4|TXN1-5|200220000|||Quarterly|||||2020-04-01||||||| | | | | | | | | |||N|5|Y|Y|410B|IRL|IE|||30|3030|303020|30302015|Financials|Insurance|Non-life Insurance|Insurance Brokers|N||N||||||Y|0|Y||Y|1|||326.15|326.2|0.0|326.1|326.42|326.15|326.12|326.53|0.0|0.0|326.4|327.2|326.03|326.35|326.32|326.11|326.11|326.2|326.25|326.11|326.26|326.28|307.8|347.19|325.74|326.36|325.86|326.49|325.92|326.35|326.26|326.28|347.37|280.89|896830|187961816 70443|AONC|AONC|028719102|US0287191029|American Oncology Network Inc|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN6-2|TXN11-3|TXN6-2|TXN6-7|9550000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||7.23|6.97|0.0|0.0|0.0|6.81|6.75|6.76|0.0|0.0|7.0|0.0|6.73|0.0|0.0|6.88|0.0|6.75|0.0|6.73|5.34|8.59|5.34|8.59|6.33|7.07|5.34|8.59|0.0|0.0|6.75|7.05|33.13|5.51|35436|8375468 70444|AONCW|AONCW|028719110|US0287191102|American Oncology Network Inc|WT EXP 033128||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-4|TXN5-3|TXN11-2|TXN5-2|TXN5-6|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y|D|||||0.0|0.0|0.0|0.0|0.0|0.2426|0.245|0.0|0.0|0.0|0.0|0.0|0.23|0.0|0.0|0.0|0.0|0.245|0.0|0.245|0.0|0.0|0.0|0.0|0.1625|0.255|0.0|0.0|0.0|0.0|0.2299|0.255|0.5857|0.1025|1921|2441477 29296|AOR|AOR|464289867|US4642898674|iShares Trust|iShares Core Growth Allocation ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Pundion LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-3|TXN1-1|TXN6-8|TXN3-2|TXN4-1|40100000|||Quarterly|||||2008-11-07||AOR.NV|AOR.SO|AOR.EU|AOR.TC|AOR.IV| | | | | | | | | |1x|The iShares S&P Growth Allocation Fund seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the S&P Target Risk Growth Index. The Fund is a fund of funds and seeks its investment objective by investing primarily in the securities of other iShares funds (each, an Underlying Fund and collectively, the Underlying Funds) that themselves seek investment results corresponding to their own underlying index. The Underlying Funds invest primarily in distinct asset classes, such as large-capitalization U.S. equity, mid-capitalization U.S. equity, emerging market securities, the aggregate bond market or the U.S. treasury bond market; each such asset class has its own risk profile.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||51.85|51.58|0.0|0.0|51.6|51.59|51.585|51.84|0.0|0.0|51.59|51.59|51.59|51.54|51.58|51.58|51.6|51.58|0.0|51.58|51.47|54.2|51.43|51.74|51.58|51.6|51.43|51.74|51.47|51.75|51.58|51.6|52.27|47.07|590254|74508240 5602|AORT|AORT|228903100|US2289031005|Artivion, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN2-8|TXN6-8|TXN4-1|TXN1-7|41050000|||NotApplicable|||||1997-07-15||||||| | | | | | | | | |||N|0|N|Y|122A|USA|US|||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||Y|0|Y||Y|2|||18.08|18.1|0.0|18.09|18.11|18.09|18.09|18.09|0.0|0.0|18.08|18.08|18.09|18.09|18.08|18.1|18.27|18.09|18.0|18.1|18.08|18.1|14.05|22.28|17.93|18.25|18.05|18.15|18.04|18.16|18.08|18.1|18.5007|11.39|247993|41801578 4806|AOS|AOS|831865209|US8318652091|A. O. Smith Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|P|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-6|TXN3-5|TXN4-3|TXN3-4|TXN1-1|122830000|||Quarterly|||||1994-12-14||||||| | | | | | | | | |||N|5|Y|Y|104B|USA|US|||50|5010|501010|50101025|Industrials|Construction and Materials|Construction and Materials |Building: Climate Control|N||N||||||Y|0|Y||Y|1|||77.1|77.08|0.0|77.06|77.07|77.15|77.06|77.12|0.0|0.0|77.06|77.09|77.06|77.1|77.07|77.09|76.99|77.05|77.11|77.09|77.08|77.09|72.1|81.39|77.0|77.11|77.0|77.13|77.0|77.14|77.08|77.09|77.34|55.41|1238818|243557450 32626|AOSL|AOSL|G6331P104|BMG6331P1041|Alpha and Omega Semiconductor Limited|COM USD.002||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN5-1|TXN13-4|TXN6-4|TXN6-6|27790000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101020|10102010|Technology|Technology|Technology Hardware and Equipment|Semiconductors|N||N||||||Y|0|Y||||||22.21|22.21|0.0|0.0|22.24|22.05|22.21|22.23|0.0|0.0|22.205|21.96|22.23|22.24|21.89|21.97|22.04|22.21|0.0|22.23|22.0|22.44|16.81|27.15|22.16|22.3|22.17|22.27|22.16|22.29|22.2|22.24|38.8677|20.03|106504|45979954 74225|AOTG|AOTG|02072L730|US02072L7304|AOT Growth and Innovation ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN6-5|TXN10-3|TXN6-8|TXN5-2|880000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|31.56|0.0|0.0|0.0|0.0|0.0|0.0|31.56|0.0|0.0|0.0|0.0|31.48|31.81|0.0|0.0|0.0|0.0|31.49|31.55|33.3|21.041|15|125521 67178|AOUT|AOUT|02875D109|US02875D1090|American Outdoor Brands Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN5-4|TXN12-1|TXN5-2|TXN6-3|12940000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4020|402030|40203050|Consumer Discretionary|Consumer Products and Services|Leisure Goods|Recreational Products|N||N||||||Y|0|Y||||||8.23|8.01|0.0|0.0|8.05|8.23|8.03|8.25|0.0|0.0|8.2|0.0|8.08|8.23|0.0|0.0|0.0|8.01|0.0|8.08|7.87|8.25|6.23|9.87|8.01|8.23|6.23|9.87|0.0|0.0|8.01|8.08|11.3|6.97|34087|8361858 4808|AP|AP|032037103|US0320371034|Ampco-Pittsburgh Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN1-4|TXN5-8|TXN1-1|TXN4-3|19870000|||NotApplicable|||||1955-06-03||||||| | | | | | | | | |||N|0|N|Y|126A|USA|US|||55|5510|551020|55102010|Basic Materials|Basic Resources|Industrial Metals and Mining|Iron and Steel|N||N||||||Y|0|Y||Y|2|||2.76|2.76|0.0|0.0|2.79|2.75|2.7393|2.76|0.0|0.0|2.75|0.0|2.765|2.57|0.0|2.77|0.0|2.79|0.0|2.77|2.73|2.79|0.0|0.0|2.61|2.82|2.18|3.46|0.0|0.0|2.73|2.79|4.0|2.145|19962|4764844 67607|AP WS|AP.WS|032037111|US0320371117|Ampco-Pittsburgh Corporation|Series A Warrants to purchase Shares of common stock|Operating company|C|N|N|A|Y|Y|Y|Y|Y|||Brendan E. 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USD1.25||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN5-1|TXN10-2|TXN5-8|TXN6-7|306720000|||NotApplicable|||||||||||| | | | | | | | | |||N|5|Y|N||USA||||60|6010|601010|60101010|Energy|Energy|Oil, Gas and Coal|Oil: Crude Producers|N||N||||||Y|0|Y||||||35.85|35.85|0.0|35.76|35.83|35.85|35.83|35.82|0.0|0.0|35.84|35.85|35.82|35.77|35.85|35.84|35.85|35.84|35.85|35.82|35.82|35.86|33.6|38.27|35.82|35.87|35.78|35.88|35.82|0.0|35.83|35.84|48.55|30.67|3607608|1158956524 71585|APAC|APAC|G85094103|KYG850941033|StoneBridge Acquisition Corp|ORD CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN6-2|TXN13-4|TXN6-8|TXN5-8|2430000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|11.22|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|11.18|11.8|11.18|0.0|0.0|0.0|11.18|11.22|11.31|10.18|5|3382475 71174|APACU|APACU|G85094111|KYG850941116|StoneBridge Acquisition Corp|UNITS||R|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN5-7|TXN14-7|TXN6-8|TXN5-2|20000000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|9.85|11.35|11.59|9.94|0|449136 71586|APACW|APACW|G85094129|KYG850941298|StoneBridge Acquisition Corp|WT EXP 033128||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-2|TXN5-3|TXN12-8|TXN6-7|TXN6-7|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y|D|||||0.0154|0.0|0.0|0.0|0.0|0.0249|0.025|0.0196|0.0|0.0|0.025|0.0208|0.0165|0.0|0.0|0.0|0.0|0.0249|0.0|0.0249|0.0132|0.03|0.0132|0.03|0.0132|0.03|0.0132|0.03|0.0|0.0|0.0165|0.025|0.1014|0.0101|155805|5707610 41580|APAM|APAM|04316A108|US04316A1088|Artisan Partners Asset Management Inc.|Class A Common Stock, $0.01 per share|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|A|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-6|TXN1-4|TXN8-8|TXN4-4|TXN2-6|68480000|||Quarterly|||||2013-03-07||||||| | | | | | | | | |||N|0|N|Y|408A|USA|US|||30|3020|302020|30202010|Financials|Financial Services |Investment Banking and Brokerage Services |Asset Managers and Custodians|N||N||||||N|0|Y||Y|2|||38.15|38.12|0.0|38.26|38.14|38.12|38.12|38.125|0.0|0.0|38.17|38.18|38.11|38.13|38.51|38.11|38.35|38.11|38.13|38.11|38.11|38.12|29.37|46.73|38.08|38.2|38.08|38.15|38.08|38.16|38.11|38.12|42.97|28.98|631826|151553636 73412|APCA|APCA|G04058106|KYG040581061|AP Acquisition Corp|Class A Ordinary Shares|Special purpose acquisition company|A|N|N|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN1-8|TXN4-8|TXN4-3|TXN1-1|11300000|||NotApplicable|||||2022-02-07||||||| | | | | | | | | |||N|0|N|N|408A|SGP|KY|||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|11.06|0.0|0.0|11.06|0.0|11.06|0.0|11.06|11.04|11.07|0.0|0.0|10.36|11.25|0.0|0.0|0.0|0.0|11.04|11.07|11.2|10.26|18989|20520907 73414|APCA WS|APCA.WS|G04058114|KYG040581145|AP Acquisition Corp|Redeemable Warrants, each whole warrant exercisable for one Class A ordinary share at an exercise price of $11.50|Special purpose acquisition company|C|N|N|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN8-8|TXN2-6|TXN4-8|TXN4-2|TXN1-3|0|||NotApplicable|||||2022-02-07||||||| | | | | | | | | 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USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN6-2|TXN12-3|TXN5-3|TXN6-5|17780000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4020|402010|40201010|Consumer Discretionary|Consumer Products and Services|Consumer Services |Education Services|N||N||||||N|0|Y||||||0.0|9.0|0.0|0.0|8.99|8.995|8.95|9.0|0.0|0.0|9.01|0.0|9.0|8.99|0.0|9.02|9.05|8.99|0.0|9.0|8.66|9.36|6.88|11.18|8.77|9.18|8.88|9.07|8.86|9.09|8.95|9.0|14.22|3.76|201715|40565733 66231|APG|APG|00187Y100|US00187Y1001|APi Group Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|M|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-6|TXN2-4|TXN1-7|TXN4-4|TXN3-1|235560000|||NotApplicable|||||2020-04-29||||||| | | | | | | | | |||N|0|N|Y|100A|USA|US|||50|5010|501010|50101015|Industrials|Construction and Materials|Construction and Materials |Engineering and Contracting Services|N||N||||||Y|0|Y||Y|2|||30.39|30.39|0.0|30.48|30.39|30.385|30.38|30.385|0.0|0.0|30.38|30.385|30.39|30.38|30.39|30.4|30.4|30.41|30.38|30.4|30.4|30.41|23.87|37.32|30.36|30.44|30.38|30.43|30.4|30.43|30.4|30.41|31.14|18.15|1305538|237176630 76015|APGE|APGE|03770N101|US03770N1019|Apogee Therapeutics Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN6-2|TXN14-8|TXN6-3|TXN5-4|37190000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||20.3|20.31|0.0|20.25|20.33|20.31|20.33|20.3|0.0|0.0|20.3|20.43|20.3|0.0|0.0|20.29|0.0|20.3|0.0|20.3|20.07|20.58|0.0|0.0|20.08|20.55|20.22|20.4|20.27|20.42|20.3|20.36|25.54|14.19|130915|34596478 4814|APH|APH|032095101|US0320951017|Amphenol Corporation|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN3-6|TXN2-2|TXN2-3|TXN2-8|598310000|||Quarterly|||||1991-11-08||||||| | | | | | | | | |||N|5|Y|Y|114D|USA|US|||10|1010|101020|10102015|Technology|Technology|Technology Hardware and Equipment|Electronic Components|N||N||||||Y|0|Y||Y|1|||91.86|91.88|0.0|91.86|91.86|91.88|91.85|91.88|0.0|91.89|91.93|91.91|91.85|91.9|91.9|91.87|91.72|91.87|91.91|91.87|91.87|91.9|85.69|97.62|91.82|91.91|91.82|91.94|91.87|91.92|91.87|91.9|92.53|72.0|3153573|593594392 66851|API|API|00851L103|US00851L1035|Agora Inc|ADR||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN5-5|TXN11-5|TXN5-3|TXN5-5|387300000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||||||2.71|2.71|0.0|0.0|2.7|2.705|2.7|2.705|0.0|0.0|2.705|2.705|2.7|2.705|2.68|2.705|2.7|2.71|2.71|2.7|2.68|2.74|2.11|3.28|2.68|2.72|2.67|2.74|2.66|2.75|2.7|2.71|4.85|2.37|251481|102805754 75658|APIE|APIE|89834G737|US89834G7372|Trust For Professional Managers|ActivePassive International Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Envestnet|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-5|TXN2-5|TXN9-8|TXN3-7|TXN1-3|3425000|||Yearly|||||2023-05-03||APIE.NV|APIE.SO|APIE.EU|APIE.TC| | | | | | | | | | ||The investment objective of the ActivePassive International Equity ETF (International Equity ETF or the Fund) is to provide long-term capital appreciation.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|1|||0.0|25.46|0.0|25.57|25.74|0.0|25.6787|26.01|0.0|0.0|0.0|23.42|25.65|0.0|0.0|0.0|0.0|25.74|0.0|25.74|23.95|27.57|0.0|0.0|25.61|25.74|23.95|27.57|24.6|25.6|25.61|25.74|26.76|23.221|25861|4261852 57461|APLD|APLD|038169207|US0381692070|Applied Digital Corp|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN5-1|TXN11-8|TXN5-2|TXN5-7|106300000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101020|10102030|Technology|Technology|Technology Hardware and Equipment|Computer Hardware|N||N||||||Y|0|Y||||||5.48|5.48|0.0|5.48|5.5|5.48|5.48|5.48|0.0|0.0|5.48|5.49|5.5|5.48|5.51|5.48|5.5|5.48|5.48|5.5|5.48|5.5|4.32|6.77|5.48|5.5|5.46|5.52|5.45|5.5|5.48|5.5|11.62|1.45|4609819|849191556 49935|APLE|APLE|03784Y200|US03784Y2000|Apple Hospitality REIT, Inc.|Common shares, no par value per share|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-4|TXN4-8|TXN6-2|TXN4-2|TXN1-3|228810000|||Monthly|||||2015-05-18||||||| | | | | | | | | |||N|0|N|Y|412A|USA|US|||35|3510|351020|35102015|Real Estate|Real Estate |Real Estate Investment Trusts|Hotel and Lodging REITs|N||N||||||Y|0|Y||Y|2|||16.92|16.93|0.0|16.94|16.94|16.93|16.93|16.93|0.0|0.0|16.93|16.93|16.93|16.92|16.97|16.92|16.96|16.92|16.92|16.92|16.92|16.93|12.92|20.64|16.9|16.94|16.9|17.0|16.9|16.97|16.92|16.93|18.22|13.66|1840321|464045544 72673|APLM|APLM|G0411D107|KYG0411D1079|Apollomics Inc|ORD CL A 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4/1/28||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-8|TXN5-6|TXN10-8|TXN5-3|TXN5-2|89480000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y|C|||||0.0|0.039|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.039|0.0|0.039|0.0|0.0|0.0|0.0|0.039|0.0|0.039|0.0|0.0|0.0|0.0|0.03|5.5|0.0|0.0|0.0|0.0|0.037|0.0376|0.21|0.0109|20016|8776039 60073|APLS|APLS|03753U106|US03753U1060|Apellis Pharmaceuticals Inc|COM 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Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN5-3|TXN11-6|TXN6-1|TXN5-6|77230000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||2.48|2.49|0.0|2.51|2.49|2.48|2.49|2.49|0.0|0.0|2.48|2.48|2.5|2.49|2.51|2.48|2.5|2.5|2.5|2.5|2.46|2.53|1.91|3.06|2.47|2.52|2.46|2.52|2.48|2.53|2.48|2.5|3.11|0.7|4884797|125292326 75616|APLY|APLY|88634T857|US88634T8577|Tidal Trust II|YieldMax AAPL Option Income Strategy ETF|Trust|ETS|N|N|P|Y|Y|Y|Y|Y||||||||Tidal ETF Services |Wolverine Trading, 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USD0.00001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN5-8|TXN13-7|TXN5-6|TXN6-4|1720000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||GBR||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|2.0|1.7201|0.0|0.0|0.0|1.99|0.0|1.97|0.0|0.0|0.0|0.0|1.7201|0.0|1.7201|1.62|2.1|0.0|0.0|1.71|2.13|1.49|2.25|0.0|0.0|1.73|2.0|9.0|0.4|12823|31588603 75657|APMU|APMU|89834G745|US89834G7455|Trust For Professional Managers|ActivePassive Intermediate Municipal Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Envestnet|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-8|TXN4-5|TXN3-8|TXN1-2|TXN3-2|1350000|||Monthly|||||2023-05-03||APMU.NV|APMU.SO|APMU.EU|APMU.TC| | | | | | | | | | ||The investment objective of the ActivePassive Intermediate Municipal Bond ETF (Intermediate MunicipalBond ETF or the Fund) is to provide current income that is exempt from federal income taxes consistent with low volatility of principal.|N|0|N|N|416A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|24.637408|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|24.675|0.0|24.675|0.0|0.0|0.0|0.0|24.67|24.68|0.0|0.0|0.0|0.0|24.67|24.68|25.0688|23.75|1|1615403 4818|APO|APO|03769M106|US03769M1062|Apollo Global Management, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-7|TXN4-1|TXN4-8|TXN3-5|TXN3-5|567560000|||Quarterly|||||2022-01-03||||||| | | | | | | | | |||N|0|Y|Y|408A|USA|US|||30|3020|302020|30202010|Financials|Financial Services |Investment Banking and Brokerage Services |Asset Managers and Custodians|N||N||||||Y|0|Y||Y|1|||89.82|89.89|0.0|89.82|89.82|89.82|89.875|89.84|0.0|0.0|89.86|89.84|89.89|89.86|89.81|89.86|89.83|89.89|89.84|89.86|89.88|89.91|83.76|95.42|89.81|89.93|89.82|89.94|89.8|89.91|89.88|89.91|93.44|55.16|3531248|598513666 76162|APO PRA|APOpA|03769M304|US03769M3043|Apollo Global Management, Inc.|6.75% Series A Mandatory Convertible Preferred Stock|Operating company|G|N|N|N|Y|Y|Y|Y|Y|6|H|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN2-3|TXN3-8|TXN2-5|TXN2-4|28750000|||Quarterly|||||2023-08-16|2026-07-31|||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||54.45|54.62|0.0|0.0|0.0|54.525|54.3303|54.435|0.0|0.0|54.34|0.0|54.33|0.0|0.0|54.6|54.61|54.6|53.585|54.6|50.13|54.65|42.31|66.94|53.21|55.74|42.31|66.94|0.0|0.0|54.5|57.66|56.59|47.8|45456|23653410 275|APOG|APOG|037598109|US0375981091|Apogee Enterprises Inc|COM USD.33||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN6-3|TXN10-2|TXN5-5|TXN6-6|22070000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502030|50203020|Industrials|Industrial Goods and Services|General Industrials|Glass|N||N||||||Y|0|Y||||||46.51|47.59|0.0|47.3|47.6|47.55|47.57|47.57|0.0|0.0|47.54|0.0|47.56|0.0|0.0|47.6|0.0|47.59|0.0|47.56|47.09|48.04|36.89|57.47|47.19|47.96|47.51|47.65|47.5|47.65|47.56|47.6|51.688|36.62|167567|35089682 76224|APOS|APOS|03769M205|US03769M2052|Apollo Global Management, Inc.|7.625% Fixed-Rate Resettable Junior Subordinated Notes due 2053|Operating company|G|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN1-5|TXN7-8|TXN4-4|TXN3-7|24000000|||Quarterly|||||2023-08-29|2053-09-15|||||| | | | | | | | | |||N|0|N|N|408A||US|||||||||||N||N||||||N|0|Y||Y|2|||26.3|26.43|0.0|0.0|26.48|26.47|26.4|26.455|0.0|0.0|26.45|26.35|26.44|0.0|26.35|26.48|26.43|26.47|0.0|26.48|26.4|26.48|26.43|26.49|26.32|27.06|0.0|0.0|0.0|0.0|26.4|26.48|27.09|25.4|61190|16961874 70228|APP|APP|03831W108|US03831W1080|AppLovin Corporation|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN6-4|TXN11-7|TXN5-7|TXN6-4|264640000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||USA||||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||||||37.38|37.38|0.0|37.33|37.38|37.39|37.35|37.37|0.0|0.0|37.38|37.39|37.37|37.37|37.3|37.35|37.39|37.37|37.39|37.37|37.33|37.41|37.28|37.44|37.31|37.43|37.3|37.39|37.33|37.39|37.35|37.38|45.105|9.14|3051163|664444511 50211|APPF|APPF|03783C100|US03783C1009|AppFolio Inc|CL A COM USD.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN6-3|TXN11-3|TXN6-5|TXN5-7|21650000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||||||193.93|193.5|0.0|193.09|192.42|193.93|193.07|193.19|0.0|0.0|193.86|193.93|193.33|193.93|193.18|193.97|193.08|193.17|185.57|193.33|191.36|195.74|146.01|234.03|191.85|193.99|192.85|193.59|192.78|193.66|193.17|193.33|211.4127|100.2|295559|31376832 58515|APPN|APPN|03782L101|US03782L1017|Appian Corp|CL A COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN5-1|TXN13-2|TXN5-7|TXN6-6|41730000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||||||37.76|38.09|0.0|38.06|37.935|37.99|38.09|38.085|0.0|0.0|38.06|37.94|38.1|38.09|37.99|38.1|37.98|38.09|37.98|38.1|37.64|38.43|36.5|45.76|37.69|38.4|37.99|38.15|37.99|38.16|38.06|38.1|54.26|29.8|353575|76539930 26332|APPS|APPS|25400W102|US25400W1027|Digital Turbine Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN6-5|TXN14-8|TXN5-7|TXN6-5|101310000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||||||5.77|5.77|0.0|5.77|5.77|5.77|5.77|5.77|0.0|0.0|5.77|5.77|5.77|5.77|5.76|5.77|5.75|5.77|5.77|5.77|5.75|5.79|4.47|7.05|5.76|5.79|5.73|5.8|5.75|5.8|5.76|5.77|18.9859|4.1|3482911|464537691 75557|APRD|APRD|45783Y632|US45783Y6326|Innovator Premium Income 10 Barrier ETF - April|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-3|TXN4-2|TXN7-8|TXN4-5|TXN2-5|330000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|25.18|0.0|0.0|0.0|0.0|25.18|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|25.18|0.0|25.18|25.14|25.22|25.14|25.21|25.12|25.22|25.14|25.25|25.14|25.22|25.14|25.22|25.43|24.405|91|837723 64750|APRE|APRE|03836J201|US03836J2015|Aprea Therapeutics Inc|COM USD0.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN6-4|TXN13-6|TXN5-4|TXN5-3|3740000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|3.7|0.0|0.0|0.0|3.8|0.0|3.65|0.0|0.0|0.0|0.0|3.7|0.0|3.7|3.46|3.89|0.0|0.0|3.58|3.78|2.92|4.44|0.0|0.0|3.65|3.7|9.9|0.304|2711|11698947 75558|APRH|APRH|45783Y624|US45783Y6243|Innovator Premium Income 20 Barrier ETF - April|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-6|TXN1-2|TXN6-8|TXN3-2|TXN1-4|1080000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|25.0546|0.0|0.0|0.0|0.0|25.0799|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|25.0546|0.0|25.0546|25.01|25.08|25.01|25.08|25.0|25.09|24.97|25.14|24.97|25.14|25.01|25.09|25.26|24.3862|738|2472726 75559|APRJ|APRJ|45783Y616|US45783Y6169|Innovator Premium Income 30 Barrier ETF - April|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-4|TXN3-2|TXN1-5|TXN4-4|TXN1-4|1950000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||24.86|24.9048|0.0|0.0|24.86|0.0|24.86|0.0|0.0|0.0|0.0|0.0|0.0|24.86|0.0|0.0|0.0|24.9048|24.86|24.9048|0.0|0.0|0.0|0.0|24.84|24.96|24.84|24.99|24.84|25.02|24.84|24.95|27.39|24.4|4332|4336795 75560|APRQ|APRQ|45783Y590|US45783Y5906|Innovator Premium Income 40 Barrier ETF - April|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-8|TXN2-5|TXN8-8|TXN3-1|TXN1-5|1200000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|24.815|0.0|0.0|0.0|0.0|24.837|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|24.815|0.0|24.815|18.62|30.53|18.62|30.53|24.76|24.88|18.62|30.53|24.72|24.91|24.76|24.87|25.07|24.34|903|3879150 66583|APRT|APRT|00888H109|US00888H1095|AIM ETF Products Trust|AllianzIM U.S. Large Cap Buffer10 Apr ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Allianz Investment Management|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-4|TXN1-6|TXN3-8|TXN4-1|TXN4-4|825000|||Adhoc|||||2020-06-01||AZAA.NV|AZAA.SO|AZAA.EU|AZAA.TC|AZAA.IV| | | | | | | | | ||Designed to allow investors to participate in the growth potential of the S&P 500 up to a stated cap, with an explicit 10% downside buffer. |N|0|N|N|408A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|32.37|0.0|32.32|0.0|0.0|0.0|0.0|0.0|0.0|32.37|0.0|0.0|0.0|32.4647|32.37|32.4647|0.0|0.0|32.37|32.45|32.43|32.54|32.37|32.53|32.37|32.53|32.43|32.54|32.5933|27.1549|547|2022375 66584|APRW|APRW|00888H208|US00888H2085|AIM ETF Products Trust|AllianzIM U.S. Large Cap Buffer20 Apr ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Allianz Investment Management|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-2|TXN4-7|TXN8-8|TXN4-2|TXN4-1|4504000|||Adhoc|||||2020-06-01||AZBA.NV|AZBA.SO|AZBA.EU|AZBA.TC|AZBA.IV| | | | | | | | | ||Designed to allow investors to participate in the growth potential of the S&P 500 up to a stated cap, with an explicit 20% downside buffer|N|0|N|N|408A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||29.03|29.03|0.0|29.04|29.04|28.31|29.03|29.06|0.0|0.0|29.04|29.04|29.03|29.04|29.04|29.02|0.0|29.03|29.04|29.03|0.0|0.0|29.02|29.11|29.01|29.13|29.01|29.13|29.01|29.13|29.01|29.13|29.14|26.1|27896|7522785 70071|APRZ|APRZ|53656F730|US53656F7309|Trueshares Structured Outcome (April) ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-3|TXN4-5|TXN6-8|TXN4-2|TXN1-8|170000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|29.512|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|29.512|0.0|29.512|0.0|0.0|0.0|0.0|29.46|29.55|0.0|0.0|0.0|0.0|29.46|29.55|29.6279|24.8533|0|112481 4820|APT|APT|020772109|US0207721095|Alpha Pro Tech, Ltd.|Common Stock Par Value $.01|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||J. Streicher & Co. L.L.C.|JSCO|3856|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-4|TXN2-3|TXN3-8|TXN2-7|TXN1-3|11650000|||NotApplicable|||||2000-04-04||||||| | | | | | | | | |||N|0|N|N|140A|CAN|US|||50|5010|501010|50101020|Industrials|Construction and Materials|Construction and Materials |Building, Roofing/Wallboard and Plumbing|N||N||||||Y|0|Y||Y|2|||5.39|5.41|0.0|0.0|5.44|5.4|5.43|5.37|0.0|0.0|5.48|5.38|5.42|0.0|5.33|5.39|5.4|5.4|0.0|5.4|5.22|5.57|5.4|5.43|5.28|5.5|4.21|6.27|0.0|0.0|5.4|5.43|5.48|3.68|177293|8880642 71713|APTM|APTM|G63290111|KYG632901115|Alpha Partners Technology Merger Corp|ORD SHS CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN5-4|TXN13-4|TXN5-7|TXN6-3|15580000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|10.65|10.65|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.65|0.0|10.65|0.0|0.0|0.0|0.0|10.0|11.33|0.0|0.0|0.0|0.0|10.64|10.68|11.35|9.97|911|8230767 71255|APTMU|APTMU|G63290129|KYG632901297|Alpha Partners Technology Merger Corp|UNITS||R|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN6-3|TXN12-8|TXN6-5|TXN5-1|29120000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.59|11.67|0.0|0.0|0.0|0.0|10.64|11.67|12.265|9.55|0|802018 71714|APTMW|APTMW|G63290103|KYG632901032|Alpha Partners Technology Merger Corp|WT EXP 033128||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-1|TXN5-5|TXN14-1|TXN6-6|TXN6-2|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0511|0.075|0.36|0.0052|0|1946245 48343|APTO|APTO|03835T309|CA03835T3091|Aptose Biosciences Inc|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN5-6|TXN12-4|TXN5-7|TXN5-4|7820000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CAN||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y|C|||||2.47|2.45|0.0|0.0|2.45|2.45|2.45|2.46|0.0|0.0|2.47|2.45|2.44|0.0|0.0|2.47|0.0|2.45|2.47|2.44|2.34|2.62|0.0|0.0|2.38|2.54|2.34|2.62|0.0|0.0|2.44|2.45|6.6001|0.36|90650|29110745 39135|APTV|APTV|G6095L109|JE00B783TY65|Aptiv PLC|Ordinary Shares|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|B|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-4|TXN1-1|TXN1-4|TXN2-8|TXN4-1|282860000|||Quarterly|||||2011-11-17||||||| | | | | | | | | |||N|5|Y|Y|200A|IRL|GB|||40|4010|401010|40101025|Consumer Discretionary|Automobiles and Parts|Automobiles and Parts|Auto Parts|N||N||||||Y|0|Y||Y|1|||82.81|82.81|0.0|82.79|82.795|82.82|82.81|82.83|0.0|0.0|82.77|82.86|82.82|82.83|82.87|82.83|82.75|82.83|82.84|82.83|82.81|82.83|78.06|85.0|82.74|82.87|82.72|82.85|82.71|82.85|82.81|82.83|124.88|71.01|1841226|462486433 75659|APUE|APUE|89834G729|US89834G7299|Trust For Professional Managers|ActivePassive U.S. Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Envestnet|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN1-5|TXN4-8|TXN3-4|TXN4-4|7300000|||Yearly|||||2023-05-03||APUE.NV|APUE.SO|APUE.EU|APUE.TC| | | | | | | | | | ||The investment objective of the ActivePassive U.S. Equity ETF (U.S. Equity ETF or the Fund) is toprovide long term capital 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4843|ARC|ARC|00191G103|US00191G1031|ARC Document Solutions, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN3-1|TXN5-8|TXN3-2|TXN3-6|42960000|||Quarterly|||||2005-02-04||||||| | | | | | | | | |||N|0|N|Y|104A|USA|US|||50|5020|502050|50205030|Industrials|Industrial Goods and Services|Industrial Support Services|Forms and Bulk Printing Services|N||N||||||N|0|Y||Y|2|||2.96|2.92|0.0|2.95|2.95|2.91|2.93|2.94|0.0|0.0|2.94|2.9|2.94|2.912|2.92|2.94|2.93|2.94|2.95|2.94|2.92|2.94|2.27|3.62|2.89|2.97|2.89|3.61|2.89|2.98|2.92|2.94|3.87|2.62|123812|33947386 24|ARCB|ARCB|03937C105|US03937C1053|ArcBest Corp|COM 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A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN5-5|TXN11-7|TXN6-4|TXN5-7|29450000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||BRA||||40|4020|402010|40201010|Consumer Discretionary|Consumer Products and Services|Consumer Services |Education Services|N||N||||||Y|0|Y||||||13.99|13.99|0.0|0.0|13.99|13.995|13.99|14.0|0.0|0.0|13.995|0.0|13.99|13.995|14.0|14.0|14.0|13.99|13.99|13.99|13.99|14.01|10.84|17.13|13.99|14.01|13.99|14.01|0.0|0.0|13.99|14.0|14.22|10.63|651169|40853780 54077|ARCH|ARCH|03940R107|US03940R1077|Arch Resources, Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|O|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN3-6|TXN2-8|TXN2-3|TXN3-5|18370000|||Quarterly|||||2016-10-05||||||| | | | | | | | | |||N|0|N|Y|100A|USA|US|||60|6010|601010|60101040|Energy|Energy|Oil, Gas and Coal|Coal|N||N||||||Y|0|Y||Y|2|||168.31|166.93|0.0|167.03|166.79|166.46|166.93|166.955|0.0|0.0|166.86|166.94|167.03|166.92|166.85|167.05|167.25|166.93|166.97|167.05|166.9|167.05|132.07|207.4|165.3|167.35|166.71|167.26|166.93|167.35|166.9|167.05|175.1|102.42|380437|95744403 56962|ARCM|ARCM|042765719|US0427657194|Arrow Investments Trust - ArrowShares Reserve|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-4|TXN4-2|TXN6-8|TXN4-2|TXN3-1|510000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|99.89|0.0|0.0|0.0|0.0|99.8812|99.309|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|99.89|0.0|99.89|0.0|0.0|0.0|0.0|94.24|107.24|0.0|0.0|0.0|0.0|99.56|100.22|100.8|99.04|251|184784 37751|ARCO|ARCO|G0457F107|VGG0457F1071|Arcos Dorados Holdings Inc.|Class A Common Stock|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|8|R|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-4|TXN2-3|TXN8-4|TXN4-2|TXN3-6|130600000|||Adhoc|||||2011-04-14||||||| | | | | | | | | |||N|0|N|Y|118A|URY|VG|||40|4050|405010|40501040|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Restaurants and Bars|N||N||||||Y|0|Y||Y|2|||12.01|12.01|0.0|12.15|12.0|12.03|12.01|12.025|0.0|0.0|12.04|12.04|12.005|12.06|11.98|12.01|12.01|12.0|12.02|12.01|12.0|12.01|9.33|14.89|11.96|12.13|11.97|12.04|11.97|12.04|12.0|12.01|12.49|7.015|2138281|231979244 42073|ARCT|ARCT|03969T109|US03969T1097|Arcturus Therapeutics Holdings Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN6-5|TXN10-3|TXN5-2|TXN5-3|26720000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||23.87|23.94|0.0|23.82|24.0|23.93|23.975|23.93|0.0|0.0|23.93|23.95|23.99|23.98|23.81|24.0|23.85|23.97|23.69|23.99|23.65|24.19|18.64|29.15|23.71|24.16|23.88|24.09|23.94|24.07|23.94|23.98|37.75|14.21|264903|100361454 41084|ARDC|ARDC|04014F102|US04014F1021|Ares Dynamic Credit Allocation Fund, Inc.|Common Shares|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN2-4|TXN3-8|TXN1-2|TXN2-1|22920000|||Monthly|||||2012-11-28||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||12.8|12.8|0.0|12.89|12.8|12.77|12.78|12.815|0.0|0.0|12.78|12.83|12.77|12.8|0.0|12.76|12.81|12.76|12.8|12.76|12.76|12.78|9.95|15.8|12.55|13.04|12.74|12.8|12.76|12.8|12.76|12.78|13.0|11.4|122779|22373186 44465|ARDX|ARDX|039697107|US0396971071|Ardelyx Inc|COM USD.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN5-1|TXN10-4|TXN5-6|TXN6-6|232140000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||4.96|4.955|0.0|4.62|4.96|4.955|4.955|4.96|0.0|0.0|4.955|4.95|4.96|4.95|4.95|4.955|4.945|4.955|4.94|4.96|4.94|4.99|3.86|6.1|4.94|4.98|4.92|4.98|4.94|4.96|4.95|4.96|5.125|1.7|4086829|1431389090 4832|ARE|ARE|015271109|US0152711091|Alexandria Real Estate Equities, Inc.|Common Stock|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|6|O|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-3|TXN4-7|TXN7-3|TXN1-2|TXN4-4|173780000|||Quarterly|||||1997-05-28||||||| | | | | | | | | |||N|5|Y|Y|412A|USA|US|||35|3510|351020|35102030|Real Estate|Real Estate |Real Estate Investment Trusts|Office REITs|N||N||||||Y|0|Y||Y|1|||119.89|119.98|0.0|119.84|119.95|119.88|119.8738|119.91|0.0|0.0|119.92|119.93|119.9|119.81|119.935|119.89|119.94|119.89|119.98|119.89|119.89|119.92|111.66|127.05|119.83|119.95|119.75|120.0|119.75|120.01|119.89|119.92|172.65|90.73|1789747|248080289 73276|AREB|AREB|02919L307|US02919L3078|American Rebel Holdings Inc|COM USD0.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-8|TXN6-6|TXN12-8|TXN6-5|TXN6-2|5020000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4020|402020|40202015|Consumer Discretionary|Consumer Products and Services|Household Goods and Home Construction|Household Furnishings|N||N||||||N|0|Y||||||0.3474|0.3388|0.0|0.348|0.3451|0.3456|0.347299|0.3452|0.0|0.0|0.3452|0.3452|0.3411|0.0|0.0|0.0|0.0|0.3411|0.0|0.3411|0.2686|0.4078|0.2686|0.4078|0.3187|0.3574|0.2686|0.4078|0.0|0.0|0.3411|0.3497|6.49|0.125|371877|266339166 73277|AREBW|AREBW|02919L117|US02919L1171|American Rebel Holdings Inc|WT EXP 012027||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-7|TXN5-4|TXN11-2|TXN5-6|TXN6-4|5880000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y|C|||||0.0|0.0|0.0|0.0|0.0|0.0055|0.0056|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0056|0.0|0.0056|0.0|0.0|0.0|0.0|0.0035|0.1313|0.0|0.0|0.0|0.0|0.005|0.01|0.1291|0.0003|27961|4836512 58862|AREC|AREC|02927U208|US02927U2087|American Res Corp|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN5-6|TXN13-7|TXN6-6|TXN5-6|78270000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||60|6010|601010|60101040|Energy|Energy|Oil, Gas and Coal|Coal|N||N||||||Y|0|Y||||||1.7|1.69|0.0|0.0|1.7|1.7|1.7|1.7|0.0|0.0|1.7|1.7|1.7|1.66|1.7|1.71|0.0|1.69|1.67|1.7|1.66|1.73|1.32|2.04|1.66|1.78|1.66|1.73|1.66|1.73|1.69|1.71|2.16|1.04|280844|52683739 73439|AREN|AREN|040044109|US0400441095|The Arena Group Holdings, Inc.|Common Stock|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-7|TXN1-2|TXN2-8|TXN4-2|TXN1-5|23840000|||NotApplicable|||||2022-02-09||||||| | | | | | | | | |||N|0|N|N|142B|USA|US|||10|1010|101010|10101020|Technology|Technology|Software and Computer Services|Consumer Digital Services |N||N||||||Y|0|Y||Y|2|||3.41|3.47|0.0|0.0|3.41|3.41|3.42|3.46|0.0|0.0|3.38|3.18|3.41|3.46|0.0|3.63|3.42|3.42|0.0|3.42|3.26|3.69|3.42|3.48|3.3|3.51|0.0|0.0|0.0|0.0|3.42|3.48|16.5|1.755|502684|11878228 44095|ARES|ARES|03990B101|US03990B1017|Ares Management Corporation|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|A|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-6|TXN3-7|TXN5-7|TXN4-2|TXN3-3|185590000|||Quarterly|||||2018-11-26||||||| | | | | | | | | |||N|0|Y|Y|408A|USA|US|||30|3020|302020|30202010|Financials|Financial Services |Investment Banking and Brokerage Services |Asset Managers and Custodians|N||N||||||Y|0|Y||Y|1|||109.38|109.37|0.0|109.41|109.34|109.32|109.39|109.37|0.0|0.0|109.4|109.36|109.33|109.39|108.94|109.4|109.1|109.43|109.43|109.4|109.32|109.35|102.63|115.89|109.29|109.52|109.29|109.53|109.32|109.46|109.32|109.35|112.41|66.04|817349|234130881 60963|ARGD|ARGD|040130106|US0401301066|Argo Group International Holdings, Inc.|6.500% Senior Notes due 2042|Operating company|G|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN4-1|TXN7-8|TXN3-8|TXN2-6|5750000|||Quarterly|||||2018-05-07|2042-09-15|||||| | | | | | | | | |||N|0|N|N|410A|USA|BM|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|22.5|22.9|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|22.67|0.0|22.9|0.0|22.67|22.52|22.98|0.0|0.0|22.07|23.44|0.0|0.0|0.0|0.0|22.52|22.98|23.61|19.59|597|1490447 67022|ARGO PRA|ARGOpA|040128407|US0401284072|Argo Group International Holdings, Inc.|Depositary Shares, Each Representing a 1/1,000th Interest in a 7.00% Resettable Fixed Rate Preference Share, Series A|Operating company|B|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN3-3|TXN6-8|TXN1-1|TXN3-4|6000000|||Quarterly|||||2020-07-21||||||| | | | | | | | | |||N|0|N|N|410A|BMU|BM|||||||||||N||N||||||N|0|Y||Y|2|||0.0|23.8|0.0|0.0|0.0|23.61|23.9|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|23.9|23.8|23.9|0.0|23.9|23.59|24.0|23.58|23.9|23.04|24.48|0.0|0.0|0.0|0.0|23.59|24.0|24.73|18.04|1943|4110224 37255|ARGT|ARGT|37950E259|US37950E2596|Global X Funds|Global X MSCI Argentina ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Global X|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN2-1|TXN9-8|TXN4-8|TXN3-5|1864975|||BiAnnually|||||2011-03-03||ARGT.NV|ARGT.SO|ARGT.EU|ARGT.TC|ARGT.IV| | | | | | | | | |1x|The Global X FTSE Argentina 20 ETF seeks to provide investment results that correspond generally to the price and yield performance, before fees and expenses, of the FTSE Argentina 20 Index. The Underlying Index is designed to measure equity performance of the top 20 companies within the investable universe of Argentina-domiciled companies or companies that have substantial revenues or assets in Argentina, as defined by FTSE. Only shares open to foreign ownership without restrictions are eligible for inclusion in the Underlying Index, such as ADRs and non-Argentinean listed securities. The Funds investment objective and Underlying Index may be changed without shareholder approval. |N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||49.7|49.78|0.0|0.0|49.78|49.68|49.71|49.78|0.0|0.0|49.71|49.78|49.84|49.77|49.77|0.0|0.0|49.75|49.69|49.75|46.01|53.13|38.24|61.15|49.69|49.89|49.7|52.49|0.0|0.0|49.68|49.89|51.57|30.68|119621|7464822 57535|ARGX|ARGX|04016X101|US04016X1019|arGEN-X SE|ADR||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN5-1|TXN12-6|TXN5-3|TXN5-2|59080000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||NLD||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||457.84|457.9|0.0|458.42|456.09|458.3|457.75|457.84|0.0|0.0|461.58|0.0|457.74|457.76|460.83|457.75|460.94|457.78|459.54|457.74|454.83|461.15|351.08|556.83|454.79|459.69|457.18|458.29|457.16|458.12|457.74|458.12|550.76|333.07|279407|58674117 72238|ARHS|ARHS|04035M102|US04035M1027|Arhaus Inc|COM CL A USD0.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN6-4|TXN14-4|TXN5-4|TXN5-7|53170000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4020|402020|40202015|Consumer Discretionary|Consumer Products and Services|Household Goods and Home Construction|Household Furnishings|N||N||||||Y|0|Y||||||9.53|9.525|0.0|9.52|9.53|9.53|9.52|9.52|0.0|0.0|9.52|9.53|9.52|9.54|9.54|9.52|9.55|9.52|9.54|9.52|9.49|9.55|7.47|11.8|9.52|9.6|9.5|9.55|9.49|9.56|9.52|9.55|15.27|6.75|1007264|222320912 31551|ARI|ARI|03762U105|US03762U1051|Apollo Commercial Real Estate Finance, Inc.|Common Stock, $0.01 par value per share|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|8|O|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-6|TXN3-6|TXN7-2|TXN4-1|TXN1-3|141360000|||Quarterly|||||2009-09-24||||||| | | | | | | | | |||N|0|N|Y|414A|USA|US|||30|3020|302030|30203010|Financials|Financial Services |Mortgage Real Estate Investment Trusts|Mortgage REITs: Commercial|N||N||||||Y|0|Y||Y|2|||11.18|11.185|0.0|11.14|11.18|11.17|11.17|11.185|0.0|0.0|11.17|11.185|11.17|11.19|11.14|11.17|11.19|11.17|11.18|11.17|11.17|11.18|8.53|13.49|11.15|11.19|11.15|11.19|11.14|11.2|11.17|11.18|12.745|8.58|758446|235705153 72103|ARIS|ARIS|04041L106|US04041L1061|Aris Water Solutions, Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|S|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN3-4|TXN6-8|TXN2-8|TXN1-2|30150000|||Quarterly|||||2021-10-22||||||| | | | | | | | | |||N|0|N|Y|134F|USA|US|||65|6510|651020|65102030|Utilities|Utilities|Gas, Water and Multi-utilities |Water|N||N||||||N|0|Y||Y|2|||8.25|8.245|0.0|8.18|8.26|8.255|8.25|8.25|0.0|0.0|8.26|8.25|8.255|8.25|8.08|8.26|8.52|8.26|8.13|8.26|8.24|8.26|6.25|9.94|8.16|8.33|8.22|8.28|8.24|8.29|8.24|8.26|16.86|6.6919|404976|60769945 72835|ARIZ|ARIZ|040450108|US0404501084|Arisz Acquisition Corp|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN6-3|TXN12-8|TXN6-3|TXN5-3|5160000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|10.8|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.8|0.0|10.8|0.0|0.0|0.0|0.0|10.12|10.85|0.0|0.0|0.0|0.0|10.78|10.82|11.5273|9.97|50001|5071251 72836|ARIZR|ARIZR|040450124||Arisz Acquisition Corp. Right|||D|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-7|TXN6-6|TXN11-8|TXN6-6|TXN6-7|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||50|5020|502040|50204000|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Industrial|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.072|0.08|0.209|0.05|0|3059447 72428|ARIZU|ARIZU|040450207|US0404502074|Arisz Acquisition Corp|UNITS||R|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN5-2|TXN10-2|TXN6-4|TXN5-2|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|9.63|11.78|0.0|0.0|0.0|0.0|9.63|11.78|11.73|10.08|0|21138 72837|ARIZW|ARIZW|040450116|US0404501167|Arisz Acquisition Corp|WT EXP 111626||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-4|TXN5-3|TXN12-4|TXN5-4|TXN5-2|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0113|0.0113|0.0|0.0|0.0113|0.0113|0.0102|0.0113|0.0|0.0|0.0113|0.01|0.01|0.0113|0.0|0.01125|0.0|0.0113|0.01125|0.0113|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0105|0.0125|0.075|0.003|152271|2710247 76616|ARKA|ARKA|02072L359|US02072L3592|ARK 21Shares Active Bitcoin Futures Strategy ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN1-1|TXN6-8|TXN4-6|TXN1-1|80000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|42.36|0.0|0.0|0.0|0.0|42.15|0.0|0.0|0.0|0.0|0.0|42.36|0.0|0.0|0.0|0.0|42.36|0.0|42.36|32.73|51.96|32.73|51.96|42.25|42.4|32.73|51.96|41.9|42.33|42.29|42.33|42.54|35.8|1075|125571 76634|ARKC|ARKC|02072L318|US02072L3188|ARK 21Shares Active On-Chain Bitcoin Strategy ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-5|TXN1-8|TXN6-8|TXN3-6|TXN2-5|20000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|27.9188|0.0|0.0|0.0|25.85|27.9188|0.0|0.0|0.0|0.0|0.0|27.92|0.0|0.0|0.0|0.0|27.9188|0.0|27.9188|21.51|34.22|21.51|34.22|27.78|27.93|21.51|34.22|27.53|27.82|27.78|27.93|27.95|24.4329|7618|31127 76635|ARKD|ARKD|02072L292|US02072L2925|ARK 21Shares Blockchain and Digital Economy Innovation ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-1|TXN4-6|TXN6-8|TXN3-7|TXN3-2|60000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|30.2617|0.0|0.0|0.0|0.0|30.18|26.47|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|30.2617|0.0|30.2617|23.25|36.86|23.25|36.86|28.68|31.76|23.25|36.86|0.0|0.0|30.18|30.27|30.2617|25.08|1676|35638 62935|ARKF|ARKF|00214Q708|US00214Q7088|ARK ETF Trust|ARK Fintech Innovation ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ARK Investment Management|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-4|TXN3-1|TXN6-1|TXN2-1|TXN2-4|41400000|||Yearly|||||2019-02-04||ARKF.NV|ARKF.SO|ARKF.EU|ARKF.TC|ARKF.IV| | | | | | | | | ||The Fund is an actively-managed exchange-traded fund (ETF) that will invest under normal circumstances primarily (at least 80% of its assets) in domestic and foreign equity securities of companies that are relevant to the Funds investment theme of financial technology (Fintech) innovation. The Adviser defines Fintech innovation as the introduction of a technologically enabled new product or service that potentially changes the way the financial sector works. The Adviser believes that companies engaged in this theme are those that rely on or benefit from the development of new products or services, technological improvements and advancements in research (Fintech Innovation Companies).|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||Y|0|Y||Y|1|||24.76|24.71|0.0|24.67|24.74|24.725|24.71|24.71|0.0|0.0|24.72|24.76|24.72|24.67|24.72|24.76|24.77|24.72|24.67|24.72|24.71|24.78|24.72|24.79|24.72|24.77|24.71|24.79|24.61|24.79|24.72|24.77|24.8867|13.5|1523076|164554331 48611|ARKG|ARKG|00214Q302|US00214Q3020|ARK Genomic Revolution Multi-Sector ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-8|TXN2-1|TXN3-7|TXN1-2|TXN4-3|63950000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||29.17|29.2|0.0|28.92|29.18|29.175|29.19|29.18|0.0|0.0|29.18|29.19|29.19|29.02|29.17|29.17|29.17|29.2|29.12|29.2|29.14|29.22|29.16|30.98|29.16|29.21|29.13|29.22|29.11|29.25|29.18|29.19|38.97|21.97|2967683|417064301 48610|ARKK|ARKK|00214Q104|US00214Q1040|ARK ETF Trust|ARK Innovation ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ARK Investment Management|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-5|TXN4-3|TXN8-1|TXN3-4|TXN1-4|172750000|||Yearly|||||2014-10-31||ARKK.NV|ARKK.SO|ARKK.EU|ARKK.TC|ARKK.IV| | | | | | | | | ||The Fund is an actively-managed ETF that will invest in equity securities of companies that are relevant to the theme of disruptive innovation. Companies relevant to this theme are those that rely on or benefit from the development of new products or services, technological improvements and advancements in scientific research relating to the areas of genomics , industrial innovation or the increased use of shared technology, infrastructure and services.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||48.655|48.66|0.0|46.1|48.67|48.67|48.665|48.655|0.0|0.0|48.67|48.66|48.67|48.66|48.655|48.655|48.67|48.69|48.665|48.69|48.66|48.68|48.5|48.8|48.67|48.68|48.63|48.71|48.52|48.8|48.67|48.68|51.33|29.43|24898358|4463344424 64110|ARKO|ARKO|041242108|US0412421085|ARKO Corp|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN6-2|TXN12-1|TXN6-2|TXN6-1|116810000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4040|404010|40401030|Consumer Discretionary|Retail |Retailers |Specialty Retailers |N||N||||||Y|0|Y||||||7.74|7.735|0.0|0.0|7.75|7.73|7.74|7.735|0.0|0.0|7.73|7.74|7.73|0.0|7.66|7.73|7.65|7.735|0.0|7.73|7.66|7.76|6.0|9.53|7.7|7.8|7.7|7.77|7.69|7.78|7.73|7.74|9.54|6.7|227155|59222558 64111|ARKOW|ARKOW|041242116|US0412421168|ARKO Corp|WT EXP 122225||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN5-6|TXN13-5|TXN5-7|TXN5-1|117300000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y|D|||||0.0|0.0|0.0|0.0|0.0|1.06|1.059|0.0|0.0|0.0|0.0|0.0|1.06|0.0|0.0|0.0|0.0|1.06|0.0|1.06|0.0|0.0|0.0|0.0|0.9802|1.13|0.0|0.0|0.0|0.0|1.05|1.06|2.2|0.9001|2570|3044579 46066|ARKQ|ARKQ|00214Q203|US00214Q2030|ARK Autonomous Technology & Robotics ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-7|TXN3-5|TXN8-1|TXN1-3|TXN2-6|18500000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||55.11|55.19|0.0|52.73|55.19|54.98|55.1788|54.9|0.0|0.0|55.0|55.1|55.17|55.034|52.72|53.02|52.73|55.19|52.09|55.19|55.05|55.29|51.17|58.49|55.13|55.21|55.12|55.23|55.0|55.36|55.15|55.22|59.835|39.35|95596|21575239 301|ARKR|ARKR|040712101|US0407121013|Ark Restaurants Corp.|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN5-7|TXN11-7|TXN5-8|TXN5-6|3600000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4050|405010|40501040|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Restaurants and Bars|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|15.2905|15.3|0.0|0.0|0.0|0.0|15.25|0.0|0.0|0.0|0.0|15.33|0.0|15.33|0.0|0.0|0.0|0.0|14.45|15.91|0.0|0.0|0.0|0.0|15.25|15.45|19.96|14.84|5279|1223681 46067|ARKW|ARKW|00214Q401|US00214Q4010|ARK ETF Trust|ARK Next Generation Internet ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ARK Investment Management|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-5|TXN2-8|TXN2-4|TXN1-5|TXN2-3|22750000|||Yearly|||||2014-09-30||ARKW.NV|ARKW.SO|ARKW.EU|ARKW.TC|ARKW.IV| | | | | | | | | ||The Fund is an actively-managed exchange-traded fund (ETF) that will invest under normal circumstances primarily (at least 80% of its assets) in domestic and foreign equity securities of companies that are relevant to the Funds investment theme of next generation internet. Next generation internet companies that ARK Investment Management LLC, the Funds investment adviser, believes are relevant to this theme are focused on and expected to benefit from shifting the bases of technology infrastructure from hardware and software to the cloud, enabling mobile and local services, such as companies that rely on or benefit from the increased use of shared technology, infrastructure and services.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||70.2|70.08|0.0|68.05|70.08|70.08|70.085|70.16|0.0|0.0|70.09|69.87|70.08|70.09|69.88|70.08|69.87|70.03|69.4|70.03|69.98|70.25|65.4|74.39|70.03|70.1|69.98|70.13|69.8|70.28|70.03|70.1|70.46|36.02|461514|86473021 70040|ARKX|ARKX|00214Q807|US00214Q8078|Ark Space Exploration & Innovation ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-8|TXN1-2|TXN3-5|TXN2-5|TXN2-5|18200000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||14.77|14.83|0.0|0.0|14.83|14.8|14.8499|14.78|0.0|0.0|14.68|0.0|14.83|14.82|0.0|14.75|0.0|14.83|14.85|14.83|14.83|18.17|14.8|14.94|14.83|14.87|14.8|14.9|14.8|14.9|14.83|14.85|15.6395|11.925|47630|11053342 76636|ARKY|ARKY|02072L342|US02072L3428|ARK 21Shares Active Bitcoin Ethereum Strategy ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-8|TXN3-6|TXN1-5|TXN3-7|TXN1-4|20000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|27.9191|0.0|0.0|0.0|27.91|27.9281|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|27.9191|0.0|27.9191|21.57|33.84|21.57|33.84|27.54|28.28|21.57|33.84|27.51|27.91|27.89|27.93|28.0425|24.2552|862|21858 76617|ARKZ|ARKZ|02072L334|US02072L3345|ARK 21Shares Active Ethereum Futures Strategy ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-3|TXN1-6|TXN3-8|TXN2-5|TXN1-5|20000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|28.212|0.0|0.0|0.0|0.0|28.13|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|28.212|0.0|28.212|21.81|34.66|21.81|34.66|28.13|28.3|21.81|34.66|28.03|28.28|28.2|28.23|28.24|24.51|2961|60817 4840|ARL|ARL|029174109|US0291741090|American Realty Investors, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN1-7|TXN9-8|TXN4-3|TXN4-4|16150000|||NotApplicable|||||1988-04-19||||||| | | | | | | | | |||N|0|N|Y|412A|USA|US|||35|3510|351010|35101010|Real Estate|Real Estate |Real Estate Investment and Services Development|Real Estate Holding and Development |N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|15.5|15.3516|15.6|0.0|0.0|15.48|0.0|14.85|13.42|0.0|15.13|0.0|15.5|0.0|15.13|14.81|15.13|0.0|0.0|14.51|15.44|0.0|0.0|0.0|0.0|14.81|15.13|31.59|11.69|510|1603358 61359|ARLO|ARLO|04206A101|US04206A1016|Arlo Technologies, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|H|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-4|TXN4-2|TXN3-4|TXN4-4|TXN3-7|94630000|||NotApplicable|||||2018-08-03||||||| | | | | | | | | |||N|0|N|Y|180B|USA|US|||40|4020|402030|40203010|Consumer Discretionary|Consumer Products and Services|Leisure Goods|Consumer Electronics|N||N||||||Y|0|Y||Y|2|||9.92|9.92|0.0|10.01|9.95|9.925|9.93|9.92|0.0|0.0|9.94|9.94|9.92|9.93|9.95|9.93|10.0|9.92|9.93|9.93|9.92|9.93|7.78|12.34|9.9|9.96|9.89|9.96|9.88|9.93|9.92|9.93|11.54|3.07|1368175|230672664 303|ARLP|ARLP|01877R108|US01877R1086|Alliance Resource Partners LP|COM LP UNIT||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN5-7|TXN14-2|TXN5-1|TXN6-3|127130000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||60|6010|601010|60101040|Energy|Energy|Oil, Gas and Coal|Coal|N||N||||||Y|0|Y||||||21.01|20.88|0.0|20.89|20.91|20.905|20.905|20.905|0.0|0.0|20.92|20.84|20.88|20.88|20.86|20.875|20.84|20.905|0.0|20.88|20.77|21.04|16.28|25.98|20.8|20.91|20.85|20.94|20.87|0.0|20.88|20.91|24.3|17.05|348159|107929065 76289|ARM|ARM|042068205|US0420682058|Arm Holdings plc|ADR||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN5-5|TXN12-3|TXN6-2|TXN6-1|1026060000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||GBR||||10|1010|101020|10102010|Technology|Technology|Technology Hardware and Equipment|Semiconductors|N||N||||||Y|0|Y||||||61.95|61.9|0.0|61.94|61.92|61.94|61.9|61.905|0.0|0.0|61.95|61.97|61.93|61.92|61.9|61.94|61.96|61.9|62.02|61.93|47.38|75.88|47.38|75.88|61.87|62.14|61.88|61.98|61.89|61.95|61.89|61.95|69.0|46.5|5012171|582910498 43262|ARMK|ARMK|03852U106|US03852U1060|Aramark|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|D|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-6|TXN1-3|TXN6-3|TXN1-7|TXN4-6|261510000|||Quarterly|||||2013-12-12||||||| | | | | | | | | |||N|0|Y|Y|310A|USA|US|||40|4050|405010|40501040|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Restaurants and Bars|N||N||||||Y|0|Y||Y|1|||28.18|28.185|0.0|28.17|28.18|28.185|28.19|28.18|0.0|0.0|28.18|28.17|28.185|28.21|28.195|28.18|28.2|28.2|28.18|28.18|28.19|28.21|26.31|29.77|28.19|28.22|28.13|29.66|28.19|28.21|28.19|28.21|45.72|23.95|3343858|818684483 76294|ARMN|ARMN|04040Y109|CA04040Y1097|Aris Mining Corporation|Common Shares|Operating company|A|N|Y|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-7|TXN4-2|TXN4-8|TXN3-3|TXN1-3|137830000|||NotApplicable|||||2023-09-14||||||| | | | | | | | | |||N|0|N|N|130C|CAN|CA|||55|5510|551020|55102000|Basic Materials|Basic Resources|Industrial Metals and Mining|General Mining|N||N||||||N|0|Y||Y|2|||3.19|3.17|0.0|0.0|3.23|3.17|3.17|3.185|0.0|0.0|3.17|0.0|3.195|0.0|0.0|3.17|3.17|3.17|0.0|3.17|2.45|3.93|3.16|3.19|3.1|3.24|3.14|3.2|3.13|3.21|3.16|3.19|3.45|2.16|94380|3934597 32185|ARMP|ARMP|04216R102|US04216R1023|Armata Pharmaceuticals, Inc.|Common Stock|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Brendan E. 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ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN6-2|TXN11-8|TXN5-5|TXN5-2|50000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|32.75|0.0|0.0|0.0|0.0|0.0|32.7688|0.0|0.0|0.0|0.0|32.75|0.0|32.7688|23.95|39.45|0.0|0.0|32.7|32.83|23.95|39.45|0.0|0.0|32.7|32.83|33.26|23.7083|466|92361 4845|ARW|ARW|042735100|US0427351004|Arrow Electronics, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|R|GTS Securities 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A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN5-3|TXN12-8|TXN6-6|TXN5-6|4190000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.91|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.88|11.66|0.0|0.0|0.0|0.0|10.91|10.94|10.9|10.04|27|8048336 4846|ASA|ASA|G3156P103|BMG3156P1032|ASA Gold and Precious Metals Limited|Common Shares, $1.00 Par Value Per Share|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities 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LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN4-4|TXN2-3|TXN2-3|TXN3-4|1351680000|||Adhoc|||||2021-03-01||||||| | | | | | | | | |||N|0|N|Y|146D|BRA|BR|||45|4520|452010|45201010|Consumer Staples |Personal Care, Drug and Grocery Stores |Personal Care, Drug and Grocery Stores |Food Retailers and Wholesalers |N||N||||||N|0|Y||Y|2|||12.88|12.915|0.0|0.0|12.92|12.915|12.915|12.92|0.0|0.0|12.9|12.9|12.915|13.37|12.88|12.92|12.875|12.92|12.88|12.92|12.91|12.92|10.2|15.83|12.91|12.92|12.85|12.98|12.91|12.98|12.91|12.92|20.98|10.44|324676|143636648 67689|ASAN|ASAN|04342Y104|US04342Y1047|Asana, Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-6|TXN3-6|TXN7-2|TXN3-3|TXN1-6|134190000|||NotApplicable|||||2020-09-30||||||| | | | | | | | | |||N|0|N|Y|180B|USA|US|||10|1010|101010|10101020|Technology|Technology|Software and Computer Services|Consumer Digital Services |N||N||||||Y|0|Y||Y|2|||22.85|22.815|0.0|22.62|22.81|22.815|22.8086|22.8|0.0|0.0|22.8|22.81|22.81|22.84|22.8|22.81|22.85|22.8086|22.81|22.81|22.8|22.81|17.67|27.88|22.75|22.85|22.78|22.85|22.78|22.86|22.8|22.81|26.27|11.32|2264011|629996185 331|ASB|ASB|045487105|US0454871056|Associated Banc-Corp|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|O|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-4|TXN4-2|TXN7-4|TXN1-1|TXN3-7|150940000|||Quarterly|||||2014-12-23||||||| | | | | | | | | |||N|0|N|Y|402B|USA|US|||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||Y|2|||18.97|18.96|0.0|18.85|18.96|18.965|18.97|18.955|0.0|0.0|18.96|18.96|18.96|18.97|18.97|18.96|18.955|18.96|18.96|18.96|18.95|18.96|14.32|22.9|18.95|18.98|18.93|18.99|18.93|18.99|18.95|18.96|24.31|14.47|1513121|396814491 61863|ASB PRE|ASBpE|045487204|US0454872047|Associated Banc-Corp|Depositary Shares, each representing a 1/40th interest in a share of Associated Banc-Corp 5.875% Non-Cumulative Perpetual Preferred Stock, Series E|Operating company|B|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN2-7|TXN8-8|TXN3-4|TXN3-1|4000000|||Quarterly|||||2018-09-28||||||| | | | | | | | | |||N|0|N|N|402B|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|16.642812|18.11|18.0907|18.1|0.0|0.0|17.632812|0.0|18.12|16.802812|0.0|18.11|18.11|18.11|0.0|18.11|18.11|18.12|18.11|18.39|17.75|18.48|0.0|0.0|0.0|0.0|18.11|18.12|25.0|15.0|6393|3397362 66758|ASB PRF|ASBpF|045487402|US0454874027|Associated Banc-Corp|Depositary Shares, each representing a 1/40th interest in a share of Associated Banc-Corp 5.625% Non-Cumulative Perpetual Preferred Stock, Series F|Operating company|B|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities 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The Funds investment objective and Underlying Index may be changed without shareholder approval.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||0.0|14.58|0.0|0.0|0.0|14.68|14.6992|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|14.68|0.0|14.6692|0.0|14.6692|13.58|15.63|0.0|0.0|14.62|14.67|13.58|15.63|0.0|0.0|14.62|14.67|15.8399|13.88|6332|4084495 52044|ASET|ASET|33939L738|US33939L7385|FlexShares Real Assets Allocation Index Fund|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN6-3|TXN11-6|TXN6-2|TXN5-2|580000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|29.7431|0.0|0.0|0.0|0.0|29.71|0.0|29.7431|0.0|0.0|0.0|0.0|29.58|29.89|0.0|0.0|0.0|0.0|29.73|29.75|32.1|26.98|835|668365 4850|ASG|ASG|529900102|US5299001025|Liberty All-Star Growth Fund, Inc.|Common Stock|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN2-1|TXN3-8|TXN2-5|TXN3-5|58240000|||Quarterly|||||1986-03-06||||||| | | | | | | | | |||N|0|N|N|406B|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||5.04|5.04|0.0|0.0|5.04|5.045|5.0475|5.035|0.0|0.0|5.04|5.04|5.045|5.04|0.0|5.04|5.04|5.04|5.04|5.04|5.04|5.05|3.89|6.18|4.99|5.38|5.01|5.08|5.04|5.05|5.04|5.05|5.7099|4.47|245184|41479218 67068|ASGI|ASGI|00326W106|US00326W1062|abrdn Global Infrastructure Income Fund|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN3-1|TXN3-8|TXN3-8|TXN2-1|25210000|||Monthly|||||2020-07-29||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||17.25|17.27|0.0|0.0|17.23|17.25|17.24|17.235|0.0|0.0|17.27|0.0|17.24|17.23|17.27|17.23|17.27|17.24|17.23|17.23|17.23|17.27|13.3|21.21|17.18|17.3|17.19|17.32|17.21|17.27|17.23|17.27|18.8269|14.96|99238|11384199 339|ASGN|ASGN|00191U102|US00191U1025|ASGN Incorporated|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|P|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN4-2|TXN5-8|TXN4-5|TXN4-3|47200000|||NotApplicable|||||2012-08-31||||||| | | | | | | | | |||N|0|N|Y|122B|USA|US|||50|5020|502050|50205025|Industrials|Industrial Goods and Services|Industrial Support Services|Business Training and Employment Agencies|N||N||||||Y|0|Y||Y|2|||93.21|93.32|0.0|93.56|93.57|93.61|93.52|93.66|0.0|0.0|93.19|93.67|93.55|93.61|93.28|93.58|93.6|93.51|92.34|93.58|93.5|93.58|70.7|113.85|92.81|94.39|93.4|93.7|93.5|93.72|93.5|93.58|97.8|63.27|190606|68079396 4851|ASH|ASH|044186104|US0441861046|Ashland Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|N|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN3-7|TXN9-6|TXN1-3|TXN1-2|51260000|||Quarterly|||||2005-07-01||||||| | | | | | | | | |||N|0|Y|Y|134E|USA|US|||55|5520|552010|55201000|Basic Materials|Chemicals|Chemicals|Chemicals: Diversified|N||N||||||Y|0|Y||Y|1|||82.18|82.31|0.0|82.27|82.33|82.3|82.31|82.305|0.0|0.0|82.24|82.26|82.305|82.31|82.0|82.31|82.48|82.31|82.035|82.31|82.31|82.32|77.53|87.59|81.83|82.69|82.26|82.37|82.31|82.37|82.31|82.32|113.64|70.8204|382013|109529561 43059|ASHR|ASHR|233051879|US2330518794|DBX ETF Trust|Xtrackers Harvest CSI 300 China A-Shares ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||DBX Advisors|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-7|TXN4-4|TXN9-8|TXN2-2|TXN1-3|80150001|||Yearly|||||2013-11-06||ASHR.NV|ASHR.SO|ASHR.EU|ASHR.TC|ASHR.IV| | | | | | | | | |1x|The db X-trackers Harvest China Fund (ASHR) seeks investment results that correspond generally to the performance, before fees and expenses, of the CSI 300 Index (the Underlying Index). The Underlying Index is designed to reflect the price fluctuation and performance of the China A share market and is composed of the 300 largest and most liquid stocks in the China A share market. The Underlying Index includes small-cap, mid-cap, and large-cap stocks.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||24.55|24.55|0.0|0.0|24.555|24.55|24.54|24.545|0.0|0.0|24.54|24.55|24.55|24.555|24.55|24.55|24.55|24.55|24.55|24.55|24.55|24.59|24.49|24.61|24.55|24.56|24.49|24.62|24.49|24.61|24.55|24.56|32.195|24.105|1590420|956575493 44297|ASHS|ASHS|233051754|US2330517549|DBX ETF Trust|Xtrackers Harvest CSI 500 China A-Shares Small Cap ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||DBX Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-1|TXN2-3|TXN3-8|TXN2-7|TXN4-6|800001|||Yearly|||||2014-05-21||ASHS.NV|ASHS.SO|ASHS.EU|ASHS.TC|ASHS.IV| | | | | | | | | |1x|The db X-trackers Harvest CSI 500 China A-Shares Small Cap Fund (ASHS) seeks investment results that correspond generally to the performance, before fees and expenses, of the CSI 500 Index. The Underlying Index is designed to reflect the price fluctuation and performance of small-cap companies in the China A-Share market and is composed of the 500 smallest and most liquid stocks in the China A-Share market. The Fund, using a passive or indexing investment approach, attempts to approximate the investment performance of the Underlying Index.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|28.02|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|28.0493|0.0|28.0493|22.41|33.72|0.0|0.0|28.02|28.07|27.35|28.7|27.35|28.7|28.02|28.07|34.14|26.05|993|758234 51745|ASHX|ASHX|233051523|US2330515238|DBX ETF Trust|Xtrackers MSCI China A Inclusion Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||DBX Advisors|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN3-6|TXN3-8|TXN3-4|TXN4-5|250001|||Yearly|||||2015-10-20||ASHX.NV|ASHX.SO|ASHX.EU|ASJX.TC|ASHX.IV| | | | | | | | | |1x|The Deutsche X-trackers CSI 300 China A-Shares Hedged Equity ETF (the Fund) seeks investment results that correspond generally to the performance, before fees and expenses, of the CSI 300 USD Hedged Index (the Underlying Index).The Underlying Index is designed to reflect the price fluctuation and performance of the China A-Share market hedged against the U.S. dollar. The Underlying Index includes the 300 largest and most liquid stocks in the China A-Share market. The Underlying Index includes|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|18.82|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|19.015|0.0|19.015|18.88|19.15|0.0|0.0|18.87|19.2|0.0|0.0|0.0|0.0|18.88|19.15|24.6618|18.1635|2756|85859 76352|ASIA|ASIA|577130578|US5771305787|Matthews International Funds|Matthews Pacific Tiger Active ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Matthews Asia|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-5|TXN3-7|TXN9-8|TXN3-4|TXN3-2|1950000|||Yearly|||||2023-09-22||ASIA.NV|ASIA.SO|ASIA.EU|ASIA.TC| | | | | | | | | | ||Under normal circumstances, the Matthews Pacific Tiger Active ETF seeks to achieve its investment objective by investing at least 80% of its net assets, which include borrowings for investment purposes, in the common and preferred stocks of companies located in Asia excluding Japan, but including all other developed, emerging, and frontier countries and markets in the Asian region.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|24.63|24.7099|0.0|0.0|0.0|25.05|0.0|0.0|0.0|0.0|0.0|0.0|24.6957|0.0|24.6957|0.0|0.0|0.0|0.0|24.67|24.73|0.0|0.0|0.0|0.0|24.67|24.73|25.685|23.7989|4805|2049195 53889|ASIX|ASIX|00773T101|US00773T1016|AdvanSix Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|O|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN2-2|TXN2-8|TXN3-7|TXN3-3|26950000|||Quarterly|||||2016-09-14||||||| | | | | | | | | |||N|0|N|Y|126E|USA|US|||55|5520|552010|55201000|Basic Materials|Chemicals|Chemicals|Chemicals: Diversified|N||N||||||Y|0|Y||Y|2|||27.23|27.14|0.0|26.88|27.24|27.19|27.24|27.245|0.0|0.0|27.31|27.2|27.24|27.22|26.83|27.22|26.62|27.24|26.61|27.22|27.22|27.24|21.12|33.45|27.18|27.32|27.17|27.3|27.22|27.31|27.22|27.24|44.57|23.925|147504|37642671 63080|ASLE|ASLE|00810F106|US00810F1066|AerSale Corp|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN6-1|TXN13-5|TXN5-2|TXN5-1|51330000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502010|50201010|Industrials|Industrial Goods and Services|Aerospace and Defense|Aerospace|N||N||||||Y|0|Y||||||14.51|14.51|0.0|14.52|14.58|14.525|14.54|14.51|0.0|0.0|14.53|14.57|14.51|14.52|14.51|14.53|0.0|14.51|0.0|14.51|14.38|14.68|11.13|17.83|14.41|14.67|14.49|14.55|0.0|14.57|14.5|14.51|20.81|10.39|203904|86146081 60949|ASLN|ASLN|04522R200|US04522R2004|ASLAN Pharmaceuticals Ltd|ADR||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-1|TXN5-8|TXN12-4|TXN5-7|TXN5-2|408680000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||SGP||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y|C|||||0.521|0.5131|0.0|0.0|0.52|0.515|0.521|0.521|0.0|0.0|0.5112|0.5501|0.523|0.0|0.0|0.5827|0.0|0.51|0.0|0.523|0.4892|0.5899|0.4104|0.6768|0.4892|0.5899|0.4979|0.5733|0.49|0.5852|0.51|0.564|4.69|0.35|367715|23384696 15869|ASM|ASM|053906103|CA0539061030|Avino Silver & Gold Mines Ltd.|Common shares|Operating company|A|N|Y|A|Y|Y|Y|Y|Y|||J. Streicher & Co. L.L.C.|JSCO|3856|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN10-3|TXN3-2|TXN8-7|TXN3-2|TXN4-4|125810000|||NotApplicable|||||2011-08-02||||||| | | | | | | | | |||N|0|N|N|130E|CAN|CA|||55|5510|551020|55102000|Basic Materials|Basic Resources|Industrial Metals and Mining|General Mining|N||N||||||N|0|Y||Y|2|||0.538|0.549|0.0|0.0|0.538|0.54|0.54|0.54|0.0|0.0|0.54|0.54|0.5389|0.5479|0.0|0.54|0.54|0.54|0.5402|0.54|0.5098|0.5712|0.535|0.5449|0.5251|0.5711|0.5129|0.5651|0.5138|0.5662|0.535|0.5449|1.01|0.4|697252|125601911 36273|ASMB|ASMB|045396108|US0453961080|Assembly Biosciences Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-8|TXN6-5|TXN13-4|TXN5-2|TXN6-6|65710000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||0.73|0.7269|0.0|0.0|0.73|0.7346|0.74|0.736|0.0|0.0|0.7399|0.7373|0.74|0.0|0.0|0.0|0.0|0.74|0.7307|0.74|0.7067|0.7628|0.6|0.9|0.7198|0.7548|0.7079|0.7675|0.7003|0.7667|0.7335|0.74|1.78|0.641|218501|153479691 346|ASML|ASML|N07059210|USN070592100|ASML Holding NV|ADR NY SHS||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|4|0.01|0.01|5000000|1|100|TXN13-4|TXN5-7|TXN13-2|TXN5-2|TXN6-8|403140000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||NLD||||10|1010|101020|10102020|Technology|Technology|Technology Hardware and Equipment|Production Technology Equipment|N||N||||||Y|0|Y||||||690.38|690.21|0.0|690.47|690.15|690.22|690.31|690.32|0.0|0.0|690.38|689.72|690.32|690.25|687.93|690.31|687.93|690.15|689.79|690.32|689.62|690.87|531.65|715.0|689.56|691.07|689.7|690.98|689.88|690.33|689.88|690.33|771.98|529.01|748733|235787090 49243|ASND|ASND|04351P101|US04351P1012|Ascendis Pharma AS|ADR||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN5-4|TXN10-2|TXN6-8|TXN5-1|57150000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||DNK||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||105.51|105.22|0.0|104.93|104.98|104.71|105.19|105.18|0.0|0.0|105.25|104.9|105.04|104.87|105.07|104.98|0.0|104.91|104.98|105.04|104.13|106.42|81.12|130.34|104.27|106.26|104.63|105.45|104.89|105.12|104.89|105.12|127.77|64.33|740524|105437052 74029|ASNS|ASNS|00503R409|US00503R4092|Actelis Networks 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USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN5-5|TXN12-1|TXN5-1|TXN5-1|74150000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4040|404010|40401010|Consumer Discretionary|Retail |Retailers |Diversified Retailers|N||N||||||Y|0|Y||||||55.97|55.97|0.0|55.9|56.0|56.01|55.98|56.01|0.0|0.0|56.0|56.05|55.98|55.98|55.97|56.02|56.03|55.99|55.96|55.98|55.91|56.05|42.46|67.87|55.92|56.03|55.92|56.02|55.91|56.05|55.97|56.0|69.02|42.825|1970823|373854825 74885|ASPI|ASPI|00218A105|US00218A1051|ASP Isotopes Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN6-8|TXN13-7|TXN5-1|TXN5-4|48770000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||55|5510|551020|55102050|Basic Materials|Basic Resources|Industrial Metals and Mining|Nonferrous Metals|N||N||||||N|0|Y||||||2.1|2.08|0.0|2.12|2.09|2.1|2.09|2.095|0.0|0.0|2.1|2.05|2.1|2.06|1.9|2.08|0.0|2.09|0.0|2.1|2.02|2.16|1.68|2.48|2.04|2.15|2.08|2.12|2.09|2.12|2.09|2.1|2.17|0.28|559954|52897896 44421|ASPN|ASPN|04523Y105|US04523Y1055|Aspen Aerogels, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|P|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-6|TXN3-2|TXN7-7|TXN1-6|TXN3-7|70260000|||NotApplicable|||||2014-06-13||||||| | | | | | | | | |||N|0|N|Y|306A|USA|US|||50|5010|501010|50101035|Industrials|Construction and Materials|Construction and Materials |Building Materials: Other|N||N||||||Y|0|Y||Y|2|||10.85|10.86|0.0|10.93|10.86|10.855|10.87|10.855|0.0|0.0|10.86|10.9|10.86|10.87|10.855|10.87|10.88|10.88|10.85|10.87|10.87|10.88|8.53|13.31|10.79|10.96|10.85|10.91|10.87|10.91|10.87|10.88|13.775|5.325|573998|212787950 31286|ASPS|ASPS|L0175J104|LU0445408270|Altisource Portfolio Solutions SA|COM USD1||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN5-3|TXN13-1|TXN6-6|TXN5-4|26490000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||LUX||||35|3510|351010|35101015|Real Estate|Real Estate |Real Estate Investment and Services Development|Real Estate Services|N||N||||||N|0|Y||||||4.46|4.45|0.0|0.0|4.48|4.49|4.48|4.465|0.0|0.0|4.48|0.0|4.5|4.43|4.39|4.45|4.45|4.48|0.0|4.5|4.36|4.59|3.41|5.54|4.38|4.56|4.4|4.55|4.4|4.56|4.46|4.5|14.86|3.52|70474|33558461 4858|ASR|ASR|40051E202|US40051E2028|Grupo Aeroportuario del Sureste, S.A. de C.V.|American Depositary Shares(Each representing 10 Series B Shares)|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|8|R|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN3-6|TXN2-8|TXN2-5|TXN1-5|277050000|||Yearly|||||2000-09-28||||||| | | | | | | | | |||N|0|N|Y|180B|MEX|MX|||50|5020|502060|50206060|Industrials|Industrial Goods and Services|Industrial Transportation|Transportation Services|N||N||||||N|0|Y||Y|2|||232.88|231.49|0.0|231.59|234.15|231.25|231.8|231.73|0.0|0.0|231.2|235.36|232.15|234.78|235.52|231.74|231.68|231.59|235.89|231.74|231.74|232.32|178.36|288.03|229.81|234.11|221.34|243.62|231.74|232.28|231.74|232.32|314.48|165.0|48181|13623896 1132|ASRT|ASRT|04546C205|US04546C2052|Assertio Holdings Inc|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN6-8|TXN11-8|TXN6-6|TXN5-7|94670000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103015|Health Care |Health Care |Pharmaceuticals and Biotechnology|Pharmaceuticals |N||N||||||Y|0|Y||||||1.18|1.17|0.0|0.0|1.17|1.175|1.17|1.175|0.0|0.0|1.17|1.17|1.18|1.18|1.175|1.17|1.175|1.18|1.18|1.18|1.14|1.2|0.912|1.4|1.14|1.2|1.14|1.2|1.16|1.19|1.17|1.18|8.01|0.87|820244|460771349 351|ASRV|ASRV|03074A102|US03074A1025|AmeriServ Financial Inc|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN5-3|TXN10-5|TXN5-4|TXN5-4|17150000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||||||0.0|0.0|0.0|0.0|0.0|3.02|0.0|0.0|0.0|0.0|0.0|0.0|3.01|0.0|0.0|0.0|0.0|2.93|0.0|3.01|0.0|0.0|0.0|0.0|2.82|3.14|0.0|0.0|0.0|0.0|2.92|3.02|4.12|2.41|2115|3804878 75200|ASST|ASST|04541A105|US04541A1051|Asset Entities Inc|CL B COM USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-4|TXN6-7|TXN14-4|TXN5-8|TXN5-8|5640000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101010|10101020|Technology|Technology|Software and Computer Services|Consumer Digital Services |N||N||||||N|0|Y|C|||||0.8299|0.8468|0.0|0.0|0.8468|0.8468|0.8199|0.83|0.0|0.0|0.793|0.72|0.7878|0.77|0.8299|0.8145|0.7757|0.78|0.8394|0.7878|0.632|0.7878|0.632|0.936|0.782|0.7878|0.7555|0.8101|0.751|0.8146|0.782|0.7878|6.98|0.292|2532215|239928683 3757|ASTC|ASTC|046484309|US0464843095|Astrotech Corp|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN6-1|TXN14-4|TXN6-1|TXN6-8|1700000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502010|50201010|Industrials|Industrial Goods and Services|Aerospace and Defense|Aerospace|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|8.3899|0.0|0.0|0.0|0.0|0.0|8.2|0.0|0.0|0.0|0.0|8.38|0.0|8.38|7.77|8.82|0.0|0.0|7.86|8.73|6.4|10.08|0.0|0.0|8.1|8.4|15.11|7.0|1765|1836047 353|ASTE|ASTE|046224101|US0462241011|Astec Industries Inc.|COM USD.2||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN6-4|TXN13-2|TXN5-6|TXN6-3|22740000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502040|50204020|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Construction and Handling|N||N||||||Y|0|Y||||||32.51|32.44|0.0|32.47|32.52|32.44|32.39|32.43|0.0|0.0|32.19|0.0|32.47|32.37|32.37|32.51|0.0|32.44|0.0|32.47|32.12|32.83|24.77|39.4|32.16|32.77|32.33|32.54|0.0|32.5|32.42|32.45|56.33|28.97|242352|24819193 74523|ASTI|ASTI|043635705|US0436357059|Ascent Solar Technologies Inc|COM USD||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-3|TXN5-4|TXN10-2|TXN5-3|TXN5-8|3410000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||60|6010|601020|60102020|Energy|Energy|Alternative Energy|Renewable Energy Equipment |N||N||||||N|0|Y||||||0.92|0.0|0.0|0.0|0.92|0.91|0.91|0.93|0.0|0.0|0.9201|0.91|0.929|0.0|0.0|0.92|0.0|0.91|0.0|0.929|0.702|1.1|0.702|1.1|0.87|0.93|0.8879|0.9429|0.8888|0.9512|0.91|0.93|12.91|0.0418|93093|564267179 69487|ASTL|ASTL|015658107|CA0156581070|Algoma Steel Group Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN6-2|TXN13-8|TXN6-4|TXN6-8|103600000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CAN||||55|5510|551020|55102010|Basic Materials|Basic Resources|Industrial Metals and Mining|Iron and Steel|N||N||||||Y|0|Y||||||8.63|8.635|0.0|8.58|8.63|8.63|8.63|8.645|0.0|0.0|8.635|8.64|8.64|8.66|8.7|8.64|8.64|8.63|8.645|8.64|8.61|8.64|6.66|10.53|8.61|8.64|8.61|8.66|8.61|8.67|8.63|8.64|9.2|5.64|546242|185568941 69488|ASTLW|ASTLW|015658115|CA0156581153|Algoma Steel Group Inc|WT EXP 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USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN5-2|TXN12-8|TXN6-1|TXN6-4|24850000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||||||8.05|8.03|0.0|8.03|8.03|8.02|8.03|8.02|0.0|0.0|8.04|8.16|8.03|7.93|8.04|8.02|8.0|8.03|0.0|8.03|7.94|8.1|6.24|9.88|7.95|8.09|8.01|8.06|8.0|8.06|8.03|8.04|17.1399|6.305|310712|68221698 60903|ASX|ASX|00215W100|US00215W1009|ASE Technology Holding Co., Ltd.|American Depositary Shares (each representing Two Common Shares)|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-1|TXN4-8|TXN8-3|TXN1-6|TXN4-8|4380200000|||Yearly|||||2018-04-18||||||| | | | | | | | | |||N|0|N|Y|114A|TWN|CN|||10|1010|101020|10102020|Technology|Technology|Technology Hardware and Equipment|Production Technology Equipment|N||N||||||Y|0|Y||Y|2|||8.63|8.64|0.0|8.64|8.63|8.64|8.645|8.645|0.0|0.0|8.64|8.64|8.635|8.645|8.58|8.63|8.645|8.63|8.65|8.63|8.63|8.64|6.75|10.68|8.63|8.64|8.61|8.67|8.61|8.68|8.63|8.64|9.03|6.16|4671552|1225680045 43973|ASXC|ASXC|04367G103|US04367G1031|Asensus Surgical, Inc.|Common Stock|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||J. Streicher & Co. 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Series H|Operating company|B|N|Y|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN3-5|TXN9-8|TXN3-5|TXN1-7|0|||Quarterly|||||2016-08-16||||||| | | | | | | | | |||N|0|N|N|208A||CN|||50|5020|502040|50204000|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Industrial|N||N||||||N|0|Y||Y|2|||23.18|23.15|0.0|0.0|23.18|23.08|23.099|23.38|0.0|0.0|23.25|0.0|23.24|23.22|0.0|23.24|0.0|23.24|0.0|23.24|23.03|23.25|23.0|23.16|22.58|23.66|0.0|0.0|0.0|0.0|23.03|23.25|23.93|20.18|18395|4387241 70656|ATCOL|ATCOL|04926V203|US04926V2034|Atlas Corp. 7.125 Notes due 2027|STRUCT PROD||U|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN6-3|TXN11-3|TXN6-3|TXN6-1|2090000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|23.85|23.8334|0.0|0.0|0.0|0.0|0.0|23.92|0.0|0.0|0.0|0.0|23.85|0.0|23.85|0.0|0.0|0.0|0.0|23.52|0.0|0.0|0.0|0.0|0.0|23.78|23.94|24.69|23.0001|1335|633314 16601|ATEC|ATEC|02081G201|US02081G2012|Alphatec Holdings Inc|COM USD.00001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN5-7|TXN13-6|TXN5-7|TXN6-4|136300000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||Y|0|Y||||||12.755|12.76|0.0|12.59|12.75|12.76|12.76|12.755|0.0|0.0|12.75|12.75|12.75|12.75|12.75|12.755|12.75|12.75|12.76|12.75|12.75|12.78|9.82|15.42|12.75|12.79|12.71|12.79|12.71|12.79|12.75|12.76|19.14|8.66|1473703|313056764 73339|ATEK|ATEK|04687C105|US04687C1053|Athena Technology Acquisition Corp. II|Class A Common Stock|Special purpose acquisition company|A|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-6|TXN1-7|TXN9-8|TXN4-1|TXN3-8|12030000|||NotApplicable|||||2023-07-21||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|10.84|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.86|0.0|0.0|10.86|0.0|0.0|10.83|10.86|10.18|11.61|0.0|0.0|0.0|0.0|10.83|10.86|11.46|9.9|4|13945118 73340|ATEK WS|ATEK.WS|04687C113|US04687C1137|Athena Technology Acquisition Corp. II|Redeemable warrants, exercisable for shares of common stock at an exercise price of $11.50 per share|Special purpose acquisition company|C|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN11-4|TXN3-7|TXN7-8|TXN1-5|TXN3-3|0|||NotApplicable|||||2023-07-21||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||||||||||N||N||||||N|0|Y||N||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0275|0.039|0.025|0.075|0.0|0.0|0.0|0.0|0.0275|0.039|0.17|0.013|0|2379655 72827|ATEK U|ATEK.U|04687C204|US04687C2044|Athena Technology Acquisition Corp. II|Units, each consisting of one share of Class A common stock and one-half of one Redeemable Warrant|Special purpose acquisition company|R|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-1|TXN4-7|TXN5-8|TXN4-5|TXN3-2|0|||NotApplicable|||||2023-07-21||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.71|13.08|10.71|10.9|10.71|11.39|8.57|13.08|0.0|0.0|10.71|10.9|11.0|9.64|0|16474 43783|ATEN|ATEN|002121101|US0021211018|A10 Networks, Inc.|Common Stock, $0.00001 par value|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|I|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-7|TXN1-5|TXN7-3|TXN3-7|TXN3-4|74140000|||Quarterly|||||2014-03-21||||||| | | | | | | | | |||N|0|N|Y|108A|USA|US|||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||Y|2|||12.86|12.845|0.0|12.76|12.85|12.845|12.841|12.85|0.0|0.0|12.84|12.85|12.845|12.85|12.89|12.85|12.86|12.84|12.89|12.85|12.84|12.85|9.73|15.81|12.82|12.86|12.83|12.87|12.81|12.88|12.84|12.85|19.575|10.035|801611|158059790 63810|ATER|ATER|02156U101|US02156U1016|ATERIAN INC|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-3|TXN6-6|TXN11-2|TXN5-3|TXN6-4|90210000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4020|402020|40202020|Consumer Discretionary|Consumer Products and Services|Household Goods and Home Construction|Household Appliance|N||N||||||Y|0|Y||||||0.3266|0.32|0.0|0.0|0.3255|0.329|0.3249|0.3249|0.0|0.0|0.325|0.3202|0.3202|0.331|0.0|0.3266|0.322|0.3203|0.331|0.3202|0.3095|0.3428|0.2592|0.3867|0.3138|0.336|0.2592|0.3867|0.0|0.0|0.3202|0.3295|1.6827|0.2602|412816|279057927 53820|ATEST|ATEST|||Test 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|||N|0|N|N||||||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|25.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|18.0|32.0|0.0|0.0|14586621|3368915157 53840|ATEST B|ATEST.B|||Test Symbol Class B|||A|Y|N|A|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-7|TXN3-1|TXN7-1|TXN3-1|TXN3-1|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0|0 53841|ATEST C|ATEST.C|||Test Symbol Class C|||A|Y|N|A|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-7|TXN1-3|TXN6-8|TXN4-3|TXN3-1|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|25.02|0.0|0.0|25.02|0.0|0.0|25.03|25.09|0.0|0.0|25.04|25.08|0.0|0.0|25.04|25.08|0.0|0.0|18710|3956870 57033|ATEST G|ATEST.G|||TEST SYMBOL|||A|Y|N|A|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-7|TXN4-8|TXN8-8|TXN3-3|TXN3-1|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|25.01|25.01|0.0|25.01|0.0|0.0|24.98|25.05|24.97|25.06|24.97|25.01|0.0|0.0|24.97|25.01|0.0|0.0|25940|6254650 57034|ATEST H|ATEST.H|||TEST SYMBOL|||A|Y|N|A|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-7|TXN3-1|TXN8-1|TXN3-1|TXN3-1|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0|0 57038|ATEST L|ATEST.L|||TEST SYMBOL|||A|Y|N|A|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-7|TXN3-1|TXN8-2|TXN3-1|TXN3-1|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0|0 53502|ATEST Z|ATEST.Z|||NYSE MKT TEST SYMBOL SIFMA / DTCC Eligible|||U|Y|N|A|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-7|TXN3-1|TXN6-2|TXN3-1|TXN3-1|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0|0 49299|ATEX|ATEX|03676C100|US03676C1009|Anterix Inc|COM USD.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN6-5|TXN14-5|TXN6-6|TXN5-7|18770000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||15|1510|151020|15102015|Telecommunications|Telecommunications|Telecommunications Service Providers |Telecommunications Services|N||N||||||Y|0|Y||||||35.64|35.54|0.0|35.71|35.5|35.73|35.605|35.55|0.0|0.0|35.66|0.0|35.6|35.67|0.0|35.51|0.0|35.605|0.0|35.6|35.2|35.88|28.13|44.16|35.26|35.71|35.46|35.68|35.55|35.65|35.55|35.61|39.16|27.2|196033|39077602 70480|ATFV|ATFV|015564206|US0155642061|The Alger ETF Trust|Alger 35 ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Fred Alger Management|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-1|TXN2-1|TXN9-8|TXN2-8|TXN3-2|750000|||Yearly|||||2021-05-04||ATFV.NV|ATFV.SO|ATFV.EU|ATFV.TC|ATFV.IV| | | | | | | | | |1x|Under normal circumstances, the Fund invests in a stock portfolio of approximately 35 equity securities of companies of any market capitalization that the Manager believes are undergoing Positive Dynamic Change. Equity securities include common or preferred stocks. The Fund focuses its investments in technology companies, including companies benefiting from technological improvements, advancements or developments. In the opinion of the Manager, these companies across industries use technology extensively to improve their business processes, applications and opportunities or seek to grow through technological developments and innovations.As a focus fund, the Fund intends to invest a substantial portion of its assets in a smaller number of issuers. Generally the Fund will own approximately 35 holdings. Fund holdings may occasionally differ from this number for a variety of reasons, including because of extreme market volatility, such as when the Fund has entered a temporary defensive position. Additionally, the Fund may temporarily exceed the stated number of holdings when it acquires a new holding and determines that it is in the best interests of shareholders to sell an existing holding over a period of time, instead of immediately selling the entire holding.The Fund may sell a stock when it reaches a target price, it fails to perform as expected, or other opportunities appear more attractive.The Fund may invest a significant portion of its assets in securities of companies conducting business within a single sector, including the information technology, healthcare, consumer discretionary, and industrials sectors.The Fund is a non-diversified and non-transparent, actively managed exchange-traded fund (ETF) that does not seek to replicate the performance of a specified index.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|16.19|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|16.1247|0.0|16.1247|15.95|16.28|16.03|16.12|16.08|16.17|16.08|16.17|0.0|0.0|16.08|16.17|16.502|12.6957|13|467149 5926|ATGE|ATGE|00737L103|US00737L1035|Adtalem Global Education Inc.|Common Shares|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|O|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN1-2|TXN9-8|TXN4-7|TXN4-6|39830000|||NotApplicable|||||1995-11-14||||||| | | | | | | | | |||N|0|N|Y|180B|USA|US|||40|4020|402010|40201010|Consumer Discretionary|Consumer Products and Services|Consumer Services |Education Services|N||N||||||Y|0|Y||Y|2|||59.28|59.36|0.0|58.93|59.3|59.32|59.39|59.39|0.0|0.0|59.26|59.18|59.375|59.39|58.97|59.38|58.95|59.38|59.365|59.38|59.37|59.38|45.0|71.89|59.2|59.45|59.28|59.46|59.27|59.45|59.37|59.38|59.39|33.59|368305|78597772 76533|ATGL|ATGL|G0232G107|VGG0232G1072|Alpha Technology Group Ltd|ORD||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN6-1|TXN11-7|TXN6-7|TXN6-4|15260000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||HKG||||10|1010|101010|10101010|Technology|Technology|Software and Computer Services|Computer Services|N||N||||||N|0|Y|D|||||16.44|16.26|0.0|0.0|16.54|17.29|16.1601|16.54|0.0|0.0|16.75|15.82|15.84|15.95|0.0|0.0|0.0|16.1601|0.0|15.84|12.45|20.32|12.45|20.32|14.78|18.05|12.45|20.32|0.0|0.0|15.83|16.93|31.57|3.73|54938|16398800 63871|ATH PRA|ATHpA|G0684D305||Athene Holding Ltd.|Depositary Shares, each representing a 1/1,000th interest in a 6.35% Fixed-to-Floating Rate Perpetual Non-Cumulative Preference Share, Series A|Operating company|B|N|N|N|Y|Y|Y|Y|Y|6|H|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN3-2|TXN5-8|TXN2-8|TXN1-1|0|||Quarterly|||||2019-06-19||||||| | | | | | | | | |||N|0|N|N|410B||BM|||50|5020|502040|50204000|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Industrial|N||N||||||N|0|Y||Y|2|||24.0|23.96|0.0|0.0|0.0|23.92|23.92|23.96|0.0|0.0|23.955|0.0|23.92|0.0|23.955|23.92|23.955|23.92|0.0|23.92|23.88|24.02|18.53|29.66|23.42|24.51|18.53|29.66|0.0|0.0|23.84|24.02|25.91|19.49|294721|13367541 64648|ATH PRB|ATHpB|04686J200||Athene Holding Ltd.|Depositary Shares, each representing a 1/1,000th interest in a 5.625% Fixed-Rate Perpetual Non-Cumulative Preference Share, Series B|Operating company|B|N|N|N|Y|Y|Y|Y|Y|6|H|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN2-8|TXN4-8|TXN4-6|TXN1-6|0|||Quarterly|||||2019-09-25||||||| | | | | | | | | |||N|0|N|N|410B||BM|||50|5020|502040|50204000|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Industrial|N||N||||||N|0|Y||Y|2|||0.0|20.72|0.0|0.0|0.0|20.91|20.94|20.775|0.0|0.0|20.71|0.0|20.91|0.0|19.65|20.9|20.9|20.9|0.0|20.9|20.9|21.0|20.9|21.05|20.58|21.42|0.0|0.0|0.0|0.0|20.9|21.0|23.532|16.6634|16447|6011223 66729|ATH PRC|ATHpC|04686J309||Athene Holding Ltd.|Depositary Shares, each representing a 1/1,000th interest in a 6.375% Fixed-Rate Reset Perpetual Non-Cumulative Preference Share, Series C|Operating company|B|N|N|N|Y|Y|Y|Y|Y|6|H|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN1-5|TXN3-8|TXN1-1|TXN3-8|0|||Quarterly|||||2020-06-16||||||| | | | | | | | | |||N|0|N|N|410B||BM|||50|5020|502040|50204000|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Industrial|N||N||||||N|0|Y||Y|2|||25.19|24.975|0.0|0.0|0.0|25.01|25.0|24.975|0.0|0.0|24.92|24.88|25.0|0.0|0.0|25.0|25.01|25.0|0.0|25.0|24.92|25.11|24.96|25.01|24.52|25.51|0.0|0.0|0.0|0.0|24.92|25.11|26.2|21.11|53552|12361778 68599|ATH PRD|ATHpD|04686J408||Athene Holding Ltd.|Depositary Shares, each representing a 1/1,000th interest in a 4.875% Fixed-Rate Perpetual Non-Cumulative Preference Share, Series D|Operating company|B|N|N|N|Y|Y|Y|Y|Y|6|H|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN3-2|TXN2-8|TXN1-5|TXN3-8|0|||Quarterly|||||2020-12-24||||||| | | | | | | | | |||N|0|N|N|410B||BM|||50|5020|502040|50204000|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Industrial|N||N||||||N|0|Y||Y|2|||17.23|17.24|0.0|0.0|17.49|17.23|17.2303|17.355|0.0|0.0|17.49|17.5|17.33|17.54|0.0|17.46|0.0|17.22|17.54|17.46|17.21|17.46|0.0|0.0|16.88|17.81|0.0|0.0|0.0|0.0|17.21|17.46|20.01|15.19|91789|10596264 75029|ATH PRE|ATHpE|04686J507||Athene Holding Ltd.|Depositary Shares, Each Representing a 1/1,000th Interest in a 7.750% Fixed-Rate Reset Perpetual Non-Cumulative Preference Share, Series E|Operating company|B|N|N|N|Y|Y|Y|Y|Y|6|H|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN4-5|TXN4-8|TXN3-8|TXN1-4|0|||Quarterly|||||2022-12-16||||||| | | | | | | | | |||N|0|N|N|410B||BM|||50|5020|502040|50204000|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Industrial|N||N||||||N|0|Y||Y|2|||25.44|25.49|0.0|0.0|0.0|25.5|25.45|25.53|0.0|0.0|25.44|25.4|25.48|25.54|0.0|25.45|25.47|25.48|0.0|25.45|25.44|25.56|25.47|25.5|24.93|26.1|0.0|0.0|0.0|0.0|25.44|25.56|26.78|22.97|21201|15876386 67549|ATHA|ATHA|04746L104|US04746L1044|Athira Pharma Inc|COM USD.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN5-2|TXN12-1|TXN5-3|TXN5-3|38060000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||1.68|1.67|0.0|0.0|1.68|1.68|1.678|1.675|0.0|0.0|1.68|1.68|1.68|1.68|0.0|1.68|1.71|1.678|1.68|1.68|1.64|1.71|1.33|2.08|1.64|1.68|1.64|1.71|1.64|1.71|1.67|1.68|4.41|1.33|687678|55428782 3229|ATHE|ATHE|02155X205|US02155X2053|Alterity Therapeutics Ltd|SPONSORED ADR||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN6-8|TXN13-1|TXN5-7|TXN6-2|2802360000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||AUS||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||4.09|4.11|0.0|4.1|4.09|4.11|4.15|4.13|0.0|0.0|4.11|4.16|4.2|4.03|4.24|3.96|4.08|4.15|4.09|4.2|3.5|5.04|3.0|0.0|4.08|4.37|3.5|4.98|0.0|0.0|4.13|4.2|5.41|0.29|34645021|38361299 43254|ATHM|ATHM|05278C107|US05278C1071|Autohome Inc.|American Depositary Shares, each representing four Class A Ordinary Shares|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|11|Q|Virtu Americas LLC|NITC|295|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-2|TXN1-1|TXN2-7|TXN3-4|TXN1-8|509390000|||Adhoc|||||2013-12-11||||||| | | | | | | | | |||N|0|N|Y|108B|CHN|KY|||10|1010|101010|10101020|Technology|Technology|Software and Computer Services|Consumer Digital Services |N||N||||||Y|0|Y||Y|2|||26.42|26.51|0.0|26.46|26.55|26.49|26.461|26.53|0.0|0.0|26.55|26.53|26.48|26.48|26.49|26.46|26.5|26.45|26.55|26.46|26.45|26.5|20.33|32.6|26.38|26.52|26.35|26.53|26.43|26.5|26.45|26.5|38.91|25.84|391674|109867766 4871|ATI|ATI|01741R102|US01741R1023|ATI Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|R|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-2|TXN4-1|TXN4-6|TXN3-6|TXN3-1|127580000|||Quarterly|||||1999-11-23||||||| | | | | | | | | |||N|0|N|Y|180A|USA|US|||50|5020|502010|50201010|Industrials|Industrial Goods and Services|Aerospace and Defense|Aerospace|N||N||||||Y|0|Y||Y|2|||42.3|42.315|0.0|42.24|42.32|42.335|42.34|42.34|0.0|0.0|42.31|42.32|42.335|42.34|42.32|42.33|42.285|42.34|42.32|42.33|42.33|42.34|32.17|51.94|42.26|42.39|42.27|42.39|42.24|42.4|42.33|42.34|47.92|28.45|2271016|280527123 63552|ATIF|ATIF|G0602B209|VGG0602B2093|ATIF Holdings Ltd|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-2|TXN5-3|TXN10-3|TXN5-7|TXN6-8|9630000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502050|50205020|Industrials|Industrial Goods and Services|Industrial Support Services|Professional Business Support Services|N||N||||||N|0|Y|D|||||0.0|0.0|0.0|0.0|0.0|0.0|1.1|0.0|0.0|0.0|0.0|0.0|0.97|0.0|0.0|0.0|0.0|1.1|0.0|1.1|0.9215|1.16|0.0|0.0|0.9055|1.17|0.744|1.27|0.0|0.0|0.97|1.1|2.87|0.77|1305|1843967 67756|ATIP|ATIP|00216W208|US00216W2089|ATI Physical Therapy, Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|T|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN1-1|TXN3-8|TXN1-8|TXN2-2|4210000|||NotApplicable|||||2020-10-02||||||| | | | | | | | | |||N|0|N|Y|408A|USA|US|||20|2010|201010|20101025|Health Care |Health Care |Health Care Providers|Health Care Services|N||N||||||N|2|Y||Y|2|||0.0|7.55|0.0|0.0|0.0|7.19|6.8801|6.77|0.0|0.0|7.0|0.0|6.8|0.0|0.0|7.04|0.0|6.77|0.0|7.04|6.52|7.04|0.0|0.0|6.37|7.18|5.58|8.92|0.0|0.0|6.52|7.04|13.481|0.151|4951|62637815 53300|ATKR|ATKR|047649108|US0476491081|Atkore Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|O|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN2-6|TXN9-7|TXN3-2|TXN2-3|37320000|||NotApplicable|||||2016-06-10||||||| | | | | | | | | |||N|0|N|Y|100A|USA|US|||50|5010|501010|50101015|Industrials|Construction and Materials|Construction and Materials |Engineering and Contracting Services|N||N||||||Y|0|Y||Y|2|||133.15|133.14|0.0|131.94|133.02|133.14|133.16|133.04|0.0|132.41|133.14|133.09|133.21|132.59|131.315|133.18|132.96|133.2|132.98|133.18|133.17|133.18|101.92|162.63|132.65|133.41|132.86|133.4|132.82|133.5|133.17|133.18|164.755|111.9|403003|97975058 711|ATLC|ATLC|04914Y102|US04914Y1029|Atlanticus Holdings Corp|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN6-1|TXN10-4|TXN5-3|TXN6-7|14590000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502050|50205015|Industrials|Industrial Goods and Services|Industrial Support Services|Transaction Processing Services|N||N||||||N|0|Y||||||32.0|32.0|0.0|0.0|0.0|32.0|31.61|32.055|0.0|0.0|31.85|32.5|32.15|0.0|0.0|0.0|0.0|31.86|0.0|32.15|30.83|33.17|0.0|0.0|31.08|32.74|0.0|0.0|0.0|0.0|31.6|32.16|43.7|21.65|34970|4260411 72578|ATLCL|ATLCL|04914Y300|US04914Y3009|Atlanticus Holdings Corporation 6.125 Senior Notes due 2026|ETN||U|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN6-1|TXN13-8|TXN6-4|TXN6-5|5960000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||||||||||N||N||||||N|0|Y||||||23.05|0.0|0.0|0.0|23.06|23.13|23.04|23.17|0.0|0.0|0.0|23.0|23.16|23.05|0.0|0.0|0.0|23.05|0.0|23.05|0.0|0.0|0.0|0.0|22.63|23.77|0.0|0.0|0.0|0.0|23.01|23.25|23.9999|19.36|4402|1179446 70855|ATLCP|ATLCP|04914Y201|US04914Y2019|Atlanticus Holdings Corp|7.625 SER B PFD||B|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN6-3|TXN11-2|TXN5-7|TXN6-6|3260000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|20.89|20.9|0.0|0.0|0.0|0.0|0.0|20.9|0.0|0.0|20.89|0.0|20.88|0.0|20.88|0.0|0.0|0.0|0.0|19.2|22.28|0.0|0.0|0.0|0.0|20.56|20.9|22.92|15.875|3185|1510934 371|ATLO|ATLO|031001100|US0310011004|Ames National Corp|COM USD5.||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN5-6|TXN13-7|TXN5-7|TXN5-5|8990000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||||||19.52|19.52|0.0|0.0|19.28|0.0|19.59|19.29|0.0|0.0|0.0|0.0|19.68|0.0|0.0|0.0|0.0|19.59|0.0|19.68|19.2|20.17|0.0|0.0|19.3|20.1|0.0|0.0|0.0|0.0|19.58|19.69|25.0|15.01|13538|6984411 75087|ATLX|ATLX|105861306|US1058613068|ATLAS LITHIUM CORPORATION|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN5-5|TXN12-6|TXN6-3|TXN5-1|10730000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||BRA||||55|5510|551020|55102000|Basic Materials|Basic Resources|Industrial Metals and Mining|General Mining|N||N||||||Y|0|Y||||||27.99|28.15|0.0|27.83|27.97|27.95|27.99|27.86|0.0|0.0|27.99|27.95|28.0|27.82|27.83|27.72|26.36|28.15|27.0|28.0|27.29|28.66|21.67|34.8|27.46|28.6|27.53|34.8|27.76|28.17|27.76|28.17|45.0|6.01|154402|54012310 75126|ATMC|ATMC|G0223V105|KYG0223V1059|AlphaTime Acquisition Corp|ORD||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN5-8|TXN11-8|TXN5-7|TXN5-4|9030000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment 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| | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.035|0.0|0.0375|0.0|0.0|0.0375|0.0|0.0375|0.0|0.0|0.0|0.0|0.035|0.0|0.035|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.025|0.035|0.12|0.03|1400|4028275 41624|ATMP|ATMP|06742C723|US06742C7231|iPath Select MLP ETN|STRUCT PRODUCT||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-5|TXN4-8|TXN9-8|TXN1-7|TXN4-3|13586106|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||GBR||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||22.01|22.075|0.0|0.0|0.0|0.0|22.11|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|22.075|0.0|22.075|21.81|22.28|21.96|22.16|21.91|22.11|21.94|22.19|21.94|22.16|22.05|22.1|22.17|17.3|755|3916869 75782|ATMU|ATMU|04956D107|US04956D1072|Atmus Filtration Technologies Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|A|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN2-1|TXN7-7|TXN1-4|TXN3-1|83300000|||NotApplicable|||||2023-05-26||||||| | | | | | | | | |||N|0|N|Y|100A|USA|US|||50|5020|502020|50202020|Industrials|Industrial Goods and Services|Electronic and Electrical Equipment|Electronic Equipment: Control and 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Vehicles|N||N||||||N|0|Y||||||10.69|10.71|0.0|0.0|10.69|10.7|0.0|0.0|0.0|0.0|10.71|10.71|10.7|0.0|0.0|10.71|0.0|10.71|0.0|10.71|0.0|0.0|0.0|0.0|10.02|11.42|0.0|0.0|0.0|0.0|10.7|10.72|10.93|10.1|25540|5385314 75150|ATMVR|ATMVR|G0283A116||AlphaVest Acquisition Corp Right|||D|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-3|TXN5-5|TXN11-2|TXN5-4|TXN5-4|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||50|5020|502040|50204000|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Industrial|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.07|0.15|0.57|0.11|0|2973807 75036|ATMVU|ATMVU|G0283A124|KYG0283A1242|AlphaVest Acquisition 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| | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||0.295|0.295|0.0|0.0|0.2949|0.29|0.29|0.2801|0.0|0.0|0.29|0.29|0.2959|0.282|0.0|0.28|0.27|0.29|0.28|0.2959|0.243|0.336|0.2311|0.3507|0.285|0.3156|0.243|0.336|0.0|0.0|0.285|0.296|7.1499|0.16061|3169197|242767097 58874|ATNFW|ATNFW|68236V112|US68236V1127|180 Life Sciences Corp|WT EXP 110725||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-7|TXN6-3|TXN13-1|TXN5-7|TXN6-6|6740000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0144|0.0|0.0|0.0|0.0|0.0062|0.01|0.15|0.003|0|15807946 4788|ATNI|ATNI|00215F107|US00215F1075|ATN International Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN6-1|TXN12-7|TXN6-1|TXN5-6|15420000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||15|1510|151020|15102015|Telecommunications|Telecommunications|Telecommunications Service Providers |Telecommunications Services|N||N||||||N|0|Y||||||32.62|32.0|0.0|32.1|32.2|32.12|32.08|32.115|0.0|0.0|32.12|0.0|32.15|0.0|31.93|32.0|32.0|32.1|0.0|32.15|31.75|32.54|24.92|39.6|31.8|32.51|24.92|38.4|32.05|32.15|32.09|32.15|50.27|27.53|75999|9614920 43820|ATNM|ATNM|00507W206|US00507W2061|Actinium Pharmaceuticals Inc.|Common Stock|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Brendan E. Cryan and Company, L.L.C.|CRYN|0235|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-8|TXN3-1|TXN5-8|TXN2-4|TXN3-3|27410000|||Adhoc|||||2014-03-26||||||| | | | | | | | | |||N|0|N|N|140A|USA|US|||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||Y|2|||5.5|5.55|0.0|5.52|5.53|5.54|5.55|5.55|0.0|0.0|5.485|5.45|5.54|5.53|5.33|5.54|5.56|5.56|5.44|5.56|5.43|5.64|5.52|5.54|5.44|5.63|5.51|5.57|5.52|5.56|5.52|5.54|14.7|4.0|244930|60684441 4875|ATO|ATO|049560105|US0495601058|Atmos Energy Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|I|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-2|TXN4-2|TXN6-3|TXN4-1|TXN2-4|148500000|||Quarterly|||||1988-10-03||||||| | | | | | | | | |||N|5|Y|Y|304A|USA|US|||65|6510|651020|65102020|Utilities|Utilities|Gas, Water and Multi-utilities |Gas Distribution|N||N||||||Y|0|Y||Y|1|||114.93|114.93|0.0|114.9|114.92|114.94|114.9|114.95|0.0|0.0|114.92|114.91|114.92|114.97|114.91|114.92|115.19|114.92|114.91|114.92|114.92|114.93|107.57|122.42|114.81|114.98|114.85|115.02|114.83|115.01|114.92|114.93|125.28|101.0|1363275|210902208 53610|ATOM|ATOM|04965B100|US04965B1008|Atomera Inc|COM USD0.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN6-4|TXN12-1|TXN5-3|TXN6-5|25800000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101020|10102010|Technology|Technology|Technology Hardware and Equipment|Semiconductors|N||N||||||Y|0|Y||||||7.08|7.08|0.0|7.0|7.09|7.075|7.1|7.065|0.0|0.0|7.04|7.06|7.1|7.0|7.0|7.1|0.0|7.1|7.06|7.1|6.99|7.17|5.45|8.56|7.01|7.16|7.04|7.14|7.07|7.15|7.09|7.1|10.72|4.96|143260|59835855 40672|ATOS|ATOS|04962H506|US04962H5063|Atossa Therapeutics Inc|COM USD.015||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-3|TXN6-6|TXN14-6|TXN5-7|TXN6-8|125300000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||0.7372|0.7372|0.0|0.0|0.74|0.735|0.7365|0.7375|0.0|0.0|0.7372|0.7372|0.735|0.7383|0.76|0.735|0.74|0.7375|0.736|0.735|0.7176|0.7597|0.6008|0.888|0.7188|0.7542|0.7001|0.7737|0.7015|0.7726|0.735|0.74|1.39|0.5|418305|128176653 69181|ATPC|ATPC|008389108|US0083891087|Agape ATP Corp|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-1|TXN5-6|TXN10-5|TXN5-5|TXN5-4|77100000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||MYS||||20|2010|201010|20101030|Health Care |Health Care |Health Care Providers|Health Care: Misc.|N||N||||||N|0|Y||||||0.92|0.0|0.0|0.0|0.92|0.92|0.9102|0.92|0.0|0.0|0.0|0.0|0.935|0.0|0.0|0.0|0.0|0.9101|0.0|0.9101|0.736|1.0|0.736|0.94|0.9|0.96|0.736|1.0|0.0|0.0|0.9101|0.935|3.75|0.735|15856|10543983 4876|ATR|ATR|038336103|US0383361039|AptarGroup, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN4-1|TXN7-8|TXN3-2|TXN1-1|65780000|||Quarterly|||||1993-04-23||||||| | | | | | | | | |||N|0|Y|Y|136D|USA|US|||50|5020|502030|50203030|Industrials|Industrial Goods and Services|General Industrials|Containers and Packaging|N||N||||||Y|0|Y||Y|1|||128.38|128.36|0.0|128.63|128.39|128.51|128.38|128.36|0.0|0.0|128.41|128.41|128.38|128.33|128.44|128.42|128.08|128.42|128.44|128.42|128.42|128.46|120.62|135.92|128.08|128.64|128.2|128.51|128.31|128.45|128.42|128.46|133.79|105.37|191960|60445056 46157|ATRA|ATRA|046513107|US0465131078|Atara Biotherapeutics Inc|COM USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-5|TXN5-8|TXN11-7|TXN5-7|TXN6-7|101920000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y|D|||||0.7|0.6977|0.0|0.6977|0.6932|0.6969|0.7|0.6984|0.0|0.0|0.6983|0.6931|0.7003|0.6942|0.6922|0.6984|0.6665|0.7|0.6933|0.7003|0.6782|0.7155|0.566|0.8356|0.6983|0.7005|0.6739|0.7208|0.6666|0.7027|0.6992|0.7|5.64|0.1986|2180584|498882961 378|ATRC|ATRC|04963C209|US04963C2098|AtriCure Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN6-7|TXN11-7|TXN5-6|TXN6-5|47400000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||Y|0|Y||||||36.39|36.48|0.0|36.45|36.45|36.49|36.46|36.46|0.0|0.0|36.46|36.38|36.48|36.5|36.37|36.46|36.69|36.47|36.48|36.48|36.05|36.78|28.4|44.02|36.13|36.77|36.37|36.59|36.35|36.52|36.45|36.49|59.61|32.27|382719|81236116 379|ATRI|ATRI|049904105|US0499041053|Atrion Corp|COM USD1||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN5-6|TXN10-4|TXN5-4|TXN6-2|1760000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|316.89|316.87|310.815|0.0|0.0|0.0|0.0|318.6|0.0|0.0|0.0|0.0|316.89|0.0|318.6|298.68|330.99|0.0|0.0|307.38|325.75|313.65|386.71|0.0|0.0|313.65|319.36|705.74|274.98|9004|1005338 381|ATRO|ATRO|046433108|US0464331083|Astronics Corp|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN5-6|TXN11-8|TXN5-2|TXN6-5|27950000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502010|50201010|Industrials|Industrial Goods and Services|Aerospace and Defense|Aerospace|N||N||||||Y|0|Y||||||15.73|15.75|0.0|15.75|15.75|15.75|15.7499|15.75|0.0|0.0|15.75|15.71|15.75|0.0|15.8|15.8|15.74|15.735|0.0|15.75|15.59|15.88|12.27|19.23|15.6|15.85|15.69|15.79|15.67|15.79|15.74|15.75|22.44|8.92|163290|37817359 75787|ATS|ATS|00217Y104|CA00217Y1043|ATS Corporation|Common Shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|5|P|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-5|TXN3-4|TXN1-8|TXN4-6|TXN1-2|98900000|||NotApplicable|||||2023-05-25||||||| | | | | | | | | |||N|0|N|Y|180B|CAN|CA|||50|5020|502040|50204000|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Industrial|N||N||||||Y|0|Y||Y|2|||40.25|40.23|0.0|0.0|40.18|40.2|40.24|40.21|0.0|0.0|40.23|0.0|40.21|40.26|33.8|40.22|40.3|40.24|40.25|40.22|40.18|40.22|30.83|49.0|40.11|40.35|40.08|40.32|40.14|40.37|40.18|40.22|48.89|33.02|104925|9313257 38|ATSG|ATSG|00922R105|US00922R1059|Air Transport Services Group Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN6-4|TXN11-5|TXN6-5|TXN6-6|65270000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502060|50206040|Industrials|Industrial Goods and Services|Industrial Transportation|Delivery Services|N||N||||||Y|0|Y||||||16.06|16.02|0.0|15.79|16.05|16.03|16.07|16.05|0.0|0.0|16.05|16.01|16.05|16.07|16.01|16.01|16.02|16.05|16.05|16.05|16.01|16.19|12.47|19.53|16.0|16.18|16.02|16.09|16.01|16.1|16.05|16.06|28.9799|14.03|681837|143998347 58769|ATUS|ATUS|02156K103|US02156K1034|Altice USA, Inc.|Class A common stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|O|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-4|TXN3-6|TXN8-3|TXN4-5|TXN2-2|270400000|||Adhoc|||||2017-06-22||||||| | | | | | | | | |||N|0|N|Y|306A|USA|US|||15|1510|151020|15102010|Telecommunications|Telecommunications|Telecommunications Service Providers |Cable Television Services|N||N||||||Y|0|Y||Y|2|||2.19|2.18|0.0|2.22|2.18|2.18|2.18|2.185|0.0|0.0|2.185|2.19|2.18|2.19|2.185|2.18|2.19|2.18|2.18|2.18|2.18|2.2|1.7|2.73|2.18|2.2|2.1|2.33|2.15|2.19|2.18|2.2|5.57|2.01|4242038|924075837 58817|ATXG|ATXG|00653L301|US00653L3015|Addentax Group Corp|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN6-7|TXN10-5|TXN5-6|TXN5-5|4300000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||50|5020|502050|50205020|Industrials|Industrial Goods and Services|Industrial Support Services|Professional Business Support Services|N||N||||||N|0|Y||||||0.0|1.27|0.0|0.0|0.0|1.25|1.2239|0.0|0.0|0.0|0.0|0.0|1.22|0.0|0.0|0.0|0.0|1.2239|0.0|1.2239|0.984|1.52|0.984|1.54|1.14|1.37|0.984|1.52|0.0|0.0|1.22|1.28|12.0|0.647|17631|78711099 58748|ATXI|ATXI|05360L304|US05360L3042|Avenue Therapeutics Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-5|TXN6-8|TXN10-7|TXN5-5|TXN6-8|13250000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y|D|||||0.1897|0.1838|0.0|0.0|0.1837|0.184|0.1852|0.1836|0.0|0.0|0.1852|0.1845|0.1835|0.0|0.0|0.1852|0.0|0.1852|0.185|0.1835|0.1746|0.1966|0.15|0.2209|0.1824|0.19|0.16|0.2209|0.0|0.0|0.185|0.1852|2.35|0.17|2757694|192875202 50200|ATXS|ATXS|04635X102|US04635X1028|Astria Therapeutics Inc|COM USD0.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN5-6|TXN12-4|TXN5-8|TXN6-4|36300000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||4.81|4.8|0.0|0.0|4.8|4.805|4.79|4.8|0.0|0.0|4.8|4.79|4.79|4.78|4.73|4.79|4.81|4.79|4.8|4.79|4.72|4.86|3.67|5.84|4.73|4.85|4.77|4.82|4.77|4.82|4.79|4.8|16.28|4.26|417263|50179395 4882|AU|AU|G0378L100|GB00BRXH2664|AngloGold Ashanti plc|Ordinary Shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|8|L|GTS Securities 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The Underlying Index is designed to dynamically allocate across three sub-indices that provide exposure to U.S. equities that exhibit characteristics of one of three primary factors: value, momentum and low volatility. 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A||B|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN5-5|TXN13-2|TXN5-1|TXN5-4|550000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y|C|||||0.0|0.0|0.0|0.0|0.0|2.1|2.2|0.0|0.0|0.0|0.0|0.0|2.37|0.0|0.0|0.0|0.0|2.2|0.0|2.2|0.0|0.0|0.0|0.0|1.97|3.09|0.0|0.0|0.0|0.0|2.11|2.9|23.2999|1.31|2296|1186165 4889|AVA|AVA|05379B107|US05379B1070|Avista Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-6|TXN1-5|TXN4-5|TXN3-7|TXN3-6|77370000|||Quarterly|||||1952-09-24||||||| | | | | | | | | |||N|0|N|Y|310A|USA|US|||65|6510|651020|65102000|Utilities|Utilities|Gas, Water and Multi-utilities |Multi-Utilities|N||N||||||N|0|Y||Y|2|||35.21|35.19|0.0|35.3|35.2|35.22|35.185|35.225|0.0|0.0|35.18|35.28|35.19|35.21|35.26|35.18|35.22|35.2|35.26|35.18|35.18|35.2|26.94|42.71|35.14|35.29|35.15|35.22|35.18|35.22|35.18|35.2|45.285|30.53|490756|175616651 70409|AVAH|AVAH|05356F105|US05356F1057|Aveanna Healthcare Holdings Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN6-5|TXN10-5|TXN6-5|TXN6-6|190730000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201010|20101025|Health Care |Health Care |Health Care Providers|Health Care Services|N||N||||||Y|0|Y||||||2.8|2.77|0.0|0.0|2.82|2.8|2.8|2.82|0.0|0.0|2.77|2.79|2.82|0.0|0.0|2.79|2.83|2.8|0.0|2.82|2.71|2.91|2.19|3.41|2.72|2.89|2.76|2.85|2.76|2.85|2.81|2.83|2.9587|0.6664|169220|65384161 44995|AVAL|AVAL|40053W101|US40053W1018|Grupo Aval Acciones y Valores S.A.|American Depositary Shares, each representing 20 Preferred Shares|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN1-8|TXN9-8|TXN4-4|TXN4-8|7536810000|||Monthly|||||2014-09-23||||||| | | | | | | | | |||N|0|N|Y|402A|COL|CO|||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||Y|2|||0.0|2.1|0.0|0.0|0.0|2.13|2.14|2.15|0.0|0.0|2.15|0.0|2.13|0.0|0.0|2.13|2.15|2.13|0.0|2.13|2.12|2.16|1.64|2.63|1.99|2.29|2.1|2.18|2.1|2.18|1.99|2.29|2.68|2.02|97058|18897337 18854|AVAV|AVAV|008073108|US0080731088|AeroVironment Inc|COM USD.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN6-5|TXN13-5|TXN5-5|TXN5-2|26290000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502010|50201020|Industrials|Industrial Goods and Services|Aerospace and Defense|Defense|N||N||||||Y|0|Y||||||138.76|139.97|0.0|140.1|140.05|139.98|139.97|140.055|0.0|0.0|139.97|138.6|140.15|138.8|139.26|139.75|140.0|140.16|0.0|140.15|138.71|141.31|109.19|171.84|138.69|141.16|139.77|140.4|0.0|140.47|140.1|140.16|143.99|80.575|457479|50685669 4891|AVB|AVB|053484101|US0534841012|AvalonBay Communities, Inc.|Common Stock|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|8|I|GTS Securities 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The fund seeks long-term capital appreciation. This strategy is designed to provide exposure to a broadly diversified basket of equity securities that seek to select or overweight securities that are expected to have higher returns or better risk characteristics than a passive, market-cap weighted index. The strategy pursues its objective through investing in a series of other Avantis exchange-traded funds.|N|0|N|N|406B|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|53.67|0.0|0.0|0.0|53.6|53.6999|0.0|0.0|0.0|53.58|0.0|53.57|0.0|0.0|0.0|0.0|53.6|0.0|53.6|0.0|0.0|0.0|0.0|53.59|53.6|51.03|55.85|0.0|0.0|53.59|54.69|54.44|48.46|8710|1180816 72413|AVHI|AVHI|00444X101|US00444X1019|Achari Ventures Holdings Corp I|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN5-6|TXN11-2|TXN6-3|TXN6-3|3140000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.71|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.06|11.39|0.0|0.0|0.0|0.0|10.71|10.74|10.94|10.17|100|346810 72048|AVHIU|AVHIU|00444X200|US00444X2009|Achari Ventures Holdings Corp I|UNITS||R|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN5-5|TXN14-8|TXN5-3|TXN5-1|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.72|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.57|11.78|0.0|0.0|0.0|0.0|10.57|11.78|11.29|9.49|1|18299 72414|AVHIW|AVHIW|00444X119|US00444X1191|Achari Ventures Holdings Corp I|I WT EXP||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-3|TXN5-1|TXN11-2|TXN6-4|TXN5-8|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0047|0.036|0.0047|0.036|0.0047|0.036|0.0047|0.036|0.0|0.0|0.0061|0.03|0.1499|0.008|0|1461761 74693|AVIE|AVIE|025072240|US0250722404|American Century ETF Trust|Avantis Inflation Focused Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||American Century Investments|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-4|TXN4-3|TXN9-8|TXN4-1|TXN4-6|60000|||Quarterly|||||2022-09-29||AVIE.NV|AVIE.SO|AVIE.EU|AVIE.TC|AVIE.IV| | | | | | | | | |1x|Avantis Inflation Focused Equity ETF is an actively managed exchange-traded fund incorporated in the USA. The fund seeks long-term capital appreciation. The strategy invests primarily in a diverse group of U.S. companies in market sectors and industry groups that historically have had, or that portfolio managers expect to have, long-term correlation with inflation. The fund seeks to increase expected returns by emphasizing companies trading at attractive price multiples with stronger profitability characteristics.|N|0|N|N|406B|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|57.3494|0.0|57.3494|45.57|68.96|0.0|0.0|57.31|57.37|45.57|68.96|0.0|0.0|57.31|57.37|63.41|52.66|100|810628 67883|AVIG|AVIG|025072562|US0250725621|American Century ETF Trust|Avantis Core Fixed Income ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||American Century Investments|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-3|TXN2-5|TXN5-8|TXN2-6|TXN1-4|15300000|||Monthly|||||2020-10-15||AVIG.NV|AVIG.SO|AVIG.EU|AVIG.TC|AVIG.IV| | | | | | | | | |1x|Avantis Core Fixed Income Fund seeks total return by investing in investment grade quality debt obligations from a diverse group of U.S. and non-U.S. issuers. The Funds benchmark is Bloomberg Barclays U.S. Aggregate Bond Index.|N|0|N|N|406B|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|1|||40.74|40.68|0.0|0.0|40.68|40.64|40.6893|40.74|0.0|0.0|40.65|0.0|40.65|40.69|0.0|0.0|0.0|40.68|0.0|40.68|37.86|43.54|37.86|43.54|40.66|40.69|37.86|43.54|0.0|0.0|40.66|40.69|42.79|38.5271|49044|15608681 68029|AVIR|AVIR|04683R106|US04683R1068|Atea Pharmaceuticals Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN5-8|TXN10-7|TXN5-2|TXN5-4|83440000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||3.0|3.01|0.0|3.09|3.01|3.015|3.01|3.01|0.0|0.0|3.01|3.01|3.01|3.01|3.0|3.015|3.03|3.01|3.01|3.01|3.0|3.03|2.38|3.73|3.0|3.03|2.98|3.04|2.98|3.04|3.01|3.02|5.19|2.765|341503|117913055 71854|AVIV|AVIV|025072364|US0250723642|American Century ETF Trust|Avantis International Large Cap Value ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||American Century Investments|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-3|TXN2-2|TXN8-8|TXN4-7|TXN2-1|5730000|||BiAnnually|||||2021-09-30||AVIV.NV|AVIV.SO|AVIV.EU|AVIV.TC|AVIV.IV| | | | | | | | | |1x|Avantis International Large Cap Value is an actively managed exchange-traded fund incorporated in the USA. The fund seeks long-term capital appreciation by investing primarily in a diverse group of companies across non-US countries, sectors and industries.|N|0|N|N|406B|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|49.59|0.0|0.0|0.0|49.79|49.81|47.645|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|49.8392|0.0|49.8392|39.68|59.85|0.0|0.0|49.81|49.87|39.68|59.85|0.0|0.0|49.81|49.87|52.03|44.305|12626|5187458 4895|AVK|AVK|00764C109|US00764C1099|Advent Convertible and Income Fund|Common Stock|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN3-8|TXN3-8|TXN4-2|TXN4-8|34590000|||Monthly|||||2003-04-30||||||| | | | | | | | | |||N|0|N|N|406B|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||10.54|10.56|0.0|0.0|10.55|10.54|10.54|10.62|0.0|0.0|10.55|0.0|10.555|10.56|0.0|10.54|10.55|10.54|0.0|10.54|10.54|10.55|8.26|13.08|10.54|11.31|10.52|10.57|10.52|10.57|10.54|10.55|13.1895|9.24|195084|24808468 76388|AVLC|AVLC|025072158|US0250721588|American Century ETF Trust|Avantis U.S. Large Cap Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||American Century Investments|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-5|TXN4-7|TXN3-8|TXN2-4|TXN3-2|3220000|||Quarterly|||||2023-09-28||AVLC.NV|AVLC.SO|AVLC.EU|AVLC.TC|AVLC.IV| | | | | | | | | ||Avantis U.S. Large Cap Equity ETF is an actively managed exchange-traded fund incorporated in the USA. The fund seeks long-term capital appreciation by investing primarily in a diverse group of U.S. large cap companies across market sectors and industry groups. The fund seeks securities of companies that it expects to have higher returns or better risk characteristics than a passive, market-cap weighted index.|N|0|N|N|406B|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|53.25|0.0|0.0|0.0|0.0|53.28|53.155|0.0|0.0|0.0|0.0|53.25|53.155|0.0|0.0|0.0|53.25|0.0|53.25|0.0|0.0|0.0|0.0|53.24|53.27|26.74|80.2|0.0|0.0|53.24|53.27|53.4711|47.7021|15189|297009 71783|AVLV|AVLV|025072349|US0250723493|American Century ETF Trust|Avantis U.S. Large Cap Value ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||American Century Investments|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-1|TXN4-6|TXN5-1|TXN4-4|TXN4-5|32380000|||Yearly|||||2021-09-23||AVLV.NV|AVLV.SO|AVLV.EU|AVLV.TC|AVLV.IV| | | | | | | | | |1x|Avantis U.S. Large Cap Value is an actively managed exchange-traded fund incorporated in the USA. The fund seeks long-term capital appreciation by investing primarily in a diverse group of U.S. large cap value companies across sectors and industries.|N|0|N|N|406B|USA|US|EQUITY|ACTIVE|||||||||N||N||||||Y|0|Y||Y|1|||55.19|55.18|0.0|0.0|55.19|55.1|55.185|55.19|0.0|0.0|55.19|0.0|55.19|55.19|55.1|55.06|55.1|55.18|0.0|55.18|55.16|55.22|55.08|55.26|55.16|55.18|55.08|55.22|55.08|55.25|55.16|55.18|56.07|48.08|153657|35554264 75959|AVMA|AVMA|025072182|US0250721828|American Century ETF Trust|Avantis Moderate Allocation ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||American Century Investments|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-5|TXN2-7|TXN3-8|TXN2-6|TXN3-2|75000|||BiAnnually|||||2023-06-29||AVMA.NV|AVMA.SO|AVMA.EU|AVMA.TC|AVMA.IV| | | | | | | | | ||Avantis Moderate Allocation ETF is an actively managed exchange-traded fund incorporated in the USA. The fund seeks long-term capital appreciation. This strategy is designed to provide exposure to a broadly diversified basket of equity and fixed income securities that seek to select or overweight securities that are expected to have higher returns or better risk characteristics than a passive, market-cap weighted index. The strategy pursues its objective through investing in a series of other Avantis exchange-traded funds.|N|0|N|N|406B|USA|US|HYBRID|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|51.53|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|52.288|0.0|52.288|0.0|0.0|52.2|52.26|52.25|52.31|26.22|78.64|0.0|0.0|52.25|52.31|52.58|48.0999|27|193823 76607|AVMC|AVMC|025072125|US0250721257|American Century ETF Trust|Avantis U.S. Mid Cap Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||American Century Investments|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN1-7|TXN4-8|TXN4-5|TXN3-2|80000|||Quarterly|||||2023-11-09||AVMC.NV|AVMC.SO|AVMC.EU|AVMC.TC|AVMC.IV| | | | | | | | | |1x|Avantis U.S. Mid Cap Equity ETF is an actively managed ETF incorporated in the USA. The fund seeks long-term capital appreciation by investing primarily in a diverse group of U.S. mid cap companies across market sectors and industry groups.|N|0|N|N|406B|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|53.34|0.0|0.0|0.0|0.0|53.3244|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|53.37|0.0|53.37|40.83|65.41|40.83|65.41|53.33|53.39|40.83|65.41|0.0|0.0|53.33|53.39|53.37|48.8353|2230|63733 68429|AVMU|AVMU|025072695|US0250726959|American Century ETF Trust|Avantis Core Municipal Fixed Income ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||American Century Investments|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-6|TXN2-8|TXN3-8|TXN4-4|TXN4-7|2800000|||Monthly|||||2020-12-10||AVMU.NV|AVMU.SO|AVMU.EU|AVMU.TC|AVMU.IV| | | | | | | | | ||Avantis Core Municipal Fixed Income Fund seeks current income that is exempt from federal income tax by investing primarily in municipal bond securities.|N|0|N|N|406B|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|46.07|0.0|0.0|0.0|46.22|46.215|46.22|0.0|0.0|46.13|0.0|46.07|46.07|0.0|0.0|0.0|46.205|0.0|46.205|35.59|56.95|35.59|56.95|46.18|46.23|35.59|56.95|0.0|0.0|46.18|46.4|47.0399|43.52|14333|3440087 76608|AVMV|AVMV|025072133|US0250721331|American Century ETF Trust|Avantis U.S. Mid Cap Value ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||American Century Investments|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-8|TXN3-8|TXN7-8|TXN3-6|TXN3-2|140000|||Quarterly|||||2023-11-09||AVMV.NV|AVMV.SO|AVMV.EU|AVMV.TC|AVMV.IV| | | | | | | | | |1x|Avantis U.S. Mid Cap Value ETF is an actively managed ETF incorporated in the USA. The fund seeks long-term capital appreciation by investing primarily in a diverse group of U.S. mid cap value companies across market sectors and industry groups.|N|0|N|N|406B|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|51.0|0.0|0.0|0.0|0.0|52.9153|0.0|0.0|0.0|0.0|0.0|52.98|0.0|0.0|0.0|0.0|53.0518|0.0|53.0518|40.55|65.03|40.55|65.03|53.06|53.07|40.55|65.03|0.0|0.0|53.01|53.07|53.07|48.4639|2156|124073 75958|AVNM|AVNM|025072174|US0250721745|American Century ETF Trust|Avantis All International Markets Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||American Century Investments|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN3-8|TXN2-8|TXN4-4|TXN3-2|85000|||BiAnnually|||||2023-06-29||AVNM.NV|AVNM.SO|AVNM.EU|AVNM.TC|AVNM.IV| | | | | | | | | ||Avantis All International Markets Equity ETF is an actively managed exchange-traded fund incorporated in the USA. The fund seeks long-term capital appreciation. This strategy is designed to provide exposure to a broadly diversified basket of equity securities that seek to select or overweight securities that are expected to have higher returns or better risk characteristics than a passive, market-cap weighted index. The strategy pursues its objective through investing in a series of other Avantis exchange-traded funds.|N|0|N|N|406B|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|52.0288|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|52.0202|0.0|52.0202|0.0|0.0|0.0|0.0|51.96|52.02|0.0|0.0|0.0|0.0|51.96|52.02|53.46|47.69|300|131288 48328|AVNS|AVNS|05350V106|US05350V1061|Avanos Medical, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|R|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN1-2|TXN8-7|TXN2-1|TXN2-1|46430000|||NotApplicable|||||2014-10-21||||||| | | | | | | | | |||N|0|N|Y|122A|USA|US|||20|2010|201020|20102015|Health Care |Health Care |Medical Equipment and Services|Medical Supplies|N||N||||||Y|0|Y||Y|2|||22.01|22.06|0.0|21.83|22.06|21.97|22.08|22.065|0.0|0.0|22.01|21.91|22.08|21.97|22.03|22.06|22.22|22.06|21.87|22.06|22.05|22.06|16.81|26.95|22.02|22.12|22.0|22.12|21.99|22.14|22.05|22.06|31.99|17.235|150339|62705500 8644|AVNT|AVNT|05368V106|US05368V1061|Avient Corporation|Common Shares|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-7|TXN3-7|TXN4-6|TXN4-2|TXN3-3|91160000|||Quarterly|||||2000-09-01||||||| | | | | | | | | |||N|0|N|Y|106A|USA|US|||55|5520|552010|55201000|Basic Materials|Chemicals|Chemicals|Chemicals: Diversified|N||N||||||Y|0|Y||Y|2|||35.39|35.43|0.0|35.42|35.42|35.37|35.37|35.385|0.0|0.0|35.44|35.44|35.37|35.38|35.31|35.38|35.4|35.38|35.51|35.38|35.37|35.38|27.13|43.43|35.3|35.45|35.33|35.42|35.33|35.42|35.37|35.38|44.74|27.7349|336036|108134485 75957|AVNV|AVNV|025072166|US0250721661|American Century ETF Trust|Avantis All International Markets Value ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||American Century Investments|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-7|TXN4-5|TXN3-8|TXN1-6|TXN3-2|22500|||BiAnnually|||||2023-06-29||AVNV.NV|AVNV.SO|AVNV.EU|AVNV.TC|AVNV.IV| | | | | | | | | ||Avantis All International Markets Value ETF is an actively managed exchange-traded fund incorporated in the USA. The fund seeks long-term capital appreciation. This strategy is designed to provide exposure to a broadly diversified basket of equity securities that seek to select or overweight securities that are expected to have higher returns or better risk characteristics than a passive, market-cap weighted index. The strategy pursues its objective through investing in a series of other Avantis exchange-traded funds.|N|0|N|N|406B|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|52.52|0.0|0.0|0.0|0.0|52.9665|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|52.5054|0.0|52.5054|0.0|0.0|0.0|0.0|52.46|52.55|0.0|0.0|0.0|0.0|52.46|52.54|53.72|48.2443|370|45403 18889|AVNW|AVNW|05366Y201|US05366Y2019|Aviat Networks Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN5-7|TXN10-8|TXN5-5|TXN5-4|11720000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||15|1510|151010|15101010|Telecommunications|Telecommunications|Telecommunications Equipment|Telecommunications Equipment|N||N||||||Y|0|Y||||||0.0|31.25|0.0|31.16|31.23|31.25|31.25|31.16|0.0|0.0|31.08|0.0|31.25|31.14|0.0|0.0|0.0|31.25|31.2|31.25|30.92|31.58|24.1|38.07|30.96|31.5|31.14|31.38|31.2|31.4|31.2|31.26|39.8021|21.15|59184|17302451 67734|AVO|AVO|60510V108|US60510V1089|Mission Produce Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN6-2|TXN12-7|TXN5-6|TXN5-1|70790000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||45|4510|451020|45102020|Consumer Staples |Food, Beverage and Tobacco |Food Producers|Food Products|N||N||||||Y|0|Y||||||9.11|9.08|0.0|8.94|9.08|9.1|9.09|9.12|0.0|0.0|0.0|9.0|9.1|9.11|9.07|9.13|0.0|9.08|9.07|9.1|8.97|9.25|6.96|11.23|9.0|9.22|9.05|9.13|9.06|9.11|9.08|9.11|16.15|8.19|143045|32914520 64956|AVPT|AVPT|053604104|US0536041041|AvePoint Inc|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN6-5|TXN13-6|TXN5-4|TXN6-1|183660000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101010|10101010|Technology|Technology|Software and Computer Services|Computer Services|N||N||||||Y|0|Y||||||8.25|8.26|0.0|8.26|8.26|8.26|8.26|8.255|0.0|0.0|8.25|8.25|8.26|8.25|8.255|8.26|8.24|8.25|8.26|8.26|8.24|8.28|6.34|10.13|8.25|8.28|8.23|8.28|8.22|8.28|8.25|8.26|8.58|3.89|566533|152876729 64957|AVPTW|AVPTW|053604112|US0536041124|AvePoint Inc|WT EXP 091826||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN6-2|TXN12-8|TXN6-2|TXN6-8|184000000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|1.41|0.0|0.0|0.0|1.41|1.41|1.41|0.0|0.0|0.0|0.0|1.38|0.0|0.0|0.0|0.0|1.37|0.0|1.37|0.0|0.0|0.0|0.0|1.24|1.46|0.0|0.0|0.0|0.0|1.32|1.42|1.53|0.42|4147|4222345 71855|AVRE|AVRE|025072356|US0250723568|American Century ETF Trust|Avantis Real Estate ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||American Century Investments|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-6|TXN4-5|TXN1-5|TXN1-4|TXN3-6|9040000|||Quarterly|||||2021-09-30||AVRE.NV|AVRE.SO|AVRE.EU|AVRE.TC|AVRE.IV| | | | | | | | | |1x|Avantis Real Estate is an actively managed exchange-traded fund incorporated in the USA. The fund seeks long-term capital appreciation by investing primarily in a diverse group of global real estate securities, in particular real estate investment trusts (REITs) and REIT-like entities.|N|0|N|N|406B|USA|US|EQUITY|ACTIVE|||||||||N||N||||||Y|0|Y||Y|2|||40.29|41.28|0.0|0.0|41.16|41.25|41.2779|0.0|0.0|0.0|0.0|0.0|41.25|0.0|0.0|0.0|0.0|41.28|0.0|41.28|32.6|49.22|31.59|50.26|41.21|41.29|32.6|49.22|0.0|0.0|41.21|41.29|46.23|35.031|34863|10855391 61151|AVRO|AVRO|05455M100|US05455M1009|AVROBIO Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN5-8|TXN13-3|TXN5-1|TXN6-4|44570000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||1.31|1.32|0.0|0.0|1.33|1.31|1.3184|1.32|0.0|0.0|1.31|1.34|1.32|1.31|0.0|0.0|1.32|1.3184|1.3|1.32|1.28|1.34|1.0|1.6|1.28|1.34|1.28|1.34|1.28|1.34|1.31|1.32|1.93|0.57|161522|306758038 73195|AVSC|AVSC|025072323|US0250723238|American Century ETF Trust|Avantis U.S. Small Cap Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||American Century Investments|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-6|TXN1-3|TXN6-3|TXN2-5|TXN1-6|10800000|||Quarterly|||||2022-01-13||AVSC.NV|AVSC.SO|AVSC.EU|AVSC.TC|AVSC.IV| | | | | | | | | |1x|Avantis U.S. Small Cap Equity is an actively managed exchange-traded fund incorporated in the USA. The fund seeks long-term capital appreciation by investing primarily in a diverse group of U.S. small cap companies across market sectors and industry groups.|N|0|N|N|406B|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|1|||47.21|47.3|0.0|0.0|47.29|47.21|47.3111|47.13|0.0|0.0|47.21|44.86|47.3|47.21|47.21|47.21|0.0|47.3|0.0|47.3|44.66|49.42|44.15|50.19|47.25|47.31|47.18|47.39|47.19|47.39|47.25|47.31|49.7|40.8295|618178|14664860 73707|AVSD|AVSD|025072299|US0250722990|American Century ETF Trust|Avantis Responsible International Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||American Century Investments|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-8|TXN2-3|TXN7-8|TXN3-2|TXN2-1|2400000|||BiAnnually|||||2022-03-17||AVSD.NV|AVSD.SO|AVSD.EU|AVSD.TC|AVSD.IV| | | | | | | | | |1x|Avantis Responsible International Equity is an actively managed exchange-traded fund incorporated in the USA. The fund seeks long-term capital appreciation by investing primarily in a diverse group of non-US companies across countries, market sectors and industry groups. The fund may invest in companies of all market capitalizations. The team limits its investable universe of companies by screening out those that raise concerns based on the teams evaluation of multiple ESG metrics.|N|0|N|N|406B|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|51.52|0.0|0.0|0.0|0.0|51.525|0.0|0.0|0.0|0.0|0.0|51.52|0.0|0.0|0.0|0.0|51.538|0.0|51.538|41.0|61.9|0.0|0.0|51.5|51.57|41.0|61.9|0.0|0.0|51.5|51.57|53.2238|46.19|3483|1905610 73794|AVSE|AVSE|025072315|US0250723154|American Century ETF Trust|Avantis Responsible Emerging Markets Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||American Century Investments|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-3|TXN1-5|TXN7-8|TXN3-5|TXN3-3|1300000|||BiAnnually|||||2022-03-30||AVSE.NV|AVSE.SO|AVSE.EU|AVSE.TC|AVSE.IV| | | | | | | | | ||Avantis Responsible Emerging Markets Equity is an actively managed exchange-traded fund incorporated in the USA. The fund seeks long-term capital appreciation by investing primarily in a diverse group of companies related to emerging markets across market sectors, industry groups and countries. The fund may invest in companies of all market capitalizations. The team limits its investable universe of companies by screening out those that raise concerns based on the teams evaluation of multiple ESG metrics.|N|0|N|N|406B|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|46.825|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|46.85|0.0|46.85|37.52|56.44|0.0|0.0|46.79|46.91|37.52|56.6|0.0|0.0|46.79|46.91|52.22|42.1837|552|1009569 67884|AVSF|AVSF|025072687|US0250726876|American Century ETF Trust|Avantis Short-Term Fixed Income ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||American Century Investments|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-7|TXN2-1|TXN7-8|TXN3-7|TXN2-4|5600000|||Monthly|||||2020-10-15||AVSF.NV|AVSF.SO|AVSF.EU|AVSF.TC|AVSF.IV| | | | | | | | | ||Avantis Short-Term Fixed Income Fund seeks total return by investing in investment grade quality debt obligations from a diverse group of U.S. and non-U.S. issuers. Fixed income securities in which the fund may invest include corporate bonds and notes issued by U.S. and foreign corporations, securities issued by governments and their agencies.|N|0|N|N|406B|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||45.95|45.4073|0.0|0.0|45.95|45.965|45.9656|45.95|0.0|0.0|0.0|0.0|0.0|45.97|0.0|0.0|0.0|45.95|45.95|45.95|0.0|0.0|0.0|0.0|45.95|45.98|0.0|0.0|0.0|0.0|45.95|45.98|46.59|45.15|56126|4853705 73708|AVSU|AVSU|025072281|US0250722818|American Century ETF Trust|Avantis Responsible U.S. Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||American Century Investments|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-3|TXN1-2|TXN7-8|TXN4-7|TXN3-2|3750000|||Quarterly|||||2022-03-17||AVSU.NV|AVSU.SO|AVSU.EU|AVSU.TC|AVSU.IV| | | | | | | | | |1x|Avantis Responsible U.S. Equity is an actively managed exchange-traded fund incorporated in the USA. The fund seeks long-term capital appreciation by investing primarily in a diverse group of U.S. companies across market sectors and industry groups. The fund may invest in companies of all market capitalizations. The team limits its investable universe of companies by screening out those that raise concerns based on the teams evaluation of multiple ESG metrics.|N|0|N|N|406B|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|52.98|0.0|0.0|0.0|0.0|53.3073|0.0|0.0|0.0|52.67|46.6335|53.31|0.0|0.0|0.0|0.0|53.3102|0.0|53.3102|42.21|63.69|0.0|0.0|53.3|53.32|42.21|63.69|0.0|0.0|53.3|53.32|53.66|44.99|4808|3766693 4901|AVT|AVT|053807103|US0538071038|Avnet Inc|COM USD1||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN5-1|TXN11-3|TXN5-6|TXN5-7|90490000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||USA||||10|1010|101020|10102010|Technology|Technology|Technology Hardware and Equipment|Semiconductors|N|Y|N||||||Y|0|Y||||||47.65|47.64|0.0|47.66|47.64|47.62|47.63|47.65|0.0|0.0|47.63|47.59|47.62|47.65|47.2|47.615|47.62|47.64|47.615|47.62|47.53|47.74|44.61|50.49|47.53|47.74|47.59|47.68|47.6|0.0|47.62|47.64|51.65|39.64|552932|135403224 71018|AVTE|AVTE|008064107|US0080641071|Aerovate Therapeutics Inc|COM USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN5-2|TXN11-2|TXN5-7|TXN6-5|27670000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||16.39|16.47|0.0|16.45|16.44|0.0|16.49|16.45|0.0|0.0|16.4|16.38|16.58|16.31|0.0|16.41|0.0|16.49|0.0|16.58|16.11|16.84|12.39|20.46|16.15|16.85|12.88|20.4|16.45|16.58|16.45|16.58|30.79|9.41|41474|19720286 63636|AVTR|AVTR|05352A100|US05352A1007|Avantor, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|S|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-4|TXN1-6|TXN9-8|TXN4-5|TXN4-2|676390000|||NotApplicable|||||2019-05-17||||||| | | | | | | | | |||N|0|Y|Y|122A|USA|US|||20|2010|201020|20102015|Health Care |Health Care |Medical Equipment and Services|Medical Supplies|N||N||||||Y|0|Y||Y|1|||21.45|21.45|0.0|21.36|21.44|21.445|21.45|21.445|0.0|0.0|21.445|21.445|21.445|21.45|21.44|21.44|21.435|21.44|21.45|21.44|21.44|21.45|20.1|22.64|21.44|21.46|21.41|21.47|21.4|21.48|21.44|21.45|25.25|16.63|8306477|1584557315 51965|AVTX|AVTX|05338F207|US05338F2074|Avalo Therapeutics Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-3|TXN5-1|TXN12-2|TXN6-7|TXN5-4|192380000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103015|Health Care |Health Care |Pharmaceuticals and Biotechnology|Pharmaceuticals |N||N||||||N|0|Y|D|||||0.0617|0.0617|0.0|0.062|0.0616|0.0617|0.0617|0.0616|0.0|0.0|0.0617|0.0618|0.0618|0.0617|0.0615|0.0617|0.062|0.0617|0.06215|0.0618|0.0585|0.0617|0.0492|0.075|0.0616|0.0617|0.0521|0.075|0.0|0.062|0.0616|0.0617|6.0865|0.0612|18371633|5177930666 64685|AVUS|AVUS|025072885|US0250728856|American Century ETF Trust|Avantis U.S. Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||American Century Investments|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-6|TXN4-4|TXN7-3|TXN3-3|TXN1-6|66330000|||Quarterly|||||2019-09-26||AVUS.NV|AVUS.SO|AVUS.EU|AVUS.TC|AVUS.IV| | | | | | | | | ||Avantis U.S. Equity is an actively managed exchange-traded fund incorporated in the USA. The fund seeks long-term capital appreciation by investing primarily in a diverse group of U.S. companies of all market capitalizations, sectors and industries|N|0|N|N|406B|USA|US|EQUITY|ACTIVE|||||||||N||N||||||Y|0|Y||Y|1|||77.72|77.86|0.0|0.0|77.87|77.87|77.878|78.01|0.0|0.0|77.87|0.0|77.87|77.57|77.69|77.87|77.72|77.87|0.0|77.87|77.84|77.92|77.71|77.96|77.84|77.87|77.71|77.96|77.75|77.96|77.84|77.87|78.5296|66.57|321961|74726900 64687|AVUV|AVUV|025072877|US0250728773|American Century ETF Trust|Avantis U.S. Small Cap Value ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||American Century Investments|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-7|TXN4-6|TXN2-6|TXN2-2|TXN3-5|93100000|||Quarterly|||||2019-09-26||AVUV.NV|AVUV.SO|AVUV.EU|AVUV.TC|AVUV.IV| | | | | | | | | ||Avantis U.S. Small Cap Value is an actively managed exchange-traded fund incorporated in the USA. The fund seeks long-term capital appreciation by investing primarily in a diverse group of U.S. small cap value companies across sectors and industries.|N|0|N|N|406B|USA|US|EQUITY|ACTIVE|||||||||N||N||||||Y|0|Y||Y|1|||83.38|83.4|0.0|82.57|83.2|83.39|83.41|83.23|0.0|0.0|83.4|83.12|83.38|83.27|83.13|83.4|82.74|83.44|83.25|83.44|83.2|83.53|77.44|88.46|83.39|83.4|83.23|83.56|83.23|83.56|83.39|83.4|84.81|68.6|821274|118312837 18867|AVXL|AVXL|032797300|US0327973006|Anavex Life Sciences Corp|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN5-7|TXN10-8|TXN6-3|TXN5-4|82090000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||8.19|8.17|0.0|7.81|8.19|8.175|8.18|8.17|0.0|0.0|8.175|8.185|8.2|8.24|8.22|8.17|8.2|8.18|8.18|8.2|8.15|8.21|6.24|10.11|8.11|8.26|8.15|8.21|8.16|8.2|8.18|8.19|12.11|4.9|1337229|231858765 4904|AVY|AVY|053611109|US0536111091|Avery Dennison Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|I|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-7|TXN3-7|TXN7-6|TXN2-2|TXN1-1|80530000|||Quarterly|||||1967-06-20||||||| | | | | | | | | |||N|5|Y|Y|104B|USA|US|||55|5510|551010|55101000|Basic Materials|Basic Resources|Industrial Materials|Diversified Materials|N||N||||||Y|0|Y||Y|1|||195.63|195.48|0.0|195.65|195.5|195.58|195.51|195.58|0.0|0.0|195.6|196.28|195.48|195.72|195.6|195.52|196.46|195.49|195.6|195.52|195.58|195.59|184.24|209.45|194.58|195.62|195.32|195.69|195.28|195.59|195.58|195.59|197.47|158.93|509277|120302089 65589|AWAY|AWAY|26924G771|US26924G7714|ETF Managers Trust|ETFMG Travel Tech ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ETF Managers Group|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-8|TXN2-1|TXN8-8|TXN1-7|TXN2-5|5850000|||Quarterly|||||2020-02-13||AWAY.NV|AWAY.SO|AWAY.EU|AWAY.TC|AWAY.IV| | | | | | | | | |1x|The Fund uses a passive or indexing approach to try to achieve its investment objective. Unlike many investment companies, the Funddoes not try to beat the Index and does not seek temporary defensive positions when markets decline or appear overvalued other thanthose indicated in the Index.The Fund will use a replication strategy. A replication strategy is an indexing strategy that involves investing in the securities of the Indexin approximately the same proportions as in the Index. However, the Fund may utilize a representative sampling strategy with respect tothe Index when a replication strategy might be detrimental to shareholders, such as when there are practical difficulties or substantialcosts involved in compiling a portfolio of equity securities to follow the Index, in instances in which a security in the Index becomestemporarily illiquid, unavailable or less liquid, or as a result of legal restrictions or limitations (such as tax diversification requirements)that apply to the Fund but not the Index.The Fund invests at least 80% of its total assets, exclusive of collateral held from securities lending, in the component securities of theIndex and in ADRs and GDRs based on the component securities in the Index. The Fund may invest up to 20% of its total assets insecurities that are not in the Funds Index to the extent that the Funds adviser believes such investments should help the Funds overallportfolio track the Index. The Fund may also invest in other investment companies that principally invest in the types ofinstruments allowed by the investment strategies of the Fund.The Fund may lend its portfolio securities to brokers, dealers, and other financial organizations. These loans, if and when made, may notexceed 33 1/3% of the total asset value of the Fund (including the loan collateral). By lending its securities, the Fund may increase itsincome by receiving payments from the borrower.1Prime Travel Technology Index NTRThe Index tracks the performance of globally exchange-listed equity securities (or corresponding American Depositary Receipts (ADRs)or Global Depositary Receipts (GDRs)) of companies across the globe that are engaged in Travel Technology Business which isdefined as providing technology, via the internet and internet-connected devices such as mobile phones, to facilitate the following activities:travel bookings and reservations, ride sharing and hailing, travel price comparison, and travel advice. Companies with products andservices that are primarily engaged in any of the categories of Travel Technology Business are collectively called Travel TechnologyCompanies.The companies included in the Index are identified by Prime Indexes (the Index Provider). The Index Provider determines whether acompany is a Travel Technology Company based on its assessment of: i) descriptions of a companys primary business activities in itsregulatory filings (e.g., annual reports, financial statements and other public filings), investor presentations, as well as third-party industryresearch, reports, and analyses; and ii) if a company derives more than 50% of its revenue from Travel Technology Business. The IndexProvider screens candidate companies for the Travel Technology Index for investability (e.g., must not be listed on an exchange in acountry which employs certain restrictions on foreign capital investment; must have a minimum market capitalization of $150 million;and must have an operating company structure, as opposed to a pass-through security.The Index has a semi-annual review in June and December of each year upon which the Index is reconstituted and rebalanced by theIndex Provider. The composition of the Index, including any additions or deletions, and the constituent weights are determined on theThursday before the second Friday of each June and December (or the next business day that day is not a business day, aka the SelectionDay). Component changes are implemented as of the market close on the third Friday of June and December (or the next business dayif the third Friday is not a business day) and become effective at the market opening on the next trading day.At the time of reconstitution, the companies in the Index are weighted using a proprietary weighting methodology (the Methodology)that weights the securities based on market capitalization and average daily value traded. The larger and more frequently traded companies,based on the Methodology, will receive a higher score compared to smaller and less traded companies. The three companies receivingthe highest score will each receive a weight of 8% while the next three companies based on the score will each receive a weight of 6%,and all excess weight is distributed across the remaining Index securities based on the Methodology.|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||17.96|18.06|0.0|0.0|17.96|18.08|17.955|18.01|0.0|0.0|17.96|18.0|18.0|18.012|17.73|0.0|18.0|17.9555|17.96|17.9555|16.98|18.97|17.94|18.1|17.94|17.99|17.94|18.21|17.94|18.21|17.94|17.99|20.08|14.9501|16707|8624601 75393|AWEG|AWEG|015564305|US0155643051|The Alger ETF Trust|Alger Weatherbie Enduring Growth ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Fred Alger Management|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-4|TXN3-2|TXN6-8|TXN1-2|TXN2-3|200000|||Yearly|||||2023-03-07||AWEG.NV|AWEG.SO|AWEG.EU|AWEG.TC|AWEG.IV| | | | | | | | | ||The Fund invests primarily in equity securities of mid-cap growth companies with an environmental, social and governance (ESG) rating of medium or better, as rated by Sustainalytics, a third-party ESG rating agency (Sustainalytics or the ESG Rating Agency), at the time of purchase. Sustainalytics provides ESG ratings that measure a companys exposure to ESG risks and how well the company is managing those risks. Using its proprietary methodology, as described below, Sustainalytics rates companies on a scale of 0 to 100, with 0 to 10 representing negligible ESG risk, 10 to 20 representing low ESG risk, 20 to 30 representing medium ESG risk, 30 to 40 representing high ESG risk, and 40 and higher representing severe ESG risk.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|18.94|20.4646|0.0|20.4646|20.24|20.66|20.36|20.45|20.4|20.52|18.99|21.85|0.0|0.0|20.4|20.52|21.6299|18.2311|48|215099 4912|AWF|AWF|01879R106|US01879R1068|AllianceBernstein Global High Income Fund, Inc.|Common Stock|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN2-2|TXN1-5|TXN1-2|TXN4-8|86230000|||Monthly|||||1993-07-27||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||0.0|9.88|0.0|0.0|9.89|9.885|9.885|9.9|0.0|0.0|9.89|9.88|9.885|9.89|0.0|9.89|9.88|9.885|0.0|9.89|9.88|9.89|7.65|12.11|9.87|10.52|9.86|9.91|9.87|9.9|9.88|9.89|10.35|9.185|150183|45015597 809|AWH|AWH|04537Y208|US04537Y2081|Aspira Womens Health Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN6-2|TXN12-5|TXN5-3|TXN6-4|10340000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201020|20102020|Health Care |Health Care |Medical Equipment and Services|Medical Services|N||N||||||N|0|Y||||||3.29|0.0|0.0|0.0|3.25|3.275|3.275|0.0|0.0|0.0|3.35|0.0|3.25|0.0|0.0|0.0|0.0|3.25|0.0|3.25|3.12|3.4|2.53|4.03|3.18|3.37|2.56|3.9|0.0|0.0|3.24|3.3|6.75|0.2241|16372|31464526 17485|AWI|AWI|04247X102|US04247X1028|Armstrong World Industries, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|A|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-7|TXN4-3|TXN2-7|TXN2-3|TXN4-1|44180000|||Quarterly|||||2006-10-11||||||| | | | | | | | | |||N|0|Y|Y|110E|USA|US|||50|5010|501010|50101035|Industrials|Construction and Materials|Construction and Materials |Building Materials: Other|N||N||||||Y|0|Y||Y|1|||91.44|91.44|0.0|91.22|91.55|91.625|91.431|91.655|0.0|0.0|91.62|91.26|91.485|91.24|91.68|91.46|91.24|91.431|91.24|91.46|91.43|91.45|85.21|96.68|91.24|91.69|91.34|91.63|91.31|91.64|91.43|91.45|91.9|62.0301|2043979|87395892 71988|AWIN|AWIN|00810J108|US00810J1088|AERWINS Technologies Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-3|TXN5-1|TXN12-2|TXN5-6|TXN5-1|62690000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||JPN||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.1329|0.136|0.0|0.135|0.134|0.133|0.134563|0.1329|0.0|0.0|0.134|0.134|0.136|0.0|0.0|0.0|0.0|0.134|0.0|0.134|0.104|0.1586|0.104|0.1586|0.1297|0.1366|0.104|0.1586|0.0|0.0|0.1315|0.1365|7.25|0.103|600125|725693816 71989|AWINW|AWINW|00810J116|US00810J1161|AERWINS Technologies Inc|WT EXP 020328||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-4|TXN5-3|TXN14-5|TXN6-3|TXN5-4|62630000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||JPN||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.005|0.0|0.0|0.0|0.0|0.0|0.0089|0.014|0.2403|0.005|1|11993853 27774|AWK|AWK|030420103|US0304201033|American Water Works Company, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|A|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-5|TXN3-2|TXN9-4|TXN1-4|TXN1-5|194710000|||Quarterly|||||2008-04-23||||||| | | | | | | | | |||N|5|Y|Y|308A|USA|US|||65|6510|651020|65102030|Utilities|Utilities|Gas, Water and Multi-utilities |Water|N||N||||||Y|0|Y||Y|1|||133.16|133.15|0.0|133.19|133.09|133.27|133.11|133.22|0.0|0.0|133.18|133.18|133.135|133.15|133.35|133.14|133.04|133.14|133.33|133.14|133.14|133.15|125.31|141.3|133.07|133.22|133.03|133.22|133.04|133.23|133.14|133.15|162.59|114.25|801964|249549400 24425|AWP|AWP|00302L108|US00302L1089|abrdn Global Premier Properties Fund|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN2-4|TXN3-8|TXN3-6|TXN1-5|85410000|||Monthly|||||2007-04-26||||||| | | | | | | | | |||N|0|N|N|406B|GBR|US|||||||||||N||N||||||N|0|Y||Y|2|||3.74|3.745|0.0|0.0|3.74|3.75|3.75|3.745|0.0|0.0|3.745|3.75|3.745|3.741|0.0|3.74|3.74|3.745|0.0|3.74|3.74|3.75|2.87|4.54|3.73|3.76|3.71|3.78|3.73|3.76|3.74|3.75|4.63|3.062|387791|71893324 4914|AWR|AWR|029899101|US0298991011|American States Water Company|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|A|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN1-7|TXN2-8|TXN2-6|TXN4-5|36980000|||Quarterly|||||1993-06-17||||||| | | | | | | | | |||N|0|N|Y|308A|USA|US|||65|6510|651020|65102030|Utilities|Utilities|Gas, Water and Multi-utilities |Water|N||N||||||Y|0|Y||Y|2|||81.25|82.51|0.0|82.8|82.8|82.74|82.8|82.79|0.0|0.0|82.44|80.51|82.8|81.25|80.36|82.85|82.81|82.85|79.87|82.85|82.84|82.85|62.56|99.71|82.18|83.38|82.68|82.93|82.84|82.97|82.84|82.85|99.695|75.2|199053|44299526 416|AWRE|AWRE|05453N100|US05453N1000|Aware Inc.|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN5-7|TXN12-5|TXN6-4|TXN6-4|20990000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||N|0|Y||||||1.74|1.62|0.0|0.0|1.66|1.74|1.6301|1.72|0.0|0.0|1.66|0.0|1.63|0.0|0.0|0.0|0.0|1.6301|0.0|1.63|1.3|1.95|1.3|2.02|1.57|1.72|1.3|2.02|0.0|0.0|1.63|1.66|1.94|1.05|42798|9658251 4915|AWX|AWX|05343P109|US05343P1093|Avalon Holdings Corporation|Class A Common|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Brendan E. Cryan and Company, L.L.C.|CRYN|0235|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-3|TXN1-1|TXN2-8|TXN4-7|TXN2-8|3290000|||NotApplicable|||||1998-06-18||||||| | | | | | | | | |||N|0|N|N|310A|USA|US|||65|6510|651030|65103035|Utilities|Utilities|Waste and Disposal Services|Waste and Disposal Services|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|2.15|2.17|0.0|0.0|0.0|2.11|2.14|2.125|0.0|2.85|0.0|2.18|2.18|0.0|2.18|0.0|0.0|2.05|2.09|1.93|2.09|0.0|0.0|0.0|0.0|2.05|2.09|3.104|1.762|13264|1298718 543|AX|AX|05465C100|US05465C1009|Axos Financial, Inc.|Common stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-5|TXN4-3|TXN8-5|TXN3-1|TXN1-4|57730000|||NotApplicable|||||2018-10-01||||||| | | | | | | | | |||N|0|N|Y|402B|USA|US|||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||Y|2|||43.62|43.54|0.0|43.62|43.57|43.57|43.55|43.55|0.0|0.0|43.56|43.65|43.53|43.55|43.79|43.55|43.72|43.55|43.63|43.55|43.55|43.6|33.85|53.7|43.48|43.72|43.46|43.63|43.45|43.58|43.55|43.6|51.46|32.05|1235577|132910408 4920|AXDX|AXDX|00430H201|US00430H2013|Accelerate Diagnostics Inc|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN5-3|TXN11-2|TXN5-1|TXN6-7|14550000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||Y|0|Y||||||0.0|4.29|0.0|0.0|0.0|4.22|4.27|4.245|0.0|0.0|4.25|4.25|4.26|0.0|0.0|0.0|0.0|4.27|0.0|4.27|3.99|4.51|0.0|0.0|4.2|4.29|3.28|5.13|0.0|0.0|4.25|4.29|8.72|0.4501|69701|37631608 42485|AXGN|AXGN|05463X106|US05463X1063|Axogen Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN6-3|TXN10-4|TXN6-2|TXN6-5|43040000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201020|20102015|Health Care |Health Care |Medical Equipment and Services|Medical Supplies|N||N||||||Y|0|Y||||||7.135|7.15|0.0|6.94|7.13|7.14|7.15|7.15|0.0|0.0|7.14|7.13|7.15|7.15|7.1|7.14|7.15|7.155|7.03|7.15|7.07|7.21|5.52|8.73|7.08|7.21|7.13|7.18|7.12|7.19|7.15|7.16|11.32|3.45|304962|69452951 4921|AXL|AXL|024061103|US0240611030|American Axle & Manufacturing Holdings, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|R|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN2-5|TXN4-6|TXN2-6|TXN4-3|117060000|||NotApplicable|||||1999-01-29||||||| | | | | | | | | |||N|0|N|Y|132B|USA|US|||40|4010|401010|40101025|Consumer Discretionary|Automobiles and Parts|Automobiles and Parts|Auto Parts|N||N||||||Y|0|Y||Y|2|||7.56|7.55|0.0|7.55|7.56|7.55|7.55|7.55|0.0|0.0|7.55|7.55|7.55|7.545|7.55|7.55|7.55|7.56|7.55|7.55|7.55|7.56|5.83|9.24|7.54|7.57|7.52|7.58|7.52|7.58|7.55|7.56|10.14|6.29|1717161|273598630 62184|AXNX|AXNX|05465P101|US05465P1012|Axonics Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN5-3|TXN11-1|TXN5-4|TXN6-8|50660000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||Y|0|Y||||||58.06|58.05|0.0|58.06|58.06|58.06|58.01|58.01|0.0|0.0|57.74|57.79|58.06|57.81|57.74|58.06|57.44|58.06|57.6|58.06|57.42|58.57|44.75|70.4|57.47|58.58|57.86|58.24|57.88|58.25|58.01|58.06|70.09|47.59|398106|148005767 3939|AXON|AXON|05464C101|US05464C1018|Axon Enterprise Inc|COM USD.00001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN6-2|TXN14-6|TXN5-8|TXN6-2|74930000|||NotApplicable|||||||||||| | | | | | | | | |||N|5|Y|N||USA||||50|5020|502010|50201020|Industrials|Industrial Goods and Services|Aerospace and Defense|Defense|N||N||||||Y|0|Y||||||236.3|236.07|0.0|236.33|235.76|236.21|236.31|236.225|0.0|0.0|235.86|0.0|236.28|235.63|233.95|235.83|235.9|236.36|0.0|236.28|234.62|237.75|221.06|250.94|236.17|236.47|236.01|236.54|0.0|0.0|236.28|236.35|236.38|162.39|526650|180244234 4923|AXP|AXP|025816109|US0258161092|American Express Company|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-2|TXN2-2|TXN8-7|TXN3-5|TXN3-8|728750000|||Quarterly|||||1977-05-18||||||| | | | | | | | | |||Y|1|Y|Y|416A|USA|US|||50|5020|502050|50205015|Industrials|Industrial Goods and Services|Industrial Support Services|Transaction Processing Services|N||N||||||Y|0|Y||Y|1|||173.26|173.24|0.0|173.21|173.23|173.23|173.22|173.24|0.0|0.0|173.25|173.26|173.26|173.25|173.21|173.25|173.28|173.25|173.32|173.25|173.25|173.28|163.96|183.71|173.16|173.32|173.11|173.38|173.11|173.4|173.25|173.28|182.15|140.91|3630974|730311643 4924|AXR|AXR|032159105|US0321591051|AMREP Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|P|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN2-2|TXN8-8|TXN1-2|TXN1-4|5270000|||Adhoc|||||1972-01-31||||||| | | | | | | | | |||N|0|N|Y|170A|USA|US|||35|3510|351010|35101010|Real Estate|Real Estate |Real Estate Investment and Services Development|Real Estate Holding and Development |N||N||||||N|0|Y||Y|2|||18.2|17.9|0.0|0.0|18.2|17.6|18.6885|18.48|0.0|0.0|17.2|0.0|18.5|17.13|0.0|18.6885|0.0|18.6885|17.9|18.6885|18.0|18.6|0.0|0.0|18.07|19.48|0.0|0.0|0.0|0.0|18.07|19.48|19.97|10.55|8921|1818856 4925|AXS|AXS|G0692U109|BMG0692U1099|AXIS Capital Holdings Limited|Common Shares|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-7|TXN1-3|TXN1-8|TXN4-8|TXN3-7|85240000|||Quarterly|||||2003-07-01||||||| | | | | | | | | |||N|0|Y|Y|410B|BMU|BM|||30|3030|303020|30302025|Financials|Insurance|Non-life Insurance|Property and Casualty Insurance|N||N||||||Y|0|Y||Y|1|||56.48|56.595|0.0|56.51|56.62|56.6|56.62|56.59|0.0|0.0|56.61|56.61|56.59|56.58|56.73|56.62|57.26|56.63|56.63|56.62|56.59|56.63|53.44|60.37|56.57|56.9|56.53|56.7|56.59|56.68|56.59|56.63|63.99|51.25|750521|117176678 54456|AXS PRE|AXSpE|05461T305|US05461T3059|AXIS Capital Holdings Limited|Depositary Shares, each representing a 1/100th interest in a 5.50% Series E Preferred Share|Operating company|B|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN1-5|TXN2-8|TXN2-1|TXN3-6|22000000|||Quarterly|||||2016-11-22||||||| | | | | | | | | |||N|0|N|N|410B|BMU|BM|||||||||||N||N||||||N|0|Y||Y|2|||0.0|21.25|0.0|0.0|21.02|21.12|21.0|21.025|0.0|0.0|0.0|0.0|21.25|0.0|0.0|21.4|0.0|21.03|0.0|21.4|21.02|21.4|0.0|0.0|20.61|21.47|0.0|0.0|0.0|0.0|21.02|21.4|23.73|18.77|28838|9610595 52020|AXSM|AXSM|05464T104|US05464T1043|Axsome Therapeutics Inc|COM USD.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN6-6|TXN14-2|TXN5-6|TXN6-3|47320000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||67.41|67.44|0.0|67.5|67.43|67.43|67.43|67.45|0.0|0.0|67.44|67.42|67.43|67.27|67.42|67.46|67.37|67.49|67.29|67.43|67.3|67.6|52.7|83.3|67.3|67.6|67.27|67.67|67.43|67.68|67.43|67.53|91.29|53.71|603300|192360556 48773|AXTA|AXTA|G0750C108|BMG0750C1082|Axalta Coating Systems Ltd.|Common shares, $1.00 par value per share|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|P|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-6|TXN1-6|TXN8-2|TXN3-7|TXN3-6|220080000|||NotApplicable|||||2014-11-12||||||| | | | | | | | | |||N|0|Y|Y|126E|USA|US|||50|5020|502030|50203010|Industrials|Industrial Goods and Services|General Industrials|Paints and Coatings|N||N||||||Y|0|Y||Y|1|||32.26|32.25|0.0|32.23|32.25|32.25|32.245|32.275|0.0|0.0|32.24|32.25|32.25|32.25|32.26|32.26|32.25|32.26|32.255|32.26|32.24|32.26|30.22|34.1|32.24|32.28|32.22|32.28|32.23|32.29|32.24|32.26|33.6799|24.86|2250233|562678037 418|AXTI|AXTI|00246W103|US00246W1036|AXT Inc|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN6-8|TXN10-4|TXN6-5|TXN6-7|43640000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101020|10102010|Technology|Technology|Technology Hardware and Equipment|Semiconductors|N||N||||||Y|0|Y||||||2.02|2.04|0.0|0.0|2.02|2.03|2.04|2.035|0.0|0.0|2.04|2.03|2.03|2.04|2.03|2.045|2.04|2.03|2.03|2.03|1.99|2.09|1.53|2.51|2.02|2.09|2.01|2.07|2.01|2.07|2.03|2.04|6.565|1.89|215620|64694376 44441|AY|AY|G0751N103|GB00BLP5YB54|Atlantica Sustainable Infrastructure plc|ORD USD0.1||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN6-7|TXN10-2|TXN6-2|TXN5-6|116060000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||GBR||||65|6510|651010|65101010|Utilities|Utilities|Electricity|Alternative Electricity|N||N||||||Y|0|Y||||||19.7|19.72|0.0|19.71|19.69|19.73|19.7025|19.715|0.0|0.0|19.71|19.63|19.71|19.95|19.72|19.72|19.72|19.71|19.73|19.71|19.54|19.88|15.08|24.05|19.58|19.86|19.67|19.73|19.69|19.73|19.7|19.71|29.81|16.35|610480|150432770 4928|AYI|AYI|00508Y102|US00508Y1029|Acuity Brands, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|R|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN2-8|TXN3-7|TXN3-2|TXN4-2|30880000|||Quarterly|||||2001-11-14||||||| | | | | | | | | |||N|0|Y|Y|170A|USA|US|||50|5010|501010|50101035|Industrials|Construction and Materials|Construction and Materials |Building Materials: Other|N||N||||||Y|0|Y||Y|1|||184.46|184.48|0.0|184.25|185.33|184.4|184.15|184.365|0.0|0.0|184.23|183.17|184.15|184.79|182.99|184.28|185.52|184.18|178.74|184.28|184.17|184.27|173.79|196.49|183.38|185.62|184.01|184.43|183.97|184.47|184.17|184.27|202.9|149.3|245379|75664293 4427|AYRO|AYRO|054748207|US0547482077|Ayro Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN5-6|TXN13-8|TXN6-1|TXN5-6|4890000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4010|401010|40101020|Consumer Discretionary|Automobiles and Parts|Automobiles and Parts|Automobiles|N||N||||||N|0|Y||||||0.0|1.9|0.0|0.0|1.93|1.91|1.92|1.93|0.0|0.0|1.95|1.9|1.93|0.0|0.0|1.97|0.0|1.92|0.0|1.93|1.84|2.06|0.0|0.0|1.88|2.01|1.83|2.03|1.83|2.06|1.9|1.96|3.6031|0.3511|39536|26755276 59924|AYTU|AYTU|054754858|US0547548588|Aytu BioPharma Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN6-2|TXN11-2|TXN5-5|TXN6-3|5570000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103015|Health Care |Health Care |Pharmaceuticals and Biotechnology|Pharmaceuticals |N||N||||||N|0|Y||||||2.41|0.0|0.0|0.0|2.35|2.32|2.34|0.0|0.0|0.0|0.0|0.0|2.38|2.41|0.0|0.0|0.0|2.38|0.0|2.38|2.31|2.48|1.8|2.92|2.33|2.46|2.23|2.52|0.0|0.0|2.38|2.41|4.23|0.178|12599|26756284 56900|AYX|AYX|02156B103|US02156B1035|Alteryx, Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-5|TXN1-2|TXN3-4|TXN4-1|TXN3-7|63890000|||Monthly|||||2017-03-24||||||| | | | | | | | | |||N|0|Y|Y|108A|USA|US|||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||Y|1|||42.27|42.25|0.0|42.31|42.35|42.28|42.25|42.26|0.0|0.0|42.27|42.31|42.265|42.25|42.28|42.26|42.11|42.26|42.28|42.26|42.26|42.28|39.22|44.6|42.24|42.56|42.18|42.36|42.17|42.38|42.26|42.28|70.63|27.92|1031490|421485937 69182|AZ|AZ|00249W100|CA00249W1005|A2Z Smart Technologies Corp|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN5-5|TXN14-4|TXN6-1|TXN5-1|36970000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CAN||||55|5510|551020|55102015|Basic Materials|Basic Resources|Industrial Metals and Mining|Metal Fabricating|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|1.31|1.335|0.0|0.0|0.0|0.0|1.31|1.31|0.0|0.0|0.0|0.0|1.335|0.0|1.31|1.07|1.58|1.07|1.58|1.23|1.43|1.07|1.58|0.0|0.0|1.32|1.35|3.04|1.0|15592|22827044 66670|AZEK|AZEK|05478C105|US05478C1053|The AZEK Company Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|P|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-2|TXN3-4|TXN4-7|TXN1-8|TXN2-6|147700000|||NotApplicable|||||2020-06-12||||||| | | | | | | | | |||N|0|Y|Y|100A|USA|US|||50|5010|501010|50101035|Industrials|Construction and Materials|Construction and Materials |Building Materials: Other|N||N||||||Y|0|Y||Y|1|||34.91|34.91|0.0|35.12|34.91|34.91|34.91|34.91|0.0|0.0|34.91|34.92|34.89|34.91|34.91|34.91|34.89|34.9|34.905|34.91|34.89|34.9|32.63|37.0|34.87|34.95|34.85|34.94|34.85|34.94|34.89|34.9|35.39|18.73|1920606|390850340 4935|AZN|AZN|046353108|US0463531089|Astrazeneca PLC|SPON ADR||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN6-5|TXN12-8|TXN6-8|TXN6-6|1549920000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||GBR||||20|2010|201030|20103015|Health Care |Health Care |Pharmaceuticals and Biotechnology|Pharmaceuticals |N||N||||||Y|0|Y||||||65.03|65.015|0.0|65.03|65.02|65.02|65.015|65.01|0.0|0.0|65.02|65.02|65.02|65.02|65.02|65.025|65.04|65.01|65.02|65.02|65.0|65.05|50.26|79.51|65.0|65.04|64.98|65.06|64.98|65.06|65.01|65.02|76.56|61.73|3340280|1170761387 4936|AZO|AZO|053332102|US0533321024|AutoZone, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|B|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|4|0.01|0.01|5000000|1|100|TXN2-7|TXN3-6|TXN2-6|TXN4-6|TXN3-8|17630000|||NotApplicable|||||1991-04-02||||||| | | | | | | | | |||N|5|Y|Y|146G|USA|US|||40|4040|404010|40401030|Consumer Discretionary|Retail |Retailers |Specialty Retailers |N||N||||||Y|0|Y||Y|1|||2631.0|2657.13|0.0|2645.37|2647.61|2657.03|2661.046|2663.53|0.0|0.0|2664.33|2660.26|2663.33|2633.03|2660.7|2664.11|2630.62|2661.046|2638.54|2664.11|2659.98|2663.37|2494.3|2806.96|2640.92|2682.67|2657.21|2667.77|2660.72|2663.33|2660.72|2663.33|2750.0|2277.88|205789|36078693 421|AZPN|AZPN|29109X106|US29109X1063|Aspen Technology Inc|COM USD.1||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN6-1|TXN11-2|TXN6-1|TXN5-5|63700000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||USA||||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||||||202.78|202.32|0.0|200.74|203.53|203.65|202.4044|202.27|0.0|0.0|202.75|0.0|202.29|202.799|202.22|202.29|0.0|202.32|199.62|202.29|200.43|204.57|188.42|216.38|200.67|204.19|202.02|202.65|202.27|202.49|202.27|202.49|247.96|161.32|233155|49950319 580|AZTA|AZTA|114340102|US1143401024|Azenta Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN5-1|TXN14-2|TXN6-6|TXN5-8|56110000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||USA||||20|2010|201020|20102020|Health Care |Health Care |Medical Equipment and Services|Medical Services|N||N||||||Y|0|Y||||||58.07|58.24|0.0|58.03|58.16|58.29|58.31|58.33|0.0|0.0|58.31|58.12|58.32|58.135|58.26|58.12|58.08|58.33|58.17|58.32|57.88|58.6|54.74|61.61|57.91|58.59|58.23|58.38|58.28|0.0|58.28|58.32|63.6|36.01|427364|223881886 74481|AZTD|AZTD|886364470|US8863644709|Tidal ETF Trust|Aztlan Global Stock Selection DM SMID ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Tidal ETF Services |GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-8|TXN1-2|TXN2-8|TXN2-5|TXN3-2|2025000|||Yearly|||||2022-08-18||AZTD.NV|AZTD.SO|AZTD.EU|AZTD.TC| | | | | | | | | | |1x|The Fund uses a passive management aproach to track the performance, before fees and expenses, of the Index. The Index is based on a proprietary methodology created by Aztlan Equity Management, LL that fllows a non-discretionary, rules-based methodology to determined thee universe of potential Index componenets. The Index is owned, calculated, administered, and published by Solactive AG.|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|21.065|0.0|0.0|0.0|0.0|0.0|0.0|19.1|0.0|0.0|0.0|21.1096|0.0|21.1096|20.95|21.14|0.0|0.0|21.07|21.15|0.0|0.0|0.0|0.0|21.07|21.15|22.26|18.62|2021|2337797 75718|AZTR|AZTR|05479L104|US05479L1044|Azitra Inc|Common Stock|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Brendan E. Cryan and Company, L.L.C.|CRYN|0235|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-7|TXN2-3|TXN9-8|TXN4-5|TXN1-5|12100000|||NotApplicable|||||2023-06-16||||||| | | | | | | | | |||N|0|N|N|120A|USA|US|||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||Y|2|||1.0|1.2|0.0|0.0|1.0|1.0|1.0|1.12|0.0|0.0|1.0|1.0|1.015|0.0|0.0|0.0|1.0|1.0|0.0|1.0|0.0|0.0|0.98|1.0|0.94|1.06|0.0|0.0|0.0|0.0|0.98|1.0|5.18|0.98|13758|2928544 56984|AZUL|AZUL|05501U106|US05501U1060|Azul S.A.|American Depositary Shares (each representing three preferred shares)|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|6|M|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-2|TXN3-5|TXN1-3|TXN2-5|TXN2-7|335700000|||Monthly|||||2017-04-11||||||| | | | | | | | | |||N|0|N|Y|200A|BRA|BR|||40|4050|405010|40501010|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Airlines|N||N||||||Y|0|Y||Y|2|||9.69|9.7|0.0|9.93|9.69|9.685|9.69|9.69|0.0|0.0|9.69|9.69|9.685|9.69|9.71|9.68|9.64|9.7|9.69|9.68|9.68|9.71|7.69|11.93|9.68|9.76|9.66|9.76|9.68|9.76|9.68|9.71|13.865|3.82|1426599|544103305 4939|AZZ|AZZ|002474104|US0024741045|AZZ Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|O|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN3-8|TXN5-8|TXN2-2|TXN2-2|25080000|||Quarterly|||||1997-03-20||||||| | | | | | | | | |||N|0|N|Y|180A|USA|US|||50|5020|502020|50202010|Industrials|Industrial Goods and Services|Electronic and Electrical Equipment|Electrical Components |N||N||||||Y|0|Y||Y|2|||51.25|51.6|0.0|51.37|51.56|51.6|51.6|51.53|0.0|0.0|51.25|50.61|51.6|51.1|49.15|51.64|50.78|51.63|49.025|51.64|51.6|51.63|38.79|63.28|51.08|52.03|51.52|51.7|51.6|51.74|51.6|51.63|51.64|34.5864|100876|26258717 4940|B|B|067806109|US0678061096|Barnes Group Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|O|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN4-7|TXN9-8|TXN1-5|TXN1-1|50680000|||Quarterly|||||1963-10-14||||||| | | | | | | | | |||N|0|N|Y|170A|USA|US|||50|5020|502030|50203000|Industrials|Industrial Goods and Services|General Industrials|Diversified Industrials|N||N||||||Y|0|Y||Y|2|||27.65|27.62|0.0|27.67|27.64|27.62|27.645|27.62|0.0|0.0|27.62|27.65|27.62|27.63|27.6|27.66|27.65|27.66|27.63|27.66|27.66|27.67|20.88|33.39|27.6|27.69|27.59|27.7|27.58|27.7|27.66|27.67|47.36|18.79|333168|60972368 4942|BA|BA|097023105|US0970231058|The Boeing Company|Capital Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|M|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-7|TXN3-7|TXN8-5|TXN1-3|TXN1-3|604980000|||Quarterly|||||1934-09-05||||||| | | | | | | | | |||Y|1|Y|Y|102A|USA|US|||50|5020|502010|50201010|Industrials|Industrial Goods and Services|Aerospace and Defense|Aerospace|N||N||||||Y|0|Y||Y|1|||234.86|234.84|0.0|234.84|234.82|234.86|234.87|234.86|0.0|0.0|234.84|234.77|234.86|234.57|234.88|234.87|234.03|234.86|234.855|234.87|234.81|234.84|225.02|249.0|234.78|234.93|234.69|235.03|234.82|235.03|234.75|234.84|243.1|174.62|5228476|1310794440 31860|BAB|BAB|46138G805|US46138G8050|Invesco Exchange-Traded Fund Trust II|Invesco Taxable Municipal Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Invesco|Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-5|TXN3-6|TXN4-8|TXN2-8|TXN4-2|58600000|||Monthly|||||2009-11-16||BAB.NV|BAB.SO|BAB.EU|BAB.TC|BAB.IV| | | | | | | | | |1x|The Fund seeks investment results that correspond generally to the price and yield (before fees and expenses) of an index called The BofA Merrill Lynch Build America Bond Index. The Fund will normally invest at least 80% of its total assets in taxable municipal securities eligible to participate in the Build America Bonds program created under the American Recovery and Reinvestment Act of 2009 or other legislation providing for the issuance of taxable municipal securities on which the issuer receives federal support of the interest paid (Build America Bonds). The Underlying Index is designed to track the performance of U.S. dollar-denominated investment grade taxable municipal debt publicly issued under the Build America Bond program by U.S. states and territories, and their political subdivisions, in the U.S. domestic market.|N|0|N|N|406C|USA|US|FIXED_INCOME|INDEX|||||||||N||N||||||Y|0|Y||Y|1|||26.07|26.08|0.0|26.09|26.07|26.07|26.075|26.07|0.0|0.0|26.07|26.08|26.075|26.07|26.06|26.07|26.07|25.9|26.11|25.9|24.75|27.36|24.34|27.82|26.05|26.09|24.75|27.36|0.0|0.0|26.05|26.09|27.36|24.29|274610|75476934 44936|BABA|BABA|01609W102|US01609W1027|Alibaba Group Holding Limited|American Depositary Shares, each represents Eight Ordinary Shares|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|8|A|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-1|TXN2-5|TXN5-4|TXN4-6|TXN1-2|20347390000|||Yearly|||||2014-09-19||||||| | | | | | | | | |||N|0|N|Y|108A|CHN|KY|||40|4040|404010|40401010|Consumer Discretionary|Retail |Retailers |Diversified Retailers|N||N||||||Y|0|Y||Y|2|||73.025|73.02|0.0|73.09|73.02|73.02|73.015|73.005|0.0|0.0|73.02|73.01|73.02|73.01|73.015|73.03|73.0|73.02|73.02|73.03|73.01|73.03|72.8|73.03|73.02|73.04|72.71|73.32|72.71|73.05|73.01|73.03|121.3|72.12|21074948|4525105581 75013|BABX|BABX|38747R868|US38747R8685|GraniteShares 1.75x Long BABA Daily ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN5-6|TXN13-3|TXN5-5|TXN5-3|530000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||14.099|14.24|0.0|0.0|14.09|14.2|14.17|14.09|0.0|0.0|14.02|0.0|14.2|14.181|0.0|14.099|0.0|14.17|0.0|14.2|14.11|17.28|10.86|17.28|14.15|14.2|10.86|14.2|0.0|0.0|14.17|14.2|40.94|13.83|37544|7563028 4945|BAC|BAC|060505104|US0605051046|Bank of America Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-5|TXN2-5|TXN8-2|TXN2-4|TXN4-1|7913730000|||Quarterly|||||1979-06-05||||||| | | | | | | | | |||N|1|Y|Y|402B|USA|US|||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||Y|1|||30.82|30.825|0.0|30.82|30.82|30.82|30.82|30.815|0.0|0.0|30.82|30.82|30.82|30.83|30.825|30.82|30.825|30.825|30.82|30.82|30.82|30.83|30.73|32.89|30.82|30.83|30.8|30.84|30.79|30.83|30.82|30.83|37.0|24.96|37811345|11293202571 61005|BAC PRB|BACpB|060505229|US0605052291|Bank of America Corporation|Depositary Shares, each representing a 1/1,000 th interest in a share of Bank of America Corporation 6.000% Non-Cumulative Preferred Stock, Series GG|Operating company|B|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN4-6|TXN2-8|TXN4-2|TXN2-5|54000000|||Quarterly|||||2018-05-17||||||| | | | | | | | | |||N|0|N|N|402B|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||24.66|24.64|0.0|0.0|24.66|24.69|24.63|24.7|0.0|0.0|24.74|24.74|24.69|24.78|0.0|24.65|24.65|24.69|24.66|24.65|24.65|24.72|19.07|30.35|24.12|24.8|19.07|30.35|0.0|0.0|24.65|24.72|25.49|22.3|118859|24724117 17559|BAC PRE|BACpE|060505815|US0605058157|Bank of America Corporation|Depositary Shares (representing 1/1,000th of a share of Floating Rate Non-Cumalative Preferred Stock, Series E)|Operating company|B|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN3-3|TXN4-8|TXN1-2|TXN2-4|12320000|||Quarterly|||||2006-11-14||||||| | | | | | | | | |||N|0|N|N|402B|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||21.24|21.02|0.0|0.0|21.24|21.2|21.29|0.0|0.0|0.0|21.245|0.0|21.24|21.21|0.0|21.2|21.25|21.12|21.27|21.2|21.12|21.3|21.14|21.25|20.73|21.7|0.0|0.0|0.0|0.0|21.12|21.3|21.93|18.0|11650|5107063 61311|BAC PRK|BACpK|060505195|US0605051954|Bank of America Corporation|Depositary Shares, each representing a 1/1,000 th interest in a share of Bank of America Corporation 5.875% Non-Cumulative Preferred Stock, Series HH|Operating company|B|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN4-4|TXN5-8|TXN2-5|TXN4-5|34050000|||Quarterly|||||2018-07-25||||||| | | | | | | | | |||N|0|N|N|402B|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||24.14|24.0|0.0|0.0|24.07|24.12|24.09|24.085|0.0|0.0|24.1|0.0|24.1|23.95|24.06|24.07|24.1|24.07|0.0|24.07|24.07|24.1|24.07|24.1|23.52|24.54|0.0|0.0|0.0|0.0|24.07|24.1|25.57|21.51|102218|17876524 26962|BAC PRL|BACpL|060505682|US0605056821|Bank of America Corporation|7.25% Non-Cumulative Perpetual Convertible Preferred Stock, Series L|Operating company|B|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|4|0.01|0.01|5000000|1|10|TXN2-8|TXN4-7|TXN2-8|TXN1-2|TXN1-4|3080000|||Quarterly|||||2008-01-31||||||| | | | | | | | | |||N|0|N|N|402B|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||1130.87|1131.0|0.0|0.0|0.0|1130.05|1135.09|1130.87|0.0|0.0|1130.0|0.0|1131.0|1127.96|0.0|1134.97|0.0|1132.7|1130.0|1134.97|1128.64|1134.97|0.0|0.0|1111.32|1153.62|0.0|0.0|0.0|0.0|1128.64|1134.97|1262.4|1036.88|8277|1810745 63926|BAC PRM|BACpM|06053U601|US06053U6010|Bank of America Corporation|Depositary Shares, each representing a 1/1,000th interest in a share of 5.375% Non-Cumulative Preferred Stock, Series KK|Operating company|B|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN2-8|TXN3-8|TXN2-7|TXN1-6|55270000|||Quarterly|||||2019-06-26||||||| | | | | | | | | |||N|0|N|N|402B|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||22.19|22.21|0.0|0.0|22.19|22.24|22.24|22.19|0.0|0.0|22.3|0.0|22.3|22.22|0.0|22.19|22.17|22.19|22.294062|22.19|22.19|22.25|17.26|27.31|21.78|22.71|17.26|27.31|0.0|0.0|22.19|22.24|24.49|20.5464|162068|26175403 64607|BAC PRN|BACpN|06055H202|US06055H2022|Bank of America Corporation|Depositary shares, each representing 1/1,000th interest in a share of 5.000% Non-Cumulative Preferred Stock, Series LL|Operating company|B|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN2-3|TXN7-8|TXN2-5|TXN3-7|52050000|||Quarterly|||||2019-09-18||||||| | | | | | | | | |||N|0|N|N|402B|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||20.86|20.81|0.0|0.0|20.86|20.92|20.86|20.875|0.0|0.0|20.85|21.07|20.89|20.85|20.87|20.92|20.85|20.86|20.81|20.92|20.87|20.93|16.2|25.77|20.41|21.34|16.2|25.77|0.0|0.0|19.43|20.9|23.23|19.0|117049|23500035 68067|BAC PRO|BACpO|06055H400|US06055H4002|Bank of America Corporation|Depositary shares, each representing 1/1,000th interest in a share of 4.375% Non-Cumulative Preferred Stock, Series NN|Operating company|B|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN2-1|TXN6-8|TXN2-2|TXN1-4|42990000|||Quarterly|||||2020-11-03||||||| | | | | | | | | |||N|0|N|N|402B|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||18.53|18.47|0.0|0.0|18.53|18.44|18.4785|18.45|0.0|0.0|18.47|0.0|18.47|18.47|0.0|18.47|18.48|18.47|0.0|18.47|18.47|18.49|14.27|22.76|18.05|18.81|14.27|22.76|0.0|0.0|18.47|18.49|20.2699|16.35|75060|21598220 68948|BAC PRP|BACpP|06055H608|US06055H6080|Bank of America Corporation|Depositary Shares, each representing a 1/1,000th interest in a share of 4.125% Non-Cumulative Preferred Stock, Series PP|Operating company|B|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN3-4|TXN6-8|TXN1-5|TXN4-3|36500000|||Quarterly|||||2021-01-29||||||| | | | | | | | | |||N|0|N|N|402B|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||17.65|17.54|0.0|0.0|17.55|17.46|17.55|17.55|0.0|0.0|17.55|17.5|17.55|0.0|0.0|17.55|17.55|17.55|0.0|17.55|17.55|17.58|13.59|21.56|17.14|17.98|13.59|21.56|0.0|0.0|16.72|17.58|19.27|15.4|56523|16628126 72135|BAC PRQ|BACpQ|06055H806|US06055H8060|Bank of America Corporation|Depositary shares, each representing 1/1,000th interest in a share of 4.250% Non-Cumulative Preferred Stock, Series QQ|Operating company|B|N|N|N|Y|Y|Y|Y|Y|6|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN4-1|TXN3-8|TXN1-2|TXN4-5|51880000|||Quarterly|||||2021-10-27||||||| | | | | | | | | |||N|0|N|N|402B|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||17.93|17.9|0.0|17.39|17.94|17.92|17.915|17.9|0.0|0.0|17.92|0.0|17.92|17.96|17.65|17.89|17.86|17.93|17.92|17.89|17.9|17.95|13.84|22.09|17.5|18.24|13.84|22.09|0.0|0.0|17.9|17.95|19.585|15.98|87344|25220464 73392|BAC PRS|BACpS|06055H871|US06055H8714|Bank of America Corporation|Depositary shares, each representing 1/1,000th interest in a share of 4.750% Non-Cumulative Preferred Stock, Series SS|Operating company|B|N|N|N|Y|Y|Y|Y|Y|6|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN3-3|TXN8-8|TXN2-4|TXN1-7|27460000|||Quarterly|||||2022-02-03||||||| | | | | | | | | |||N|0|N|N|402B|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||19.81|19.78|0.0|0.0|19.84|19.81|19.84|19.84|0.0|0.0|19.96|0.0|19.91|0.0|0.0|19.86|19.8|19.81|19.83|19.86|19.81|19.92|19.81|19.88|19.43|20.3|0.0|0.0|0.0|0.0|19.81|19.91|22.175|17.82|73158|12775055 72420|BACA|BACA|083690107|US0836901076|Berenson Acquisition Corp. I|Class A Common Stock|Special purpose acquisition company|A|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-1|TXN4-5|TXN6-8|TXN1-3|TXN4-5|4050000|||NotApplicable|||||2023-03-13||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|10.32|10.34|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.34|0.0|0.0|10.26|10.37|10.27|10.55|0.0|0.0|0.0|0.0|10.27|10.37|11.68|9.96|114|7199003 62975|BACK|BACK|44967K302|US44967K3023|IMAC Holdings Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN5-7|TXN12-2|TXN6-5|TXN6-3|1140000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201010|20101010|Health Care |Health Care |Health Care Providers|Health Care Facilities|N||N||||||N|0|Y|C|||||0.0|0.0|0.0|0.0|1.9|1.88|1.9|1.93|0.0|0.0|1.88|0.0|1.88|0.0|0.0|0.0|0.0|1.9|0.0|1.9|1.75|2.0|1.45|2.31|1.79|1.93|1.45|2.31|0.0|0.0|1.87|1.89|3.12|0.0901|21774|283052045 75151|BAER|BAER|96812F102|US96812F1021|Bridger Aerospace Group Holdings Inc|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN6-3|TXN11-2|TXN5-2|TXN6-3|44780000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502010|50201010|Industrials|Industrial Goods and Services|Aerospace and Defense|Aerospace|N||N||||||N|0|Y||||||5.71|5.77|0.0|0.0|0.0|5.69|5.57|0.0|0.0|0.0|5.88|5.87|5.66|5.66|0.0|0.0|0.0|5.57|0.0|5.57|5.31|6.06|4.35|7.05|5.38|5.98|4.35|7.05|0.0|0.0|5.55|5.86|25.9|3.26|9233|61657023 75152|BAERW|BAERW|96812F110|US96812F1104|Bridger Aerospace Group Holdings Inc|WT EXP 100125||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-4|TXN6-6|TXN11-5|TXN5-2|TXN5-6|44780000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y|C|||||0.0|0.1975|0.0|0.0|0.0|0.0|0.2|0.0|0.0|0.0|0.0|0.0|0.1975|0.0|0.0|0.0|0.0|0.1975|0.0|0.1975|0.0|0.0|0.0|0.0|0.17|0.0|0.0|0.0|0.0|0.0|0.1931|0.2097|0.4909|0.1175|4046|14708098 69702|BAFN|BAFN|07279B104|US07279B1044|BAYFIRST FINANCIAL CORP|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN5-7|TXN10-2|TXN5-8|TXN6-4|4110000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.61|0.0|0.0|0.0|0.0|10.4|0.0|0.0|0.0|0.0|10.61|0.0|10.61|0.0|0.0|0.0|0.0|10.13|11.28|0.0|0.0|0.0|0.0|10.4|10.85|19.55|8.88|463|763079 36117|BAH|BAH|099502106|US0995021062|Booz Allen Hamilton Holding Corporation|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|P|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-3|TXN4-1|TXN4-4|TXN4-7|TXN2-7|130380000|||Quarterly|||||2010-11-17||||||| | | | | | | | | |||N|0|Y|Y|310A|USA|US|||50|5020|502050|50205020|Industrials|Industrial Goods and Services|Industrial Support Services|Professional Business Support Services|N||N||||||Y|0|Y||Y|1|||131.26|131.21|0.0|130.24|131.27|131.21|131.22|131.225|0.0|0.0|131.27|130.97|131.21|131.26|131.07|131.22|130.67|131.22|131.26|131.22|131.21|131.22|131.14|131.3|131.03|131.36|131.14|131.31|131.13|131.32|131.21|131.22|131.28|87.99|813085|218541936 64883|BAK|BAK|105532105|US1055321053|Braskem S.A.|American Depositary Shares (Each representing Two Class A Preferred Shares)|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-6|TXN3-3|TXN3-2|TXN1-5|TXN2-6|345060000|||Yearly|||||1998-12-21||||||| | | | | | | | | |||N|0|N|Y|106A|BRA|BR|||55|5520|552010|55201020|Basic Materials|Chemicals|Chemicals|Specialty Chemicals|N||N||||||N|0|Y||Y|2|||7.29|7.29|0.0|7.35|7.29|7.3|7.28|7.29|0.0|0.0|7.29|7.295|7.29|7.29|7.28|7.28|7.305|7.28|7.3|7.28|7.28|7.29|5.6|8.88|7.27|7.3|7.25|7.32|7.25|7.29|7.28|7.29|12.67|6.26|775141|206349039 76389|BALI|BALI|09290C863|US09290C8635|BlackRock Advantage Large Cap Income ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-5|TXN2-5|TXN1-5|TXN2-7|TXN4-1|760000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||25.92|25.9996|0.0|0.0|25.92|25.98|25.95|26.085|0.0|0.0|0.0|0.0|0.0|25.92|0.0|0.0|0.0|25.9996|25.92|25.9996|0.0|0.0|25.95|26.03|25.97|26.01|25.95|26.02|25.95|26.03|25.96|26.01|26.36|23.96|3116|820221 5109|BALL|BALL|058498106|US0584981064|Ball Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|J|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-2|TXN3-1|TXN3-3|TXN1-2|TXN1-7|315300000|||Quarterly|||||1973-12-17||||||| | | | | | | | | |||N|5|Y|Y|136A|USA|US|||50|5020|502030|50203030|Industrials|Industrial Goods and Services|General Industrials|Containers and Packaging|N||N||||||Y|0|Y||Y|1|||56.67|56.67|0.0|56.7|56.67|56.705|56.66|56.68|0.0|0.0|56.7|56.69|56.665|56.66|56.69|56.67|56.72|56.66|56.7|56.67|56.67|56.68|53.21|60.58|56.63|56.71|56.65|56.71|56.67|56.72|56.67|56.68|62.14|42.81|2430481|432832316 71037|BALT|BALT|45783Y855|US45783Y8553|Innovator Defined Wealth Shield ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-5|TXN2-3|TXN8-8|TXN3-8|TXN3-6|21030000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||28.41|28.41|0.0|0.0|28.4|28.405|28.4|28.405|0.0|0.0|28.4|28.39|28.405|28.41|28.4|28.4|0.0|28.41|28.41|28.41|26.97|29.8|26.59|30.17|28.37|28.41|28.34|29.8|28.35|28.45|28.39|28.41|28.41|26.39|68963|32288484 63332|BALY|BALY|05875B106|US05875B1061|Bally's Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|H|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN4-8|TXN5-6|TXN3-7|TXN3-2|45620000|||Quarterly|||||2019-03-29||||||| | | | | | | | | |||N|0|N|Y|180B|USA|US|||40|4050|405010|40501020|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Casinos and Gambling|N||N||||||Y|0|Y||Y|2|||12.36|12.41|0.0|12.52|12.37|12.37|12.37|12.37|0.0|0.0|12.29|12.4|12.37|12.36|12.32|12.37|12.59|12.37|12.6|12.37|12.36|12.37|9.72|15.06|12.34|12.42|12.34|12.41|12.36|12.41|12.36|12.37|24.655|7.28|687251|90660078 74977|BAM|BAM|113004105|CA1130041058|Brookfield Asset Management Ltd.|Class A Limited Voting Shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|5|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-6|TXN2-8|TXN4-8|TXN1-1|TXN4-4|412800000|||Quarterly|||||2022-12-01||||||| | | | | | | | | |||N|0|N|Y|408A|CAN|CA|||30|3020|302020|30202010|Financials|Financial Services |Investment Banking and Brokerage Services |Asset Managers and Custodians|N||N||||||Y|0|Y||Y|2|||35.46|35.45|0.0|35.33|35.44|35.465|35.46|35.455|0.0|0.0|35.46|35.46|35.465|35.53|35.45|35.46|35.45|35.45|35.45|35.46|35.44|35.47|27.53|43.92|35.44|35.49|35.41|35.49|35.41|35.5|35.44|35.47|44.9897|26.76|1241919|329773492 76390|BAMA|BAMA|66537J879|US66537J8797|Brookstone Active ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-5|TXN3-2|TXN4-8|TXN3-4|TXN2-5|1120000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|26.2684|0.0|0.0|0.0|0.0|26.24|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|26.2684|0.0|26.2684|26.22|26.27|26.21|26.25|26.19|26.33|26.18|26.33|26.19|26.32|26.24|26.28|26.3618|24.39|7281|1235230 76372|BAMB|BAMB|66537J804|US66537J8045|Brookstone Intermediate Bond ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-3|TXN3-7|TXN8-8|TXN1-4|TXN3-2|1860000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|25.4|0.0|0.0|0.0|0.0|25.39|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|25.4|0.0|25.4|0.0|0.0|0.0|0.0|25.25|25.55|0.0|0.0|0.0|0.0|25.38|25.41|25.45|24.89|3569|2018645 76391|BAMD|BAMD|66537J507|US66537J5074|Brookstone Dividend Stock ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN4-2|TXN6-8|TXN4-6|TXN3-2|2100000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|26.86|0.0|0.0|0.0|0.0|26.885|0.0|0.0|0.0|26.16|0.0|0.0|0.0|0.0|0.0|0.0|26.86|0.0|26.86|0.0|0.0|26.88|26.93|26.71|27.06|26.76|27.01|0.0|0.0|26.86|26.9|26.891|24.04|5997|2307709 76380|BAMG|BAMG|66537J606|US66537J6064|Brookstone Growth Stock ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-8|TXN4-2|TXN5-8|TXN2-2|TXN4-7|2070000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|26.724|0.0|0.0|0.0|0.0|26.685|0.0|0.0|0.0|26.51|26.3079|0.0|0.0|0.0|0.0|0.0|26.724|0.0|26.724|0.0|0.0|26.65|26.69|26.64|26.77|26.63|26.78|26.63|26.78|26.69|26.73|26.8511|23.82|6433|2301792 76392|BAMO|BAMO|66537J861|US66537J8615|Brookstone Opportunities ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-3|TXN2-3|TXN9-8|TXN2-4|TXN2-6|1050000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|26.2517|0.0|0.0|0.0|0.0|26.2164|0.0|0.0|0.0|26.1109|0.0|0.0|0.0|0.0|0.0|0.0|26.2517|0.0|26.2517|26.22|26.26|26.2|26.24|26.15|26.3|26.17|26.27|26.19|26.27|26.23|26.27|26.34|24.53|2288|1150552 76381|BAMU|BAMU|66537J887|US66537J8870|Brookstone Ultra-Short Bond ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-6|TXN4-5|TXN4-8|TXN2-8|TXN3-2|2270000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|25.21|0.0|0.0|0.0|0.0|25.2|25.21|0.0|0.0|0.0|0.0|0.0|25.19|0.0|0.0|0.0|25.21|0.0|25.21|19.34|31.17|19.34|31.17|23.98|26.44|19.34|31.17|0.0|0.0|25.19|25.23|25.25|25.025|3465|2426869 76382|BAMV|BAMV|66537J705|US66537J7054|Brookstone Value Stock ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-8|TXN4-4|TXN5-8|TXN4-7|TXN1-3|2160000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|27.0368|0.0|0.0|0.0|0.0|26.9815|0.0|0.0|0.0|26.98|26.5535|27.02|0.0|0.0|26.5135|0.0|27.0368|0.0|27.0368|20.6|33.39|20.6|33.39|26.95|27.1|26.94|27.09|26.94|27.09|27.0|27.04|27.1216|23.97|7059|2352192 76393|BAMY|BAMY|66537J853|US66537J8532|Brookstone Yield ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-5|TXN2-6|TXN8-8|TXN1-1|TXN1-4|1090000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|25.86|0.0|0.0|0.0|0.0|25.86|0.0|0.0|0.0|0.0|25.8|0.0|0.0|0.0|0.0|0.0|25.86|0.0|25.86|25.8|25.85|25.8|25.84|25.75|25.9|25.78|25.9|25.77|25.89|25.82|25.86|25.89|24.38|2918|1171866 1594|BANC|BANC|05990K106|US05990K1060|Banc of California, Inc.|Common Stock, par value $0.01 per share|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|A|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-3|TXN3-8|TXN7-4|TXN4-8|TXN3-2|157500000|||Quarterly|||||2014-05-29||||||| | | | | | | | | |||N|0|N|Y|402B|USA|US|||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||Y|2|||12.68|12.67|0.0|12.69|12.675|12.67|12.675|12.67|0.0|0.0|12.67|12.675|12.67|12.68|12.72|12.68|12.67|12.67|12.675|12.68|12.67|12.68|9.79|15.43|12.66|12.68|12.66|12.7|12.65|12.71|12.67|12.68|18.26|9.72|5293738|265877908 76706|BANC PRF|BANCpF|05990K841|US05990K8412|Banc of California, Inc.|Depositary Shares, each representing 1/40th interest in one share of 7.75% Non-Cumulative Perpetual Preferred Stock, Series F of the Company|Operating company|B|N|N|N|Y|Y|Y|Y|Y|8|I|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN4-8|TXN3-8|TXN1-1|TXN1-4|20530000|||Quarterly|||||2023-12-01||||||| | | | | | | | | |||N|0|N|N|402B|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||21.31|21.35|0.0|0.0|0.0|21.25|21.65|21.63|0.0|0.0|21.62|0.0|21.48|0.0|0.0|21.45|0.0|21.63|0.0|21.45|21.5|21.6|0.0|0.0|21.35|21.63|0.0|0.0|0.0|0.0|21.5|21.6|22.8291|21.0|86153|94888 60094|BAND|BAND|05988J103|US05988J1034|Bandwidth Inc|CL A COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN5-6|TXN14-6|TXN6-4|TXN6-7|23680000|||NotApplicable|||||||||||| | | | | 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USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN6-3|TXN10-2|TXN5-4|TXN6-7|34350000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||||||47.71|48.25|0.0|47.49|48.27|48.28|48.23|48.28|0.0|0.0|48.2|0.0|48.29|48.26|48.22|47.76|0.0|48.29|47.74|48.29|47.75|48.77|36.62|59.26|48.13|48.45|48.15|48.4|48.22|0.0|48.25|48.31|70.2|39.31|189789|46047345 43068|BANX|BANX|861780104|US8617801043|ArrowMark Financial Corp|COM USD0.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN5-1|TXN14-2|TXN5-8|TXN5-6|7110000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||Y|0|Y||||||0.0|0.0|0.0|0.0|0.0|17.1|17.0494|17.09|0.0|0.0|17.15|0.0|17.04|0.0|0.0|0.0|0.0|17.01|0.0|17.01|15.97|17.91|0.0|0.0|16.01|18.18|0.0|0.0|0.0|0.0|17.0|17.05|19.3663|13.8|15776|3744616 69088|BAOS|BAOS|G08908124|KYG089081247|Baosheng Media Group Holdings Ltd|ORD USD0.0096||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN6-8|TXN10-7|TXN5-6|TXN5-1|1530000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||40|4030|403010|40301020|Consumer Discretionary|Media|Media|Media Agencies|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|4.4|0.0|0.0|0.0|0.0|4.26|0.0|0.0|0.0|0.0|4.4|0.0|4.4|0.0|0.0|0.0|0.0|3.93|5.14|0.0|0.0|0.0|0.0|4.2|4.85|23.3|0.5065|3389|37391155 4956|BAP|BAP|G2519Y108|BMG2519Y1084|Credicorp Ltd.|Common Shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN4-4|TXN5-8|TXN3-3|TXN4-4|79530000|||Yearly|||||1995-10-25||||||| | | | | | | | | |||N|0|N|Y|416A|PER|PE|||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||Y|2|||127.0|126.75|0.0|126.85|128.08|126.79|126.752|126.75|0.0|0.0|126.98|129.21|126.8|128.04|127.03|126.82|127.5|126.8|127.15|126.82|126.85|126.89|97.72|156.71|125.86|127.88|126.6|126.97|126.61|126.92|126.85|126.89|160.15|116.42|214503|74934070 63344|BAPR|BAPR|45782C888|US45782C8881|Innovator U.S. Equity Buffer ETF - April|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-6|TXN1-3|TXN8-8|TXN2-4|TXN2-4|4230000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||36.87|36.9377|0.0|0.0|0.0|36.88|36.9377|0.0|0.0|0.0|0.0|0.0|36.96|36.87|36.8|0.0|0.0|36.9377|0.0|36.9377|36.86|36.92|36.86|37.01|36.9|36.98|36.86|37.02|36.86|37.02|36.86|37.02|37.11|30.52|17444|4497657 59497|BAR|BAR|38748G101|US38748G1013|GraniteShares Gold Trust|GraniteShares Gold Shares|Trust|ETV|N|N|P|Y|Y|Y|Y|Y||||||||GraniteShares Advisors |Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-5|TXN4-5|TXN1-2|TXN3-4|TXN2-5|46700000|||NotApplicable|||||2017-08-31||BAR.NV|BAR.SO|BAR.EU|BAR.TC|BAR.IV| | | | | | | | | |1x|BAR seeks to reflect the price of gold and represents fractional undividend beneficial interest in the net assets of the trust which generally reflects the performance of the price of gold. |N|0|N|N|406C|USA|US|COMMODITIES_AND_FUTURES|INDEX|||||||||N||N||||||N|0|Y||Y|1|||20.04|20.045|0.0|0.0|20.05|20.06|20.055|20.01|0.0|0.0|20.06|20.06|20.04|20.05|20.0|20.06|20.06|20.05|20.09|20.05|20.03|20.05|20.03|20.05|20.04|20.05|20.03|20.05|20.01|20.05|20.04|20.05|20.52|17.495|2006830|154963764 68547|BARK|BARK|68622E104|US68622E1047|BARK, Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|H|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN9-8|TXN3-8|TXN8-8|TXN3-8|TXN4-7|179280000|||NotApplicable|||||2020-12-18||||||| | | | | | | | | |||N|0|N|Y|408A|USA|US|||40|4040|404010|40401030|Consumer Discretionary|Retail |Retailers |Specialty Retailers |N||N||||||Y|2|Y||Y|2|||0.8051|0.8|0.0|0.7983|0.8076|0.7984|0.8|0.7974|0.0|0.0|0.7959|0.7968|0.7959|0.7959|0.7997|0.8001|0.0|0.798|0.7959|0.8001|0.798|0.8|0.6464|0.972|0.78|0.816|0.768|0.8258|0.7691|0.8242|0.798|0.8|2.29|0.72|568786|224416079 68548|BARK WS|BARK.WS|68622E112|US68622E1120|BARK, Inc.|Redeemable Warrants, each whole warrant exercisable for shares of Common Stock at an exercise price of $11.50 per share|Operating company|C|N|N|N|Y|Y|Y|Y|Y|5|H|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN3-8|TXN2-3|TXN2-8|TXN4-3|TXN4-2|176420000|||NotApplicable|||||2020-12-18||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||||||||||N||N||||||N|2|Y|D|N||||0.0598|0.0|0.0|0.0|0.0|0.06|0.06|0.0598|0.0|0.0|0.0|0.0|0.0598|0.0|0.0|0.06|0.0|0.06|0.0|0.06|0.051|0.06|0.0|0.0|0.055|0.0639|0.0|0.0|0.0|0.0|0.051|0.06|0.33|0.051|51105|3120580 71217|BASE|BASE|22207T101|US22207T1016|Couchbase Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN5-6|TXN11-2|TXN5-1|TXN6-5|47080000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101010|10101010|Technology|Technology|Software and Computer Services|Computer Services|N||N||||||Y|0|Y||||||0.0|20.02|0.0|20.05|20.0|19.99|20.01|20.02|0.0|0.0|20.02|0.0|20.02|0.0|20.07|20.06|0.0|20.0|20.01|20.02|19.81|20.19|15.62|24.19|19.84|20.17|19.97|20.04|19.96|20.05|20.0|20.02|22.5|12.355|257478|63865712 65635|BATL|BATL|07134L107|US07134L1070|Battalion Oil Corporation|Common Stock|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-1|TXN4-1|TXN5-8|TXN1-5|TXN3-1|16460000|||NotApplicable|||||2020-02-20||||||| | | | | | | | | |||N|0|N|N|134B|USA|US|||60|6010|601010|60101010|Energy|Energy|Oil, Gas and Coal|Oil: Crude Producers|N||N||||||N|0|Y||Y|2|||4.91|5.05|0.0|0.0|4.91|4.9|4.9199|5.06|0.0|0.0|5.0|4.9|5.07|5.01|0.0|0.0|4.9199|4.9199|4.9|4.9199|4.75|5.35|4.9|5.1|4.8|5.19|0.0|0.0|0.0|0.0|4.9|5.1|12.37|4.8|16329|4265185 52922|BATRA|BATRA|047726104|US0477261046|Atlanta Braves Holdings Inc|COM SER A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN6-5|TXN14-1|TXN6-2|TXN5-5|10320000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4050|405010|40501030|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Recreational Services|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|40.4|40.41|40.26|40.28|0.0|0.0|40.34|0.0|40.32|0.0|0.0|0.0|0.0|40.26|0.0|40.32|39.85|40.75|31.25|50.22|39.9|40.7|31.25|50.22|40.1|40.51|40.26|40.33|54.94|31.53|38411|15800356 52923|BATRK|BATRK|047726302|US0477263026|Atlanta Braves Holdings Inc|COM SER C||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN6-2|TXN10-6|TXN5-3|TXN6-5|50430000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4050|405010|40501030|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Recreational Services|N||N||||||Y|0|Y||||||35.88|35.95|0.0|35.8|35.94|35.76|35.98|35.94|0.0|0.0|36.01|35.85|35.97|35.84|35.81|35.84|0.0|35.96|36.13|35.97|35.55|36.22|28.06|43.8|35.59|36.2|35.89|36.03|35.93|36.0|35.93|35.97|50.15|31.172|218338|42470411 61088|BATT|BATT|032108805|US0321088058|Amplify ETF Trust|Amplify Lithium & Battery Technology ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Amplify Investments|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN4-7|TXN5-8|TXN3-4|TXN2-6|11050000|||Yearly|||||2018-06-06||BATT.NV|BATT.SO|BATT.EU|BATT.TC|BATT.IV| | | | | | | | | ||An actively managed ETF that invests in global stocks that are involved in the metals and materials necessary to the manufacture of advanced batteries for electronics and associated industries|N|0|N|N|406B|USA|US|EQUITY|ACTIVE|||||||||N||N||||||Y|0|Y||Y|2|||10.15|10.32|0.0|0.0|10.15|10.16|10.17|10.17|0.0|0.0|10.21|10.21|10.16|10.15|0.0|0.0|0.0|10.19|10.15|10.19|7.91|12.58|10.15|10.26|10.15|10.2|10.11|10.26|10.15|10.26|10.15|10.2|14.44|9.76|73381|11603499 64215|BAUG|BAUG|45782C698|US45782C6984|Innovator US Equity Buffer ETF - August|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-8|TXN2-5|TXN4-8|TXN2-7|TXN2-8|6680000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||34.78|34.7482|0.0|0.0|34.78|34.695|34.7799|34.73|0.0|0.0|34.73|0.0|34.77|34.776|0.0|0.0|0.0|34.7482|0.0|34.7482|0.0|0.0|34.68|34.72|34.72|34.77|34.65|34.92|34.65|34.91|34.72|34.77|34.93|29.53|32877|13030491 4958|BAX|BAX|071813109|US0718131099|Baxter International Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|J|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-6|TXN3-4|TXN1-2|TXN3-5|TXN4-5|507320000|||Quarterly|||||1961-05-15||||||| | | | | | | | | |||N|5|Y|Y|122A|USA|US|||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||Y|0|Y||Y|1|||36.885|36.89|0.0|36.95|36.89|36.885|36.89|36.89|0.0|0.0|36.89|36.89|36.89|36.9|36.875|36.89|36.89|36.89|36.88|36.89|36.89|36.9|34.47|39.46|36.87|36.91|36.86|36.93|36.86|36.93|36.89|36.9|53.8|31.01|3930761|1268288964 3446|BB|BB|09228F103|CA09228F1036|BlackBerry Limited|Common Shares|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|H|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-7|TXN3-2|TXN9-7|TXN4-1|TXN4-7|583710000|||Monthly|||||2017-10-16||||||| | | | | | | | | |||N|0|N|Y|108B|CAN|CA|||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||Y|2|||3.9|3.895|0.0|3.79|3.9|3.895|3.8942|3.895|0.0|0.0|3.89|3.89|3.895|3.89|3.8|3.89|3.895|3.89|3.89|3.89|3.89|3.9|2.97|4.75|3.89|3.9|3.86|3.93|3.89|3.93|3.89|3.9|5.75|3.17|2987080|1298834196 62636|BBAG|BBAG|46641Q241|US46641Q2416|J.P. Morgan Exchange-Traded Fund Trust|JPMorgan BetaBuilders U.S. Aggregate Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||J.P. Morgan Investment Management|Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN2-8|TXN2-8|TXN2-6|TXN4-8|42273203|||Monthly|||||2018-12-14||JAGG.NV|JAGG.SO|JAGG.EU|JAGG.TC|JAGG.IV| | | | | | | | | ||The Fund is actively managed and seeks to provide long-term return by principally investing in corporate bonds, U.S. treasury obligations and other U.S. government and agency securities, and asset-backed, mortgage-related and mortgage-backed securities (MBS), all of which are rated investment grade by a nationally recognized statistical rating organization or that are unrated but are deemed by the Funds adviser, J.P. Morgan Investment Management Inc. 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These companies are in the business of designing drugs that save lives. Everything ranging from antivirals, antibiotics and cancer-fighting medicines to gene therapies, cell-based therapies and enzyme replacement therapies are developed in the biotech sector.The BioShares funds are designed to allow investors to select their desired exposure to two distinct stages of a public biotechnology company:- BBC invests in Clinical Trials stage biotechnology companies.- BBP invests in Products stage biotechnology companies.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|19.1|20.6301|20.435|0.0|0.0|0.0|0.0|20.47|0.0|0.0|0.0|0.0|20.6325|0.0|20.6325|20.46|20.9|20.38|20.96|20.61|20.67|20.38|20.96|20.38|20.96|20.61|20.67|28.74|16.88|2304|433031 61368|BBCA|BBCA|46641Q225|US46641Q2259|J.P. Morgan Exchange-Traded Fund Trust-J P Morgan Betabuilders Canada ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-6|TXN3-4|TXN6-4|TXN4-5|TXN4-1|103100000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||61.36|61.34|0.0|0.0|61.36|61.36|61.34|61.35|0.0|0.0|61.35|61.3|61.35|61.36|61.36|61.35|61.34|61.34|0.0|61.34|61.31|61.36|57.22|65.56|61.32|61.36|61.15|61.76|61.15|61.76|61.34|61.36|63.41|54.6|220177|52891978 62635|BBCB|BBCB|46641Q449|US46641Q4495|J.P. Morgan Exchange-Traded Fund Trust|JPMorgan BetaBuilders USD Investment Grade Corporate Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||J.P. 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These companies are in the business of designing drugs that save lives. Everything ranging from antivirals, antibiotics and cancer-fighting medicines to gene therapies, cell-based therapies and enzyme replacement therapies are developed in the biotech sector.The BioShares funds are designed to allow investors to select their desired exposure to two distinct stages of a public biotechnology company:- BBC invests in Clinical Trials stage biotechnology companies.- BBP invests in Products stage biotechnology companies.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|52.89|0.0|0.0|0.0|52.55|0.0|0.0|0.0|0.0|0.0|0.0|52.9198|0.0|52.9198|52.39|53.49|0.0|0.0|52.87|52.99|49.11|56.63|0.0|0.0|52.87|52.99|55.62|45.0|3006|440566 61134|BBRE|BBRE|46641Q738|US46641Q7381|JPMorgan BetaBuilders MSCI US REIT ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-6|TXN4-4|TXN3-7|TXN2-5|TXN1-1|9780000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||MEX||||||||||||N||N||||||N|0|Y||||||83.2|85.09|0.0|0.0|83.2|84.96|84.65|80.44|0.0|0.0|84.38|73.91|85.06|84.17|84.74|84.74|0.0|85.09|82.99521|85.09|85.05|85.25|84.92|85.24|85.05|85.1|84.92|85.25|84.92|85.24|85.05|85.12|93.49|72.24|13519|8990979 63205|BBSA|BBSA|46641Q258|US46641Q2580|JP Morgan Exchange-Traded Fund Trust - JPMorgan BetaBuilders 1-5 Year US Aggregate Bond ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-2|TXN2-2|TXN6-8|TXN1-8|TXN4-8|430000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|47.3152|0.0|0.0|47.28|0.0|47.2701|0.0|0.0|0.0|0.0|0.0|0.0|47.28|0.0|0.0|0.0|47.3152|47.28|47.3152|0.0|0.0|0.0|0.0|47.3|47.37|0.0|0.0|0.0|0.0|47.3|47.37|48.05|46.345|2253|1086202 75629|BBSB|BBSB|46654Q856|US46654Q8565|Betabuilders U S Treasury Bond 1-3 Year Etf|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-2|TXN2-1|TXN4-8|TXN1-7|TXN2-4|50000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|98.305|0.0|0.0|0.0|0.0|98.2794|0.0|0.0|0.0|0.0|0.0|0.0|97.11183|0.0|0.0|0.0|98.305|0.0|98.305|98.28|98.33|0.0|0.0|98.28|98.33|98.27|98.33|0.0|0.0|98.29|98.32|100.395|97.51|107|300458 68167|BBSC|BBSC|46641Q290|US46641Q2903|J.P. Morgan Exchange-Traded Fund Trust|JPMorgan BetaBuilders U.S. Small Cap Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||J.P. Morgan Investment Management|Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-3|TXN2-4|TXN6-5|TXN4-3|TXN2-4|12975000|||Quarterly|||||2020-11-17||BBSC.NV|BBSC.SO|BBSC.EU|BBSC.TC|BBSC.IV| | | | | | | | | |1x|The Fund seeks to track the investment results of the Morningstar U.S. Small Cap TME Extended Index (the Underlying Index). The Fund will invest at least 80% of its Assets in securities included in the Underlying Index. The Underlying Index consists of small cap U.S. Equities. The Underlying Index targets the bottom 95-99% of the stocks by market capitalization and primarily includes small capitalization companies, although mid capitalization companies may be included|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|1|||0.0|0.0|0.0|0.0|0.0|0.0|56.96|56.85|0.0|0.0|0.0|0.0|0.0|50.17|0.0|0.0|0.0|57.04|0.0|57.04|53.81|59.57|0.0|0.0|56.94|57.04|56.82|57.17|56.82|57.17|56.94|57.04|60.9545|48.5699|8023|10289697 444|BBSI|BBSI|068463108|US0684631080|Barrett Business Services Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN5-4|TXN11-7|TXN6-6|TXN5-2|6620000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502050|50205025|Industrials|Industrial Goods and Services|Industrial Support Services|Business Training and Employment Agencies|N||N||||||N|0|Y||||||111.3|110.75|0.0|112.42|0.0|111.03|112.8255|112.81|0.0|0.0|0.0|0.0|112.54|112.377|0.0|0.0|0.0|112.8255|0.0|112.54|110.32|114.54|85.48|138.02|110.85|114.23|111.86|113.28|112.5|113.41|112.5|112.84|112.8255|76.225|33941|9785303 53202|BBU|BBU|G16234109|BMG162341090|Brookfield Business Partners L.P.|Limited Partnership Units|Limited partnership|A|N|Y|N|Y|Y|Y|Y|Y|6|Q|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN1-1|TXN3-8|TXN2-5|TXN4-3|74600000|||Quarterly|||||2016-05-31||||||| | | | | | | | | |||N|0|N|N|104C|BMU|CA|||30|3020|302020|30202010|Financials|Financial Services |Investment Banking and Brokerage Services |Asset Managers and Custodians|N||N||||||N|0|Y||Y|2|||0.0|16.87|0.0|0.0|17.14|17.28|17.1|16.98|0.0|0.0|0.0|0.0|16.87|0.0|0.0|16.88|0.0|16.88|0.0|16.88|16.75|17.58|0.0|0.0|16.74|17.12|16.75|16.99|0.0|0.0|16.74|17.12|22.34|12.22|5309|2864909 73611|BBUC|BBUC|11259V106|CA11259V1067|Brookfield Business Corporation|Class A Exchangeable Subordinate Voting Shares of Brookfield Business Corporation|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|6|Q|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN3-1|TXN2-8|TXN3-6|TXN1-3|72960000|||Quarterly|||||2022-03-04||||||| | | | | | | | | |||N|0|N|Y|406A|USA|CA|||30|3020|302020|30202010|Financials|Financial Services |Investment Banking and Brokerage Services |Asset Managers and Custodians|N||N||||||Y|0|Y||Y|2|||19.39|19.44|0.0|0.0|19.37|19.41|19.43|19.41|0.0|0.0|19.44|17.8|19.46|19.42|0.0|19.45|19.36|19.42|19.47|19.45|19.42|19.45|14.96|24.05|19.3|19.66|14.96|24.05|19.32|19.58|19.42|19.45|23.65|14.0|36600|9750541 63206|BBUS|BBUS|46641Q399|US46641Q3992|JPMorgan BetaBuilders U.S. Equity ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-7|TXN2-3|TXN5-3|TXN2-4|TXN3-8|29600000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||82.47|82.51|0.0|0.0|82.54|82.53|82.505|82.38|0.0|0.0|82.53|82.45|82.53|82.54|82.42|82.38|82.41|82.51|82.5|82.51|82.35|82.7|77.1|87.59|82.5|82.53|77.1|87.59|80.88|84.22|82.5|82.53|83.02|67.2595|154924|26179586 4974|BBVA|BBVA|05946K101|US05946K1016|Banco Bilbao Vizcaya Argentaria, S.A.|American Depositary Shares (Each representing one share of Capital Stock)|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-3|TXN4-1|TXN1-8|TXN1-3|TXN3-1|5965470000|||BiAnnually|||||1988-12-14||||||| | | | | | | | | |||N|0|N|Y|402B|ESP|ES|||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||Y|2|||9.4|9.405|0.0|9.36|9.405|9.4|9.405|9.4|0.0|0.0|9.405|9.4|9.4|9.4|9.4|9.39|9.39|9.4|9.39|9.39|9.39|9.4|7.24|11.45|9.39|9.41|9.37|9.43|9.37|9.43|9.39|9.4|9.52|5.6041|1799861|322565532 4976|BBW|BBW|120076104|US1200761047|Build-A-Bear Workshop, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-7|TXN2-5|TXN9-7|TXN4-6|TXN3-2|14530000|||Quarterly|||||2004-10-28||||||| | | | | | | | | |||N|0|N|Y|146A|USA|US|||40|4040|404010|40401030|Consumer Discretionary|Retail |Retailers |Specialty Retailers |N||N||||||Y|0|Y||Y|2|||24.52|24.51|0.0|24.79|24.52|24.51|24.51|24.5|0.0|0.0|24.53|24.5|24.51|24.42|24.52|24.49|24.44|24.49|25.05|24.49|24.49|24.52|19.39|30.4|24.31|24.74|24.45|24.57|24.43|24.54|24.49|24.52|30.49|17.85|331372|62133872 7562|BBWI|BBWI|070830104|US0708301041|Bath & Body Works, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|A|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-6|TXN1-1|TXN5-8|TXN4-4|TXN2-3|227380000|||Quarterly|||||1982-06-10||||||| | | | | | | | | |||N|5|Y|Y|146F|USA|US|||40|4040|404010|40401030|Consumer Discretionary|Retail |Retailers |Specialty Retailers |N||N||||||Y|0|Y||Y|1|||36.91|36.92|0.0|36.75|36.92|36.92|36.91|36.865|0.0|0.0|36.92|36.87|36.91|36.92|36.87|36.9|36.84|36.92|36.91|36.9|36.91|36.92|34.21|39.14|36.89|37.0|36.86|36.97|36.85|36.98|36.91|36.92|49.55|27.3|7546497|809840982 4979|BBY|BBY|086516101|US0865161014|Best Buy Co., Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|B|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-1|TXN2-7|TXN9-6|TXN2-5|TXN3-5|217640000|||Quarterly|||||1987-07-20||||||| | | | | | | | | |||N|5|Y|Y|146G|USA|US|||40|4040|404010|40401030|Consumer Discretionary|Retail |Retailers |Specialty Retailers |N||N||||||Y|0|Y||Y|1|||74.7|74.7|0.0|74.71|74.7|74.7|74.71|74.69|0.0|74.78|74.7|74.69|74.68|74.69|74.7|74.69|74.66|74.68|74.7|74.69|74.68|74.69|74.62|74.76|74.66|74.73|74.63|74.75|74.62|74.77|74.68|74.69|93.3215|62.3001|2916355|552505880 4980|BC|BC|117043109|US1170431092|Brunswick Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|F|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-6|TXN1-2|TXN6-4|TXN4-7|TXN3-4|68810000|||Quarterly|||||1925-01-15||||||| | | | | | | | | |||N|0|Y|Y|144C|USA|US|||50|5020|502040|50204030|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Engines|N||N||||||Y|0|Y||Y|1|||83.34|83.345|0.0|83.23|83.31|83.32|83.38|83.38|0.0|0.0|83.37|83.34|83.37|83.38|83.03|83.36|84.09|83.38|83.17|83.36|83.32|83.35|78.17|88.47|82.86|83.84|83.28|83.43|83.27|83.43|83.32|83.35|93.15|66.47|566957|147400390 61917|BC PRA|BCpA|117043406|US1170434062|Brunswick Corporation|6.500% Notes due 2048|Operating company|G|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN2-5|TXN5-8|TXN2-5|TXN4-4|7400000|||Quarterly|||||2018-10-08|2048-10-15|||||| | | | | | | | | |||N|0|N|N|144C||US|||||||||||N||N||||||N|0|Y||Y|2|||24.17|23.88|0.0|0.0|23.82|24.7|24.3636|24.46|0.0|0.0|0.0|0.0|24.38|0.0|0.0|24.69|24.84|24.3636|0.0|24.69|24.33|24.74|24.39|24.74|23.9|25.23|0.0|0.0|0.0|0.0|24.33|24.74|26.77|22.09|5808|1824261 62585|BC PRB|BCpB|117043505||Brunswick Corporation|6.625% Notes due 2049|Operating company|G|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN2-4|TXN5-8|TXN4-2|TXN1-4|0|||Quarterly|||||2018-12-06|2049-01-15|||||| | | | | | | | | |||N|0|N|N|144C||US|||50|5020|502040|50204000|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Industrial|N||N||||||N|0|Y||Y|2|||0.0|25.31|0.0|0.0|0.0|0.0|25.2|25.13|0.0|0.0|0.0|0.0|25.19|0.0|0.0|25.03|0.0|25.2|0.0|25.03|25.03|25.5|0.0|0.0|24.53|26.01|0.0|0.0|0.0|0.0|25.03|25.5|26.91|22.5629|2116|1145381 63162|BC PRC|BCpC|117043604|US1170436042|Brunswick Corporation|6.375% Notes due 2049|Operating company|G|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN3-3|TXN2-8|TXN2-7|TXN1-8|9200000|||Quarterly|||||2019-03-08|2049-04-15|||||| | | | | | | | | |||N|0|N|N|144C||US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|24.3|0.0|0.0|0.0|24.5|24.425|24.475|0.0|0.0|24.51|0.0|24.35|0.0|0.0|24.35|22.54|24.35|0.0|24.35|24.35|24.5|24.36|24.58|23.86|25.09|0.0|0.0|0.0|0.0|24.35|24.5|26.11|21.76|8212|2760424 68510|BCAB|BCAB|09077B104|US09077B1044|Bioatla Inc|COM USD.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN6-5|TXN13-7|TXN5-6|TXN5-3|47800000|||NotApplicable|||||||||||| | 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Investments|N||N||||||N|0|Y||Y|2|||14.92|14.925|0.0|14.89|14.93|14.92|14.925|14.92|0.0|0.0|14.93|14.93|14.925|14.91|14.9|14.92|14.93|14.925|14.92|14.92|14.92|14.93|11.51|18.38|14.91|14.94|14.89|14.96|14.91|14.94|14.92|14.93|15.61|13.67|292911|64597963 10708|BCBP|BCBP|055298103|US0552981039|BCB Bancorp Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN6-4|TXN14-1|TXN5-6|TXN5-7|16850000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||||||11.85|11.89|0.0|0.0|11.88|11.89|11.84|11.865|0.0|0.0|11.89|11.89|11.87|0.0|0.0|0.0|0.0|11.84|0.0|11.87|11.68|12.06|9.03|14.7|11.7|12.02|9.03|14.7|0.0|0.0|11.87|11.9|19.0765|9.4|34175|14531613 41407|BCC|BCC|09739D100|US09739D1000|Boise 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LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-7|TXN4-3|TXN5-8|TXN4-8|TXN1-1|7600001|||Yearly|||||2017-03-31||BCD.NV|BCD.SO|BCD.EU|BCD.TC|BCD.IV| | | | | | | | | ||The Aberdeen Standard Bloomberg All Commodity Longer Dated Strategy K-1 Free ETF (the Fund) is an actively managed exchange traded fund that seeks to provide a total return designed to exceed the performance of the Bloomberg All Commodity Index 3 Month Forward which is calculated on an excess return basis.|N|0|N|N|416A|USA|US|COMMODITIES_AND_FUTURES|ACTIVE|||||||||N||N||||||Y|0|Y||Y|1|||32.38|32.95|0.0|32.93|32.38|32.39|32.36|32.31|0.0|0.0|0.0|0.0|32.33|32.34|0.0|32.34|0.0|32.31|32.38|32.31|30.06|34.75|32.26|32.37|32.31|32.36|32.25|32.38|32.26|32.38|32.31|32.38|36.82|30.88|37604|14425452 29586|BCDA|BCDA|09060U507|US09060U5074|BioCardia Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-8|TXN6-6|TXN10-2|TXN5-6|TXN5-8|21620000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y|C|||||0.631|0.631|0.0|0.0|0.645|0.631|0.6351|0.6351|0.0|0.0|0.6413|0.6457|0.631|0.621|0.0|0.6|0.621|0.631|0.621|0.631|0.608|0.6825|0.5009|0.7562|0.5882|0.681|0.6079|0.6577|0.6088|0.6612|0.6302|0.64|2.9199|0.36|282597|172840941 64228|BCDAW|BCDAW|09060U119|US09060U1198|BioCardia Inc|WT EXP 080624||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-7|TXN6-7|TXN13-4|TXN5-5|TXN5-7|21620000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.051|0.13|1.74|0.051|0|449655 74330|BCDF|BCDF|53656G209|US53656G2093|Listed Funds Trust|Horizon Kinetics Blockchain Development ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Horizon Kinetics|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-8|TXN2-7|TXN4-8|TXN4-3|TXN4-8|225000|||Yearly|||||2022-08-02||BCDF.NV|BCDF.SO|BCDF.EU|BCDF.TC| | | | | | | | | | ||The Fund is an actively managed exchange traded fund (ETF) that will invest primarily in equity securities of demoestic and foreign companies, which may include investments in American Depository Recepits (ADRs) and Global Depository Receipts (GDRs) to benefit either directly or indirectly, from the facilitation, custody, trading and administration of digital assets, including 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110128||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-7|TXN5-1|TXN13-2|TXN5-1|TXN5-4|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CYM||||||||||||N||N||||||N|0|Y||||||0.0|0.0251|0.0|0.0|0.0|0.025|0.0275|0.025|0.0|0.0|0.025|0.0251|0.022|0.0|0.0|0.0|0.0|0.025|0.0|0.025|0.0|0.0|0.0|0.0|0.0|0.09|0.0|0.0|0.0|0.0|0.022|0.0221|0.1266|0.01|24461|4096002 62317|BCSF|BCSF|05684B107|US05684B1070|Bain Capital Specialty Finance, Inc.|Common Stock|Business development company|A|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-5|TXN2-2|TXN5-5|TXN4-8|TXN3-5|64560000|||Quarterly|||||2018-11-15||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||15.22|15.225|0.0|15.21|15.22|15.225|15.22|15.225|0.0|0.0|15.23|15.22|15.225|15.25|15.23|15.22|15.25|15.22|15.28|15.22|15.22|15.23|11.7|18.7|15.12|15.35|15.19|15.26|15.19|15.26|15.22|15.23|16.8|11.06|160096|45505375 62505|BCTX|BCTX|107930109|CA1079301091|BriaCell Therapeutics Corp|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN5-1|TXN13-1|TXN5-5|TXN6-2|15980000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CAN||||30|3020|302020|30202000|Financials|Financial Services |Investment Banking and Brokerage Services |Diversified Financial Services |N||N||||||Y|0|Y||||||5.42|5.42|0.0|0.0|5.35|5.35|5.41|5.42|0.0|0.0|5.4|5.4|5.41|5.33|0.0|0.0|0.0|5.35|5.33|5.35|4.11|6.56|4.11|6.56|5.26|5.5|4.11|6.56|5.27|5.49|5.34|5.42|8.1|3.67|57017|30352211 69308|BCTXW|BCTXW|10778Y112|CA10778Y1126|BriaCell Therapeutics Corp|WT EX||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN5-3|TXN10-2|TXN5-2|TXN5-7|15980000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CAN||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|2.35|0.0|0.0|0.0|0.0|0.0|0.0|2.39|0.0|0.0|0.0|0.0|2.4|0.0|2.4|0.0|0.0|0.0|0.0|2.06|2.54|0.0|0.0|0.0|0.0|2.2|2.39|3.49|0.7101|6115|3573528 4995|BCV|BCV|059695106|US0596951063|Bancroft Fund Ltd|Common Stock|Closed end fund|P|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-3|TXN3-1|TXN4-8|TXN3-2|TXN3-6|5880000|||Quarterly|||||1982-11-30||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||0.0|14.91|0.0|0.0|0.0|15.17|15.187|14.97|0.0|0.0|15.17|0.0|15.17|15.15|0.0|14.88|15.23|15.23|0.0|15.23|0.0|0.0|15.22|15.25|15.21|16.23|0.0|0.0|0.0|0.0|15.22|15.25|19.22|14.09|17780|3655668 53657|BCV PRA|BCVpA|059702209|US0597022096|Bancroft Fund Ltd|5.375% Series A Cumulative Preferred Shares (Liquidation Preference $25.00 per share)|Closed end fund|B|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN2-5|TXN4-8|TXN4-5|TXN3-3|1200000|||Quarterly|||||2016-08-11||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|22.3|22.3237|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|22.3|22.3|0.0|22.3|0.0|0.0|22.25|22.43|22.25|22.85|0.0|0.0|0.0|0.0|21.98|22.85|24.47|21.65|2960|721581 37627|BCX|BCX|09257A108|US09257A1088|BlackRock Resources & Commodities Strategy Trust|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN4-5|TXN8-8|TXN1-2|TXN2-8|88320000|||Monthly|||||2011-03-29||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||8.85|8.84|0.0|8.87|8.84|8.845|8.84|8.85|0.0|0.0|8.84|8.85|8.845|8.85|8.85|8.83|8.87|8.84|8.85|8.83|8.84|8.85|6.94|11.03|8.84|8.86|8.82|8.87|8.83|8.86|8.84|8.85|10.59|8.425|406178|63752814 63692|BCYC|BCYC|088786108|US0887861088|Bicycle Therapeutics plc|ADS||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN5-3|TXN14-4|TXN6-2|TXN5-7|37720000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||GBR||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||14.93|14.91|0.0|15.01|14.99|14.955|14.98|14.96|0.0|0.0|14.96|0.0|14.95|15.04|15.1|14.93|15.1|14.98|15.03|14.95|14.77|15.13|11.65|18.25|14.76|15.11|14.87|15.04|14.93|15.02|14.95|14.99|33.49|12.54|681537|75906552 4996|BDC|BDC|077454106|US0774541066|Belden Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN2-8|TXN3-8|TXN3-3|TXN3-8|41680000|||Quarterly|||||2004-07-16||||||| | | | | | | | | |||N|0|N|Y|114D|USA|US|||50|5020|502020|50202010|Industrials|Industrial Goods and Services|Electronic and Electrical Equipment|Electrical Components |N||N||||||Y|0|Y||Y|2|||68.44|69.47|0.0|68.48|69.55|69.365|69.48|69.56|0.0|0.0|69.55|69.12|69.52|68.98|69.21|69.51|68.7|69.48|69.37|69.51|69.45|69.52|52.7|84.04|69.31|70.04|69.36|69.62|69.45|69.67|69.45|69.52|99.13|60.545|285847|67265604 66602|BDCX|BDCX|90269A260|US90269A2603|UBS AG|ETRACS Quarterly Pay 1.5x Leveraged MarketVector BDC Liquid Index ETN due June 10, 2050|Operating company|ETN|N|N|P|Y|Y|Y|Y|Y||||||||UBS|IMC Chicago, LLC, DBA IMC Financial Markets|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-5|TXN2-4|TXN9-8|TXN2-8|TXN1-2|1000000|||Quarterly|||||2020-06-03|2050-06-10|BDCX.NV|BDCX.SO|BDCX.EU|BDCX.TC|BDCX.IV| | | | | | | | | |1.5x|ETRACS Quarterly Pay 1.5X Leveraged Wells Fargo BDC Index ETN is an exchange-traded note issued in the USA. It provide 1.5 times leveraged long exposure to the compounded quarterly performance of the price return version of the Wells Fargo Business Development Company Index PR. The underlying index is designed to track the overall performance of all business development companies listed on the New York Stock Exchange (NYSE), NYSE AMEX or the NASDAQ Stock Market, Inc. that satisfy specified market capitalization and other eligibility requirements.The Securities are senior unsecured debt securites. |N|0|N|N|416A||CH|EQUITY|LEVERAGED|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|31.25|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|31.1998|0.0|31.1998|0.0|0.0|31.19|31.29|31.1|31.26|29.95|46.78|0.0|0.0|31.1|31.26|33.3|25.3299|5163|926744 51641|BDCZ|BDCZ|90274D416|US90274D4161|UBS AG|ETRACS MarketVector Business Development Companies Liquid Index ETN due April 26, 2041|Operating company|ETN|N|N|P|Y|Y|Y|Y|Y||||||||UBS|IMC Chicago, LLC, DBA IMC Financial Markets|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-6|TXN4-5|TXN6-8|TXN1-2|TXN2-8|1370000|||Quarterly|||||2015-10-09|2041-04-26| |BDCZ.SO| | |BDCZ.IV| | | | | | | | | |1x|The ETRACS Wells Fargo Business Development Company Index ETN Series B due April 26, 2041 (the Securities) are senior unsecured debt securities issued by UBS AG (UBS) that provide exposure to the performance of the Wells Fargo Business Development Company Index (the Index), reduced by an Accrued Tracking Fee (as described below) based on an Annual Tracking Fee of 0.85% per annum. Investing in the Securities involves significant risks. The Securities do not guarantee any return of your initial investment. You may lose some or all of your principal at maturity, early redemption or upon exercise by UBS of its call right if the level of the Index declines or does not increase by an amount sufficient to offset the negative effect of the Accrued Tracking Fee and the Redemption Fee Amount, if applicable. The Securities may pay a quarterly coupon during their term. You will receive a cash payment at maturity or upon exercise by UBS of its call right, based on the performance of the Index less the Accrued Tracking Fee, as described herein. You will receive a cash payment upon early redemption based on the performance of the Index less the Accrued Tracking Fee and the Redemption Fee Amount, as described herein. Payment at maturity, upon call or upon early redemption is subject to the creditworthiness of UBS. In addition, the actual and perceived creditworthiness of UBS will affect the market value, if any, of the Securities prior to maturity, call or early redemption. |N|0|N|N|416A||CH|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|18.3399|18.21|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|18.3268|0.0|18.3268|0.0|0.0|18.3|18.37|18.26|18.39|17.88|19.93|0.0|0.0|18.26|18.39|20.0|14.6|157|854448 65150|BDEC|BDEC|45782C557|US45782C5572|Innovator U.S. Equity Buffer ETF - December|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN3-3|TXN8-8|TXN3-2|TXN4-2|2750000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||37.01|37.14|0.0|0.0|37.1|37.08|37.14|37.14|0.0|0.0|37.14|37.14|37.08|37.11|37.14|37.09|0.0|37.14|37.1|37.14|28.64|45.5|28.64|45.5|37.09|37.13|37.02|37.2|37.04|37.2|37.09|37.13|37.36|31.42|86077|3105429 75688|BDGS|BDGS|02072L474|US02072L4749|Bridges Capital Tactical ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN5-1|TXN11-2|TXN5-5|TXN5-1|730000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|26.9399|0.0|0.0|0.0|26.88|0.0|26.9|0.0|0.0|0.0|26.96|26.9399|0.0|26.9|0.0|0.0|0.0|0.0|26.76|27.06|0.0|0.0|0.0|0.0|26.9|26.94|27.03|24.5449|31606|1295271 5002|BDJ|BDJ|09251A104|US09251A1043|BlackRock Enhanced Equity Dividend Trust|Common shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN3-1|TXN6-7|TXN4-6|TXN4-1|186000000|||Monthly|||||2005-08-26||||||| | | | | | | | | |||N|0|N|N|406B|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||7.75|7.75|0.0|0.0|7.76|7.755|7.755|7.755|0.0|0.0|7.755|7.76|7.755|7.76|7.75|7.75|7.755|7.75|0.0|7.75|7.75|7.76|6.02|9.61|7.75|7.76|7.73|7.78|7.74|7.77|7.75|7.76|9.45|6.905|889375|109760016 5005|BDL|BDL|338517105|US3385171059|Flanigan's Enterprises Inc|Common Stock|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN1-5|TXN8-8|TXN2-2|TXN1-6|1860000|||Yearly|||||1986-07-29||||||| | | | | | | | | |||N|0|N|N|146G|USA|US|||40|4050|405010|40501040|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Restaurants and Bars|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|26.78|25.6102|0.0|0.0|0.0|0.0|0.0|25.2|26.22|0.0|0.0|25.6102|0.0|0.0|25.6102|0.0|0.0|25.02|27.69|24.3|28.92|0.0|0.0|0.0|0.0|25.02|27.69|34.59|24.99|194|696835 5007|BDN|BDN|105368203|US1053682035|Brandywine Realty Trust|Common Shares of Beneficial Interest|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|6|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-7|TXN1-8|TXN8-2|TXN1-2|TXN3-4|172100000|||Quarterly|||||1997-10-21||||||| | | | | | | | | |||N|0|N|Y|412A|USA|US|||35|3510|351020|35102030|Real Estate|Real Estate |Real Estate Investment Trusts|Office REITs|N||N||||||N|0|Y||Y|2|||4.82|4.82|0.0|0.0|4.82|4.825|4.83|4.83|0.0|0.0|4.83|4.82|4.825|4.82|4.79|4.83|4.815|4.83|4.83|4.83|4.82|4.83|3.67|5.94|4.82|4.86|4.79|4.85|4.82|4.85|4.82|4.83|7.25|3.42|2263250|563017360 52114|BDRX|BDRX|59564R708|US59564R7089|Biodexa Pharmaceuticals Plc|ADR||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN6-8|TXN11-2|TXN5-5|TXN5-5|96680000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||GBR||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||3.72|3.81|0.0|0.0|3.86|3.87|3.76|3.72|0.0|0.0|3.83|4.04|3.87|3.73|0.0|3.87|0.0|3.82|3.72|3.87|3.59|3.88|2.87|4.76|3.56|3.88|3.08|4.44|0.0|0.0|3.78|3.88|9.74|0.06|214571|473371752 60800|BDRY|BDRY|26923H200|US26923H2004|ETF Managers Group Commodity Trust I|Breakwave Dry Bulk Shipping ETF|Trust|ETV|N|N|P|Y|Y|Y|Y|Y||||||||ETF Managers Group|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-3|TXN4-3|TXN3-8|TXN1-8|TXN2-2|7800040|||NotApplicable|||||2018-03-22||BDRY.NV|BDRY.SO|BDRY.EC|BDRY.TC|BDRY.IV| | | | | | | | | |1x|The Funds Investment Objective and StrategyThe Funds investment objective is to provide investors with exposure to the daily change in the price of dry bulk freight futures, before expenses and liabilities of the Fund, by tracking the performance of a portfolio (the Benchmark Portfolio) consisting of a three-month strip of the nearest calendar quarter of futures contracts on specified indexes (each a Reference Index) that measure rates for shipping dry bulk freight (Freight Futures). Each Reference Index is published each United Kingdom business day by the London-based Baltic Exchange Ltd. (the Baltic Exchange) and measures the charter rate for shipping dry bulk freight in a specific size category of cargo ship Capesize, Panamax or Supramax. The three Reference Indexes are as follows:Capesize: the Capesize 5TC Index;Panamax: the Panamax 4TC Index; and Supramax: the Supramax 6TC Index.The value of the Capesize 5TC Index is disseminated at 11:00 a.m., London Time and the value of the Panamax 4TC Index and the Supramax 6TC Index each is disseminated at 1:00 p.m., London Time. The Reference Index information disseminated by the Baltic Exchange also includes the components and value of each component in each Reference Index. Such Reference Index information also is widely disseminated by Reuters and/or other major market data vendors.The Fund seeks to achieve its investment objective by investing substantially all of its assets in the Freight Futures currently constituting the Benchmark Portfolio. The Benchmark Portfolio will hold all existing positions to maturity and settle them in cash. During any given calendar quarter, the Benchmark Portfolio will progressively increase its position to the next calendar quarter three-month strip, thus maintaining constant exposure to the Freight Futures market as positions mature.The Benchmark Portfolio will maintain long-only positions in Freight Futures. The Benchmark Portfolio will include a combination of Capesize, Panamax and Supramax Freight Futures. More specifically, the Benchmark Portfolio will include 50% exposure in Capesize Freight Futures contracts, 40% exposure in Panamax Freight Futures contracts and 10% exposure in Supramax Freight Futures contracts. The Benchmark Portfolio will not include and the Fund will not invest in swaps, non-cleared dry bulk freight forwards or other over-the-counter derivative instruments that are not cleared through exchanges or clearing houses. The Fund may hold exchange-traded options on Freight Futures. The Benchmark Portfolio is maintained by Breakwave and will be rebalanced annually. The Freight Futures currently constituting the Benchmark Portfolio, as well as the daily holdings of the Fund will be available on the Funds website at www.drybulketf.com.When establishing positions in Freight Futures, the Fund will be required to deposit initial margin with a value of approximately 10% to 40% of the notional value of each Freight Futures position at the time it is established. These margin requirements are established and subject to change from time to time by the relevant exchanges, clearing houses or the Funds futures commission merchant (FCM). On a daily basis, the Fund will be obligated to pay, or entitled to receive, variation margin in an amount equal to the change in the daily settlement level of its Freight Futures positions. Any assets not required to be posted as margin with the FCM will be held at the Funds custodian in cash or cash equivalents, as discussed below.The Fund will hold cash or cash equivalents such as U.S. Treasuries or other high credit quality, short-term fixed-income or similar securities for direct investment or as collateral for the U.S. Treasuries and for other liquidity purposes and to meet redemptions that may be necessary on an ongoing basis. The Fund may also realize interest income from its holdings in U.S. Treasuries or other market rate instruments.The Fund was created to provide investors with a cost-effective and convenient way to gain exposure to daily changes in the price of Freight Futures. The Fund is intended to be used as a diversification opportunity as part of a complete portfolio, not a complete investment program.|N|0|N|N|416A|USA|US|COMMODITIES_AND_FUTURES|INDEX|||||||||N||N||||||Y|0|Y|C|Y|1|||9.265|9.41|0.0|9.44|9.3|9.45|9.3381|9.15|0.0|0.0|9.34|9.34|9.44|9.44|9.44|9.44|9.44|9.34|9.44|9.34|8.85|10.01|8.85|9.45|9.38|9.45|8.85|9.45|8.98|9.45|9.36|9.45|10.72|4.48|1482445|81021137 67998|BDSX|BDSX|09075X108|US09075X1081|Biodesix Inc|COM USD0.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN5-8|TXN14-2|TXN5-2|TXN5-7|90480000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201020|20102020|Health Care |Health Care |Medical Equipment and Services|Medical Services|N||N||||||Y|0|Y||||||1.48|1.5|0.0|0.0|1.5|1.47|1.48|1.5|0.0|0.0|1.49|1.49|1.5|1.5|0.0|1.495|0.0|1.48|0.0|1.5|0.0|0.0|0.0|0.0|1.4|1.53|0.0|0.0|0.0|0.0|1.46|1.5|2.53|1.03|76502|18417231 65484|BDTX|BDTX|09203E105|US09203E1055|Black Diamond Therapeutics Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN5-3|TXN11-3|TXN5-1|TXN6-4|51640000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||2.35|2.355|0.0|0.0|2.35|2.355|2.35|2.35|0.0|0.0|2.36|2.35|2.36|2.39|2.39|2.35|2.39|2.35|2.39|2.36|2.34|2.38|1.84|2.87|2.35|2.38|2.32|2.38|2.34|2.37|2.35|2.36|6.85|1.22|317630|316394262 75965|BDVG|BDVG|53700T751|US53700T7515|Litman Gregory Funds Trust|IMGP Berkshire Dividend Growth ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Litman Gregory|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-5|TXN2-7|TXN1-5|TXN2-3|TXN3-2|100000|||Quarterly|||||2023-06-30||BDVG.NV|BDVG.SO|BDVG.EU|BDVG.TC| | | | | | | | | | ||Dividend Growth and Capital Appreciation Strategy. S&P 500 is the primary benchmark|N|0|N|N|406C|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|10.305|10.07|9.88|0.0|0.0|0.0|0.0|9.9|0.0|0.0|0.0|0.0|10.1043|0.0|10.1043|10.0|10.2|10.07|10.11|10.08|10.12|10.07|10.14|0.0|0.0|10.08|10.12|11.11|9.2703|418|196791 5014|BDX|BDX|075887109|US0758871091|Becton, Dickinson and Company|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|J|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-6|TXN3-2|TXN6-8|TXN1-2|TXN1-6|290410000|||Quarterly|||||1963-09-25||||||| | | | | | | | | |||N|5|Y|Y|122A|USA|US|||20|2010|201020|20102015|Health Care |Health Care |Medical Equipment and Services|Medical Supplies|N||N||||||Y|0|Y||Y|1|||237.51|237.55|0.0|237.47|237.5|237.58|237.54|237.525|0.0|0.0|237.6|237.52|237.49|237.51|237.51|237.57|238.07|237.57|237.6|237.57|237.51|237.57|222.01|253.35|237.38|237.67|237.32|237.8|237.32|237.82|237.51|237.57|287.32|228.615|1574436|281528577 61294|BE|BE|093712107|US0937121079|Bloom Energy Corporation|Class A common stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|T|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-5|TXN3-6|TXN1-4|TXN1-6|TXN2-2|224050000|||NotApplicable|||||2018-07-25||||||| | | | | | | | | |||N|0|N|Y|180B|USA|US|||50|5020|502040|50204050|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Specialty|N||N||||||Y|0|Y||Y|2|||15.53|15.52|0.0|15.58|15.52|15.52|15.515|15.525|0.0|0.0|15.525|15.5|15.515|15.525|15.5|15.52|15.51|15.515|15.5|15.52|15.51|15.52|11.86|19.19|15.51|15.53|15.49|15.55|15.49|15.54|15.51|15.52|26.548|9.51|4150659|915276725 65540|BEAM|BEAM|07373V105|US07373V1052|Beam Therapeutics Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN5-6|TXN13-3|TXN6-5|TXN5-2|81500000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||29.54|29.55|0.0|29.55|29.54|29.52|29.56|29.56|0.0|0.0|29.57|29.58|29.56|29.56|29.59|29.56|29.16|29.56|29.49|29.56|29.49|29.61|22.6|35.99|29.47|29.63|29.46|29.63|29.52|29.63|29.55|29.57|51.6|16.95|947108|229813010 72345|BEAT|BEAT|42238H108|US42238H1086|HeartBeam Inc|COM USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN6-4|TXN12-2|TXN5-7|TXN6-7|26330000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|1.5|1.5|1.47|0.0|0.0|0.0|0.0|1.5|1.5|0.0|0.0|0.0|1.48|1.47|0.0|1.47|1.44|1.53|1.16|1.77|1.44|1.53|1.16|1.77|0.0|0.0|1.47|1.5|6.0|1.11|26452|41858310 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LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-3|TXN1-3|TXN8-8|TXN3-3|TXN3-2|200000|||BiAnnually|||||2021-08-05||BECO.NV|BECO.SO|BECO.EU|BECO.TC|BECO.IV| | | | | | | | | |1x|The BlackRock Future Climate and Sustainable Economy ETF (the Fund) seeks to maximize total return by investing in companies that BlackRock Fund Advisors (BFA) believes are furthering the transition to a lower carbon economy.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|19.8396|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|20.0688|0.0|20.0688|0.0|0.0|0.0|0.0|20.04|20.1|0.0|0.0|0.0|0.0|20.04|20.1|22.3|18.0139|267|173632 57519|BEDU|BEDU|109199208|US1091992081|Bright Scholar Education Holdings Limited|American Depositary Shares, each representing four (4) Class A Ordinary Shares|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN3-3|TXN7-8|TXN1-4|TXN2-8|31320000|||Adhoc|||||2022-08-19||||||| | | | | | | | | |||N|0|N|Y|180B|CHN|KY|||40|4020|402010|40201010|Consumer Discretionary|Consumer Products and Services|Consumer Services |Education Services|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|1.14|1.2099|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|1.14|0.0|1.14|0.0|1.14|1.14|1.2|0.0|0.0|1.06|1.27|0.0|0.0|0.0|0.0|1.14|1.2|3.4379|0.8121|151|1246972 70305|BEDZ|BEDZ|00768Y396|US00768Y3962|AdvisorShares Trust|AdvisorShares Hotel ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||AdvisorShares|Virtu Americas 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LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN2-2|TXN7-8|TXN2-5|TXN3-8|15000000|||NotApplicable|||||2023-08-28||||||| | | | | | | | | |||N|0|N|N|414A|USA|US|||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y|C|Y|2|||4.36|4.27|0.0|0.0|4.22|4.3|4.315|4.38|0.0|0.0|4.25|4.95|4.17|5.06|0.0|4.27|4.15|4.15|4.7|4.15|3.28|5.23|4.15|4.28|3.88|4.41|3.28|5.23|0.0|0.0|4.15|4.28|13.99|3.1|78354|3772315 76578|BEEZ|BEEZ|02072L326|US02072L3261|Honeytree U.S. Equity 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LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN1-4|TXN5-5|TXN3-5|TXN2-8|3571960000|||Adhoc|||||2020-08-13||||||| | | | | | | | | |||N|0|N|Y|414A|CHN|KY|||35|3510|351010|35101015|Real Estate|Real Estate |Real Estate Investment and Services Development|Real Estate Services|N||N||||||Y|0|Y||Y|2|||15.64|15.64|0.0|15.41|15.64|15.625|15.64|15.625|0.0|0.0|15.63|15.63|15.64|15.64|15.63|15.64|15.625|15.65|15.625|15.64|15.63|15.65|11.92|18.86|15.63|15.65|15.61|15.72|15.63|15.72|15.63|15.65|21.08|13.49|5484994|1891528776 469|BELFA|BELFA|077347201|US0773472016|Bel Fuse Inc.|CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN5-6|TXN10-8|TXN5-8|TXN5-1|2140000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||15|1510|151010|15101010|Telecommunications|Telecommunications|Telecommunications Equipment|Telecommunications Equipment|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|54.9201|0.0|0.0|0.0|0.0|0.0|54.92|0.0|0.0|0.0|0.0|54.9201|0.0|54.9201|53.26|56.93|0.0|0.0|53.48|56.92|0.0|0.0|0.0|0.0|54.92|55.73|69.21|29.82|3369|1325853 470|BELFB|BELFB|077347300|US0773473006|Bel Fuse Inc.|CL B||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN5-6|TXN12-2|TXN5-2|TXN5-8|10630000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||15|1510|151010|15101010|Telecommunications|Telecommunications|Telecommunications Equipment|Telecommunications Equipment|N||N||||||Y|0|Y||||||56.03|56.06|0.0|55.95|0.0|56.18|56.18|56.05|0.0|0.0|56.0|55.66|56.06|0.0|0.0|55.22|0.0|56.06|0.0|56.06|55.44|56.74|42.87|69.21|55.54|56.62|55.9|56.36|56.06|56.36|56.06|56.18|63.18|30.11|67401|31258023 75319|BEMB|BEMB|46436E262|US46436E2625|iShares J.P. Morgan Broad USD Emerging Markets Bond ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-4|TXN1-8|TXN2-8|TXN3-7|TXN3-2|800000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|50.5107|0.0|0.0|0.0|0.0|50.4344|49.57447|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|50.5107|50.45|50.5107|0.0|0.0|0.0|0.0|50.47|50.55|0.0|0.0|0.0|0.0|50.47|50.55|51.4708|47.5299|1327|43918 5023|BEN|BEN|354613101|US3546131018|Franklin Resources, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-3|TXN1-6|TXN2-2|TXN2-4|TXN3-3|494580000|||Quarterly|||||1986-12-05||||||| | | | | | | | | |||N|5|Y|Y|416A|USA|US|||30|3020|302020|30202010|Financials|Financial Services |Investment Banking and Brokerage Services |Asset Managers and Custodians|N||N||||||Y|0|Y||Y|1|||25.65|25.65|0.0|25.54|25.65|25.66|25.66|25.655|0.0|0.0|25.66|25.655|25.655|25.66|25.66|25.67|25.655|25.66|25.655|25.67|25.66|25.67|24.08|27.13|25.66|25.68|25.64|25.69|25.63|25.69|25.66|25.67|34.365|21.88|2415103|769242503 72762|BENF|BENF|08178Q101|US08178Q1013|Beneficient|CL A COM USD0.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-5|TXN5-6|TXN14-6|TXN6-8|TXN6-5|257210000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y|C|||||0.5|0.494|0.0|0.5|0.5|0.494|0.496901|0.5|0.0|0.0|0.494|0.5|0.4939|0.5|0.0|0.494|0.5|0.496901|0.5|0.4939|0.4845|0.5139|0.416|0.5911|0.4902|0.5|0.4722|0.525|0.4731|0.5363|0.4939|0.5|16.5|0.472|3241669|33832074 72763|BENFW|BENFW|08178Q119|US08178Q1195|Beneficient|WT EXP 6/7/2028||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-8|TXN5-7|TXN12-4|TXN5-3|TXN5-2|261480000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y|C|||||0.0|0.0101|0.0|0.0|0.0|0.0149|0.015|0.0|0.0|0.0|0.0|0.0|0.015|0.0|0.0|0.0|0.0|0.015|0.0|0.015|0.0|0.0|0.0|0.0|0.0084|0.0195|0.0|0.0|0.0|0.0|0.0088|0.01|0.138|0.007|33250|7893638 42192|BEP|BEP|G16258108|BMG162581083|Brookfield Renewable Partners L.P.|Limited Partnership Units|Limited partnership|A|N|Y|N|Y|Y|Y|Y|Y|5|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-3|TXN1-8|TXN6-3|TXN3-8|TXN2-5|288480000|||Quarterly|||||2013-06-11||||||| | | | | | | | | |||N|0|N|N|126E|BMU|CA|||65|6510|651010|65101010|Utilities|Utilities|Electricity|Alternative Electricity|N||N||||||Y|0|Y||Y|2|||25.47|25.47|0.0|25.47|25.47|25.47|25.46|25.47|0.0|0.0|25.47|25.55|25.46|25.46|25.48|25.48|25.46|25.48|25.465|25.48|25.48|25.49|19.78|31.73|25.4|25.59|25.42|25.54|25.48|25.55|25.48|25.52|32.76|19.97|359157|85322466 65690|BEP PRA|BEPpA|G16258231|BMG162582313|Brookfield Renewable Partners L.P.|5.25% Class A Preferred Limited Partnership Units, Series 17|Limited partnership|B|N|Y|N|Y|Y|Y|Y|Y|6|H|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN2-3|TXN4-8|TXN2-5|TXN3-4|8000000|||Quarterly|||||2020-02-27||||||| | | | | | | | | |||N|0|N|N|126E|BMU|CA|||||||||||N||N||||||N|0|Y||Y|2|||16.85|16.945|0.0|0.0|0.0|16.98|16.96|16.98|0.0|0.0|16.98|16.98|16.98|0.0|0.0|16.96|18.951875|16.96|0.0|16.96|16.9|16.96|0.0|0.0|16.62|17.3|0.0|0.0|0.0|0.0|16.9|16.96|21.72|15.4|15244|1667499 67045|BEPC|BEPC|11284V105|CA11284V1058|Brookfield Renewable Corporation|Class A Subordinate Voting Shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|5|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-3|TXN2-6|TXN9-2|TXN2-6|TXN3-8|179650000|||Quarterly|||||2020-07-24||||||| | | | | | | | | |||N|0|Y|Y|134F|USA|CA|||65|6510|651010|65101010|Utilities|Utilities|Electricity|Alternative Electricity|N||N||||||Y|0|Y||Y|1|||27.43|27.41|0.0|27.44|27.41|27.41|27.42|27.415|0.0|0.0|27.41|27.41|27.42|27.415|27.41|27.43|27.41|27.43|27.41|27.43|27.42|27.43|25.61|29.16|27.41|27.45|27.37|27.46|27.36|27.47|27.42|27.43|36.16|21.77|1180235|166310832 70241|BEPH|BEPH|11259P109|US11259P1093|Brookfield Renewable Partners L.P.|4.625% Perpetual Subordinated Notes|Limited partnership|G|N|Y|N|Y|Y|Y|Y|Y|6|H|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN3-7|TXN1-5|TXN3-5|TXN1-6|14000000|||Quarterly|||||2021-04-16|2099-01-01|||||| | | | | | | | | |||N|0|N|N|126E|CAN|CA|||65|6510|651010|65101010|Utilities|Utilities|Electricity|Alternative Electricity|N||N||||||N|0|Y||Y|2|||14.97|15.17|0.0|0.0|14.8|14.92|14.89|14.97|0.0|0.0|15.19|14.84|14.98|15.0|0.0|15.0|0.0|14.89|0.0|15.0|14.87|15.06|0.0|0.0|14.62|15.41|0.0|0.0|0.0|0.0|14.87|15.06|18.41|13.13|23888|5301199 72894|BEPI|BEPI|11259P208||Brookfield Renewable Partners L.P.|4.875% Perpetual Subordinated Notes|Limited partnership|G|N|Y|N|Y|Y|Y|Y|Y|6|H|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN3-8|TXN7-8|TXN4-5|TXN3-5|0|||Quarterly|||||2021-12-14|2999-01-01|||||| | | | | | | | | |||N|0|N|N|126E||CA|||50|5020|502040|50204000|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Industrial|N||N||||||N|0|Y||Y|2|||15.56|15.255|0.0|0.0|0.0|15.4|15.59|15.44|0.0|0.0|15.5|0.0|15.57|0.0|0.0|15.59|15.45|15.59|0.0|15.59|15.56|15.59|15.49|15.59|15.25|15.9|0.0|0.0|0.0|0.0|15.56|15.59|19.08|13.8587|21225|4503728 40807|BERY|BERY|08579W103|US08579W1036|Berry Global Group, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-4|TXN4-8|TXN1-8|TXN1-7|TXN3-1|115500000|||Quarterly|||||2012-10-04||||||| | | | | | | | | |||N|0|Y|Y|180A|USA|US|||50|5020|502030|50203030|Industrials|Industrial Goods and Services|General Industrials|Containers and Packaging|N||N||||||Y|0|Y||Y|1|||66.37|66.38|0.0|66.35|66.38|66.28|66.37|66.38|0.0|0.0|66.39|66.35|66.39|66.31|66.17|66.39|66.1|66.39|66.15|66.39|66.38|66.39|62.2|70.38|66.24|66.53|66.32|66.45|66.38|66.46|66.38|66.39|68.01|53.831|803490|229350401 71457|BERZ|BERZ|063679591|US0636795918|Bank of Montreal|MicroSectors FANG & Innovation -3x Inverse Leveraged ETN|Operating company|ETN|N|N|P|Y|Y|Y|Y|Y||||||||Bank of Montreal|IMC Chicago, LLC, DBA IMC Financial Markets|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-3|TXN4-4|TXN7-8|TXN4-4|TXN1-3|2500000|||NotApplicable|||||2021-08-18|2041-06-28|BERZ.NV|BERZ.SO| | |BERZ.IV| | | | | | | | | |1x|The Solactive FANG Innovation Index (SOLFANGT) includes 15 highly liquid stocks focused on building tomorrows technology today. These large, tech-enabled companies are all listed and domiciled in the U.S. The Index is comprised of eight core-components: Apple (AAPL), Amazon (AMZN), Facebook (FB), Alphabet (GOOGL), Microsoft (MSFT), Netflix (NFLX), NVIDIA (NVDA), Tesla (TSLA) and the seven top traded names across select technology related FactSet Industry classifications. The Indexs underlying composition is equally weighted across all stocks.|N|0|N|N|416A||CA|EQUITY|INVERSE|||||||||N||N||||||N|0|Y||Y|2|||5.13|5.11|0.0|5.04|5.1|5.115|5.115|5.115|0.0|0.0|5.11|5.13|5.115|5.169|5.13|5.23|5.18|5.13|5.22|5.13|5.11|5.16|4.03|6.27|5.11|5.13|5.09|6.27|5.11|5.14|5.11|5.13|40.64|4.6026|704532|95565096 59590|BEST|BEST|08653C601|US08653C6012|BEST Inc.|American Depositary Shares, each representing twenty (20) Class A Ordinary Shares|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|8|A|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN4-4|TXN7-8|TXN3-1|TXN1-4|252010000|||Adhoc|||||2023-04-04||||||| | | | | | | | | |||N|0|N|Y|180B|CHN|KY|||50|5020|502060|50206040|Industrials|Industrial Goods and Services|Industrial Transportation|Delivery Services|N||N||||||Y|2|Y||Y|2|||0.0|2.51|0.0|0.0|2.51|2.52|2.5285|2.51|0.0|0.0|2.47|0.0|2.52|2.51|0.0|2.47|0.0|2.47|2.51|2.47|2.47|2.52|0.0|0.0|2.46|2.56|2.34|2.63|0.0|0.0|2.47|2.52|3.22|0.522|45431|17686249 76414|BETE|BETE|74349Y407|US74349Y4070|ProShares Trust|ProShares Bitcoin & Ether Equal Weight Strategy ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ProShares Advisors |Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-4|TXN4-7|TXN9-7|TXN4-5|TXN2-3|30000|||Monthly|||||2023-10-02||BETE.NV|BETE.SO|BETE.EU|BETE.TC|BETE.IV| | | | | | | | | ||ProShares Bitcoin & Ether Equal Weight Strategy ETF (BETE) seeks to provide capital appreciation primarily through managed exposure to an equal weight position in bitcoin and ether futures contracts. The Fund does not invest directly in bitcoin or ether.|N|0|N|N|416A|USA|US|COMMODITIES_AND_FUTURES|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||51.14238|0.0|0.0|0.0|0.0|0.0|56.5235|0.0|0.0|0.0|0.0|46.692646|0.0|0.0|0.0|0.0|0.0|56.5089|0.0|56.5089|0.0|0.0|0.0|0.0|56.45|56.56|0.0|0.0|56.44|56.57|56.45|56.56|56.59|37.8199|1313|42059 76413|BETH|BETH|74349Y308|US74349Y3080|ProShares Trust|ProShares Bitcoin & Ether Market Cap Weight Strategy ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ProShares Advisors |Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-5|TXN1-1|TXN8-4|TXN2-1|TXN2-1|50000|||Monthly|||||2023-10-02||BETH.NV|BETH.SO|BETH.EU|BETH.TC|BETH.IV| | | | | | | | | ||ProShares Bitcoin & Ether Strategy ETF (BETH) seeks to provide capital appreciation primarily through managed exposure to a market capitalization weighted position in bitcoin and ether futures contracts. The Fund does not invest directly in bitcoin or ether.|N|0|N|N|416A|USA|US|COMMODITIES_AND_FUTURES|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|52.745723|57.916|0.0|0.0|0.0|0.0|53.405723|57.92|52.714723|0.0|0.0|0.0|58.3119|0.0|58.3119|0.0|0.0|0.0|0.0|58.17|58.28|0.0|0.0|58.18|60.69|58.17|58.28|58.3119|38.48|395|62073 70361|BETR|BETR|08774B102|US08774B1026|Better Home & Finance Holding Co|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-4|TXN5-5|TXN11-3|TXN5-4|TXN6-2|356440000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.4839|0.4839|0.0|0.488|0.4839|0.4839|0.4805|0.4839|0.0|0.0|0.482|0.482|0.4865|0.521|0.482|0.482|0.482|0.4805|0.4839|0.4865|0.3984|0.588|0.3984|0.588|0.473|0.488|0.3984|0.588|0.0|0.0|0.473|0.488|1.98|0.341|3562208|360563108 70362|BETRW|BETRW|08774B110|US08774B1109|Better Home & Finance Holding Co|WT EXP 121526||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-5|TXN5-2|TXN13-3|TXN6-6|TXN5-8|737590000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y|C|||||0.0773|0.0773|0.0|0.0|0.0|0.0413|0.040373|0.0|0.0|0.0|0.08|0.0|0.0415|0.0|0.0|0.0|0.0|0.0415|0.0|0.0415|0.0|0.0|0.0|0.0|0.03|0.1125|0.0|0.0|0.0|0.0|0.0415|0.08|0.4406|0.0349|58845|4175596 50019|BETS|BETS|G1144D125|VGG1144D1252|Bit Brother Limited|CL A ORD||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-4|TXN6-3|TXN10-4|TXN5-1|TXN5-3|210380000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||40|4050|405010|40501040|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Restaurants and Bars|N||N||||||N|0|Y||||||0.0696|0.07|0.0|0.0713|0.074|0.069|0.0693|0.0705|0.0|0.0|0.0695|0.0696|0.0694|0.0742|0.072|0.0695|0.072|0.0693|0.0739|0.0694|0.0661|0.0731|0.058|0.0849|0.0695|0.0696|0.0661|0.0731|0.0|0.0|0.0695|0.0696|0.66|0.0206|748167480|2753256529 66624|BETZ|BETZ|53656F789|US53656F7895|Listed Funds Trust|Roundhill Sports Betting & iGaming ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Roundhill Investments|Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-7|TXN3-5|TXN4-8|TXN1-4|TXN4-1|6175000|||Yearly|||||2020-06-04||BETZ.NV|BETZ.SO|BETZ.EU|BETZ.TC| | | | | | | | | | |1x|The Roundhill Sports Betting & iGaming ETF (the Fund) seeks to track the total return performance, before fees and expenses, of the Roundhill Sports Betting Index. The Index was developed by Roundhill Financial Inc., the Funds investment adviser and index provider (Roundhill or the Adviers), which tracks the performance of a modified equal-weight portfolio of globally-listed equity securities of companies that are actively involved in the sports betting industry.|N|0|N|N|412C|USA||EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||16.39|0.0|0.0|0.0|16.42|16.35|16.22|16.29|0.0|0.0|16.12|0.0|16.24|16.42|0.0|0.0|0.0|16.23|0.0|16.23|12.68|20.21|15.76|16.34|16.21|16.24|15.76|16.71|15.76|16.71|16.21|16.24|18.95|13.82|11292|6738729 5032|BF A|BF.A|115637100|US1156371007|Brown-Forman Corporation|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|M|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN3-8|TXN2-8|TXN4-6|TXN2-6|169250000|||Quarterly|||||1991-05-09||||||| | | | | | | | | |||N|0|Y|Y|118A|USA|US|||45|4510|451010|45101015|Consumer Staples |Food, Beverage and Tobacco |Beverages|Distillers and Vintners|N||N||||||Y|0|Y||Y|1|||61.1122|61.8|0.0|0.0|62.05|62.17|62.15|62.06|0.0|0.0|61.21|59.91|62.08|0.0|60.19|62.15|0.0|62.11|0.0|62.15|62.07|62.15|57.69|65.82|61.92|62.26|58.81|64.93|62.07|62.19|62.07|62.15|74.37|53.515|35252|12903282 5033|BF B|BF.B|115637209|US1156372096|Brown-Forman Corporation|Class B Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-1|TXN4-8|TXN9-4|TXN3-1|TXN3-3|310140000|||Quarterly|||||1991-05-09||||||| | | | | | | | | |||N|5|Y|Y|118A|USA|US|||45|4510|451010|45101015|Consumer Staples |Food, Beverage and Tobacco |Beverages|Distillers and Vintners|N||N||||||Y|0|Y||Y|1|||60.38|60.42|0.0|60.59|60.38|60.39|60.39|60.415|0.0|0.0|60.42|60.42|60.39|60.42|60.39|60.38|60.44|60.38|60.42|60.38|60.4|60.42|56.56|64.45|60.37|60.43|60.36|60.43|60.36|60.44|60.4|60.42|74.54|52.59|1426437|316841021 73397|BFAC|BFAC|G0888J108|KYG0888J1085|Battery Future Acquisition Corp.|Class A Ordinary Shares|Special purpose acquisition company|A|N|N|N|Y|Y|Y|Y|Y|6|P|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN2-1|TXN6-8|TXN4-2|TXN4-8|11440000|||NotApplicable|||||2022-02-04||||||| | | | | | | | | |||N|0|N|N|408A|USA|KY|||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|10.82|0.0|0.0|0.0|10.825|10.8109|10.82|0.0|0.0|10.82|0.0|10.82|0.0|0.0|10.83|10.82|10.83|0.0|10.83|10.82|10.83|10.81|10.83|10.82|11.48|0.0|0.0|0.0|0.0|10.82|10.83|11.55|9.6001|111511|36992087 73398|BFAC WS|BFAC.WS|G0888J124|KYG0888J1242|Battery Future Acquisition Corp.|Warrants, each whole warrant exercisable for one Class A ordinary share at an exercise price of $11.50 per share|Special purpose acquisition company|C|N|N|N|Y|Y|Y|Y|Y|6|P|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN3-8|TXN2-4|TXN2-8|TXN2-2|TXN4-4|0|||NotApplicable|||||2022-02-04||||||| | | | | | | | | |||N|0|N|N|408A|USA|KY|||||||||||N||N||||||N|0|Y||N||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0409|0.13|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0409|0.13|0.35|0.025|0|6108263 72916|BFAC U|BFAC.U|G0888J116|KYG0888J1168|Battery Future Acquisition Corp.|Units, each consisting of one Class A ordinary share and one-half of one redeemable warrant|Special purpose acquisition company|R|N|N|N|Y|Y|Y|Y|Y|6|P|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN2-2|TXN6-8|TXN2-8|TXN4-3|0|||NotApplicable|||||2021-12-15||||||| | | | | | | | | |||N|0|N|N|408A|USA|KY|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.84|11.93|0.0|0.0|10.12|12.72|0.0|0.0|0.0|0.0|10.84|11.93|12.02|10.0|0|264098 41352|BFAM|BFAM|109194100|US1091941005|Bright Horizons Family Solutions Inc.|Common Stock,|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|H|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN2-8|TXN4-8|TXN1-8|TXN1-2|57910000|||NotApplicable|||||2013-01-25||||||| | | | | | | | | |||N|0|Y|Y|180B|USA|US|||40|4020|402010|40201010|Consumer Discretionary|Consumer Products and Services|Consumer Services |Education Services|N||N||||||Y|0|Y||Y|1|||91.75|91.75|0.0|91.05|91.75|91.76|91.79|91.72|0.0|0.0|91.72|91.77|91.75|91.75|90.51|91.79|91.5|91.79|90.16|91.79|91.78|91.79|85.52|96.51|91.67|91.86|91.65|91.89|91.63|91.91|91.78|91.79|98.87|59.55|355515|97899811 62061|BFC|BFC|06211J100|US06211J1007|Bank First Corp|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN5-1|TXN14-4|TXN5-1|TXN5-3|10370000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||||||86.28|85.98|0.0|0.0|0.0|85.78|86.3252|85.82|0.0|0.0|85.9|86.0|86.4|0.0|0.0|85.89|0.0|86.3252|0.0|86.4|84.31|87.83|66.53|103.88|84.43|87.75|66.53|103.88|0.0|0.0|86.25|86.42|98.48|65.0|42233|4845497 65506|BFEB|BFEB|45782C433|US45782C4336|Innovator US Equity Buffer ETF - February|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-6|TXN3-5|TXN1-8|TXN4-1|TXN4-8|2950000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|35.2918|0.0|0.0|0.0|0.0|35.142|0.0|0.0|0.0|0.0|0.0|35.22|35.05|0.0|0.0|0.0|35.2918|35.12|35.2918|35.21|35.27|35.2|35.3|35.26|35.33|35.25|35.37|35.2|35.37|35.25|35.33|35.4579|29.44|2490|5027865 4611|BFH|BFH|018581108|US0185811082|Bread Financial Holdings, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-7|TXN1-4|TXN3-6|TXN4-6|TXN3-6|49330000|||Quarterly|||||2001-06-08||||||| | | | | | | | | |||N|0|N|Y|408A|USA|US|||50|5020|502050|50205015|Industrials|Industrial Goods and Services|Industrial Support Services|Transaction Processing Services|N||N||||||Y|0|Y||Y|2|||29.2|29.32|0.0|29.34|29.32|29.32|29.29|29.31|0.0|0.0|29.21|29.29|29.3|29.29|29.33|29.31|29.29|29.3|28.07|29.31|29.3|29.31|23.05|36.28|29.27|29.39|29.26|29.34|29.26|29.34|29.3|29.31|44.52|23.19|781583|188218976 60820|BFI|BFI|12122L101|US12122L1017|Burgerfi International Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN5-1|TXN12-4|TXN5-2|TXN6-1|26830000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4050|405010|40501040|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Restaurants and Bars|N||N||||||Y|0|Y||||||0.0|1.025|0.0|0.0|0.0|1.02|1.0477|1.035|0.0|0.0|1.02|0.0|1.02|1.02|0.0|0.0|1.02|1.0477|0.0|1.02|0.9931|1.08|0.0|0.0|1.0|1.07|0.816|1.3|0.0|0.0|1.02|1.05|2.16|0.95|51907|10997681 60821|BFIIW|BFIIW|12122L119|US12122L1199|Burgerfi International Inc|WRRT 13/03/2023||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-5|TXN5-7|TXN11-4|TXN6-4|TXN6-8|26810000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y|D|||||0.0|0.0|0.0|0.0|0.0|0.0|0.0506|0.0|0.0|0.0|0.0|0.0|0.05|0.0|0.0|0.0|0.0|0.0506|0.0|0.0506|0.0|0.0|0.0|0.0|0.0467|0.0575|0.0|0.0|0.0|0.0|0.05|0.054|0.2075|0.036|624|5466695 482|BFIN|BFIN|06643P104|US06643P1049|BankFinancial Corp|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN5-5|TXN10-2|TXN6-7|TXN5-2|12550000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||||||9.03|8.95|0.0|0.0|0.0|9.0|8.97|8.95|0.0|0.0|8.95|0.0|8.97|8.95|0.0|8.91|0.0|8.97|8.95|8.97|8.54|9.51|0.0|0.0|8.78|9.18|0.0|0.0|0.0|0.0|8.97|9.0|10.6|7.1691|15021|3350887 30500|BFIT|BFIT|37954Y798|US37954Y7985|Global X Health & Wellness ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN6-1|TXN12-2|TXN6-4|TXN6-8|410000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|22.7999|0.0|0.0|0.0|0.0|0.0|22.71|22.76|0.0|22.7|0.0|22.7999|0.0|22.71|0.0|0.0|0.0|0.0|22.57|22.98|0.0|0.0|0.0|0.0|22.69|22.85|23.75|19.92|6380|498721 73436|BFIX|BFIX|12009B101|US12009B1017|Build Funds Trust|Build Bond Innovation ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Build Asset Management|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-5|TXN1-5|TXN5-8|TXN4-1|TXN1-8|775000|||Monthly|||||2022-02-10||BFIX.NV|BFIX.SO|BFIX.EU|BFIX.TC| | | | | | | | | | |1x|The Fund is an actively managed exchange-traded fund (ETF) that seeks to achieve its investment objective through investing in a non-diversified portfolio of U.S. dollar-denominated, investment-grade bonds of U.S. and non-U.S. issuers either directly or indirectly via unaffiliated ETFs (Underlying Funds), (the Fixed Income Strategy) and call options linked to the performance of the S&P 500TMIndex or an S&P 500TMIndex ETF (collectively, the Reference Asset), (the Equity Option Overlay Strategy).|N|0|N|N|416A|USA|US|HYBRID|ACTIVE|||||||||N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|22.64|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|22.6416|0.0|22.6416|22.5|22.78|22.5|22.78|22.5|22.81|11.38|34.12|0.0|0.0|22.5|22.81|24.81|22.25|826|1016178 5038|BFK|BFK|09248F109|US09248F1093|BlackRock Municipal Income Trust|Common Stock|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN2-2|TXN7-8|TXN1-1|TXN1-2|45030000|||Monthly|||||2001-07-27||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||9.96|9.91|0.0|9.99|9.9|9.905|9.905|9.905|0.0|0.0|9.91|9.91|9.905|9.939|9.98|9.9|9.95|9.905|9.94|9.9|9.9|9.91|7.69|12.21|9.28|10.61|9.88|9.93|9.89|9.91|9.9|9.91|10.73|8.55|159336|28891061 66963|BFLY|BFLY|124155102|US1241551027|Butterfly Network, Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|T|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN2-8|TXN8-7|TXN4-1|TXN2-7|180700000|||NotApplicable|||||2020-07-13||||||| | | | | | | | | |||N|0|N|Y|408A|USA|US|||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||Y|0|Y||Y|2|||1.04|1.035|0.0|1.04|1.02|1.04|1.04|1.03|0.0|0.0|1.04|1.04|1.035|1.04|1.04|1.04|1.04|1.04|1.04|1.04|1.03|1.04|0.796|1.22|1.03|1.04|1.01|1.07|1.02|1.05|1.03|1.04|3.49|0.7605|1132266|521254857 66962|BFLY WS|BFLY.WS|124155110|US1241551100|Butterfly Network, Inc.|Redeemable Warrants, each whole warrant exercisable for one share of Class A common stock, each at an exercise price of $11.50 per share|Operating company|C|N|N|N|Y|Y|Y|Y|Y|6|T|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN8-8|TXN3-8|TXN2-8|TXN1-6|TXN2-4|207060000|||NotApplicable|||||2020-07-13|9999-01-01|||||| | | | | | | | | 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The Underlying Index generally consists of 400 stocks. The Underlying Indexs stocks are constituents of the Dow Jones U.S. Total Stock Market Index. In compiling the Index, MarketGrader Capital, LLC (the Index Provider) selects the 400 stocks from the Dow Jones U.S. Total Stock Market Index by using a methodology that selects components based on the strength of their fundamentals in growth, value, profitability and cash flow and then screens such potential Index components for certain criteria regarding concentration, market capitalization and liquidity. 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Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||2.74|2.64|0.0|0.0|2.67|2.65|2.645|2.72|0.0|0.0|2.68|2.77|2.65|2.74|0.0|2.63|2.7|2.63|0.0|2.65|2.52|2.79|0.0|0.0|2.56|2.76|0.0|0.0|0.0|0.0|2.63|2.67|9.5|2.47|57824|244221833 75157|BFRGW|BFRGW|12021E117|US12021E1174|Bullfrog AI Holdings Inc|WT EXP||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-3|TXN5-2|TXN11-4|TXN6-7|TXN5-6|6100000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.75|0.0|0.0|0.0|0.0|0.0|0.739|0.0|0.0|0.0|0.0|0.75|0.0|0.75|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.68|0.75|1.6499|0.3002|1968|4588403 72014|BFRI|BFRI|09077D209|US09077D2099|Biofrontera Inc|COM USD0.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN5-3|TXN12-4|TXN6-1|TXN6-2|1520000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103015|Health Care |Health Care |Pharmaceuticals and Biotechnology|Pharmaceuticals |N||N||||||N|0|Y||||||3.63|3.7|0.0|0.0|3.63|3.66|3.6|0.0|0.0|0.0|3.71|0.0|3.69|0.0|0.0|0.0|0.0|3.6|0.0|3.6|2.96|4.38|2.79|4.75|3.53|3.95|2.96|4.38|0.0|0.0|3.68|3.8|12.9857|0.3703|18039|25539228 72180|BFRIW|BFRIW|09077D118|US09077D1182|Biofrontera Inc|WT EXP 102726||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-7|TXN6-5|TXN11-5|TXN6-4|TXN5-3|1370000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.03|0.0|0.0|0.0|0.03|0.0|0.0155|0.0|0.0|0.0|0.0|0.03|0.0|0.03|0.0|0.0|0.0|0.0|0.0|0.03|0.0|0.0|0.0|0.0|0.0155|0.03|0.487|0.0103|793|618949 5041|BFS|BFS|804395101|US8043951016|Saul Centers, Inc.|Common Stock|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|6|Q|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN1-7|TXN4-8|TXN1-3|TXN3-4|23940000|||Quarterly|||||1993-08-19||||||| | | | | | | | | |||N|0|N|Y|412A|USA|US|||35|3510|351020|35102045|Real Estate|Real Estate |Real Estate Investment Trusts|Retail REITs|N||N||||||Y|0|Y||Y|2|||39.63|39.75|0.0|36.26|38.31|39.52|39.719|39.515|0.0|0.0|37.5|36.65|39.715|39.68|36.89|39.7|36.18|39.67|38.31|39.7|39.6|39.7|30.46|48.51|39.25|40.08|30.46|46.51|38.6|39.06|39.6|39.7|43.9538|32.13|36294|8495644 60561|BFS PRD|BFSpD|804395804|US8043958045|Saul Centers, Inc.|Depositary shares, each representing a 1/100th fractional interest in a share of 6.125% Series D Cumulative Redeemable Preferred Stock|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN3-2|TXN4-8|TXN4-3|TXN4-6|3000000|||Quarterly|||||2018-01-25||||||| | | | | | | | | |||N|0|N|N|412A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|21.96|21.8501|21.86|0.0|0.0|19.87|0.0|21.96|0.0|0.0|21.86|0.0|21.86|0.0|21.86|21.85|22.48|0.0|0.0|19.76|22.85|0.0|0.0|0.0|0.0|21.85|22.48|23.94|19.01|5410|454381 64615|BFS PRE|BFSpE|804395879|US8043958797|Saul Centers, Inc.|Depositary Shares, each representing 1/100th of a share of 6.000% Series E Cumulative Redeemable Preferred Stock, par value $0.01|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN4-1|TXN6-8|TXN1-2|TXN4-4|4400000|||Quarterly|||||2019-09-19||||||| | | | | | | | | |||N|0|N|N|412A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|21.38|21.48|0.0|0.0|0.0|0.0|0.0|22.02|0.0|0.0|21.59|0.0|21.59|0.0|21.59|21.61|21.99|0.0|0.0|21.15|22.43|0.0|0.0|0.0|0.0|21.61|21.99|24.0|18.7|1058|939735 60870|BFST|BFST|12326C105|US12326C1053|Business First Bancshares Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN6-5|TXN13-1|TXN6-3|TXN6-5|25340000|||NotApplicable|||||||||||| | | | 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Investments|N||N||||||N|0|Y||Y|2|||11.29|11.36|0.0|11.26|11.34|11.31|11.32|11.32|0.0|0.0|11.31|11.27|11.33|11.33|11.25|11.33|11.3|11.34|0.0|11.33|11.32|11.34|8.72|13.9|10.51|12.05|11.29|11.37|11.3|11.36|11.3|11.36|12.1|9.8607|62578|18603849 5046|BG|BG|H11356104|CH1300646267|Bunge Global SA|Common Shares|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|P|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-6|TXN3-1|TXN1-8|TXN4-1|TXN4-7|145290000|||Quarterly|||||2023-11-01||||||| | | | | | | | | |||N|5|Y|Y|180A|USA|BM|||45|4510|451020|45102030|Consumer Staples |Food, Beverage and Tobacco |Food Producers|Fruit and Grain Processing|N||N||||||Y|0|Y||Y|1|||107.67|107.75|0.0|107.68|107.75|107.64|107.74|107.68|0.0|0.0|107.64|107.65|107.69|107.64|107.69|107.74|107.31|107.73|107.66|107.74|107.67|107.73|101.61|114.45|107.64|107.78|107.59|107.82|107.67|107.86|107.67|107.73|116.59|87.865|1225341|317383766 40769|BGB|BGB|09257R101|US09257R1014|Blackstone Strategic Credit 2027 Term Fund|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN3-3|TXN4-8|TXN1-4|TXN2-4|44660000|||Monthly|||||2012-09-26||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End 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Services|N||N||||||Y|0|Y||||||6.56|6.56|0.0|6.56|6.56|6.555|6.555|6.545|0.0|0.0|6.555|6.56|6.55|6.55|6.55|6.55|6.53|6.56|6.545|6.55|6.55|6.61|4.93|7.92|6.55|6.61|6.52|6.58|6.52|6.58|6.55|6.56|6.74|4.25|2501466|231879483 488|BGFV|BGFV|08915P101|US08915P1012|Big 5 Sporting Goods Corp|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN6-1|TXN12-7|TXN6-8|TXN5-8|22440000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4040|404010|40401030|Consumer Discretionary|Retail |Retailers |Specialty Retailers |N||N||||||Y|0|Y||||||6.31|6.31|0.0|6.35|6.33|6.34|6.33|6.34|0.0|0.0|6.32|6.33|6.33|6.321|6.32|6.35|6.34|6.33|0.0|6.33|6.25|6.39|4.81|7.81|6.28|6.37|6.3|6.34|6.3|6.34|6.31|6.33|11.99|5.0|256315|62677019 40908|BGH|BGH|06760L100|US06760L1008|Barings Global Short Duration High Yield Fund|Common Shares of Beneficial Interest With|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN2-3|TXN9-8|TXN4-7|TXN4-2|20060000|||Monthly|||||2012-10-26||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||13.05|0.0|0.0|13.09|13.08|13.045|13.0401|13.075|0.0|0.0|13.09|0.0|13.045|12.89|0.0|13.05|0.0|13.04|0.0|13.05|13.03|13.05|10.08|15.99|13.03|13.94|13.01|13.08|13.05|13.08|13.03|13.05|14.06|11.92|63822|15314511 15672|BGI|BGI|09088U109|CA09088U1093|Birks Group Inc.|Class A Voting Shares|Operating company|A|N|Y|A|Y|Y|Y|Y|Y|||Brendan E. Cryan and Company, L.L.C.|CRYN|0235|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN2-3|TXN2-8|TXN4-3|TXN4-5|11320000|||Adhoc|||||2005-11-15||||||| | | | | | | | | |||N|0|N|N|310A|CAN|CA|||40|4040|404010|40401020|Consumer Discretionary|Retail |Retailers |Apparel Retailers|N||N||||||N|0|Y||Y|2|||0.0|3.89|0.0|0.0|0.0|3.7|3.8668|3.83|0.0|0.0|3.78|0.0|3.78|3.78|0.0|0.0|3.8668|3.8668|0.0|3.8668|0.0|0.0|3.71|3.89|3.47|4.11|0.0|0.0|0.0|0.0|3.71|3.89|10.02|2.78|15264|6758765 76303|BGIG|BGIG|26922B527|US26922B5277|ETF Series Solutions|Bahl & Gaynor Income Growth ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y|||||||||RBC Capital Markets, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-5|TXN2-7|TXN7-7|TXN1-8|TXN3-2|4410000|||Monthly|||||2023-09-15||||||| | | | | | | | | |||N|0|N|N|416A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|24.72|24.7199|0.0|0.0|0.0|24.72|0.0|24.66|0.0|0.0|0.0|0.0|24.7252|0.0|24.7252|0.0|0.0|24.7|24.72|24.67|24.78|12.35|37.03|0.0|0.0|24.67|24.78|24.99|22.7016|6272|322927 69355|BGLC|BGLC|090628207|US0906282076|BioNexus Gene Lab Corp|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-2|TXN6-6|TXN14-1|TXN5-2|TXN6-4|17670000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||MYS||||55|5510|551010|55101000|Basic Materials|Basic Resources|Industrial Materials|Diversified Materials|N||N||||||N|0|Y|C|||||0.7125|0.7194|0.0|0.0|0.7153|0.7126|0.7102|0.7194|0.0|0.0|0.72|0.6964|0.7126|0.0|0.0|0.712|0.72535|0.7126|0.0|0.7126|0.584|0.8628|0.584|0.8628|0.6629|0.7812|0.584|0.8628|0.0|0.0|0.7101|0.735|9.49|0.31|948718|304760557 68834|BGLD|BGLD|33733E849|US33733E8497|Ft Cboe Vest Gold Strategy Quarterly Buffer Etf|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-5|TXN3-1|TXN7-8|TXN2-3|TXN2-1|1650000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||18.57|18.6|0.0|0.0|18.6|18.61|18.6|18.57|0.0|0.0|0.0|0.0|18.6|18.6|18.6|0.0|0.0|18.6|0.0|18.6|0.0|0.0|18.5|18.59|18.43|18.64|0.0|0.0|0.0|0.0|18.47|18.58|20.75|17.96|8567|2691754 52451|BGNE|BGNE|07725L102|US07725L1026|BeiGene Ltd|ADR||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN5-7|TXN10-5|TXN6-7|TXN6-3|1249770000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CYM||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||179.6|181.09|0.0|180.9|180.8|180.81|181.03|181.03|0.0|0.0|181.48|183.0|181.16|180.92|0.0|181.92|0.0|181.03|182.09|181.16|179.13|182.64|137.76|223.97|180.44|182.47|180.52|181.46|180.53|181.16|180.9|181.16|280.6199|156.56|208676|51634080 5056|BGR|BGR|09250U101|US09250U1016|BlackRock Energy and Resources Trust|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN4-6|TXN9-8|TXN1-3|TXN1-5|29110000|||Monthly|||||2004-12-23||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||12.475|12.45|0.0|12.48|12.47|12.47|12.45|12.44|0.0|0.0|12.46|12.505|12.45|12.475|12.45|12.45|12.48|12.45|12.46|12.45|12.45|12.46|9.75|15.27|11.66|13.28|12.41|12.5|12.42|12.49|12.45|12.46|13.48|10.9062|139123|18109146 62359|BGRN|BGRN|46435U440|US46435U4408|iShares Trust iShares USD Green Bond ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN6-6|TXN10-4|TXN6-8|TXN5-3|7100000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|46.07|0.0|46.0101|46.01|0.0|0.0|46.02|0.0|46.08|46.06|0.0|0.0|0.0|46.07|0.0|46.08|35.49|56.68|35.49|56.68|46.02|46.09|35.49|56.68|0.0|0.0|46.02|46.09|48.07|44.18|16402|4945928 24616|BGS|BGS|05508R106|US05508R1068|B&G Foods, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|B|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-4|TXN4-3|TXN2-8|TXN2-2|TXN4-6|78620000|||Quarterly|||||2007-05-23||||||| | | | | | | | | |||N|0|N|Y|118B|USA|US|||45|4510|451020|45102020|Consumer Staples |Food, Beverage and Tobacco |Food Producers|Food Products|N||N||||||Y|0|Y||Y|2|||9.85|9.85|0.0|9.87|9.84|9.85|9.85|9.845|0.0|0.0|9.85|9.84|9.855|9.84|9.84|9.86|9.84|9.87|9.86|9.86|9.87|9.88|7.62|12.16|9.86|9.89|9.86|9.91|9.84|9.88|9.87|9.88|16.68|7.2|1643494|250972196 48361|BGSF|BGSF|05601C105|US05601C1053|BGSF, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|J|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN3-6|TXN2-8|TXN2-4|TXN2-4|10880000|||Quarterly|||||2019-11-14||||||| | | | | | | | | |||N|0|N|Y|310A|USA|US|||50|5020|502050|50205025|Industrials|Industrial Goods and Services|Industrial Support Services|Business Training and Employment Agencies|N||N||||||Y|0|Y||Y|2|||10.02|9.95|0.0|0.0|0.0|9.98|10.015|9.92|0.0|0.0|10.0|0.0|10.05|0.0|0.0|10.04|0.0|10.02|9.63|10.04|9.99|10.05|9.86|10.05|9.81|10.25|0.0|0.0|0.0|0.0|9.99|10.05|16.023|8.85|18813|4377839 5057|BGT|BGT|091941104|US0919411043|BlackRock Floating Rate Income Trust|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN2-5|TXN7-8|TXN2-4|TXN4-3|22360000|||Monthly|||||2004-08-26||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||0.0|11.98|0.0|0.0|11.99|11.97|11.98|11.98|0.0|0.0|11.99|0.0|11.98|12.0|0.0|11.98|0.0|11.99|0.0|11.98|11.97|11.99|9.27|14.7|11.17|12.79|11.94|12.02|11.97|11.99|11.97|11.99|12.32|10.75|58432|20614349 36441|BGX|BGX|09257D102|US09257D1028|Blackstone Long-Short Credit Income Fund|Common Shares|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN4-7|TXN5-8|TXN1-2|TXN2-4|12710000|||Monthly|||||2011-01-27||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||11.46|11.38|0.0|0.0|11.4|11.38|11.3899|11.38|0.0|0.0|11.37|0.0|11.4|11.38|0.0|11.39|11.45|11.4|0.0|11.39|11.38|11.41|8.86|14.06|10.67|12.24|11.35|11.44|11.38|11.4|11.37|11.41|11.84|10.66|42717|11515640 74046|BGXX|BGXX|10920G100|US10920G1004|Bright Green Corporation|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-3|TXN6-1|TXN10-5|TXN6-1|TXN6-6|183880000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103020|Health Care |Health Care |Pharmaceuticals and Biotechnology|Cannabis Producers|N||N||||||Y|0|Y||||||0.2864|0.29|0.0|0.0|0.29|0.2919|0.2882|0.2862|0.0|0.0|0.2862|0.2862|0.29|0.291|0.294|0.29|0.294|0.2882|0.0|0.29|0.2776|0.2986|0.2254|0.3586|0.2791|0.2979|0.2254|0.3426|0.0|0.0|0.2864|0.2882|1.88|0.272|363321|366778805 24644|BGY|BGY|092524107|US0925241079|BlackRock Enhanced International Dividend Trust|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN2-8|TXN8-8|TXN4-1|TXN3-7|104240000|||Monthly|||||2007-05-25||||||| | | | | | | | | |||N|0|N|N|406B|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||5.14|5.14|0.0|0.0|5.14|5.145|5.145|5.145|0.0|0.0|5.15|5.15|5.145|5.14|0.0|5.15|5.15|5.145|5.135|5.15|5.14|5.15|4.0|6.37|5.14|5.16|5.11|5.18|5.13|5.16|5.14|5.15|5.66|4.68|193081|57264920 60941|BH|BH|08986R309|US08986R3093|Biglari Holdings Inc.|Class B Common Stock, no par value|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|10|TXN7-8|TXN3-8|TXN5-8|TXN3-4|TXN4-8|2070000|||Monthly|||||2018-05-01||||||| | | | | | | | | |||N|0|N|Y|128B|USA|US|||40|4050|405010|40501040|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Restaurants and Bars|N||N||||||N|0|Y||Y|2|||146.63|148.6|0.0|0.0|0.0|149.0|148.05|149.955|0.0|0.0|147.95|145.0|149.05|146.66|157.4|148.4|0.0|148.05|146.66|148.4|148.03|149.03|0.0|0.0|144.4|153.14|0.0|0.0|0.0|0.0|148.03|149.03|218.5|135.24|1734|664043 60940|BH A|BH.A|08986R408|US08986R4083|Biglari Holdings Inc.|Class A Common Stock, no par value|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|4|0.01|0.01|5000000|1|10|TXN2-8|TXN4-5|TXN4-8|TXN4-3|TXN2-1|210000|||Monthly|||||2018-05-01||||||| | | | | | | | | |||N|0|N|Y|128B|USA|US|||40|4050|405010|40501040|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Restaurants and Bars|N||N||||||N|0|Y||Y|2|||0.0|744.0|0.0|0.0|0.0|0.0|735.03|0.0|0.0|0.0|0.0|0.0|745.0|0.0|0.0|740.53|0.0|740.53|0.0|740.53|739.0|755.0|0.0|0.0|705.6|785.2|0.0|0.0|0.0|0.0|739.0|755.0|1058.5|681.51|71|29682 72671|BHAC|BHAC|22677T102|US22677T1025|Focus Impact BH3 Acquisition Company|COM CL A USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN6-4|TXN10-3|TXN5-2|TXN6-8|5310000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|10.34|0.0|0.0|0.0|0.0|0.0|0.0|10.33|0.0|0.0|0.0|0.0|10.34|0.0|10.34|0.0|0.0|0.0|0.0|10.11|10.56|0.0|0.0|0.0|0.0|10.32|10.34|12.09|9.92|1703|3416340 71944|BHACU|BHACU|22677T201|US22677T2015|Focus Impact BH3 Acquisition Company|UNITS||R|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN5-7|TXN10-2|TXN6-2|TXN5-6|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|8.0|12.79|0.0|0.0|0.0|0.0|9.39|11.49|11.65|9.65|0|17523 72672|BHACW|BHACW|22677T110|US22677T1108|Focus Impact BH3 Acquisition Company|WT EXP||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-7|TXN5-5|TXN13-2|TXN6-8|TXN5-7|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y|D|||||0.0|0.04|0.0|0.0|0.04|0.0|0.039|0.0|0.0|0.0|0.04|0.0|0.04|0.04|0.0|0.04|0.0|0.039|0.0|0.039|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.02|0.04|0.173|0.0015|5486|4600452 64180|BHAT|BHAT|G1329V205|KYG1329V2058|Fujian Blue Hat Interactive Entertainment Technology Ltd|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN5-1|TXN11-6|TXN6-4|TXN6-3|9900000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||40|4020|402030|40203040|Consumer Discretionary|Consumer Products and Services|Leisure Goods|Electronic Entertainment|N||N||||||N|0|Y||||||1.08|1.09|0.0|0.0|1.1|1.09|1.08|1.08|0.0|0.0|1.1|1.09|1.1|0.0|0.0|0.0|0.0|1.08|0.0|1.1|1.03|1.17|0.88|1.32|1.08|1.18|0.88|1.32|0.0|0.0|1.08|1.1|3.0|0.36|94061|46356077 5059|BHB|BHB|066849100|US0668491006|Bar Harbor Bankshares|Common Stock|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Brendan E. Cryan and Company, L.L.C.|CRYN|0235|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-5|TXN2-7|TXN9-8|TXN4-1|TXN1-4|15160000|||Quarterly|||||1997-09-23||||||| | | | | | | | | |||N|0|N|N|416A|USA|US|||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||Y|2|||26.52|27.67|0.0|27.39|27.37|27.6|27.62|27.62|0.0|0.0|27.37|0.0|27.595|27.44|26.33|27.2|27.62|27.62|0.0|27.62|26.72|27.88|27.62|27.72|26.8|28.36|21.37|33.95|27.39|27.72|27.62|27.72|33.11|19.55|29449|7545895 9910|BHC|BHC|071734107|CA0717341071|Bausch Health Companies Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|T|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-5|TXN1-4|TXN7-7|TXN3-3|TXN2-2|365200000|||NotApplicable|||||1996-12-12||||||| | | | | | | | | |||N|0|N|Y|140A|CAN|CA|||20|2010|201030|20103015|Health Care |Health Care |Pharmaceuticals and Biotechnology|Pharmaceuticals |N||N||||||Y|0|Y||Y|2|||7.48|7.47|0.0|7.47|7.47|7.47|7.47|7.48|0.0|0.0|7.47|7.48|7.47|7.475|7.475|7.48|7.47|7.47|7.48|7.48|7.47|7.48|5.86|9.18|7.46|7.49|7.44|7.51|7.43|7.52|7.47|7.48|10.23|5.5703|1450361|824888829 5062|BHE|BHE|08160H101|US08160H1014|Benchmark Electronics, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|R|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN4-7|TXN1-8|TXN3-5|TXN4-5|35680000|||Quarterly|||||1997-05-15||||||| | | | | | | | | |||N|0|N|Y|114D|USA|US|||10|1010|101020|10102015|Technology|Technology|Technology Hardware and Equipment|Electronic Components|N||N||||||Y|0|Y||Y|2|||25.54|25.63|0.0|25.51|25.66|25.63|25.67|25.63|0.0|0.0|25.53|25.65|25.64|25.54|25.5|25.66|25.64|25.66|25.28|25.66|25.65|25.66|19.8|30.87|25.44|25.84|25.57|25.72|25.65|25.72|25.65|25.66|29.46|20.58|108914|41344108 59196|BHF|BHF|10922N103|US10922N1037|Brighthouse Financial Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN6-4|TXN13-4|TXN6-6|TXN5-2|64210000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||USA||||30|3030|303010|30301010|Financials|Insurance|Life Insurance|Life Insurance|N||N||||||Y|0|Y||||||53.36|53.38|0.0|53.29|53.38|53.31|53.39|53.38|0.0|0.0|53.38|53.31|53.38|53.36|0.0|53.36|52.99|53.38|53.35|53.38|53.05|53.67|50.15|56.62|53.08|53.64|53.32|53.43|0.0|0.0|53.38|53.39|60.54|39.235|256387|106269723 61758|BHFAL|BHFAL|10922N202|US10922N2027|Brighthouse Financial Inc 6.52 NT 2058|ETN||U|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN6-6|TXN14-5|TXN6-5|TXN6-5|15000000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||||||||||N||N||||||N|0|Y||||||21.44|0.0|0.0|0.0|21.44|21.37|21.36|21.48|0.0|0.0|0.0|0.0|21.48|21.44|0.0|0.0|0.0|21.36|21.44|21.48|20.05|22.88|0.0|0.0|20.95|21.93|0.0|0.0|0.0|0.0|21.35|21.5|25.57|19.1|19580|4127445 72579|BHFAM|BHFAM|10922N889|US10922N8891|Brighthouse Financial Inc|PF D||U|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN6-8|TXN13-3|TXN6-2|TXN6-1|14000000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||15.76|15.74|0.0|0.0|15.84|15.74|15.54|15.62|0.0|0.0|0.0|0.0|15.65|15.71|0.0|15.77|0.0|15.76|0.0|15.65|0.0|15.91|0.0|0.0|15.15|16.09|0.0|0.0|0.0|0.0|15.45|15.77|18.75|12.45|49698|8677729 68250|BHFAN|BHFAN|10922N707|US10922N7075|Brighthouse Financial Inc|5.375 DEP PFD C||U|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN6-1|TXN11-3|TXN6-5|TXN5-8|23000000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||18.35|18.49|0.0|0.0|18.5|18.42|18.5|18.47|0.0|0.0|18.475|18.5|18.49|18.5|18.5|18.3|0.0|18.49|0.0|18.49|14.41|18.79|14.41|22.54|18.03|18.87|14.41|22.54|0.0|0.0|18.4|18.5|20.93|14.6201|67889|13459392 66521|BHFAO|BHFAO|10922N509|US10922N5095|Brighthouse Financial Inc|PF B||U|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN5-1|TXN11-2|TXN6-4|TXN6-1|16100000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||22.55|0.0|0.0|22.92|22.64|22.65|22.51|22.55|0.0|0.0|22.64|22.67|22.51|22.56|22.92|22.64|0.0|22.51|0.0|22.51|22.48|23.08|17.77|28.08|22.07|23.29|17.77|28.08|0.0|0.0|22.49|22.83|26.84|19.53|58388|7082315 63304|BHFAP|BHFAP|10922N301|US10922N3017|Brighthouse Financial Inc|PFD ser A||B|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN5-3|TXN13-7|TXN5-2|TXN6-6|17000000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||22.34|22.23|0.0|0.0|22.37|22.33|22.22|22.26|0.0|0.0|22.2|0.0|22.26|22.34|0.0|22.2|0.0|22.23|0.0|22.26|21.9|22.49|16.79|26.95|21.84|22.84|16.79|26.95|0.0|0.0|22.21|22.39|26.24|19.05|51072|7776386 70947|BHG|BHG|10920V404|US10920V4041|Bright Health Group, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|O|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN4-1|TXN6-8|TXN2-3|TXN2-8|7980000|||NotApplicable|||||2021-06-24||||||| | | | | | | | | |||N|0|N|Y|122A|USA|US|||20|2010|201010|20101020|Health Care |Health Care |Health Care Providers|Health Care Management Services|N||N||||||N|0|Y||Y|2|||6.36|6.72|0.0|0.0|0.0|6.5|6.52|6.51|0.0|0.0|6.5|0.0|6.67|0.0|0.0|6.52|0.0|6.52|0.0|6.52|6.54|6.81|0.0|0.0|6.41|6.94|5.04|7.63|0.0|0.0|6.54|6.81|21.9999|0.1301|5941|412829940 69347|BHIL|BHIL|082490103|US0824901039|Benson Hill, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|T|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN3-8|TXN1-2|TXN9-8|TXN3-1|TXN3-7|208380000|||NotApplicable|||||2021-02-26||||||| | | | | | | | | |||N|0|N|Y|408A|USA|US|||45|4510|451020|45102020|Consumer Staples |Food, Beverage and Tobacco |Food Producers|Food Products|N||N||||||N|0|Y||Y|2|||0.2243|0.2207|0.0|0.232|0.2243|0.2204|0.2208|0.221|0.0|0.0|0.22025|0.2221|0.2238|0.2238|0.2354|0.2217|0.2205|0.2208|0.2232|0.2217|0.2218|0.2225|0.1824|0.2655|0.2201|0.2264|0.1824|0.2655|0.216|0.23|0.2218|0.2225|2.845|0.14|871493|195307143 69348|BHIL WS|BHIL.WS|082490111|US0824901112|Benson Hill, Inc.|Warrants, each whole warrant exercisable for one share of common stock at an exercise price of $11.50|Operating company|C|N|N|N|Y|Y|Y|Y|Y|6|T|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN5-8|TXN3-3|TXN1-5|TXN3-1|TXN2-1|207980000|||NotApplicable|||||2021-02-26|2026-09-29|||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||||||||||N||N||||||N|0|Y|C|N||||0.0|0.0275|0.0|0.0|0.0381|0.05|0.025101|0.0|0.0|0.0|0.025|0.0275|0.0263|0.0|0.0|0.028|0.0|0.028|0.0|0.028|0.025|0.028|0.0|0.0|0.025|0.05|0.0|0.0|0.0|0.0|0.025|0.028|0.35|0.018|83698|9055187 5065|BHK|BHK|09249E101|US09249E1010|BlackRock Core Bond Trust|Common Stock|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN4-3|TXN1-5|TXN4-8|TXN2-4|53950000|||Monthly|||||2001-11-28||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||10.42|10.425|0.0|10.41|10.42|10.41|10.42|10.42|0.0|0.0|10.42|10.43|10.415|10.42|10.22|10.4|10.43|10.41|10.49|10.4|10.4|10.42|8.03|12.86|10.39|10.43|10.38|10.45|10.41|10.42|10.4|10.42|11.7|9.02|206140|40088626 493|BHLB|BHLB|084680107|US0846801076|Berkshire Hills Bancorp, Inc.|Common stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|O|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN1-4|TXN8-8|TXN4-6|TXN3-6|43670000|||Quarterly|||||2012-11-19||||||| | | | | | | | | |||N|0|N|Y|402B|USA|US|||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||Y|2|||22.36|22.31|0.0|22.33|22.31|22.345|22.3|22.35|0.0|0.0|22.34|22.42|22.305|21.96|20.93|22.32|22.2|22.31|22.35|22.32|22.32|22.33|16.83|27.52|22.17|22.54|22.27|22.35|22.28|22.36|22.32|22.33|31.52|18.07|181764|60388882 74679|BHM|BHM|09631H100|US09631H1005|Bluerock Homes Trust, Inc.|Class A Common Stock|Real estate investment trust|A|N|N|A|Y|Y|Y|Y|Y|||Brendan E. Cryan and Company, L.L.C.|CRYN|0235|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-5|TXN3-1|TXN7-8|TXN2-4|TXN4-4|3870000|||Quarterly|||||2022-09-28||||||| | | | | | | | | |||N|0|N|N|414A|USA|US|||35|3510|351020|35102040|Real Estate|Real Estate |Real Estate Investment Trusts|Residential REITs|N||N||||||N|0|Y||Y|2|||0.0|14.97|0.0|0.0|14.0|14.65|14.92|14.03|0.0|0.0|14.9|0.0|14.9|14.86|0.0|0.0|14.97|14.97|0.0|14.97|0.0|0.0|14.8|14.97|14.84|15.85|0.0|0.0|0.0|0.0|14.84|14.97|25.36|12.0501|19245|5057334 5068|BHP|BHP|088606108|US0886061086|BHP Group Limited|American Depositary Shares (Each representing two Ordinary Shares)|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|6|P|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-6|TXN1-7|TXN4-8|TXN3-5|TXN2-1|5068740000|||BiAnnually|||||1987-05-28||||||| | | | | | | | | |||N|0|N|Y|170A|AUS|AU|||55|5510|551020|55102000|Basic Materials|Basic Resources|Industrial Metals and Mining|General Mining|N||N||||||Y|0|Y||Y|2|||61.36|61.365|0.0|61.39|61.37|61.37|61.365|61.365|0.0|0.0|61.37|61.41|61.36|61.36|61.39|61.36|61.39|61.36|61.4|61.36|61.36|61.4|47.71|75.43|61.34|61.45|61.31|61.42|61.36|61.39|61.36|61.4|71.52|54.28|2962748|632299906 43051|BHR|BHR|10482B101|US10482B1017|Braemar Hotels & Resorts Inc.|Common Stock|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN1-8|TXN6-8|TXN2-4|TXN2-1|65990000|||Quarterly|||||2013-11-06||||||| | | | | | | | | |||N|0|N|Y|414A|USA|US|||35|3510|351020|35102015|Real Estate|Real Estate |Real Estate Investment Trusts|Hotel and Lodging REITs|N||N||||||Y|0|Y||Y|2|||2.32|2.34|0.0|0.0|2.32|2.325|2.34|2.335|0.0|0.0|2.33|2.33|2.34|2.32|2.39|2.34|0.0|2.34|2.3|2.34|2.33|2.34|1.76|2.82|2.32|2.36|2.3|2.36|2.32|2.36|2.33|2.34|5.6|1.91|302622|93020564 52994|BHR PRB|BHRpB|10482B200|US10482B2007|Braemar Hotels & Resorts Inc.|5.50% Series B Cumulative Convertible Preferred Stock|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN4-2|TXN2-8|TXN2-3|TXN4-6|3080000|||Quarterly|||||2016-05-02||||||| | | | | | | | | |||N|0|N|N|414A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|11.92|11.91|0.0|0.0|0.0|0.0|0.0|11.92|11.86|0.0|11.94|0.0|11.94|0.0|11.94|11.94|12.17|0.0|0.0|11.66|12.42|0.0|0.0|0.0|0.0|11.94|12.55|18.88|10.58|4437|1980082 62464|BHR PRD|BHRpD|10482B309|US10482B3096|Braemar Hotels & Resorts Inc.|8.25% Series D Cumulative Preferred Stock|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN2-8|TXN2-8|TXN1-6|TXN4-7|1600000|||Quarterly|||||2018-11-26||||||| | | | | | | | | |||N|0|N|N|414A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|17.8001|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|17.88|0.0|17.88|0.0|17.88|17.75|18.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|17.8|18.0|25.52|15.5|1269|490683 54993|BHRB|BHRB|12135Y108|US12135Y1082|Burke & Herbert Financial Services Corp|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN5-1|TXN11-3|TXN5-6|TXN6-8|7430000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||||||0.0|50.75|0.0|0.0|0.0|0.0|50.7512|0.0|0.0|0.0|0.0|0.0|50.63|0.0|0.0|0.0|0.0|50.75|0.0|50.63|49.62|51.68|0.0|0.0|49.71|51.6|0.0|51.07|0.0|0.0|50.63|50.94|85.0|42.91|12714|5224940 5070|BHV|BHV|092481100|US0924811005|BlackRock Virginia Municipal Bond Trust|Common Shares of Beneficial Interest, par value $0.001|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN4-2|TXN2-8|TXN2-3|TXN3-6|1610000|||Monthly|||||2018-05-31||||||| | | | | | | | | |||N|0|N|N|406B|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|10.59|10.565|10.58|0.0|0.0|0.0|0.0|10.58|0.0|0.0|10.565|0.0|10.565|0.0|10.565|10.5|10.57|10.53|10.59|9.88|11.26|0.0|0.0|0.0|0.0|10.5|10.57|12.12|8.85|16150|1073204 74668|BHVN|BHVN|G1110E107|VGG1110E1079|Biohaven Ltd.|Common Shares|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|T|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN4-4|TXN7-4|TXN1-5|TXN1-1|80230000|||NotApplicable|||||2022-09-23||||||| | | | | | | | | |||N|0|N|Y|122A|USA|VG|||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||Y|2|||33.96|33.925|0.0|33.71|33.96|33.96|33.95|33.96|0.0|0.0|33.91|33.65|33.96|33.96|33.97|33.94|33.82|33.96|33.96|33.94|33.93|33.94|26.09|41.65|33.79|34.06|33.77|34.01|33.76|34.02|33.93|33.94|34.21|12.35|1039067|244320194 76522|BHYB|BHYB|23306X878|US23306X8781|Xtrackers USD High Yield BB-B ex Financials ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-4|TXN4-6|TXN5-8|TXN4-6|TXN3-2|3050000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|52.7516|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|52.7516|0.0|52.7516|0.0|0.0|0.0|0.0|52.71|52.79|0.0|0.0|0.0|0.0|52.71|52.79|52.8439|50.1562|0|3000002 74208|BIAF|BIAF|09076W109|US09076W1099|bioAffinity Technologies Inc|COM USD0.007||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN6-2|TXN13-8|TXN5-8|TXN6-3|9500000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201020|20102020|Health Care |Health Care |Medical Equipment and Services|Medical Services|N||N||||||N|0|Y|D|||||0.0|1.61|0.0|0.0|1.61|1.61|1.5889|1.58|0.0|0.0|1.61|0.0|1.6|1.61|0.0|0.0|0.0|1.6|0.0|1.6|1.28|1.98|0.0|0.0|1.51|1.66|1.28|1.9|0.0|0.0|1.56|1.6|3.99|0.9548|21569|83534955 74209|BIAFW|BIAFW|09076W117|US09076W1172|bioAffinity Technologies Inc|WT EXP 081227||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-2|TXN6-7|TXN11-5|TXN5-4|TXN5-4|9220000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y|C|||||0.0|0.0|0.0|0.0|0.0|0.0|0.125|0.0|0.0|0.0|0.0|0.0|0.07|0.0|0.0|0.0|0.0|0.125|0.0|0.125|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0514|0.125|1.01|0.0311|5200|518783 32543|BIB|BIB|74347R214|US74347R2141|ProShares Ultra Nasdaq Biotechnology|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN6-2|TXN13-8|TXN6-7|TXN5-1|1650000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||0.0|0.0|0.0|0.0|0.0|47.1|47.3587|0.0|0.0|0.0|0.0|0.0|47.32|0.0|0.0|0.0|0.0|47.3587|0.0|47.32|47.16|47.54|0.0|0.0|47.27|47.4|44.69|49.79|0.0|0.0|47.32|47.4|63.83|40.1|11491|4130781 59978|BIBL|BIBL|66538H534|US66538H5349|Northern Lights Fund Trust IV|Inspire 100 ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Ultimus Fund Solutions (Inspire)|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN1-1|TXN3-7|TXN2-5|TXN4-1|9450000|||Quarterly|||||2017-10-31||BIBL.NV|BIBL.SO|BIBL.EU|BIBL.TC|BIBL.IV| | | | | | | | | |1x|The index provider selects domestic large capitalization equity securities (capitalizations of $20 billion or more) using the index providers Inspire Impact Score, a proprietary selection methodology that is designed to assign a score to a particular security based on the securitys alignment with biblical values and the positive impact that company has on the world through various environmental, social and governance criterion. The methodology removes from the investment universe the securities of any company that has any degree of participation in activities that do not align with biblical values, which are: Abortion, gambling, alcohol, tobacco, pornography, the LGBT lifestyle and rights violations. The methodology assigns a positive score based on whether the company has publically available policies and procedures regarding the involvement in activities that align with biblical values in the follwoing categories: Products and services, workplace, community and environment. |N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||0.0|33.0|0.0|0.0|32.95|33.1|33.0311|32.96|0.0|0.0|33.1|0.0|33.0|32.95|0.0|0.0|0.0|33.04|0.0|33.04|25.15|40.92|32.93|33.2|33.03|33.07|32.89|33.2|32.93|33.2|33.03|33.07|34.3899|29.13|34737|11434906 494|BIDU|BIDU|056752108|US0567521085|Baidu Inc|ADR||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN6-5|TXN14-4|TXN6-6|TXN6-6|2220120000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||10|1010|101010|10101020|Technology|Technology|Software and Computer Services|Consumer Digital Services |N||N||||||Y|0|Y||||||113.66|113.74|0.0|113.21|113.71|113.66|113.74|113.69|0.0|0.0|113.66|113.67|113.7|113.7|113.7|113.7|113.27|113.75|113.66|113.7|113.0|113.8|88.78|137.78|113.14|113.84|108.98|114.18|113.2|113.77|113.74|113.75|160.88|103.3201|4191458|654085992 5106|BIG|BIG|089302103|US0893021032|Big Lots, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|I|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-2|TXN2-1|TXN5-5|TXN3-5|TXN2-8|29200000|||Quarterly|||||1986-07-09||||||| | | | | | | | | |||N|0|N|Y|146B|USA|US|||40|4040|404010|40401010|Consumer Discretionary|Retail |Retailers |Diversified Retailers|N||N||||||Y|0|Y||Y|2|||5.96|5.94|0.0|6.1|5.95|5.94|5.93|5.97|0.0|0.0|5.94|5.95|5.945|5.95|5.97|5.94|5.95|5.93|6.0|5.94|5.93|5.94|4.69|7.32|5.92|5.94|5.9|5.99|5.92|5.99|5.93|5.94|19.97|3.47|2524335|417757853 75465|BIGB|BIGB|53656G464|US53656G4644|Roundhill BIG Bank ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN6-8|TXN12-8|TXN5-5|TXN5-3|160000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|28.6869|0.0|0.0|0.0|0.0|28.6|0.0|28.6869|0.0|0.0|0.0|0.0|28.62|28.71|0.0|0.0|0.0|0.0|28.63|28.71|29.6961|23.94|1052|1039951 67145|BIGC|BIGC|08975P108|US08975P1084|BigCommerce Holdings Inc|COM USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN6-6|TXN11-7|TXN6-4|TXN5-8|76090000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||||||9.37|9.34|0.0|0.0|9.35|9.36|9.34|9.36|0.0|0.0|9.355|9.35|9.36|9.35|9.39|9.34|9.31|9.34|9.32|9.36|9.34|9.36|7.24|11.44|9.29|9.44|9.32|9.37|9.34|9.38|9.34|9.36|13.39|6.8101|401732|219728617 69942|BIGZ|BIGZ|09260Q108|US09260Q1085|BlackRock Innovation and Growth Term Trust|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN2-2|TXN9-7|TXN4-7|TXN1-7|220010000|||Monthly|||||2021-03-26||||||| | | | | | | | | |||N|0|N|N|406B|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||7.38|7.4|0.0|7.38|7.38|7.4|7.38|7.385|0.0|0.0|7.38|7.39|7.385|7.38|7.38|7.38|7.385|7.4|7.38|7.38|7.39|7.4|5.65|9.02|7.39|7.41|7.35|7.42|7.38|7.4|7.38|7.4|8.35|6.21|1011418|197388492 496|BIIB|BIIB|09062X103|US09062X1037|Biogen Inc|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN5-5|TXN11-6|TXN6-8|TXN6-8|144900000|||NotApplicable|||||||||||| | | | | | | | | |||N|5|Y|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||232.75|232.84|0.0|232.75|232.79|232.81|232.865|232.84|0.0|0.0|232.76|232.76|232.85|232.76|232.75|232.93|233.31|232.78|232.82|232.85|232.56|233.17|218.57|248.83|232.49|233.28|232.59|245.47|232.53|232.89|232.79|232.85|319.76|220.86|945656|234044755 24664|BIL|BIL|78468R663|US78468R6633|SPDR Series Trust|SPDR Bloomberg 1-3 Month T-Bill ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-7|TXN3-7|TXN9-6|TXN4-1|TXN1-5|389644503|||Monthly|||||2008-11-07||BIL.NV|BIL.SO|BIL.EU|BIL.TC|BIL.IV| | | | | | | | | |1x|The SPDR Barclays Capital 1-3 Month T-Bill ETF seeks to provide investment results that, before fees and expenses, correspond generally to the price and yield performance of the Barclays Capital 1-3 Month U.S. Treasury Bill Index (ticker: LD12TRUU). The Barclays Capital 1-3 Month U.S. Treasury Bill Index includes all publicly issued zero-coupon U.S. Treasury Bills that have a remaining maturity of less than 3 months and more than 1 month, are rated investment grade, and have $250 million or more of outstanding face value. In addition, the securities must be denominated in U.S. dollars and must be fixed rate and non convertible. Excluded from the 1-3 Month U.S. Treasury Bill Index are certain special issues, such as flower bonds, targeted investor notes (TINs), state and local government series bonds, treasury inflation-protected securities (TIPS), and coupon issues that have been stripped from bonds included in the index. The 1-3 Month U.S. Treasury Bill Index is market capitalization weighted and the securities in the index are updated on the last business day of each month.|N|0|N|N|416A|USA|US|FIXED_INCOME|INDEX|||||||||N||N||||||Y|0|Y||Y|1|||91.45|91.45|0.0|0.0|91.44|91.45|91.44|91.45|0.0|91.45|91.445|91.45|91.45|91.45|91.445|91.445|91.445|91.44|91.45|91.44|91.44|91.45|91.44|91.45|91.44|91.45|91.44|91.46|91.44|91.55|91.44|91.45|91.86|91.33|15502991|1894622522 76689|BILD|BILD|555927102|US5559271029|Macquarie ETF Trust|Macquarie Global Listed Infrastructure ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Macquarie|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-5|TXN3-3|TXN6-8|TXN3-3|TXN3-2|200000|||Quarterly|||||2023-11-29||BILD.NV|BILD.SO|BILD.EU|BILD.TC| | | | | | | | | | ||Seeks capital growth and income through opportunities in global infrastructure|N|0|N|N||USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|25.1679|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|25.2673|0.0|25.2673|19.55|31.04|19.55|31.04|25.23|25.3|19.55|31.04|0.0|0.0|25.23|25.3|25.397|25.04|559|2348 60838|BILI|BILI|090040106|US0900401060|Bilibili Inc|ADS||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN6-1|TXN10-2|TXN5-8|TXN6-2|327850000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||10|1010|101010|10101020|Technology|Technology|Software and Computer Services|Consumer Digital Services |N||N||||||Y|0|Y||||||11.52|11.52|0.0|11.49|11.52|11.525|11.52|11.53|0.0|0.0|11.53|11.53|11.53|11.54|11.54|11.525|11.54|11.52|11.54|11.53|11.51|11.53|8.72|14.12|11.5|11.53|11.48|11.58|11.48|11.58|11.52|11.53|29.46|10.92|5411784|1424127695 65204|BILL|BILL|090043100|US0900431000|BILL Holdings, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-5|TXN2-7|TXN6-5|TXN1-7|TXN4-5|106760000|||NotApplicable|||||2019-12-12||||||| | | | | | | | | |||N|0|Y|Y|180B|USA|US|||50|5020|502050|50205015|Industrials|Industrial Goods and Services|Industrial Support Services|Transaction Processing Services|N||N||||||Y|0|Y||Y|1|||68.52|68.49|0.0|68.5|68.5|68.585|68.51|68.48|0.0|0.0|68.52|68.495|68.48|68.52|68.46|68.52|68.6|68.52|68.66|68.52|68.48|68.52|64.69|72.8|68.17|68.71|68.37|68.63|68.38|68.52|68.48|68.52|139.5|51.9401|2252229|546663674 67621|BILS|BILS|78468R523|US78468R5239|SPDR Series Trust|SPDR Bloomberg 3-12 Month T-Bill ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-3|TXN2-2|TXN6-8|TXN1-7|TXN4-4|30050000|||Monthly|||||2020-09-24||BILS.NV|BILS.SO|BILS.EU|BILS.TC|BILS.IV| | | | | | | | | |1x|The SPDR Bloomberg Barclays 3-12 Month T-Bill ETF (the Fund) seeks to provide investment results that, before fees and expenses, correspond generally to the price and yield performance of an index that tracks the 3-12 month sector of the United States Treasury Bill market.|N|0|N|N|416A|USA|US|FIXED_INCOME|INDEX|||||||||N||N||||||Y|0|Y||Y|1|||99.12|99.115|0.0|0.0|99.12|99.115|99.11|99.12|0.0|0.0|99.11|99.115|99.115|99.125|99.11|99.115|99.12|99.11|0.0|99.11|99.11|99.12|99.11|99.12|99.11|99.12|99.11|99.12|99.11|99.23|99.11|99.12|99.62|99.02|845369|84881122 75908|BILZ|BILZ|72201R577|US72201R5770|PIMCO ETF Trust|PIMCO Ultra Short Government Active Exchange-Traded Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||PIMCO|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN3-3|TXN2-6|TXN4-8|TXN1-7|1130000|||Monthly|||||2023-06-22||BILZ.NV|BILZ.SO|BILZ.EU|BILZ.TC|BILZ.IV| | | | | | | | | ||PIMCO Ultra Short Government Active ETF is a ETF incorporated in the United States. The Fund seeks maximum current income, consistent with preservation of capital and daily liquidity.|N|0|N|N|416A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||100.62|100.61|0.0|0.0|100.62|100.61|100.61|100.62|0.0|0.0|0.0|0.0|100.61|100.62|0.0|100.61|0.0|100.61|100.62|100.61|100.58|100.62|0.0|0.0|100.61|100.62|100.57|100.62|0.0|0.0|100.61|100.62|106.62|100.04|12459|2516087 24434|BIMI|BIMI|05552Q301|US05552Q3011|BIMI International Medical Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN6-7|TXN14-3|TXN6-6|TXN6-2|6590000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||45|4520|452010|45201015|Consumer Staples |Personal Care, Drug and Grocery Stores |Personal Care, Drug and Grocery Stores |Drug Retailers|N||N||||||N|0|Y||||||2.11|2.07|0.0|0.0|0.0|2.07|2.0699|2.18|0.0|0.0|2.07|2.07|2.11|0.0|0.0|0.0|0.0|2.07|0.0|2.07|1.95|2.23|0.0|0.0|1.95|2.23|1.72|2.52|0.0|0.0|2.07|2.12|3.5|0.2051|15751|21365734 75770|BINC|BINC|092528603|US0925286033|BlackRock ETF Trust II|BlackRock Flexible Income ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-7|TXN2-2|TXN1-5|TXN3-1|TXN4-5|7400000|||Monthly|||||2023-05-23||BINC.NV|BINC.SO|BINC.EU|BINC.TC|BINC.IV| | | | | | | | | ||The BlackRock Flexible Income ETF seeks to maximize total return.|N|0|N|N|408A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|1|||51.35|51.31|0.0|0.0|51.405|51.405|51.4069|51.365|0.0|0.0|51.38|51.31|51.4|51.4|0.0|51.55|0.0|51.4069|51.4|51.4069|47.81|54.93|47.81|54.93|51.38|51.41|47.81|54.93|0.0|0.0|51.31|51.41|51.57|49.54|150735|9201998 76443|BINV|BINV|900934209|US9009342091|Brandes International ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-5|TXN2-3|TXN1-5|TXN1-1|TXN2-4|700000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|27.3639|0.0|0.0|0.0|0.0|27.37|0.0|0.0|0.0|0.0|0.0|27.33|0.0|0.0|0.0|0.0|27.3639|0.0|27.3639|0.0|0.0|0.0|0.0|27.2|27.54|0.0|0.0|0.0|0.0|27.31|27.41|27.5456|24.6596|12745|803268 5076|BIO|BIO|090572207|US0905722072|Bio-Rad Laboratories, Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|I|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN3-6|TXN7-7|TXN1-7|TXN1-4|24060000|||NotApplicable|||||2008-10-24||||||| | | | | | | | | |||N|5|Y|Y|140A|USA|US|||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||Y|0|Y||Y|1|||308.59|308.89|0.0|309.12|308.95|309.04|308.92|308.85|0.0|0.0|309.01|309.06|309.05|305.31|307.52|308.93|307.0|308.85|307.49|308.93|308.85|308.93|287.89|326.53|306.31|311.33|308.4|309.48|308.44|309.78|308.85|308.93|509.6225|261.59|437498|48103880 5077|BIO B|BIO.B|090572108|US0905721082|Bio-Rad Laboratories, Inc.|Class B Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN3-1|TXN7-8|TXN4-4|TXN2-5|5090000|||NotApplicable|||||2008-10-24||||||| | | | | | | | | |||N|0|N|Y|140A|USA|US|||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||N|0|Y||Y|2|||0.0|371.1|0.0|0.0|0.0|0.0|306.87|0.0|0.0|0.0|0.0|0.0|308.3|0.0|0.0|306.87|0.0|0.0|0.0|306.87|300.36|317.46|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|300.36|317.46|467.95|271.0|107|10339 523|BIOL|BIOL|090911702|US0909117022|Biolase Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN6-7|TXN14-8|TXN5-3|TXN5-5|2300000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||N|0|Y||||||1.56|1.56|0.0|1.54|1.56|1.54|1.5162|1.54|0.0|0.0|1.54|1.55|1.51|1.56|1.52|1.59|1.59|1.52|1.54|1.51|1.42|1.6|1.21|1.82|1.44|1.57|1.48|1.55|1.48|1.55|1.51|1.52|9.35|0.0638|2261876|685926408 66785|BIOR|BIOR|74319F305|US74319F3055|Biora Therapeutics Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN6-3|TXN14-1|TXN5-7|TXN6-3|23700000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201020|20102020|Health Care |Health Care |Medical Equipment and Services|Medical Services|N||N||||||Y|0|Y|C|||||1.24|1.235|0.0|0.0|1.23|1.23|1.2401|1.235|0.0|0.0|1.24|1.22|1.25|1.202|1.21|1.225|1.21|1.2401|1.23|1.25|1.2|1.28|0.976|1.46|1.24|1.28|1.21|1.27|1.2|1.28|1.24|1.25|7.68|0.131|1687837|190718117 60802|BIOX|BIOX|G1117K114|KYG1117K1141|Bioceres Crop Solutions Corp|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN6-6|TXN13-1|TXN5-6|TXN6-4|62800000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||ARG||||55|5520|552010|55201015|Basic Materials|Chemicals|Chemicals|Fertilizers|N||N||||||Y|0|Y||||||12.34|12.445|0.0|12.36|12.38|12.44|12.35|12.37|0.0|0.0|12.42|12.43|12.35|12.38|0.0|12.445|0.0|12.33|12.45|12.35|12.21|12.52|9.49|15.17|12.23|12.5|12.26|12.43|12.25|12.37|12.33|12.37|14.2|9.76|80770|14552615 26776|BIP|BIP|G16252101|BMG162521014|Brookfield Infrastructure Partners L.P.|Limited Partnership Units|Limited partnership|A|N|Y|N|Y|Y|Y|Y|Y|5|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-5|TXN2-3|TXN3-4|TXN3-5|TXN2-2|462130000|||Quarterly|||||2008-01-31||||||| | | | | | | | | |||N|0|N|N|414A|BMU|BM|||65|6510|651020|65102000|Utilities|Utilities|Gas, Water and Multi-utilities |Multi-Utilities|N||N||||||Y|0|Y||Y|2|||27.3|27.34|0.0|27.37|27.37|27.34|27.35|27.34|0.0|0.0|27.32|27.66|27.34|27.31|27.37|27.32|27.25|27.33|27.36|27.32|27.32|27.33|21.12|33.5|27.2|27.39|27.26|27.4|27.32|27.41|27.32|27.33|37.32|21.0287|617979|109953581 67658|BIP PRA|BIPpA|G16252267|USG162522670|Brookfield Infrastructure Partners L.P.|5.125% Class A Preferred Limited Partnership Units, Series 13|Limited partnership|B|N|Y|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN3-6|TXN3-8|TXN4-1|TXN2-3|8000000|||Quarterly|||||2020-09-25||||||| | | | | | | | | |||N|0|N|N|414A|BMU|BM|||||||||||N||N||||||N|0|Y||Y|2|||15.9|15.97|0.0|0.0|15.97|15.95|15.94|15.95|0.0|0.0|15.96|0.0|15.84|0.0|0.0|15.87|0.0|15.94|15.489687|15.87|15.81|15.87|0.0|0.0|15.49|16.19|0.0|0.0|0.0|0.0|15.81|15.87|20.85|15.0|12163|1403157 68880|BIP PRB|BIPpB|G16252275|BMG162522756|Brookfield Infrastructure Partners L.P.|5.000% Class A Preferred Limited Partnership Units, Series 14|Limited partnership|B|N|Y|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN1-4|TXN3-8|TXN2-6|TXN1-8|8000000|||Quarterly|||||2021-01-26||||||| | | | | | | | | |||N|0|N|N|414A|BMU|BM|||||||||||N||N||||||N|0|Y||Y|2|||15.36|15.21|0.0|0.0|0.0|15.22|15.28|15.355|0.0|0.0|15.25|15.38|15.19|0.0|0.0|15.24|15.22|15.28|0.0|15.24|15.18|15.26|15.22|15.35|14.92|15.29|0.0|0.0|0.0|0.0|15.18|15.26|19.89|14.7|24671|2706819 65856|BIPC|BIPC|11275Q107|CA11275Q1072|Brookfield Infrastructure Corporation|Class A Subordinate Voting Shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|5|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN3-7|TXN3-6|TXN4-1|TXN2-2|131790000|||Quarterly|||||2020-03-19||||||| | | | | | | | | |||N|0|N|Y|414A|USA|CA|||65|6510|651020|65102000|Utilities|Utilities|Gas, Water and Multi-utilities |Multi-Utilities|N||N||||||Y|0|Y||Y|2|||32.94|32.95|0.0|32.56|32.93|32.93|32.95|32.925|0.0|0.0|32.94|32.89|32.95|32.93|32.67|32.94|32.68|32.94|32.94|32.94|32.94|32.95|25.15|40.03|32.85|32.97|32.89|32.99|32.89|32.98|32.94|32.95|48.23|25.48|721080|135453649 70731|BIPH|BIPH|11276B109|US11276B1098|Brookfield Infrastructure Partners L.P.|5.000% Subordinated Notes due 2081|Limited partnership|G|N|Y|N|Y|Y|Y|Y|Y|6|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN4-1|TXN9-8|TXN3-1|TXN3-7|10000000|||Quarterly|||||2021-05-26|2081-05-24|||||| | | | | | | | | |||N|0|N|N|414A|CAN|BM|||||||||||N||N||||||N|0|Y||Y|2|||16.19|16.25|0.0|0.0|16.2|16.22|16.18|16.16|0.0|0.0|16.34|0.0|16.4|16.17|0.0|16.18|0.0|16.18|0.0|16.18|16.2|16.53|0.0|0.0|15.9|16.92|0.0|0.0|0.0|0.0|16.2|16.53|20.48|14.6|14602|2250490 73322|BIPI|BIPI|05554M100|US05554M1009|Brookfield Infrastructure Partners L.P.|5.125% Perpetual Subordinated Notes|Limited partnership|G|N|Y|N|Y|Y|Y|Y|Y|6|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN1-5|TXN8-8|TXN2-6|TXN3-7|12000000|||Quarterly|||||2022-01-26|2999-01-01|||||| | | | | | | | | |||N|0|N|N|414A|BMU|BM|||||||||||N||N||||||N|0|Y||Y|2|||16.32|16.34|0.0|0.0|0.0|16.31|16.33|16.39|0.0|0.0|16.31|0.0|16.33|0.0|0.0|16.36|16.26|16.36|0.0|16.36|16.35|16.36|16.26|16.49|16.02|16.69|0.0|0.0|0.0|0.0|16.35|16.36|20.77|15.06|19408|4445588 72224|BIRD|BIRD|01675A109|US01675A1097|Allbirds Inc|COM CL A USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN6-3|TXN11-2|TXN6-3|TXN6-1|100300000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4020|402040|40204025|Consumer Discretionary|Consumer Products and Services|Personal Goods|Footwear|N||N||||||Y|0|Y||||||1.02|1.01|0.0|1.04|1.02|1.01|1.02|1.01|0.0|0.0|1.01|1.02|1.02|1.02|1.045|1.01|1.02|1.01|1.02|1.02|0.9637|1.02|0.824|1.02|0.9898|1.02|0.9705|1.05|0.9958|1.02|1.01|1.02|3.45|0.6402|1554448|349033945 76457|BIRK|BIRK|M2029K104|JE00BS44BN30|Birkenstock Holding plc|Ordinary Shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|5|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN1-8|TXN5-8|TXN2-4|TXN2-1|187830000|||NotApplicable|||||2023-10-11||||||| | | | | | | | | |||N|0|N|Y|146F|GBR|JE|||40|4020|402040|40204025|Consumer Discretionary|Consumer Products and Services|Personal Goods|Footwear|N||N||||||Y|0|Y||Y|2|||48.89|48.67|0.0|48.66|48.67|48.65|48.66|48.675|0.0|0.0|48.66|48.36|48.66|48.66|48.46|48.68|48.22|48.7|48.68|48.68|48.69|48.7|37.32|59.35|48.08|49.12|48.58|48.78|48.57|48.73|48.69|48.7|49.065|35.83|772763|61732961 32544|BIS|BIS|74347G838|US74347G8380|ProShares UltraShort Nasdaq Biotechnology|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN5-8|TXN11-4|TXN5-5|TXN5-4|196096|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||0.0|22.24|0.0|0.0|0.0|0.0|22.24|22.24|0.0|0.0|22.24|0.0|22.3|0.0|0.0|22.24|0.0|22.24|0.0|22.3|22.18|22.38|0.0|0.0|22.26|22.31|22.23|22.33|22.17|22.49|22.26|22.3|26.51|17.88|1519|1924158 41544|BIT|BIT|09258A107|US09258A1079|BlackRock Multi-Sector Income Trust|Common Shares, $0.001 par value|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN1-6|TXN8-8|TXN1-1|TXN3-8|37560000|||Monthly|||||2013-02-26||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||15.15|15.13|0.0|15.09|15.14|15.135|15.14|0.0|0.0|0.0|15.13|0.0|15.14|15.15|0.0|15.14|15.14|15.14|0.0|15.14|15.13|15.15|11.69|18.53|14.11|16.12|15.11|15.17|15.11|15.17|15.13|15.15|15.37|13.65|61606|21769518 75464|BITC|BITC|091748202|US0917482020|Bitwise Funds Trust|Bitwise Bitcoin Strategy Optimum Roll ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Bitwise|Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-2|TXN3-3|TXN5-6|TXN4-8|TXN2-5|75004|||Yearly|||||2023-03-21||BITC.NV|BITC.SO|BITC.EU|BITC.TC| | | | | | | | | | ||Attempts to track the price movement of spot Bitcoin while minimizing roll cost and maximizing roll return.|N|0|N|N|416A|USA|US|COMMODITIES_AND_FUTURES|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||35.54|0.0|0.0|0.0|35.54|35.45|35.53|35.21|0.0|0.0|35.1|32.34|35.33|35.54|35.54|35.54|35.54|35.41|35.21|35.41|35.28|35.54|35.28|35.48|35.41|35.42|35.26|35.48|35.26|35.48|35.28|35.54|35.62|20.37|11390|440578 70109|BITE|BITE|09175K105|US09175K1051|Bite Acquisition Corp.|Common Stock|Special purpose acquisition company|A|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-7|TXN1-7|TXN8-8|TXN1-7|TXN3-2|8520000|||NotApplicable|||||2023-02-13||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|10.42|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.42|10.42|0.0|10.42|0.0|0.0|10.42|10.79|10.21|10.8|0.0|0.0|0.0|0.0|10.42|10.79|11.35|9.9|101|1489710 70110|BITE WS|BITE.WS|09175K113|US09175K1135|Bite Acquisition Corp.|Warrants, each whole warrant exercisable for one share of common stock at an exercise price of $11.50|Special purpose acquisition company|C|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN12-5|TXN3-4|TXN6-8|TXN4-6|TXN3-8|0|||NotApplicable|||||2023-02-13||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||||||||||N||N||||||N|0|Y|C|N||||0.0401|0.0451|0.0|0.0|0.0|0.0389|0.04505|0.0545|0.0|0.0|0.0401|0.0401|0.045|0.0|0.0|0.0451|0.0401|0.0401|0.0451|0.0401|0.04|0.049|0.04|0.048|0.035|0.0401|0.0|0.0|0.0|0.0|0.04|0.048|0.5331|0.015|27106|1871222 69154|BITE U|BITE.U|09175K204|US09175K2042|Bite Acquisition Corp.|Units, each consisting of one share of common stock, par value $0.0001 per share and one-half of one warrant|Special purpose acquisition company|R|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-5|TXN4-3|TXN6-8|TXN3-6|TXN3-3|0|||NotApplicable|||||2023-02-13||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.0|11.0|10.0|10.99|10.0|11.72|0.0|0.0|0.0|0.0|10.0|10.99|10.885|9.945|0|134832 70929|BITF|BITF|09173B107|CA09173B1076|Bitfarms Ltd|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN6-7|TXN14-6|TXN5-7|TXN5-5|277680000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CAN||||10|1010|101010|10101010|Technology|Technology|Software and Computer Services|Computer Services|N||N||||||Y|0|Y||||||1.76|1.76|0.0|1.81|1.76|1.765|1.7601|1.765|0.0|0.0|1.765|1.775|1.75|1.76|1.765|1.76|1.77|1.765|1.76|1.75|1.75|1.77|1.36|2.1|1.76|1.77|1.73|1.8|1.75|1.78|1.76|1.77|2.16|0.376|68641618|1803348813 74173|BITI|BITI|74347G291|US74347G2912|ProShares Trust|ProShares Short Bitcoin Strategy ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ProShares Advisors |Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-2|TXN1-4|TXN3-1|TXN1-6|TXN3-6|3980000|||Monthly|||||2022-06-21||BITI.NV|BITI.SO|BITI.EU|BITI.TC|BITI.IV| | | | | | | | | ||The fund seeks daily investment results, before fees and expenses, that correspond to the inverse (-1x) of the return of the exposure to the S&P CME Bitcoin Futures Index.|N|0|N|N|416A|USA|US|COMMODITIES_AND_FUTURES|INDEX|||||||||N||N||||||Y|0|Y||Y|1|||13.15|13.27|0.0|14.449392|13.26|13.27|13.2622|13.23|0.0|0.0|13.27|13.26|13.265|13.48|13.39|13.25|13.26|13.19|13.26|13.19|13.26|13.27|13.26|13.27|13.26|13.27|13.26|13.28|13.24|13.29|13.26|13.27|40.87|13.1301|3558151|287234200 72068|BITO|BITO|74347G440|US74347G4405|ProShares Trust|ProShares Bitcoin Strategy ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ProShares Advisors |Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-8|TXN3-7|TXN3-6|TXN4-8|TXN1-7|77220001|||Monthly|||||2021-10-19||BITO.NV|BITO.SO|BITO.EU|BITO.TC|BITO.IV| | | | | | | | | |1x|ProShares Bitcoin Strategy ETF (the Fund) seeks capital appreciation. There can be no assurance that the Fund will achieve its investment objective.|N|0|N|N|416A|USA|US|COMMODITIES_AND_FUTURES|ACTIVE|||||||||N||N||||||Y|0|Y||Y|1|||20.74|20.74|0.0|19.32|20.77|20.76|20.745|20.73|0.0|0.0|20.76|20.75|20.75|20.75|20.74|20.75|20.775|20.75|20.73|20.75|20.74|20.75|20.73|20.75|20.74|20.75|20.73|20.76|20.72|20.77|20.74|20.75|20.91|10.155|21862756|2410477947 70560|BITQ|BITQ|301505624|US3015056241|Exchange Traded Concepts Trust|Bitwise Crypto Industry Innovators ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Exchange Traded Concepts|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN4-5|TXN9-8|TXN3-3|TXN3-1|12125000|||Yearly|||||2021-05-12||BITQ.NV|BITQ.SO|BITQ.EU|BITQ.TC| | | | | | | | | | |1x|Bitwise Crypto Industry Innovators ETF will seek to track the performance of the Bitwise Crypto Innovators Index. The Index was designed to measure the performance of companies that service and transact in the segment of the economy dealing with crypto assets and distributed ledger technology.|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||9.55|9.55|0.0|9.58|9.55|9.56|9.557|9.55|0.0|0.0|9.6|9.36|9.54|9.56|0.0|9.58|0.0|9.56|0.0|9.56|8.86|10.24|7.39|11.76|9.52|9.56|8.86|10.24|9.23|9.84|9.52|9.56|11.3384|3.2|372373|25936048 72390|BITS|BITS|37960A727|US37960A7274|Global X Blockchain & Bitcoin Strategy ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN5-3|TXN12-5|TXN6-5|TXN5-4|360000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||50.61|52.66|0.0|0.0|50.61|52.05|52.7699|52.53|0.0|0.0|52.07|52.07|52.59|51.48|0.0|0.0|0.0|52.66|50.61|52.59|0.0|0.0|0.0|0.0|51.71|52.6|51.75|52.59|51.75|52.59|51.91|52.59|53.0399|4.86|27064|692998 75937|BITX|BITX|92864M301|US92864M3016|2x Bitcoin Strategy ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-3|TXN2-1|TXN2-8|TXN2-1|TXN1-3|5410000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||23.5|23.42|0.0|19.22|23.44|23.46|23.52|23.565|0.0|0.0|23.76|23.32|23.49|23.49|0.0|23.46|23.28|23.42|23.44|23.42|23.42|23.46|23.42|23.46|23.42|23.46|23.42|23.46|23.34|23.54|23.42|23.46|23.76|9.1757|1225280|49633818 24594|BIV|BIV|921937819|US9219378190|Vanguard Bond Index Funds|Vanguard Intermediate-Term Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Vanguard|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-2|TXN2-8|TXN4-4|TXN3-7|TXN1-2|215254060|||Monthly|||||2008-09-19||BIV.NV|BIV.SO|BIV.EU|BIV.TC|BIV.IV| | | | | | | | | |1x|The fund employs a passive managementor indexingstrategy designed to track the performance of the Barclays Capital U.S. 510 Year Government/Credit Bond Index. This index includes all medium and larger issues of U.S. government, investment-grade corporate, and investment-grade international dollar-denominated bonds that have maturities between 5 and 10 years and are publicly issued. The fund invests by sampling the index, meaning that it holds a range of securities that, in the aggregate, approximate the full index in terms of key risk factors and other characteristics. All of the funds investments will be selected through the sampling process, and at least 80% of the funds assets will be invested in bonds held in the index. The fund maintains a dollar-weighted average maturity consistent with that of the index, which ranges between 5 and 10 years.|N|0|N|N|416A|USA|US|FIXED_INCOME|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||74.265|74.27|0.0|74.16|74.265|74.265|74.265|74.265|0.0|0.0|74.28|74.26|74.265|74.265|74.265|74.26|74.265|74.26|74.24|74.26|70.59|78.02|74.22|78.94|74.27|74.28|74.21|78.02|74.21|74.42|74.27|74.28|77.71|70.425|1620500|253013313 64415|BIVI|BIVI|09074F207|US09074F2074|BioVie Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN6-5|TXN11-5|TXN6-8|TXN5-8|37740000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||1.73|1.72|0.0|0.0|1.72|1.72|1.725|1.735|0.0|0.0|1.73|1.73|1.74|1.67|1.73|1.72|1.63|1.73|1.71|1.74|1.67|1.73|1.36|2.04|1.69|1.73|1.36|2.04|0.0|0.0|1.72|1.73|14.38|1.5|1246822|93590176 41477|BIZD|BIZD|92189F411|US92189F4110|VanEck ETF Trust|VanEck BDC Income ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||VanEck Vectors|IMC Chicago, LLC, DBA IMC Financial Markets|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-8|TXN3-8|TXN5-7|TXN4-2|TXN2-4|48800000|||Quarterly|||||2013-02-12||BIZD.NV|BIZD.SO|BIZD.EU|BIZD.TC|BIZD.IV| | | | | | | | | |1x|The Fund normally invests at least 80% of its total assets in securities that comprise the Funds benchmark index. The Index, which is the Funds benchmark index, is comprised of BDCs. To be eligible for the Index and qualify as a BDC, a company must be organized under the laws of, and have its principal place of business in, the United States, be registered with the SEC and have elected to be regulated as a BDC under the Investment Company Act of 1940, as amended (the 1940 Act). BDCs are vehicles whose principal business is to invest in, lend capital to or provide services to privately-held companies or thinly traded U.S. public companies. Small-capitalization companies are eligible for inclusion in the Index. |N|0|N|N|406C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||15.92|15.925|0.0|0.0|15.92|15.925|15.925|15.925|0.0|0.0|15.93|15.925|15.92|15.93|15.92|15.925|15.93|15.94|15.88|15.94|15.88|15.96|14.88|17.01|15.92|15.93|15.87|15.97|15.87|15.97|15.91|15.93|16.19|13.535|377537|79393712 61199|BJ|BJ|05550J101|US05550J1016|BJs Wholesale Club Holdings, Inc.|Common stock, par value $0.01 per share|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|A|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-5|TXN2-8|TXN6-8|TXN2-1|TXN2-8|133380000|||NotApplicable|||||2018-06-28||||||| | | | | | | | | |||N|0|Y|Y|146A|USA|US|||40|4040|404010|40401010|Consumer Discretionary|Retail |Retailers |Diversified Retailers|N||N||||||Y|0|Y||Y|1|||64.96|64.99|0.0|64.99|64.96|64.98|64.99|64.97|0.0|0.0|64.96|64.99|64.985|64.97|64.86|64.99|64.97|64.98|64.96|64.99|64.97|64.99|61.18|68.78|64.87|65.02|64.9|65.06|64.97|65.07|64.97|64.99|78.88|60.33|1400271|405720359 62739|BJAN|BJAN|45782C409|US45782C4096|Innovator US Equity Buffer ETF - January|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-2|TXN3-8|TXN1-8|TXN3-6|TXN1-4|4150000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||38.94|39.1198|0.0|38.96|38.94|39.11|39.021|38.94|0.0|0.0|0.0|0.0|38.96|38.94|0.0|0.0|0.0|39.1198|38.94|39.1198|39.06|39.14|39.0|39.09|39.07|39.16|39.0|39.21|39.01|39.21|39.07|39.16|39.3097|32.5201|5620|5333161 72329|BJDX|BJDX|095633301|US0956333019|Bluejay Diagnostics Inc|COM USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN5-8|TXN12-6|TXN6-3|TXN6-3|1240000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||N|0|Y||||||3.39|0.0|0.0|0.0|0.0|3.39|3.42|3.41|0.0|0.0|3.4|0.0|3.45|0.0|0.0|0.0|0.0|3.42|0.0|3.42|0.0|0.0|0.0|0.0|3.26|3.53|0.0|0.0|0.0|0.0|3.39|3.45|13.9799|0.19|12527|176342536 26892|BJK|BJK|92189F882|US92189F8822|VanEck Gaming ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN6-1|TXN13-6|TXN5-6|TXN6-6|1130000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||0.0|0.0|0.0|0.0|0.0|40.4|40.4299|0.0|0.0|0.0|0.0|0.0|40.18|0.0|0.0|0.0|0.0|40.4299|0.0|40.18|37.43|43.12|0.0|0.0|39.7|40.86|37.43|43.12|0.0|0.0|40.18|40.43|47.49|37.08|4130|3726598 505|BJRI|BJRI|09180C106|US09180C1062|BJ's Restaurants Inc|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN5-8|TXN14-3|TXN5-2|TXN5-7|23240000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4050|405010|40501040|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Restaurants and Bars|N||N||||||Y|0|Y||||||31.27|31.31|0.0|31.18|31.31|31.33|31.32|31.29|0.0|0.0|31.31|31.3|31.3|31.3|31.29|31.39|31.32|31.3|31.32|31.3|31.08|31.62|23.98|38.1|31.11|31.59|31.26|37.33|31.27|0.0|31.3|31.34|37.83|21.64|352489|77635543 61592|BJUL|BJUL|45782C789|US45782C7891|Innovator US Equity Buffer ETF - July|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-4|TXN3-1|TXN6-8|TXN1-3|TXN2-1|9950000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||36.24|36.24|0.0|0.0|36.2|36.2|36.2|36.2|0.0|0.0|36.2|0.0|36.2|36.23|36.2|36.26|0.0|36.24|36.2|36.24|35.92|36.71|36.19|36.27|36.24|36.33|36.19|36.37|36.17|36.37|36.24|36.33|36.4799|30.51|30861|14162954 63735|BJUN|BJUN|45782C755|US45782C7552|Innovator US Equity Buffer ETF - June|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-2|TXN2-5|TXN4-8|TXN3-8|TXN4-3|3130000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|34.5939|0.0|0.0|0.0|0.0|34.5581|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|34.5939|0.0|34.5939|34.51|34.59|34.51|34.58|34.55|34.64|34.52|34.67|34.55|34.63|34.55|34.68|34.72|30.18|1281|14351616 5085|BK|BK|064058100|US0640581007|The Bank of New York Mellon Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|A|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-5|TXN1-2|TXN6-7|TXN4-1|TXN3-7|769070000|||Quarterly|||||2007-07-02||||||| | | | | | | | | |||N|1|Y|Y|402A|USA|US|||30|3020|302020|30202015|Financials|Financial Services |Investment Banking and Brokerage Services |Investment Services|N||N||||||Y|0|Y||Y|1|||48.68|48.675|0.0|48.7|48.68|48.675|48.675|48.68|0.0|0.0|48.67|48.7|48.675|48.68|48.7|48.68|48.71|48.67|48.71|48.68|48.67|48.68|45.85|51.43|48.65|48.7|48.64|48.72|48.62|48.73|48.67|48.68|52.26|39.65|3668388|1182451879 66201|BKAG|BKAG|09661T602|US09661T6029|BNY Mellon ETF Trust|BNY Mellon Core Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BNY Mellon|Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-4|TXN4-5|TXN7-8|TXN1-1|TXN2-1|14050000|||Monthly|||||2020-04-24||BKAG.NV|BKAG.SO|BKAG.EU|BKAG.TC|BKAG.IV| | | | | | | | | |1x|BNY Mellon Core Bond ETF is an exchange-traded fund incorporated in the USA. The funds seeks investment results that track the Bloomberg Barclays US Aggregate Bond Index, before fees and expenses. The fund invests in a diversified holding of Treasuries, corporate & government-related bonds, and MBS, CMBS and ABS. |N|0|N|N|408A|USA|US|FIXED_INCOME|INDEX|||||||||N||N||||||N|0|Y||Y|1|||41.22|41.23|0.0|0.0|41.22|41.22|41.236|41.195|0.0|0.0|41.23|0.0|41.205|41.23|0.0|41.22|0.0|41.2293|0.0|41.2293|0.0|0.0|0.0|0.0|41.21|41.24|0.0|0.0|0.0|0.0|41.21|41.24|43.32|39.22|96581|19543979 24932|BKCC|BKCC|092533108|US0925331086|BlackRock Capital Investment Corp|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN5-4|TXN10-3|TXN5-7|TXN5-4|72570000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||||||3.86|3.86|0.0|0.0|3.86|3.855|3.852|3.86|0.0|0.0|3.85|3.85|3.85|3.85|0.0|3.85|0.0|3.855|0.0|3.85|3.81|3.9|2.97|4.75|3.81|3.9|3.83|3.88|3.84|3.87|3.85|3.86|3.92|3.03|125334|46069802 71143|BKCH|BKCH|37960A735|US37960A7357|Global X Blockchain ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN6-4|TXN11-8|TXN6-5|TXN5-5|2840000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||0.0|36.97|0.0|37.73|36.21|36.99|36.784|36.98|0.0|0.0|36.45|36.75|36.97|0.0|0.0|0.0|0.0|36.97|0.0|36.97|28.27|44.83|36.09|37.33|36.4|37.19|36.41|37.16|36.41|37.16|36.69|36.98|44.0|3.38|144599|10474086 72799|BKCI|BKCI|09661T834|US09661T8348|BNY Mellon ETF Trust|BNY Mellon Concentrated International ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BNY Mellon|Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-4|TXN1-2|TXN8-8|TXN1-6|TXN3-2|1650001|||Yearly|||||2021-12-08||BKCI.NV|BKCI.SO|BKCI.EU|BKCI.TC|BKCI.IV| | | | | | | | | |1x|The BNY Mellon Concentrated International ETF is an actively managed exchange-traded fund incorporated in the USA. To pursue its goal, the fund normally invests primarily in equity securities of foreign companies located in developed markets, excluding the United States|N|0|N|N|408A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|47.1489|47.36|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|47.14|0.0|47.14|0.0|0.0|0.0|0.0|47.11|47.14|0.0|0.0|0.0|0.0|47.11|47.14|49.0499|41.14|1206|979865 15710|BKD|BKD|112463104|US1124631045|Brookdale Senior Living Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|T|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-7|TXN3-8|TXN4-4|TXN3-8|TXN1-5|188240000|||NotApplicable|||||2005-11-22||||||| | | | | | | | | |||N|0|N|Y|122B|USA|US|||20|2010|201010|20101010|Health Care |Health Care |Health Care Providers|Health Care Facilities|N||N||||||Y|0|Y||Y|2|||5.34|5.35|0.0|5.36|5.35|5.345|5.35|5.345|0.0|0.0|5.35|5.34|5.345|5.34|5.35|5.35|5.345|5.345|5.35|5.35|5.34|5.35|5.31|5.38|5.34|5.35|5.31|5.38|5.31|5.36|5.34|5.35|5.58|2.27|1253173|421103722 74961|BKDT|BKDT|112463302|US1124633025|Brookdale Senior Living Inc.|7.00% Tangible Equity Units|Operating company|G|N|N|N|Y|Y|Y|Y|Y|6|T|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN3-5|TXN4-7|TXN3-5|TXN3-1|2880000|||Quarterly|||||2022-11-25|2025-11-15|||||| | | | | | | | | |||N|0|N|N|122B|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|74.4001|0.0|0.0|0.0|74.91|0.0|75.04|75.54|0.0|74.91|0.0|74.91|0.0|74.91|69.31|75.25|0.0|0.0|74.81|75.26|0.0|0.0|0.0|0.0|74.81|75.26|78.12|38.79|458|2314692 5089|BKE|BKE|118440106|US1184401065|The Buckle, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|I|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN4-4|TXN3-7|TXN2-4|TXN2-6|50450000|||Quarterly|||||1997-05-14||||||| | | | | | | | | |||N|0|N|Y|146F|USA|US|||40|4040|404010|40401020|Consumer Discretionary|Retail |Retailers |Apparel Retailers|N||N||||||Y|0|Y||Y|2|||40.33|40.37|0.0|40.38|40.32|40.32|40.33|40.355|0.0|0.0|40.34|40.37|40.355|40.37|40.24|40.36|39.91|40.32|40.02|40.36|40.32|40.36|30.8|49.0|40.13|40.56|40.28|40.42|40.28|40.36|40.32|40.36|50.3542|30.18|280650|90962581 66200|BKEM|BKEM|09661T503|US09661T5039|BNY Mellon ETF Trust|BNY Mellon Emerging Markets Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BNY Mellon|Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-4|TXN1-2|TXN8-8|TXN3-5|TXN1-1|1700000|||Quarterly|||||2020-04-24||BKEM.NV|BKEM.SO|BKEM.EU|BKEM.TC|BKEM.IV| | | | | | | | | |1x|The BNY MellonEmerging Markets Equity ETF is an exchange-traded fund. The fund seeks to tradck the performance of the Morningstar Emerging Markets Large Cap Index|N|0|N|N|408A|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|52.73|54.0899|54.25|0.0|0.0|0.0|0.0|0.0|54.07|0.0|0.0|0.0|54.0778|0.0|54.0778|0.0|0.0|0.0|0.0|53.99|54.15|0.0|0.0|0.0|0.0|53.99|54.15|59.1354|50.46|3313|2339852 72914|BKES|BKES|09661T883|US09661T8835|BNY Mellon ETF Trust|BNY Mellon Sustainable Global Emerging Markets ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BNY Mellon|Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN3-2|TXN8-8|TXN2-5|TXN3-2|250001|||Yearly|||||2021-12-15||BKES.NV|BKES.SO|BKES.EU|BKES.TC|BKES.IV| | | | | | | | | |1x|The BNY Mellon Sustainable Global Emerging Markets ETF is an actively managed exchange-traded fund incorporated in the USA. To pursue its goal, the fund normally invests at least 80% of its net assets (plus the amount of any borrowings for investment purposes) in equity securities of emerging market companies that demonstrate attractive investment attributes and sustainable business practices.|N|0|N|N|408A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|2|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|38.9001|0.0|38.9001|0.0|0.0|0.0|0.0|38.83|38.95|0.0|0.0|0.0|0.0|38.83|38.95|42.81|35.7998|0|66422 26260|BKF|BKF|464286657|US4642866572|iShares Inc.|iShares MSCI BIC ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-4|TXN4-5|TXN2-8|TXN4-3|TXN1-2|2050000|||BiAnnually|||||2007-11-16||BKF.NV|BKF.SO|BKF.EU|BKF.TC|BKF.IV| | | | | | | | | |1x|The iShares MSCI BRIC Index Fund seeks to provide investment results that correspond generally to the price and yield performance, before fees and expenses, of the MSCI BRIC Index. THE UNDERLYING INDEX IS A FREE FLOAT-ADJUSTED MARKET CAPITALIZATION INDEX THAT IS DESIGNED TO MEASURE THE COMBINED EQUITY MARKET PERFORMANCE IN BRAZIL, RUSSIA, INDIA AND CHINA (BRIC). THE UNDERLYING INDEX CONSISTS OF STOCKS TRADED PRIMARILY ON THE BM&FBOVESPA, RUSSIAN TRADING SYSTEM STOCK EXCHANGE, MOSCOW INTERBANK CURRENCY EXCHANGE, NATIONAL STOCK EXCHANGE OF INDIA, SHANGHAI STOCK EXCHANGE, SHENZEN STOCK EXCHANGE AND THE STOCK EXCHANGE OF HONG KONG. |N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|34.07|0.0|33.83|33.83|0.0|0.0|0.0|0.0|0.0|33.83|0.0|0.0|0.0|33.82|0.0|33.82|33.76|35.91|0.0|0.0|33.76|33.88|27.07|40.72|0.0|0.0|33.76|33.88|38.62|31.94|3893|2276011 74831|BKGI|BKGI|09661T826|US09661T8264|BNY Mellon Global Infrastructure Income ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-3|TXN3-5|TXN5-8|TXN3-5|TXN1-4|550000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|27.98|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|27.98|0.0|27.98|26.09|30.03|0.0|0.0|27.98|28.03|27.98|28.03|0.0|0.0|27.98|28.03|29.8133|24.63|300|340660 5092|BKH|BKH|092113109|US0921131092|Black Hills Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|M|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-5|TXN2-6|TXN4-8|TXN4-6|TXN1-5|67990000|||Quarterly|||||1980-07-09||||||| | | | | | | | | |||N|0|N|Y|302A|USA|US|||65|6510|651020|65102020|Utilities|Utilities|Gas, Water and Multi-utilities |Gas Distribution|N||N||||||Y|0|Y||Y|2|||53.42|53.42|0.0|53.47|53.46|53.42|53.4725|53.43|0.0|0.0|53.445|53.39|53.475|53.39|53.39|53.47|53.43|53.48|53.445|53.47|53.47|53.48|41.1|65.53|53.37|53.54|53.42|53.53|53.41|53.53|53.47|53.48|73.98|46.43|406450|120429313 66203|BKHY|BKHY|09661T800|US09661T8009|BNY Mellon ETF Trust|BNY Mellon High Yield Beta ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BNY Mellon|Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN1-8|TXN6-8|TXN4-5|TXN4-4|1350000|||Monthly|||||2020-04-24||BKHY.NV|BKHY.SO|BKHY.EU|BKHY.TC|BKHY.IV| | | | | | | | | |1x|BNY Mellon High Yield Beta ETF is an exchange-traded fund incorporated in the USA. The funds seeks investment results that track the Bloomberg Barclays US Corporate High Yield Index. The fund invests in USD denominated high yield U.S. corporate bonds.|N|0|N|N|408A|USA|US|FIXED_INCOME|INDEX|||||||||N||N||||||N|0|Y||Y|1|||0.0|0.0|0.0|0.0|46.28|46.36|46.31|46.43|0.0|0.0|46.28|0.0|46.27|0.0|0.0|0.0|0.0|46.31|0.0|46.31|0.0|0.0|0.0|0.0|46.3|46.36|0.0|0.0|0.0|0.0|46.31|46.36|48.73|44.042|7266|20589667 66199|BKIE|BKIE|09661T404|US09661T4040|BNY Mellon ETF Trust|BNY Mellon International Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BNY Mellon|Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-3|TXN2-5|TXN9-8|TXN2-6|TXN2-3|7600000|||Quarterly|||||2020-04-24||BKIE.NV|BKIE.SO|BKIE.EU|BKIE.TC|BKIE.IV| | | | | | | | | |1x|The BNY Mellon International Equity ETF is an exchange-traded fund. The fund seeks to tradck the performance of the Morningstar Developed Markets ex-US Large Cap Index|N|0|N|N|408A|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|1|||68.07|68.01|0.0|0.0|68.15|68.2|68.2|68.14|0.0|0.0|68.15|0.0|68.17|68.14|0.0|0.0|0.0|68.2|0.0|68.2|0.0|0.0|0.0|0.0|68.21|68.28|0.0|0.0|0.0|0.0|67.19|69.3|70.41|61.791|17756|8996796 72913|BKIS|BKIS|09661T875|US09661T8751|BNY Mellon ETF Trust|BNY Mellon Sustainable International Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BNY Mellon|Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-4|TXN2-5|TXN6-8|TXN1-7|TXN3-2|200001|||Yearly|||||2021-12-15||BKIS.NV|BKIS.SO|BKIS.EU|BKIS.TC|BKIS.IV| | | | | | | | | |1x|The BNY Mellon Sustainable International Equity ETF is an actively managed exchange-traded fund incorporated in the USA. To pursue its goal, the fund normally invests at least 80% of its net assets (plus the amount of any borrowings for investment purposes) in equity securities of foreign companies that demonstrate attractive investment attributes and sustainable business practices|N|0|N|N|408A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|2|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|43.243|0.0|43.243|0.0|0.0|0.0|0.0|43.17|43.33|0.0|0.0|0.0|0.0|43.17|43.33|45.9444|39.0331|0|40998 75715|BKIV|BKIV|09661T818|US09661T8181|BNY Mellon Innovators ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN5-3|TXN14-8|TXN5-5|TXN5-2|400000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|26.2007|0.0|0.0|0.0|0.0|0.0|0.0|26.2007|25.92|26.45|0.0|0.0|26.17|26.21|26.17|26.21|0.0|0.0|26.17|26.21|29.0307|22.2|4|28203 68138|BKKT|BKKT|05759B107|US05759B1070|Bakkt Holdings, Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|H|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN3-4|TXN2-4|TXN3-6|TXN1-3|91430000|||NotApplicable|||||2021-10-18||||||| | | | | | | | | |||N|0|N|Y|408A|USA|US|||30|3020|302020|30202015|Financials|Financial Services |Investment Banking and Brokerage Services |Investment Services|N||N||||||Y|0|Y||Y|2|||2.01|2.005|0.0|2.08|2.01|2.01|2.005|2.0|0.0|0.0|2.01|2.01|2.005|2.01|2.01|1.99|2.01|2.01|2.0|1.99|2.0|2.01|1.64|2.44|2.0|2.01|1.99|2.03|1.99|2.04|2.0|2.01|2.87|0.6411|8650476|490174856 68139|BKKT WS|BKKT.WS|05759B115|US05759B1153|Bakkt Holdings, Inc.|Warrants to purchase Class A Common Stock|Operating company|C|N|N|N|Y|Y|Y|Y|Y|5|H|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN2-8|TXN4-7|TXN1-5|TXN2-6|TXN4-8|91420000|||NotApplicable|||||2021-10-18|2026-10-15|||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||||||||||N||N||||||N|0|Y||N||||0.24|0.2602|0.0|0.0|0.0|0.2602|0.27|0.2359|0.0|0.0|0.2699|0.2747|0.275|0.26|0.26|0.27|0.0|0.27|0.0|0.27|0.24|0.275|0.1944|0.324|0.225|0.2775|0.1944|0.324|0.0|0.0|0.24|0.275|0.4798|0.0778|118186|5155722 66105|BKLC|BKLC|09661T107|US09661T1079|BNY Mellon ETF Trust|BNY Mellon US Large Cap Core Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BNY Mellon|Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-6|TXN2-4|TXN7-5|TXN3-6|TXN4-4|21870000|||Quarterly|||||2020-04-09||BKLC.NV|BKLC.SO|BKLC.EU|BKLC.TC|BKLC.IV| | | | | | | | | |1x|The BNY Mellon US Large Cap Core Equity ETF is an exchange-traded fund. The fund seeks to track the performance of the Morningstar US Large Cap Index|N|0|N|N|408A|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|1|||0.0|86.79|0.0|0.0|86.66|86.56|86.755|86.635|0.0|0.0|86.23|0.0|86.62|86.65|0.0|0.0|0.0|86.79|0.0|86.79|80.32|92.07|80.32|92.07|86.72|86.82|80.32|92.07|0.0|0.0|86.72|86.82|87.315|69.06|37398|33799634 37256|BKLN|BKLN|46138G508|US46138G5080|Invesco Exchange-Traded Fund Trust II|Invesco Senior Loan ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Invesco|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-1|TXN2-1|TXN8-7|TXN1-5|TXN3-4|247200000|||Monthly|||||2011-03-03||BKLN.NV|BKLN.SO|BKLN.EU|BKLN.TC|BKLN.IV| | | | | | | | | |1x|The Fund seeks investment results that correspond (before fees and expenses) generally to the price and yield of the S&P/LSTA U.S. Leveraged Loan 100 Index. The Underlying Index is designed to track the market-weighted performance of the largest institutional leveraged loans based on market weightings, spreads and interest payments.|N|0|N|N|406C|USA|US|FIXED_INCOME|INDEX|||||||||N||N||||||Y|0|Y||Y|1|||20.91|20.92|0.0|20.91|20.91|20.92|20.92|20.92|0.0|0.0|20.92|20.92|20.92|20.915|20.92|20.92|20.92|20.91|20.93|20.91|20.92|20.93|20.75|20.96|20.92|20.93|20.9|20.94|20.75|20.96|20.92|20.93|21.27|20.33|7177665|1733129706 66106|BKMC|BKMC|09661T206|US09661T2069|BNY Mellon ETF Trust|BNY Mellon US Mid Cap Core Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BNY Mellon|Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-4|TXN4-7|TXN2-8|TXN2-6|TXN4-2|5570000|||Quarterly|||||2020-04-09||BKMC.NV|BKMC.SO|BKMC.EU|BKMC.TC|BKMC.IV| | | | | | | | | |1x|The BNY Mellon US Mid Cap Core Equity ETF is an exchange-traded fund. The fund seeks to track the performance of the Morningstar US Mid Cap Index|N|0|N|N|408A|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|1|||0.0|81.62|0.0|0.0|0.0|0.0|85.76|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|85.9434|0.0|85.9434|0.0|0.0|0.0|0.0|85.88|85.96|0.0|0.0|0.0|0.0|85.88|85.96|88.03|74.815|8512|15187966 5095|BKN|BKN|09247D105|US09247D1054|BlackRock Investment Quality Municipal Trust, Inc.|Common Stock|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN4-3|TXN6-8|TXN1-5|TXN3-2|17210000|||Monthly|||||1993-02-19||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||11.42|11.4|0.0|11.42|11.4|11.395|11.39|11.47|0.0|0.0|11.35|11.37|11.395|11.34|11.41|11.39|11.49|11.395|0.0|11.39|11.39|11.4|8.72|13.91|10.58|12.1|11.37|11.42|11.35|11.39|11.39|11.4|13.23|9.57|103644|14415409 3067|BKNG|BKNG|09857L108|US09857L1089|Booking Holdings Inc|COM USD.008||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|4|0.01|0.01|5000000|1|100|TXN14-7|TXN6-6|TXN14-3|TXN6-8|TXN6-5|34890000|||NotApplicable|||||||||||| | | | | | | | | |||N|1|Y|N||USA||||40|4050|405010|40501015|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Travel and Tourism|N||N||||||Y|0|Y||||||3140.26|3132.95|0.0|3151.62|3149.26|3124.47|3131.065|3134.98|0.0|0.0|3119.48|3185.7|3134.48|0.0|3131.08|3142.44|3184.04|3133.37|3126.6|3134.48|3105.48|3162.49|2943.75|3323.68|3113.22|3164.18|3127.52|3140.43|0.0|3134.45|3133.16|3134.45|3251.7094|1907.38|235846|69512159 5064|BKR|BKR|05722G100|US05722G1004|Baker Hughes a GE Co|COM A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN5-6|TXN11-6|TXN6-8|TXN5-3|1006230000|||NotApplicable|||||||||||| | | | | | | | | |||N|5|Y|N||USA||||60|6010|601010|60101030|Energy|Energy|Oil, Gas and Coal|Oil Equipment and Services|N||N||||||Y|0|Y||||||33.73|33.73|0.0|33.75|33.74|33.735|33.74|33.74|0.0|0.0|33.74|33.74|33.75|33.74|33.75|33.735|33.76|33.74|33.74|33.75|33.72|33.75|31.28|35.91|33.72|33.75|33.69|33.78|33.69|33.78|33.73|33.74|37.575|26.12|6720417|1593703592 66107|BKSE|BKSE|09661T305|US09661T3059|BNY Mellon ETF Trust|BNY Mellon US Small Cap Core Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BNY Mellon|Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-2|TXN4-6|TXN4-8|TXN3-8|TXN3-2|1250000|||Quarterly|||||2020-04-09||BKSE.NV|BKSE.SO|BKSE.EU|BKSE.TC|BKSE.IV| | | | | | | | | |1x|The BNY Mellon US Small Cap Core Equity ETF is an exchange-traded fund. The fund seeks to track the performance of the Morningstar US Small Cap Index|N|0|N|N|408A|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|85.74|86.7801|86.93|0.0|0.0|0.0|0.0|0.0|86.78|0.0|0.0|0.0|87.0988|0.0|87.0988|0.0|0.0|0.0|0.0|87.0|87.12|0.0|0.0|0.0|0.0|87.0|87.12|89.8904|74.88|4560|2924922 65270|BKSY|BKSY|09263B108|US09263B1089|BlackSky Technology Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|H|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN4-4|TXN8-8|TXN2-1|TXN2-7|142990000|||NotApplicable|||||2019-12-20||||||| | | | | | | | | |||N|0|N|Y|100A|USA|US|||50|5020|502010|50201010|Industrials|Industrial Goods and Services|Aerospace and Defense|Aerospace|N||N||||||Y|0|Y||Y|2|||1.34|1.34|0.0|0.0|1.34|1.335|1.335|1.335|0.0|0.0|1.335|1.32|1.335|1.33|0.0|1.34|1.32|1.34|1.33|1.34|1.33|1.34|1.04|1.59|1.33|1.34|1.3|1.37|1.29|1.34|1.33|1.34|2.365|1.04|545306|208100511 65271|BKSY WS|BKSY.WS|09263B116|US09263B1162|BlackSky Technology Inc.|Redeemable Warrants, each whole Warrant exercisable for one share of Class A Common Stock|Operating company|C|N|N|N|Y|Y|Y|Y|Y|5|H|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN5-8|TXN2-8|TXN1-5|TXN3-2|TXN1-5|140540000|||NotApplicable|||||2019-12-20|2026-09-09|||||| | | | | | | | | |||N|0|N|N|100A|USA|US|||||||||||N||N||||||N|0|Y||N||||0.0|0.0|0.0|0.0|0.0|0.07|0.0687|0.0|0.0|0.0|0.0688|0.0688|0.0|0.0|0.0|0.07|0.0|0.07|0.0|0.07|0.062|0.0718|0.0|0.0|0.0579|0.0765|0.0|0.0|0.0|0.0|0.062|0.0718|0.28|0.058078|4497|6674112 5098|BKT|BKT|09247F209|US09247F2092|BlackRock Income Trust, Inc.|Common Stock|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN1-7|TXN7-8|TXN2-5|TXN2-3|21300000|||Monthly|||||1988-07-22||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||0.0|11.72|0.0|11.72|11.72|11.725|11.72|11.72|0.0|0.0|11.75|11.7|11.725|11.75|0.0|11.72|11.74|11.72|0.0|11.72|11.72|11.75|9.0|14.41|11.66|12.48|11.69|11.76|11.7|11.75|11.72|11.73|13.3001|10.55|78491|13305322 9028|BKTI|BKTI|05587G203|US05587G2030|BK Technologies Corporation|Common Stock|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Brendan E. Cryan and Company, L.L.C.|CRYN|0235|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-6|TXN1-8|TXN8-8|TXN4-1|TXN3-3|3460000|||Quarterly|||||2005-10-14||||||| | | | | | | | | |||N|0|N|N|180A|USA|US|||15|1510|151010|15101010|Telecommunications|Telecommunications|Telecommunications Equipment|Telecommunications Equipment|N||N||||||N|0|Y|C|Y|2|||0.0|12.42|0.0|0.0|0.0|12.51|12.5044|12.51|0.0|0.0|0.0|0.0|12.59|0.0|0.0|12.94|12.51|12.51|0.0|12.51|11.87|13.76|12.35|13.1|11.83|13.88|0.0|0.0|0.0|0.0|11.95|13.24|16.85|2.31|13053|3774850 36453|BKU|BKU|06652K103|US06652K1034|BankUnited, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-7|TXN4-8|TXN5-8|TXN3-3|TXN1-8|74380000|||Quarterly|||||2011-01-28||||||| | | | | | | | | |||N|0|N|Y|408A|USA|US|||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||Y|2|||29.57|29.55|0.0|29.54|29.56|29.57|29.535|29.52|0.0|0.0|29.53|29.45|29.53|29.55|29.45|29.53|29.53|29.53|29.56|29.53|29.53|29.54|23.01|36.28|29.48|29.62|29.48|29.59|29.47|29.6|29.53|29.54|40.22|15.83|838692|226094960 71379|BKUI|BKUI|09661T859|US09661T8595|BNY Mellon ETF Trust|BNY Mellon Ultra Short Income ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BNY Mellon|Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-8|TXN3-2|TXN6-8|TXN4-4|TXN3-2|650001|||Monthly|||||2021-08-11||BKUI.NV|BKUI.SO|BKUI.EU|BKUI.TC|BKUI.IV| | | | | | | | | |1x|The fund seeks high current income consistent with the maintenance of liquidity and low volatility of principal.|N|0|N|N|408A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|49.144|49.27|49.27|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|49.27|0.0|49.27|0.0|0.0|0.0|0.0|49.27|49.29|0.0|0.0|0.0|0.0|49.27|49.28|49.405|48.7823|1207|788665 72912|BKUS|BKUS|09661T867|US09661T8678|BNY Mellon ETF Trust|BNY Mellon Sustainable US Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BNY Mellon|Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-8|TXN1-6|TXN3-8|TXN4-2|TXN3-2|200001|||Yearly|||||2021-12-15||BKUS.NV|BKUS.SO|BKUS.EU|BKUS.TC|BKUS.IV| | | | | | | | | |1x|The BNY Mellon Sustainable US Equity ETF is an actively managed exchange-traded fund incorporated in the USA. 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517|BLDR|BLDR|12008R107|US12008R1077|Builders FirstSource, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|R|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-2|TXN1-3|TXN8-5|TXN3-4|TXN3-5|123350000|||NotApplicable|||||2021-07-19||||||| | | | | | | | | |||N|0|Y|Y|110A|USA|US|||50|5010|501010|50101035|Industrials|Construction and Materials|Construction and Materials |Building Materials: Other|N||N||||||Y|0|Y||Y|1|||136.98|136.89|0.0|136.85|136.78|136.8|136.79|136.81|0.0|0.0|136.76|136.97|136.95|136.9|136.99|136.86|137.05|136.83|136.99|136.86|136.83|136.85|129.6|145.44|136.18|137.0|136.64|136.99|136.6|136.99|136.83|136.85|156.85|60.43|2082899|433157829 5104|BLE|BLE|09249N101|US09249N1019|BlackRock Municipal Income Trust II|Common Shares of Beneficial 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LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-8|TXN3-5|TXN9-8|TXN1-4|TXN3-8|5000000|||Quarterly|||||2017-02-27||BLES.NV|BLES.SO|BLES.EU|BLES.TC|BLES.IV| | | | | | | | | |1x|Selection of foreign and domestic large capitalization equity securities included in the Russell 1,000 Index, MSCI EAFE Index and MSCI Emergin Markets Large cap Index using an Inspire Impact Score designed to assign a score to a particular security based on the securitys alignment with biblical values and the positive impact that company has on the world through various environmental, social and governance 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| | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0086|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0086|0.0|0.0086|0.0068|0.018|0.0068|0.018|0.0068|0.018|0.0068|0.018|0.0|0.0|0.0086|0.0149|0.09|0.0038|15000|2155477 10781|BLFS|BLFS|09062W204|US09062W2044|Biolife Solutions Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN5-2|TXN10-5|TXN5-6|TXN6-7|45050000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||Y|0|Y||||||13.49|13.85|0.0|13.86|13.86|13.77|13.87|13.84|0.0|0.0|13.85|13.8|13.86|13.83|13.73|13.855|0.0|13.83|13.84|13.86|13.72|14.0|10.58|17.02|13.73|13.98|13.8|13.89|13.8|13.89|13.83|13.85|26.89|8.9201|461969|94057044 71173|BLFY|BLFY|09549B104|US09549B1044|Blue Foundry Bancorp|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN5-2|TXN12-4|TXN5-6|TXN6-4|24930000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||||||9.08|9.07|0.0|0.0|9.07|9.24|9.17|9.07|0.0|0.0|9.21|0.0|9.07|9.07|0.0|0.0|0.0|9.07|0.0|9.07|8.96|9.29|6.96|11.38|8.98|9.27|6.96|10.86|0.0|0.0|9.07|9.14|13.05|7.08|73481|21691357 24959|BLIN|BLIN|10807Q700|US10807Q7007|Bridgeline Digital Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-8|TXN5-5|TXN11-4|TXN6-4|TXN6-7|10420000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||N|0|Y||||||0.8|0.7902|0.0|0.0|0.8|0.7902|0.799899|0.7902|0.0|0.0|0.7903|0.0|0.794|0.0|0.0|0.0|0.0|0.799899|0.0|0.799899|0.741|0.84|0.632|0.9781|0.7408|0.8532|0.632|0.936|0.0|0.0|0.7937|0.8|1.45|0.7011|25006|10672757 5108|BLK|BLK|09247X101|US09247X1019|BlackRock, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|4|0.01|0.01|5000000|1|100|TXN5-2|TXN4-5|TXN3-4|TXN3-1|TXN4-6|148760000|||Quarterly|||||1999-10-01||||||| | | | | | | | | |||N|1|Y|Y|408A|USA|US|||30|3020|302020|30202010|Financials|Financial Services |Investment Banking and Brokerage Services |Asset Managers and Custodians|N||N||||||Y|0|Y||Y|1|||756.51|756.35|0.0|756.55|756.34|756.57|756.32|756.32|0.0|0.0|756.61|756.13|756.31|756.5|754.69|756.43|754.46|756.55|756.38|756.43|756.42|756.63|702.66|802.67|756.05|756.94|755.54|757.14|756.42|757.23|756.42|756.63|781.77|596.18|767881|148367061 518|BLKB|BLKB|09227Q100|US09227Q1004|Blackbaud Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN6-1|TXN11-6|TXN5-5|TXN6-1|53850000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||||||80.56|80.52|0.0|80.46|80.14|80.5|80.48|80.5|0.0|0.0|80.53|79.79|80.49|80.32|80.27|80.37|78.13|80.49|79.36|80.49|79.73|81.36|62.11|97.7|79.85|81.26|80.38|80.64|0.0|80.57|80.49|80.53|80.64|53.39|310323|45366470 71961|BLKC|BLKC|46138G524|US46138G5247|Invesco Alerian Galaxy Blockchain Users and Decentralized Commerce ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-5|TXN3-2|TXN9-8|TXN4-8|TXN2-3|200000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|16.081|0.0|0.0|0.0|0.0|16.0598|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|16.081|0.0|16.081|14.99|17.27|0.0|0.0|15.99|16.14|15.99|16.14|0.0|0.0|16.04|16.11|16.14|7.76|1521|227593 74568|BLLD|BLLD|46654Q500|US46654Q5009|JPMorgan Sustainable Infrastructure ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN6-3|TXN13-7|TXN6-8|TXN5-2|530000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|47.67|0.0|0.0|0.0|0.0|0.0|0.0|47.67|0.0|0.0|0.0|0.0|47.06|48.3|0.0|0.0|0.0|0.0|47.67|47.78|51.93|39.55|150|258858 40524|BLMN|BLMN|094235108|US0942351083|Bloomin' Brands Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN5-1|TXN12-8|TXN6-1|TXN6-5|86810000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4050|405010|40501040|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Restaurants and Bars|N||N||||||Y|0|Y||||||24.34|24.35|0.0|0.0|24.34|24.345|24.35|24.35|0.0|0.0|24.34|24.34|24.35|24.34|24.36|24.35|24.365|24.34|24.34|24.35|24.31|24.37|18.84|30.06|24.31|24.39|24.34|24.38|24.29|24.38|24.34|24.36|28.67|19.965|862036|358077672 71171|BLND|BLND|09352U108|US09352U1088|Blend Labs, Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|A|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN1-5|TXN4-7|TXN4-5|TXN4-4|238410000|||NotApplicable|||||2021-07-16||||||| | | | | | | | | |||N|0|N|Y|180B|USA|US|||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||Y|2|||1.46|1.45|0.0|1.4|1.45|1.46|1.455|1.46|0.0|0.0|1.46|1.45|1.46|1.49|1.52|1.46|1.505|1.455|1.46|1.46|1.45|1.46|1.2|1.78|1.45|1.46|1.43|1.49|1.44|1.47|1.45|1.46|2.18|0.5286|1205349|312709215 60666|BLNK|BLNK|09354A100|US09354A1007|Blink Charging Co|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN6-1|TXN12-3|TXN5-2|TXN6-3|67410000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4010|401010|40101010|Consumer Discretionary|Automobiles and Parts|Automobiles and Parts|Auto Services |N||N||||||Y|0|Y||||||3.2|3.2|0.0|3.21|3.21|3.21|3.205|3.2|0.0|0.0|3.21|3.21|3.22|3.19|3.22|3.205|3.21|3.2|3.195|3.22|3.19|3.21|2.49|3.95|3.2|3.21|3.18|3.24|3.18|3.22|3.2|3.21|15.4|2.22|4032612|548349944 60414|BLOK|BLOK|032108607|US0321086078|Amplify ETF Trust|Amplify Transformational Data Sharing ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Amplify Investments|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-5|TXN1-1|TXN9-7|TXN3-6|TXN3-2|22550000|||Yearly|||||2018-01-17||BLOK.NV|BLOK.SO|BLOK.EU|BLOK.TC|BLOK.IV| | | | | | | | | ||BLOK is an active ETF designed to outperform the Emerita EQM Capital Blockchain Leaders 50 Index . The fund also anticipates having a minority exposure to exchange listed digital commodity products that utilize blockchain technology.|N|0|N|N|406B|USA|US|EQUITY|ACTIVE|||||||||N||N||||||Y|0|Y||Y|1|||26.4|26.43|0.0|0.0|26.43|26.45|26.42|26.34|0.0|0.0|26.49|25.23|26.37|26.49|26.23|26.48|26.26|26.4|0.0|26.4|24.79|28.13|25.93|26.6|26.4|26.42|26.03|26.6|26.03|26.6|26.4|26.42|27.395|14.68|334509|40309978 38545|BLRX|BLRX|09071M205|US09071M2052|Bioline RX Ltd|SPON ADR||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN6-3|TXN12-7|TXN5-6|TXN6-6|1083250000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||ISR||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||0.0|1.61|0.0|1.57|1.62|1.61|1.61|1.61|0.0|0.0|1.61|1.61|1.62|1.592|0.0|1.6|0.0|1.61|0.0|1.61|1.6|1.63|1.22|1.93|1.6|1.63|1.58|1.64|1.59|1.63|1.6|1.62|2.53|0.545|303843|139978091 73967|BLTE|BLTE|07782B104|US07782B1044|Belite Bio Inc|ADS||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN5-6|TXN12-5|TXN6-3|TXN6-6|25230000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||42.03|42.03|0.0|41.87|42.02|41.85|41.75|41.76|0.0|0.0|42.05|42.05|41.8|41.91|41.91|41.975|0.0|41.89|41.0|41.8|32.25|51.65|32.25|51.65|38.93|43.0|41.46|42.22|41.76|42.3|41.76|42.0|42.5|11.0|201427|14361323 69836|BLUA|BLUA|G1261Q107|KYG1261Q1073|BlueRiver Acquisition Corp.|Class A Ordinary Shares|Special purpose acquisition company|A|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN1-7|TXN2-8|TXN4-3|TXN3-1|2670000|||NotApplicable|||||2023-03-24||||||| | | | | | | | | |||N|0|N|N|408A|USA|KY|||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.61|10.61|0.0|10.61|0.0|0.0|10.61|10.64|9.96|10.64|0.0|0.0|0.0|0.0|9.96|10.64|12.0|9.97|203|10694165 69839|BLUA WS|BLUA.WS|G1261Q115|KYG1261Q1156|BlueRiver Acquisition Corp.|Warrants, each whole warrant exercisable for one Class A Ordinary Share at an exercise price of $11.50|Special purpose acquisition company|C|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN11-2|TXN1-1|TXN4-8|TXN1-1|TXN3-4|0|||NotApplicable|||||2023-03-24||||||| | | | | | | | | |||N|0|N|N|408A|USA|KY|||||||||||N||N||||||N|0|Y|C|N||||0.0|0.0|0.0|0.0|0.0|0.035|0.015|0.035|0.0|0.0|0.0351|0.0353|0.035|0.0|0.0|0.0|0.035|0.035|0.0|0.035|0.0|0.0|0.0263|0.04|0.01|0.04|0.0|0.0|0.0|0.0|0.03|0.04|0.1644|0.0036|71400|3583246 68941|BLUA U|BLUA.U|G1261Q123|KYG1261Q1230|BlueRiver Acquisition Corp.|Units, each consisting of one Class A ordinary share, and one-third of a redeemable Warrant to acquire one Class A ordinary shares|Special purpose acquisition company|R|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-7|TXN1-6|TXN2-8|TXN1-2|TXN3-5|0|||NotApplicable|||||2023-03-24||||||| | | | | | | | | |||N|0|N|N|408A|USA|KY|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|10.78|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.56|10.56|0.0|10.56|10.56|13.2|10.55|11.0|10.55|11.16|8.45|13.2|0.0|0.0|10.55|11.0|11.62|9.61|4|345187 42232|BLUE|BLUE|09609G100|US09609G1004|bluebird bio Inc|COM USD0.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN5-1|TXN12-4|TXN5-5|TXN6-2|109340000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||4.46|4.47|0.0|4.41|4.47|4.465|4.4695|4.46|0.0|0.0|4.46|4.47|4.47|4.46|4.455|4.46|4.46|4.46|4.46|4.47|4.42|4.5|3.4|5.51|4.46|4.5|4.43|4.49|4.45|4.48|4.46|4.47|8.58|2.52|5034555|956272363 24595|BLV|BLV|921937793|US9219377937|Vanguard Bond Index Funds|Vanguard Long-Term Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Vanguard|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-3|TXN3-2|TXN2-7|TXN3-4|TXN1-2|78900000|||Monthly|||||2008-09-19||BLV.NV|BLV.SO|BLV.EU|BLV.TC|BLV.IV| | | | | | | | | |1x|The fund employs a passive managementor indexingstrategy designed to track the performance of the Barclays Capital U.S.Long Government/Credit Bond Index. This index includes all medium and larger issues of U.S. government, investment-grade corporate, and investment-grade international dollar-denominated bonds that have maturities of greater than 10 years and are publicly issued. The fund invests by sampling the index, meaning that it holds a range of securities that, in the aggregate, approximates the full index in terms of key risk factors and other characteristics. All of the funds investments will be selected through the sampling process, and at least 80% of the funds assets will be invested in bonds held in the index. The fund maintains a dollar-weighted average maturity consistent with that of the index, which currently ranges between 15 and 30 years.|N|0|N|N|416A|USA|US|FIXED_INCOME|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||70.36|70.37|0.0|0.0|70.36|70.4|70.37|70.36|0.0|0.0|70.36|70.36|70.36|70.36|70.4|70.36|70.55|70.34|70.36|70.34|70.35|73.93|66.05|75.09|70.35|70.4|66.84|73.93|68.95|71.83|70.35|70.53|79.215|62.95|544289|141334416 5116|BLW|BLW|09249W101|US09249W1018|Blackrock Limited Duration Income Trust|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN4-8|TXN1-5|TXN4-3|TXN2-5|35670000|||Monthly|||||2003-07-29||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||13.07|13.15|0.0|0.0|13.16|13.17|13.16|13.16|0.0|0.0|13.17|12.4521|13.16|13.18|12.96|13.18|0.0|13.16|0.0|13.18|13.15|13.18|10.16|16.13|12.3|14.05|13.13|13.2|13.13|13.19|13.15|13.18|14.13|12.35|84567|17526482 5117|BLX|BLX|P16994132|PAP169941328|Banco Latinoamericano de Comercio Exterior, S.A.|Class E Common Stock|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN1-5|TXN8-8|TXN2-6|TXN3-3|27890000|||Quarterly|||||1992-09-24||||||| | | | | | | | | |||N|0|N|Y|402A|PAN|PA|||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||Y|2|||24.78|24.69|0.0|24.71|24.68|24.68|24.66|24.77|0.0|0.0|24.76|24.51|24.675|24.68|24.45|24.68|24.7|24.66|24.55|24.68|24.65|24.68|19.11|30.52|24.59|24.77|24.59|24.74|24.56|24.68|24.65|24.68|25.515|15.58|124568|23286467 72347|BLZE|BLZE|05637B105|US05637B1052|Backblaze Inc|COM CL A USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN5-7|TXN13-4|TXN6-7|TXN6-3|37600000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||||||7.28|7.29|0.0|7.32|7.29|7.29|7.29|7.29|0.0|0.0|7.29|7.35|7.3|7.29|7.32|7.36|7.3|7.29|0.0|7.3|7.21|7.38|5.68|9.0|7.23|7.36|7.26|7.32|7.26|7.32|7.29|7.3|8.19|3.5|410295|35445528 16253|BMA|BMA|05961W105|US05961W1053|Banco Macro S.A.|American Depositary Shares (Each representing Ten Class B Common Shares|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|8|A|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN4-2|TXN6-8|TXN2-8|TXN2-2|628180000|||Yearly|||||2006-03-24||||||| | | | | | | | | |||N|0|N|Y|402B|ARG|AR|||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||Y|2|||27.06|26.97|0.0|27.05|27.09|27.09|26.96|27.1|0.0|0.0|27.09|27.06|26.98|26.97|27.48|27.0|26.84|27.01|27.31|27.0|26.96|27.07|20.36|33.17|26.91|27.62|26.87|27.19|26.85|27.07|26.96|27.07|30.3212|12.9|337486|66604983 72363|BMAC|BMAC|09216A108|US09216A1088|Black Mountain Acquisition Corp.|Class A Common Stock|Special purpose acquisition company|A|N|N|N|Y|Y|Y|Y|Y|5|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN4-4|TXN2-8|TXN3-4|TXN2-4|11750000|||NotApplicable|||||2021-11-12||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|10.53|0.0|0.0|10.52|10.53|0.0|10.53|0.0|0.0|10.53|0.0|10.53|0.0|0.0|10.53|0.0|10.53|0.0|10.53|10.52|10.53|10.52|10.54|10.27|10.75|0.0|0.0|0.0|0.0|10.52|10.53|11.79|10.1|9674|15959109 72364|BMAC WS|BMAC.WS|09216A116|US09216A1161|Black Mountain Acquisition Corp.|Warrants, exercisable for one share of Class A Common Stock|Special purpose acquisition company|C|N|N|N|Y|Y|Y|Y|Y|5|T|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN3-8|TXN3-8|TXN3-8|TXN4-8|TXN1-2|0|||NotApplicable|||||2021-11-12||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||||||||||N||N||||||N|0|Y|C|N||||0.0|0.0|0.0|0.0|0.0|0.015|0.0267|0.0|0.0|0.0|0.0159|0.0|0.015|0.0|0.0|0.0277|0.0|0.0277|0.0|0.0277|0.0178|0.03|0.0|0.0|0.015|0.05|0.0|0.0|0.0|0.0|0.02|0.03|0.11|0.0075|77329|7379359 72024|BMAC U|BMAC.U|09216A207|US09216A2078|Black Mountain Acquisition Corp.|Units, each consisting of one share of Class A common stock and three quarters of one warrant|Special purpose acquisition company|R|N|N|N|Y|Y|Y|Y|Y|5|T|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN3-7|TXN8-8|TXN2-8|TXN4-2|0|||NotApplicable|||||2021-10-14||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|10.6|0.0|0.0|0.0|0.0|0.0|10.67|0.0|0.0|10.6|0.0|10.6|0.0|10.6|10.43|10.61|0.0|0.0|10.43|11.09|8.39|12.99|0.0|0.0|10.43|10.61|11.55|10.04|86|192581 65723|BMAR|BMAR|45782C391|US45782C3916|Innovator US Equity Buffer ETF - March|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-6|TXN1-4|TXN9-8|TXN4-6|TXN2-2|2400000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||38.34|38.4223|0.0|0.0|0.0|38.34|38.3501|0.0|0.0|0.0|38.35|0.0|38.34|38.34|0.0|38.34|38.35|38.4223|0.0|38.4223|38.03|38.83|38.33|38.4|38.38|38.46|35.88|38.52|38.31|38.52|38.38|38.46|38.5646|31.71|3958|3188440 66259|BMAY|BMAY|45782C326|US45782C3262|Innovator US Equity Buffer ETF - May|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-3|TXN1-2|TXN9-8|TXN1-8|TXN2-4|3530000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||32.71|32.7695|0.0|0.0|32.71|32.745|32.7695|32.74|0.0|0.0|0.0|0.0|0.0|32.71|0.0|0.0|0.0|32.7695|32.71|32.7695|32.69|32.76|32.7|32.77|32.74|32.82|32.69|32.86|32.74|32.81|32.74|32.81|32.9052|28.59|4459|6599165 69157|BMBL|BMBL|12047B105|US12047B1052|Bumble Inc|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN6-8|TXN11-2|TXN5-7|TXN6-5|136750000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101010|10101020|Technology|Technology|Software and Computer Services|Consumer Digital Services |N||N||||||Y|0|Y||||||14.35|14.36|0.0|14.35|14.36|14.36|14.37|14.355|0.0|0.0|14.36|14.35|14.37|14.35|14.32|14.37|14.32|14.36|14.34|14.37|14.32|14.39|11.13|17.72|14.34|14.4|14.32|14.39|14.32|14.39|14.36|14.37|27.92|12.29|1838189|556736005 5121|BME|BME|09250W107|US09250W1071|BlackRock Health Sciences Trust|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN1-8|TXN2-7|TXN1-5|TXN1-3|12570000|||Monthly|||||2005-03-29||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||38.55|38.54|0.0|38.54|38.51|38.55|38.5401|38.57|0.0|0.0|38.54|38.54|38.545|38.554|0.0|38.52|38.55|38.53|0.0|38.52|38.53|38.56|29.69|47.44|38.26|41.31|38.48|38.61|38.5|38.55|38.53|38.56|45.0368|35.53|42613|7282200 70243|BMEA|BMEA|09077A106|US09077A1060|Biomea Fusion Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN5-5|TXN10-4|TXN6-8|TXN5-8|35710000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||19.81|19.82|0.0|19.82|19.83|19.8|19.825|19.83|0.0|0.0|19.82|19.85|19.8|19.94|20.12|19.82|20.13|19.84|19.97|19.8|19.38|20.25|15.53|24.45|19.44|20.16|19.73|20.07|19.76|19.89|19.82|19.85|43.69|6.04|3912138|158838162 67716|BMED|BMED|09290C400|US09290C4006|BlackRock ETF Trust|BlackRock Future Health ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-3|TXN4-4|TXN5-8|TXN1-6|TXN4-3|160000|||BiAnnually|||||2020-10-01||BMED.NV|BMED.SO|BMED.EU|BMED.TC|BMED.IV| | | | | | | | | ||The BlackRock Future Health ETF seeks to maximize total return by|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||Y|0|Y||Y|2|||0.0|21.28|0.0|0.0|0.0|0.0|22.6904|0.0|0.0|0.0|0.0|0.0|22.61|0.0|0.0|0.0|0.0|22.7113|0.0|22.7113|17.98|27.58|0.0|0.0|22.67|22.74|17.98|27.58|0.0|0.0|22.67|22.74|24.9644|20.59|703|170885 65462|BMEZ|BMEZ|09260E105|US09260E1055|BlackRock Health Sciences Term Trust|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-4|TXN1-7|TXN9-3|TXN4-4|TXN2-5|112670000|||Monthly|||||2020-01-29||||||| | | | | | | | | |||N|0|N|N|406B|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||14.15|14.14|0.0|14.16|14.15|14.145|14.14|14.15|0.0|0.0|14.15|14.15|14.145|14.14|14.14|14.14|14.15|14.14|14.12|14.14|14.14|14.15|10.85|17.16|14.13|14.16|14.12|14.18|14.13|14.16|14.14|14.15|17.045|12.93|514568|80201761 5122|BMI|BMI|056525108|US0565251081|Badger Meter Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|R|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN3-8|TXN4-8|TXN2-5|TXN1-3|29350000|||Quarterly|||||2008-06-17||||||| | | | | | | | | |||N|0|N|Y|126C|USA|US|||50|5020|502020|50202025|Industrials|Industrial Goods and Services|Electronic and Electrical Equipment|Electronic Equipment: Gauges and Meters|N||N||||||Y|0|Y||Y|2|||150.58|151.06|0.0|151.01|150.92|150.97|150.88|150.91|0.0|0.0|147.89|151.04|150.99|150.93|146.91|150.91|149.09|150.99|146.68|150.91|150.86|151.01|114.33|183.03|150.58|151.25|150.52|151.27|150.87|151.27|150.86|151.01|170.86|103.925|96048|36452211 29766|BML PRG|BMLpG|060505633|US0605056334|Bank of America Corporation|Depositary Shares (representing 1/1200th of a share of Floating Rate Non-Cumulative Preferred Stock, Series 1)|Operating company|B|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN1-1|TXN2-8|TXN2-6|TXN3-5|3820000|||Quarterly|||||2009-01-02||||||| | | | | | | | | |||N|0|N|N|402B|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|20.85|20.8401|0.0|0.0|0.0|0.0|0.0|20.85|0.0|0.0|20.93|0.0|20.92|0.0|20.93|20.78|20.92|0.0|0.0|20.78|21.08|0.0|0.0|0.0|0.0|20.78|20.92|21.7947|18.8|4258|1609801 29767|BML PRH|BMLpH|060505625|US0605056250|Bank of America Corporation|Depositary Shares (representing 1/1200th of a share of Floating Rate Non-Cumulative Preferred Stock, Series 2)|Operating company|B|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN1-4|TXN9-8|TXN1-1|TXN3-2|11960000|||Quarterly|||||2009-01-02||||||| | | | | | | | | |||N|0|N|N|402B|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|20.68|0.0|0.0|0.0|20.59|20.5331|20.63|0.0|0.0|0.0|0.0|20.62|0.0|0.0|20.62|20.69|20.62|0.0|20.62|20.6|20.67|20.53|20.65|20.11|21.08|0.0|0.0|0.0|0.0|20.6|20.67|21.68|18.6|8222|6161570 29769|BML PRJ|BMLpJ|060505591|US0605055914|Bank of America Corporation|Depositary Shares (representing 1/1200th of a share of Floating Rate Non-Cumulative Preferred Stock, Series 4)|Operating company|B|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN4-7|TXN8-8|TXN4-5|TXN4-4|8410000|||Quarterly|||||2009-01-02||||||| | | | | | | | | |||N|0|N|N|402B|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||21.54|21.87|0.0|0.0|21.43|21.61|21.6001|21.665|0.0|0.0|21.67|0.0|21.6|21.54|20.79114|21.6001|21.61|21.6001|0.0|21.6001|21.58|21.7|21.63|21.7|21.19|22.13|0.0|0.0|0.0|0.0|21.58|21.7|22.324|18.79|15091|4334232 29770|BML PRL|BMLpL|060505583|US0605055831|Bank of America Corporation|Depositary Shares (representing 1/1200th of a share of Floating Rate Non-Cumulative Preferred Stock, Series 5)|Operating company|B|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN1-2|TXN1-5|TXN2-1|TXN4-1|16710000|||Quarterly|||||2009-01-02||||||| | | | | | | | | |||N|0|N|N|402B|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||21.2|21.0|0.0|0.0|20.85|21.11|21.21|21.14|0.0|0.0|0.0|0.0|21.23|0.0|0.0|21.21|21.2|21.21|0.0|21.21|20.98|21.18|21.13|21.2|20.55|21.59|0.0|0.0|0.0|0.0|20.98|21.72|21.71|18.75|12655|4831080 74794|BMN|BMN|09262G108|US09262G1085|BlackRock 2037 Municipal Target Term Trust|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN1-1|TXN8-8|TXN2-8|TXN2-7|5380000|||Monthly|||||2022-10-27||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||23.87|0.0|0.0|23.85|0.0|24.05|23.86|23.87|0.0|0.0|0.0|0.0|23.89|0.0|0.0|23.96|0.0|23.86|0.0|23.96|23.85|24.06|23.85|24.06|22.24|25.52|0.0|0.0|23.85|24.02|23.85|24.02|25.75|21.51|9587|4193989 5125|BMO|BMO|063671101|CA0636711016|Bank of Montreal|Common Shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN3-4|TXN1-3|TXN4-4|TXN3-4|713180000|||Quarterly|||||1994-10-27||||||| | | | | | | | | |||N|0|N|Y|402A|CAN|CA|||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||Y|2|||84.35|84.37|0.0|83.87|84.35|84.35|84.36|84.38|0.0|0.0|84.34|84.62|84.35|84.36|84.37|84.35|84.38|84.33|84.35|84.35|84.35|84.37|64.51|102.31|84.28|84.43|84.29|84.42|84.3|84.37|84.35|84.37|102.79|73.98|760637|143782989 75333|BMR|BMR|M1R79L104|IL0011832438|Beamr Imaging Ltd|ORD||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN6-5|TXN12-3|TXN6-3|TXN5-2|12880000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||ISR||||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|1.31|1.3|1.3125|1.31|0.0|0.0|1.3|1.35|1.3|0.0|0.0|0.0|0.0|1.3125|0.0|1.3|1.01|1.59|1.01|1.59|1.22|1.45|1.01|1.59|0.0|0.0|1.3|1.36|8.04|0.91|16664|78128936 10807|BMRA|BMRA|09061H307|US09061H3075|Biomerica Inc|COM USD.04||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-3|TXN6-8|TXN13-2|TXN6-3|TXN6-1|16820000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201020|20102015|Health Care |Health Care |Medical Equipment and Services|Medical Supplies|N||N||||||Y|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.93|0.94|0.9401|0.0|0.0|0.93|0.93|0.94|0.0|0.0|0.0|0.0|0.94|0.0|0.94|0.8483|0.987|0.0|0.0|0.8327|1.0|0.74|1.08|0.0|0.0|0.901|0.94|4.0|0.704|60824|22440474 529|BMRC|BMRC|063425102|US0634251021|Bank of Marin Bancorp|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN6-7|TXN14-1|TXN6-6|TXN5-4|16140000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||||||0.0|20.31|0.0|20.23|20.23|20.21|20.28|20.3|0.0|0.0|20.22|0.0|20.32|20.25|20.62|0.0|0.0|20.31|0.0|20.32|20.0|20.49|15.54|24.84|20.05|20.45|16.02|24.84|20.26|20.42|20.26|20.32|35.55|12.8883|50158|19599143 530|BMRN|BMRN|09061G101|US09061G1013|Biomarin Pharmaceutical Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN6-6|TXN14-2|TXN6-5|TXN6-4|188370000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||USA||||20|2010|201030|20103015|Health Care |Health Care |Pharmaceuticals and Biotechnology|Pharmaceuticals |N||N||||||Y|0|Y||||||94.4|94.37|0.0|94.4|94.4|94.41|94.4|94.4|0.0|0.0|94.39|94.44|94.4|94.43|94.49|94.505|94.22|94.4|94.25|94.4|94.33|94.49|88.79|100.78|94.28|94.51|94.3|94.51|94.37|94.45|94.39|94.43|117.77|76.02|3463186|324969233 61814|BMTX|BMTX|05591L107|US05591L1070|BM Technologies, Inc.|Class A Common Stock|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-4|TXN4-5|TXN5-8|TXN2-6|TXN2-6|11870000|||NotApplicable|||||2020-12-11||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||50|5020|502050|50205015|Industrials|Industrial Goods and Services|Industrial Support Services|Transaction Processing Services|N||N||||||Y|0|Y||Y|2|||3.18|3.1|0.0|0.0|0.0|3.18|3.07|3.11|0.0|0.0|3.11|3.11|3.07|2.77|0.0|3.01|3.14|3.14|0.0|3.14|2.87|3.3|3.07|3.13|2.95|3.25|0.0|0.0|0.0|0.0|3.07|3.13|6.13|1.41|22721|9597834 61813|BMTX WS|BMTX.WS|05591L115|US05591L1153|BM Technologies, Inc.|Warrants, each warrant exercisable for one share of Class A Common Stock at an exercise price of $11.50|Operating company|C|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN12-2|TXN1-5|TXN5-8|TXN4-7|TXN3-5|11870000|||NotApplicable|||||2020-12-11||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||||||||||N||N||||||N|0|Y|D|N||||0.06|0.06|0.0|0.0|0.0|0.06|0.0|0.0|0.0|0.0|0.06|0.06|0.0572|0.0|0.0|0.0|0.06|0.06|0.0|0.06|0.0|0.0|0.045|0.06|0.045|0.0699|0.0|0.0|0.0|0.0|0.045|0.06|0.705|0.0165|51800|4877281 8773|BMVP|BMVP|46137V712|US46137V7120|Invesco Exchange-Traded Fund Trust|Invesco Bloomberg MVP Multifactor ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Invesco|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-2|TXN2-3|TXN6-8|TXN2-2|TXN3-5|2310000|||Quarterly|||||2008-11-03||PWC.NV|PWC.SO|PWC.EU|PWC.TC|PWC.IV| | | | | | | | | |1x|The PowerShares Dynamic Market Portfolio (Fund) is based on the Dynamic Market Intellidex Index (Index). The Fund will normally invest at least 90% of its total assets in common stocks that comprise the Index. The Index is comprised of U.S. stocks from each sector identified as having the greatest capital appreciation pursuant to a proprietary Amex Intellidex Methodology.|N|0|N|N|406C|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|38.12|0.0|0.0|0.0|0.0|39.0994|0.0|0.0|0.0|0.0|0.0|39.11|0.0|0.0|0.0|38.14484|39.1458|0.0|39.1458|31.11|47.06|39.08|39.13|39.12|39.16|31.11|47.06|0.0|0.0|39.12|39.16|39.2496|35.06|2538|93740 5129|BMY|BMY|110122108|US1101221083|Bristol-Myers Squibb Company|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|T|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-5|TXN1-7|TXN1-7|TXN1-7|TXN4-3|2034760000|||Quarterly|||||1929-07-05||||||| | | | | | | | | |||N|1|Y|Y|140A|USA|US|||20|2010|201030|20103015|Health Care |Health Care |Pharmaceuticals and Biotechnology|Pharmaceuticals |N||N||||||Y|0|Y||Y|1|||49.97|49.98|0.0|49.95|49.97|49.97|49.9775|49.97|0.0|0.0|49.98|49.97|49.975|49.98|49.97|49.98|49.975|49.98|49.98|49.98|49.97|49.98|46.81|53.11|49.97|50.0|49.94|50.01|49.97|50.01|49.97|49.98|81.42|48.252|14238572|2293766563 4955|BN|BN|11271J107|CA11271J1075|Brookfield Corporation|Class A Limited Voting Shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|5|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-5|TXN1-6|TXN4-1|TXN4-6|TXN4-5|1555320000|||Quarterly|||||2000-12-20||||||| | | | | | | | | |||N|0|N|Y|170A|CAN|CA|||30|3020|302020|30202010|Financials|Financial Services |Investment Banking and Brokerage Services |Asset Managers and Custodians|N||N||||||Y|0|Y||Y|2|||36.17|36.16|0.0|36.04|36.16|36.165|36.16|36.17|0.0|0.0|36.17|36.155|36.17|36.09|36.07|36.16|36.16|36.17|36.19|36.16|36.16|36.17|27.49|43.79|36.16|36.18|36.12|36.2|36.12|36.2|36.16|36.17|38.48|28.25|1840951|594844538 24592|BND|BND|921937835|US9219378356|Vanguard Total Bond Market ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN6-4|TXN13-6|TXN5-5|TXN6-6|1401923018|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||71.53|71.525|0.0|0.0|71.53|71.52|71.525|71.525|0.0|71.51|71.53|71.52|71.52|71.53|71.5|71.53|71.52|71.525|71.53|71.52|71.53|71.57|67.18|76.28|71.54|71.55|67.98|75.13|0.0|0.0|71.54|71.55|74.9|67.99|11164632|1332798111 54450|BNDC|BNDC|33939L670|US33939L6700|FlexShares Trust|FlexShares Core Select Bond Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Northern Trust Investments|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-2|TXN2-7|TXN3-8|TXN1-7|TXN2-3|8425001|||Monthly|||||2016-11-21||BNDC.NV|BNDC.SO|BNDC.EU|BNDC.TC|BNDC.IV| | | | | | | | | ||The Fund seeks total return and preservation of capital. The Fund seeks to achieve its investment objective by investing, under normal circumstances, at least 80% of its net assets in U.S. dollar denominated investment-grade fixed-income securities either directly or indirectly through exchange-traded funds (ETFs) and other registered investment companies.|N|0|N|N|416A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||21.77|21.8|0.0|0.0|0.0|21.8|21.8|21.795|0.0|0.0|21.795|0.0|21.81|0.0|0.0|21.8|0.0|21.825|0.0|21.825|17.41|26.29|0.0|0.0|21.82|21.83|17.41|26.29|0.0|0.0|21.82|21.83|23.75|20.6102|67560|8035867 71749|BNDD|BNDD|500767587|US5007675870|KraneShares Trust|Quadratic Deflation ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Krane Funds Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-5|TXN1-5|TXN8-8|TXN3-8|TXN3-7|3775002|||Monthly|||||2021-09-21||BNDD.NV|BNDD.SO|BNDD.EU|BNDD.TC| | | | | | | | | | |1x|The BNDD ETF is an ESG fixed income ETF that seeks to benefit from lower growth, deflation, lower or negative long-term interest rates, and/or a reduction in the spread between shorter and longer term interest rates by investing in US Treasuries and options. or negative long-term interest rates, and/or a reduction in the spread between shorter and longer term interest rates by investing in U.S. Treasuries and options. As a secondary goal, the Fund seeks to adhere to Environmental, Social and Governance (ESG) principles by excluding investments in issuers that are involved in and/or that derive significant revenue from, certain practices, industries or product lines and by increasing the representation of underrepresented groups in the governance of ETFs.|N|0|N|N|416A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||Y|0|Y||Y|1|||0.0|14.39|0.0|0.0|14.37|14.39|14.3898|14.35|0.0|0.0|14.36|0.0|14.4|14.4|0.0|0.0|0.0|14.4|0.0|14.4|13.4|15.37|13.4|15.37|14.38|14.4|13.4|15.37|0.0|0.0|14.38|14.4|22.1|13.47|36766|34312019 74542|BNDI|BNDI|78433H402|US78433H4020|NEOS ETF Trust|NEOS Enhanced Income Aggregate Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||NEOS Investments|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-8|TXN1-3|TXN5-8|TXN2-4|TXN3-2|100000|||Monthly|||||2022-08-30||BNDI.NV|BNDI.SO|BNDI.EU|BNDI.TC| | | | | | | | | | ||The Fund is an actively-managed ETF that seeks to achieve its investment objective by (i) investing in one or more other ETFs that seek to obtain exposure to the performance of the US Aggregate Bond market or directly in the securities held by such ETFs (collectively, the Underlying Investments) and (ii) selling and purchasing S&P 500 Index put options (SPX put options) to generate income to the Fund beyond what is received from the Underlying Investment|N|0|N|N|416A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|46.9301|0.0|0.0|0.0|0.0|0.0|47.16|0.0|0.0|0.0|0.0|47.1559|0.0|47.1559|0.0|0.0|0.0|0.0|47.12|47.19|0.0|0.0|0.0|0.0|47.12|47.27|49.64|44.8252|48|181847 61694|BNDW|BNDW|92206C565|US92206C5655|Vanguard Scottsdale Funds - Vanguard Total World Bond ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN5-3|TXN12-6|TXN5-3|TXN6-8|10480000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||68.27|68.19|0.0|0.0|68.27|68.26|68.25|68.27|0.0|0.0|68.21|0.0|68.25|68.27|68.17|68.19|68.25|68.25|0.0|68.25|63.79|72.98|68.19|68.35|68.23|68.29|68.18|68.35|68.18|68.35|68.25|68.29|69.64|65.11|78773|10062303 42144|BNDX|BNDX|92203J407|US92203J4076|Vanguard Total International Bond ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN6-6|TXN13-8|TXN6-6|TXN6-4|1066160000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||49.47|49.465|0.0|49.39|49.47|49.465|49.465|49.465|0.0|0.0|49.475|49.47|49.47|49.475|49.475|49.475|49.48|49.48|49.47|49.47|49.42|49.55|49.42|49.55|49.46|49.49|49.39|49.55|49.39|49.55|49.46|49.47|49.52|47.3|5516329|590250051 68391|BNE|BNE|26922B303|US26922B3033|ETF Series Solutions|Blue Horizon BNE ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Exchange Traded Concepts (ETF Series Solutions Trust)|Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-8|TXN3-8|TXN4-8|TXN2-6|TXN3-4|225000|||Yearly|||||2020-12-09||BNE.NV|BNE.SO|BNE.EU|BNE.TC| | | | | | | | | | |1x|The Blue Horizon BNE ETF seeks to track the performance, before fees and expenses, of the Blue Horizon New Energy Economy 100 Index. The Index seeks to track the performance of a portfolio of companies that are leaders, enablers, and beneficiaries of a transformational shift in the way energy is produced, stored, distributed, and consumed.|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|21.74|0.0|0.0|0.0|0.0|21.6401|0.0|0.0|0.0|0.0|0.0|21.74|0.0|0.0|21.731|0.0|21.6743|0.0|21.6743|0.0|0.0|0.0|0.0|21.66|21.69|0.0|0.0|0.0|0.0|21.66|21.69|27.6232|19.53|3916|338026 50362|BNED|BNED|06777U101|US06777U1016|Barnes & Noble Education, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|H|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN2-1|TXN2-8|TXN4-6|TXN1-1|52710000|||NotApplicable|||||2015-07-23||||||| | | | | | | | | |||N|0|N|Y|180B|USA|US|||40|4040|404010|40401030|Consumer Discretionary|Retail |Retailers |Specialty Retailers |N||N||||||Y|0|Y||Y|2|||0.0|1.11|0.0|0.0|1.12|1.13|1.117|1.145|0.0|0.0|1.12|1.14|1.11|1.118|0.0|1.1|1.14|1.117|1.3|1.1|1.1|1.12|0.896|1.39|1.1|1.14|1.07|1.15|1.06|1.16|1.1|1.12|2.7|0.75|107479|105575743 73320|BNGE|BNGE|33738R647|US33738R6475|First Trust Exchange-Traded Fund VI|First Trust S-Network Streaming and Gaming ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||First Trust|Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-8|TXN2-8|TXN3-8|TXN2-4|TXN3-2|200002|||Quarterly|||||2022-01-26||BNGE.NV|BNGE.SO|BNGE.EU|BNGE.TC| | | | | | | | | | |1x|The First Trust S-Network Streaming & Gaming ETF (the Fund) seeks investment results that correspond generally to the price and yield (before the Funds fees and expenses) of an index called the S-Network Global Streaming & Gaming Index (the Index).|N|0|N|N|408A|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|22.73|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|22.526|0.0|22.526|0.0|0.0|0.0|0.0|22.49|22.55|0.0|0.0|0.0|0.0|22.49|22.55|23.4425|16.7766|49|148503 61328|BNGO|BNGO|09075F305|US09075F3055|BioNano Genomics Inc|COM USD 0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN5-1|TXN10-3|TXN5-3|TXN6-6|38840000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||Y|0|Y||||||1.79|1.79|0.0|1.72|1.79|1.79|1.795|1.79|0.0|0.0|1.79|1.79|1.8|1.81|1.79|1.8|1.8|1.79|1.8|1.8|1.77|1.83|1.43|2.17|1.77|1.83|1.77|1.82|1.76|1.8|1.79|1.8|4.85|0.47|1962080|1344414874 67939|BNH|BNH|11271L102|US11271L1026|Brookfield Corporation|4.625% Subordinated Notes due October 16, 2080|Operating company|G|N|Y|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN3-2|TXN8-8|TXN1-8|TXN2-3|16000000|||Quarterly|||||2020-10-21|2080-10-16|||||| | | | | | | | | |||N|0|N|N|170A||CA|||||||||||N||N||||||N|0|Y||Y|2|||15.76|15.725|0.0|0.0|15.56|15.58|15.55|15.615|0.0|0.0|15.6|15.6|15.59|0.0|0.0|15.65|0.0|15.55|0.0|15.65|15.53|15.75|12.11|19.36|15.22|15.76|12.11|19.36|0.0|0.0|15.53|15.75|19.97|14.51|11705|7860685 72170|BNIX|BNIX|066644105|US0666441052|Bannix Acquisition Corp|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN6-6|TXN14-4|TXN6-8|TXN5-8|5460000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|10.67|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.67|0.0|10.67|0.0|0.0|0.0|0.0|9.97|10.82|0.0|0.0|0.0|0.0|10.66|10.75|11.59|10.07|101|3583622 72171|BNIXR|BNIXR|066644121||Bannix Acquisition Corp. Right|||D|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-5|TXN6-1|TXN11-8|TXN6-6|TXN6-5|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||50|5020|502040|50204000|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Industrial|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.123|0.26|0.7284|0.0775|0|2820236 72173|BNIXW|BNIXW|066644113|US0666441136|Bannix Acquisition Corp|WT EXP 073126||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-5|TXN5-3|TXN14-5|TXN6-3|TXN5-2|6900000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.015|0.015|0.0|0.0|0.0|0.0114|0.0114|0.0114|0.0|0.0|0.0|0.0|0.015|0.0|0.015|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0125|0.015|0.06|0.009|115027|2980282 68304|BNJ|BNJ|11272B103|US11272B1035|Brookfield Corporation|4.50% Perpetual Subordinated Notes|Operating company|G|N|Y|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN3-4|TXN1-5|TXN4-1|TXN3-8|9200000|||Quarterly|||||2020-11-27|2025-11-24|||||| | | | | | | | | |||N|0|N|N|170A||CA|||||||||||N||N||||||N|0|Y||Y|2|||14.94|0.0|0.0|0.0|14.94|15.1|14.99|15.03|0.0|0.0|15.07|0.0|15.12|0.0|0.0|14.99|15.08|14.99|0.0|14.99|14.97|15.19|15.08|15.19|14.68|15.5|0.0|0.0|0.0|0.0|14.97|15.19|19.07|13.67|8476|3922581 63363|BNKD|BNKD|063679625|US0636796254|Bank of Montreal|MicroSectors U.S. Big Banks Index -3X Inverse Leveraged ETNs due March 25, 2039|Operating company|ETN|N|N|P|Y|Y|Y|Y|Y||||||||Bank of Montreal|Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-8|TXN3-7|TXN8-4|TXN4-8|TXN2-5|1500000|||NotApplicable|||||2019-04-03|2039-03-25|BNKD.NV|BNKD.SO|BNKD.EU|BNKD.TC|BNKD.IV| | | | | | | | | |-3x|The Solactive Microsectors U.S. Big Banks Index, an equal-dollar weighted index, was created by Solactive AG in 2019 to provide exposure to the 10 U.S. stocks in the banking sector with the largest free-float market capitalization.|N|0|N|N|416A||CA|EQUITY|INVERSE|||||||||N||N||||||N|0|Y||Y|2|||8.48|8.44|0.0|8.58|8.44|8.46|8.4986|8.45|0.0|0.0|8.45|8.45|8.44|8.45|8.58|8.475|8.45|8.46|8.47|8.46|8.39|8.51|6.49|10.37|8.43|8.44|8.42|8.47|8.42|8.48|8.43|8.44|17.33|7.47|429430|53133856 63359|BNKU|BNKU|063679823|US0636798235|Bank of Montreal|MicroSectors U.S. Big Banks Index 3X Leveraged ETNs due March 25, 2039|Operating company|ETN|N|N|P|Y|Y|Y|Y|Y||||||||Bank of Montreal|Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-7|TXN3-1|TXN5-3|TXN4-5|TXN2-8|10000000|||NotApplicable|||||2019-04-03|2039-03-25|BNKU.NV|BNKU.SO|BNKU.EU|BNKU.TC|BNKU.IV| | | | | | | | | |3x|The Solactive Microsectors U.S. Big Banks Index, an equal-dollar weighted index, was created by Solactive AG in 2019 to provide exposure to the 10 U.S. stocks in the banking sector with the largest free-float market capitalization.|N|0|N|N|416A||CA|EQUITY|LEVERAGED|||||||||N||N||||||N|0|Y||Y|2|||18.54|18.51|0.0|0.0|18.54|18.53|18.55|18.57|0.0|0.0|18.51|18.53|18.54|18.38|18.55|18.58|18.58|18.48|18.41|18.48|18.41|18.69|14.47|22.65|18.53|18.57|18.49|18.59|18.47|18.59|18.53|18.57|34.34|10.3299|806428|213819477 67493|BNL|BNL|11135E203|US11135E2037|Broadstone Net Lease, Inc.|Common Stock|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|6|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-7|TXN3-8|TXN3-5|TXN4-8|TXN1-1|187260000|||Quarterly|||||2020-09-17||||||| | | | | | | | | |||N|0|N|Y|414A|USA|US|||35|3510|351020|35102000|Real Estate|Real Estate |Real Estate Investment Trusts|Diversified REITs|N||N||||||N|0|Y||Y|2|||16.5|16.485|0.0|16.34|16.49|16.51|16.495|16.485|0.0|0.0|16.5|16.48|16.5|16.495|16.47|16.5|16.505|16.51|16.51|16.5|16.5|16.51|12.58|20.18|16.45|16.53|16.47|16.54|16.5|16.54|16.5|16.51|18.54|13.68|1075129|232936842 32771|BNO|BNO|91167Q100|US91167Q1004|United States Brent Oil Fund, LP|United States Brent Oil Fund, LP|Limited partnership|ETV|N|N|P|Y|Y|Y|Y|Y||||||||United States Commodity Funds |Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-3|TXN3-5|TXN3-7|TXN1-5|TXN4-1|5050000|||NotApplicable|||||2010-06-02||BNO.NV|BNO.SO| | |BNO.IV| | | | | | | | | |1x|The investment objective of USBO is for the daily changes in percentage terms of its units net asset value (NAV) to reect the daily changes in percentage terms of the spot price of Brent crude oil as measured by the daily changes in the price of the futures contract on Brent crude oil as traded on ICE Futures Exchange that is the near month contract to expire, except when the near month contract is within two weeks of expiration, in which case the futures contract will be the next month contract to expire (the Benchmark Futures Contract), less USBOs expenses. It is not the intent of USBO to be operated in a fashion such that its NAV will equal, in dollar terms, the dollar price of spot crude oil or any particular futures contract based on crude oil. 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ADR||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN6-5|TXN10-2|TXN5-3|TXN6-6|1898430000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||AUS||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||1.365|1.37|0.0|1.43|1.35|1.35|1.35|1.365|0.0|0.0|1.35|1.35|1.35|1.39|0.0|0.0|0.0|1.35|1.44|1.35|1.11|1.68|1.11|1.68|1.35|1.51|1.31|1.41|1.32|1.42|1.35|1.4|7.71|0.93|186761|248670242 66711|BNR|BNR|12233L107|US12233L1070|Burning Rock Biotech Limited|ADR||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-8|TXN6-5|TXN11-8|TXN5-6|TXN5-5|82330000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||20|2010|201020|20102020|Health Care |Health Care |Medical Equipment and Services|Medical Services|N||N||||||N|0|Y||||||0.827|0.83|0.0|0.0|0.8343|0.8251|0.8299|0.8309|0.0|0.0|0.827|0.84|0.8232|0.8286|0.0|0.8396|0.0|0.8232|0.0|0.8232|0.7875|0.8708|0.0|0.0|0.8066|0.8533|0.6631|0.9948|0.0|0.0|0.8232|0.8366|3.8|0.8|107735|18174387 70981|BNRE|BNRE|G16250105|BMG162501057|Brookfield Reinsurance Ltd.|Class A Exchangeable Limited Voting Shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|5|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-5|TXN4-5|TXN2-5|TXN4-5|TXN1-7|10450000|||Quarterly|||||2021-06-28||||||| | | | | | | | | |||N|0|N|Y|408A|BMU|BM|||30|3030|303020|30302020|Financials|Insurance|Non-life Insurance|Reinsurance|N||N||||||Y|0|Y||Y|2|||35.951|36.13|0.0|0.0|35.4|36.01|35.9145|36.11|0.0|0.0|36.02|0.0|36.17|35.951|33.67|36.04|0.0|36.04|35.95|36.04|36.03|36.5|36.01|36.4|36.0|36.45|28.06|43.75|0.0|0.0|36.03|36.5|38.56|28.295|13449|2623752 76644|BNRE A|BNRE.A|G16250204|BMG162502048|Brookfield Reinsurance Ltd.|Class A-1 Exchangeable Non-Voting Shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|5|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN3-2|TXN5-8|TXN3-3|TXN1-2|32500000|||Quarterly|||||2023-11-17||||||| | | | | | | | | |||N|0|N|N|408A|BMU|BM|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|36.15|0.0|0.0|0.0|0.0|0.0|36.05|0.0|0.0|36.13|0.0|36.13|0.0|36.13|36.13|36.5|27.59|44.84|33.61|38.7|27.59|44.84|0.0|0.0|36.13|36.5|36.34|32.75|2642|109172 74087|BNRG|BNRG|M2R43K362|IL0012008152|Brenmiller Energy Ltd|ORD||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN6-6|TXN14-3|TXN5-8|TXN6-3|20240000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||ISR||||||||||||N||N|||||M2R43K115|N|0|Y|C|||||0.0|0.0|0.0|0.0|0.0|5.65|5.9801|5.99|0.0|0.0|0.0|0.0|6.2|5.82|0.0|0.0|0.0|5.82|0.0|5.82|0.0|0.0|0.0|0.0|3.9|7.49|0.0|0.0|0.0|0.0|5.85|6.2|6.0668|0.52|10613|45940445 5141|BNS|BNS|064149107|CA0641491075|Bank of Nova Scotia, The|Common Shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-6|TXN1-2|TXN7-2|TXN4-3|TXN1-2|1214040000|||Quarterly|||||2002-06-07||||||| | | | | | | | | |||N|0|N|Y|402A|CAN|CA|||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||Y|2|||44.84|44.85|0.0|44.88|44.84|44.85|44.84|44.85|0.0|0.0|44.86|44.84|44.855|44.83|44.86|44.87|44.88|44.87|44.88|44.87|44.85|44.87|34.66|54.84|44.84|44.89|44.81|44.91|44.85|44.9|44.85|44.87|55.91|39.795|1543280|341677881 50515|BNTC|BNTC|08205P209|US08205P2092|Benitec Biopharma Ltd|COM 0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN6-2|TXN12-8|TXN5-4|TXN5-7|2570000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||AUS||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||3.44|3.45|0.0|0.0|0.0|3.39|3.395|3.46|0.0|0.0|3.45|3.45|3.41|0.0|0.0|0.0|0.0|3.395|0.0|3.395|2.67|4.1|0.0|0.0|3.24|3.59|2.67|4.1|0.0|0.0|3.37|3.41|5.49|0.132|25565|284891383 64829|BNTX|BNTX|09075V102|US09075V1026|BioNTech SE|ADR||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN6-8|TXN13-7|TXN5-5|TXN5-1|237720000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||DEU||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||99.89|99.9|0.0|99.5|99.89|99.89|99.93|99.875|0.0|0.0|99.89|99.57|99.91|99.9|99.74|99.81|99.55|99.96|99.36|99.91|99.7|99.98|76.89|121.76|99.64|100.0|99.71|100.12|99.87|100.15|99.87|99.98|188.985|88.0001|823208|158478046 5144|BNY|BNY|09248L106|US09248L1061|BlackRock New York Municipal Income Trust|Common Stock|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN4-1|TXN6-8|TXN3-4|TXN3-1|24610000|||Monthly|||||2001-07-27||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||10.24|10.23|0.0|0.0|10.24|10.215|10.235|10.28|0.0|0.0|10.23|0.0|10.24|0.0|0.0|10.24|0.0|10.24|9.83|10.24|10.21|10.24|7.82|12.6|9.52|10.96|7.82|12.6|0.0|0.0|10.21|10.24|11.355|8.6|65544|11667432 71319|BOAT|BOAT|886364645|US8863646456|Tidal ETF Trust|SonicShares Global Shipping ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Tidal ETF Services |GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-4|TXN4-1|TXN6-8|TXN1-4|TXN1-6|1150000|||Quarterly|||||2021-08-04||BOAT.NV|BOAT.SO|BOAT.EU|BOAT.TC| | | | | | | | | | |1x|SonicShares Global Shipping ETF uses a passive management approach to track the performance, before fees and expenses, of the Index. 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EXP||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-4|TXN5-1|TXN14-1|TXN6-5|TXN5-2|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.01|0.0|0.0|0.0|0.0|0.0|0.01|0.0|0.0|0.0|0.0|0.01|0.0|0.01|0.0|0.0|0.0|0.0|0.0|0.015|0.0|0.0|0.0|0.0|0.01|0.015|0.3186|0.0059|77233|2574562 61876|BOCT|BOCT|45782C771|US45782C7719|Innovator U.S. Equity Buffer ETF - October|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-3|TXN3-1|TXN2-8|TXN1-5|TXN3-7|5030000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|37.3339|0.0|0.0|0.0|0.0|37.35|37.52|0.0|0.0|37.35|0.0|0.0|37.2|0.0|0.0|0.0|37.3339|0.0|37.3339|37.28|37.35|37.27|37.35|37.31|37.39|37.28|37.44|37.28|37.44|37.31|37.35|37.52|31.2401|11023|7071056 68795|BODY|BODY|073463309|US0734633094|The Beachbody Company, Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|O|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN3-5|TXN3-8|TXN3-8|TXN3-4|3530000|||NotApplicable|||||2021-01-15||||||| | | | | | | | | |||N|0|N|Y|408A|USA|US|||10|1010|101010|10101020|Technology|Technology|Software and Computer Services|Consumer Digital Services |N||N||||||N|2|Y|D|Y|2|||10.4|10.45|0.0|10.25|9.96|10.33|10.0001|10.63|0.0|0.0|10.3|10.35|10.23|10.25|10.25|10.01|10.25|10.0001|10.36|10.01|10.0|10.01|7.91|12.26|9.7|10.41|8.4|12.02|10.25|11.04|10.0|10.01|12.4037|0.1301|139152|120196793 5145|BOE|BOE|092501105|US0925011050|BlackRock Enhanced Global Dividend Trust|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN2-5|TXN9-8|TXN3-5|TXN1-7|64030000|||Monthly|||||2005-05-26||||||| | | | | | | | | |||N|0|N|N|406B|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||9.9|9.89|0.0|9.91|9.9|9.895|9.895|9.89|0.0|0.0|9.89|9.89|9.895|9.94|9.92|9.89|9.88|9.89|9.92|9.89|9.89|9.9|7.62|12.17|9.88|9.91|9.86|9.93|9.88|9.91|9.89|9.9|10.61|8.8|91201|34644160 75893|BOF|BOF|105230106|US1052301066|BranchOut Food Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN6-3|TXN10-7|TXN5-4|TXN5-5|4040000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||45|4510|451020|45102020|Consumer Staples |Food, Beverage and Tobacco |Food Producers|Food Products|N||N||||||N|0|Y|D|||||0.0|0.0|0.0|0.0|0.0|0.0|1.3897|1.39|0.0|0.0|0.0|0.0|1.35|0.0|0.0|0.0|1.42|1.3897|0.0|1.3897|0.0|0.0|0.0|0.0|1.29|1.38|0.0|0.0|0.0|0.0|1.35|1.38|6.2|1.32|7819|16310005 5146|BOH|BOH|062540109|US0625401098|Bank of Hawaii Corporation|Common Stock (Delaware)|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|O|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-6|TXN3-2|TXN5-7|TXN3-7|TXN2-4|39750000|||Quarterly|||||1991-04-24||||||| | | | | | | | | |||N|0|N|Y|402B|USA|US|||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||Y|2|||63.86|63.79|0.0|63.81|63.87|63.79|63.73|63.735|0.0|0.0|63.91|63.69|63.74|63.68|63.79|63.75|62.09|63.77|63.77|63.75|63.78|63.79|49.43|77.97|63.32|64.36|63.64|75.15|63.63|63.82|63.78|63.79|81.73|30.8301|404745|163115598 70912|BOH PRA|BOHpA|062545207|US0625452075|Bank of Hawaii Corporation|Depositary Shares Each Representing a 1/40th Interest in a Share of 4.375% Fixed Rate Non-Cumulative Perpetual Preferred Stock, Series A|Operating company|B|N|N|N|Y|Y|Y|Y|Y|6|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN4-5|TXN9-8|TXN3-7|TXN4-8|7200000|||Quarterly|||||2021-06-18||||||| | | | | | | | | |||N|0|N|N|402B|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||14.18|15.14|0.0|0.0|13.71|14.98|15.31|15.08|0.0|0.0|14.72|0.0|15.31|0.0|0.0|15.08|0.0|15.31|0.0|15.08|15.01|15.65|0.0|0.0|14.71|16.01|0.0|0.0|0.0|0.0|15.01|15.65|19.42|10.97|21911|4404854 38899|BOIL|BOIL|74347Y763|US74347Y7638|ProShares Trust II|ProShares Ultra Bloomberg Natural Gas|Trust|ETV|N|N|P|Y|Y|Y|Y|Y||||||||ProShares Advisors |Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-8|TXN4-5|TXN3-1|TXN1-1|TXN4-3|23668544|||NotApplicable|||||2011-10-05||BOIL.NV|BOIL.SO|BOIL.EU|BOIL.TC|BOIL.IV| | | | | | | | | |2x|ProShares Ultra DJ-UBS Natural Gas (BOIL) seeks, on a daily basis, to provide investment results (before fees and expenses) that correspond to twice (2x) the performance of the Index. The Index tracks a rolling futures position in NYMEX Natural Gas futures contracts. The roll for each Index component occurs over a period of five DowJonesUBS business days in certain months according to a pre-determined schedule. The Index will reflect the performance of a rolling position in natural gas futures contracts without regard to income earned on cash positions.|N|0|N|N|416A|USA|US|COMMODITIES_AND_FUTURES|LEVERAGED|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||33.61|33.73|0.0|33.81|33.65|33.78|33.7698|33.8|0.0|0.0|33.77|33.79|33.8|33.78|33.63|33.59|33.7|33.77|33.79|33.77|33.59|33.98|33.59|33.98|33.77|33.8|33.73|33.83|33.09|34.44|33.77|33.8|78.65|2.28|8284149|7652366301 546|BOKF|BOKF|05561Q201|US05561Q2012|BOK Financial Corp|COM USD.00006||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN6-2|TXN12-6|TXN5-2|TXN6-8|65670000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||||||76.79|76.8|0.0|76.81|76.87|76.78|76.83|76.84|0.0|0.0|76.63|76.8|76.81|76.93|0.0|76.01|0.0|76.81|0.0|76.81|76.15|77.53|71.58|81.72|76.21|77.46|76.66|76.96|76.81|76.98|76.81|76.88|106.47|62.415|156860|47294443 69052|BOLT|BOLT|097702104|US0977021049|Bolt Biotherapeutics Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-1|TXN6-6|TXN10-6|TXN6-3|TXN5-5|37970000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||0.9136|0.9191|0.0|0.0|0.88|0.89|0.8929|0.8929|0.0|0.0|0.9001|0.91|0.9178|0.0|0.0|0.0|0.0|0.9136|0.0|0.9136|0.8692|0.9512|0.736|1.1|0.89|0.9401|0.8624|0.9556|0.867|0.9611|0.89|0.928|2.03|0.84|163675|37913478 70959|BON|BON|G14492105|KYG144921056|Bon Natural Life Ltd|ORD SHS||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-1|TXN5-6|TXN13-4|TXN5-8|TXN6-3|11150000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||55|5520|552010|55201000|Basic Materials|Chemicals|Chemicals|Chemicals: Diversified|N||N||||||N|0|Y||||||0.5|0.5047|0.0|0.0|0.488|0.5005|0.5048|0.0|0.0|0.0|0.5002|0.5|0.5048|0.0|0.0|0.0|0.0|0.5048|0.0|0.5048|0.4|0.588|0.4|0.627|0.4668|0.5383|0.4|0.588|0.0|0.0|0.5|0.5048|2.58|0.35|17687|38010684 39681|BOND|BOND|72201R775|US72201R7750|PIMCO ETF Trust|PIMCO Active Bond Exchange-Traded Fund|Trust|ETF|N|N|N|Y|Y|Y|Y|Y|5|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN1-2|TXN1-5|TXN3-7|TXN1-8|42530000|||Monthly|||||2022-11-14||||||| | | | | | | | | ||The PIMCO Total Return Exchange-Traded Fund (TRXT) is a diversified portfolio of high quality bonds that is actively managed in an effort to maximize return in a risk-controlled framework. TRXT invests primarily in investment grade debt securities, and discloses all portfolio holdings on a daily basis. The average portfolio duration normally varies within two years (plus or minus) of the benchmark Barclays Capital U.S. Aggregate Index, and the fund may not use options, futures or swaps. 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Better Online Solutions Ltd|ORD NIS1||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN5-4|TXN12-3|TXN5-3|TXN6-8|5740000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||ISR||||10|1010|101020|10102015|Technology|Technology|Technology Hardware and Equipment|Electronic Components|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|2.93|2.915|0.0|0.0|0.0|0.0|0.0|2.94|0.0|0.0|0.0|0.0|2.93|0.0|2.93|2.7|3.07|0.0|0.0|2.7|3.14|0.0|0.0|0.0|0.0|2.89|2.95|4.16|1.85|7405|4487333 10827|BOTJ|BOTJ|470299108|US4702991088|Bank of the James Financial Group Inc|COM USD2.14||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN6-8|TXN11-2|TXN6-7|TXN5-2|4540000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|10.25|10.22|0.0|0.0|0.0|0.0|0.0|10.0|0.0|0.0|0.0|0.0|10.25|0.0|10.25|0.0|0.0|0.0|0.0|9.51|10.71|0.0|0.0|0.0|0.0|9.96|10.25|13.4999|8.12|1989|1215902 53876|BOTZ|BOTZ|37954Y715|US37954Y7159|Global X Robotics & Artificial Intelligence ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN5-8|TXN10-6|TXN6-4|TXN5-3|85760000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||26.73|26.74|0.0|0.0|26.74|26.735|26.72|26.74|0.0|0.0|26.73|26.64|26.72|26.75|26.69|26.74|26.64|26.72|26.74|26.72|26.7|26.76|26.56|26.81|26.71|26.74|26.63|26.78|26.63|26.76|26.71|26.73|30.26|20.02|1501431|245067551 61738|BOUT|BOUT|45782C763|US45782C7636|Innovator ETFs Trust|Innovator IBD Breakout Opportunities ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Innovator Capital Management |Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-1|TXN4-5|TXN2-8|TXN3-3|TXN1-8|400000|||Yearly|||||2018-09-13||BOUT.NV|BOUT.SO|BOUT.EU|BOUT.TC|BOUT.IV| | | | | | | | | |1x|The Fund seeks to track, before fees and expenses, the performance of the IBD Breakout Stocks Index (the Index). The Index is a rules-based index owned and developed by Investors Business Daily (IBD or the Index Provider) that seeks to provide investment exposure to stocks poised to break out, or experience a period of sustained price growth beyond the securitys recent resistance level.|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|31.53|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|31.5218|0.0|31.5218|31.23|31.94|31.44|31.59|31.36|31.55|29.38|31.66|0.0|0.0|31.36|31.55|33.53|28.5789|1115|431289 70351|BOWL|BOWL|10258P102|US10258P1021|Bowlero Corp.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|B|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-3|TXN4-4|TXN8-3|TXN2-5|TXN4-1|92770000|||NotApplicable|||||2021-04-23||||||| | | | | | | | | |||N|0|N|Y|408A|USA|KY|||40|4050|405010|40501030|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Recreational Services|N||N||||||Y|0|Y||Y|2|||10.81|10.815|0.0|10.82|10.81|10.81|10.81|10.82|0.0|0.0|10.815|10.81|10.82|10.82|10.81|10.81|10.815|10.82|10.82|10.81|10.81|10.82|8.22|13.14|10.8|10.9|10.78|10.85|10.81|10.85|10.81|10.82|17.45|8.8501|749129|376426593 76166|BOWN|BOWN|G12729110|KYG127291105|Bowen Acquisition Corp|COM USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN5-4|TXN12-3|TXN5-3|TXN5-5|9170000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|10.28|10.28|10.28|0.0|0.0|0.0|0.0|10.28|0.0|0.0|0.0|0.0|10.28|0.0|10.28|0.0|0.0|0.0|0.0|9.6|10.98|0.0|0.0|0.0|0.0|10.28|10.29|10.31|10.1|37252|3467131 76167|BOWNR|BOWNR|G12729128||Bowen Acquisition Corp Rights|||D|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-3|TXN5-3|TXN12-1|TXN5-2|TXN5-2|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||50|5020|502040|50204000|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Industrial|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.14|0.0|0.0|0.0|0.0|0.112|0.14|0.2232|0.112|0|2551792 75998|BOWNU|BOWNU|G12729102|KYG127291022|Bowen Acquisition Corp|UNITS||R|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN6-8|TXN11-6|TXN5-2|TXN6-7|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|9.71|11.18|0.0|0.0|0.0|0.0|10.4|10.46|11.78|10.09|0|5238768 49227|BOX|BOX|10316T104|US10316T1043|Box, Inc.|Class A common stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-6|TXN1-2|TXN5-3|TXN1-5|TXN1-2|144050000|||NotApplicable|||||2015-01-23||||||| | | | | | | | | |||N|0|N|Y|108B|USA|US|||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||Y|2|||26.49|26.49|0.0|26.35|26.5|26.49|26.49|26.48|0.0|0.0|26.49|26.49|26.49|26.48|26.5|26.5|26.51|26.48|26.49|26.5|26.49|26.5|20.48|32.54|26.48|26.55|26.45|26.53|26.44|26.54|26.49|26.5|34.98|23.565|1718161|350074428 51399|BOXL|BOXL|103197208|US1031972086|Boxlight Corp|CL A COM 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USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN6-8|TXN14-8|TXN6-3|TXN5-3|60790000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103015|Health Care |Health Care |Pharmaceuticals and Biotechnology|Pharmaceuticals |N||N||||||Y|0|Y||||||72.52|72.75|0.0|72.44|72.72|72.72|72.72|72.71|0.0|0.0|72.71|72.8|72.72|72.815|72.49|72.75|72.6|72.67|72.5|72.72|72.55|72.85|57.31|88.89|72.08|72.96|72.53|72.91|72.63|72.94|72.66|72.72|74.0|37.82|647128|145873457 562|BPOP|BPOP|733174700|PR7331747001|Popular Inc|COM USD5||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN6-6|TXN12-5|TXN6-6|TXN5-8|72150000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||||||77.98|77.87|0.0|77.72|77.83|77.88|77.8175|77.84|0.0|0.0|77.86|77.97|77.81|77.53|76.61|77.89|77.87|77.85|77.03|77.81|77.27|78.52|72.6|82.87|77.28|78.47|77.74|81.44|77.8|77.91|77.8|77.87|78.09|49.34|237963|123939778 563|BPOPM|BPOPM|73317H206|US73317H2067|Popular Capital Trust II|PFD GTD 6.125||B|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN5-5|TXN13-8|TXN5-1|TXN5-6|4040000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||PRI||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|25.2|0.0|0.0|0.0|0.0|0.0|25.02|0.0|0.0|0.0|0.0|25.2|0.0|25.2|0.0|0.0|0.0|0.0|24.45|25.76|0.0|0.0|0.0|0.0|24.96|25.25|25.96|20.61|1333|1003978 59278|BPRN|BPRN|74179A107|US74179A1079|Princeton Bancorp Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN6-5|TXN11-5|TXN6-5|TXN6-3|6300000|||NotApplicable|||||||||||| | | | | | | 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Producers|N||N||||||Y|0|Y||Y|2|||3.57|3.62|0.0|3.56|3.53|3.57|3.525|3.64|0.0|0.0|3.55|3.6|3.53|3.51|3.59|3.51|3.53|3.51|0.0|3.51|3.51|3.55|2.79|4.33|3.44|3.64|3.49|3.58|3.51|3.55|3.51|3.55|14.24|3.05|148810|61641689 29636|BPTH|BPTH|09057N300|US09057N3008|Bio-Path Holdings Inc|COM USD0.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-7|TXN6-7|TXN10-3|TXN5-7|TXN5-3|12350000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||0.5954|0.569|0.0|0.0|0.5954|0.58|0.5825|0.57|0.0|0.0|0.5871|0.5871|0.5823|0.0|0.0|0.0|0.0|0.5825|0.569|0.5825|0.5462|0.6168|0.464|0.7144|0.5415|0.6061|0.464|0.673|0.5536|0.6064|0.575|0.59|2.35|0.320001|138776|197552294 64077|BPTS|BPTS|09076G203|US09076G2030|Biophytis SA|ADS||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-5|TXN5-7|TXN11-8|TXN6-8|TXN5-5|973520000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||FRA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.691|0.6928|0.698399|0.695|0.0|0.0|0.69|0.0|0.693|0.0|0.0|0.0|0.0|0.69|0.0|0.69|0.0|0.0|0.0|0.0|0.686|0.7|0.0|0.0|0.0|0.0|0.686|0.7|5.19|0.3511|17857|152890016 71250|BPYPM|BPYPM|G1624R107|BMG1624R1079|Brookfield Property Preferred LP|CL A CUM PFD 1||U|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN5-6|TXN13-4|TXN5-4|TXN5-2|26850000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||BMU||||||||||||N||N||||||N|0|Y||||||0.0|12.78|0.0|0.0|12.78|12.77|12.72|12.81|0.0|0.0|12.75|13.29|12.71|13.1|13.29|0.0|0.0|12.72|0.0|12.71|9.93|15.6|0.0|0.0|12.51|13.12|9.93|15.6|0.0|0.0|12.71|12.84|19.5588|11.38|70023|6592896 65631|BPYPN|BPYPN|G16249164||Brookfield Property Partners L.P. 5.750% Class A Cumulative Redeemable Perpetual Preferred Units, Series 3|||U|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN5-4|TXN10-2|TXN6-2|TXN5-2|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||50|5020|502040|50204000|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Industrial|N||N||||||N|0|Y||||||0.0|11.74|0.0|0.0|11.64|11.7|11.63|11.71|0.0|0.0|11.8|11.65|11.61|0.0|0.0|0.0|0.0|11.63|0.0|11.63|0.0|0.0|0.0|0.0|11.38|12.04|0.0|0.0|0.0|0.0|11.61|11.8|19.38|9.73|18524|4514518 64354|BPYPO|BPYPO|G16249156||Brookfield Property Partners L.P. 6.375% Class A Cumulative Redeemable Perpetual Preferred Units, Series 2|||U|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN5-8|TXN13-7|TXN6-2|TXN5-7|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||50|5020|502040|50204000|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Industrial|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|12.71|12.7101|12.72|0.0|0.0|12.71|0.0|12.76|0.0|0.0|0.0|0.0|12.71|0.0|12.76|0.0|0.0|0.0|0.0|12.47|13.02|0.0|0.0|0.0|0.0|12.71|12.76|20.26|10.85|17723|4159479 63295|BPYPP|BPYPP|G16249149||Brookfield Property Partners L.P. 6.50% Class A Cumulative Redeemable Perpetual Preferred Units|||B|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN6-6|TXN13-4|TXN6-7|TXN6-7|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||50|5020|502040|50204000|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Industrial|N||N||||||N|0|Y||||||0.0|12.85|0.0|0.0|0.0|12.91|12.8329|12.9|0.0|0.0|12.96|12.97|12.77|0.0|0.0|0.0|0.0|12.8329|0.0|12.77|12.51|0.0|0.0|0.0|12.51|13.17|0.0|0.0|0.0|0.0|12.77|12.91|21.86|11.09|59663|4184634 67676|BQ|BQ|09950L302|US09950L3024|Boqii Holding Limited|American Depositary Shares (each representing fifteen (15) Class A Ordinary Shares)|Operating company|H|N|Y|A|Y|Y|Y|Y|Y|||Citadel Securities 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Products|N||N||||||Y|0|Y||Y|2|||54.55|54.52|0.0|54.52|54.52|54.57|54.515|54.53|0.0|0.0|54.56|54.56|54.53|54.56|54.51|54.53|54.5|54.54|54.61|54.53|54.51|54.54|41.06|66.32|54.42|54.63|54.48|54.59|54.51|54.6|54.51|54.54|54.64|24.21|1320610|235159616 65274|BRBS|BRBS|095825105|US0958251052|Blue Ridge Bankshares, Inc.|Common Stock|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-8|TXN2-1|TXN1-5|TXN3-4|TXN4-3|19190000|||Quarterly|||||2019-12-23||||||| | | | | | | | | 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Filter|N||N||||||Y|0|Y||Y|2|||56.93|56.95|0.0|57.13|56.93|56.92|56.95|56.93|0.0|0.0|56.94|56.49|56.93|56.48|56.98|56.96|56.17|56.95|56.23|56.96|56.94|56.96|43.14|69.21|56.81|57.07|56.87|56.99|56.86|57.0|56.94|56.96|58.1982|44.71|234916|87991394 70289|BRCC|BRCC|05601U105|US05601U1051|BRC Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|B|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-7|TXN3-2|TXN9-7|TXN3-8|TXN2-8|64020000|||NotApplicable|||||2022-02-10||||||| | | | | | | | | |||N|0|N|Y|118A|USA|US|||45|4510|451010|45101020|Consumer Staples |Food, Beverage and Tobacco |Beverages|Soft Drinks|N||N||||||Y|0|Y||Y|2|||4.74|4.72|0.0|0.0|4.72|4.71|4.72|4.73|0.0|0.0|4.715|4.73|4.72|4.72|4.73|4.74|4.705|4.74|4.67|4.74|4.72|4.74|3.62|5.74|4.72|4.75|4.68|5.55|4.68|4.75|4.72|4.74|8.27|2.51|637726|128535983 73217|BRD|BRD|07402Q101|US07402Q1013|Beard Energy Transition Acquisition Corp.|Class A Common Stock|Special purpose acquisition company|A|N|N|N|Y|Y|Y|Y|Y|6|T|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN4-4|TXN9-8|TXN3-1|TXN3-2|7130000|||NotApplicable|||||2022-01-14||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|2|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|10.72|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.72|0.0|10.72|0.0|10.72|10.72|10.78|0.0|0.0|10.07|10.78|0.0|0.0|0.0|0.0|10.72|10.93|11.25|10.11|103|13369427 73218|BRD WS|BRD.WS|07402Q119|US07402Q1195|Beard Energy Transition Acquisition Corp.|Warrants, each whole warrant exercisable for one share of Class A Common Stock at an exercise price of $11.50 per share|Special purpose acquisition company|C|N|N|N|Y|Y|Y|Y|Y|6|T|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN5-8|TXN4-7|TXN5-8|TXN4-2|TXN1-4|0|||NotApplicable|||||2022-01-14||||||| | | | | | | | | 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579|BRKR|BRKR|116794108|US1167941087|Bruker Corporation|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN6-7|TXN12-3|TXN5-7|TXN6-3|138410000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||USA||||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||Y|0|Y||||||66.35|66.37|0.0|66.39|66.35|66.39|66.35|66.33|0.0|0.0|66.43|66.38|66.37|66.17|66.35|66.43|65.87|66.35|66.34|66.37|66.25|66.39|61.6|70.75|66.23|66.37|66.27|66.4|66.26|66.39|66.33|66.37|84.84|53.79|600326|189405174 67029|BRLI|BRLI|G1643W111|VGG1643W1115|Brilliant Acquisition Corporation|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN5-8|TXN12-6|TXN5-1|TXN6-8|1820000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|9.4|0.0|0.0|9.53|0.0|0.0|0.0|0.0|0.0|9.2|0.0|9.32|0.0|0.0|0.0|0.0|9.53|0.0|9.53|0.0|0.0|0.0|0.0|8.76|10.88|0.0|0.0|0.0|0.0|9.25|10.3|15.38|7.25|2535|2301358 67030|BRLIR|BRLIR|G1643W137||Brilliant Acquisition Corporation Rights|||D|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-3|TXN6-4|TXN12-7|TXN5-3|TXN5-4|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||50|5020|502040|50204000|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Industrial|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.3499|0.36|0.0|0.0|0.0|0.3599|0.3599|0.36|0.0|0.0|0.0|0.0|0.36|0.0|0.36|0.0|0.0|0.0|0.0|0.0|0.44|0.0|0.0|0.0|0.0|0.36|0.37|0.3999|0.0245|54319|1271578 66813|BRLIU|BRLIU|G1643W103|VGG1643W1032|Brilliant Acquisition 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033125||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-8|TXN6-2|TXN14-6|TXN5-1|TXN6-6|1920000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||||||||||N||N||||||N|0|Y|D|||||0.0|0.09|0.0|0.0|0.0|0.0995|0.075|0.0823|0.0|0.0|0.0797|0.0796|0.0998|0.0|0.0|0.0|0.0|0.075|0.0|0.075|0.0|0.0|0.0|0.0|0.0|2.1|0.0|0.0|0.0|0.0|0.058|0.0997|0.1199|0.007|114495|1818762 74727|BRLN|BRLN|092528405|US0925284053|BlackRock Floating Rate Loan ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-4|TXN1-6|TXN9-8|TXN2-4|TXN3-3|400000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|52.32|0.0|0.0|0.0|0.0|52.32|0.0|0.0|0.0|52.19|52.18|0.0|0.0|0.0|0.0|0.0|52.32|0.0|52.32|52.12|52.33|0.0|0.0|52.17|52.33|52.12|52.33|0.0|0.0|52.13|52.33|53.32|50.545|6088|414369 71789|BRLT|BRLT|109504100|US1095041000|Brilliant Earth Group Inc|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN5-8|TXN13-2|TXN6-6|TXN5-6|12270000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4040|404010|40401030|Consumer Discretionary|Retail |Retailers |Specialty Retailers |N||N||||||Y|0|Y||||||2.63|2.66|0.0|0.0|2.66|2.67|2.66|2.63|0.0|0.0|2.67|2.67|2.63|2.65|0.0|0.0|0.0|2.63|0.0|2.63|2.54|2.73|2.06|3.25|2.56|2.73|2.59|2.69|2.58|2.7|2.63|2.66|5.96|2.04|45164|17064548 5183|BRN|BRN|068221100|US0682211000|Barnwell Industries Inc|Common Stock|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Brendan E. Cryan and Company, L.L.C.|CRYN|0235|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-6|TXN2-1|TXN8-8|TXN1-7|TXN2-7|9990000|||Quarterly|||||1978-03-01||||||| | | | | | | | | |||N|0|N|N|134A|USA|US|||60|6010|601010|60101010|Energy|Energy|Oil, Gas and Coal|Oil: Crude Producers|N||N||||||N|0|Y||Y|2|||0.0|2.6|0.0|0.0|0.0|2.65|2.56|2.57|0.0|0.0|2.68|2.57|2.62|0.0|0.0|2.57|2.55|2.55|0.0|2.55|2.41|2.8|2.56|2.68|2.42|2.68|2.41|2.8|0.0|0.0|2.56|2.68|3.1399|1.89|17527|7962245 70440|BRNS|BRNS|91864C107|US91864C1071|Barinthus Biotherapeutics plc|ADR||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN6-7|TXN10-3|TXN5-1|TXN6-7|38570000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||GBR||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||0.0|3.01|0.0|0.0|0.0|3.0|3.1|3.1|0.0|0.0|3.1|0.0|3.01|0.0|3.15|0.0|0.0|3.01|0.0|3.01|0.0|0.0|0.0|0.0|2.99|3.3|0.0|0.0|0.0|0.0|3.0|3.1|5.0|2.3|16314|920280 74752|BRNY|BRNY|02072L649|US02072L6496|Burney US Factor Rotation ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN5-7|TXN11-6|TXN5-7|TXN6-3|6120000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|30.44|0.0|0.0|30.41|0.0|30.425|0.0|0.0|0.0|0.0|0.0|30.4232|0.0|0.0|0.0|30.42|30.425|30.41|30.4232|0.0|0.0|0.0|0.0|30.39|30.44|0.0|0.0|0.0|0.0|30.4|30.44|30.4878|25.475|3304|1685865 5184|BRO|BRO|115236101|US1152361010|Brown & Brown, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-5|TXN1-5|TXN6-4|TXN1-7|TXN3-3|284600000|||Quarterly|||||1997-12-08||||||| | | | | | | | | |||N|5|Y|Y|410A|USA|US|||30|3030|303020|30302025|Financials|Insurance|Non-life Insurance|Property and Casualty Insurance|N||N||||||Y|0|Y||Y|1|||74.52|74.49|0.0|74.58|74.47|74.52|74.49|74.48|0.0|0.0|74.48|74.52|74.49|74.52|74.21|74.5|74.53|74.49|74.52|74.5|74.48|74.49|70.37|78.99|74.45|74.52|74.42|74.54|74.43|74.56|74.48|74.49|75.14|52.8206|1123195|281482132 61246|BROG|BROG|G1611B107|KYG1611B1077|Brooge Energy Limited|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN5-3|TXN13-6|TXN5-7|TXN5-6|88040000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||ARE||||60|6010|601010|60101030|Energy|Energy|Oil, Gas and Coal|Oil Equipment and Services|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|4.7499|0.0|0.0|0.0|0.0|0.0|4.58|0.0|0.0|0.0|0.0|4.7499|0.0|4.7499|0.0|0.0|0.0|0.0|4.56|4.9|0.0|0.0|0.0|0.0|4.56|4.58|6.45|4.34|1266|1193642 61248|BROGW|BROGW|G1611B115|KYG1611B1150|Brooge Energy Limited|Wrrt||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-2|TXN6-5|TXN14-5|TXN5-4|TXN5-7|88040000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||ARE||||||||||||N||N||||||N|0|Y|C|||||0.0|0.0|0.0|0.0|0.0|0.014|0.01999|0.0|0.0|0.0|0.0|0.0|0.014|0.0|0.0|0.0|0.0|0.01999|0.0|0.01999|0.0|0.0|0.0|0.0|0.0|0.0675|0.0|0.0|0.0|0.0|0.014|0.02|0.27|0.005|5578|2392754 71651|BROS|BROS|26701L100|US26701L1008|Dutch Bros Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|P|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-2|TXN1-4|TXN6-4|TXN1-4|TXN2-1|63020000|||NotApplicable|||||2021-09-15||||||| | | | | | | | | |||N|0|N|Y|118A|USA|US|||40|4050|405010|40501040|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Restaurants and Bars|N||N||||||Y|0|Y||Y|2|||27.43|27.42|0.0|27.38|27.42|27.415|27.42|27.415|0.0|0.0|27.415|27.42|27.42|27.41|27.43|27.41|27.44|27.42|27.415|27.41|27.41|27.42|21.74|33.9|27.35|27.48|27.38|27.45|27.37|27.46|27.41|27.42|41.4399|22.665|1536673|254974947 64879|BRP|BRP|05589G102|US05589G1022|Brp Group Inc|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN5-2|TXN13-3|TXN6-5|TXN5-8|64320000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3030|303020|30302010|Financials|Insurance|Non-life Insurance|Full Line Insurance|N||N||||||N|0|Y||||||18.4|18.4|0.0|18.46|18.41|18.41|18.4|18.4|0.0|0.0|18.41|18.44|18.42|18.42|18.44|18.41|18.41|18.4|18.05|18.42|18.36|18.58|14.0|22.33|18.35|18.56|18.36|18.45|18.36|18.45|18.4|18.42|32.12|17.33|2133864|91258343 74334|BRSH|BRSH|11750K401|CA11750K4019|Bruush Oral Care Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-1|TXN5-1|TXN14-2|TXN5-7|TXN6-8|16390000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CAN||||45|4520|452010|45201020|Consumer Staples |Personal Care, Drug and Grocery Stores |Personal Care, Drug and Grocery Stores |Personal Products|N||N||||||N|0|Y||||||0.183|0.1829|0.0|0.0|0.183|0.183|0.180568|0.1815|0.0|0.0|0.1825|0.1825|0.181|0.18|0.0|0.1829|0.0|0.1819|0.18|0.1819|0.181|0.2146|0.1484|0.2146|0.181|0.19|0.1484|0.2146|0.0|0.0|0.181|0.184|8.5|0.1104|1192536|361207633 74335|BRSHW|BRSHW|11750K120|CA11750K1205|Bruush Oral Care Inc|WT EXP 080327||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-7|TXN6-3|TXN10-7|TXN5-5|TXN5-5|12780000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CAN||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0063|0.012|0.49|0.004|0|1173549 60635|BRSP|BRSP|10949T109|US10949T1097|BrightSpire Capital, Inc.|Class A Common Stock|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|8|O|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-4|TXN2-5|TXN8-6|TXN4-1|TXN4-3|129990000|||Quarterly|||||2018-02-01||||||| | | | | | | | | |||N|0|N|Y|414A|USA|US|||30|3020|302030|30203010|Financials|Financial Services |Mortgage Real Estate Investment Trusts|Mortgage REITs: Commercial|N||N||||||Y|0|Y||Y|2|||6.98|6.99|0.0|0.0|6.99|6.985|6.99|6.985|0.0|0.0|6.98|6.99|6.98|6.98|6.95|6.98|6.97|6.98|6.99|6.98|6.98|6.99|5.34|8.47|6.98|7.01|6.96|7.01|6.97|7.02|6.98|6.99|7.8099|5.2|442975|225916773 5186|BRT|BRT|055645303|US0556453035|BRT Apartments Corp.|Common Stock, par value $0.01 per share|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN4-6|TXN6-8|TXN2-3|TXN1-2|18600000|||Quarterly|||||1988-01-12||||||| | | | | | | | | |||N|0|N|Y|412A|USA|US|||35|3510|351020|35102040|Real Estate|Real Estate |Real Estate Investment Trusts|Residential REITs|N||N||||||Y|0|Y||Y|2|||18.01|19.04|0.0|0.0|19.09|19.07|19.07|17.9|0.0|0.0|18.84|17.2|19.07|19.05|19.05|19.09|0.0|19.09|18.23|19.09|19.07|19.09|18.96|19.16|18.89|19.27|0.0|0.0|19.01|19.12|19.07|19.09|22.35|16.0107|24070|12209577 72274|BRTX|BRTX|090655606|US0906556065|BioRestorative Therapies Inc|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN6-1|TXN13-5|TXN5-2|TXN6-2|4710000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302020|30202000|Financials|Financial Services |Investment Banking and Brokerage Services |Diversified Financial Services |N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|1.855|0.0|0.0|0.0|0.0|0.0|1.82|0.0|0.0|0.0|0.0|1.83|0.0|1.83|0.0|0.0|0.0|0.0|1.73|1.96|0.0|0.0|0.0|0.0|1.82|1.89|7.13|1.405|10942|44875259 8668|BRW|BRW|78518H202|US78518H2022|Saba Capital Income & Opportunities Fund|Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN1-6|TXN1-5|TXN4-4|TXN2-2|42530000|||Monthly|||||1992-03-09||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||7.84|7.83|0.0|0.0|7.83|7.83|7.84|7.825|0.0|0.0|7.83|7.83|7.83|7.801|0.0|7.84|0.0|7.83|0.0|7.84|7.82|7.84|6.07|9.61|7.76|8.32|7.8|7.87|7.82|7.85|7.82|7.84|8.415|7.18|112768|28020728 42972|BRX|BRX|11120U105|US11120U1051|Brixmor Property Group Inc.|Common Stock, par value $0.01 per share|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-1|TXN3-7|TXN7-8|TXN2-3|TXN1-6|300600000|||Quarterly|||||2013-10-30||||||| | | | | | | | | |||N|0|Y|Y|412A|USA|US|||35|3510|351020|35102045|Real Estate|Real Estate |Real Estate Investment Trusts|Retail REITs|N||N||||||Y|0|Y||Y|1|||22.61|22.61|0.0|22.03|22.61|22.61|22.605|22.61|0.0|0.0|22.61|22.61|22.6|22.61|22.61|22.6|22.6|22.6|22.61|22.6|22.6|22.62|21.15|23.92|22.58|22.63|22.57|22.64|22.6|22.65|22.6|22.62|24.265|19.4|3098047|534550079 61315|BRY|BRY|08579X101|US08579X1019|Berry Corp|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN5-7|TXN12-3|TXN6-2|TXN5-2|75670000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||60|6010|601010|60101010|Energy|Energy|Oil, Gas and Coal|Oil: Crude Producers|N||N||||||Y|0|Y||||||7.075|7.075|0.0|7.005|7.08|7.075|7.075|7.08|0.0|0.0|7.075|7.07|7.07|7.09|7.07|7.07|7.07|7.065|7.09|7.07|7.06|7.08|5.44|8.59|7.06|7.08|7.04|7.11|7.05|7.08|7.06|7.07|10.74|6.23|1053548|174742004 72409|BRZE|BRZE|10576N102|US10576N1028|Braze Inc|COM CL A USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN6-4|TXN13-5|TXN6-3|TXN6-3|67200000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||||||56.6|56.63|0.0|56.42|56.69|56.65|56.67|56.67|0.0|0.0|56.65|56.57|56.68|56.56|56.57|56.67|56.18|56.64|56.53|56.68|56.15|57.11|42.65|69.59|56.4|57.05|44.04|56.73|56.6|56.68|56.6|56.68|56.81|23.67|973225|175449055 41806|BRZU|BRZU|25460G708|US25460G7088|Direxion Shares ETF Trust|Direxion Daily MSCI Brazil Bull 2X Shares|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Direxion Shares|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-4|TXN3-2|TXN4-3|TXN2-6|TXN2-3|1308630.9986|||Quarterly|||||2013-04-10||BRZU.NV|BRZU.SO|BRZU.EU|BRZU.TC|BRZU.IV| | | | | | | | | |2x|The Fund seeks daily investment results, before fees and expenses, of 200% of the performance of the MSCI Brazil 25/50 Index.|N|0|N|N|416A|USA|US|EQUITY|LEVERAGED|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||93.321|91.0|0.0|0.0|0.0|91.1|91.32|92.05|0.0|0.0|91.1|0.0|91.41|0.0|0.0|91.711|0.0|91.1|0.0|91.1|89.42|93.3|72.08|112.49|91.1|91.6|90.01|92.68|91.1|91.6|91.1|91.6|98.6|52.99|19844|17832841 9053|BSAC|BSAC|05965X109|US05965X1090|Banco Santander-Chile|American Depositary Shares Four Hundred (400) Common Shares|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN1-1|TXN8-8|TXN3-7|TXN3-6|188446130000|||Yearly|||||1997-01-13||||||| | | | | | | | | |||N|0|N|Y|402B|CHL|CL|||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||Y|2|||19.46|19.39|0.0|19.41|19.41|19.43|19.39|19.42|0.0|0.0|19.4|19.42|19.39|19.41|19.51|19.39|19.56|19.39|19.45|19.39|19.39|19.41|15.18|24.15|19.38|19.57|19.36|19.43|19.37|19.41|19.39|19.41|21.81|15.02|301932|110275434 65414|BSBK|BSBK|097235105|US0972351052|Bogota Financial Corp|COM USD0.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN5-2|TXN14-2|TXN5-6|TXN5-5|13330000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302020|30202000|Financials|Financial Services |Investment Banking and Brokerage Services |Diversified Financial Services |N||N||||||N|0|Y||||||6.9|0.0|0.0|0.0|0.0|6.87|6.9|0.0|0.0|0.0|7.01|0.0|6.9|0.0|0.0|0.0|0.0|6.9|0.0|6.9|0.0|0.0|0.0|0.0|6.54|6.9|0.0|0.0|0.0|0.0|6.84|6.9|11.75|6.81|33340|1940920 31655|BSBR|BSBR|05967A107|US05967A1079|Banco Santander (Brasil) S.A.|American Depositary Shares (each representing one unit)|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|8|A|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-7|TXN1-3|TXN7-4|TXN1-6|TXN2-4|3812850000|||Quarterly|||||2009-10-07||||||| | | | | | | | | |||N|0|N|Y|402B|BRA|BR|||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||Y|2|||6.205|6.2|0.0|0.0|6.2|6.205|6.2|6.21|0.0|0.0|6.21|6.21|6.2|6.205|6.21|6.2|6.205|6.2|6.2|6.2|6.2|6.21|4.81|7.61|6.19|6.21|6.17|6.24|6.16|6.25|6.2|6.21|6.635|4.76|1423125|205366447 44930|BSCN|BSCN|46138J866|US46138J8669|Invesco BulletShares 2023 Corporate Bond ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN6-5|TXN13-7|TXN6-6|TXN5-6|78750000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||21.25|21.25|0.0|0.0|21.245|21.245|21.25|21.245|0.0|0.0|21.24|21.24|21.245|21.245|21.24|21.245|21.245|21.25|21.245|21.245|21.24|21.25|21.22|21.29|21.24|21.25|21.22|21.29|21.22|21.29|21.24|21.25|21.31|20.93|1456811|159669785 44931|BSCO|BSCO|46138J841|US46138J8412|Invesco BulletShares 2024 Corporate Bond ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN6-7|TXN14-7|TXN5-3|TXN6-7|191550000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||20.82|20.81|0.0|0.0|20.81|20.81|20.81|20.805|0.0|0.0|20.805|20.805|20.81|20.805|20.8|20.805|20.805|20.81|20.8|20.81|20.8|20.84|20.8|20.85|20.8|20.82|20.78|20.85|20.78|20.85|20.8|20.82|20.83|20.4201|923691|178423717 51481|BSCP|BSCP|46138J825|US46138J8255|Invesco BulletShares 2025 Corporate Bond ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN6-7|TXN12-2|TXN6-4|TXN6-6|157800000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||20.33|20.325|0.0|0.0|20.32|20.325|20.325|20.32|0.0|0.0|20.325|20.32|20.33|20.33|20.32|20.33|20.32|20.33|20.315|20.33|20.31|20.35|20.31|20.35|20.32|20.34|20.28|20.36|20.28|20.35|20.32|20.33|20.44|19.97|958123|186661366 53885|BSCQ|BSCQ|46138J791|US46138J7919|Invesco BulletShares 2026 Corporate Bond ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN6-6|TXN14-4|TXN5-8|TXN6-2|116100000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||19.1|19.09|0.0|0.0|19.1|19.095|19.0937|19.095|0.0|0.0|19.1|19.1|19.1|0.0|19.1|19.095|0.0|19.09|19.095|19.1|19.06|19.11|19.05|19.12|19.08|19.11|19.05|19.12|19.05|19.12|19.09|19.1|19.37|18.69|435078|111112785 59660|BSCR|BSCR|46138J783|US46138J7836|Invesco BulletShares 2027 Corporate Bond ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN5-2|TXN12-5|TXN5-6|TXN6-5|68400000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||19.155|19.16|0.0|0.0|19.155|19.155|19.1597|19.16|0.0|0.0|19.16|19.16|19.16|19.155|19.155|19.155|19.16|19.16|19.16|19.16|19.12|19.18|19.12|19.18|19.15|19.16|19.12|19.18|19.12|19.18|19.15|19.16|19.56|18.52|383323|73484094 61383|BSCS|BSCS|46138J643|US46138J6432|Invesco BulletShares 2028 Corporate Bond ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN6-4|TXN13-1|TXN5-3|TXN6-4|49500001|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||19.88|19.88|0.0|19.88|19.88|19.875|19.88|19.88|0.0|0.0|19.875|19.88|19.88|19.88|19.88|19.88|19.88|19.88|19.88|19.88|19.87|21.26|19.82|19.91|19.87|19.88|19.81|19.91|19.82|19.91|19.87|19.88|20.37|19.07|353786|51897591 64481|BSCT|BSCT|46138J577|US46138J5772|Invesco BulletShares 2029 Corporate Bond ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN5-5|TXN10-4|TXN5-3|TXN5-4|27300001|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||18.08|18.08|0.0|0.0|18.08|18.085|18.088|18.075|0.0|0.0|18.07|18.1|18.09|18.08|18.12|18.085|0.0|18.08|18.13|18.09|16.86|19.35|18.03|18.11|18.07|18.1|18.02|19.35|18.03|18.11|18.08|18.09|18.62|17.185|949899|30060368 67499|BSCU|BSCU|46138J460|US46138J4601|Invesco BulletShares 2030 Corporate Bond ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN6-5|TXN12-2|TXN5-7|TXN5-7|22200000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||16.13|16.13|0.0|0.0|16.13|16.13|16.13|16.13|0.0|0.0|16.135|0.0|16.15|16.13|16.13|16.135|16.13|16.13|0.0|16.15|16.13|16.15|16.09|19.85|16.13|16.15|16.09|19.4|16.09|0.0|16.13|16.15|17.39|15.185|272845|25451710 71662|BSCV|BSCV|46138J429|US46138J4296|Invesco BulletShares 2031 Corporate Bond ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN6-8|TXN13-6|TXN6-7|TXN5-7|16950000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||15.855|15.85|0.0|0.0|15.83|15.85|15.855|15.85|0.0|0.0|15.855|15.84|15.86|15.85|15.83|0.0|0.0|15.855|0.0|15.86|12.18|19.42|15.8|15.93|15.83|15.87|15.8|15.94|15.8|15.94|15.85|15.86|16.81|14.785|95906|20860085 74565|BSCW|BSCW|46139W858|US46139W8588|Invesco BulletShares 2032 Corporate Bond ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN6-2|TXN11-8|TXN5-8|TXN5-8|11850000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||19.97|19.96|0.0|0.0|19.99|0.0|19.9891|0.0|0.0|0.0|19.96|19.96|19.97|19.99|0.0|0.0|0.0|19.99|19.96|19.97|0.0|0.0|19.92|20.07|19.95|20.0|19.92|0.0|19.92|0.0|19.96|20.0|22.58|18.54|48641|15487569 76333|BSCX|BSCX|46139W825|US46139W8257|Invesco BulletShares 2033 Corporate Bond ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN5-2|TXN14-7|TXN5-1|TXN5-8|1200000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||20.5|0.0|0.0|0.0|0.0|20.48|20.51|20.5|0.0|0.0|20.49|20.48|20.485|20.49|0.0|20.5|0.0|20.51|0.0|20.485|15.86|25.16|20.43|25.16|20.43|20.6|20.42|25.16|20.43|0.0|20.46|20.53|20.61|19.045|42335|1706098 64394|BSEP|BSEP|45782C664|US45782C6646|Innovator U.S. Equity Buffer ETF - September|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN3-7|TXN1-8|TXN2-1|TXN4-4|5300000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|35.4493|0.0|0.0|0.0|0.0|35.405|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|35.34|0.0|35.4493|0.0|35.4493|28.25|42.49|35.28|35.48|35.42|35.48|35.36|35.55|35.36|35.55|35.42|35.48|35.6174|29.92|48746|5465836 587|BSET|BSET|070203104|US0702031040|Bassett Furniture Industries Inc.|COM USD5||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN6-8|TXN11-5|TXN6-5|TXN6-8|8820000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4020|402020|40202015|Consumer Discretionary|Consumer Products and Services|Household Goods and Home Construction|Household Furnishings|N||N||||||N|0|Y||||||16.96|0.0|0.0|0.0|0.0|17.37|17.26|17.16|0.0|0.0|17.11|0.0|17.26|0.0|0.0|0.0|0.0|17.37|0.0|17.26|16.73|17.93|0.0|0.0|16.8|17.68|13.12|20.37|0.0|0.0|17.14|17.37|19.9887|13.3|13312|5335333 66335|BSFC|BSFC|09606H200|US09606H2004|Blue Star Foods Corp|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-7|TXN6-5|TXN10-8|TXN6-6|TXN6-1|14450000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||45|4510|451020|45102020|Consumer Staples |Food, Beverage and Tobacco |Food Producers|Food Products|N||N||||||N|0|Y||||||0.1624|0.1624|0.0|0.166|0.165|0.1624|0.1624|0.1656|0.0|0.0|0.1624|0.1624|0.165|0.1658|0.1658|0.1648|0.1658|0.1624|0.163|0.165|0.1623|0.1836|0.132|0.199|0.1553|0.1674|0.1328|0.1836|0.0|0.0|0.1623|0.165|2.08|0.0651|2763307|586269619 61817|BSGM|BSGM|09073N201|US09073N2018|BioSig Technologies Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-5|TXN5-1|TXN14-1|TXN5-1|TXN5-3|88110000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||Y|0|Y||||||0.31|0.319|0.0|0.0|0.31|0.3052|0.3052|0.306|0.0|0.0|0.3095|0.3104|0.3052|0.3129|0.0|0.3095|0.0|0.3052|0.3129|0.3052|0.2952|0.3197|0.2424|0.378|0.295|0.3185|0.2424|0.378|0.0|0.0|0.3052|0.31|1.65|0.2554|173642|103521015 46134|BSIG|BSIG|10948W103|US10948W1036|BrightSphere Investment Group Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|A|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN2-3|TXN8-8|TXN3-2|TXN1-6|41510000|||Quarterly|||||2014-10-09||||||| | | | | | | | | |||N|0|N|Y|402A|USA|US|||30|3020|302020|30202010|Financials|Financial Services |Investment Banking and Brokerage Services |Asset Managers and Custodians|N||N||||||Y|0|Y||Y|2|||17.98|17.99|0.0|17.87|17.93|17.94|17.915|17.93|0.0|0.0|17.94|17.98|17.92|17.91|18.16|17.91|17.92|17.91|18.22|17.91|17.91|17.92|17.88|17.95|17.79|17.98|17.88|17.95|17.89|17.96|17.91|17.92|26.88|15.225|202766|41699383 51482|BSJN|BSJN|46138J858|US46138J8586|Invesco BulletShares 2023 High Yield Corporate Bond ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN5-6|TXN10-8|TXN6-1|TXN5-1|18300000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||23.505|23.5|0.0|0.0|23.505|23.5|23.505|23.505|0.0|0.0|23.5|0.0|23.505|23.5|23.5|23.505|0.0|23.505|23.505|23.505|22.03|25.17|22.03|25.17|23.5|23.53|22.03|25.17|0.0|0.0|23.5|23.51|23.725|23.07|178526|53064267 53886|BSJO|BSJO|46138J833|US46138J8339|Invesco BulletShares 2024 High Yield Corporate Bond ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN5-5|TXN12-3|TXN6-2|TXN6-5|31800000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||22.62|22.615|0.0|0.0|22.62|22.615|22.62|22.615|0.0|0.0|22.61|22.61|22.61|22.62|22.62|22.615|22.61|22.62|22.615|22.61|20.94|24.09|20.94|24.09|22.59|22.62|20.94|24.09|0.0|0.0|22.61|22.62|22.72|21.825|228976|58745032 59659|BSJP|BSJP|46138J817|US46138J8172|Invesco BulletShares 2025 High Yield Corporate Bond ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN5-3|TXN14-2|TXN5-3|TXN5-4|45700000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|22.72|0.0|0.0|22.71|22.72|22.725|22.72|0.0|0.0|22.705|0.0|22.72|22.73|22.71|22.715|22.71|22.72|22.715|22.72|21.3|24.22|21.3|24.22|22.7|22.73|21.3|24.22|0.0|0.0|22.71|22.73|22.8|21.8|113162|82441175 61382|BSJQ|BSJQ|46138J635|US46138J6358|Invesco BulletShares 2026 High Yield Corporate Bond ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN5-2|TXN14-1|TXN6-2|TXN6-5|15400001|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|23.0|0.0|0.0|22.975|22.965|22.995|22.97|0.0|0.0|0.0|22.97|22.995|22.97|0.0|22.97|0.0|22.995|0.0|22.995|21.44|24.48|21.44|24.48|22.96|23.0|21.44|24.48|0.0|0.0|22.99|23.0|23.35|22.2|66991|25275003 64480|BSJR|BSJR|46138J585|US46138J5855|Invesco BulletShares 2027 High Yield Corporate Bond ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN6-8|TXN13-3|TXN5-3|TXN5-4|5900001|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||22.02|22.02|0.0|0.0|0.0|21.995|22.0|22.015|0.0|0.0|22.02|0.0|22.02|22.02|0.0|0.0|0.0|22.02|0.0|22.02|16.92|27.07|16.92|27.07|21.99|22.03|16.92|27.07|0.0|0.0|22.01|22.03|22.43|20.888|49263|7478278 67500|BSJS|BSJS|46138J452|US46138J4528|Invesco BulletShares 2028 High Yield Corporate Bond ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN6-2|TXN13-6|TXN5-3|TXN6-3|4100000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||21.22|21.25|0.0|0.0|21.22|21.21|21.21|21.22|0.0|0.0|0.0|0.0|21.2006|21.23|0.0|21.22|0.0|21.25|21.22|21.2006|16.85|25.39|16.28|26.15|21.14|21.25|16.85|25.39|0.0|0.0|21.16|21.25|21.96|20.05|45184|5674720 71663|BSJT|BSJT|46138J395|US46138J3959|Invesco BulletShares 2029 High Yield Corporate Bond ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN6-6|TXN14-6|TXN6-5|TXN6-5|1200000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||20.64|20.63|0.0|0.0|20.64|20.64|20.585|20.63|0.0|0.0|0.0|0.0|20.6|20.64|0.0|20.64|0.0|20.585|0.0|20.6|16.38|24.74|15.87|25.25|20.54|20.67|16.38|24.74|0.0|0.0|20.56|20.64|21.1299|19.29|10544|1665379 74566|BSJU|BSJU|46139W841|US46139W8414|Invesco BulletShares 2030 High Yield Corporate Bond ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN5-3|TXN11-7|TXN5-2|TXN5-2|1000000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|24.95|0.0|0.0|0.0|0.0|24.921|0.0|0.0|0.0|24.95|0.0|24.95|0.0|0.0|0.0|0.0|24.921|0.0|24.95|0.0|0.0|0.0|0.0|24.93|24.97|0.0|0.0|0.0|0.0|24.93|24.97|25.56|23.235|6213|1393408 76334|BSJV|BSJV|46139W817|US46139W8174|Invesco BulletShares 2031 High Yield Corporate Bond ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN6-5|TXN14-7|TXN6-3|TXN5-2|300000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|25.5677|0.0|0.0|0.0|0.0|0.0|25.5822|0.0|0.0|0.0|0.0|25.5677|0.0|25.5822|0.0|0.0|0.0|0.0|25.41|25.75|0.0|0.0|0.0|0.0|25.54|25.62|25.87|23.835|3488|157408 32751|BSL|BSL|09256U105|US09256U1051|Blackstone Senior Floating Rate 2027 Term Fund|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN2-4|TXN9-8|TXN1-3|TXN3-1|13540000|||Monthly|||||2010-05-26||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||13.07|13.08|0.0|0.0|13.06|13.08|13.05|13.1|0.0|0.0|13.11|13.01|13.08|13.12|0.0|13.05|13.08|13.05|0.0|13.05|13.05|13.1|10.12|16.04|12.19|14.0|10.12|16.04|0.0|0.0|13.05|13.1|13.53|12.19|90474|9835263 49743|BSM|BSM|09225M101|US09225M1018|Black Stone Minerals, L.P.|Common units representing limited partner interests|Limited partnership|A|N|N|N|Y|Y|Y|Y|Y|5|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-7|TXN4-7|TXN4-5|TXN2-1|TXN2-3|209990000|||Quarterly|||||2015-05-01||||||| | | | | | | | | |||N|0|N|N|134B|USA|US|||60|6010|601010|60101010|Energy|Energy|Oil, Gas and Coal|Oil: Crude Producers|N||N||||||Y|0|Y||Y|2|||16.98|16.97|0.0|17.14|16.96|16.97|16.98|17.0|0.0|0.0|17.0|17.0|16.98|16.97|17.01|16.97|16.97|16.98|17.11|16.97|16.97|16.99|13.41|20.81|16.89|17.01|16.95|17.01|16.95|17.02|16.97|16.99|18.55|13.4101|577941|126880006 76444|BSMC|BSMC|900934100|US9009341002|Brandes U.S. Small-Mid Cap Value ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-3|TXN1-8|TXN1-5|TXN3-4|TXN4-6|500000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|26.7194|0.0|0.0|0.0|0.0|26.64|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|26.7194|0.0|26.7194|0.0|0.0|0.0|0.0|26.56|26.87|0.0|0.0|0.0|0.0|26.66|26.76|26.7194|24.17|7960|535620 64663|BSMN|BSMN|46138J544|US46138J5442|Invesco BulletShares 2023 Municipal Bond ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN6-6|TXN12-3|TXN5-7|TXN5-6|4200000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|25.06|25.06|0.0|0.0|0.0|0.0|0.0|25.07|25.06|0.0|0.0|0.0|25.06|0.0|25.07|19.33|30.91|19.33|30.91|25.03|25.09|19.33|30.91|0.0|0.0|25.04|25.07|25.26|24.951|29129|8118358 64664|BSMO|BSMO|46138J536|US46138J5368|Invesco BulletShares 2024 Municipal Bond ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN5-8|TXN11-7|TXN5-6|TXN6-3|8700000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||24.89|24.89|0.0|0.0|24.89|24.89|24.89|0.0|0.0|0.0|0.0|0.0|24.89|24.89|0.0|24.89|0.0|24.89|24.89|24.89|0.0|0.0|0.0|0.0|24.84|24.9|0.0|0.0|0.0|0.0|24.88|24.9|25.0|24.54|78550|10264940 64665|BSMP|BSMP|46138J528|US46138J5285|Invesco BulletShares 2025 Municipal Bond ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN5-3|TXN11-8|TXN5-4|TXN6-3|8100000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||24.42|24.45|0.0|0.0|24.42|24.45|24.43|24.425|0.0|0.0|24.44|24.44|24.425|24.45|0.0|24.45|0.0|24.425|0.0|24.425|18.81|30.02|18.81|30.02|24.39|24.45|18.81|30.02|0.0|0.0|24.42|24.43|24.83|23.83|64590|8581974 64666|BSMQ|BSMQ|46138J510|US46138J5103|Invesco BulletShares 2026 Municipal Bond ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN6-6|TXN14-1|TXN6-6|TXN6-7|6000000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||23.54|23.55|0.0|0.0|23.54|23.555|23.555|0.0|0.0|0.0|23.52|0.0|23.555|23.54|0.0|23.555|0.0|23.555|0.0|23.555|0.0|0.0|0.0|0.0|23.5|23.56|0.0|0.0|0.0|0.0|23.55|23.56|24.04|22.81|74111|6915254 64667|BSMR|BSMR|46138J494|US46138J4940|Invesco BulletShares 2027 Municipal Bond ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN5-8|TXN14-1|TXN6-7|TXN6-7|4200000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|23.59|0.0|0.0|23.59|23.6|23.59|23.575|0.0|0.0|23.565|23.56|23.5931|23.6|0.0|23.56|0.0|23.59|23.575|23.5931|0.0|0.0|0.0|0.0|23.54|23.6|0.0|0.0|0.0|0.0|23.54|23.6|24.17|22.63|66590|5124335 64668|BSMS|BSMS|46138J486|US46138J4866|Invesco BulletShares 2028 Municipal Bond ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN6-6|TXN13-5|TXN5-1|TXN5-6|3600000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|23.34|0.0|0.0|0.0|23.33|23.369|0.0|0.0|0.0|23.34|0.0|23.3597|23.32|0.0|23.33|0.0|23.369|0.0|23.3597|18.0|28.75|18.0|28.75|23.34|23.39|18.0|28.75|0.0|0.0|23.34|23.37|23.95|22.25|30307|4665914 64669|BSMT|BSMT|46138J478|US46138J4783|Invesco BulletShares 2029 Municipal Bond ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN6-5|TXN13-8|TXN6-6|TXN6-6|2600000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||23.04|23.04|0.0|0.0|23.04|23.03|23.051|23.09|0.0|0.0|23.05|0.0|23.065|23.05|0.0|23.04|0.0|23.051|23.04|23.065|17.7|28.32|17.7|28.32|23.04|23.1|17.7|28.32|0.0|0.0|23.05|23.08|23.67|21.8|31397|4346754 67501|BSMU|BSMU|46138J445|US46138J4452|Invesco BulletShares 2030 Municipal Bond ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN5-4|TXN10-2|TXN5-2|TXN5-5|3100000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||21.95|21.9|0.0|0.0|21.96|21.95|21.95|21.96|0.0|0.0|21.91|0.0|21.9506|21.95|0.0|0.0|0.0|21.96|0.0|21.9506|16.86|26.95|16.86|26.95|21.91|21.96|16.86|26.95|0.0|0.0|21.91|21.96|22.82|20.57|23248|3994626 71664|BSMV|BSMV|46138J411|US46138J4114|Invesco BulletShares 2031 Municipal Bond ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN5-5|TXN11-8|TXN6-3|TXN5-3|2300000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||21.12|21.15|0.0|0.0|21.12|21.15|21.15|21.11|0.0|0.0|21.15|0.0|21.135|21.15|0.0|21.15|0.0|21.15|0.0|21.135|0.0|0.0|0.0|0.0|21.11|21.17|0.0|0.0|0.0|0.0|21.11|21.16|21.74|19.68|33477|2923633 75349|BSMW|BSMW|46139W833|US46139W8331|Invesco BulletShares 2032 Municipal Bond ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN5-6|TXN12-8|TXN6-4|TXN6-8|1700000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||25.35|25.35|0.0|0.0|0.0|25.35|25.35|25.35|0.0|0.0|0.0|0.0|25.35|25.28|0.0|0.0|0.0|25.28|0.0|25.35|0.0|0.0|0.0|0.0|25.25|25.4|0.0|0.0|0.0|0.0|25.27|25.37|25.96|23.46|11734|2401462 590|BSQR|BSQR|11776U300|US11776U3005|BSQUARE Corp|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN5-7|TXN10-8|TXN5-1|TXN5-1|19870000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||N|0|Y||||||0.0|1.89|0.0|0.0|1.89|1.89|1.8947|1.885|0.0|0.0|0.0|0.0|1.89|1.89|0.0|0.0|0.0|1.8947|1.88|1.8947|1.83|1.96|0.0|0.0|1.88|1.93|1.88|1.92|1.86|1.93|1.89|1.9|1.9|1.05|43423|16495782 75618|BSR|BSR|66538F199|US66538F1993|Northern Lights Fund Trust II|Beacon Selective Risk ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Ultimus Fund Solutions (Beacon Capital Management)|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-8|TXN4-5|TXN6-8|TXN3-3|TXN3-2|1050000|||Yearly|||||2023-04-18||BSR.NV|BSR.SO|BSR.EU|BSR.TC| | | | | | | | | | ||The primary investment objective of the Beacon Selective Risk ETF (the Selective Risk Fund) is to seek to provide long-term capital appreciation. The Selective Risk Fund is an actively managed exchange-traded fund (ETF) that may engage in active trading. The Selective Risk Fund will use a fund of funds approach, and seeks to achieve its investment objective by investing in the shares of Vanguard Sector exchange-traded funds (each, an Underlying Sector ETF and collectively, the Underlying Sector ETFs). Each Underlying Sector ETF is an index fund that invests in the equity securities of companies in a particular U.S. market sector or group of industries. The objective of each Underlying Sector ETF is to track its respective underlying sector index by replicating the securities in the underlying sector index.|N|0|N|N|408A|USA|US|HYBRID|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|25.215|0.0|25.215|0.0|0.0|0.0|0.0|25.17|25.26|25.17|25.26|0.0|0.0|25.17|25.26|26.58|24.2779|0|1059351 592|BSRR|BSRR|82620P102|US82620P1021|Sierra Bancorp|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN6-1|TXN14-2|TXN5-2|TXN5-6|14700000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||||||19.76|0.0|0.0|0.0|0.0|19.9|19.88|0.0|0.0|0.0|19.45|0.0|19.9|19.77|0.0|0.0|0.0|19.88|0.0|19.9|19.16|20.49|0.0|0.0|19.4|20.37|0.0|0.0|0.0|0.0|19.82|19.99|22.525|15.01|30676|8201867 76335|BSSX|BSSX|46139W791|US46139W7911|Invesco BulletShares 2033 Municipal Bond ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN5-7|TXN13-1|TXN6-6|TXN5-2|400000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|25.76|0.0|0.0|0.0|25.76|25.8199|25.81|0.0|0.0|0.0|0.0|25.765|25.76|0.0|25.81|0.0|25.78|0.0|25.765|0.0|0.0|0.0|0.0|25.62|25.91|0.0|0.0|0.0|0.0|25.75|25.78|26.8|23.92|14340|207507 48377|BST|BST|09258G104|US09258G1040|BlackRock Science and Technology Trust|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN1-6|TXN7-7|TXN2-1|TXN1-7|25250000|||Monthly|||||2014-10-29||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||34.09|33.8|0.0|0.0|33.79|33.74|33.79|33.73|0.0|0.0|33.8|34.0|33.79|0.0|0.0|33.75|0.0|33.75|0.0|33.75|33.75|33.79|26.18|41.63|33.15|35.87|33.68|33.86|33.75|33.82|33.75|33.79|35.38|27.9|67778|23949135 73642|BSTP|BSTP|45783Y731|US45783Y7316|Innovator ETFs Trust|Innovator Buffer Step-Up Strategy ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Innovator Capital Management |Wolverine Trading, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-7|TXN1-7|TXN2-8|TXN1-6|TXN1-1|1525000|||Yearly|||||2022-03-08||BSTP.NV|BSTP.SO|BSTP.EU|BSTP.TC| | | | | | | | | | |1x|Innovator Buffer Step-Up Strategy is an exchange-traded fund incorporated in the USA. It is designed to utilize a series of buffer strategies and rotate from one to another. In a positive market, lock-in gains, expand the upside cap, obtain a fresh downside buffer, eiminate downside before buffer risk. In a negative market, lock-in realized buffer, reset upside cap and downside buffer.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|27.65|0.0|0.0|0.0|0.0|27.59|0.0|0.0|0.0|27.59|0.0|0.0|0.0|0.0|27.59|0.0|27.5693|0.0|27.5693|27.52|27.59|27.5|27.57|27.53|27.6|0.0|0.0|0.0|0.0|27.53|27.6|27.74|23.2|209163|1552106 63923|BSTZ|BSTZ|09260K101|US09260K1016|BlackRock Science and Technology Term Trust|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-4|TXN4-2|TXN3-5|TXN3-2|TXN4-6|78090000|||Monthly|||||2019-06-26||||||| | | | | | | | | |||N|0|N|N|406B|USA|US|||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||16.82|16.81|0.0|0.0|16.83|16.815|16.8168|16.835|0.0|0.0|16.82|16.87|16.82|16.839|0.0|16.81|16.83|16.81|0.0|16.81|16.81|16.82|13.09|20.82|16.8|16.83|16.78|16.85|16.79|16.84|16.81|16.82|19.28|14.11|315568|69116817 24593|BSV|BSV|921937827|US9219378273|Vanguard Bond Index Funds|Vanguard Short-Term Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Vanguard|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-6|TXN1-3|TXN6-2|TXN2-4|TXN1-4|420279055|||Monthly|||||2008-09-19||BSV.NV|BSV.SO|BSV.EU|BSV.TC|BSV.IV| | | | | | | | | |1x|The fund employs a passive managementor indexingstrategy designed to track the performance of the Barclays Capital U.S. 15 Year Government/Credit Bond Index. This index includes all medium and larger issues of U.S. government, investment-grade corporate, and investment-grade international dollar-denominated bonds that have maturities of between 1 and 5 years and are publicly issued. The fund invests by sampling the index, meaning that it holds a range of securities that, in the aggregate, approximates the full index in terms of key risk factors and other characteristics. All of the funds investments will be selected through the sampling process, and at least 80% of the funds assets will be invested in bonds held in the index. Under normal circumstances, the funds dollar-weighted average maturity is not expected to exceed 3 years.|N|0|N|N|416A|USA|US|FIXED_INCOME|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||76.14|76.14|0.0|0.0|76.15|76.145|76.14|76.14|0.0|0.0|76.15|76.14|76.14|76.14|76.135|76.14|76.105|76.13|76.175|76.13|76.14|76.16|76.1|76.17|76.14|76.15|76.09|76.18|76.1|76.18|76.14|76.15|77.15|74.61|4955122|636952167 61803|BSVN|BSVN|06652N107|US06652N1072|Bank7 Corp|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN6-4|TXN10-2|TXN6-2|TXN5-5|9190000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y|C|||||24.73|24.4|0.0|0.0|0.0|0.0|24.36|24.465|0.0|0.0|0.0|0.0|24.54|0.0|0.0|0.0|0.0|24.36|0.0|24.54|23.58|25.49|0.0|0.0|23.78|25.19|0.0|0.0|0.0|0.0|24.28|24.74|30.86|19.5339|15034|4379747 75429|BSVO|BSVO|02072L532|US02072L5324|EA Bridgeway Omni Small-Cap Value ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN5-8|TXN14-7|TXN5-8|TXN6-8|50920000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||19.68|19.69|0.0|0.0|19.71|19.72|19.72|19.72|0.0|0.0|19.7|0.0|19.73|19.72|19.71|19.72|19.72|19.69|19.69|19.73|18.31|20.79|18.31|20.79|19.63|19.76|19.62|19.78|19.62|19.78|19.66|19.74|19.73|15.73|344723|32142434 5205|BSX|BSX|101137107|US1011371077|Boston Scientific Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|J|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-5|TXN2-4|TXN7-8|TXN3-3|TXN2-7|1464980000|||NotApplicable|||||1992-05-19||||||| | | | | | | | | |||N|5|Y|Y|122A|USA|US|||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||Y|0|Y||Y|1|||54.78|54.77|0.0|54.73|54.765|54.77|54.77|54.76|0.0|0.0|54.78|54.77|54.78|54.76|54.78|54.77|54.76|54.78|54.75|54.77|54.77|54.78|51.64|58.05|54.76|54.79|54.73|54.82|54.7|54.81|54.77|54.78|56.215|44.35|9420893|1871777563 67610|BSY|BSY|08265T208|US08265T2087|Bentley System Inc|COM CL B||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN6-5|TXN13-3|TXN6-7|TXN5-1|284360000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||USA||||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||||||52.69|52.7|0.0|52.54|52.69|52.64|52.7|52.69|0.0|0.0|52.7|52.66|52.7|52.7|52.54|52.67|52.63|52.7|52.38|52.7|52.63|52.73|49.16|55.72|52.62|52.74|52.61|52.75|52.62|52.77|52.69|52.7|55.37|33.75|1081519|203038575 16144|BTA|BTA|09250B103|US09250B1035|BlackRock Long-Term Municipal Advantage Trust|Common Shares|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN4-8|TXN7-8|TXN3-6|TXN2-8|13430000|||Monthly|||||2006-02-24||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||9.83|9.83|0.0|0.0|9.86|9.85|9.8558|9.86|0.0|0.0|9.88|9.89|9.84|9.7|0.0|9.83|9.83|9.83|9.88|9.83|9.83|9.87|9.83|9.88|9.15|10.5|0.0|0.0|0.0|0.0|9.83|9.87|10.61|8.59|79516|9490604 60744|BTAI|BTAI|09075P105|US09075P1057|BioXcel Therapeutics Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN5-4|TXN13-1|TXN6-4|TXN6-2|29270000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||0.0|3.82|0.0|0.0|3.86|3.825|3.82|3.83|0.0|0.0|3.83|3.835|3.82|0.0|3.83|3.825|3.85|3.82|3.82|3.82|3.76|3.87|2.96|4.75|3.82|3.86|3.05|4.66|0.0|3.84|3.82|3.83|34.125|2.23|613940|443395327 38753|BTAL|BTAL|00110G408|US00110G4082|AGF Investments Trust|AGF U.S. Market Neutral Anti-Beta Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||AGF Investments |Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-3|TXN2-8|TXN5-7|TXN3-2|TXN3-6|14850000|||Yearly|||||2011-09-13||BTAL.NV|BTAL.SO|BTAL.EU|BTAL.TC|BTAL.IV| | | | | | | | | |1x|The Fund seeks performance results that correspond to the price and yield performance, before fees and expenses, of the Dow Jones U.S. Market Neutral Anti-Beta Total Return Index. The Target Anti-Beta Index is a market neutral index that is dollar-neutral. As such, it identifies long and short securities positions of approximately equal dollar amounts. In choosing to track a market neutral index, the Fund seeks to limit the effects of general market movements on the Fund.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||19.45|19.47|0.0|19.44|19.45|19.48|19.47|19.46|0.0|0.0|19.47|19.45|19.475|19.45|19.48|19.48|19.48|19.47|19.44|19.47|19.28|19.72|19.3|19.67|19.47|19.5|19.31|19.68|19.31|19.68|19.47|19.5|21.64|17.7|1132395|96165588 72357|BTBD|BTBD|0557MQ206|US0557MQ2066|BT Brands Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN5-6|TXN12-1|TXN6-3|TXN5-7|6250000|||NotApplicable|||||||||||| | | | | | | | | 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Ltd|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN6-8|TXN10-5|TXN5-2|TXN6-2|1820000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||40|4020|402010|40201010|Consumer Discretionary|Consumer Products and Services|Consumer Services |Education Services|N||N||||||N|0|Y||||||3.62|3.65|0.0|0.0|3.5|3.62|3.36|3.57|0.0|0.0|3.66|0.0|3.69|3.58|0.0|3.6|3.5|3.36|0.0|3.36|3.07|3.88|2.55|4.52|3.07|3.88|2.92|4.08|0.0|0.0|3.28|3.69|5.76|2.51|62081|10456118 66544|BTCTW|BTCTW|G6055H106|KYG6055H1065|BTC Digital Ltd|WT EXP||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-2|TXN6-4|TXN12-2|TXN6-3|TXN5-3|26030000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0376|0.0|0.0|0.0|0.0|0.0|0.0182|0.0|0.0|0.0|0.0|0.0376|0.0|0.0376|0.0|0.0|0.0|0.0|0.0025|0.9972|0.0|0.0|0.0|0.0|0.0184|0.0377|0.098|0.0149|4012|245204 55049|BTCY|BTCY|09074H203|US09074H2031|Biotricity Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-1|TXN6-4|TXN14-3|TXN6-5|TXN6-8|8770000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502050|50205020|Industrials|Industrial Goods and Services|Industrial Support Services|Professional Business Support Services|N||N||||||Y|0|Y||||||0.95|0.97|0.0|0.0|0.935|0.97|1.015|1.01|0.0|0.0|0.97|0.0|0.99|0.0|0.0|0.0|0.0|1.015|0.0|1.015|0.792|1.23|0.792|1.23|0.9242|1.11|0.792|1.23|0.0|0.0|0.99|1.04|3.7837|0.3992|54431|25882763 71263|BTDR|BTDR|G11448100|KYG114481008|Bitdeer Technologies Group|ORD SHS CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN6-8|TXN10-8|TXN6-8|TXN5-4|62830000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||SGP||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment 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53712|BTEC|BTEC|74255Y409|US74255Y4098|Principal Healthcare Innovators ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN5-8|TXN12-5|TXN5-5|TXN6-8|1370000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|31.345|0.0|0.0|0.0|0.0|0.0|0.0|31.345|31.03|31.68|0.0|0.0|31.16|31.41|31.19|31.41|31.19|31.51|31.3|31.39|38.0|25.66|433|664680 67715|BTEK|BTEK|09290C301|US09290C3016|BlackRock ETF Trust|BlackRock Future Tech ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Citadel Securities 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ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN5-4|TXN11-6|TXN5-8|TXN6-5|2450000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||0.0|15.25|0.0|0.0|15.16|15.26|15.2392|15.24|0.0|0.0|0.0|15.3|15.2375|0.0|15.25|15.25|0.0|15.25|0.0|15.2375|14.24|16.26|15.22|15.25|15.22|15.25|15.2|15.25|15.2|15.25|15.22|15.25|15.3071|6.42|129742|62799053 37362|BTG|BTG|11777Q209|CA11777Q2099|B2Gold Corp.|Common Shares|Operating company|A|N|Y|A|Y|Y|Y|Y|Y|||Brendan E. Cryan and Company, L.L.C.|CRYN|0235|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-5|TXN3-7|TXN2-4|TXN1-5|TXN1-5|1300520000|||Quarterly|||||2013-06-06||||||| | | | | | | | | |||N|0|N|N|130E|CAN|CA|||55|5510|551030|55103025|Basic Materials|Basic Resources|Precious Metals and Mining|Gold Mining|N||N||||||Y|0|Y||Y|2|||3.28|3.27|0.0|3.33|3.27|3.27|3.275|3.27|0.0|0.0|3.27|3.27|3.27|3.27|3.27|3.27|3.27|3.27|3.27|3.27|3.25|3.28|3.26|3.28|3.26|3.27|3.24|3.31|3.24|3.32|3.26|3.28|4.4|2.77|12506750|1980410701 72937|BTHM|BTHM|09290C806|US09290C8064|BlackRock ETF Trust|BlackRock Future U.S. Themes ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Latour Trading, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-1|TXN3-2|TXN9-8|TXN4-2|TXN3-2|200000|||Quarterly|||||2021-12-16||BTHM.NV|BTHM.SO|BTHM.EU|BTHM.TC|BTHM.IV| | | | | | | | | |1x|The BlackRock Future U.S. Themes ETF seeks long-term capital appreciation.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|24.6995|22.741677|0.0|0.0|0.0|0.0|24.6|0.0|0.0|0.0|0.0|24.6388|0.0|24.6388|24.59|24.68|0.0|0.0|24.62|24.64|12.42|37.23|0.0|0.0|24.61|24.64|24.8209|20.36|368|56418 5211|BTI|BTI|110448107|US1104481072|British American Tobacco p.l.c.|American Depositary Shares, each representing one Ordinary Share, nominal value 25 pence per share|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|6|N|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-7|TXN4-1|TXN2-6|TXN1-5|TXN1-4|2236400000|||Quarterly|||||2017-07-25||||||| | | | | | | | | |||N|0|N|Y|152A|GBR|GB|||45|4510|451030|45103010|Consumer Staples |Food, Beverage and Tobacco |Tobacco|Tobacco|N||N||||||Y|0|Y||Y|2|||31.92|31.93|0.0|32.05|31.93|31.925|31.93|31.93|0.0|0.0|31.925|31.92|31.93|31.925|31.94|31.93|31.925|31.93|31.93|31.93|31.92|31.93|24.64|38.94|31.92|31.93|31.9|31.95|31.89|31.96|31.92|31.93|42.36|28.92|3115875|901941073 73902|BTM|BTM|09174P105|US09174P1057|Bitcoin Depot Inc|CL A COM USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN6-5|TXN10-4|TXN5-2|TXN5-2|13250000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||2.4|2.39|0.0|2.5|2.38|2.37|2.38|2.39|0.0|0.0|2.4|0.0|2.38|2.39|2.34|2.41|2.45|2.41|2.5|2.38|2.27|2.5|1.85|2.97|2.29|2.48|2.34|2.45|2.33|2.45|2.38|2.41|4.49|1.99|402735|25479927 70339|BTMD|BTMD|090683103|US0906831039|biote Corp|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN6-3|TXN10-3|TXN5-7|TXN6-2|33940000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||N|0|Y||||||0.0|5.4|0.0|0.0|5.37|5.37|5.4|5.4|0.0|0.0|5.37|0.0|5.37|5.0|0.0|0.0|5.26|5.35|5.17|5.37|5.25|5.49|4.09|6.55|5.26|5.48|4.09|6.55|0.0|0.0|5.35|5.37|8.22|2.75|109412|25002816 73904|BTMWW|BTMWW|09174P113|US09174P1131|Bitcoin Depot Inc|WT EXP 022427||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-5|TXN6-2|TXN14-1|TXN5-2|TXN5-3|13180000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0925|0.0|0.0|0.0|0.0848|0.084799|0.09|0.0|0.0|0.0975|0.0848|0.1|0.0|0.0|0.0|0.09|0.1|0.0|0.1|0.0|0.0|0.0|0.0|0.08|0.1675|0.0|0.0|0.0|0.0|0.09|0.096|0.335|0.0775|186730|14962805 5215|BTO|BTO|409735206|US4097352060|John Hancock Financial Opportunities Fund|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN2-7|TXN9-7|TXN4-5|TXN2-3|18790000|||Quarterly|||||2008-12-30||||||| | | | | | | | | |||N|0|N|N|406B|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||28.32|28.85|0.0|28.49|28.65|28.78|28.84|28.7|0.0|0.0|28.7|28.8|28.84|28.86|0.0|28.85|0.0|28.85|0.0|28.85|28.77|28.84|22.26|35.07|26.84|28.85|28.56|28.99|28.79|28.85|28.78|28.84|39.3|22.95|59761|15191396 64293|BTOG|BTOG|G21621118|KYG216211188|Bit Origin Limited|COM USD0.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN6-5|TXN10-3|TXN6-6|TXN5-5|3380000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||45|4510|451020|45102020|Consumer Staples |Food, Beverage and Tobacco |Food Producers|Food Products|N||N||||||N|0|Y|C|||||3.84|4.12|0.0|0.0|3.84|4.5|4.58|4.57|0.0|0.0|4.24|4.1|4.57|3.99|3.9|3.99|0.0|4.58|0.0|4.58|4.23|4.81|3.38|5.61|4.16|4.84|3.38|5.61|0.0|0.0|4.5|4.58|5.35|0.0594|164779|33026920 76411|BTOP|BTOP|091748400|US0917484000|Bitwise Funds Trust|Bitwise Bitcoin and Ether Equal Weight Strategy ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Bitwise|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-2|TXN2-4|TXN3-5|TXN3-2|TXN3-3|75004|||Yearly|||||2023-10-02||BTOP.NV|BTOP.SO|BTOP.EU|BTOP.TC| | | | | | | | | | ||Managed futures exchange traded fund that invest in front-month CME bitcoin and ether futures (50/50 split), rolls the futures contracts monthly, and quarterly rebalances|N|0|N|N|416A|USA|US|COMMODITIES_AND_FUTURES|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|31.3|0.0|0.0|0.0|35.33|35.271|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|35.6807|0.0|35.6807|33.09|38.09|0.0|0.0|35.63|35.72|33.09|38.09|35.57|35.85|35.63|35.72|35.7599|23.67|4259|148411 75617|BTR|BTR|66538F215|US66538F2157|Northern Lights Fund Trust II|Beacon Tactical Risk ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Ultimus Fund Solutions (Beacon Capital Management)|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-5|TXN1-6|TXN5-8|TXN2-3|TXN3-2|1070000|||Yearly|||||2023-04-18||BTR.NV|BTR.SO|BTR.EU|BTR.TC| | | | | | | | | | ||The primary investment objective of the Beacon Tactical Risk ETF (the Tactical Risk Fund) is to seek to provide long-term capital appreciation. The Tactical Risk Fund is an actively managed exchange-traded fund (ETF) that may engage in active trading. The Tactical Risk Fund will use a fund of funds approach, and seeks to achieve its investment objective by investing in the shares of market sector exchange-traded funds (each an Underlying Sector ETF and, collectively, the Underlying Sector ETFs). Each Underlying Sector ETF is an index fund that invests in the equity securities of companies in a particular U.S market sector or group of industries. 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Investments|N||N||||||N|0|Y||Y|2|||20.77|20.82|0.0|0.0|20.85|20.83|20.85|20.85|0.0|0.0|20.85|20.81|20.85|20.85|0.0|20.82|20.9|20.85|0.0|20.82|20.82|20.87|20.81|20.89|20.84|22.28|20.81|20.9|20.79|20.9|20.82|20.87|22.5|18.9|183579|29634728 71007|BTTR|BTTR|08771Y303|US08771Y3036|Better Choice Company Inc.|Common Stock|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN10-5|TXN4-7|TXN3-8|TXN1-7|TXN1-3|32080000|||NotApplicable|||||2021-06-29||||||| | | | | | | | | |||N|0|N|N|118C|USA|US|||45|4510|451020|45102020|Consumer Staples |Food, Beverage and Tobacco |Food Producers|Food Products|N||N||||||Y|2|Y|D|Y|2|||0.34|0.351|0.0|0.399|0.34|0.34|0.34|0.349|0.0|0.0|0.349|0.34|0.34|0.361|0.37|0.0|0.346|0.346|0.3617|0.346|0.2807|0.423|0.342|0.35|0.3371|0.3468|0.2807|0.423|0.331|0.349|0.342|0.35|0.83|0.1108|847411|228840647 69687|BTTX|BTTX|08773T104|US08773T1043|BETTER THERAPEUTICS INC|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-3|TXN5-5|TXN10-2|TXN5-1|TXN6-1|47400000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y|D|||||0.1925|0.196|0.0|0.0|0.1925|0.197|0.19335|0.1956|0.0|0.0|0.1969|0.1969|0.196|0.0|0.0|0.1969|0.0|0.1939|0.0|0.1939|0.1572|0.2179|0.1572|0.2316|0.1917|0.197|0.1572|0.2179|0.0|0.0|0.1917|0.196|1.61|0.1367|545132|189689605 56968|BTU|BTU|704551100|US7045511000|Peabody Energy Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|M|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-7|TXN3-3|TXN1-8|TXN2-8|TXN1-5|131100000|||Quarterly|||||2017-04-03||||||| | | | | | | | | |||N|0|N|Y|134A|USA|US|||60|6010|601010|60101040|Energy|Energy|Oil, Gas and Coal|Coal|N||N||||||Y|0|Y||Y|2|||24.07|24.08|0.0|24.07|24.06|24.06|24.08|24.08|0.0|0.0|24.065|24.07|24.07|24.07|24.04|24.08|24.06|24.08|24.06|24.08|24.07|24.08|18.8|29.89|24.04|24.1|24.04|24.11|24.03|24.12|24.07|24.08|32.09|17.71|2250841|791963624 18513|BTZ|BTZ|092508100|US0925081004|BlackRock Credit Allocation Income Trust|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN3-3|TXN4-8|TXN2-7|TXN1-6|93480000|||Monthly|||||2006-12-22||||||| | | | | | | | | |||N|0|N|N|406B|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||10.15|10.15|0.0|0.0|10.15|10.155|10.155|10.16|0.0|0.0|10.145|10.15|10.155|10.149|10.16|10.16|10.15|10.16|0.0|10.16|10.15|10.16|7.84|12.45|10.14|10.17|10.12|10.19|10.14|10.17|10.15|10.16|11.46|9.101|330804|66461444 74806|BUCK|BUCK|82889N640|US82889N6408|Simplify Exchange Traded Funds|Simplify Stable Income ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Simplify|Wolverine Trading, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN2-7|TXN3-8|TXN3-3|TXN3-2|950001|||Monthly|||||2022-10-28||BUCK.NV|BUCK.SO|BUCK.EU|BUCK.TC| | | | | | | | | | |1x|The Simplify Stable Income ETF seeks to provide monthly income.|N|0|N|N|416A|USA|US|HYBRID|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||24.89|0.0|0.0|0.0|0.0|24.9|24.95|24.99|0.0|0.0|0.0|0.0|24.91|0.0|0.0|0.0|0.0|25.02|0.0|25.02|0.0|0.0|0.0|0.0|24.88|24.97|24.42|25.22|0.0|0.0|24.88|24.97|26.37|24.551|3137|1706333 31254|BUD|BUD|03524A108|US03524A1088|Anheuser-Busch InBev SA/NV|American Depositary Shares (each representing one ordinary share without nominal value)|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|8|R|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-1|TXN2-6|TXN3-4|TXN1-3|TXN2-6|1737200000|||Yearly|||||2009-09-16||||||| | | | | | | | | |||N|0|N|Y|118B|BEL|BE|||45|4510|451010|45101010|Consumer Staples |Food, Beverage and Tobacco 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Cboe Vest Fund Of Deep Buffer Etf|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-3|TXN4-2|TXN4-8|TXN4-4|TXN1-8|32850000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||22.23|22.21|0.0|22.2|22.2|0.0|22.23|22.225|0.0|0.0|22.2|22.2|22.15|22.22|22.22|22.19|22.19|22.21|22.2|22.21|20.66|23.6|20.66|23.6|22.11|22.29|22.12|22.28|22.12|22.28|22.12|22.22|22.2799|19.4901|159887|39725198 54163|BUFF|BUFF|45783Y814|US45783Y8140|Innovator Laddered Allocation Power Buffer ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-5|TXN1-5|TXN9-7|TXN2-5|TXN2-1|8800000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||39.18|39.1702|0.0|0.0|39.12|39.1|39.0946|39.1|0.0|0.0|39.17|0.0|0.0|39.19|0.0|39.1|0.0|39.1702|39.17|39.1702|38.7|39.55|0.0|0.0|38.99|39.27|36.47|39.26|39.01|39.26|39.14|39.2|39.42|33.9365|51045|10057747 72139|BUFG|BUFG|33740U778|US33740U7789|FT Cboe Vest Buffered Allocation Growth ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN2-8|TXN5-8|TXN1-6|TXN2-7|8350000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||20.68|20.71|0.0|0.0|20.78|0.0|20.69|20.7|0.0|0.0|0.0|0.0|20.68|0.0|0.0|0.0|20.67|20.71|0.0|20.71|16.47|24.82|20.62|20.69|20.62|20.74|16.47|20.75|20.6|20.75|20.62|20.72|20.8|17.65|12053|8895193 74163|BUFQ|BUFQ|33740U752|US33740U7524|FT Cboe Vest Fund of Nasdaq-100 Buffer ETFs|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-6|TXN4-2|TXN9-8|TXN3-3|TXN3-7|11450000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||26.36|26.38|0.0|26.33|26.36|26.37|26.37|26.37|0.0|0.0|26.37|26.33|26.37|26.33|26.37|26.37|26.37|26.38|26.37|26.38|26.36|26.46|26.25|26.38|26.28|26.37|26.27|26.38|26.27|26.38|26.28|26.37|26.65|19.5807|140065|17061533 67195|BUFR|BUFR|33740F755|US33740F7556|FT Cboe Vest Fund of Buffer ETFs|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-1|TXN4-6|TXN4-4|TXN3-6|TXN3-6|97250000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||25.779|25.74|0.0|0.0|25.77|25.775|25.778|25.78|0.0|0.0|25.77|25.73|25.775|25.77|25.77|25.77|25.75|25.74|25.77|25.74|25.71|25.86|23.92|25.85|25.76|25.85|25.71|25.86|25.71|25.85|25.76|30.91|25.9|21.818|1444226|121580766 72140|BUFT|BUFT|33740U760|US33740U7607|FT Cboe Vest Buffered Allocation Defensive ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-8|TXN2-6|TXN3-8|TXN3-5|TXN2-5|5250000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||20.43|20.4799|0.0|0.0|20.43|20.43|20.43|20.43|0.0|0.0|20.43|0.0|0.0|20.43|0.0|20.43|0.0|20.4799|20.43|20.4799|16.32|24.61|20.42|20.47|20.41|20.54|16.32|24.61|20.44|20.52|20.45|20.51|20.53|18.3584|16525|8816900 76514|BUFZ|BUFZ|33740U729|US33740U7292|FT Cboe Vest Laddered Moderate Buffer ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-2|TXN2-1|TXN6-8|TXN2-8|TXN3-2|400000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|20.99|0.0|0.0|0.0|0.0|20.99|20.94|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|20.99|0.0|20.99|20.94|20.99|20.93|20.98|20.93|21.01|10.53|31.57|0.0|0.0|20.95|20.99|21.05|19.628|5369|538597 64915|BUG|BUG|37954Y384|US37954Y3844|Global X Cybersecurity 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All Financials are excluded. For companies with multiple share classes, only the primary equity is to be included.|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||35.47|35.44|0.0|0.0|0.0|0.0|35.432|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|35.44|35.5|35.44|35.09|35.81|35.37|35.46|35.35|35.45|33.03|35.46|0.0|0.0|35.35|35.45|38.2996|32.1|1562|2253375 73905|BULD|BULD|69374H410|US69374H4103|Pacer BlueStar Engineering the Future ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN6-2|TXN12-1|TXN6-1|TXN5-3|40000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|20.44|0.0|0.0|0.0|0.0|0.0|20.4948|0.0|0.0|0.0|0.0|20.44|0.0|20.4948|18.98|21.87|0.0|0.0|20.41|20.54|20.41|20.54|0.0|0.0|20.45|20.54|22.5241|16.9923|250|67020 71456|BULZ|BULZ|063679559|US0636795595|Bank of Montreal|MicroSectors FANG & Innovation 3X Leveraged ETNs due June 28, 2041|Operating company|ETN|N|N|P|Y|Y|Y|Y|Y||||||||Bank of Montreal|IMC Chicago, LLC, DBA IMC Financial Markets|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-6|TXN4-2|TXN4-8|TXN1-8|TXN2-4|8500000|||NotApplicable|||||2021-08-18|2041-06-28|BULZ.NV|BULZ.SO| | |BULZ.IV| | | | | | | | | |3x|The Solactive FANG Innovation Index (SOLFANGT) includes 15 highly liquid stocks focused on building tomorrows technology today. These large, tech-enabled companies are all listed and domiciled in the U.S. The Index is comprised of eight core-components: Apple (AAPL), Amazon (AMZN), Facebook (FB), Alphabet(GOOGL), Microsoft (MSFT), Netflix (NFLX), NVIDIA (NVDA), Tesla (TSLA) and the seven top traded names across select technology related FactSet Industry classifications. 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NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN6-5|TXN12-2|TXN6-4|TXN5-8|55260000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||||||23.245|23.1|0.0|23.29|23.24|23.23|23.24|23.235|0.0|0.0|23.24|23.19|23.22|23.17|23.11|23.13|23.22|23.24|23.29|23.22|23.05|23.49|17.57|28.66|23.06|23.47|23.18|23.29|23.17|23.31|23.23|23.25|25.78|16.26|199062|39274714 76125|BUXX|BUXX|02072L441|US02072L4418|EA Series Trust|Strive Enhanced Income Short Maturity ETF|Trust|ETF|N|N|N|Y|Y|Y|Y|Y|8|P|GTS Securities 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LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN3-6|TXN4-8|TXN2-2|TXN2-2|7670000|||Quarterly|||||2021-05-13||||||| | | | | | | | | |||N|0|N|N|300A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|10.9|0.0|0.0|0.0|10.9|10.8846|10.93|0.0|0.0|10.89|0.0|10.9|0.0|0.0|10.89|0.0|10.9|10.95|10.89|10.88|11.18|0.0|0.0|10.71|11.36|0.0|0.0|0.0|0.0|10.88|11.14|18.85|9.15|42136|4356398 5229|BWA|BWA|099724106|US0997241064|BorgWarner Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|N|Citadel Securities 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A||U|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN6-7|TXN14-2|TXN5-4|TXN6-4|2760000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|17.26|17.47|17.26|0.0|0.0|0.0|0.0|17.48|0.0|0.0|0.0|0.0|17.47|0.0|17.48|0.0|0.0|0.0|0.0|16.2|18.66|0.0|0.0|0.0|0.0|17.35|17.48|23.69|14.48|3561|676749 74712|BWEB|BWEB|091748103|US0917481030|Bitwise Funds Trust|Bitwise Web 3 ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Bitwise|Jane Street Capital, 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Goods|N||N||||||N|0|Y||||||14.13|14.11|0.0|14.1|14.17|14.09|14.1|14.11|0.0|0.0|14.09|14.3|14.1|14.15|0.0|0.0|14.06|14.1|14.1|14.1|11.12|17.39|11.12|17.39|13.07|15.09|13.99|14.19|13.96|14.21|14.07|14.1|18.4371|6.26|74346|10002921 72968|BWNB|BWNB|05614L506||Babcock & Wilcox Enterprises, Inc.|6.50% Senior Notes due 2026|Operating company|G|N|N|N|Y|Y|Y|Y|Y|6|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN3-3|TXN5-8|TXN1-2|TXN4-7|0|||Quarterly|||||2021-12-17|2026-12-31|||||| | | | | | | | | |||N|0|N|N|300A||US|||50|5020|502040|50204000|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Industrial|N||N||||||N|0|Y||Y|2|||18.56|0.0|0.0|0.0|0.0|18.57|18.6|17.01|0.0|0.0|18.6|0.0|18.475|18.04|0.0|18.57|0.0|18.57|0.0|18.57|18.35|18.79|0.0|0.0|17.98|19.17|0.0|0.0|0.0|0.0|18.35|18.79|23.9821|15.76|12235|3219282 69232|BWSN|BWSN|05614L308|US05614L3087|Babcock & Wilcox Enterprises, Inc.|8.125% Senior Notes due 2026|Operating company|G|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN4-3|TXN2-8|TXN4-3|TXN3-4|88740000|||Quarterly|||||2021-02-17|2026-02-28|||||| | | | | | | | | |||N|0|N|N|300A||US|||||||||||N||N||||||N|0|Y||Y|2|||21.18|20.77|0.0|0.0|20.7|20.93|20.74|20.85|0.0|0.0|20.76|0.0|20.74|21.0|0.0|20.74|0.0|20.74|0.0|20.74|20.6|20.74|0.0|0.0|20.19|21.15|0.0|0.0|0.0|0.0|20.6|20.74|25.3|17.5|17575|3991239 76610|BWTG|BWTG|26923N637|US26923N6379|Brendan Wood TopGun Index ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-7|TXN2-8|TXN9-8|TXN2-1|TXN3-2|130000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|26.7406|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|26.7406|0.0|26.7406|20.31|32.95|20.31|32.95|26.56|26.93|20.31|32.95|0.0|0.0|26.7|26.76|26.7866|24.9697|132|96376 73516|BWV|BWV|09610B108|US09610B1089|Blue Water Biotech Inc|COM USD0.00001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-2|TXN5-3|TXN13-4|TXN6-4|TXN6-7|18660000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||0.27|0.274|0.0|0.0|0.2715|0.274|0.2746|0.2747|0.0|0.0|0.2717|0.27|0.2746|0.0|0.0|0.0|0.0|0.2746|0.2715|0.2746|0.2194|0.3322|0.216|0.3322|0.2555|0.2899|0.2194|0.3322|0.0|0.0|0.2746|0.2747|1.95|0.1809|295802|184903009 25785|BWX|BWX|78464A516|US78464A5166|SPDR Series Trust|SPDR Bloomberg International Treasury Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-8|TXN2-4|TXN2-8|TXN2-7|TXN3-5|49700038|||Monthly|||||2008-11-07||BWX.NV|BWX.SO|BWX.EU|BWX.TC|BWX.IV| | | | | | | | | |1x|The SPDR Barclays Capital International Treasury Bond ETF is to provide investment results that, before fees and expenses, correspond generally to the price and yield performance of the Barclays Capital Global Treasury ex-US Capped Index (ticker: LTXUTRUU). The Barclays Capital Global Treasury Ex-US Capped Index includes government bonds issued by investment-grade countries outside the United States, in local currencies, that have a remaining maturity of one year or more and are rated investment grade (Baa3/BBB-/BBB- or higher using the middle rating of Moodys Investor Service, Inc., Standard & Poors, and Fitch Inc., respectively). Each of the component securities in the Global Treasury Ex-US Capped Index is a constituent of the Barclays Global Treasury ex-US Index, screened such that the following countries are included: Australia, Austria, Belgium, Canada, Denmark, France, Germany, Greece, Italy, Japan, Mexico, Netherlands, Poland, South Africa, Spain, Sweden, Taiwan, United Kingdom. In addition, the securities in the Global Treasury Ex-US Capped Index must be fixed-rate and have certain minimum amounts outstanding, depending upon the currency in which the bonds are denominated. The Global Treasury Ex-US Capped Index is calculated by Barclays Capital using a modified market capitalization methodology. This design ensures that each constituent country within the Index is represented in a proportion consistent with its percentage with respect to the total market capitalization of the Global Treasury Ex-US Capped Index. Component securities in each constituent country are represented in a proportion consistent with their percentage relative to the other component securities in the constituent country. Under certain conditions, however, the par amount of a component security within the Index may be adjusted to conform to Internal Revenue Code requirements.|N|0|N|N|416A|USA|US|FIXED_INCOME|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||22.23|22.215|0.0|0.0|22.22|22.22|22.22|22.21|0.0|0.0|22.22|22.41|22.23|22.23|22.22|22.22|22.22|22.22|22.22|22.22|22.15|22.3|22.15|22.38|22.21|22.24|22.15|22.39|22.16|22.39|22.21|22.24|23.724|20.82|1129654|104085233 33455|BWXT|BWXT|05605H100|US05605H1005|BWX Technologies, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-6|TXN3-5|TXN5-6|TXN4-3|TXN1-8|91510000|||Quarterly|||||2010-07-12||||||| | | | | | | | | |||N|0|Y|Y|310A|USA|US|||50|5020|502010|50201020|Industrials|Industrial Goods and Services|Aerospace and Defense|Defense|N||N||||||Y|0|Y||Y|1|||81.53|81.51|0.0|81.45|81.45|81.6|81.454|81.455|0.0|0.0|81.56|81.53|81.46|81.59|81.57|81.45|77.86|81.45|81.43|81.45|81.45|81.46|75.68|86.41|81.17|81.54|81.42|81.56|81.42|81.54|81.45|81.46|81.61|55.47|698859|145504348 29906|BWZ|BWZ|78464A334|US78464A3344|SPDR Series Trust|SPDR Bloomberg Short Term International Treasury Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-2|TXN1-4|TXN6-8|TXN2-5|TXN2-3|6500000|||Monthly|||||2009-01-27||BWZ.NV|BWZ.SO|BWZ.EU|BWZ.TC|BWZ.IV| | | | | | | | | |1x|The SPDR Barclays Capital Short Term International Treasury Bond ETF seeks to provide investment results that, before fees and expenses, correspond generally to the price and yield performance of an index that measures the short-term (1-3 year remaining maturity) fixed rate, investment grade debt issued by foreign governments of developed countries. The Barclays Capital 1-3 Year Global Treasury ex-US Capped Index (the Short Term International Treasury Index) measures the performance of fixed-rate local currency sovereign debt of investment grade countries outside the United States that have remaining maturities of one to three years.|N|0|N|N|416A|USA|US|FIXED_INCOME|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||26.57|26.56|0.0|0.0|26.55|0.0|26.708|26.55|0.0|26.58|0.0|0.0|26.53|26.55|0.0|0.0|26.57|26.6964|0.0|26.6964|21.22|32.1|0.0|0.0|26.54|26.74|25.2|28.1|0.0|0.0|26.54|26.74|27.9005|25.56|76197|9903850 24888|BX|BX|09260D107|US09260D1072|Blackstone Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|A|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-5|TXN4-5|TXN2-6|TXN1-3|TXN4-6|710550000|||Quarterly|||||2007-06-22||||||| | | | | | | | | |||N|5|Y|Y|408A|USA|US|||30|3020|302020|30202010|Financials|Financial Services |Investment Banking and Brokerage Services |Asset Managers and Custodians|N||N||||||Y|0|Y||Y|1|||115.69|115.54|0.0|115.55|115.55|115.55|115.545|115.53|0.0|0.0|115.54|115.58|115.55|115.61|115.54|115.54|115.55|115.54|115.6|115.54|115.54|115.55|108.42|122.83|115.51|115.6|115.52|115.6|115.52|115.63|115.54|115.55|116.78|71.72|4724538|1125410344 5237|BXC|BXC|09624H208|US09624H2085|BlueLinx Holdings Inc.|Common Stock, $0.01 par value per share|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN1-4|TXN5-8|TXN4-4|TXN4-5|8770000|||Monthly|||||2016-06-14||||||| | | | | | | | | |||N|0|N|Y|110E|USA|US|||50|5010|501010|50101035|Industrials|Construction and Materials|Construction and Materials |Building Materials: Other|N||N||||||Y|0|Y||Y|2|||92.0|91.48|0.0|92.02|90.65|91.65|91.46|91.51|0.0|0.0|90.84|92.06|91.5|91.58|92.27|91.51|0.0|91.51|92.05|91.51|91.32|91.52|70.25|113.2|90.79|91.68|91.0|91.75|90.93|91.82|91.32|91.52|98.33|61.7979|64889|19441857 5624|BXMT|BXMT|09257W100|US09257W1009|Blackstone Mortgage Trust, Inc.|Class A Common Stock, par value $0.01 per share|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|6|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-1|TXN1-2|TXN7-8|TXN1-4|TXN1-8|172300000|||Quarterly|||||2013-05-07||||||| | | | | | | | | |||N|0|N|Y|412A|USA|US|||30|3020|302030|30203010|Financials|Financial Services |Mortgage Real Estate Investment Trusts|Mortgage REITs: Commercial|N||N||||||Y|0|Y||Y|2|||23.08|23.08|0.0|23.08|23.08|23.08|23.075|23.09|0.0|0.0|23.08|23.08|23.08|23.08|23.085|23.08|23.11|23.07|23.07|23.08|23.07|23.08|17.71|28.05|23.06|23.11|23.05|23.11|23.05|23.11|23.07|23.08|24.98|16.605|3000937|618665454 7244|BXMX|BXMX|6706ER101|US6706ER1015|Nuveen S&P 500 Buy-Write Income Fund|Common Share of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN3-8|TXN6-8|TXN3-7|TXN3-4|104090000|||Quarterly|||||2004-10-27||||||| | | | | | | | | |||N|0|N|N|406B|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||12.84|12.84|0.0|0.0|12.83|12.84|12.83|12.835|0.0|0.0|12.84|12.83|12.84|12.84|12.83|12.84|12.85|12.835|12.83|12.84|12.83|12.84|9.85|15.75|11.99|12.87|12.81|12.87|12.82|12.85|12.83|12.84|13.75|11.745|176927|36231648 5240|BXP|BXP|101121101|US1011211018|Boston Properties, Inc.|Common Stock|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|6|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN3-7|TXN6-7|TXN2-5|TXN1-8|156940000|||Quarterly|||||1997-06-18||||||| | | | | | | | | |||N|5|Y|Y|412A|USA|US|||35|3510|351020|35102030|Real Estate|Real Estate |Real Estate Investment Trusts|Office REITs|N||N||||||Y|0|Y||Y|1|||63.69|63.72|0.0|63.71|63.72|63.69|63.71|63.7|0.0|0.0|63.72|63.63|63.73|63.51|63.615|63.72|63.51|63.73|63.69|63.72|63.72|63.73|59.1|67.27|63.69|63.75|60.59|63.83|63.57|63.8|63.72|63.73|79.42|46.1803|1684044|385456959 72160|BXSL|BXSL|09261X102|US09261X1028|Blackstone Secured Lending Fund|Common Shares of Beneficial Interest|Business development company|A|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-2|TXN2-3|TXN1-8|TXN4-7|TXN3-8|173650000|||Quarterly|||||2021-10-28||||||| | | | | | | | | |||N|0|N|N|400A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||Y|0|Y||Y|2|||27.9|27.925|0.0|28.35|27.92|27.92|27.925|27.915|0.0|0.0|27.92|27.91|27.92|27.93|27.91|27.93|27.9|27.92|27.92|27.93|27.92|27.93|21.92|34.69|27.78|27.96|27.89|27.95|27.88|27.96|27.92|27.93|29.11|22.08|5236876|197357438 58922|BY|BY|124411109|US1244111092|Byline Bancorp, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN1-7|TXN9-8|TXN2-8|TXN4-8|43720000|||Quarterly|||||2017-06-30||||||| | | | | | | | | |||N|0|N|Y|402B|USA|US|||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||Y|2|||21.41|21.43|0.0|21.17|21.45|21.42|21.49|21.47|0.0|0.0|21.3|21.35|21.47|21.47|21.3|21.46|20.97|21.46|20.04|21.46|21.45|21.47|16.17|25.95|21.25|21.64|21.4|21.53|21.45|21.54|21.45|21.47|26.0|16.4|105093|24976105 5244|BYD|BYD|103304101|US1033041013|Boyd Gaming Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|M|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN4-6|TXN8-8|TXN3-5|TXN1-6|97860000|||Quarterly|||||1993-10-15||||||| | | | | | | | | |||N|0|Y|Y|144B|USA|US|||40|4050|405010|40501020|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Casinos and Gambling|N||N||||||Y|0|Y||Y|1|||60.37|60.385|0.0|60.4|60.37|60.38|60.375|60.39|0.0|0.0|60.37|60.42|60.38|60.37|60.38|60.37|60.45|60.37|60.42|60.37|60.37|60.39|56.67|64.15|60.3|60.51|60.34|60.43|60.34|60.44|60.37|60.39|73.0|52.42|847020|197700962 621|BYFC|BYFC|111444709|US1114447097|Broadway Financial Corp|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN6-1|TXN10-2|TXN6-6|TXN5-4|6180000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||||||7.56|0.0|0.0|0.0|7.55|0.0|7.62|0.0|0.0|0.0|0.0|0.0|7.5|0.0|0.0|0.0|0.0|7.5|0.0|7.5|6.71|8.27|0.0|0.0|6.88|8.04|6.03|9.12|0.0|0.0|7.08|7.73|7.98|0.6395|5863|14463868 44061|BYLD|BYLD|46434V787|US46434V7872|iShares Trust|iShares Yield Optimized Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-6|TXN3-1|TXN1-5|TXN1-1|TXN1-8|5050000|||Monthly|||||2014-04-24||BYLD.NV|BYLD.SO|BYLD.EU|BYLD.TC|BYLD.IV| | | | | | | | | |1x|The Fund is a fund of funds and seeks to track the investment results of the Morningstar U.S. Bond Market Yield- Optimized Index (the Underlying Index). The Fund invests primarily in Underlying Funds that themselves seek investment results corresponding to their own underlying indexes. The Fundalso invests in a combination of other exchange-traded funds (ETFs) (including other iShares ETFs), cash and cash equivalents, including shares of money market funds advised by BFA or its affiliates (BlackRock Cash Funds). The Underlying Index is a broadly diversified fixed income index thatseeks to deliver current income. The Underlying Index is comprised of Underlying Funds within fixed income sectors that collectively have demonstrated relatively high risk adjusted income on a consistent basis and meet liquidity characteristics as determined by Morningstar Inc.s (Morningstar) proprietary index methodology. The goal of the Underlying Index is to represent an allocation to four distinct fixed income sectors, with the exposure to each sector capped at a specified amount of the UnderlyingIndex. The four sectors currently included in the Underlying Index and each sectors respective current caps are: no more than 50% government related fixed income securities, no more than 50% securitized fixed income securities, no more than 50% investment-grade credit securities and no more than 20% non-investment grade credit securities. These four sectors are represented by Underlying Funds that the index provider, Morningstar, considers to deliver higher S-2risk adjusted yields. Each fixed income sector has its own return and risk profile. The combined allocation percentages of the four represented sectors may equal less than 100%. The Underlying Index is rebalanced and reconstituted quarterly.|N|0|N|N|412C|USA|US|FIXED_INCOME|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|21.9|0.0|0.0|0.0|21.9|21.8997|0.0|0.0|0.0|21.9|21.531088|0.0|21.886088|0.0|21.9|21.89|21.9144|0.0|21.9144|17.5|26.29|21.83|21.98|21.89|21.93|21.8|26.29|21.82|21.99|21.89|21.97|22.33|20.9|18271|6457394 5247|BYM|BYM|092479104|US0924791041|BlackRock Municipal Income Quality Trust|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN1-8|TXN2-8|TXN1-5|TXN1-6|26410000|||Monthly|||||2002-10-29||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||11.01|11.02|0.0|0.0|11.01|10.95|10.95|10.935|0.0|0.0|10.94|0.0|10.95|11.01|0.0|10.94|10.95|10.95|11.005|10.94|10.94|10.95|8.44|13.47|10.23|11.68|10.91|10.98|10.92|10.97|10.94|10.95|12.09|9.3|99961|15595278 73667|BYN|BYN|06690B107|US06690B1070|Banyan Acquisition Corporation|Class A Common Stock|Special purpose acquisition company|A|N|N|N|Y|Y|Y|Y|Y|6|T|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN1-3|TXN5-8|TXN4-7|TXN2-3|6000000|||NotApplicable|||||2022-03-11||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment 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IO Digital Index Partners acts as the Index Provider, and the Index is calculated by Solactive AG. Modern society is built on an omnipresent internet that depends on digital infrastructure to enable and support its presence and functions. Digital infrastructure is comprised of the high-tech physical assets that support the efficient storage and transmission of data, powering the internet. Digital infrastructure assets include fixed-line, high-speed data transmission technology and hardware (such as fiberoptic cable and certain last-mile technologies that bring data to and from the end-user); data centers; mobile towers and related infrastructure; and other long-lived physical infrastructure assets. 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Vehicles|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|10.7|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.74|0.0|0.0|0.0|0.0|10.7|0.0|10.7|0.0|0.0|0.0|0.0|10.05|11.39|10.7|0.0|0.0|0.0|10.7|10.74|13.355|9.99|114|5571871 69819|BYTSU|BYTSU|G1R25Q121|KYG1R25Q1216|BYTE Acquisition Corp|UNITS||R|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN5-6|TXN11-7|TXN5-1|TXN6-8|33400000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.7|0.0|0.0|0.0|0.0|10.7|10.8|10.7|8.64|14.07|0.0|0.0|8.64|14.07|8.64|14.07|0.0|0.0|10.32|11.4|14.3|9.86|200|116427 70537|BYTSW|BYTSW|G1R25Q113|KYG1R25Q1133|BYTE Acquisition 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| | | | | | | |||N|0|N|N||CHN||||55|5510|551020|55102050|Basic Materials|Basic Resources|Industrial Metals and Mining|Nonferrous Metals|N||N||||||N|0|Y||||||1.86|1.84|0.0|1.88|1.86|1.85|1.85|1.89|0.0|0.0|1.85|1.85|1.87|0.0|0.0|1.85|0.0|1.85|0.0|1.87|1.75|1.88|1.48|2.31|1.78|1.88|1.75|2.0|0.0|0.0|1.81|1.88|3.99|1.4|72657|18812616 70838|BZ|BZ|48553T106|US48553T1060|Kanzhun Limited|ADR||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN5-8|TXN12-7|TXN5-3|TXN6-7|738240000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||50|5020|502050|50205025|Industrials|Industrial Goods and Services|Industrial Support Services|Business Training and Employment Agencies|N||N||||||Y|0|Y|C|||||14.11|14.115|0.0|14.11|14.12|14.115|14.11|14.115|0.0|0.0|14.115|14.115|14.11|14.11|14.07|14.115|14.13|14.11|14.12|14.11|14.1|14.12|10.96|17.45|14.1|14.12|14.05|14.19|14.05|14.19|14.11|14.12|26.26|13.13|6183817|674646588 69526|BZFD|BZFD|12430A102|US12430A1025|BuzzFeed Inc|CL A COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-1|TXN5-3|TXN10-2|TXN5-2|TXN5-5|138230000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101010|10101020|Technology|Technology|Software and Computer Services|Consumer Digital Services |N||N||||||Y|0|Y||||||0.295|0.295|0.0|0.0|0.294|0.295|0.2951|0.295|0.0|0.0|0.2951|0.2951|0.2951|0.0|0.0|0.0|0.0|0.2951|0.0|0.2951|0.2886|0.3024|0.232|0.36|0.2896|0.3013|0.232|0.36|0.0|0.0|0.295|0.2951|4.25|0.2711|218519|898376794 69528|BZFDW|BZFDW|12430A110|US12430A1108|BuzzFeed Inc|WT EXP||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-1|TXN5-7|TXN14-8|TXN5-6|TXN5-7|144880000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.047|0.0|0.0|0.0|0.0|0.047|0.0|0.047|0.024|0.054|0.024|0.054|0.024|0.054|0.024|0.054|0.0|0.0|0.03|0.0449|0.638|0.0111|300|14239629 5252|BZH|BZH|07556Q881|US07556Q8814|Beazer Homes USA, Inc.|Common Stock, $.001 par value|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN2-2|TXN7-7|TXN2-3|TXN3-2|31320000|||NotApplicable|||||2012-10-12||||||| | | | | | | | | |||N|0|N|Y|110A|USA|US|||40|4020|402020|40202010|Consumer Discretionary|Consumer Products and Services|Household Goods and Home Construction|Home Construction|N||N||||||Y|0|Y||Y|2|||27.74|27.8|0.0|27.71|27.8|27.8|27.8|27.8|0.0|0.0|27.77|27.74|27.8|27.8|27.7|27.8|27.46|27.8|27.58|27.8|27.8|27.81|20.97|33.62|27.56|27.99|27.76|27.85|27.8|27.87|27.8|27.81|35.93|12.29|385308|86403881 31097|BZQ|BZQ|74347G283|US74347G2839|ProShares Trust|ProShares UltraShort MSCI Brazil Capped|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ProShares Advisors |Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-8|TXN1-3|TXN8-6|TXN3-4|TXN3-2|708546|||Quarterly|||||2009-06-17||BZQ.NV|BZQ.SO|BZQ.EU|BZQ.TC|BZQ.IV| | | | | | | | | |-2x|ProShares Ultrashort MSCI Brazil seeks daily investment results, before fees and expenses, that correspond to twice (200%) the inverse (opposite) of the daily performance of the MSCI Brazil Index. Because the value of the Index is not computed as of the close of the U.S. securities markets due to differences in trading hours between U.S. and foreign markets, correlation to the Index will be measured by comparing the daily change in the Funds net asset value per share to the performance of one or more U.S. exchange traded securities or instruments that reflect the values of the securities underlying the Index as of the close of the U.S. securities markets. This ETF seeks a return of -200% of the return of an index (target) for a single day. Due to the compounding of daily returns, returns over periods other than one day will likely differ in amount and possibly direction from the target return for the same period. Investors should monitor their ProShares holdings consistent with their strategies, as frequently as daily. For more on correlation, leverage and other risks, please read the prospectus. The MSCI Brazil Index is a free float-adjusted market capitalization-weighted index that is designed to measure the equity market performance of the Brazilian market. To construct the Index, every listed security in the market is identified. Securities are free float-adjusted, classified in accordance with the Global Industry Classification Standard (GICS), and screened by size, liquidity and minimum free float. The Index is divided into large- and mid-cap segments and provide exhaustive coverage of these size segments by targeting around 85% of free floatadjusted market capitalization in the Brazilian market.|N|0|N|N|416A|USA|US|EQUITY|INVERSE|||||||||N||N||||||Y|0|Y||Y|2|||11.67|11.67|0.0|0.0|11.67|11.81|11.77|11.67|0.0|0.0|11.72|0.0|11.67|11.83|11.67|11.67|11.67|11.76|11.67|11.76|11.55|12.02|11.31|12.27|11.76|11.79|11.11|12.27|11.52|12.03|11.76|12.27|24.2|11.22|37486|6457522 49975|BZUN|BZUN|06684L103|US06684L1035|Baozun Inc|ADR||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN6-6|TXN13-2|TXN5-5|TXN6-5|167100000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||10|1010|101010|10101020|Technology|Technology|Software and Computer Services|Consumer Digital Services |N||N||||||Y|0|Y||||||2.73|2.72|0.0|0.0|2.72|2.72|2.725|2.725|0.0|0.0|2.73|2.73|2.73|2.729|2.73|2.72|2.73|2.72|2.73|2.73|2.7|2.75|2.7|2.75|2.7|2.74|2.7|2.75|2.69|2.76|2.72|2.73|8.6199|2.6414|370492|122422056 5255|C|C|172967424|US1729674242|Citigroup Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|A|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-1|TXN2-4|TXN1-6|TXN3-7|TXN2-1|1913880000|||Quarterly|||||2011-05-09||||||| | | | | | | | | |||N|1|Y|Y|416A|USA|US|||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||Y|1|||47.36|47.35|0.0|47.4|47.35|47.36|47.351|47.35|0.0|0.0|47.35|47.37|47.35|47.35|47.4|47.37|47.405|47.35|47.36|47.37|47.35|47.36|44.49|50.32|47.34|47.36|47.32|47.39|47.31|47.41|47.35|47.36|53.23|38.17|19351023|4052407893 42773|C PRJ|CpJ|172967358|US1729673582|Citigroup Inc.|Depositary Shares, Each Representing a 1/1000th Interest in a Share of 7.125% Fixed Rate/Floating Rate Noncumulative Preferred Stock, Series J|Operating company|B|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN1-5|TXN7-8|TXN4-8|TXN4-1|38000000|||Quarterly|||||2013-09-25||||||| | | | | | | | | |||N|0|N|N|416A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||25.63|25.69|0.0|25.6|25.67|25.67|25.7|25.69|0.0|0.0|25.69|25.67|25.715|25.64|25.69|25.75|25.69|25.7|25.63|25.75|25.7|25.83|20.05|31.72|25.6|26.29|20.05|31.72|25.78|25.9|25.7|26.42|25.98|24.76|174151|21287779 35818|C PRN|CpN|173080201|US1730802014|Citigroup Inc.|7.875% Fixed Rate/Floating Rate Trust Preferred Securities (TRUPS)|Operating company|B|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN4-4|TXN1-5|TXN3-2|TXN2-1|89840000|||Quarterly|||||2010-10-06|2040-10-30|||||| | | | | | | | | |||N|0|N|N|416A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||29.02|29.07|0.0|0.0|0.0|29.11|29.11|29.115|0.0|0.0|29.04|29.04|29.09|0.0|0.0|29.09|29.08|29.11|0.0|29.09|29.03|29.11|22.37|35.58|28.45|29.58|22.37|35.58|0.0|0.0|29.03|29.11|29.55|26.5|164623|23426066 60625|CAAP|CAAP|L1995B107|LU1756447840|Corporación América Airports S.A.|Common shares, nominal value U.S.$1.00 per share|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|8|R|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN1-6|TXN3-8|TXN4-5|TXN3-6|160840000|||NotApplicable|||||2018-02-01||||||| | | | | | | | | |||N|0|N|Y|126A|LUX|LU|||50|5020|502060|50206060|Industrials|Industrial Goods and Services|Industrial Transportation|Transportation Services|N||N||||||Y|0|Y||Y|2|||14.9|14.67|0.0|14.69|14.7|14.63|14.65|14.645|0.0|0.0|14.67|14.67|14.63|14.63|14.63|14.65|14.63|14.62|15.0|14.65|14.62|14.65|11.55|17.99|14.51|14.81|14.56|14.71|14.55|14.65|14.62|14.65|15.4|7.75|115139|28508314 623|CAAS|CAAS|16936R105|US16936R1059|China Automotive Systems Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN6-3|TXN10-6|TXN5-6|TXN6-5|30190000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||40|4010|401010|40101025|Consumer Discretionary|Automobiles and Parts|Automobiles and Parts|Auto Parts|N||N||||||N|0|Y||||||0.0|3.71|0.0|0.0|3.71|3.74|3.75|3.72|0.0|0.0|3.72|0.0|3.74|0.0|0.0|0.0|0.0|3.71|0.0|3.74|3.48|3.94|2.89|4.58|3.63|3.87|3.48|3.94|0.0|0.0|3.7|3.75|9.7|3.04|66936|21504023 64897|CABA|CABA|12674W109|US12674W1099|Cabaletta Bio Inc|COM USD0.00001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN6-2|TXN10-6|TXN6-5|TXN5-5|42850000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||16.035|16.03|0.0|15.86|16.005|16.03|16.03|16.05|0.0|0.0|16.03|15.87|16.06|16.06|15.9|16.03|15.55|16.03|15.88|16.06|15.82|16.22|12.3|19.62|15.93|16.1|15.95|16.12|15.98|16.13|15.98|16.03|19.34|4.43|814958|151919005 50088|CABO|CABO|12685J105|US12685J1051|Cable One, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|4|0.01|0.01|5000000|1|100|TXN3-8|TXN4-2|TXN9-8|TXN4-4|TXN4-4|5620000|||Quarterly|||||2015-06-11||||||| | | | | | | | | |||N|0|Y|Y|306A|USA|US|||15|1510|151020|15102010|Telecommunications|Telecommunications|Telecommunications Service Providers |Cable Television Services|N||N||||||N|0|Y||Y|1|||555.9|573.79|0.0|558.16|534.53|557.49|559.27|560.43|0.0|0.0|544.67|560.47|560.1|559.75|558.98|560.31|558.75|559.88|533.69|560.31|559.41|560.31|524.89|594.6|549.18|568.81|554.13|564.39|553.72|565.77|559.91|564.39|861.89|519.235|96139|13742003 5270|CAC|CAC|133034108|US1330341082|Camden National Corp|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN5-1|TXN13-2|TXN5-7|TXN6-1|14560000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||||||0.0|36.23|0.0|36.09|0.0|0.0|36.23|36.26|0.0|0.0|36.19|0.0|36.21|36.19|36.26|0.0|0.0|36.23|0.0|36.21|35.87|36.71|27.66|44.68|35.92|36.63|27.66|44.68|0.0|0.0|36.21|36.32|43.54|26.52|23372|11363284 626|CACC|CACC|225310101|US2253101016|Credit Acceptance Corp|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN6-3|TXN13-7|TXN5-5|TXN5-6|12570000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||USA||||30|3020|302010|30201020|Financials|Financial Services |Finance and Credit Services|Consumer Lending|N||N||||||Y|0|Y||||||461.1|459.7|0.0|461.8|0.0|461.12|460.85|460.13|0.0|0.0|0.0|0.0|460.29|0.0|459.94|460.53|459.7|460.85|0.0|460.29|453.88|466.21|431.85|487.95|455.3|464.77|456.73|463.79|459.98|464.24|459.98|460.84|576.05|358.0|69754|18423438 57251|CACG|CACG|524682101|US5246821012|ClearBridge All Cap Growth ESG ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN5-6|TXN14-4|TXN6-2|TXN6-7|2400000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|44.655|44.79|0.0|0.0|0.0|0.0|44.7485|0.0|0.0|44.79|0.0|44.79|0.0|44.7485|0.0|0.0|44.6|44.85|44.6|44.85|44.6|44.88|44.6|0.0|44.6|44.85|45.0173|32.28|5678|3795995 5275|CACI|CACI|127190304|US1271903049|CACI International Inc|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|M|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN2-4|TXN2-8|TXN2-7|TXN1-3|22280000|||NotApplicable|||||2002-08-16||||||| | | | | | | | | |||N|0|Y|Y|108B|USA|US|||10|1010|101010|10101010|Technology|Technology|Software and Computer Services|Computer Services|N||N||||||Y|0|Y||Y|1|||337.01|337.19|0.0|336.54|318.97|337.02|336.51|337.03|0.0|0.0|337.0|337.11|336.54|336.37|321.05|336.33|322.96|336.32|320.95|336.33|336.31|336.32|314.87|359.28|333.9|339.33|335.85|337.1|335.57|336.77|336.31|336.32|359.33|275.79|138726|33204553 71813|CACO|CACO|G1901X108|KYG1901X1088|Caravelle International Group|ORD USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-8|TXN6-3|TXN12-2|TXN5-6|TXN6-5|52780000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||SGP||||50|5020|502060|50206030|Industrials|Industrial Goods and Services|Industrial Transportation|Marine Transportation|N||N||||||N|0|Y|C|||||0.6209|0.5702|0.0|0.0|0.63|0.6208|0.579|0.56|0.0|0.0|0.0|0.621|0.6197|0.0|0.0|0.0|0.0|0.6208|0.0|0.6208|0.0|0.0|0.0|0.0|0.5601|0.6665|0.0|0.0|0.0|0.0|0.6|0.6197|9.36|0.44|14213|31616071 5241|CADE|CADE|12740C103|US12740C1036|Cadence Bank|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|A|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-5|TXN3-4|TXN2-2|TXN3-1|TXN1-1|184380000|||Quarterly|||||2017-11-01||||||| | | | | | | | | |||N|0|N|Y|402B|USA|US|||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||Y|2|||27.36|27.37|0.0|27.37|27.37|27.37|27.375|27.37|0.0|0.0|27.37|27.38|27.365|27.36|27.4|27.37|27.4|27.36|27.41|27.37|27.36|27.37|27.32|27.41|27.34|27.43|27.32|27.41|27.34|27.44|27.36|27.37|28.845|16.95|1869550|344668325 65122|CADE PRA|CADEpA|12740C202|US12740C2026|Cadence Bank|5.50% Series A Non-Cumulative Perpetual Preferred Stock|Operating company|B|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN1-7|TXN9-8|TXN3-6|TXN2-6|6900000|||Quarterly|||||2019-11-25||||||| | | | | | | | | |||N|0|N|N|402B|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||18.45|18.54|0.0|16.50625|18.11|19.61|19.1601|18.77|0.0|0.0|0.0|0.0|19.16|18.45|0.0|19.03|0.0|19.17|0.0|19.03|19.01|19.4|0.0|0.0|18.63|19.79|0.0|0.0|0.0|0.0|19.02|19.4|22.99|16.1379|9872|3452869 71228|CADL|CADL|137404109|US1374041093|Candel Therapeutics Inc|COM USD0.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-6|TXN5-4|TXN13-2|TXN6-6|TXN5-8|28920000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.87525|0.8701|0.0|0.0|0.0|0.9|0.9|0.0|0.0|0.0|0.0|0.9|0.0|0.9|0.0|0.0|0.0|0.0|0.8396|0.918|0.0|0.0|0.0|0.0|0.8568|0.9|3.06|0.66|7527|6354935 5397|CAE|CAE|124765108|CA1247651088|CAE Inc.|Common Shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-6|TXN1-6|TXN3-2|TXN3-4|TXN4-2|318270000|||Quarterly|||||2002-07-29||||||| | | | | | | | | |||N|0|N|Y|114D|CAN|CA|||50|5020|502010|50201010|Industrials|Industrial Goods and Services|Aerospace and Defense|Aerospace|N||N||||||Y|0|Y||Y|2|||20.48|20.45|0.0|20.47|20.45|20.455|20.44|20.46|0.0|0.0|20.46|20.39|20.45|20.42|20.55|20.46|20.475|20.46|20.38|20.46|20.45|20.47|15.68|25.01|20.41|20.47|20.4|20.5|20.43|20.51|20.45|20.47|25.04|18.735|240965|50576644 17316|CAF|CAF|617468103|US6174681030|Morgan Stanley China A Share Fund, Inc.|Common Stock|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN1-6|TXN4-8|TXN4-4|TXN2-7|21880000|||Adhoc|||||2006-09-28||||||| | | | | | | | | |||N|0|N|N|406B|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||12.1|0.0|0.0|0.0|11.89|11.89|11.88|11.91|0.0|0.0|11.92|0.0|11.9|0.0|0.0|11.89|11.91|11.88|0.0|11.89|11.88|11.89|11.87|11.91|11.87|12.78|9.32|14.5|11.86|11.91|11.88|11.89|16.8|11.63|12775|7153379 75653|CAFG|CAFG|69374H352|US69374H3527|Pacer US Small Cap Cash Cows Growth Leaders ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN5-2|TXN14-7|TXN5-7|TXN5-3|200000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|22.07|22.0691|21.94|0.0|0.0|22.02|0.0|22.0892|0.0|0.0|0.0|0.0|22.0691|0.0|22.0892|0.0|0.0|0.0|0.0|22.02|22.14|0.0|0.0|0.0|0.0|22.04|22.14|23.215|19.26|8156|597681 5272|CAG|CAG|205887102|US2058871029|Conagra Brands, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|N|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-4|TXN3-6|TXN1-6|TXN4-3|TXN3-8|477970000|||Quarterly|||||1973-01-09||||||| | | | | | | | | |||N|5|Y|Y|118B|USA|US|||45|4510|451020|45102020|Consumer Staples |Food, Beverage and Tobacco |Food Producers|Food Products|N||N||||||Y|0|Y||Y|1|||28.95|28.95|0.0|28.75|28.96|28.95|28.95|28.95|0.0|28.74|28.95|28.95|28.95|28.96|28.96|28.96|28.96|28.96|28.96|28.96|28.95|28.96|26.92|30.84|28.95|28.97|28.92|28.98|28.95|28.99|28.95|28.96|41.3|25.16|3760804|994260647 5274|CAH|CAH|14149Y108|US14149Y1082|Cardinal Health, Inc.|Common Shares|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|T|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-7|TXN3-7|TXN9-2|TXN1-1|TXN3-8|246470000|||Quarterly|||||1994-09-07||||||| | | | | | | | | |||N|5|Y|Y|122A|USA|US|||20|2010|201030|20103015|Health Care |Health Care |Pharmaceuticals and Biotechnology|Pharmaceuticals |N||N||||||Y|0|Y||Y|1|||107.46|107.46|0.0|106.86|107.46|107.46|107.45|107.47|0.0|0.0|107.46|107.47|107.45|107.46|107.46|107.46|107.37|107.46|106.55|107.46|107.44|107.46|99.87|113.66|107.44|107.54|107.42|107.52|107.44|107.52|107.44|107.46|107.86|68.53|1774960|531090328 633|CAKE|CAKE|163072101|US1630721017|Cheesecake Factory Inc. (The)|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN5-1|TXN13-4|TXN5-6|TXN6-5|50770000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4050|405010|40501040|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Restaurants and Bars|N||N||||||Y|0|Y||||||32.99|33.0|0.0|33.48|32.99|33.0|33.0|32.99|0.0|0.0|33.01|32.95|33.01|33.0|33.57|33.005|32.94|33.0|33.06|33.01|32.82|33.22|25.52|40.82|32.82|33.17|32.98|33.03|32.98|33.03|32.99|33.01|41.28|28.58|972533|222856754 5235|CAL|CAL|129500104|US1295001044|Caleres, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|R|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-6|TXN3-4|TXN6-6|TXN4-7|TXN2-6|35540000|||Quarterly|||||1914-04-23||||||| | | | | | | | | |||N|0|N|Y|148C|USA|US|||40|4040|404010|40401020|Consumer Discretionary|Retail |Retailers |Apparel Retailers|N||N||||||Y|0|Y||Y|2|||31.67|31.71|0.0|31.7|31.72|31.78|31.72|31.74|0.0|0.0|31.76|31.52|31.7|31.7|31.78|31.7|31.66|31.7|31.75|31.7|31.7|31.71|24.7|39.02|31.62|31.83|31.64|31.78|31.63|31.78|31.7|31.71|31.95|16.85|385577|124101849 10935|CALB|CALB|13005U101|US13005U1016|California Bancorp|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN6-4|TXN14-8|TXN5-8|TXN6-3|8400000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||||||0.0|24.29|0.0|0.0|0.0|24.38|24.37|24.38|0.0|0.0|0.0|0.0|24.44|0.0|0.0|24.36|0.0|24.37|0.0|24.37|23.53|25.13|0.0|0.0|23.6|25.02|0.0|0.0|0.0|0.0|24.28|24.51|26.17|12.78|33278|3630081 67649|CALC|CALC|38942Q202|US38942Q2021|CalciMedica Inc|COM USD.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN5-1|TXN12-4|TXN6-1|TXN5-2|5690000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y|C|||||3.57|3.55|0.0|0.0|0.0|3.49|3.3|3.47|0.0|0.0|3.52|0.0|3.56|3.53|0.0|0.0|0.0|3.3|0.0|3.3|2.91|4.16|2.51|4.37|3.16|3.7|2.91|4.16|0.0|0.0|3.29|3.56|8.59|1.75|32065|2836623 58749|CALF|CALF|69374H857|US69374H8575|Pacer US Small Cap Cash Cows 100 ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-3|TXN1-1|TXN5-5|TXN2-1|TXN2-4|114950000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||45.11|45.13|0.0|0.0|45.11|45.1|45.1|44.985|0.0|0.0|45.09|45.11|45.1|45.09|45.01|45.105|44.98|45.13|45.09|45.13|45.08|45.17|44.99|45.17|45.08|45.12|44.98|45.17|44.98|45.18|45.08|45.1|45.13|35.28|2226974|161513382 640|CALM|CALM|128030202|US1280302027|Cal Maine Foods Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN5-1|TXN11-6|TXN5-2|TXN5-7|44180000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||45|4510|451020|45102010|Consumer Staples |Food, Beverage and Tobacco |Food Producers|Farming, Fishing, Ranching and Plantations|N||N||||||Y|0|Y||||||49.18|49.51|0.0|49.54|49.54|49.53|49.54|49.53|0.0|0.0|49.52|49.21|49.52|49.52|49.71|49.02|0.0|49.52|0.0|49.52|49.19|49.84|38.67|59.76|49.26|49.78|49.49|49.59|49.5|49.59|49.52|49.55|65.32|42.25|474230|202454521 66647|CALT|CALT|13124Q106|US13124Q1067|Calliditas Therapeutics AB|ADR||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN5-8|TXN11-8|TXN5-1|TXN6-2|59580000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||SWE||||20|2010|201030|20103015|Health Care |Health Care |Pharmaceuticals and Biotechnology|Pharmaceuticals |N||N||||||Y|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|17.845|0.0|0.0|0.0|0.0|0.0|17.76|0.0|0.0|0.0|0.0|17.845|0.0|17.845|0.0|17.86|0.0|0.0|17.08|17.86|0.0|0.0|0.0|0.0|17.28|17.86|25.64|15.25|1994|2290838 32455|CALX|CALX|13100M509|US13100M5094|Calix, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-6|TXN2-2|TXN6-6|TXN2-8|TXN1-4|65870000|||NotApplicable|||||2010-03-24||||||| | | | | | | | | |||N|0|N|Y|306A|USA|US|||15|1510|151010|15101010|Telecommunications|Telecommunications|Telecommunications Equipment|Telecommunications Equipment|N||N||||||Y|0|Y||Y|2|||38.85|38.91|0.0|38.86|38.84|38.845|38.83|38.845|0.0|0.0|38.85|38.93|38.835|38.87|39.06|38.83|38.9|38.83|38.9|38.83|38.82|38.83|30.24|48.49|38.76|38.92|38.79|38.93|38.76|38.94|38.82|38.83|77.44|31.95|781294|165905223 76003|CALY|CALY|092528884|US0925288849|BlackRock Short-Term California Muni Bond ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN6-5|TXN14-7|TXN6-1|TXN5-3|400000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|50.2|0.0|0.0|0.0|50.2|50.21|0.0|0.0|0.0|50.2|0.0|50.175|50.2|0.0|0.0|0.0|50.21|0.0|50.175|0.0|0.0|0.0|0.0|50.14|50.21|0.0|0.0|0.0|0.0|50.14|50.21|50.28|49.6767|6080|162395 76193|CAML|CAML|74316P637|US74316P6372|Professionally Managed Portfolios|Congress Large Cap Growth ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Congress Asset Management|Virtu Americas 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NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-5|TXN6-5|TXN10-5|TXN5-8|TXN6-1|37900000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||15|1510|151010|15101010|Telecommunications|Telecommunications|Telecommunications Equipment|Telecommunications Equipment|N||N||||||Y|0|Y|D|||||0.315|0.3131|0.0|0.0|0.315|0.315|0.317|0.315|0.0|0.0|0.3131|0.3131|0.315|0.3101|0.0|0.313|0.0|0.315|0.3101|0.315|0.2962|0.3329|0.2379|0.3684|0.3087|0.3233|0.248|0.3684|0.0|0.0|0.315|0.317|5.36|0.22|158328|76426711 644|CAMT|CAMT|M20791105|IL0010952641|Camtek Ltd|ORD NIS.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN6-4|TXN13-4|TXN5-6|TXN6-3|44870000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||ISR||||10|1010|101020|10102010|Technology|Technology|Technology Hardware and Equipment|Semiconductors|N||N||||||Y|0|Y||||||61.75|61.71|0.0|61.56|61.8|61.74|61.69|61.71|0.0|0.0|61.72|61.73|61.71|61.75|61.81|61.72|0.0|61.69|60.72|61.71|61.55|61.84|47.52|75.28|61.55|61.84|61.59|61.84|61.63|61.75|61.67|61.71|68.25|20.83|477130|65153429 75250|CAMX|CAMX|0075W0163|US0075W01639|The Advisors Inner Circle Fund|Cambiar Aggressive Value ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||SEI Investments|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-8|TXN1-3|TXN3-8|TXN2-1|TXN1-4|1965325|||Yearly|||||2023-02-13||CAMX.NV|CAMX.SO|CAMX.EU|CAMX.TC| | | | | | | | | | ||The Cambiar Aggressive Value ETF (the Fund) seeks long-term capital appreciation.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|25.3641|0.0|25.3641|0.0|0.0|25.3|25.37|25.32|25.39|25.32|25.39|0.0|0.0|25.32|25.39|25.6582|22.2|190|215706 65096|CAN|CAN|134748102|US1347481020|Canaan Inc|ADS||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN6-1|TXN14-7|TXN6-8|TXN5-3|2515500000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||SGP||||10|1010|101020|10102030|Technology|Technology|Technology Hardware and Equipment|Computer Hardware|N||N||||||Y|0|Y||||||1.72|1.72|0.0|1.72|1.71|1.72|1.72|1.72|0.0|0.0|1.715|1.72|1.7|1.72|1.715|1.715|1.72|1.72|1.72|1.7|1.71|1.74|1.32|2.02|1.71|1.74|1.69|1.75|1.7|1.73|1.71|1.72|3.98|1.435|18451848|600980868 76156|CANC|CANC|87975E701|US87975E7013|Tema Oncology ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN5-3|TXN11-3|TXN6-6|TXN5-3|660000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|24.58|0.0|0.0|0.0|0.0|0.0|24.62|0.0|0.0|0.0|0.0|24.58|0.0|24.62|22.98|26.42|0.0|0.0|24.55|24.67|24.55|24.67|0.0|0.0|24.55|24.62|25.39|21.2571|403|665861 38806|CANE|CANE|88166A409|US88166A4094|Teucrium Commodity Trust|Teucrium Sugar Fund|Trust|ETV|N|N|P|Y|Y|Y|Y|Y||||||||Teucrium|Pundion LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-5|TXN3-8|TXN7-8|TXN1-6|TXN1-1|1925004|||NotApplicable|||||2011-09-19||CANE.NV|CANE.SO| | |CANE.IV| | | | | | | | | |1x|The investment objective of the Fund is to have the daily changes in percentage terms of the Shares Net Asset Value (NAV) reflect the daily changes in percentage terms of a weighted average of the closing settlement prices for three futures contracts for sugar (Sugar Futures Contracts) that are traded on ICE Futures US (ICE Futures), specifically: (1) the second-to-expire Sugar No. 11 Futures Contract (a Sugar No. 11 Futures Contract), weighted 35%, (2) the third-to-expire Sugar No. 11 Futures Contract, weighted 30%, and (3) the Sugar No. 11 Futures Contract expiring in the March following the expiration month of the third-to-expire contract, weighted 35%. To convert to an index, 100 is set to $25, the opening day price of CANE.|N|0|N|N|416A|USA|US|COMMODITIES_AND_FUTURES|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||14.61|14.67|0.0|14.64|14.62|14.55|14.61|14.61|0.0|0.0|14.61|14.62|14.62|14.69|14.62|14.61|14.61|14.6|14.61|14.6|11.11|17.83|14.61|14.65|14.61|14.62|14.6|14.65|14.61|14.65|14.61|14.62|15.509|9.17|186910|18807499 43151|CANF|CANF|13471N300|US13471N3008|Can-Fite BioPharma Ltd.|American Depositary Shares, each representing three hundred (300) Ordinary Shares|Operating company|H|N|Y|A|Y|Y|Y|Y|Y|||Brendan E. Cryan and Company, L.L.C.|CRYN|0235|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-1|TXN4-5|TXN6-8|TXN1-5|TXN4-7|1359840000|||NotApplicable|||||2019-05-10||||||| | | | | | | | | |||N|0|N|N|140A|ISR|IL|||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||Y|2|||2.42|2.32|0.0|0.0|0.0|2.28|2.325|2.42|0.0|0.0|2.27|2.3|2.34|2.44|2.55|0.0|2.32|2.32|0.0|2.32|2.21|2.51|2.32|2.38|2.31|2.4|1.88|2.76|2.25|2.44|2.31|2.44|6.86|0.54|41641|15090791 61309|CANG|CANG|137586103|US1375861036|Cango Inc.|American Depositary Shares, each representing two Class A Ordinary shares, par value US$0.0001 per share|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|8|A|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN3-1|TXN2-8|TXN2-6|TXN4-6|196530000|||Adhoc|||||2018-07-26||||||| | | | | | | | | |||N|0|N|Y|408A|CHN|KY|||10|1010|101010|10101020|Technology|Technology|Software and Computer Services|Consumer Digital Services |N||N||||||N|0|Y||Y|2|||1.05|1.06|0.0|0.0|0.0|1.05|1.05|1.05|0.0|0.0|1.05|1.05|1.06|0.0|0.0|1.05|0.0|1.05|0.0|1.05|1.05|1.06|0.824|1.26|1.01|1.07|0.824|1.24|0.0|0.0|1.05|1.06|1.51|1.01|118156|13823827 66907|CANO|CANO|13781Y202|US13781Y2028|Cano Health, Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|D|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN2-7|TXN2-8|TXN4-8|TXN3-2|2890000|||NotApplicable|||||2020-07-06||||||| | | | | | | | | |||N|0|N|Y|408A|USA|KY|||20|2010|201010|20101010|Health Care |Health Care |Health Care Providers|Health Care Facilities|N||N||||||N|2|Y||Y|2|||8.02|8.21|0.0|0.0|8.3|8.35|8.3|8.24|0.0|0.0|8.26|8.26|8.21|8.218|8.22|8.27|7.49|8.4|8.35|8.27|8.26|8.4|6.39|10.3|8.07|8.49|6.51|8.46|8.11|8.47|8.26|8.4|15.9|0.0975|121320|1676093668 75382|CAOS|CAOS|02072L516|US02072L5167|Alpha Architect Tail Risk ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-7|TXN4-1|TXN1-5|TXN4-2|TXN3-3|2050000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||82.85|82.9068|0.0|0.0|0.0|82.86|82.8601|0.0|0.0|0.0|82.86|0.0|82.93|0.0|0.0|82.86|0.0|82.9068|0.0|82.9068|82.86|82.94|82.86|82.94|82.45|83.36|41.46|124.37|0.0|0.0|82.87|82.95|83.36|9.22|5104|1023151 73841|CAPE|CAPE|25861R204|US25861R2040|DoubleLine ETF Trust|DoubleLine Shiller CAPE U.S. Equities ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||DoubleLine|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN1-7|TXN2-8|TXN1-3|TXN2-2|15122000|||Quarterly|||||2022-04-05||CAPE.NV|CAPE.SO|CAPE.EU|CAPE.TC| | | | | | | | | | ||The DoubleLine Shiller CAPE U.S. Equities ETFs investment objective is to seek total return which exceeds the total return of the S&P 500 Index by employing a U.S. equity sector rotation strategy, under which the ETF will obtain exposure to the Shiller Barclays CAPE US Sector TR Index (the Index). The Index aims to identify undervalued sectors based on a modified CAPE ratio, and then uses a momentum factor to seek to mitigate the effects of potential value traps.|N|0|N|N|416A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||25.29|25.29|0.0|0.0|0.0|0.0|25.3|25.265|0.0|0.0|0.0|0.0|25.3|25.25|0.0|0.0|0.0|25.29|0.0|25.29|20.16|30.31|19.53|30.95|25.24|25.31|20.16|30.31|0.0|0.0|25.24|25.31|25.6|20.55|16661|10524631 40902|CAPL|CAPL|22758A105|US22758A1051|CrossAmerica Partners LP|Common units representing limited partner interests|Limited partnership|A|N|N|N|Y|Y|Y|Y|Y|6|P|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN3-6|TXN9-8|TXN4-1|TXN1-3|37970000|||Quarterly|||||2012-10-25||||||| | | | | | | | | |||N|0|N|N|304B|USA|US|||60|6010|601010|60101020|Energy|Energy|Oil, Gas and Coal|Oil Refining and Marketing|N||N||||||Y|0|Y||Y|2|||23.75|23.25|0.0|23.25|23.2|23.25|23.2444|23.25|0.0|0.0|22.64|23.75|23.2|23.25|0.0|23.2|0.0|23.16|0.0|23.2|23.16|23.25|17.83|28.68|22.93|23.45|23.06|23.38|23.03|23.4|23.16|23.25|23.89|17.91|34983|9205029 48695|CAPR|CAPR|14070B309|US14070B3096|Capricor Therapeutics Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN6-2|TXN12-4|TXN6-6|TXN6-3|30790000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||3.17|3.14|0.0|0.0|3.15|3.15|3.1693|3.15|0.0|0.0|3.15|3.16|3.17|3.17|0.0|3.15|3.15|3.155|3.17|3.17|3.05|3.24|2.44|3.92|3.1|3.23|3.12|3.19|3.11|3.2|3.14|3.17|8.2212|2.68|282758|32071069 73827|CAPT|CAPT|G18932106|KYG189321063|Captivision Inc|ORD USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN5-6|TXN13-6|TXN5-4|TXN6-4|28820000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||GBR||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||3.36|3.37|0.0|0.0|3.34|3.36|3.34|3.33|0.0|0.0|3.34|3.32|3.38|3.45|3.32|3.33|3.35|3.33|3.35|3.38|2.58|4.11|2.58|4.11|3.31|3.41|2.58|4.11|0.0|0.0|3.31|3.37|4.83|1.15|447677|51987673 73829|CAPTW|CAPTW|G18932114|KYG189321147|Captivision Inc|WT EXP 11/15/2028||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-8|TXN6-2|TXN11-6|TXN5-6|TXN6-8|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||GBR||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.13|0.13|0.125|0.0|0.0|0.0|0.0|0.125|0.0|0.125|0.0961|0.216|0.0961|0.216|0.12|0.195|0.0961|0.216|0.0|0.0|0.125|0.18|0.1867|0.035|1448|1693868 17129|CAR|CAR|053774105|US0537741052|Avis Budget Group Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN6-8|TXN11-6|TXN5-8|TXN5-6|36220000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||USA||||40|4020|402010|40201040|Consumer Discretionary|Consumer Products and Services|Consumer Services |Rental and Leasing Services: Consumer|N||N||||||Y|0|Y||||||194.05|193.52|0.0|193.32|193.5|193.47|193.49|193.35|0.0|0.0|193.73|196.5|193.39|193.47|194.17|193.51|194.17|193.49|0.0|193.39|191.95|195.28|182.46|206.69|192.03|195.19|193.01|193.86|193.29|193.49|193.36|193.49|251.26|153.546|444690|116868270 43474|CARA|CARA|140755109|US1407551092|Cara Therapeutics Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN5-7|TXN11-2|TXN6-4|TXN5-8|54480000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||1.01|1.015|0.0|0.0|1.01|1.01|1.02|1.01|0.0|0.0|1.01|1.01|1.02|1.02|1.04|1.01|1.03|1.02|0.0|1.02|0.974|1.05|0.84|1.23|0.9898|1.04|0.9821|1.04|0.9832|1.04|1.01|1.02|12.8|0.9|495866|189020434 75942|CARD|CARD|063679468|US0636794689|Bank of Montreal|MAX Auto Industry -3X Inverse Leveraged ETNs|Operating company|ETN|N|N|P|Y|Y|Y|Y|Y||||||||Bank of Montreal|Old Mission Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-6|TXN2-6|TXN2-8|TXN1-7|TXN3-3|160000|||NotApplicable|||||2023-06-28|2043-05-28|CARD.NV|CARD.SO| | |CARD.IV| | | | | | | | | |-3x|The Prime Auto Industry index represents companies engaged in automobile manufacturing, automobile parts and retail, new car dealers, and used car dealers. Index constituents are based on the constituent issuers regulatory filings, industry classification, and other related material.|N|0|N|N|416A||CA|EQUITY|INDEX|||||||||N||N||||||N|0|Y|D|Y|2|||0.0|0.0|0.0|0.0|0.0|31.25|24.0074|0.0|0.0|0.0|0.0|27.0|0.0|0.0|0.0|0.0|0.0|22.5772|0.0|22.5772|0.0|0.0|0.0|0.0|22.51|22.61|11.7|28.04|0.0|0.0|22.51|22.61|36.23|15.14|226|66875 24466|CARE|CARE|146103106|US1461031064|Carter Bankshares Inc|COM USD0.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN6-2|TXN11-5|TXN5-5|TXN5-6|22960000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||||||13.18|13.24|0.0|0.0|13.32|13.31|13.23|13.25|0.0|0.0|13.18|0.0|13.28|13.17|13.32|13.31|0.0|13.32|0.0|13.28|13.14|13.46|0.0|0.0|13.15|13.44|0.0|0.0|0.0|0.0|13.28|13.33|18.59|10.43|81180|14246741 59833|CARG|CARG|141788109|US1417881091|CarGurus Inc|CL A COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN6-1|TXN11-8|TXN5-4|TXN5-1|96270000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101010|10101020|Technology|Technology|Software and Computer Services|Consumer Digital Services |N||N||||||Y|0|Y||||||21.86|21.835|0.0|21.98|21.84|21.835|21.83|21.84|0.0|0.0|21.835|21.84|21.84|21.9|21.86|21.83|21.86|21.83|21.835|21.84|21.81|21.88|16.59|26.66|21.81|21.88|21.8|21.86|21.79|21.86|21.83|21.84|24.22|11.8095|952403|288765700 43504|CARM|CARM|14216R101|US14216R1014|Carisma Therapeutics Inc|COM USD0.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN6-4|TXN10-2|TXN6-5|TXN5-3|40360000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||2.62|2.6|0.0|0.0|2.62|2.6|2.6201|2.62|0.0|0.0|2.6|0.0|2.63|2.63|2.63|2.44|2.44|2.625|2.55|2.63|2.53|2.72|2.01|3.23|2.6|2.69|2.47|2.67|2.57|2.68|2.6|2.63|9.7662|2.18|132576|45419938 65846|CARR|CARR|14448C104|US14448C1045|Carrier Global Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-1|TXN3-7|TXN4-2|TXN1-2|TXN2-7|839050000|||Quarterly|||||2020-03-18||||||| | | | | | | | | |||N|5|Y|Y|126A|USA|US|||50|5010|501010|50101025|Industrials|Construction and Materials|Construction and Materials |Building: Climate Control|N||N||||||Y|0|Y||Y|1|||53.44|53.45|0.0|53.44|53.45|53.45|53.455|53.45|0.0|53.04|53.43|53.47|53.45|53.44|53.45|53.46|53.46|53.46|53.44|53.46|53.44|53.46|49.92|56.28|53.44|53.73|53.43|53.48|53.4|53.51|53.44|53.46|60.04|40.28|3591028|1163144040 57528|CARS|CARS|14575E105|US14575E1055|Cars.com Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|H|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN2-7|TXN8-8|TXN4-7|TXN1-3|66230000|||NotApplicable|||||2017-05-18||||||| | | | | | | | | |||N|0|N|Y|132A|USA|US|||40|4020|402010|40201070|Consumer Discretionary|Consumer Products and Services|Consumer Services |Consumer Services: Misc.|N||N||||||Y|0|Y||Y|2|||18.99|18.99|0.0|18.9|19.01|18.98|19.01|18.97|0.0|0.0|19.0|18.86|18.995|19.0|18.91|19.0|18.94|19.0|18.99|19.0|18.99|19.0|14.65|22.91|18.94|19.03|18.95|19.04|18.94|19.04|18.99|19.0|22.84|12.7|286876|95225611 76328|CART|CART|565394103|US5653941030|Maplebear Inc|COM USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN6-7|TXN14-1|TXN5-5|TXN6-5|280220000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101010|10101020|Technology|Technology|Software and Computer Services|Consumer Digital Services |N||N||||||Y|0|Y||||||24.39|24.38|0.0|24.38|24.46|24.4|24.4|24.44|0.0|0.0|24.42|24.38|24.41|24.37|24.46|24.39|24.53|24.39|24.32|24.41|18.88|30.29|18.88|30.29|24.3|24.88|24.3|24.53|24.3|24.45|24.37|24.45|42.95|23.36|1996941|158069773 75941|CARU|CARU|063679476|US0636794762|Bank of Montreal|MAX Auto Industry 3X Leveraged ETNs|Operating company|ETN|N|N|P|Y|Y|Y|Y|Y||||||||Bank of Montreal|Old Mission Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-7|TXN4-8|TXN3-8|TXN3-1|TXN3-3|160000|||NotApplicable|||||2023-06-28|2043-05-28|CARU.NV|CARU.SO| | |CARU.IV| | | | | | | | | |3x|The Prime Auto Industry index represents companies engaged in automobile manufacturing, automobile parts and retail, new car dealers, and used car dealers. Index constituents are based on the constituent issuers regulatory filings, industry classification, and other related material.|N|0|N|N|416A||CA|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|15.512|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|18.4061|0.0|18.4061|0.0|0.0|0.0|0.0|18.38|18.45|8.91|26.71|0.0|0.0|18.38|18.45|40.0|13.1459|66|45677 5539|CARV|CARV|146875604|US1468756044|Carver Bancorp Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN5-3|TXN11-5|TXN6-7|TXN5-3|4920000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||||||1.98|1.93|0.0|0.0|2.0|2.0|2.01|2.0|0.0|0.0|0.0|0.0|1.98|0.0|0.0|0.0|0.0|2.01|0.0|2.01|1.85|2.1|1.57|2.36|1.9|2.06|1.92|2.05|1.91|2.07|1.97|2.01|5.36|1.15|46759|6282265 74857|CARY|CARY|03463K760|US03463K7607|Angel Oak Funds Trust|Angel Oak Income ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Angel Oak|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-2|TXN4-7|TXN1-8|TXN3-1|TXN2-8|4460000|||Monthly|||||2022-11-08||CARY.NV|CARY.SO|CARY.EC|CARY.TC| | | | | | | | | | ||The investment objective of the Angel Oak Income ETF is current income. The Fund invests primarily in agency and non-agency residential mortgage-backed securities (RMBS), commercial mortgage-backed securities (CMBS), collateralized loan obligations (CLOs), collateralized debt obligations (CDOs), collateralized mortgage obligations (CMOs), collateralized bond obligations (CBOs), asset-backed securities (ABS), including securities backed by assets such as unsecured consumer loans, credit card receivables, student loans, automobile loans, loans financing solar energy systems, and residential and commercial real estate, and other debt securitizations (collectively, Structured Products); mortgage loans, secured and unsecured consumer loans, commercial loans and pools of such loans (collectively, Loans); corporate debt, including bank-issued subordinated debt; equity securities of banks, real estate investment trusts, or other issuers; and U.S. Treasury and U.S. government agency securities.|N|0|N|N|416A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||20.27|0.0|0.0|0.0|20.27|0.0|20.265|20.27|0.0|0.0|0.0|0.0|20.255|20.27|0.0|0.0|0.0|20.27|20.27|20.27|20.23|20.27|0.0|0.0|20.25|20.27|20.22|20.28|0.0|0.0|20.22|20.28|22.57|19.89|5223|4138906 24370|CARZ|CARZ|33734X309|US33734X3098|First Trust Exchange-Traded Fund II First Trust S-Network Future Vehicles & Technology ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN6-3|TXN13-8|TXN5-1|TXN6-8|800000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|52.345|0.0|0.0|0.0|0.0|0.0|52.01|0.0|0.0|0.0|0.0|52.05|0.0|52.01|0.0|0.0|0.0|0.0|51.55|52.98|0.0|0.0|0.0|0.0|52.01|52.55|59.5825|39.06|2401|1855531 60309|CASA|CASA|14713L102|US14713L1026|Casa Systems Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-8|TXN6-7|TXN11-2|TXN5-7|TXN5-4|99110000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||15|1510|151010|15101010|Telecommunications|Telecommunications|Telecommunications Equipment|Telecommunications Equipment|N||N||||||Y|0|Y|D|||||0.508|0.5096|0.0|0.0|0.5084|0.5122|0.5096|0.5096|0.0|0.0|0.5095|0.5121|0.522|0.0|0.0|0.0|0.0|0.5096|0.0|0.522|0.4941|0.5326|0.4015|0.6033|0.4998|0.5277|0.4831|0.5413|0.4831|0.5445|0.5096|0.523|3.97|0.3557|100584|70587131 658|CASH|CASH|59100U108|US59100U1088|Pathward Financial Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN5-4|TXN14-5|TXN6-3|TXN5-4|25990000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||||||51.61|51.765|0.0|51.61|51.74|51.52|51.72|51.74|0.0|0.0|51.75|51.74|51.73|51.74|51.12|51.745|51.44|51.72|51.53|51.73|51.19|52.28|39.01|63.7|51.66|52.18|51.62|51.88|51.61|51.9|51.73|51.77|60.49|39.75|209778|51089150 1343|CASI|CASI|G1933S101|KYG1933S1012|CASI Pharmaceuticals Inc|ORD USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN6-8|TXN12-5|TXN5-6|TXN5-5|13320000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||20|2010|201030|20103015|Health Care |Health Care |Pharmaceuticals and Biotechnology|Pharmaceuticals |N||N||||||Y|0|Y||||||0.0|0.0|0.0|0.0|5.74|5.91|5.906|5.89|0.0|0.0|5.9|0.0|5.92|0.0|0.0|0.0|0.0|5.89|0.0|5.92|5.51|6.19|4.42|7.21|5.48|6.28|4.42|6.72|0.0|0.0|5.88|5.92|5.94|1.45|32782|7349172 659|CASS|CASS|14808P109|US14808P1093|Cass Information Systems Inc|COM USD2.5||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN6-8|TXN12-8|TXN5-8|TXN5-5|13600000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502050|50205015|Industrials|Industrial Goods and Services|Industrial Support Services|Transaction Processing Services|N||N||||||Y|0|Y||||||0.0|42.91|0.0|42.87|42.72|42.75|42.78|42.82|0.0|0.0|0.0|42.9|42.92|0.0|0.0|42.96|0.0|42.91|0.0|42.92|42.36|43.34|32.85|52.18|42.39|43.32|32.85|51.09|42.83|43.09|42.83|42.93|51.48|35.05|40154|12045122 660|CASY|CASY|147528103|US1475281036|Casey's General Stores Inc.|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN6-6|TXN10-6|TXN5-7|TXN5-4|37270000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||USA||||45|4520|452010|45201010|Consumer Staples |Personal Care, Drug and Grocery Stores |Personal Care, Drug and Grocery Stores |Food Retailers and Wholesalers |N||N||||||Y|0|Y||||||277.01|276.19|0.0|276.28|0.0|277.15|276.93|277.03|0.0|0.0|276.87|276.98|276.98|0.0|0.0|276.41|0.0|277.01|0.0|276.98|274.51|279.39|261.48|296.01|274.95|279.29|276.51|277.49|276.83|277.11|276.9|277.11|286.6189|202.13|212945|58951467 5282|CAT|CAT|149123101|US1491231015|Caterpillar Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|P|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-6|TXN2-5|TXN9-4|TXN2-6|TXN2-3|509090000|||Quarterly|||||1929-12-02||||||| | | | | | | | | |||Y|1|Y|Y|126A|USA|US|||50|5020|502040|50204020|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Construction and Handling|N||N||||||Y|0|Y||Y|1|||254.72|254.79|0.0|254.77|254.72|254.73|254.705|254.75|0.0|0.0|254.75|254.7|254.75|254.66|254.78|254.75|254.62|254.75|254.73|254.75|254.65|254.66|237.44|269.85|254.6|254.85|254.53|254.92|254.62|254.94|254.65|254.66|293.88|204.04|3028712|706733427 10954|CATC|CATC|132152109|US1321521098|Cambridge Bancorp|COM USD1.||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN5-4|TXN12-5|TXN6-5|TXN5-6|7850000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||||||63.03|63.11|0.0|0.0|0.0|61.49|63.13|62.04|0.0|0.0|62.81|62.81|63.32|62.98|62.47|0.0|0.0|63.23|62.54|63.32|62.07|63.99|48.61|77.55|62.21|63.85|48.61|77.55|0.0|63.29|62.98|63.24|89.99|44.62|27981|12021636 52932|CATH|CATH|37954Y889|US37954Y8892|Global X S&P 500 Catholic Values ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN6-1|TXN10-7|TXN5-3|TXN6-1|13280000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||0.0|55.81|0.0|0.0|0.0|55.76|55.76|55.74|0.0|0.0|55.8|0.0|55.79|0.0|0.0|0.0|0.0|55.8|0.0|55.79|55.79|55.93|55.47|56.11|55.79|55.81|55.47|56.12|55.47|56.11|55.79|55.81|56.51|45.91|12177|7980628 5634|CATO|CATO|149205106|US1492051065|The CATO Corporation|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN3-2|TXN1-5|TXN2-3|TXN4-6|18820000|||Quarterly|||||2002-06-13||||||| | | | | | | | | |||N|0|N|Y|146F|USA|US|||40|4040|404010|40401020|Consumer Discretionary|Retail |Retailers |Apparel Retailers|N||N||||||N|0|Y||Y|2|||6.92|7.15|0.0|6.82|6.9|6.92|6.92|6.96|0.0|0.0|6.95|7.1|6.9|0.0|6.91|6.91|0.0|6.92|6.91|6.91|6.91|6.93|5.47|8.47|6.83|7.0|6.87|8.47|6.86|6.96|6.91|6.93|10.67|6.535|38715|19851927 15762|CATX|CATX|46489V104|US46489V1044|Perspective Therapeutics, Inc.|Common Stock|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN10-6|TXN2-5|TXN4-8|TXN1-4|TXN2-8|280570000|||NotApplicable|||||2007-04-19||||||| | | | | | | | | |||N|0|N|N|140A|USA|US|||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||Y|2|||0.27|0.2726|0.0|0.0|0.27|0.27|0.2707|0.2709|0.0|0.0|0.2704|0.27|0.2697|0.2726|0.265|0.27|0.2726|0.2726|0.27255|0.2726|0.2533|0.2794|0.2651|0.2726|0.2606|0.2775|0.2474|0.2867|0.267|0.276|0.2651|0.2726|0.7298|0.205|413076|127571564 664|CATY|CATY|149150104|US1491501045|Cathay General Bancorp|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN5-3|TXN14-1|TXN6-2|TXN6-4|72650000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||||||39.03|38.86|0.0|38.87|38.86|38.93|38.89|38.88|0.0|0.0|38.88|0.0|38.88|38.86|38.79|38.86|38.88|38.88|38.75|38.88|38.83|38.97|29.48|47.62|38.84|38.96|38.83|38.97|38.87|38.93|38.87|38.93|46.39|27.24|250183|93656281 71579|CAUD|CAUD|193939105|US1939391058|Collective Audience Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN6-3|TXN10-3|TXN5-4|TXN6-2|13190000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y|D|||||1.76|1.7|0.0|0.0|1.71|1.75|1.73|1.74|0.0|0.0|1.74|1.73|1.74|1.75|1.75|1.75|1.7|1.71|1.76|1.74|1.36|2.08|1.36|2.08|1.67|1.77|1.66|1.84|0.0|0.0|1.7|1.75|12.4|1.31|1616890|36209916 75863|CAVA|CAVA|148929102|US1489291021|CAVA Group, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|P|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-7|TXN3-5|TXN8-8|TXN2-3|TXN3-1|113610000|||NotApplicable|||||2023-06-15||||||| | | | | | | | | |||N|0|Y|Y|146D|USA|US|||40|4050|405010|40501040|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Restaurants and Bars|N||N||||||Y|0|Y||Y|1|||36.14|36.11|0.0|36.12|36.1|36.11|36.14|36.12|0.0|0.0|36.09|36.05|36.14|36.11|36.05|36.14|35.36|36.14|36.11|36.14|36.1|36.15|33.79|38.32|35.97|36.38|36.01|36.22|36.1|36.24|36.1|36.15|58.1|29.05|1386887|211502087 4579|CB|CB|H1467J104|CH0044328745|Chubb Limited|Common Shares|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-4|TXN1-5|TXN1-3|TXN4-6|TXN3-1|407990000|||Quarterly|||||2008-07-18||||||| | | | | | | | | |||N|5|Y|Y|410B|CHE|BM|||30|3030|303020|30302025|Financials|Insurance|Non-life Insurance|Property and Casualty Insurance|N||N||||||Y|0|Y||Y|1|||228.26|228.09|0.0|228.07|228.27|228.11|228.08|228.13|0.0|0.0|228.09|228.15|228.08|228.16|228.1|228.12|228.39|228.07|228.1|228.12|228.09|228.12|213.77|242.95|227.94|228.24|227.95|228.31|227.93|228.3|228.09|228.12|231.37|183.395|2164584|416892663 667|CBAN|CBAN|19623P101|US19623P1012|Colony Bankcorp Inc|COM USD1||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN5-4|TXN13-8|TXN6-8|TXN6-2|17570000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||||||0.0|11.23|0.0|0.0|11.41|11.34|11.43|11.29|0.0|0.0|0.0|0.0|11.4|0.0|11.23|0.0|0.0|11.42|0.0|11.4|11.18|11.61|0.0|0.0|11.37|11.58|0.0|0.0|0.0|0.0|11.4|11.42|13.98|8.59|58764|10645874 10969|CBAT|CBAT|14986C102|US14986C1027|CBAK Energy Technology Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN6-8|TXN13-6|TXN6-1|TXN5-1|89490000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||50|5020|502020|50202010|Industrials|Industrial Goods and Services|Electronic and Electrical Equipment|Electrical Components |N||N||||||Y|0|Y||||||1.06|1.09|0.0|0.0|1.06|1.09|1.08|1.07|0.0|0.0|1.08|1.07|1.1|1.09|0.0|0.0|0.0|1.1|0.0|1.1|1.05|1.12|0.848|1.29|1.05|1.12|0.848|1.17|0.0|0.0|1.08|1.1|1.44|0.7402|392210|37653709 43581|CBAY|CBAY|23257D103|US23257D1037|CymaBay Therapeutics Inc|COM USD.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN6-6|TXN14-4|TXN5-5|TXN5-3|113400000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||20.36|20.365|0.0|20.5|20.36|20.365|20.37|20.37|0.0|0.0|20.35|20.35|20.36|20.36|20.36|20.36|20.37|20.35|20.35|20.36|20.34|20.41|15.68|24.87|20.33|20.4|20.3|20.42|20.3|20.43|20.35|20.37|20.7|3.83|2750210|443233598 5294|CBD|CBD|20440T300|US20440T3005|Companhia Brasileira de Distribuicao|American Depositary Shares (Each representing one Common Share)|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN2-8|TXN3-2|TXN4-8|TXN1-3|TXN2-7|270140000|||Yearly|||||1997-05-29||||||| | | | | | | | | |||N|0|N|Y|146D|BRA|BR|||45|4520|452010|45201010|Consumer Staples |Personal Care, Drug and Grocery Stores |Personal Care, Drug and Grocery Stores |Food Retailers and Wholesalers |N||N||||||Y|2|Y||Y|2|||0.6549|0.6515|0.0|0.0|0.674|0.657|0.66|0.6523|0.0|0.0|0.6566|0.6541|0.66|0.6428|0.0|0.6602|0.0|0.66|0.6443|0.6602|0.649|0.66|0.5423|0.7821|0.6431|0.66|0.63|0.6821|0.6288|0.6812|0.649|0.66|4.76|0.581|221662|248174994 16163|CBFV|CBFV|12479G101|US12479G1013|CB Financial Services Inc|COM 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Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN6-7|TXN10-6|TXN5-5|TXN5-4|49280000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||1.54|1.54|0.0|1.59|1.54|1.54|1.54|1.54|0.0|0.0|1.54|1.54|1.55|1.54|0.0|1.54|0.0|1.54|1.54|1.55|1.53|1.56|1.28|1.89|1.53|1.56|1.51|1.56|1.51|1.57|1.53|1.55|9.41|1.23|170830|161506165 67770|CCCS|CCCS|12510Q100|US12510Q1004|CCC Intelligent Solutions Holdings Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN6-8|TXN14-5|TXN6-1|TXN5-5|602380000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||USA||||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||||||11.7|11.7|0.0|0.0|11.69|11.695|11.69|11.695|0.0|0.0|11.695|11.695|11.69|11.7|11.71|11.695|11.695|11.68|11.69|11.69|11.67|11.71|10.98|12.44|11.67|11.71|11.04|12.2|0.0|0.0|11.68|11.69|13.41|8.2403|2269788|371599154 49587|CCD|CCD|12811V105|US12811V1052|Calamos Dynamic Convertible & Income Fund|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN5-2|TXN14-2|TXN5-6|TXN6-3|25800000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||||||0.0|18.87|0.0|0.0|18.87|18.9|18.86|18.9|0.0|0.0|18.9|18.89|18.86|18.91|0.0|18.87|0.0|18.86|0.0|18.86|14.67|23.21|14.67|23.21|17.75|20.15|18.82|18.93|0.0|18.91|18.86|18.91|24.6825|16.93|80103|17774073 10998|CCEL|CCEL|228895108|US2288951088|Cryo-Cell International, Inc.|Common Stock|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-4|TXN1-1|TXN4-8|TXN3-2|TXN3-4|8290000|||NotApplicable|||||2022-08-30||||||| | | | | | | | | |||N|0|N|N|120A|USA|US|||20|2010|201010|20101025|Health Care |Health Care |Health Care Providers|Health Care Services|N||N||||||N|0|Y||Y|2|||5.51|5.7|0.0|0.0|0.0|5.69|5.719|5.6|0.0|0.0|0.0|0.0|5.7|4.65|0.0|0.0|5.61|5.61|0.0|5.61|0.0|0.0|5.61|5.9|5.25|6.21|0.0|0.0|0.0|0.0|5.61|5.9|7.2499|2.69|7509|2512998 5316|CCEP|CCEP|G25839104|GB00BDCPN049|Coca-Cola Europacific Partners PLC|ORD NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN6-8|TXN14-6|TXN5-3|TXN5-2|458850000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||GBR||||45|4510|451010|45101020|Consumer Staples |Food, Beverage and Tobacco |Beverages|Soft Drinks|N||N||||||Y|0|Y||||||62.01|62.015|0.0|62.03|62.0|62.02|61.98|61.98|0.0|0.0|61.99|62.01|62.0|61.98|62.04|62.02|62.08|61.99|62.015|62.0|61.93|62.05|47.28|75.04|61.93|62.0|61.94|62.03|61.96|62.02|61.97|62.0|66.79|51.86|1739100|266781025 76321|CCG|CCG|G20707108|KYG207071088|Cheche Group Inc|SHS CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN5-7|TXN12-7|TXN6-7|TXN5-4|57550000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||30|3030|303020|30302025|Financials|Insurance|Non-life Insurance|Property and Casualty Insurance|N||N||||||N|0|Y||||||7.33|0.0|0.0|0.0|0.0|7.32|7.3|7.78|0.0|0.0|7.68|0.0|7.28|7.59|0.0|7.5|0.0|7.3|0.0|7.3|5.61|9.61|5.61|9.61|6.73|8.37|5.61|9.61|0.0|0.0|7.2|7.85|200.0|4.88|17230|15644886 76322|CCGWW|CCGWW|G20707116|KYG207071161|Cheche Group Inc|*W EXP 10/01/2030||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-5|TXN6-3|TXN11-2|TXN6-2|TXN5-3|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||||||||||N||N||||||N|0|Y|C|||||0.0|0.0|0.0|0.0|0.0|0.0|0.12|0.0|0.0|0.0|0.1025|0.1025|0.12|0.0|0.0|0.0|0.0|0.12|0.0|0.12|0.0|0.0|0.0|0.0|0.0875|0.2025|0.0|0.0|0.0|0.0|0.12|0.1299|1.1|0.048222|1301|7283549 5320|CCI|CCI|22822V101|US22822V1017|Crown Castle Inc.|Common Stock|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|5|J|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-7|TXN3-8|TXN7-1|TXN3-7|TXN2-4|433690000|||Quarterly|||||2014-12-16||||||| | | | | | | | | |||N|5|Y|Y|144A|USA|US|||35|3510|351020|35102025|Real Estate|Real Estate |Real Estate Investment Trusts|Infrastructure REITs|N||N||||||Y|0|Y||Y|1|||118.44|118.43|0.0|117.95|118.4|118.44|118.44|118.44|0.0|0.0|118.41|118.41|118.42|118.41|118.01|118.43|118.37|118.42|118.44|118.43|118.42|118.43|110.63|125.82|118.4|118.46|118.34|118.48|118.32|118.53|118.42|118.43|153.98|84.72|4712581|652352163 76518|CCIA|CCIA|92535C500|US92535C5004|Carlyle Credit Income Fund|8.75% Series A Preferred Shares due 2028|Closed end fund|G|N|N|N|Y|Y|Y|Y|Y|6|H|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN4-5|TXN9-8|TXN3-7|TXN1-3|1280000|||Monthly|||||2023-10-27|2028-10-31|||||| | | | | | | | | |||N|0|N|N|406C||US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|25.4|0.0|0.0|0.0|25.4|25.45|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|25.4|0.0|25.4|0.0|25.4|25.35|25.42|0.0|0.0|25.37|25.5|0.0|0.0|0.0|0.0|25.35|25.42|27.0|24.1|4754|301439 63721|CCIF|CCIF|92535C104|US92535C1045|Carlyle Credit Income Fund|Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN3-3|TXN6-8|TXN2-7|TXN2-1|11660000|||Monthly|||||2019-05-29||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||7.74|0.0|0.0|0.0|7.75|7.7|7.69|7.75|0.0|0.0|7.74|7.77|7.7|7.75|0.0|7.7|7.67|7.7|7.7|7.7|7.69|7.7|7.65|7.74|7.42|7.7|7.65|7.74|0.0|0.0|7.69|7.7|9.1895|7.4279|67043|4715651 5321|CCJ|CCJ|13321L108|CA13321L1085|Cameco Corporation|Common Shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-5|TXN2-3|TXN8-1|TXN3-4|TXN1-4|433870000|||Yearly|||||1996-03-14||||||| | | | | | | | | |||N|0|N|Y|130E|CAN|CA|||60|6010|601020|60102010|Energy|Energy|Alternative Energy|Alternative Fuels |N||N||||||Y|0|Y||Y|2|||45.97|45.97|0.0|45.96|45.97|45.97|45.965|45.97|0.0|0.0|45.96|45.97|45.97|45.97|45.97|45.96|45.97|45.97|45.96|45.96|45.96|45.97|35.76|56.53|45.96|45.99|45.91|46.03|45.96|46.03|45.96|45.97|46.76|21.22|3976676|1053639354 5323|CCK|CCK|228368106|US2283681060|Crown Holdings, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|I|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-5|TXN3-2|TXN6-7|TXN4-4|TXN3-5|120650000|||Quarterly|||||1929-05-09||||||| | | | | | | | | |||N|0|Y|Y|136B|USA|US|||50|5020|502030|50203030|Industrials|Industrial Goods and Services|General Industrials|Containers and Packaging|N||N||||||Y|0|Y||Y|1|||88.39|88.47|0.0|88.55|88.47|88.47|88.465|88.465|0.0|0.0|88.47|88.42|88.49|88.46|88.27|88.48|88.47|88.48|88.29|88.48|88.48|88.49|82.96|93.5|88.42|88.52|88.4|88.55|88.46|88.55|88.48|88.49|96.35|75.61|1085022|264055530 5324|CCL|CCL|143658300|PA1436583006|Carnival Corporation|Common Stock (Paired Stock)|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|H|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-7|TXN4-5|TXN2-4|TXN3-5|TXN4-1|1119450000|||Quarterly|||||1991-11-26||||||| | | | | | | | | |||N|5|Y|Y|208A|USA|PA|||40|4050|405010|40501015|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Travel and Tourism|N||N||||||Y|0|Y||Y|1|||16.35|16.35|0.0|16.28|16.35|16.35|16.36|16.355|0.0|0.0|16.35|16.35|16.35|16.365|16.36|16.35|16.36|16.35|16.355|16.35|16.35|16.36|16.32|16.39|16.35|16.36|16.33|16.39|16.32|16.4|16.35|16.36|19.55|7.53|36854499|8241968413 44587|CCLD|CCLD|14167R100|US14167R1005|CareCloud Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN6-7|TXN12-3|TXN5-8|TXN6-6|15870000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201010|20101025|Health Care |Health Care |Health Care Providers|Health Care Services|N||N||||||Y|0|Y||||||1.03|1.03|0.0|1.03|0.0|1.03|1.03|1.03|0.0|0.0|1.03|1.06|1.03|1.03|0.0|0.0|0.0|1.03|1.03|1.03|0.969|1.13|0.856|1.28|1.01|1.1|0.856|1.28|0.0|0.0|1.02|1.06|4.51|0.89|17958|9231231 73393|CCLDO|CCLDO|14167R308|US14167R3084|CareCloud Inc|8.75% CUM PFD B||B|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN6-4|TXN11-2|TXN5-4|TXN5-7|1460000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||13.38|13.63|0.0|0.0|0.0|13.6|13.38|0.0|0.0|0.0|0.0|0.0|13.36|0.0|0.0|0.0|0.0|13.36|0.0|13.36|0.0|0.0|0.0|0.0|12.56|15.46|0.0|0.0|0.0|0.0|13.36|14.5|26.0|10.3|7783|1244761 51871|CCLDP|CCLDP|14167R209|US14167R2094|CareCloud Inc|PFD SER A||B|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN6-7|TXN13-3|TXN6-6|TXN6-8|4530000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|16.1|0.0|0.0|16.0|16.02|16.2264|0.0|0.0|0.0|16.02|0.0|16.04|15.86|0.0|0.0|0.0|16.02|0.0|16.02|0.0|0.0|0.0|0.0|15.34|16.5|0.0|0.0|0.0|0.0|15.62|16.25|28.0|10.3|25019|3047476 38354|CCLP|CCLP|12637A103|US12637A1034|CSI Compressco LP|COM LP UNIT NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN5-4|TXN11-4|TXN6-1|TXN6-2|142000000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||60|6010|601010|60101030|Energy|Energy|Oil, Gas and Coal|Oil Equipment and Services|N||N||||||Y|0|Y||||||1.99|1.97|0.0|0.0|1.99|1.97|1.98|1.965|0.0|0.0|1.98|1.99|1.97|1.97|0.0|1.99|1.99|1.98|2.0|1.97|1.89|2.09|1.6|2.37|1.84|2.12|1.95|2.01|1.95|2.02|1.97|1.99|2.06|1.04|253146|18047409 31993|CCM|CCM|206277105|US2062771058|Concord Medical Services Holdings Limited|American Depositary Shares (Each represents three ordinary shares)|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN2-6|TXN1-5|TXN1-5|TXN3-1|84460000|||Adhoc|||||2009-12-11||||||| | | | | | | | | |||N|0|N|Y|122B|CHN|KY|||20|2010|201010|20101025|Health Care |Health Care |Health Care Providers|Health Care Services|N||N||||||N|0|Y||Y|2|||0.0|1.11|0.0|0.0|1.11|0.0|1.0635|1.11|0.0|0.0|0.0|0.0|0.0|1.11|0.0|1.05|0.0|1.05|0.0|1.05|1.01|1.11|0.0|0.0|0.9522|1.16|0.0|0.0|0.0|0.0|1.01|1.09|1.99|0.97|3600|420801 703|CCNE|CCNE|126128107|US1261281075|CNB Financial Corp/PA|COM USD4.0||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN5-7|TXN13-4|TXN6-1|TXN5-1|20900000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||||||20.76|20.81|0.0|20.92|20.88|20.77|20.78|20.76|0.0|0.0|21.015|0.0|20.75|20.75|21.01|0.0|20.89|20.78|20.9|20.75|20.48|21.06|0.0|0.0|20.54|21.03|0.0|0.0|20.73|0.0|20.8|20.85|25.39|16.43|106297|13573016 67417|CCNEP|CCNEP|126128206|US1261282065|CNB Financial Corp/PA|7.125 DP SH PF A||B|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN6-4|TXN11-6|TXN5-1|TXN5-3|2420000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|22.1|22.1001|0.0|0.0|0.0|0.0|0.0|22.1|0.0|0.0|0.0|0.0|22.1|0.0|22.1|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|22.1|22.5|27.9699|17.0001|660|716672 5326|CCO|CCO|18453H106|US18453H1068|Clear Channel Outdoor Holdings, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|I|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN1-2|TXN1-8|TXN1-7|TXN3-7|483010000|||Adhoc|||||2019-05-02||||||| | | | | | | | | |||N|0|N|Y|104C|USA|US|||40|4030|403010|40301020|Consumer Discretionary|Media|Media|Media Agencies|N||N||||||N|0|Y||Y|2|||1.54|1.535|0.0|1.57|1.53|1.535|1.54|1.53|0.0|0.0|1.54|1.53|1.535|1.53|1.535|1.54|1.535|1.54|1.54|1.54|1.53|1.54|1.24|1.83|1.53|1.54|1.5|1.57|1.52|1.55|1.53|1.54|2.14|0.951|2135926|702215197 5547|CCOI|CCOI|19239V302|US19239V3024|Cogent Communications Holdings Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN6-6|TXN12-7|TXN5-5|TXN5-7|48620000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||15|1510|151020|15102015|Telecommunications|Telecommunications|Telecommunications Service Providers |Telecommunications Services|N||N||||||Y|0|Y||||||66.75|66.54|0.0|66.53|66.59|66.555|66.54|66.56|0.0|0.0|66.56|66.01|66.54|65.44|0.0|66.51|0.0|66.55|0.0|66.54|65.96|67.23|50.59|81.85|66.44|66.68|52.03|81.85|0.0|0.0|66.54|66.55|75.0|54.57|354910|76499038 58498|CCOR|CCOR|53656F847|US53656F8471|Listed Funds Trust|Core Alternative ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Core Alternative Capital|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-6|TXN1-7|TXN6-8|TXN2-7|TXN4-3|10340002|||Quarterly|||||2019-12-18||CCOR.NV|CCOR.SO|CCOR.EU|CCOR.TC|CCOR.IV| | | | | | | | | ||Active equity with risk overlay. 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081728||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-3|TXN6-1|TXN12-2|TXN5-3|TXN6-7|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y|D|||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0201|0.0399|0.15|0.01|0|743954 5640|CCU|CCU|204429104|US2044291043|Compañía Cervecerías Unidas S.A.|American Depositary Shares (Each representing two shares of Common Stock, without par value)|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|6|U|Citadel Securities 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LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN4-7|TXN3-8|TXN2-7|TXN3-5|1930000|||Quarterly|||||1999-11-24|2029-10-15|||||| | | | | | | | | |||N|0|N|N|170A|USA|US|||15|1510|151020|15102010|Telecommunications|Telecommunications|Telecommunications Service Providers |Cable Television Services|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|53.5|58.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|53.5|58.0|64.86|51.13|0|173570 67707|CD|CD|16955F107|US16955F1075|Chindata Group Holdings 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NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN5-7|TXN14-3|TXN6-4|TXN5-3|63110000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y|D|||||5.43|5.42|0.0|4.79|5.43|5.42|5.425|5.43|0.0|0.0|5.43|5.41|5.43|5.42|5.43|5.43|5.41|5.43|5.44|5.43|5.41|5.46|4.09|6.62|5.41|5.46|5.4|5.46|5.41|5.46|5.42|5.43|21.05|4.57|3049972|146283267 44640|CDNA|CDNA|14167L103|US14167L1035|CareDx Inc|COM 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USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN5-5|TXN14-3|TXN5-4|TXN5-7|272060000|||NotApplicable|||||||||||| | | | | | | | | |||N|5|Y|N||USA||||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||||||263.41|263.42|0.0|263.35|263.47|263.44|263.43|263.35|0.0|0.0|263.47|263.42|263.48|263.16|263.37|263.43|263.41|263.48|263.21|263.48|263.16|263.66|247.05|276.95|263.32|263.53|263.3|263.6|0.0|0.0|263.42|263.48|279.325|154.88|2172672|378579568 8297|CDP|CDP|22002T108|US22002T1088|COPT Defense Properties|Common Shares of Beneficial Interest|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|8|Q|GTS Securities 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LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN3-4|TXN8-8|TXN3-7|TXN4-8|0|||Quarterly|||||2012-05-24||||||| | | | | | | | | |||N|0|N|N|412A||US|||50|5020|502040|50204000|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Industrial|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|13.88|14.0041|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|14.0041|0.0|14.0041|0.0|14.0041|13.16|14.1|0.0|0.0|8.33|14.1|0.0|0.0|0.0|0.0|13.16|14.1|20.29|11.54|490|931854 59429|CDR PRC|CDRpC|150602506||Cedar Realty Trust, Inc.|6.50% Series C Cumulative Redeemable Preferred Stock|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN4-2|TXN7-8|TXN3-2|TXN1-6|0|||Quarterly|||||2017-08-25||||||| | | | | | | | | |||N|0|N|N|412A||US|||50|5020|502040|50204000|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Industrial|N||N||||||N|0|Y||Y|2|||0.0|12.16|0.0|0.0|0.0|12.25|12.26|12.19|0.0|0.0|12.25|0.0|12.27|0.0|0.0|12.27|12.2|12.27|0.0|12.27|12.25|12.27|12.25|12.3|12.0|12.57|0.0|0.0|0.0|0.0|12.25|12.27|15.15|10.1801|18878|3702197 71347|CDRE|CDRE|12763L105|US12763L1052|Cadre Holdings, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|B|Citadel Securities 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112326||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-4|TXN5-8|TXN10-2|TXN6-7|TXN5-3|45120000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||LUX||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0575|0.0|0.0|0.0|0.0|0.0|0.0575|0.1|0.681|0.0505|0|2600456 73774|CDT|CDT|20678X106|US20678X1063|Conduit Pharmaceuticals Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN6-2|TXN12-2|TXN5-3|TXN5-3|72810000|||NotApplicable|||||||||||| | | | | | | 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strategy.|N|0|N|N|416A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|22.56|22.16|0.0|0.0|0.0|0.0|22.51|0.0|0.0|0.0|0.0|22.56|0.0|22.56|0.0|0.0|0.0|0.0|22.46|22.57|14.27|33.89|0.0|0.0|22.46|22.57|24.5393|20.51|11732|2522495 28450|CDXC|CDXC|171077407|US1710774076|ChromaDex Corp|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN5-5|TXN14-4|TXN6-7|TXN5-1|75120000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103015|Health Care |Health Care |Pharmaceuticals and Biotechnology|Pharmaceuticals |N||N||||||Y|0|Y||||||1.38|1.38|0.0|0.0|1.4|1.4|1.4|1.38|0.0|0.0|1.4|1.4|1.4|0.0|1.41|1.4|1.4|1.4|0.0|1.4|1.35|1.43|1.12|1.66|1.36|1.42|1.12|1.66|1.35|1.44|1.39|1.4|2.24|1.25|66827|26819117 32598|CDXS|CDXS|192005106|US1920051067|Codexis Inc|COM USD.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN5-8|TXN11-8|TXN6-8|TXN5-1|69830000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||2.41|2.42|0.0|0.0|2.42|2.415|2.42|2.415|0.0|0.0|2.415|2.41|2.41|2.42|2.42|2.415|2.41|2.42|2.42|2.41|2.4|2.43|1.85|2.94|2.38|2.44|2.38|2.45|2.38|2.45|2.41|2.42|6.98|1.45|755213|197133231 724|CDZI|CDZI|127537207|US1275372076|Cadiz Inc|COM 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USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN5-2|TXN11-3|TXN6-4|TXN6-3|231680000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||USA||||45|4510|451010|45101020|Consumer Staples |Food, Beverage and Tobacco |Beverages|Soft Drinks|N||N||||||Y|0|Y||||||52.43|52.38|0.0|52.35|52.38|52.39|52.384|52.37|0.0|0.0|52.36|52.42|52.36|52.39|52.19|52.4|52.27|52.39|52.43|52.36|52.32|52.42|49.15|55.81|52.31|52.43|52.34|52.46|52.36|0.0|52.36|52.4|206.85|48.3|4757091|339811057 64049|CELU|CELU|151190105|US1511901050|Celularity Inc|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-8|TXN6-4|TXN11-5|TXN5-3|TXN6-8|190950000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||0.2185|0.2148|0.0|0.0|0.2185|0.216|0.2132|0.2132|0.0|0.0|0.2148|0.216|0.2199|0.0|0.0|0.0|0.0|0.2132|0.0|0.2199|0.2069|0.2264|0.1704|0.2592|0.2101|0.2243|0.1704|0.258|0.0|0.0|0.2131|0.2199|1.78|0.19|209154|141412834 64050|CELUW|CELUW|151190113|US1511901134|Celularity Inc|WT EXP 052426||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-1|TXN5-7|TXN10-4|TXN6-4|TXN5-1|180820000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y|C|||||0.0|0.0|0.0|0.0|0.0|0.0|0.0074|0.0|0.0|0.0|0.0|0.0|0.0073|0.0|0.0|0.0|0.0|0.0074|0.0|0.0074|0.0|0.0|0.0|0.0|0.005|0.3333|0.0|0.0|0.0|0.0|0.0073|0.0248|0.25|0.005|400|6622065 58827|CELZ|CELZ|22529Y408|US22529Y4089|Creative Medical Technology Holdings Inc|COM USD0.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN5-8|TXN12-8|TXN5-4|TXN5-6|1380000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302020|30202000|Financials|Financial Services |Investment Banking and Brokerage Services |Diversified Financial Services |N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|4.55|4.5301|4.55|0.0|0.0|4.51|0.0|4.52|0.0|0.0|0.0|0.0|4.54|0.0|4.54|3.33|5.52|0.0|0.0|4.32|4.78|3.33|5.52|0.0|0.0|4.5|4.59|7.01|0.3456|4160|278492025 32907|CEM|CEM|184692200|US1846922003|ClearBridge MLP and Midstream Fund Inc.|Common Stock, $0.001 par value|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-5|TXN2-8|TXN1-8|TXN2-4|TXN3-2|13540000|||Quarterly|||||2010-06-25||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||38.68|38.71|0.0|38.71|38.75|38.7|38.7204|38.73|0.0|0.0|38.72|38.71|38.73|38.6|0.0|38.73|0.0|38.73|38.62|38.73|38.73|38.76|29.72|47.46|35.95|41.27|30.68|46.77|38.7|38.78|38.73|38.78|38.95|29.22|47490|9310694 39905|CEMB|CEMB|464286251|US4642862514|iShares J.P. Morgan EM Corporate Bond ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-3|TXN3-7|TXN8-8|TXN1-2|TXN2-6|9500000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|42.95|0.0|0.0|0.0|42.995|42.96|43.23|0.0|0.0|42.93|0.0|42.93|42.97|0.0|0.0|0.0|42.95|0.0|42.95|42.52|42.97|0.0|0.0|42.97|43.01|0.0|0.0|0.0|0.0|42.97|43.01|44.62|41.33|55127|13496788 61146|CENN|CENN|Q6519V120|AU0000198582|Cenntro Electric Group Limited|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-7|TXN5-6|TXN12-8|TXN6-4|TXN6-1|304450000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4010|401010|40101020|Consumer Discretionary|Automobiles and Parts|Automobiles and Parts|Automobiles|N||N||||||Y|0|Y||||||0.1699|0.1684|0.0|0.0|0.1699|0.1689|0.1689|0.1688|0.0|0.0|0.168|0.1704|0.171|0.17|0.17|0.1689|0.163|0.1689|0.163|0.171|0.1614|0.1785|0.1282|0.2024|0.167|0.1727|0.1614|0.1785|0.0|0.0|0.168|0.172|0.871|0.1496|2486363|609955988 736|CENT|CENT|153527106|US1535271068|Central Garden & Pet Co|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN5-1|TXN13-6|TXN5-3|TXN6-2|11080000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4020|402020|40202025|Consumer Discretionary|Consumer Products and Services|Household Goods and Home Construction|Household Equipment and Products|N||N||||||Y|0|Y||||||43.73|43.48|0.0|43.56|43.59|43.7|43.44|43.56|0.0|0.0|43.7|43.65|43.5|43.76|0.0|43.49|43.63|43.49|0.0|43.5|43.07|44.0|34.18|53.6|43.18|44.02|43.35|43.63|0.0|43.65|43.49|43.5|48.475|35.6|142217|11822454 18949|CENTA|CENTA|153527205|US1535272058|Central Garden & Pet Co|CL A COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN6-1|TXN11-7|TXN5-7|TXN5-4|41130000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4020|402020|40202025|Consumer Discretionary|Consumer Products and Services|Household Goods and Home Construction|Household Equipment and Products|N||N||||||N|0|Y||||||38.83|38.8|0.0|39.18|38.82|38.96|38.84|38.84|0.0|0.0|38.8|38.93|38.84|0.0|0.0|38.83|0.0|38.83|0.0|38.84|38.47|39.32|30.48|47.93|38.52|39.27|38.72|38.92|38.77|38.94|38.83|38.85|45.93|33.77|251691|40033463 737|CENX|CENX|156431108|US1564311082|Century Aluminum Co|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN5-6|TXN11-6|TXN6-4|TXN5-1|92410000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||55|5510|551020|55102035|Basic Materials|Basic Resources|Industrial Metals and Mining|Aluminum|N||N||||||Y|0|Y||||||8.23|8.23|0.0|8.18|8.24|8.23|8.25|8.25|0.0|0.0|8.23|8.23|8.24|8.25|8.23|8.235|8.23|8.25|8.24|8.24|8.23|8.27|6.4|10.19|8.24|8.27|8.2|8.28|8.2|8.27|8.25|8.26|12.965|5.7|1217817|318102902 60633|CEPU|CEPU|155038201|US1550382014|Central Puerto S.A.|American Depositary Shares each representing ten Common shares, par value Ps.1.00 per share|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|8|R|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN4-8|TXN1-8|TXN1-7|TXN1-6|1514020000|||Adhoc|||||2018-02-02||||||| | | | | | | | | |||N|0|N|Y|100A|ARG|AR|||65|6510|651010|65101015|Utilities|Utilities|Electricity|Conventional Electricity|N||N||||||Y|0|Y||Y|2|||7.81|7.79|0.0|7.79|7.77|7.78|7.79|7.77|0.0|0.0|7.76|7.76|7.78|7.74|7.8|7.79|7.79|7.78|7.87|7.79|7.77|7.79|6.09|9.51|7.6|7.96|7.72|7.83|7.77|7.82|7.77|7.79|8.76|4.69|677181|62470155 67106|CERE|CERE|15678U128|US15678U1280|Cerevel Therapeutics Holdings Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN5-1|TXN14-4|TXN6-7|TXN5-4|180280000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||31.78|31.78|0.0|31.63|31.79|31.87|31.809|31.775|0.0|0.0|31.79|31.75|31.8|31.79|31.79|31.8|31.28|31.81|31.85|31.8|31.62|32.14|24.67|38.88|31.6|32.15|31.55|35.98|31.73|0.0|31.8|31.81|35.98|19.59|4713859|163627570 742|CERS|CERS|157085101|US1570851014|Cerus Corp|COM 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USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN5-6|TXN11-6|TXN5-6|TXN6-7|159850000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||USA||||20|2010|201020|20102020|Health Care |Health Care |Medical Equipment and Services|Medical Services|N||N||||||Y|0|Y||||||14.715|14.7|0.0|14.64|14.72|14.72|14.71|14.71|0.0|0.0|14.72|14.61|14.72|14.73|14.63|14.72|0.0|14.7|14.71|14.72|14.68|14.73|13.72|15.53|14.68|14.73|14.69|14.74|14.69|0.0|14.69|14.71|24.96|11.81|652429|233305516 5365|CET|CET|155123102|US1551231020|Central Securities Corp|Common Stock|Closed end fund|P|N|N|A|Y|Y|Y|Y|Y|||Brendan E. 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USD0.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN6-1|TXN12-7|TXN5-4|TXN5-1|49300000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||||||11.9|11.905|0.0|11.9|11.9|11.885|11.895|11.9|0.0|0.0|11.92|11.87|11.9|11.905|11.87|11.9|11.77|11.895|11.81|11.9|11.78|12.03|9.02|14.47|11.8|11.92|11.86|11.94|11.86|11.9|11.89|11.9|14.66|9.289|139251|27185482 1671|CFBK|CFBK|12520L109|US12520L1098|CF Bankshares Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN5-3|TXN14-4|TXN5-5|TXN6-8|5290000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|16.51|16.6339|0.0|0.0|0.0|16.65|0.0|16.51|0.0|0.0|0.0|0.0|16.6339|0.0|16.6339|0.0|0.0|0.0|0.0|15.84|16.75|0.0|0.0|0.0|0.0|16.51|16.75|23.6|14.685|2612|813180 66555|CFCV|CFCV|00509W105|US00509W1053|ClearBridge Focus Value ESG ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-4|TXN2-5|TXN1-5|TXN1-6|TXN3-3|90000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|34.6363|0.0|0.0|0.0|31.72|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|34.6363|0.0|34.6363|0.0|0.0|0.0|0.0|34.57|34.74|0.0|0.0|0.0|0.0|34.57|34.67|34.7575|29.22|1|89212 753|CFFI|CFFI|12466Q104|US12466Q1040|C&F Financial Corp|COM USD1||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN5-3|TXN14-4|TXN6-7|TXN6-2|3370000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|61.3|60.81|58.58|0.0|0.0|0.0|0.0|61.3|0.0|0.0|0.0|0.0|61.3|0.0|61.3|57.98|63.16|0.0|0.0|58.12|62.77|0.0|0.0|0.0|0.0|60.15|61.3|63.765|48.01|11052|1988590 754|CFFN|CFFN|14057J101|US14057J1016|Capitol Federal Financial Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN6-6|TXN12-6|TXN5-4|TXN5-5|135240000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||||||5.87|5.87|0.0|5.84|5.87|5.86|5.87|5.87|0.0|0.0|5.86|5.87|5.87|5.87|5.87|5.87|5.87|5.87|5.87|5.87|5.86|5.87|4.47|7.14|5.85|5.87|5.83|5.9|5.82|5.91|5.86|5.87|8.93|4.22|1197409|210305997 73453|CFFS|CFFS|12521H107|US12521H1077|CF Acquisition Corp VII|CL A COM USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN5-5|TXN13-3|TXN5-4|TXN6-1|19200000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|10.78|0.0|0.0|0.0|10.78|10.78|10.78|0.0|0.0|10.78|0.0|10.65|0.0|0.0|10.78|0.0|10.78|0.0|10.78|0.0|0.0|0.0|0.0|10.08|11.5|0.0|0.0|0.0|0.0|10.62|10.78|11.515|10.06|46012|13980160 72952|CFFSU|CFFSU|12521H206|US12521H2067|CF Acquisition Corp VII|UNITS||R|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN5-4|TXN10-6|TXN6-3|TXN5-7|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.55|11.67|11.0|10.06|0|90031 73454|CFFSW|CFFSW|12521H115|US12521H1150|CF Acquisition Corp VII|WT EXP 031628||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-6|TXN6-6|TXN11-6|TXN5-4|TXN6-8|0|||NotApplicable|||||||||||| | | | | | | | | 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Vehicles|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|10.62|10.6|0.0|0.0|0.0|0.0|0.0|10.62|0.0|10.62|0.0|0.0|10.6|0.0|10.6|0.0|0.0|0.0|0.0|9.96|10.7|10.59|10.63|0.0|0.0|10.59|10.62|11.01|9.99|1134|9304155 68590|CFIVU|CFIVU|12520T201|US12520T2015|CF Acquisition Corp IV|UNIT||R|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN6-1|TXN13-6|TXN5-1|TXN6-1|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.08|11.92|0.0|0.0|10.52|11.35|10.53|13.62|0.0|0.0|10.53|11.35|10.8|9.79|0|70365 69222|CFIVW|CFIVW|12520T110|US12520T1108|CF Acquisition Corp IV|WT EXP 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PRODUCT||U|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN6-5|TXN12-1|TXN6-7|TXN5-7|3400000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||||||||||N||N||||||N|0|Y||||||25.91|25.875|0.0|0.0|25.91|25.86|25.81|25.9|0.0|0.0|25.91|0.0|25.75|0.0|25.76|25.875|25.865|25.79|25.91|25.79|19.57|31.85|19.57|31.85|19.57|31.85|19.57|31.85|0.0|0.0|25.75|26.0|26.555|25.0|31637|585207 76385|CGBL|CGBL|14021D107|US14021D1072|Capital Group Core Balanced ETF|Capital Group Core Balanced ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Capital Group|Jane Street Capital, 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Corp|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-1|TXN6-7|TXN11-2|TXN5-4|TXN5-2|829080000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CAN||||20|2010|201030|20103020|Health Care |Health Care |Pharmaceuticals and Biotechnology|Cannabis Producers|N||N||||||Y|0|Y||||||0.7564|0.7561|0.0|0.7516|0.7546|0.756|0.7561|0.7542|0.0|0.0|0.7563|0.7554|0.7562|0.7525|0.7598|0.7564|0.745|0.7561|0.7438|0.7562|0.7383|0.7718|0.594|0.8869|0.7479|0.76|0.7479|0.7928|0.0|0.0|0.7561|0.7562|4.77|0.346|62249779|5953970449 76387|CGCB|CGCB|14020Y508|US14020Y5087|Capital Group Fixed Income ETF Trust|Capital Group Core Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Capital Group|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-5|TXN2-3|TXN9-8|TXN1-3|TXN4-8|2040000|||Monthly|||||2023-09-28||CGCB.NV|CGCB.SO|CGCB.EU|CGCB.TC| | | | | | | | | | ||The fund seeks to maximize your level of current income and preserve your capital by investing primarily in bonds. Normally the fund invests at least 80% of its assets in bonds and other debt securities (such as those described below), which may be represented by derivatives such as futures contracts and swaps. The fund invests in debt securities (excluding derivatives) rated BBB- or better or Baa3 or better by Nationally Recognized Statistical Ratings Organizations designated by the funds investment adviser, or in debt securities that are unrated but determined to be of equivalent quality by the funds investment adviser, in each case at the time of purchase. The fund also invests in U.S. government securities, money market instruments, and cash and cash equivalents.|N|0|N|N|416A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|25.73|0.0|0.0|0.0|25.73|25.74|0.0|0.0|0.0|25.57|25.57|25.73|25.69|0.0|0.0|0.0|25.7317|0.0|25.7317|19.77|31.66|19.77|31.66|25.72|25.75|19.77|31.66|0.0|0.0|25.72|25.78|25.8|24.4152|44758|2351603 73544|CGCP|CGCP|14020Y102|US14020Y1029|Capital Group Fixed Income ETF Trust|Capital Group Core Plus Income ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Capital Group|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-5|TXN3-6|TXN2-8|TXN1-6|TXN4-4|60184000|||Monthly|||||2022-02-24||CGCP.NV|CGCP.SO|CGCP.EU|CGCP.TC| | | | | | | | | | |1x|The funds investment objective is to provide current income and seek maximum total return, consistent with preservation of capital.|N|0|N|N|416A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|1|||22.14|22.14|0.0|0.0|22.14|22.135|22.1218|22.13|0.0|0.0|22.13|22.13|22.14|22.13|22.13|22.13|22.11|22.16|22.135|22.16|20.63|23.64|20.63|23.64|22.12|22.15|20.63|23.64|21.65|22.59|22.12|22.15|23.2|20.99|436185|73632366 76383|CGDG|CGDG|14021L109|US14021L1098|Capital Group Dividend Growers ETF|Capital Group Dividend Growers ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Capital Group|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-6|TXN1-5|TXN5-3|TXN1-7|TXN1-7|2844000|||Quarterly|||||2023-09-28||CGDG.NV|CGDG.SO|CGDG.EU|CGDG.TC| | | | | | | | | | ||The funds investment objective is to provide long-term total returns.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||26.23|0.0|0.0|0.0|26.2|26.22|26.2499|0.0|0.0|0.0|26.21|0.0|0.0|26.23|0.0|0.0|0.0|26.2499|26.23|26.2499|26.23|28.15|20.2|32.25|26.23|26.25|26.23|26.26|0.0|0.0|26.23|26.26|26.42|24.01|60694|4204348 73541|CGDV|CGDV|14020W106|US14020W1062|Capital Group Dividend Value ETF|Capital Group Dividend Value ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Capital Group|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-8|TXN2-8|TXN2-8|TXN4-3|TXN1-8|172604000|||Quarterly|||||2022-02-24||CGDV.NV|CGDV.SO|CGDV.EU|CGDV.TC| | | | | | | | | | |1x|Capital Group Dividend Value ETF is an exchange-traded fund incorporated in the USA. Capital Group Dividend Value ETF is actively managed and seeks to produce income exceeding the average yield on U.S. stocks generally and to provide an opportunity for growth of principal consistent with sound common stock investing.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||Y|0|Y||Y|1|||28.21|28.2|0.0|0.0|28.21|28.205|28.205|28.21|0.0|0.0|28.205|28.21|28.205|28.21|28.16|28.21|28.21|28.21|28.165|28.21|28.2|28.21|28.15|28.25|28.2|28.21|28.15|28.23|28.15|28.25|28.2|28.21|28.3097|23.17|1429329|273914406 68690|CGEM|CGEM|230031106|US2300311063|Cullinan Oncology Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN5-6|TXN12-8|TXN5-8|TXN5-5|42780000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||8.67|8.6|0.0|8.77|8.58|8.55|8.58|8.58|0.0|0.0|8.59|8.67|8.59|8.66|9.08|8.63|0.0|8.58|8.72|8.59|8.47|8.67|6.64|10.53|8.48|8.67|8.49|8.63|8.53|8.62|8.56|8.59|13.74|7.782|321765|51292574 763|CGEN|CGEN|M25722105|IL0010852080|Compugen Ltd|ORD||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-2|TXN5-1|TXN14-7|TXN5-3|TXN6-5|88330000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||ISR||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||0.79|0.7972|0.0|0.0|0.835|0.7806|0.79|0.7909|0.0|0.0|0.7811|0.7811|0.7814|0.799|0.0|0.7755|0.799|0.79|0.8153|0.7814|0.7514|0.8385|0.6224|0.96|0.7514|0.8269|0.7469|0.8233|0.7483|0.8296|0.7814|0.7969|1.4897|0.53|451073|84244508 73543|CGGO|CGGO|14020X104|US14020X1046|Capital Group Global Growth Equity ETF|Capital Group Global Growth Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Capital Group|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-1|TXN1-1|TXN2-5|TXN2-4|TXN4-4|92084000|||BiAnnually|||||2022-02-24||CGGO.NV|CGGO.SO|CGGO.EU|CGGO.TC| | | | | | | | | | |1x|Capital Group Global Grow Equity ETF is an exchange-traded fund incorporated in the USA. Capital Group Core Equity ETF is actively managed and seeks is to provide long-term growth of capital.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|1|||24.59|24.58|0.0|0.0|24.59|24.59|24.587|24.59|0.0|0.0|24.59|24.54|24.59|24.59|24.54|24.59|0.0|24.59|24.6|24.59|24.58|24.59|24.53|24.63|24.58|24.59|24.53|24.63|24.53|24.63|24.58|24.59|24.89|20.77|756762|133404053 73540|CGGR|CGGR|14020G101|US14020G1013|Capital Group Growth ETF|Capital Group Growth ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Capital Group|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-1|TXN1-8|TXN2-5|TXN4-8|TXN2-5|128384000|||BiAnnually|||||2022-02-24||CGGR.NV|CGGR.SO|CGGR.EU|CGGR.TC| | | | | | | | | | |1x|The funds investment objective is to provide growth of capital.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||Y|0|Y||Y|1|||26.57|26.57|0.0|0.0|26.57|26.575|26.5701|26.555|0.0|0.0|26.58|26.57|26.57|26.57|26.52|26.57|26.58|26.58|26.57|26.58|26.56|26.58|26.52|26.6|26.57|26.58|26.52|26.62|26.52|26.62|26.57|26.58|26.7845|19.4995|1214564|190729635 76384|CGIE|CGIE|14021M107|US14021M1071|Capital Group International Equity ETF|Capital Group International Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Capital Group|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-4|TXN4-3|TXN8-8|TXN3-8|TXN2-2|1564000|||BiAnnually|||||2023-09-28||CGIE.NV|CGIE.SO|CGIE.EU|CGIE.TC| | | | | | | | | | ||The funds investment objective is to provide prudent growth of capital and conservation of principal.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||26.52|0.0|0.0|0.0|26.51|26.5|26.5375|26.29|0.0|0.0|26.5|0.0|0.0|0.0|0.0|0.0|0.0|26.5338|0.0|26.5338|26.46|26.5|0.0|0.0|26.51|26.54|0.0|0.0|0.0|0.0|26.47|26.54|26.71|23.9|17097|2175563 74799|CGMS|CGMS|14020Y300|US14020Y3009|Capital Group Fixed Income ETF Trust|Capital Group U.S. Multi-Sector Income ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Capital Group|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-4|TXN4-2|TXN8-8|TXN3-5|TXN2-8|11160000|||Monthly|||||2022-10-27||CGMS.NV|CGMS.SO|CGMS.EU|CGMS.TC| | | | | | | | | | ||Capital Group US Multi-sector Income ETF is an exchange-traded fund incorporated in the USA. Capital Group Multi-sector Inocme ETF is actively managed and seeks to provide a high level of current income. Secondary investment objective is capital appreciation.|N|0|N|N|416A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||26.36|26.345|0.0|0.0|26.35|26.355|26.36|26.37|0.0|0.0|26.345|0.0|26.36|26.36|26.345|26.36|26.355|26.36|26.355|26.36|20.3|32.42|20.3|32.42|26.36|26.37|20.3|32.42|0.0|0.0|26.22|26.37|28.72|25.0|226812|16553774 74797|CGMU|CGMU|14020Y201|US14020Y2019|Capital Group Fixed Income ETF Trust|Capital Group Municipal Income ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Capital Group|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-7|TXN2-8|TXN9-8|TXN2-3|TXN2-4|15720000|||Monthly|||||2022-10-27||CGMU.NV|CGMU.SO|CGMU.EU|CGMU.TC| | | | | | | | | | ||Capital Group Municipal Income ETF is an exchange-traded fund incorporated in the USA. Capital Group Municipal Inocme ETF is actively managed and seeks to provide a high level of current income exempt from regular federal income tax, consistent with the preservation of capital.|N|0|N|N|416A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||26.62|26.625|0.0|0.0|26.62|26.625|26.625|26.625|0.0|0.0|26.61|0.0|26.625|26.62|26.6|26.625|0.0|26.64|26.625|26.64|26.53|26.68|20.46|32.8|26.62|26.63|20.46|32.8|0.0|0.0|26.59|26.67|27.0099|25.32|488318|27740259 68883|CGNT|CGNT|M25133105|IL0011691438|COGNYTE SOFTWARE LTD|COM USD0.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN5-5|TXN14-1|TXN5-5|TXN5-2|70320000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||ISR||||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||||||5.33|5.34|0.0|5.21|5.31|5.33|5.34|5.325|0.0|0.0|5.33|5.32|5.34|5.32|5.3|5.33|0.0|5.33|5.33|5.34|5.28|5.4|4.1|6.5|5.3|5.36|5.32|5.37|5.32|5.37|5.34|5.35|6.23|2.305|268934|80485429 765|CGNX|CGNX|192422103|US1924221039|Cognex Corporation|COM USD.002||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN6-3|TXN14-8|TXN6-1|TXN5-3|172140000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||USA||||50|5020|502020|50202025|Industrials|Industrial Goods and Services|Electronic and Electrical Equipment|Electronic Equipment: Gauges and Meters|N||N||||||Y|0|Y||||||38.31|38.27|0.0|38.09|38.3|38.3|38.271|38.28|0.0|0.0|38.28|38.34|38.28|38.31|38.32|38.3|38.21|38.3|38.36|38.28|38.25|38.34|35.55|40.8|38.24|38.35|38.25|40.16|38.28|38.31|38.3|38.31|59.51|34.28|1310064|212414590 5393|CGO|CGO|128118106|US1281181065|Calamos Global Total Return Fund|UNTS USD||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN5-5|TXN13-1|TXN5-3|TXN6-4|9820000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||||||0.0|9.03|0.0|0.0|0.0|9.045|9.0407|9.045|0.0|0.0|9.0|0.0|9.04|0.0|0.0|0.0|0.0|9.045|0.0|9.045|8.47|9.61|6.92|11.2|8.41|9.06|6.92|11.2|0.0|0.0|9.04|9.06|10.6|7.9|15000|5824000 76478|CGRO|CGRO|88634T394|US88634T3941|Tidal Trust II|CoreValues Alpha Greater China Growth ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Tidal ETF Services |Old Mission Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-7|TXN3-4|TXN7-8|TXN2-2|TXN1-7|375000|||Yearly|||||2023-10-17||CGRO.NV|CGRO.SO|CGRO.EU|CGRO.TC|CGRO.IV| | | | | | | | | ||Actively managed fund that invest primarily in equity securities of companies operating in high-growth sectors in Greater China|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|20.51|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|19.9524|0.0|19.9524|0.0|0.0|0.0|0.0|19.93|19.98|0.0|0.0|0.0|0.0|19.93|19.98|20.8908|19.2944|10|310220 74798|CGSD|CGSD|14020Y409|US14020Y4098|Capital Group Fixed Income ETF Trust|Capital Group Short Duration Income ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Capital Group|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-4|TXN2-1|TXN4-8|TXN3-4|TXN2-3|11700000|||Monthly|||||2022-10-27||CGSD.NV|CGSD.SO|CGSD.EU|CGSD.TC| | | | | | | | | | ||Capital Group Short Duration Income ETF is an exchange-traded fund incorporated in the USA. Capital Group Short Duration Inocme ETF is actively managed and seeks to provide current income, consistent with a short duration profile and with preservation of capital.|N|0|N|N|416A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|1|||25.33|25.3|0.0|0.0|25.33|25.325|25.3|25.33|0.0|0.0|25.33|0.0|25.32|25.33|0.0|25.32|0.0|25.3|0.0|25.3|23.56|27.07|23.56|27.07|25.3|25.34|23.56|27.07|0.0|0.0|25.3|27.07|25.94|24.97|120615|22455621 76386|CGSM|CGSM|14020Y607|US14020Y6077|Capital Group Fixed Income ETF Trust|Capital Group Short Duration Municipal Income ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Capital Group|RBC Capital Markets, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-8|TXN1-3|TXN7-8|TXN2-8|TXN1-7|1800000|||Monthly|||||2023-09-28||CGSM.NV|CGSM.SO|CGSM.EU|CGSM.TV| | | | | | | | | | ||The fund will normally invest at least 80% of its assets in, or derive at least 80% of its income from, securities that are exempt from regular federal income tax. Such securities consist of municipal bonds, which are debt obligations that pay interest that is exempt from federal income taxation, with payments made from a wide variety of sources, including governmental revenue streams and private enterprises. The fund will invest up to 20% of its assets in bonds that fund private, for-profit organizations (also known as private activity bonds) whose interest is subject to the federal alternative minimum tax.|N|0|N|N|416A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|25.417222|0.0|0.0|0.0|0.0|0.0|25.432222|0.0|0.0|0.0|25.625|0.0|25.625|0.0|0.0|0.0|0.0|25.62|25.63|0.0|0.0|0.0|0.0|25.62|25.63|25.63|24.9577|484|2610360 71984|CGTX|CGTX|19243B102|US19243B1026|Cognition Therapeutics Inc|COM USD0.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN6-1|TXN11-5|TXN6-8|TXN5-8|30420000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||1.39|1.4|0.0|0.0|1.24|1.4|1.4|1.4|0.0|0.0|1.395|1.27|1.4|1.337|1.28|0.0|1.3|1.37|1.41|1.37|1.34|1.44|1.07|1.68|1.35|1.42|1.07|1.68|1.33|1.44|1.36|1.4|3.49|0.9001|146584|23378818 73539|CGUS|CGUS|14020V108|US14020V1089|Capital Group Core Equity ETF|Capital Group Core Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Capital Group|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-6|TXN2-4|TXN5-8|TXN3-2|TXN4-8|58784000|||Quarterly|||||2022-02-24||CGUS.NV|CGUS.SO|CGUS.EU|CGUS.TC| | | | | | | | | | |1x|Capital Group Core Equity ETF is an exchange-traded fund incorporated in the USA. Capital Group Core Equity ETF is actively managed and seeks to provide current income and maximum total return, consistent with preservation of capital.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||Y|0|Y||Y|1|||27.01|27.0|0.0|0.0|27.01|27.005|27.01|26.995|0.0|0.0|27.01|26.97|27.01|26.98|26.96|27.01|0.0|27.01|27.1|27.01|27.0|27.01|26.96|27.05|27.0|27.01|27.0|27.05|26.96|27.04|27.0|27.01|27.16|22.07|621162|68256537 74325|CGV|CGV|90214Q584|US90214Q5844|Two Roads Shared Trust|Conductor Global Equity Value ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Ultimus Fund Solutions (IronHorse Capital)|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-2|TXN3-4|TXN4-8|TXN2-6|TXN1-8|8056170|||Yearly|||||2022-08-01||CGV.NV|CGV.SO|CGV.EU|CGV.TC| | | | | | | | | | ||Investment Objective: The Conductor Global Equity Value ETF (the Fund) seeks to provide long-term risk-adjusted total return|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||13.19|0.0|0.0|0.0|13.19|13.17|13.1501|13.19|0.0|0.0|0.0|0.0|13.15|13.19|0.0|0.0|0.0|13.19|0.0|13.19|12.22|14.11|0.0|0.0|13.16|13.22|12.22|14.11|0.0|0.0|13.16|13.22|14.0|12.285|25341|4254655 24528|CGW|CGW|46138E263|US46138E2634|Invesco Exchange-Traded Fund Trust II|Invesco S&P Global Water Index ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Invesco|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-3|TXN3-8|TXN4-8|TXN3-7|TXN1-6|18200000|||Yearly|||||2018-04-09||CGW.NV|CGW.SO|CGW.EU|CGW.TC|CGW.IV| | | | | | | | | |1x|The Guggenheim S&P Global Water Index Fund, seeks investment results that correspond generally to the performance, before the Funds fees and expenses, of an equity index called the S&P Global Water Index. The Fund is the first U.S.-listed global water ETF. The Index is comprised of approximately 50 equity securities selected, based on investment and other criteria, from a universe of companies listed on global developed market exchanges.|N|0|N|N|406C|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|1|||0.0|50.49|0.0|0.0|51.08|50.75|51.04|0.0|0.0|0.0|50.42|0.0|51.0|51.13|0.0|0.0|0.0|51.04|0.0|51.04|47.46|54.44|47.46|54.44|51.04|51.08|47.46|54.44|50.59|51.24|51.04|51.09|53.3|44.37|22836|11578871 73542|CGXU|CGXU|14019W109|US14019W1099|Capital Group International Focus Equity ETF|Capital Group International Focus Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Capital Group|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-2|TXN4-2|TXN6-4|TXN2-4|TXN1-2|77324000|||BiAnnually|||||2022-02-24||CGXU.NV|CGXU.SO|CGXU.EU|CGXU.TC| | | | | | | | | | |1x|Capital Group International Focus Equity ETF is an exchange-traded fund incorporated in the USA. Capital Group International Focus Equity ETF is actively managed and seeks to provide long-term growth of capital.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|1|||22.77|22.77|0.0|0.0|22.77|22.77|22.765|22.76|0.0|0.0|22.76|22.7|22.765|22.77|22.76|22.765|22.775|22.77|22.7|22.77|22.76|22.77|22.71|22.8|22.76|22.77|22.71|22.8|22.71|22.8|22.74|22.77|24.47|20.64|474430|113259282 70107|CHAA|CHAA|G1962Y102|KYG1962Y1026|Catcha Investment Corp|Class A Ordinary Shares|Special purpose acquisition company|A|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-5|TXN4-7|TXN5-8|TXN1-3|TXN3-2|2220000|||NotApplicable|||||2023-03-28||||||| | | | | | | | | |||N|0|N|N|408A|SGP|KY|||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||11.08|11.08|0.0|0.0|11.08|11.08|11.02|0.0|0.0|0.0|11.08|0.0|11.08|0.0|0.0|11.11|11.08|11.08|0.0|11.08|11.08|11.12|11.08|11.12|10.35|11.15|0.0|0.0|0.0|0.0|11.08|11.12|11.4|10.05|3885|10484662 75729|CHAT|CHAT|88636J600|US88636J6001|Tidal Trust II|Roundhill Generative AI & Technology ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Tidal ETF Services |Old Mission Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-7|TXN2-3|TXN2-8|TXN1-6|TXN3-5|2075000|||Yearly|||||2023-05-18||CHAT.NV|CHAT.SO|CHAT.EU|CHAT.TC| | | | | | | | | | ||The Fund is an actively managed exchange-traded fund (ETF) that seeks to achieve its investment objective by investing in the equity securities of exchange-listed companies globally, including those in emerging markets, which are involved in the investment theme of artificial intelligence (AI), focused on generative AI and related technologies|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||Y|0|Y||Y|1|||29.34|29.34|0.0|0.0|29.29|29.2|29.34|29.25|0.0|0.0|29.67|0.0|29.24|29.34|0.0|0.0|0.0|29.34|0.0|29.34|27.25|30.98|27.25|30.98|29.26|29.36|27.25|30.98|29.17|29.44|29.26|29.36|30.62|25.1101|24413|12183346 49655|CHAU|CHAU|25490K869|US25490K8696|Direxion Shares ETF Trust|Direxion Daily CSI 300 China A Share Bull 2X Shares|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Direxion Shares|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-6|TXN2-1|TXN5-8|TXN1-8|TXN4-4|4400000|||Quarterly|||||2015-04-16||CHAU.NV|CHAU.SO|CHAU.EU|CHAU.TC|CHAU.IV| | | | | | | | | |2x|The Fund seeks daily investment results, before fees and expenses, of 200% of the performance of the CSI 300 Index. The Fund seeks daily leveraged investment results and does not seek to achieve its stated investment objective over a period of time greater than one day. 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770|CHCO|CHCO|177835105|US1778351056|City Holding Co|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN6-5|TXN10-4|TXN5-7|TXN6-7|14830000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||||||100.99|101.0|0.0|100.99|98.93|100.94|100.9197|101.0|0.0|0.0|101.0|0.0|100.97|100.99|100.99|101.0|100.0|101.0|100.97|100.97|99.86|102.09|77.91|122.5|100.72|101.32|100.67|101.28|100.64|101.28|100.94|101.0|101.5228|82.53|88405|16647968 49967|CHCT|CHCT|20369C106|US20369C1062|Community Healthcare Trust Incorporated|Common Stock, $0.01 par value per share|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN4-5|TXN9-8|TXN3-2|TXN3-4|27260000|||Quarterly|||||2015-05-21||||||| | | | | | | | | |||N|0|N|Y|414A|USA|US|||35|3510|351020|35102010|Real Estate|Real Estate |Real Estate Investment Trusts|Health Care REITs|N||N||||||Y|0|Y||Y|2|||27.92|27.95|0.0|27.98|28.04|28.04|28.08|28.075|0.0|0.0|27.845|28.01|28.07|28.1|27.15|28.09|27.4|28.075|27.31|28.09|28.06|28.09|21.16|33.83|27.83|28.28|28.01|28.14|28.01|28.15|28.06|28.09|43.88|25.18|117399|27361227 5406|CHD|CHD|171340102|US1713401024|Church & Dwight Co., Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|M|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-4|TXN1-2|TXN5-5|TXN2-3|TXN3-6|246380000|||Quarterly|||||1990-08-15||||||| | | | | | | | | |||N|5|Y|Y|106B|USA|US|||45|4520|452010|45201030|Consumer Staples |Personal Care, Drug and Grocery Stores |Personal Care, Drug and Grocery Stores |Nondurable Household Products|N||N||||||Y|0|Y||Y|1|||95.005|95.09|0.0|94.92|95.09|95.095|95.1|95.1|0.0|0.0|95.1|95.04|95.09|94.93|95.02|95.1|94.83|95.1|95.05|95.1|95.09|95.1|89.84|101.93|95.05|95.12|95.0|95.18|94.99|95.19|95.09|95.1|100.52|78.63|1308641|339182554 772|CHDN|CHDN|171484108|US1714841087|Churchill Downs Inc|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN5-2|TXN12-4|TXN6-8|TXN6-7|74600000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||USA||||40|4050|405010|40501020|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Casinos and Gambling|N||N||||||Y|0|Y||||||119.58|119.63|0.0|119.61|119.19|119.58|119.58|119.47|0.0|0.0|118.76|0.0|119.58|119.44|119.1|119.46|0.0|119.6|0.0|119.58|118.68|120.26|111.37|126.9|118.86|120.16|119.4|119.75|119.51|119.78|119.51|119.59|300.9016|106.45|432313|70180118 5407|CHE|CHE|16359R103|US16359R1032|Chemed Corporation|Capital Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|O|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|4|0.01|0.01|5000000|1|100|TXN5-8|TXN1-6|TXN3-8|TXN1-4|TXN2-4|15060000|||Quarterly|||||1982-06-29||||||| | | | | | | | | |||N|0|Y|Y|180B|USA|US|||20|2010|201010|20101025|Health Care |Health Care |Health Care Providers|Health Care Services|N||N||||||Y|0|Y||Y|1|||569.33|570.54|0.0|578.51|569.325|569.88|578.5|578.56|0.0|0.0|576.0|567.32|578.66|566.49|569.9|578.76|571.8|578.9|577.61|578.76|578.9|578.91|542.65|612.9|573.39|583.4|577.5|579.54|577.5|580.1|578.9|578.91|590.58|481.99|68181|16830734 74193|CHEA|CHEA|G2086M107|KYG2086M1078|Chenghe Acquisition Co|CL A ORD USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN5-6|TXN14-4|TXN6-6|TXN5-6|8440000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||SGP||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|10.9501|0.0|0.0|0.0|0.0|0.0|10.95|0.0|0.0|0.0|0.0|10.9501|0.0|10.9501|0.0|0.0|0.0|0.0|10.73|11.2|0.0|0.0|0.0|0.0|10.94|10.98|11.49|10.27|1814|9988028 73965|CHEAU|CHEAU|G2086M115|KYG2086M1151|Chenghe Acquisition Co|UNIT EX 042227||R|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN5-8|TXN14-4|TXN6-6|TXN5-1|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||SGP||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|9.75|11.93|11.035|10.23|0|106331 38566|CHEF|CHEF|163086101|US1630861011|Chefs' Warehouse Inc (The)|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN6-7|TXN10-8|TXN6-3|TXN6-5|39670000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||45|4520|452010|45201010|Consumer Staples |Personal Care, Drug and Grocery Stores |Personal Care, Drug and Grocery Stores |Food Retailers and Wholesalers |N||N||||||Y|0|Y||||||27.9|27.92|0.0|27.94|27.94|27.89|27.91|27.905|0.0|0.0|27.91|27.95|27.89|27.93|27.89|27.93|27.97|27.9|0.0|27.89|27.64|28.18|21.52|34.36|27.69|27.94|27.86|27.95|27.85|27.92|27.89|27.9|39.495|17.29|259481|87727351 49543|CHEK|CHEK|M2361E179|IL0011336851|Check-Cap Ltd|SHS||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN6-3|TXN12-4|TXN6-1|TXN5-3|5850000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||ISR||||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|2.85|2.83|2.82|0.0|0.0|0.0|0.0|2.79|0.0|0.0|0.0|0.0|2.83|0.0|2.83|2.66|2.99|0.0|0.0|2.58|2.98|2.27|3.36|0.0|0.0|2.75|2.84|5.9|1.22|17072|15927547 43091|CHGG|CHGG|163092109|US1630921096|Chegg, Inc.|Common Stock, $0.001 per share|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|O|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-6|TXN4-1|TXN7-1|TXN2-7|TXN2-6|115820000|||NotApplicable|||||2013-11-13||||||| | | | | | | | | |||N|0|N|Y|142C|USA|US|||40|4020|402010|40201010|Consumer Discretionary|Consumer Products and Services|Consumer Services |Education Services|N||N||||||Y|0|Y||Y|2|||10.27|10.265|0.0|10.08|10.26|10.265|10.26|10.255|0.0|0.0|10.27|10.25|10.27|10.255|10.25|10.27|10.265|10.27|10.26|10.27|10.26|10.27|7.84|12.44|10.24|10.28|10.23|10.29|10.22|10.3|10.26|10.27|29.7475|7.32|1775040|763241963 59811|CHGX|CHGX|46144X107|US46144X1072|Investment Managers Series Trust II|AXS Change Finance ESG ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||AXS Investments|Latour Trading, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-4|TXN2-2|TXN7-8|TXN3-6|TXN3-2|3975000|||Yearly|||||2022-03-21||CHGX.NV|CHGX.SO|CHGX.EU|CHGX.TC|CHGX.IV| | | | | | | | | |1x|The Fund uses a passive management (or indexing) approach to track the performance, before fees and expenses, of the Index. The Index was developed by Change Finance, PBC, the Funds investment adviser and index provider (Change Finance or theAdviser), and uses an objective, rules-based methodology to measure the performance of an equal-weighted portfolio ofapproximately 100 large cap U.S.-listed companies that meet a diverse set of environmental, social, and governance (ESG)standards.|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|31.8301|0.0|0.0|0.0|0.0|0.0|0.0|31.82|0.0|0.0|0.0|31.9484|0.0|31.9484|31.88|32.0|0.0|0.0|31.93|31.95|28.96|35.1|0.0|0.0|31.93|31.95|32.23|26.665|6231|2470782 5410|CHH|CHH|169905106|US1699051066|Choice Hotels International, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|R|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-7|TXN2-3|TXN2-7|TXN4-1|TXN4-5|49800000|||Quarterly|||||1996-10-16||||||| | | | | | | | | |||N|0|Y|Y|128A|USA|US|||40|4050|405010|40501025|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Hotels and Motels |N||N||||||Y|0|Y||Y|1|||114.36|114.35|0.0|114.31|114.31|114.42|114.4|114.36|0.0|0.0|114.33|114.27|114.38|114.36|113.99|114.31|113.93|114.29|113.97|114.31|114.29|114.34|108.04|121.93|113.72|114.94|114.23|114.45|114.22|114.47|114.29|114.34|136.02|109.19|650377|104736265 5411|CHI|CHI|128117108|US1281171082|Calamos Convertible Opportunities and Income Fund|SH BEN INT||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN6-7|TXN14-5|TXN5-1|TXN5-3|73970000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||||||9.78|9.89|0.0|0.0|9.88|9.9|9.8882|9.9|0.0|0.0|9.86|9.8|9.86|0.0|9.89|9.87|9.84|9.8882|0.0|9.86|9.81|9.97|7.66|12.16|9.86|10.49|9.85|9.92|0.0|0.0|9.86|9.9|12.59|9.78|288574|35581164 31978|CHIC|CHIC|37950E804|US37950E8049|Global X Funds|Global X MSCI China Communication Services ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Global X|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-8|TXN1-5|TXN1-5|TXN1-5|TXN2-5|410000|||BiAnnually|||||2019-05-03||CHIC.NV|CHIC.SO|CHIC.EU|CHIC.TC|CHIC.IV| | | | | | | | | |1x|The Global X MSCI China Communication Services ETF seeks to provide investment results that correspond generally to the price and yield performance, before fees and expenses, of the MSCI China Communication Services 10/50 Index (Underlying Index). The Underlying Index tracks the performance of companies in the MSCI China Index (the Parent Index) that are classified in the communication services sector, as defined by MSCI, Inc. (MSCI) the provider of the Underlying Index.|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|14.0|14.1383|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|13.79|0.0|13.79|12.92|14.87|0.0|0.0|13.74|13.83|13.46|14.21|13.46|14.21|13.74|13.83|17.79|13.07|222|317480 32015|CHIE|CHIE|37950E507|US37950E5078|Global X Funds|Global X MSCI China Energy ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Global X|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-3|TXN2-5|TXN7-8|TXN1-2|TXN2-3|340000|||BiAnnually|||||2009-12-16||CHIE.NV|CHIE.SO|CHIE.EU|CHIE.TC|CHIE.IV| | | | | | | | | |1x|Global X MSCI China Energy ETF (CHIE) seeks to provide investment results that correspond generally to the price and yield performance, before fees and expenses, of the S-BOX China Energy Index. The Underlying Index is a free float adjusted, liquidity tested and market capitalization-weighted index that is designed to measure performance of the investable universe of companies in the Energy sector of the Chinese economy, as defined by Structured Solutions AG.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|12.620267|0.0|15.63|16.0605|0.0|0.0|0.0|15.4|0.0|0.0|15.599|0.0|0.0|0.0|16.0713|0.0|16.0713|14.99|17.26|0.0|0.0|16.05|16.1|14.99|17.26|0.0|0.0|16.05|16.1|16.58|13.86|917|2257994 62609|CHIH|CHIH|37954Y541|US37954Y5419|Global X Funds|Global X MSCI China Health Care ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Global X|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-1|TXN3-4|TXN2-8|TXN3-4|TXN3-7|620002|||BiAnnually|||||2018-12-11||CHIH.NV|CHIH.SO|CHIH.EU|CHIH.TC|CHIH.IV| | | | | | | | | |1x|The Global X MSCI China Health Care ETF seeks to provide investment results that correspond generally to the price and yield performance, before fees and expenses, of the MSCI China Health Care 10/50 Index (Underlying Index). The Underlying Index tracks the performance of companies in the MSCI China Index (the Parent Index) that are classified in the health care sector, as defined by MSCI, Inc. (MSCI) the provider of the Underlying Index.|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||0.0|14.91|0.0|0.0|0.0|14.0|14.11|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|13.9|0.0|13.9|0.0|0.0|0.0|0.0|13.9|14.13|0.0|0.0|0.0|0.0|13.9|14.13|20.0|13.04|2446|634265 31931|CHII|CHII|37950E705|US37950E7058|Global X Funds|Global X MSCI China Industrials ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Global X|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-3|TXN2-4|TXN1-5|TXN4-8|TXN2-6|430000|||BiAnnually|||||2009-12-01||CHII.NV|CHII.SO|CHII.EU|CHII.TC|CHII.IV| | | | | | | | | |1x|Global X MSCI China Industrials ETF (CHII) seeks to provide investment results that correspond generally to the price and yield performance, before fees and expenses, of the S-BOX China Industrials Index. The Underlying Index is a free float adjusted, liquidity tested and market capitalization-weighted index that is designed to measure performance of the investable universe of companies in the Industrials sector of the Chinese economy, as defined by Structured Solutions AG.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|10.4899|10.36|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.3672|0.0|10.3672|9.53|11.08|0.0|0.0|10.32|10.4|9.53|11.08|0.0|0.0|10.32|10.4|14.24|10.15|217|372204 62610|CHIK|CHIK|37954Y533|US37954Y5336|Global X Funds|Global X MSCI China Information Technology ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Global X|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-7|TXN2-2|TXN1-5|TXN3-6|TXN3-8|810002|||BiAnnually|||||2018-12-11||CHIK.NV|CHIK.SO|CHIK.EU|CHIK.TC|CHIK.IV| | | | | | | | | |1x|The Global X MSCI China Information Technology ETF seeks to provide investment results that correspond generally to the price and yield performance, before fees and expenses, of the MSCI China Information Technology 10/50 Index (Underlying Index). The Underlying Index tracks the performance of companies in the MSCI China Index (the Parent Index) that are classified in the information technology sector, as defined by MSCI, Inc. (MSCI) the provider of the Underlying Index.|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|14.68|14.8|14.69|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|14.695|0.0|14.695|14.61|14.78|0.0|0.0|14.61|14.78|0.0|0.0|0.0|0.0|14.38|15.16|19.2|13.87|1355|504699 32144|CHIM|CHIM|37950E242|US37950E2422|Global X Funds|Global X MSCI China Materials ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Global X|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-2|TXN1-7|TXN9-8|TXN2-5|TXN3-8|189971|||BiAnnually|||||2010-01-14||CHIM.NV|CHIM.SO|CHIM.EU|CHIM.TC|CHIM.IV| | | | | | | | | |1x|Global X MSCI China Materials ETF (CHIM) seeks to provide investment results that correspond generally to the price and yield performance, before fees and expenses, of the Solactive China Materials Index. The Underlying Index is a free float adjusted, liquidity tested and market capitalization-weighted index that is designed to measure performance of the investable universe of companies in the Materials sector of the Chinese economy, as defined by Structured Solutions AG.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|14.35|14.28|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|14.3239|0.0|14.3239|13.22|15.22|0.0|0.0|14.28|14.38|13.22|15.22|0.0|0.0|14.28|14.38|20.49|14.2101|973|400614 31930|CHIQ|CHIQ|37950E408|US37950E4089|Global X Funds|Global X MSCI China Consumer Discretionary ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Global X|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-6|TXN4-2|TXN9-8|TXN4-3|TXN3-5|15410000|||BiAnnually|||||2009-12-01||CHIQ.NV|CHIQ.SO|CHIQ.EU|CHIQ.TC|CHIQ.IV| | | | | | | | | |1x|Global X MSCI China Consumer Discretionary ETF (CHIQ) seeks to provide investment results that correspond generally to the price and yield performance, before fees and expenses, of the S-BOX China Consumer Index. The Underlying Index is a free float adjusted, liquidity tested and market capitalization-weighted index that is designed to measure performance of the investable universe of companies in the Consumer sector of the Chinese economy, as defined by Structured Solutions AG.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||17.5|17.56|0.0|0.0|17.56|17.6|17.579|17.56|0.0|0.0|17.75|0.0|17.56|17.64|0.0|0.0|0.0|17.55|0.0|17.55|16.36|18.72|17.36|17.84|17.55|17.59|17.35|17.84|17.36|17.84|17.55|17.59|24.02|16.4|116227|25357097 62611|CHIR|CHIR|37960A685|US37960A6854|Global X Funds|Global X MSCI China Real Estate ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Global X|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN3-3|TXN6-8|TXN2-4|TXN1-2|449879|||BiAnnually|||||2018-12-11||CHIR.NV|CHIR.SO|CHIR.EU|CHIR.TC|CHIR.IV| | | | | | | | | |1x|The Global X MSCI China Real Estate ETF (Fund) seeks to provide investment results that correspond generally to the price and yield performance, before fees and expenses, of the MSCI China Real Estate 10/50 Index (Underlying Index). The Underlying Index tracks the performance of companies in the MSCI China Index (the Parent Index) that are classified in the real estate sector, as defined by MSCI, Inc. (MSCI) the provider of the Underlying Index.|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||15.47|15.14|0.0|0.0|0.0|15.0|14.6222|0.0|0.0|0.0|0.0|0.0|14.52|0.0|0.0|15.52|0.0|14.4785|0.0|14.4785|0.0|0.0|0.0|0.0|14.47|14.64|0.0|0.0|0.0|0.0|14.47|14.64|25.4|7.42|3113|1583935 62612|CHIS|CHIS|37954Y558|US37954Y5583|Global X Funds|Global X MSCI China Consumer Staples ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Global X|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-3|TXN3-4|TXN7-8|TXN1-7|TXN3-6|520002|||BiAnnually|||||2018-12-11||CHIS.NV|CHIS.SO|CHIS.EU|CHIS.TC|CHIS.IV| | | | | | | | | |1x|The Global X MSCI China Consumer Staples ETF seeks to provide investment results that correspond generally to the price and yield performance, before fees and expenses, of the MSCI China Consumer Staples 10/50 Index (Underlying Index). The Underlying Index tracks the performance of companies in the MSCI China Index (the Parent Index) that are classified in the consumer staples sector, as defined by MSCI, Inc. (MSCI) the provider of the Underlying Index.|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||0.0|17.45|0.0|0.0|0.0|0.0|17.03|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|17.1451|0.0|17.1451|0.0|0.0|0.0|0.0|17.04|17.27|0.0|0.0|0.0|0.0|17.04|17.27|24.99|16.96|2168|1915727 62613|CHIU|CHIU|37954Y517|US37954Y5179|Global X Funds|Global X MSCI China Utilities ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Global X|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-8|TXN3-5|TXN4-8|TXN3-8|TXN3-2|160002|||BiAnnually|||||2018-12-11||CHIU.NV|CHIU.SO|CHIU.EU|CHIU.TC|CHIU.IV| | | | | | | | | |1x|The Global X MSCI China Utilities ETF (Fund) seeks to provide investment results that correspond generally to the price and yield performance, before fees and expenses, of the MSCI China Utilities 10/50 Index (Underlying Index). The Underlying Index tracks the performance of companies in the MSCI China Index (the Parent Index) that are classified in the utilities sector, as defined by MSCI, Inc. (MSCI) the provider of the Underlying Index.|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|12.9755|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|12.4233|0.0|12.4233|12.3|12.51|0.0|0.0|12.31|12.53|0.0|0.0|0.0|0.0|12.31|12.53|15.73|12.045|106|56466 31990|CHIX|CHIX|37950E606|US37950E6068|Global X Funds|Global X MSCI China Financials ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Global X|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-3|TXN4-5|TXN2-8|TXN3-1|TXN1-6|1870000|||BiAnnually|||||2009-12-11||CHIX.NV|CHIX.SO|CHIX.EU|CHIX.TC|CHIX.IV| | | | | | | | | |1x|Global X MSCI China Financials ETF (CHIX) seeks to provide investment results that correspond generally to the price and yield performance, before fees and expenses, of the S-BOX China Financials Index. The Underlying Index is a free float adjusted, liquidity tested and market capitalization-weighted index that is designed to measure performance of the investable universe of companies in the Financials sector of the Chinese economy, as defined by Structured Solutions AG.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||0.0|11.07|0.0|0.0|11.12|11.07|11.001|0.0|0.0|0.0|0.0|0.0|11.0|11.08|0.0|0.0|0.0|11.03|0.0|11.03|10.31|11.55|10.91|11.19|11.0|11.05|10.9|11.19|10.9|11.19|11.0|11.05|13.72|11.001|2226|3632809 69144|CHK|CHK|165167735|US1651677353|Chesapeake Energy Corp|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN6-1|TXN11-5|TXN6-3|TXN6-4|131070000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||USA||||60|6010|601010|60101010|Energy|Energy|Oil, Gas and Coal|Oil: Crude Producers|N||N||||||Y|0|Y||||||78.31|78.31|0.0|78.31|78.4|78.49|78.36|78.395|0.0|0.0|78.4|78.48|78.32|78.31|78.31|78.4|78.29|78.31|78.435|78.32|77.98|78.47|74.01|83.37|78.01|78.5|78.3|78.49|78.28|78.38|78.3|78.32|104.32|69.68|1595297|367520694 69145|CHKEL|CHKEL|165167180|US1651671802|Chesapeake Energy Corp|WT CL C EX||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN5-7|TXN10-3|TXN5-7|TXN6-6|131180000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|57.71|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|60.61|61.93|0.0|0.0|0.0|0.0|60.61|61.93|84.67|50.78|28|164895 69146|CHKEW|CHKEW|165167164|US1651671646|Chesapeake Energy Corp|WT CL A EX||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN6-4|TXN10-2|TXN6-1|TXN5-1|131180000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|68.6|75.61|0.0|0.0|0.0|0.0|68.6|71.17|88.99|59.65|0|1268285 69147|CHKEZ|CHKEZ|165167172|US1651671729|Chesapeake Energy Corp|WT CL B EX||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN6-1|TXN10-2|TXN5-1|TXN5-7|131180000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|64.99|66.09|0.0|0.0|0.0|0.0|64.99|66.09|86.05|56.51|45|27511 782|CHKP|CHKP|M22465104|IL0010824113|Check Point Software Technologies Ltd|ORD NIS.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN5-6|TXN12-4|TXN5-8|TXN6-3|120760000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||ISR||||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||||||145.88|145.43|0.0|145.43|145.46|145.44|145.43|145.445|0.0|0.0|145.46|145.86|145.46|145.61|145.62|145.61|145.63|145.44|145.43|145.46|145.39|145.62|113.15|179.95|145.35|145.64|145.37|145.53|145.39|145.51|145.43|145.47|147.5|117.18|546072|200211009 11126|CHMG|CHMG|164024101|US1640241014|Chemung Financial Corp|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN6-2|TXN10-3|TXN6-5|TXN5-5|4720000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||||||0.0|46.86|0.0|0.0|46.87|46.95|46.86|0.0|0.0|0.0|0.0|0.0|46.85|0.0|0.0|46.86|0.0|46.85|0.0|46.85|45.38|48.38|0.0|0.0|45.59|47.92|0.0|0.0|0.0|0.0|46.44|46.85|53.43|33.72|14696|2908074 42809|CHMI|CHMI|164651101|US1646511014|Cherry Hill Mortgage Investment Corporation|Common stock, $0.01 par value|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN3-6|TXN7-8|TXN1-8|TXN1-5|26980000|||Quarterly|||||2013-10-04||||||| | | | | | | | | |||N|0|N|Y|414A|USA|US|||30|3020|302030|30203020|Financials|Financial Services |Mortgage Real Estate Investment Trusts|Mortgage REITs: Residential|N||N||||||Y|0|Y||Y|2|||3.95|3.96|0.0|0.0|3.97|3.96|3.95|3.96|0.0|0.0|3.96|3.96|3.96|3.981|3.93|3.95|3.97|3.95|3.44|3.95|3.95|3.97|3.07|4.9|3.94|3.99|3.92|3.99|3.91|4.0|3.95|3.97|7.24|2.77|244456|78309350 59426|CHMI PRA|CHMIpA|164651200|US1646512004|Cherry Hill Mortgage Investment Corporation|8.20% Series A Cumulative Redeemable Preferred Stock|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN1-8|TXN4-8|TXN1-1|TXN4-6|2780000|||Quarterly|||||2017-08-23||||||| | | | | | | | | |||N|0|N|N|414A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|20.6|20.675|20.63|0.0|0.0|20.51|0.0|20.6|20.38|0.0|20.675|0.0|20.675|0.0|20.675|20.65|20.71|0.0|0.0|20.4|21.25|0.0|0.0|0.0|0.0|20.65|20.71|23.22|17.75|2644|1253081 62983|CHMI PRB|CHMIpB|164651309|US1646513093|Cherry Hill Mortgage Investment Corporation|8.250% Series B Fixed-to-Floating Rate Cumulative Redeemable Preferred Stock, par value $0.01 per share|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN1-3|TXN3-8|TXN2-5|TXN4-3|2000000|||Quarterly|||||2019-02-13||||||| | | | | | | | | |||N|0|N|N|414A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||21.95|0.0|0.0|0.0|0.0|22.02|21.9785|0.0|0.0|0.0|22.09|22.09|22.09|0.0|0.0|22.02|0.0|22.02|0.0|22.02|22.0|22.1|0.0|0.0|21.4|22.07|0.0|0.0|0.0|0.0|22.0|23.21|22.89|19.6915|6335|1215835 5417|CHN|CHN|169373107|US1693731077|The China Fund, Inc.|Common Stock|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN2-3|TXN8-8|TXN3-6|TXN1-1|10160000|||Yearly|||||1992-07-10||||||| | | | | | | | | |||N|0|N|N|406B|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||0.0|10.09|0.0|0.0|0.0|10.07|10.09|10.085|0.0|0.0|0.0|0.0|10.09|0.0|0.0|10.09|0.0|10.09|0.0|10.09|10.07|10.08|10.08|10.14|9.79|10.73|0.0|0.0|0.0|0.0|10.07|10.08|16.1585|9.64|18342|4783359 789|CHNR|CHNR|G2110U117|VGG2110U1176|China Natural Resources Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN6-8|TXN12-6|TXN5-4|TXN6-8|8200000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||HKG||||55|5510|551020|55102050|Basic Materials|Basic Resources|Industrial Metals and Mining|Nonferrous Metals|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|1.76|0.0|0.0|0.0|0.0|1.75|1.75|0.0|0.0|0.0|0.0|1.75|0.0|1.75|1.28|2.12|0.0|0.0|1.57|1.9|1.28|2.12|0.0|0.0|1.69|1.77|3.9|0.3255|994|9140704 76004|CHPS|CHPS|23306X886|US23306X8864|Xtrackers Semiconductor Select Equity ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN5-6|TXN12-2|TXN5-4|TXN5-3|200000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|25.53|0.0|0.0|0.0|0.0|0.0|0.0|25.53|23.69|27.09|0.0|0.0|25.19|25.79|23.69|27.09|0.0|0.0|25.44|25.53|26.085|21.71|10|9957 64509|CHPT|CHPT|15961R105|US15961R1059|ChargePoint Holdings, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|M|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-5|TXN3-4|TXN3-2|TXN4-5|TXN1-1|360050000|||NotApplicable|||||2019-09-16||||||| | | | | | | | | |||N|0|Y|Y|408A|USA|US|||60|6010|601020|60102010|Energy|Energy|Alternative Energy|Alternative Fuels |N||N||||||Y|0|Y||Y|1|||2.09|2.09|0.0|2.09|2.08|2.09|2.09|2.085|0.0|0.0|2.085|2.09|2.085|2.09|2.085|2.09|2.085|2.09|2.09|2.09|2.08|2.09|1.96|2.24|2.08|2.09|2.05|2.12|2.07|2.1|2.08|2.09|13.65|1.79|24634939|2839948693 61727|CHR|CHR|G39973204|KYG399732042|Cheer Holding Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN5-2|TXN10-7|TXN5-1|TXN6-5|10040000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||10|1010|101010|10101020|Technology|Technology|Software and Computer Services|Consumer Digital Services |N||N||||||N|0|Y||||||3.21|3.24|0.0|0.0|3.21|3.16|3.23|3.22|0.0|0.0|3.12|0.0|3.19|0.0|0.0|0.0|0.0|3.23|0.0|3.23|3.05|3.42|2.45|3.98|2.98|3.46|2.53|3.78|0.0|0.0|3.19|3.24|3.72|0.32|15554|5384042 68219|CHRD|CHRD|674215207|US6742152076|Chord Energy Corp|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN6-1|TXN14-3|TXN5-1|TXN5-4|41280000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||60|6010|601010|60101010|Energy|Energy|Oil, Gas and Coal|Oil: Crude Producers|N||N||||||Y|0|Y||||||161.39|161.42|0.0|160.85|161.5|161.5|161.37|161.34|0.0|0.0|161.33|161.4|161.385|161.98|160.92|161.47|161.33|161.45|161.49|161.385|160.47|162.39|124.7|196.29|160.6|161.72|161.17|194.77|161.29|161.52|161.29|161.48|175.2|117.05|438294|119485963 75058|CHRG|CHRG|75526L407|US75526L4077|The RBB Fund Trust|The Energy & Minerals Group EV, Solar & Battery Materials (Lithium, Nickel, Copper, Cobalt) Futures Strategy ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Element Funds|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-5|TXN1-8|TXN2-8|TXN3-4|TXN4-4|125000|||Yearly|||||2022-12-29||CHRG.NV|CHRG.SO|CHRG.EU|CHRG.TC| | | | | | | | | | ||Element EV, Solar & Battery Materials (Lithium, Nickel, Copper, Cobalt) Futures Strategy ETF (the Fund) seeks long-term capital appreciation.|N|0|N|N|416A|USA|US|COMMODITIES_AND_FUTURES|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|16.76|16.635|0.0|0.0|0.0|16.79|0.0|0.0|0.0|0.0|0.0|16.935|0.0|16.935|16.76|17.12|16.76|17.11|16.88|17.1|16.75|17.12|16.75|17.12|16.88|17.1|26.89|16.63|338|243139 48706|CHRS|CHRS|19249H103|US19249H1032|Coherus BioSciences Inc|COM USD.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN5-1|TXN11-3|TXN5-3|TXN6-8|111360000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||2.29|2.29|0.0|0.0|2.3|2.29|2.295|2.3|0.0|0.0|2.29|2.29|2.3|2.3|2.3|2.3|2.3|2.295|2.29|2.3|2.27|2.33|1.79|2.85|2.29|2.33|2.27|2.32|2.26|2.33|2.29|2.3|10.9907|1.4301|2839882|650386584 795|CHRW|CHRW|12541W209|US12541W2098|C.H. Robinson Worldwide Inc.|COM USD.1||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN6-4|TXN13-5|TXN6-5|TXN5-3|116650000|||NotApplicable|||||||||||| | | | | | | | | |||N|5|Y|N||USA||||50|5020|502060|50206010|Industrials|Industrial Goods and Services|Industrial Transportation|Trucking|N||N||||||Y|0|Y||||||85.65|85.68|0.0|85.88|85.68|85.7|85.711|85.68|0.0|0.0|85.71|85.74|85.72|85.65|85.77|85.685|85.78|85.73|85.78|85.72|85.6|85.79|80.26|90.53|85.68|85.8|85.67|85.8|85.67|0.0|85.72|85.73|108.05|78.69|1941246|276790704 5420|CHS|CHS|168615102|US1686151028|Chico's FAS, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|R|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN1-5|TXN3-8|TXN1-1|TXN3-5|123460000|||Quarterly|||||2001-04-11||||||| | | | | | | | | |||N|0|N|Y|146F|USA|US|||40|4040|404010|40401020|Consumer Discretionary|Retail |Retailers |Apparel Retailers|N||N||||||Y|0|Y||Y|2|||7.55|7.55|0.0|0.0|7.55|7.555|7.55|7.555|0.0|0.0|7.555|7.56|7.555|7.56|7.555|7.55|7.555|7.555|7.55|7.55|7.55|7.56|5.85|9.24|7.55|7.56|7.16|7.94|7.45|7.71|7.55|7.56|7.56|4.33|1716878|551961090 49219|CHSCL|CHSCL|12542R803|US12542R8034|CHS Inc|PFD B SR 4||B|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN6-5|TXN11-7|TXN6-5|TXN5-2|20700000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||26.13|0.0|0.0|0.0|26.07|26.06|26.18|26.09|0.0|0.0|26.01|26.04|26.13|0.0|0.0|26.07|26.03|26.18|0.0|26.13|26.02|0.0|0.0|0.0|25.59|26.64|0.0|0.0|0.0|0.0|26.02|26.18|26.75|24.92|29356|7900718 44923|CHSCM|CHSCM|12542R704|US12542R7044|CHS Inc|PFD B SR 3||B|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN5-6|TXN10-7|TXN5-7|TXN5-3|19700000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|25.39|0.0|25.38|0.0|25.38|25.335|25.4|0.0|0.0|0.0|0.0|25.38|25.48|0.0|0.0|25.38|25.39|0.0|25.39|0.0|0.0|0.0|0.0|24.81|25.4|0.0|0.0|0.0|0.0|25.28|25.4|25.79|23.51|21974|6105297 43736|CHSCN|CHSCN|12542R506|US12542R5063|CHS Inc|PFD B SR 2 RST||B|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN6-4|TXN10-4|TXN6-8|TXN5-6|16800000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|26.0|0.0|26.0|0.0|25.96|26.0|25.93|0.0|0.0|26.0|26.0|26.0|0.0|0.0|26.0|25.97|26.0|0.0|26.0|0.0|0.0|0.0|0.0|25.44|26.51|0.0|0.0|0.0|0.0|25.94|26.0|26.15|24.31|92664|5437873 42760|CHSCO|CHSCO|12542R308|US12542R3084|CHS Inc|PFD CL B||B|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN6-6|TXN10-2|TXN6-5|TXN6-4|21460000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||26.48|0.0|0.0|0.0|0.0|26.49|26.41|0.0|0.0|0.0|0.0|0.0|26.42|0.0|0.0|0.0|0.0|26.41|0.0|26.42|24.7|27.92|0.0|0.0|25.86|27.12|0.0|0.0|0.0|0.0|26.4|26.59|27.27|25.16|8741|4758976 798|CHSCP|CHSCP|12542R209|US12542R2094|CHS Inc|PFD 8%||B|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN6-6|TXN11-4|TXN5-1|TXN5-2|12270000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|30.65|0.0|0.0|0.0|0.0|30.36|30.52|0.0|0.0|0.0|0.0|30.45|0.0|0.0|0.0|30.65|30.73|0.0|30.45|0.0|0.0|0.0|0.0|29.8|31.42|27.5|0.0|0.0|0.0|30.41|30.8|31.15|27.3025|9671|2511380 75492|CHSN|CHSN|G2104U107|KYG2104U1076|Chanson International Holding|CL A ORD||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN5-7|TXN14-5|TXN6-4|TXN6-2|6450000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||45|4510|451020|45102020|Consumer Staples |Food, Beverage and Tobacco |Food Producers|Food Products|N||N||||||N|0|Y||||||2.83|2.9|0.0|0.0|2.84|2.92|2.8999|2.79|0.0|0.0|2.81|2.81|2.9|2.75|2.41|2.9|0.0|2.8999|2.75|2.8999|0.0|0.0|0.0|0.0|2.66|3.08|0.0|0.0|0.0|0.0|2.85|2.9|4.275|1.04|353657|56759588 36333|CHT|CHT|17133Q502|US17133Q5027|Chunghwa Telecom Co., Ltd.|American Depositary Shares (Each representing 10 Common Shares)|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN3-6|TXN3-8|TXN1-2|TXN3-1|7757450000|||Yearly|||||2011-01-07||||||| | | | | | | | | |||N|0|N|Y|306A|TWN|TW|||15|1510|151020|15102015|Telecommunications|Telecommunications|Telecommunications Service Providers |Telecommunications Services|N||N||||||N|0|Y||Y|2|||38.25|38.25|0.0|0.0|38.29|38.21|38.25|38.285|0.0|0.0|38.2|37.97|38.29|38.2|38.2|38.25|38.11|38.245|0.0|38.25|38.24|38.25|29.53|46.85|38.09|38.37|38.21|38.28|38.2|38.29|38.24|38.25|41.58|35.445|88078|26726378 32083|CHTR|CHTR|16119P108|US16119P1084|Charter Communications Inc|CL A NEW||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN6-4|TXN12-7|TXN6-8|TXN6-1|147920000|||NotApplicable|||||||||||| | | | | | | | | |||N|1|Y|N||USA||||15|1510|151020|15102010|Telecommunications|Telecommunications|Telecommunications Service Providers |Cable Television Services|N||N||||||Y|0|Y||||||398.95|399.17|0.0|399.05|399.31|399.1|398.96|399.205|0.0|0.0|399.21|398.83|399.14|399.27|399.08|398.655|398.9|399.05|399.18|399.14|398.76|399.58|375.1|425.94|398.83|399.69|398.75|417.64|399.04|399.31|399.04|399.26|458.3|302.21|907500|261444266 40384|CHUY|CHUY|171604101|US1716041017|Chuy's Holdings Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN5-3|TXN13-8|TXN5-8|TXN5-3|17350000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4050|405010|40501040|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Restaurants and Bars|N||N||||||Y|0|Y||||||36.7|36.23|0.0|36.29|36.29|36.3|36.24|36.22|0.0|0.0|36.33|0.0|36.29|36.2|0.0|0.0|0.0|36.27|0.0|36.29|35.89|36.69|27.8|44.71|35.97|36.63|36.14|36.42|36.1|36.3|36.22|36.3|43.165|27.7|73575|25363433 24939|CHW|CHW|12811L107|US12811L1070|Calamos Global Dynamic Income Fund|CLOSED END||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN6-5|TXN10-7|TXN6-5|TXN6-5|63830000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||||||5.64|5.63|0.0|5.64|5.63|5.63|5.63|5.635|0.0|0.0|5.64|0.0|5.63|5.63|0.0|5.635|0.0|5.63|0.0|5.63|5.34|5.91|4.36|6.88|5.62|5.9|5.61|5.66|0.0|5.65|5.63|5.64|6.54|5.07|158765|33793862 63825|CHWY|CHWY|16679L109|US16679L1098|Chewy, Inc.|Class A common stock, par value $0.01 per share|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-4|TXN4-2|TXN2-2|TXN1-1|TXN3-5|119140000|||NotApplicable|||||2019-06-14||||||| | | | | | | | | |||N|0|N|Y|180B|USA|US|||40|4040|404010|40401030|Consumer Discretionary|Retail |Retailers |Specialty Retailers |N||N||||||Y|0|Y||Y|2|||18.7|18.71|0.0|19.11|18.7|18.705|18.71|18.705|0.0|0.0|18.71|18.705|18.71|18.68|18.68|18.71|18.695|18.71|18.7|18.71|18.7|18.71|18.7|22.89|18.7|18.71|18.67|18.74|18.7|18.74|18.7|18.71|52.88|16.53|11959752|1193548579 60931|CHX|CHX|15872M104|US15872M1045|Championx Corp|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN6-1|TXN14-6|TXN5-8|TXN6-2|194800000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||60|6010|601010|60101030|Energy|Energy|Oil, Gas and Coal|Oil Equipment and Services|N||N||||||Y|0|Y||||||29.45|29.45|0.0|29.38|29.47|29.47|29.45|29.445|0.0|0.0|29.445|29.46|29.46|29.45|29.46|29.46|29.455|29.46|29.5|29.46|29.42|29.49|22.54|35.81|29.46|29.48|29.4|35.08|29.39|0.0|29.46|29.47|38.37|23.66|1120342|334930943 5423|CHY|CHY|12811P108|US12811P1084|Calamos Convertible and High Income Fund|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN6-2|TXN14-5|TXN6-4|TXN6-4|76010000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||||||0.0|11.16|0.0|11.37|11.12|11.16|11.1799|11.13|0.0|0.0|11.17|0.0|11.16|11.16|0.0|11.16|0.0|11.16|0.0|11.16|10.73|11.73|8.76|13.67|10.6|11.89|11.14|11.21|0.0|0.0|11.16|11.18|12.93|9.97|174077|37597043 5426|CI|CI|125523100|US1255231003|The Cigna Group|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|T|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-5|TXN3-8|TXN5-6|TXN2-4|TXN4-7|292620000|||Quarterly|||||1982-04-01||||||| | | | | | | | | |||N|5|Y|Y|410B|USA|US|||20|2010|201010|20101020|Health Care |Health Care |Health Care Providers|Health Care Management Services|N||N||||||Y|0|Y||Y|1|||262.82|262.89|0.0|262.93|262.91|262.93|262.92|262.88|0.0|0.0|262.67|262.7|262.93|262.92|262.91|262.91|262.83|262.94|262.91|262.91|262.84|262.91|247.87|279.17|262.71|262.99|262.65|263.12|262.64|263.13|262.84|262.91|340.11|240.5|3027834|383549024 5427|CIA|CIA|174740100|US1747401008|Citizens, Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN4-5|TXN5-8|TXN2-7|TXN3-2|49550000|||NotApplicable|||||2002-08-22||||||| | | | | | | | | |||N|0|N|Y|410A|USA|US|||30|3030|303010|30301010|Financials|Insurance|Life Insurance|Life Insurance|N||N||||||Y|0|Y||Y|2|||3.66|3.68|0.0|0.0|3.68|3.57|3.69|3.68|0.0|0.0|3.68|3.44|3.68|3.49|3.17|3.66|0.0|3.69|3.68|3.66|3.65|3.69|2.82|4.5|3.54|3.69|3.6|3.73|3.58|3.75|3.65|3.69|4.0|1.64|68340|14486266 5428|CIB|CIB|05968L102|US05968L1026|BanColombia S.A.|American Depositary Shares (Each representing four Preference Shares)|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN2-7|TXN4-8|TXN3-3|TXN3-6|452120000|||Quarterly|||||1995-07-26||||||| | | | | | | | | |||N|0|N|Y|402B|COL|CO|||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||Y|2|||27.95|27.98|0.0|28.0|28.0|28.0|27.96|28.0|0.0|0.0|28.15|28.22|28.0|27.97|28.02|27.98|28.12|27.97|28.0|27.98|27.97|28.01|21.73|34.79|27.93|28.21|27.92|28.04|27.92|28.05|27.97|28.01|30.89|21.55|185222|70902943 50262|CIBR|CIBR|33734X846|US33734X8469|First Trust Exchange-Traded Fund II First Trust NASDAQ Cybersecurity ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN6-2|TXN11-7|TXN6-8|TXN5-4|109650000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||50.76|50.74|0.0|50.3|50.76|50.76|50.77|50.77|0.0|0.0|50.76|50.78|50.69|50.76|50.78|50.76|50.75|50.76|50.48|50.69|48.07|52.97|47.47|53.64|50.45|51.0|48.07|52.97|0.0|0.0|50.7|50.77|50.7899|37.06|332218|100464642 50444|CID|CID|92647N881|US92647N8810|VictoryShares International High Div Volatility Wtd ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN5-6|TXN13-5|TXN6-6|TXN5-7|600000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|30.95|0.0|0.0|0.0|0.0|0.0|0.0|31.01|0.0|0.0|0.0|0.0|30.96|0.0|31.01|0.0|0.0|0.0|0.0|30.95|31.01|0.0|0.0|0.0|0.0|30.95|31.01|32.32|28.4301|793|265392 805|CIEN|CIEN|171779309|US1717793095|Ciena Corporation|Common Stock, $0.01 par value per share|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-2|TXN3-1|TXN5-4|TXN2-2|TXN3-6|147840000|||NotApplicable|||||2013-12-23||||||| | | | | | | | | |||N|0|Y|Y|306A|USA|US|||15|1510|151010|15101010|Telecommunications|Telecommunications|Telecommunications Equipment|Telecommunications Equipment|N||N||||||Y|0|Y||Y|1|||46.94|46.945|0.0|46.85|46.94|46.94|46.95|46.95|0.0|0.0|46.95|46.91|46.94|46.94|46.83|46.95|46.95|46.95|46.94|46.95|46.94|46.95|43.91|49.4|46.91|46.98|46.88|46.98|46.89|46.98|46.94|46.95|54.25|39.94|1272204|382023346 5430|CIF|CIF|59318T109|US59318T1097|MFS Intermediate High Income Fund|Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN1-4|TXN6-8|TXN1-5|TXN3-3|18920000|||Monthly|||||1988-07-22||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||0.0|1.66|0.0|0.0|0.0|1.65|1.655|1.65|0.0|0.0|1.66|0.0|1.66|0.0|1.61|1.66|0.0|1.66|0.0|1.66|1.65|1.66|1.33|2.0|1.65|1.67|1.62|1.69|0.0|0.0|1.65|1.66|1.89|1.47|14409|11736736 68386|CIFR|CIFR|17253J106|US17253J1060|Cipher Mining Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN5-2|TXN13-2|TXN6-7|TXN6-2|254660000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101010|10101010|Technology|Technology|Software and Computer Services|Computer Services|N||N||||||Y|0|Y||||||3.0|3.0|0.0|3.0|3.0|3.0|3.0|3.0|0.0|0.0|2.995|3.0|2.99|3.005|3.005|3.0|3.005|3.0|3.0|2.99|2.97|3.04|2.38|3.73|2.97|3.03|2.96|3.03|2.96|3.02|3.0|3.01|5.295|0.3818|12808716|377658201 68387|CIFRW|CIFRW|17253J114|US17253J1144|Cipher Mining Inc|WT EXP 102225||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-4|TXN5-8|TXN14-2|TXN5-5|TXN5-5|254560000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y|C|||||0.4225|0.3975|0.0|0.0|0.0|0.4729|0.465|0.0|0.0|0.0|0.46|0.465|0.5|0.0|0.0|0.0|0.0|0.5|0.0|0.5|0.0|0.0|0.0|0.0|0.4|0.51|0.0|0.0|0.0|0.0|0.46|0.5|1.06|0.0386|117932|4528423 5431|CIG|CIG|204409601|US2044096012|Companhia Energética de Minas Gerais-CEMIG|American Depositary Shares (Each representing 1 Preferred Shares)|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN4-7|TXN7-6|TXN2-1|TXN2-2|1465520000|||BiAnnually|||||2001-09-18||||||| | | | | | | | | |||N|0|N|Y|180A|BRA|BR|||65|6510|651010|65101010|Utilities|Utilities|Electricity|Alternative Electricity|N||N||||||Y|0|Y||Y|2|||2.19|2.2|0.0|0.0|2.19|2.195|2.195|2.2|0.0|0.0|2.2|2.2|2.195|2.19|2.2|2.19|2.195|2.19|2.19|2.19|2.19|2.2|1.7|2.69|2.19|2.2|2.17|2.22|2.19|2.21|2.19|2.2|2.75|1.89|1966218|911376567 24793|CIG C|CIG.C|204409882|US2044098828|Companhia Energética de Minas Gerais-CEMIG|American Depositary Shares (each representing one Common Share)|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN3-6|TXN2-8|TXN1-3|TXN4-1|735850000|||BiAnnually|||||2007-06-12||||||| | | | | | | | | |||N|0|N|Y|180A|BRA|BR|||65|6510|651010|65101010|Utilities|Utilities|Electricity|Alternative Electricity|N||N||||||N|0|Y||Y|2|||3.09|0.0|0.0|0.0|3.11|3.08|3.11|3.05|0.0|0.0|3.09|0.0|0.0|0.0|0.0|3.09|0.0|3.05|3.1|3.09|3.03|3.14|2.4|3.85|3.04|3.12|2.4|3.85|0.0|0.0|3.04|3.78|4.3999|2.8|42327|10891711 1616|CIGI|CIGI|194693107|CA1946931070|Colliers International Group Inc|COM NPV SVTG||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN6-4|TXN13-4|TXN5-2|TXN5-7|45850000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CAN||||35|3510|351010|35101015|Real Estate|Real Estate |Real Estate Investment and Services Development|Real Estate Services|N||N||||||Y|0|Y||||||107.57|106.9|0.0|0.0|107.23|107.62|107.01|106.965|0.0|0.0|107.07|0.0|106.98|106.34|107.11|107.28|0.0|106.86|107.01|106.98|105.93|108.02|83.22|131.28|106.6|107.29|106.7|107.21|106.61|106.98|106.86|106.98|129.95|83.38|52513|23498365 5432|CII|CII|09256A109|US09256A1097|BlackRock Enhanced Capital and Income Fund, Inc.|Common Stock|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN2-1|TXN8-8|TXN2-8|TXN3-2|44120000|||Monthly|||||2004-04-28||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||18.69|18.66|0.0|18.61|18.61|18.6|18.59|18.67|0.0|0.0|18.72|18.72|18.6|18.61|18.69|18.6|18.6|18.59|0.0|18.6|18.59|18.6|14.31|22.8|17.32|19.91|18.56|18.63|18.57|18.62|18.59|18.6|19.39|16.41|62429|17400568 5433|CIK|CIK|224916106|US2249161066|Credit Suisse Asset Management Income Fund Inc|Common Stock|Closed end fund|P|N|N|A|Y|Y|Y|Y|Y|||Brendan E. Cryan and Company, L.L.C.|CRYN|0235|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-5|TXN1-7|TXN2-8|TXN2-5|TXN3-4|52650000|||Monthly|||||2006-05-11||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||2.84|2.85|0.0|2.84|2.84|2.845|2.85|2.83|0.0|0.0|2.84|2.84|2.85|0.0|2.84|2.84|2.85|2.85|0.0|2.85|2.69|2.99|2.84|2.85|2.63|2.92|2.82|2.87|0.0|0.0|2.84|2.85|3.08|2.43|272143|47108750 50445|CIL|CIL|92647N840|US92647N8406|VictoryShares International Volatility Wtd ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN5-3|TXN13-7|TXN5-1|TXN5-4|2200000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|39.7467|0.0|0.0|0.0|0.0|0.0|39.7889|0.0|0.0|0.0|0.0|39.7467|0.0|39.7889|0.0|0.0|0.0|0.0|39.73|39.85|0.0|0.0|0.0|0.0|39.73|39.85|41.31|35.991|316|390455 26283|CIM|CIM|16934Q208|US16934Q2084|Chimera Investment Corporation|Common Stock|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|6|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-2|TXN3-3|TXN9-4|TXN3-4|TXN1-6|226760000|||Quarterly|||||2015-04-07||||||| | | | | | | | | |||N|0|N|Y|414A|USA|US|||30|3020|302030|30203020|Financials|Financial Services |Mortgage Real Estate Investment Trusts|Mortgage REITs: Residential|N||N||||||Y|0|Y||Y|2|||5.34|5.34|0.0|5.34|5.35|5.34|5.345|5.345|0.0|0.0|5.34|5.35|5.345|5.34|5.35|5.34|5.345|5.34|5.35|5.34|5.34|5.35|4.12|6.54|5.34|5.35|5.31|5.38|5.31|5.35|5.34|5.35|7.81|4.45|2020930|455601021 54141|CIM PRA|CIMpA|16934Q307|US16934Q3074|Chimera Investment Corporation|8.00% Series A Cumulative Redeemable Preferred Stock|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN2-8|TXN5-8|TXN2-6|TXN1-1|5800000|||Quarterly|||||2016-10-17||||||| | | | | | | | | |||N|0|N|N|414A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|20.32|0.0|0.0|0.0|20.3|20.2661|20.3|0.0|0.0|20.3|20.5|20.27|0.0|0.0|20.27|0.0|20.2661|0.0|20.27|20.23|20.27|0.0|0.0|20.12|20.68|0.0|0.0|0.0|0.0|20.23|20.27|22.36|17.33|80020|2921828 56737|CIM PRB|CIMpB|16934Q406|US16934Q4064|Chimera Investment Corporation|8.00% Series B Fixed-to-Floating Rate Cumulative Redeemable Preferred Stock|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN2-1|TXN7-8|TXN2-6|TXN3-7|13000000|||Quarterly|||||2017-03-01||||||| | | | | | | | | |||N|0|N|N|414A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||23.42|23.22|0.0|0.0|0.0|23.45|23.515|23.48|0.0|0.0|23.45|23.08|23.45|23.57|0.0|23.48|0.0|23.515|0.0|23.48|23.48|23.58|18.12|28.72|23.24|24.04|18.12|28.72|0.0|0.0|23.48|23.58|23.59|17.98|39565|9223858 61824|CIM PRC|CIMpC|16934Q505|US16934Q5053|Chimera Investment Corporation|7.75% Series C Fixed-to-Floating Rate Cumulative Redeemable Preferred Stock, $0.01 par value per share|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN1-4|TXN1-5|TXN2-6|TXN1-1|10400000|||Quarterly|||||2018-09-25||||||| | | | | | | | | |||N|0|N|N|414A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||19.89|19.62|0.0|0.0|19.48|19.88|19.8801|19.84|0.0|0.0|19.85|0.0|19.88|19.85|0.0|19.8801|19.87|19.8801|0.0|19.8801|19.81|19.91|19.85|19.94|19.48|19.99|0.0|0.0|0.0|0.0|19.81|19.91|20.9864|16.71|20882|5934782 62844|CIM PRD|CIMpD|16934Q604|US16934Q6044|Chimera Investment Corporation|8.00% Series D Fixed-to-Floating Rate Cumulative Redeemable Preferred Stock|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN2-1|TXN3-8|TXN2-5|TXN1-8|8000000|||Quarterly|||||2019-01-24||||||| | | | | | | | | |||N|0|N|N|414A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||22.94|22.95|0.0|0.0|0.0|23.26|23.2304|22.93|0.0|0.0|23.0|22.95|23.23|0.0|0.0|23.25|0.0|23.25|20.655|23.25|23.05|23.27|17.75|28.08|22.69|23.67|17.75|28.08|0.0|0.0|23.05|23.27|23.26|18.14|31733|6495042 808|CINF|CINF|172062101|US1720621010|Cincinnati Financial Corp|COM USD2||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN5-1|TXN11-8|TXN6-3|TXN6-4|156910000|||NotApplicable|||||||||||| | | | | | | | | |||N|5|Y|N||USA||||30|3030|303020|30302025|Financials|Insurance|Non-life Insurance|Property and Casualty Insurance|N||N||||||Y|0|Y||||||103.75|103.81|0.0|103.18|103.79|103.86|103.79|103.81|0.0|0.0|103.82|103.61|103.77|103.78|103.82|103.81|103.67|103.77|103.47|103.77|103.71|103.88|97.06|109.33|103.74|103.85|103.72|103.88|103.71|103.84|103.77|103.81|130.66|95.01|596409|156541953 71969|CING|CING|17248W204|US17248W2044|Cingulate Inc|COM USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN5-3|TXN14-2|TXN5-4|TXN5-4|940000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y|C|||||0.0|5.05|0.0|0.0|0.0|5.08|5.13|5.36|0.0|0.0|5.35|5.1|5.1|5.03|0.0|0.0|0.0|5.13|0.0|5.1|3.91|6.32|3.91|6.32|4.93|5.36|4.95|5.3|4.9|5.27|5.08|5.1|6.9199|0.275|33717|96307869 72806|CINGW|CINGW|17248W113|US17248W1137|Cingulate Inc|WT EXP 120326||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-2|TXN5-4|TXN12-5|TXN5-2|TXN6-5|17380000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y|C|||||0.0|0.0|0.0|0.0|0.0|0.0273|0.0274|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0274|0.0|0.0274|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0251|0.0252|0.44|0.0025|383|1155566 72305|CINT|CINT|G21307106|KYG213071064|CI&T Inc|Class A Common Shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN2-1|TXN8-8|TXN4-6|TXN3-6|20050000|||NotApplicable|||||2021-11-10||||||| | | | | | | | | |||N|0|N|Y|144D|BRA|KY|||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||Y|2|||5.14|5.0|0.0|0.0|4.99|4.93|4.98|5.005|0.0|0.0|4.88|4.93|5.0|4.95|4.93|5.09|0.0|5.02|0.0|5.09|4.97|5.03|3.9|6.1|4.65|5.36|3.9|6.1|0.0|0.0|4.97|5.03|8.6|3.3397|62629|26968394 43914|CIO|CIO|178587101|US1785871013|City Office REIT, Inc.|Common Stock, $0.01 par value per share|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-7|TXN2-4|TXN9-7|TXN1-5|TXN2-1|39940000|||Quarterly|||||2014-04-15||||||| | | | | | | | | |||N|0|N|Y|414A|USA|CA|||35|3510|351020|35102030|Real Estate|Real Estate |Real Estate Investment Trusts|Office REITs|N||N||||||N|0|Y||Y|2|||5.32|5.32|0.0|0.0|5.33|5.32|5.33|5.315|0.0|0.0|5.32|5.3|5.32|5.29|5.28|5.33|5.28|5.31|5.32|5.33|5.31|5.32|4.12|6.49|5.27|5.38|5.28|5.35|5.29|5.34|5.31|5.32|10.235|3.455|327729|90285328 54076|CIO PRA|CIOpA|178587200|US1785872003|City Office REIT, Inc.|6.625% Series A Cumulative Redeemable Preferred Stock|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN3-8|TXN1-5|TXN4-2|TXN4-6|4480000|||Quarterly|||||2016-10-05||||||| | | | | | | | | |||N|0|N|N|414A|USA|CA|||||||||||N||N||||||N|0|Y||Y|2|||0.0|16.32|0.0|0.0|0.0|16.6|16.6926|16.77|0.0|0.0|16.54|0.0|16.6|0.0|0.0|16.6|0.0|16.6926|15.796874|16.6|16.59|16.78|0.0|0.0|16.6|17.12|0.0|0.0|0.0|0.0|16.58|16.78|22.51|14.16|8937|2770307 71938|CION|CION|17259U204|US17259U2042|CION Investment Corporation|Common Stock|Business development company|A|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-6|TXN4-2|TXN4-6|TXN1-7|TXN3-8|54300000|||Quarterly|||||2021-10-05||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||10.79|10.8|0.0|10.74|10.8|10.8|10.78|10.8|0.0|0.0|10.8|10.79|10.785|10.77|10.78|10.78|10.8|10.78|10.77|10.78|10.78|10.8|8.31|13.18|10.77|10.8|10.76|10.81|10.77|10.81|10.78|10.8|11.75|8.99|327502|44319735 74569|CIRC|CIRC|46654Q401|US46654Q4010|JPMorgan Sustainable Consumption ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN6-4|TXN14-4|TXN5-2|TXN5-3|230000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|51.4153|0.0|0.0|0.0|0.0|0.0|0.0|51.4153|0.0|0.0|0.0|0.0|50.95|51.91|0.0|0.0|0.0|0.0|51.34|51.47|54.95|45.61|50|9744 73012|CISO|CISO|15672X102|US15672X1028|CISO Global Inc|COM USD0.00001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-5|TXN6-7|TXN13-4|TXN6-5|TXN6-7|180180000|||NotApplicable|||||||||||| | 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Transportation|N||N||||||N|0|Y||||||0.51|0.51|0.0|0.0|0.51|0.511|0.5106|0.0|0.0|0.0|0.51|0.51|0.5148|0.0|0.0|0.0|0.0|0.511|0.0|0.511|0.3961|0.612|0.3961|0.612|0.4951|0.5439|0.3961|0.612|0.0|0.0|0.505|0.5148|5.2|0.3622|147111|86637940 73565|CITE|CITE|G1995D109|KYG1995D1097|Cartica Acquisition Corp|CL A ORD USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN5-2|TXN13-4|TXN5-2|TXN6-7|8960000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment 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043028||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-2|TXN5-6|TXN12-4|TXN6-1|TXN6-7|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.1066|0.1|0.1028|0.0|0.0|0.0|0.0|0.0999|0.0|0.0|0.0|0.0|0.0999|0.0|0.0999|0.0|0.0|0.0|0.0|0.0|0.15|0.0|0.0|0.0|0.0|0.1097|0.1192|0.1999|0.0052|11901|3072418 1486|CIVB|CIVB|178867107|US1788671071|Civista Bancshares Inc|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN6-5|TXN13-5|TXN6-2|TXN6-1|15700000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|16.86|16.66|16.81|0.0|0.0|0.0|0.0|0.0|16.87|0.0|0.0|0.0|0.0|16.81|0.0|16.87|16.45|17.18|0.0|0.0|16.5|17.11|0.0|0.0|0.0|0.0|16.75|16.87|23.4|14.0225|25195|6679034 39360|CIVI|CIVI|17888H103|US17888H1032|Civitas Resources, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|A|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-6|TXN3-7|TXN6-4|TXN2-2|TXN2-4|93770000|||Quarterly|||||2017-05-01||||||| | | | | | | | | |||N|0|N|Y|134C|USA|US|||60|6010|601010|60101010|Energy|Energy|Oil, Gas and Coal|Oil: Crude Producers|N||N||||||Y|0|Y||Y|2|||69.3|69.245|0.0|69.22|69.29|69.29|69.25|69.215|0.0|0.0|69.325|69.29|69.24|69.26|69.23|69.24|69.29|69.19|69.11|69.24|69.24|69.25|53.25|84.69|69.12|69.37|69.13|69.31|69.1|69.34|69.24|69.25|86.578|53.56|929420|226802428 5448|CIX|CIX|20563P101|US20563P1012|CompX International Inc.|Class A Common stock|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN2-6|TXN9-8|TXN4-4|TXN1-5|12310000|||Quarterly|||||2011-01-24||||||| | | | | | | | | |||N|0|N|N|180A|USA|US|||40|4020|402020|40202025|Consumer Discretionary|Consumer Products and Services|Household Goods and Home Construction|Household Equipment and Products|N||N||||||N|0|Y||Y|2|||21.66|23.0|0.0|21.1|0.0|21.75|22.8699|21.49|0.0|0.0|22.62|0.0|21.81|22.867|0.0|25.24|21.99|21.99|0.0|21.99|0.0|0.0|21.66|21.99|20.73|22.86|0.0|0.0|0.0|0.0|21.66|21.99|27.82|16.25|7456|1802652 46077|CIZ|CIZ|92647N816|US92647N8166|VictoryShares Developed Enhanced Volatility Wtd ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN6-6|TXN12-7|TXN5-2|TXN6-5|1350000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|28.9|28.8101|0.0|0.0|0.0|0.0|0.0|28.9|0.0|0.0|0.0|0.0|28.9|0.0|28.9|0.0|0.0|0.0|0.0|28.82|28.95|0.0|0.0|0.0|0.0|28.82|28.95|32.17|28.17|2651|1513536 5449|CIZN|CIZN|174715102|US1747151025|Citizens Holding Co|COM 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U|CLBR.U|G2283U126|KYG2283U1269|Colombier Acquisition Corp. 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Ltd|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN5-4|TXN14-7|TXN6-3|TXN5-7|197370000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||ISR||||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||||||8.47|8.465|0.0|0.0|8.46|8.465|8.46|8.465|0.0|0.0|8.465|8.47|8.48|8.46|8.44|8.465|8.34|8.47|8.47|8.48|8.43|8.56|8.43|8.5|8.44|8.48|8.43|8.5|8.43|8.5|8.45|8.47|8.6|3.96|906963|78401338 68056|CLBTW|CLBTW|M2197Q115|IL0011794984|Cellebrite DI Ltd|WT EXP||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN6-2|TXN13-2|TXN6-1|TXN6-3|193010000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||ISR||||||||||||N||N||||||N|0|Y|C|||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|1.35|0.0|1.35|0.0|0.0|0.0|0.0|1.35|1.53|0.0|0.0|0.0|0.0|1.35|1.44|1.5999|0.5004|999|6234667 75452|CLCO|CLCO|G2415A113|BMG2415A1137|Cool Company Ltd.|Common Shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|8|M|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN2-4|TXN1-8|TXN2-7|TXN4-3|53690000|||Quarterly|||||2023-03-17||||||| | | | | | | | | |||N|0|N|Y|200A|BMU|BM|||50|5020|502060|50206030|Industrials|Industrial Goods and Services|Industrial Transportation|Marine Transportation|N||N||||||N|0|Y||Y|2|||12.49|12.49|0.0|12.49|12.5|12.49|12.5|12.5|0.0|0.0|12.49|12.51|12.5|12.5|12.49|12.49|12.51|12.49|12.5|12.49|12.49|12.51|9.65|15.31|12.39|12.62|12.47|12.53|12.47|12.53|12.49|12.51|14.5|11.0|513896|20139347 72199|CLDI|CLDI|320703101|US3207031010|Calidi Biotherapeutics, Inc.|Common Stock|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN3-5|TXN2-8|TXN3-5|TXN4-2|35440000|||NotApplicable|||||2022-11-17||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y|C|Y|2|||2.12|2.01|0.0|2.2|2.02|2.02|2.02|1.92|0.0|0.0|1.92|2.01|2.02|1.81|1.95|2.02|1.96|1.96|0.0|1.96|1.55|2.45|1.96|2.0|1.84|2.02|1.8|2.45|0.0|0.0|1.96|2.0|5.0|1.5|106957|3457896 72200|CLDI WS|CLDI.WS|320703119|US3207031192|Calidi Biotherapeutics, Inc.|: Redeemable Warrants, each whole warrant exercisable for one share of Common Stock at an exercise price of $11.50 per share|Operating company|C|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN11-7|TXN3-8|TXN2-8|TXN3-3|TXN2-7|35440000|||NotApplicable|||||2022-11-17||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||||||||||N||N||||||N|0|Y||N||||0.0|0.0425|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0816|0.0|0.0|0.0|0.0816|0.0816|0.0|0.0816|0.0|0.0|0.041|0.0799|0.0425|0.1375|0.0|0.0|0.0|0.0|0.0425|0.1375|0.24|0.02|400|1453193 68687|CLDL|CLDL|25460G625|US25460G6254|Direxion Shares ETF Trust|Direxion Daily Cloud Computing Bull 2X Shares|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Direxion Shares|Susquehanna Securities, 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LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-5|TXN4-6|TXN2-5|TXN3-1|TXN4-3|48860000|||Quarterly|||||2010-04-16||||||| | | | | | | | | |||N|0|N|Y|414A|USA|US|||35|3510|351020|35102015|Real Estate|Real Estate |Real Estate Investment Trusts|Hotel and Lodging REITs|N||N||||||Y|0|Y||Y|2|||10.22|10.215|0.0|9.83|10.22|10.22|10.22|10.215|0.0|0.0|10.22|10.23|10.21|10.2|10.24|10.21|10.24|10.21|10.22|10.21|10.21|10.22|7.72|12.55|10.13|10.32|10.2|10.25|10.2|10.23|10.21|10.22|14.38|8.92|224445|56473302 71047|CLDT PRA|CLDTpA|16208T201|US16208T2015|Chatham Lodging Trust|6.625% Series A Cumulative Redeemable Preferred Shares of Beneficial Interest|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|8|J|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN2-5|TXN1-5|TXN1-6|TXN1-4|4800000|||Quarterly|||||2021-07-01||||||| | | | | | | | | |||N|0|N|N|414A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|20.35|20.425|20.2|0.0|0.0|20.5|0.0|20.5|0.0|0.0|20.54|20.42|20.54|0.0|20.54|20.2|20.65|20.47|20.64|20.14|21.05|0.0|0.0|0.0|0.0|19.06|20.9|23.3099|18.48|2078|2214583 27391|CLDX|CLDX|15117B202|US15117B2025|Celldex Therapeutics Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN6-1|TXN14-8|TXN5-2|TXN6-8|54690000|||NotApplicable|||||||||||| | | | 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Services|N||N||||||N|0|Y|C|||||0.158|0.155|0.0|0.0|0.155|0.156|0.1554|0.1538|0.0|0.0|0.155|0.155|0.1588|0.155|0.0|0.0|0.0|0.1538|0.155|0.1538|0.1176|0.18|0.1176|0.192|0.1401|0.168|0.1176|0.18|0.0|0.0|0.15|0.1576|2.72|0.1302|304011|207899345 5467|CLF|CLF|185899101|US1858991011|Cleveland-Cliffs Inc.|Common Shares|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-3|TXN3-8|TXN3-8|TXN3-6|TXN1-4|504860000|||Quarterly|||||1960-07-27||||||| | | | | | | | | |||N|0|Y|Y|130D|USA|US|||55|5510|551020|55102010|Basic Materials|Basic Resources|Industrial Metals and Mining|Iron and 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Equipment|N||N||||||Y|0|Y||||||25.48|26.15|0.0|25.53|26.15|26.18|26.11|26.14|0.0|0.0|26.17|26.04|26.14|25.89|26.13|26.17|26.05|26.13|26.19|26.14|25.89|26.41|20.29|32.1|25.93|26.39|26.08|26.2|26.1|26.19|26.14|26.15|121.0|22.91|556219|73706061 60630|CLGN|CLGN|M2R51X116|IL0004960188|CollPlant Biotechnologies Ltd|ORD SHS||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN5-7|TXN11-4|TXN6-6|TXN6-3|11190000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||ISR||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||0.0|5.23|0.0|0.0|0.0|5.23|5.23|0.0|0.0|0.0|5.23|0.0|5.19|0.0|0.0|5.25|0.0|5.23|0.0|5.23|0.0|0.0|0.0|0.0|4.89|5.59|0.0|0.0|0.0|0.0|5.23|5.25|13.97|4.7|7255|3156405 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Streicher & Co. 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110725||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-4|TXN5-1|TXN11-2|TXN5-3|TXN5-6|128410000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y|D|||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.02|0.0|0.0|0.0|0.0|0.0|0.031|0.0499|0.207|0.0247|0|1369568 72091|CLNR|CLNR|45409B297|US45409B2979|IndexIQ ETF Trust|IQ Cleaner Transport ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||IndexIQ |Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-8|TXN4-2|TXN2-8|TXN1-3|TXN2-4|275000|||Quarterly|||||2021-10-21||CLNR.NV|CLNR.SO|CLNR.EU|CLNR.TC|CLNR.IV| | | | | | | | | |1x|The Fund seeks investment results that correspond (before fees and expenses) generally to the price and yield performane of its underlying Index, the IQ Candriam Cleaner Transport Index.|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|21.485|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|21.46|0.0|21.46|19.88|22.93|0.0|0.0|21.43|21.49|19.88|22.93|0.0|0.0|21.43|21.49|23.66|18.01|56|399362 75105|CLOA|CLOA|092528504|US0925285043|BlackRock AAA CLO ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN5-4|TXN11-8|TXN5-2|TXN5-5|1200000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|51.175|51.175|0.0|0.0|0.0|0.0|0.0|51.18|0.0|0.0|0.0|0.0|51.175|0.0|51.18|0.0|0.0|0.0|0.0|51.17|51.23|0.0|0.0|0.0|0.0|51.17|51.18|51.425|50.0701|12966|2140848 71616|CLOE|CLOE|18915E105|US18915E1055|Clover Leaf Capital Corp|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN6-7|TXN10-2|TXN6-4|TXN6-1|5520000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|11.6|0.0|0.0|0.0|0.0|0.0|11.48|0.0|0.0|0.0|0.0|11.6|0.0|11.6|0.0|0.0|0.0|0.0|11.26|11.6|0.0|0.0|0.0|0.0|11.45|11.6|12.3|10.775|503|697573 71617|CLOER|CLOER|18915E121||Clover Leaf Capital Corp. Rights|||D|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-5|TXN6-6|TXN13-3|TXN5-1|TXN5-3|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||50|5020|502040|50204000|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Industrial|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0955|0.0|0.0|0.0|0.0|0.0955|0.0|0.0955|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.071|0.13|0.25|0.0501|300|4239271 71202|CLOEU|CLOEU|18915E204|US18915E2046|Clover Leaf Capital Corp|UNITS||R|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN5-7|TXN13-6|TXN5-2|TXN6-6|14510000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.29|12.59|12.31|10.51|0|27927 74187|CLOI|CLOI|92189H748|US92189H7483|VanEck ETF Trust|VanEck CLO ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||VanEck Vectors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-8|TXN3-7|TXN8-8|TXN4-3|TXN2-3|4700000|||Monthly|||||2022-06-23||CLOI.NV|CLOI.SO|CLOI.EU|CLOI.TC| | | | | | | | | | ||The Fund is an actively managed exchange-traded fund (ETF) that, during normal market conditions, seeks to invest in approximately 25-30 U.S. exchange-traded common stocks of companies that are listed on U.S. national securities exchanges and trade contemporaneously with the shares of the Fund (the Shares). 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Services|N||N||||||Y|0|Y||||||0.9974|0.9974|0.0|0.9929|0.9975|0.998|0.9929|0.9971|0.0|0.0|0.9949|0.9972|0.9974|0.9987|0.9929|0.9929|0.9984|0.9929|0.9957|0.9974|0.9731|1.02|0.7516|1.19|0.9765|0.9985|0.9756|1.02|0.9916|0.9974|0.9929|0.9974|1.63|0.7078|9164238|1563358011 76026|CLOX|CLOX|81752T486|US81752T4866|Series Portfolios Trust|Panagram AAA CLO ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Panagram Structured Asset Management|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-1|TXN3-8|TXN7-8|TXN1-4|TXN2-4|1800000|||Monthly|||||2023-07-19||CLOX.NV|CLOX.SO|CLOX.EU|CLOX.TC| | | | | | | | | | ||The Fund is an actively managed exchange-traded fund (ETF) that pursues its investment objective by investing, under normal circumstances, at least 80% of its net assets (plus any borrowings made for investment purposes) in collateralized loan obligations (CLOs) that are rated, at the time of purchase, AAA or an equivalent rating by a nationally recognized statistical rating organization (NRSRO) (or, if unrated, securities deemed by Panagram Structured Asset Management, LLC (the Adviser or Panagram) to be of comparable quality).|N|0|N|N|416A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|25.42|0.0|25.43|0.0|25.37|25.4108|25.4|0.0|0.0|0.0|0.0|25.37|25.43|0.0|0.0|0.0|25.373|25.43|25.373|0.0|0.0|0.0|0.0|25.36|25.44|0.0|0.0|0.0|0.0|25.36|25.44|25.52|25.021|17610|2186225 75141|CLOZ|CLOZ|81752T528|US81752T5285|Series Portfolios Trust|Panagram BBB-B CLO ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Panagram Structured Asset Management|Jane Street Capital, 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USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN6-5|TXN11-2|TXN6-4|TXN5-5|24620000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||Y|0|Y||||||5.94|6.07|0.0|0.0|6.1|6.09|6.05|6.085|0.0|0.0|6.04|0.0|6.1|0.0|0.0|6.08|0.0|6.09|0.0|6.1|5.95|6.23|4.65|7.44|5.96|6.21|6.0|6.17|5.98|6.21|6.06|6.1|11.0|4.05|78548|25624816 13687|CLRB|CLRB|15117F807|US15117F8077|Cellectar Biosciences Inc|COM USD0.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN5-8|TXN11-4|TXN6-4|TXN6-8|12290000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||2.5|2.52|0.0|0.0|2.53|2.51|2.51|2.52|0.0|0.0|2.51|2.51|2.5|2.52|2.53|0.0|0.0|2.5|2.52|2.5|2.41|2.6|1.94|3.12|2.41|2.53|2.48|2.56|2.47|2.57|2.5|2.53|3.15|1.25|120720|54127889 74115|CLRC|CLRC|G2311X100|KYG2311X1007|ClimateRock|CL A COM 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USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-2|TXN5-3|TXN14-7|TXN6-6|TXN6-7|23960000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||15|1510|151010|15101010|Telecommunications|Telecommunications|Telecommunications Equipment|Telecommunications Equipment|N||N||||||N|0|Y||||||0.8|0.8031|0.0|0.0|0.0|0.7903|0.8103|0.7959|0.0|0.0|0.7952|0.7903|0.8194|0.0|0.0|0.0|0.0|0.8103|0.0|0.8103|0.7552|0.8607|0.64|0.9864|0.7422|0.8742|0.7624|0.842|0.7647|0.8465|0.792|0.8194|2.65|0.635|41835|93150836 5480|CLS|CLS|15101Q108|CA15101Q1081|Celestica Inc.|Subordinate Voting Shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|8|R|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-2|TXN1-5|TXN5-4|TXN3-8|TXN2-4|119360000|||NotApplicable|||||1998-06-30||||||| | | | | | | | | |||N|0|N|Y|114D|CAN|CA|||10|1010|101020|10102015|Technology|Technology|Technology Hardware and Equipment|Electronic Components|N||N||||||Y|0|Y||Y|2|||26.89|26.85|0.0|26.5|26.86|26.86|26.86|26.85|0.0|0.0|26.89|26.97|26.855|26.965|26.885|26.86|26.96|26.85|26.85|26.86|26.85|26.86|20.74|32.96|26.8|26.92|26.81|26.89|26.8|26.89|26.85|26.86|28.39|10.5|1202223|267360007 71122|CLSA|CLSA|30151E616|US30151E6169|Cabana Target Leading Sector Aggressive ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN5-8|TXN12-8|TXN5-4|TXN5-3|2100000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|19.361|0.0|0.0|0.0|19.34|0.0|19.36|0.0|0.0|19.35|19.34|19.361|19.32|19.36|19.18|19.57|0.0|0.0|19.36|19.4|19.36|19.4|0.0|0.0|19.36|19.4|19.74|17.85|14928|26054408 71120|CLSC|CLSC|30151E632|US30151E6326|Cabana Target Leading Sector Conservative ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN6-4|TXN14-5|TXN6-2|TXN5-3|1330000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|19.6133|0.0|0.0|0.0|19.62|0.0|19.62|0.0|0.0|0.0|0.0|19.61|0.0|19.62|0.0|0.0|0.0|0.0|19.57|19.66|0.0|0.0|0.0|0.0|19.61|19.62|21.6176|19.061|4778|15378088 53185|CLSD|CLSD|185063104|US1850631045|Clearside Biomedical Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN6-6|TXN12-6|TXN6-4|TXN6-5|62410000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||1.119|1.115|0.0|0.0|0.0|1.11|1.111|1.11|0.0|0.0|1.11|0.0|1.12|0.0|0.0|1.1|1.09|1.11|0.0|1.12|1.07|1.16|0.848|1.34|1.07|1.15|1.05|1.18|1.07|1.16|1.11|1.12|1.85|0.650101|161585|35828085 73529|CLSE|CLSE|89834G760|US89834G7604|Convergence Long/Short Equity ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-4|TXN2-6|TXN6-6|TXN1-6|TXN3-3|1850000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|16.93|0.0|0.0|0.0|16.9|16.8699|0.0|0.0|0.0|16.89|0.0|16.81|0.0|0.0|16.89|16.89|16.93|16.93|16.93|15.8|18.03|16.86|16.9|16.88|16.93|16.88|16.93|0.0|0.0|16.87|16.93|17.1977|14.33|9137|1272160 55141|CLSK|CLSK|18452B209|US18452B2097|CleanSpark Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN6-4|TXN14-8|TXN5-1|TXN6-1|152640000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||||||8.86|8.865|0.0|8.91|8.86|8.865|8.865|8.865|0.0|0.0|8.865|8.87|8.87|8.87|8.87|8.865|8.87|8.865|8.86|8.87|8.85|8.87|8.1|10.91|8.86|8.87|8.83|8.91|8.83|8.91|8.86|8.87|9.37|1.74|44819039|2329176189 71121|CLSM|CLSM|30151E624|US30151E6243|Cabana Target Leading Sector Moderate ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN6-7|TXN13-2|TXN5-7|TXN5-3|5150000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|20.27|0.0|0.0|0.0|20.29|20.309|0.0|0.0|0.0|20.29|0.0|20.2911|0.0|0.0|20.28|20.29|20.309|0.0|20.2911|20.09|20.51|0.0|0.0|20.28|20.31|20.28|20.31|0.0|0.0|20.28|20.31|22.2|19.491|19045|21154552 72012|CLST|CLST|14888L101|US14888L1017|Catalyst Bancorp Inc|COM USD0.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN5-4|TXN12-8|TXN6-8|TXN5-5|4770000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|11.08|11.1|0.0|0.0|0.0|11.09|0.0|11.09|0.0|0.0|0.0|0.0|11.0|0.0|11.0|0.0|0.0|0.0|0.0|10.65|11.75|0.0|0.0|0.0|0.0|10.91|11.1|13.13|9.26|7520|1618739 62773|CLVR|CLVR|186760203|CA1867602031|Clever Leaves Holdings Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN6-7|TXN11-2|TXN5-3|TXN5-8|1750000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||COL||||20|2010|201030|20103020|Health Care |Health Care |Pharmaceuticals and Biotechnology|Cannabis Producers|N||N||||||N|0|Y||||||2.27|2.2|0.0|0.0|0.0|2.28|2.2901|0.0|0.0|0.0|0.0|0.0|2.25|2.34|0.0|0.0|0.0|2.27|0.0|2.27|2.05|2.48|0.0|0.0|2.11|2.42|1.86|2.74|0.0|0.0|2.2|2.36|5.94|0.154|35279|33335482 62774|CLVRW|CLVRW|186760112|CA1867601124|Clever Leaves Holdings Inc|Wrrt||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-7|TXN5-6|TXN14-6|TXN6-2|TXN5-6|1730000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||COL||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0122|0.012|0.0|0.0|0.0|0.0121|0.0121|0.0121|0.0|0.0|0.0|0.0|0.0122|0.0|0.0122|0.0|0.0|0.0|0.0|0.0|0.18|0.0|0.0|0.0|0.0|0.0121|0.0124|0.077|0.01|11757|3814100 62118|CLVT|CLVT|G21810109|JE00BJJN4441|Clarivate Plc|Ordinary Shares|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-2|TXN1-5|TXN5-1|TXN3-1|TXN2-8|663920000|||NotApplicable|||||2019-05-14||||||| | | | | | | | | |||N|0|Y|Y|114D|GBR|JE|||10|1010|101010|10101010|Technology|Technology|Software and Computer Services|Computer Services|N||N||||||Y|0|Y||Y|1|||8.01|8.02|0.0|0.0|8.025|8.03|8.01|8.02|0.0|0.0|8.025|8.03|8.015|8.03|8.025|8.02|8.025|8.01|8.03|8.02|8.01|8.02|7.46|8.5|8.0|8.02|7.99|8.05|7.98|8.03|8.01|8.02|11.99|6.07|7264280|1430925613 70897|CLVT PRA|CLVTpA|G21810208|JE00BM91P354|Clarivate Plc|5.25% Series A Mandatory Convertible Preferred Shares|Operating company|G|N|N|N|Y|Y|Y|Y|Y|5|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN1-5|TXN5-8|TXN3-2|TXN1-6|14380000|||Quarterly|||||2021-06-17|2024-06-01|||||| | | | | | | | | |||N|0|N|N|114D|GBR|JE|||||||||||N||N||||||N|0|Y||Y|2|||0.0|33.33|0.0|0.0|0.0|32.54|33.19|0.0|0.0|0.0|0.0|0.0|33.49|0.0|0.0|33.31|0.0|33.49|0.0|33.31|33.31|35.93|0.0|0.0|32.73|33.48|0.0|0.0|0.0|0.0|33.31|33.49|51.0133|27.27|4000|12831673 29643|CLW|CLW|18538R103|US18538R1032|Clearwater Paper Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|P|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN2-7|TXN2-8|TXN3-8|TXN3-7|16560000|||NotApplicable|||||2008-12-05||||||| | | | | | | | | |||N|0|N|Y|138A|USA|US|||55|5510|551010|55101015|Basic Materials|Basic Resources|Industrial Materials|Paper|N||N||||||Y|0|Y||Y|2|||36.72|36.66|0.0|36.66|36.71|36.66|36.69|36.71|0.0|0.0|36.48|36.81|36.71|36.39|35.08|36.69|36.5|36.71|36.66|36.69|36.64|36.71|28.11|45.14|36.56|36.79|36.56|36.78|36.64|36.81|36.64|36.71|40.6452|29.22|111218|26607204 842|CLWT|CLWT|G32030127|VGG320301275|Euro Tech Holdings Co Ltd|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN5-6|TXN11-5|TXN6-6|TXN6-4|7720000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||HKG||||50|5020|502020|50202025|Industrials|Industrial Goods and Services|Electronic and Electrical Equipment|Electronic Equipment: Gauges and Meters|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|1.52|0.0|0.0|0.0|0.0|0.0|1.52|0.0|0.0|0.0|0.0|1.52|0.0|1.52|1.49|1.59|0.0|0.0|1.39|1.61|0.0|0.0|0.0|0.0|1.49|1.52|1.89|1.01|2150|3581685 5481|CLX|CLX|189054109|US1890541097|The Clorox Company|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|B|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-4|TXN4-3|TXN1-8|TXN2-8|TXN3-6|124060000|||Quarterly|||||1968-08-01||||||| | | | | | | | | |||N|5|Y|Y|124C|USA|US|||45|4520|452010|45201030|Consumer Staples |Personal Care, Drug and Grocery Stores |Personal Care, Drug and Grocery Stores |Nondurable Household Products|N||N||||||Y|0|Y||Y|1|||143.89|143.79|0.0|143.99|143.78|143.79|143.805|143.82|0.0|0.0|143.82|143.98|143.79|143.96|143.79|143.81|143.99|143.8|143.81|143.81|143.82|143.83|135.9|152.72|143.75|143.87|143.69|143.91|143.68|143.92|143.82|143.83|178.205|114.685|1101516|315894576 4989|CM|CM|136069101|CA1360691010|Canadian Imperial Bank of Commerce|Common Shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|8|A|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-5|TXN2-5|TXN2-5|TXN3-4|TXN4-7|931080000|||Quarterly|||||1997-11-13||||||| | | | | | | | | |||N|0|N|Y|402A|CAN|CA|||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||Y|2|||42.07|42.05|0.0|42.06|42.06|42.07|42.054|42.065|0.0|0.0|42.06|42.08|42.055|42.055|42.12|42.05|41.93|42.05|42.055|42.05|42.05|42.06|32.13|50.93|42.02|42.07|42.02|42.09|42.02|42.09|42.05|42.06|46.925|34.35|1190421|293854572 5483|CMA|CMA|200340107|US2003401070|Comerica Incorporated|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|A|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-3|TXN4-4|TXN8-2|TXN1-5|TXN2-6|131870000|||Quarterly|||||1991-04-02||||||| | | | | | | | | |||N|5|Y|Y|402B|USA|US|||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||Y|1|||49.46|49.46|0.0|49.34|49.46|49.45|49.435|49.46|0.0|0.0|49.46|49.44|49.43|49.45|49.44|49.45|49.44|49.44|49.47|49.45|49.44|49.46|49.38|49.49|49.39|49.5|49.43|49.5|49.44|49.51|49.44|49.46|77.34|28.4|2389682|690683032 67502|CMAX|CMAX|14171W103|US14171W1036|CareMax Inc|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-8|TXN5-1|TXN13-3|TXN6-3|TXN5-7|112100000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201010|20101010|Health Care |Health Care |Health Care Providers|Health Care Facilities|N||N||||||Y|0|Y||||||0.7436|0.7449|0.0|0.0|0.75|0.7472|0.749|0.7429|0.0|0.0|0.7439|0.7439|0.749|0.0|0.7744|0.7449|0.0|0.7439|0.7449|0.749|0.7219|0.7665|0.612|0.9015|0.7249|0.764|0.7239|0.7705|0.7194|0.7661|0.7439|0.7464|4.8875|0.64|337840|110837313 67503|CMAXW|CMAXW|14171W111|US14171W1119|CareMax Inc|WT EXP 060826||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-6|TXN5-7|TXN14-7|TXN5-4|TXN5-5|112100000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.024|0.09|0.024|0.09|0.03|0.09|0.024|0.09|0.0|0.0|0.03|0.075|1.02|0.0225|0|1066618 63929|CMBM|CMBM|G17766109|KYG177661090|Cambium Networks Corp|ORD USD 0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN6-3|TXN12-3|TXN5-6|TXN6-2|27670000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||15|1510|151010|15101010|Telecommunications|Telecommunications|Telecommunications Equipment|Telecommunications Equipment|N||N||||||Y|0|Y||||||4.78|4.73|0.0|4.76|4.74|4.75|4.73|4.755|0.0|0.0|4.74|4.74|4.75|0.0|4.75|4.77|4.77|4.73|0.0|4.75|4.69|4.82|3.69|5.81|4.7|4.81|4.71|4.78|4.71|4.77|4.74|4.75|23.26|3.53|250214|38799410 39610|CMBS|CMBS|46429B366|US46429B3666|iShares Trust|iShares CMBS ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-7|TXN1-6|TXN5-8|TXN3-6|TXN4-1|8050000|||Monthly|||||2012-02-16||CMBS.NV|CMBS.SO|CMBS.EU|CMBS.TC|CMBS.IV| | | | | | | | | |1x|The iShares Barclays CMBS Bond Fund seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the Barclays Capital U.S. CMBS (ERISA Only) Index. The Barclays Capital U.S. CMBS (ERISA Only) Index measures the performance of the Erisa-eligible commercial mortgage-backed securities (CMBS) market. The Underlying Index measures the performance of investment-grade commercial mortgage-backed securities (CMBS), which are classes of securities (known as certificates) that represent interests in pools of commercial mortgages. The Underlying Index includes only CMBS that are Employee Retirement Income Security Act of 1974, as amended (ERISA) eligible under the underwriters exemption, which will deem ERISA eligible the certificates with the first priority of principal repayment, as long as certain conditions are met, including the requirement that the certificates be rated in one of the three highest rating categories by Fitch, Inc., Moodys Investors Service, Inc. or Standard & Poors Ratings Services.|N|0|N|N|412C|USA|US|FIXED_INCOME|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||45.62|45.66|0.0|0.0|45.66|45.69|45.65|45.62|0.0|0.0|45.71|45.61|45.71|45.54|0.0|45.61|0.0|45.66|45.66|45.66|45.65|45.73|0.0|0.0|45.65|45.73|42.89|45.73|0.0|0.0|45.65|45.73|47.8683|44.19|26978|18635868 5485|CMC|CMC|201723103|US2017231034|Commercial Metals Company|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|R|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN2-6|TXN9-6|TXN3-7|TXN2-7|117010000|||Quarterly|||||1982-08-03||||||| | | | | | | | | |||N|0|N|Y|154B|USA|US|||55|5510|551020|55102010|Basic Materials|Basic Resources|Industrial Metals and Mining|Iron and Steel|N||N||||||Y|0|Y||Y|2|||46.15|46.155|0.0|46.16|46.16|46.155|46.15|46.165|0.0|0.0|46.18|46.22|46.16|46.15|46.24|46.15|46.27|46.15|46.18|46.15|46.15|46.17|35.53|56.93|46.09|46.23|46.13|46.21|46.09|46.17|46.15|46.17|58.09|39.85|540522|221648363 73279|CMCA|CMCA|G1889L100|KYG1889L1005|Capitalworks Emerging Markets Acquisition Corp|CL A COM USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN5-5|TXN14-5|TXN6-4|TXN6-2|10000000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|10.83|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.83|0.0|10.83|0.0|0.0|0.0|0.0|10.56|11.12|0.0|0.0|0.0|0.0|10.78|10.9|11.77|9.895|60000|20201799 72708|CMCAU|CMCAU|G1889L118|KYG1889L1187|Capitalworks Emerging Markets Acquisition Corp|UNITS||R|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN5-1|TXN11-4|TXN6-1|TXN6-1|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|7.74|14.22|0.0|0.0|9.03|12.63|7.74|14.22|0.0|0.0|9.67|11.85|11.43|9.914|0|112271 73280|CMCAW|CMCAW|G1889L126|KYG1889L1260|Capitalworks Emerging Markets Acquisition Corp|WT EXP 111926||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-3|TXN6-6|TXN14-6|TXN5-7|TXN6-8|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.02|0.0|0.0|0.0|0.0|0.0|0.0234|0.0|0.0|0.0|0.0|0.0234|0.0|0.0234|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0234|0.03|0.3347|0.0139|100000|3221329 76206|CMCI|CMCI|92189Y501|US92189Y5015|VanEck CMCI Commodity Strategy ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-3|TXN4-5|TXN1-5|TXN1-6|TXN1-4|100000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|24.715|0.0|0.0|0.0|25.3|24.94|0.0|0.0|0.0|0.0|0.0|0.0|25.359|0.0|0.0|0.0|24.715|0.0|24.715|24.57|24.85|24.57|24.85|24.57|24.85|24.57|24.86|24.57|24.85|24.64|24.79|26.135|24.715|19|19616 10938|CMCL|CMCL|G1757E113|JE00BF0XVB15|Caledonia Mining Corporation Plc|Common Shares|Operating company|A|N|Y|A|Y|Y|Y|Y|Y|||Brendan E. Cryan and Company, L.L.C.|CRYN|0235|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-5|TXN2-7|TXN4-8|TXN1-4|TXN2-2|19190000|||Quarterly|||||2017-07-27||||||| | | | | | | | | |||N|0|N|N|130E|GBR|GB|||55|5510|551030|55103025|Basic Materials|Basic Resources|Precious Metals and Mining|Gold Mining|N||N||||||Y|0|Y||Y|2|||11.94|12.2|0.0|0.0|12.05|12.15|12.108|12.1|0.0|0.0|12.19|11.72|12.14|12.17|0.0|12.14|12.15|12.1|0.0|12.15|11.72|12.27|12.12|12.14|11.86|12.28|9.37|15.04|0.0|0.0|12.12|12.14|17.58|9.48|17960|16095800 44112|CMCM|CMCM|163075203|US1630752038|Cheetah Mobile Inc.|American Depositary Shares, each representing fifty (50) Class A Ordinary Shares|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN3-2|TXN8-8|TXN3-1|TXN4-6|480610000|||Adhoc|||||2022-09-02||||||| | | | | | | | | |||N|0|N|Y|108B|CHN|KY|||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||Y|2|||1.97|1.96|0.0|0.0|1.99|1.94|2.005|1.935|0.0|0.0|1.95|1.95|2.0|1.97|0.0|2.02|0.0|2.005|0.0|2.02|1.96|2.04|0.0|0.0|1.93|2.08|1.6|2.34|0.0|0.0|1.96|2.04|3.58|1.64|54088|6057612 846|CMCO|CMCO|199333105|US1993331057|Columbus McKinnon Corp|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN6-4|TXN13-6|TXN5-7|TXN5-2|28740000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502040|50204000|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Industrial|N||N||||||N|0|Y||||||36.44|36.31|0.0|36.56|36.61|36.31|36.54|36.62|0.0|0.0|36.31|36.31|36.58|36.59|36.72|36.31|36.43|36.55|0.0|36.58|36.17|37.0|28.15|44.61|36.23|36.92|36.46|36.64|36.44|36.6|36.53|36.57|42.87|30.05|128476|21692339 847|CMCSA|CMCSA|20030N101|US20030N1019|Comcast Corp|CL A COM USD1||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN6-5|TXN11-7|TXN6-6|TXN5-6|4015640000|||NotApplicable|||||||||||| | | | | | | | | |||N|1|Y|N||USA||||15|1510|151020|15102010|Telecommunications|Telecommunications|Telecommunications Service Providers |Cable Television Services|N||N||||||Y|0|Y||||||43.05|43.05|0.0|43.05|43.05|43.05|43.055|43.06|0.0|0.0|43.06|43.06|43.08|43.06|43.05|43.05|43.06|43.06|43.055|43.08|43.05|43.07|40.67|45.62|43.05|43.07|43.02|43.09|43.02|43.09|43.05|43.07|47.455|33.78|22757537|4328033419 8403|CMCT|CMCT|125525584|US1255255846|Creative Media & Community Trust Corporation|DHD BEN INT USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN6-4|TXN13-7|TXN6-7|TXN5-2|22790000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||35|3510|351020|35102030|Real Estate|Real Estate |Real Estate Investment Trusts|Office REITs|N||N||||||Y|0|Y||||||0.0|0.0|0.0|0.0|0.0|3.65|3.65|0.0|0.0|0.0|0.0|3.8|3.71|0.0|0.0|0.0|0.0|3.65|0.0|3.65|0.0|0.0|0.0|0.0|3.52|4.0|0.0|0.0|0.0|0.0|3.7|3.85|6.025|3.5801|7993|5422551 75682|CMDT|CMDT|72201R593|US72201R5937|PIMCO ETF Trust|PIMCO Commodity Strategy Active Exchange-Traded Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||PIMCO|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-8|TXN3-3|TXN1-8|TXN2-5|TXN2-1|7725000|||Quarterly|||||2023-05-10||CMDT.NV|CMDT.SO|CMDT.EU|CMDT.TC|CMDT.IV| | | | | | | | | ||PIMCO Commodity Strategy Active ETF is an actively managed fund incorporated in the USA. The Fund seeks to achieve its investment objective by investing, under normal circumstances, in commodity-linked derivative instruments backed by an actively managed and diversified portfolio of fixed income instruments of varying maturities.|N|0|N|N|416A|USA|US|COMMODITIES_AND_FUTURES|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||26.16|26.41|0.0|26.16|26.16|26.56|26.21|0.0|0.0|0.0|26.16|26.16|26.17|26.16|26.16|26.17|26.16|26.18|26.16|26.18|26.1|26.34|26.18|26.33|26.18|26.26|26.18|26.34|26.18|26.34|26.18|26.26|28.26|24.07|14440|1556312 60861|CMDY|CMDY|46431W598|US46431W5985|iShares U.S. ETF Trust|iShares Bloomberg Roll Select Commodity Strategy ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-3|TXN3-4|TXN1-4|TXN1-7|TXN3-1|5600000|||Yearly|||||2018-04-05||CMDY.NV|CMDY.SO|CMDY.EU|CMDY.TC|CMDY.IV| | | | | | | | | ||The iShares Bloomberg Roll Select Commodity Strategy ETF (the Fund) seeks to provide exposure, on a total return basis, to a diversified group of commodities.|N|0|N|N|416A|USA|US|COMMODITIES_AND_FUTURES|ACTIVE|||||||||N||N||||||Y|0|Y||Y|1|||49.991|0.0|0.0|0.0|50.16|50.2|50.015|50.03|0.0|0.0|0.0|50.63|50.03|50.036|0.0|0.0|0.0|50.0148|50.57|50.0148|49.95|50.1|49.96|50.04|49.99|50.04|49.95|50.07|49.95|50.04|49.99|50.04|57.3997|48.0|29202|11869211 5487|CME|CME|12572Q105|US12572Q1058|CME Group Inc|CL A COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN5-3|TXN14-7|TXN6-6|TXN6-8|359990000|||NotApplicable|||||||||||| | | | | | | | | |||N|5|Y|N||USA||||30|3020|302020|30202015|Financials|Financial Services |Investment Banking and Brokerage Services |Investment Services|N||N||||||Y|0|Y||||||219.76|219.83|0.0|219.79|219.77|219.76|219.83|219.79|0.0|0.0|219.79|219.76|219.78|219.76|219.81|219.78|221.76|219.81|219.75|219.78|219.63|219.95|219.68|219.94|219.67|219.85|219.64|219.91|219.76|219.87|219.79|219.83|223.8|166.545|1385518|363924667 25786|CMF|CMF|464288356|US4642883569|iShares Trust|iShares California Muni Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-8|TXN3-5|TXN4-8|TXN3-6|TXN3-7|46400000|||Monthly|||||2008-11-06||CMF.NV|CMF.SO|CMF.EU|CMF.TC|CMF.IV| | | | | | | | | |1x|The iShares California Muni Bond ETF seeks results that correspond generally to the price and yield performance, before fees and expenses, of the California municipal bond sector of the U.S. municipal bond market as defined by the S&P California AMT-Free Municipal Bond Index. THE UNDERLYING INDEX MEASURES THE PERFORMANCE OF THE investment GRADE SEGMENT OF THE CALIFORNIA MUNICIPAL BOND MARKET. AS OF MAY 31, 2009, THERE WERE 1,381 ISSUES IN THE UNDERLYING INDEX. The Underlying Index is a subset of the S&P National AMT-Free Municipal Bond Index and is comprised of municipal bonds issued in the State of California. The Underlying Index includes municipal bonds from issuers in the State of California that are California state or local governments or agencies whose interest payments are exempt from U.S. federal and California state income taxes and the federal alternative minimum tax (AMT) as determined by the Index Provider in accordance with its methodology. Each bond must have a rating of at least BBB-by Standard & Poors, Baa3 by Moodys Investors Service, Inc., or BBB-by Fitch Inc. Each bond must be denominated in U.S. dollars. Each bond in the Underlying Index must be a constituent of an offering where the offerings original offering amount was at least $100 million. The bond must have a minimum par amount of $25 million to be eligible for inclusion. To remain in the Underlying Index, bonds must maintain a minimum par amount greater than or equal to $25 million as of the next rebalancing date. In addition, each bond must have a minimum term to maturity and/or pre-refunded or call date greater than or equal to one calendar month to be included in the Underlying Index. The Underlying Index is a market value weighted index, and the securities in the Underlying Index are updated after the close on the last business day of each month.|N|0|N|N|412C|USA|US|FIXED_INCOME|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||56.95|56.95|0.0|0.0|56.95|56.94|56.92|56.95|0.0|0.0|56.94|0.0|56.93|56.94|0.0|56.95|0.0|56.92|56.915|56.92|54.04|59.74|53.32|60.77|56.92|56.96|54.04|59.74|55.7|58.08|56.92|56.96|57.92|53.92|368732|71387791 16008|CMG|CMG|169656105|US1696561059|Chipotle Mexican Grill, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|4|0.01|0.01|5000000|1|100|TXN4-8|TXN4-6|TXN4-8|TXN1-3|TXN1-4|27450000|||NotApplicable|||||2006-01-26||||||| | | | | | | | | |||N|5|Y|Y|118A|USA|US|||40|4050|405010|40501040|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Restaurants and Bars|N||N||||||Y|0|Y||Y|1|||2225.37|2221.74|0.0|2221.0|2233.01|2228.5|2219.17|2222.11|0.0|0.0|2215.43|2231.21|2219.2|2210.15|2214.0|2219.2|2182.88|2221.8|2200.58|2219.2|2221.85|2221.87|2095.32|2358.3|2204.72|2240.47|2215.83|2222.87|2215.55|2225.66|2221.85|2221.87|2243.89|1344.05|172079|63659204 5489|CMI|CMI|231021106|US2310211063|Cummins Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|I|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-6|TXN3-5|TXN4-7|TXN4-5|TXN2-6|141750000|||Quarterly|||||1964-09-10||||||| | | | | | | | | |||N|5|Y|Y|126D|USA|US|||50|5020|502040|50204030|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Engines|N||N||||||Y|0|Y||Y|1|||231.17|231.07|0.0|231.15|231.24|231.18|231.13|231.18|0.0|0.0|231.23|229.17|231.21|229.81|231.23|231.18|231.01|231.19|231.23|231.18|231.18|231.19|215.92|245.95|231.04|232.39|230.97|231.34|230.98|231.34|231.18|231.19|265.28|203.18|1027124|212595909 61345|CMLS|CMLS|231082801|US2310828015|Cumulus Media Inc|COM CL A NEW||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN5-1|TXN10-2|TXN6-2|TXN6-7|16200000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4030|403010|40301035|Consumer Discretionary|Media|Media|Radio and TV Broadcasters|N||N||||||Y|0|Y||||||0.0|4.93|0.0|0.0|4.94|4.94|4.99|4.935|0.0|0.0|4.95|0.0|4.96|5.03|4.95|0.0|0.0|4.93|0.0|4.96|4.82|5.1|3.86|6.13|4.83|5.08|3.86|6.13|0.0|0.0|4.93|4.99|7.5337|2.57|19155|31718141 62974|CMMB|CMMB|16385C104|US16385C1045|Chemomab Therapeutics Ltd|ADS||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-2|TXN6-5|TXN12-3|TXN6-2|TXN5-2|221000000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||ISR||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||0.5115|0.5101|0.0|0.0|0.5114|0.5115|0.52|0.5115|0.0|0.0|0.5115|0.5143|0.52|0.0|0.0|0.5115|0.0|0.52|0.0|0.52|0.4128|0.6066|0.4128|0.6066|0.5104|0.53|0.4128|0.6066|0.0|0.0|0.5131|0.52|5.35|0.4301|143097|150316775 74911|CMND|CMND|185053402|CA1850534027|Clearmind Medicine Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN5-5|TXN14-5|TXN5-4|TXN5-7|610000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CAN||||||||||||N||N||||||N|0|Y|C|||||3.82|3.8|0.0|0.0|3.76|3.75|3.76|3.75|0.0|0.0|3.75|3.82|3.83|3.764|0.0|3.795|3.89|3.795|3.63|3.83|2.89|4.64|2.89|4.64|3.73|4.01|2.89|4.64|0.0|0.0|3.75|3.76|6.48|0.1|1181509|293508399 5499|CMP|CMP|20451N101|US20451N1019|Compass Minerals International, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|O|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-6|TXN4-1|TXN3-6|TXN2-6|TXN3-6|41210000|||Quarterly|||||2003-12-12||||||| | | | | | | | | |||N|0|N|Y|106B|USA|US|||55|5510|551020|55102000|Basic Materials|Basic Resources|Industrial Metals and Mining|General Mining|N||N||||||Y|0|Y||Y|2|||24.91|24.9|0.0|24.44|24.9|24.92|24.89|24.925|0.0|0.0|24.9|24.81|24.92|24.9|24.93|24.92|24.6|24.92|24.58|24.92|24.9|24.92|19.39|30.36|24.65|25.13|24.84|24.98|24.9|24.98|24.9|24.92|47.68|22.8|611454|81600530 68200|CMPO|CMPO|20459V105|US20459V1052|CompoSecure Inc|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN6-8|TXN13-2|TXN5-1|TXN6-1|19360000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502050|50205015|Industrials|Industrial Goods and Services|Industrial Support Services|Transaction Processing Services|N||N||||||Y|0|Y||||||0.0|5.0|0.0|0.0|4.99|5.02|4.98|5.03|0.0|0.0|5.02|4.96|5.01|4.99|5.02|5.02|5.02|4.98|5.03|5.01|4.91|5.1|3.9|6.18|4.92|5.09|4.05|5.04|0.0|5.05|5.0|5.02|7.9|4.26|76960|39006736 68201|CMPOW|CMPOW|20459V113|US20459V1136|CompoSecure Inc|WT EXP 122726||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-3|TXN6-3|TXN10-4|TXN6-4|TXN5-8|19290000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y|D|||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.26|0.44|0.0|0.0|0.0|0.0|0.26|0.44|1.56|0.288|0|13640269 4314|CMPR|CMPR|G2143T103|IE00BKYC3F77|Cimpress PLC|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN6-3|TXN12-5|TXN6-7|TXN6-1|26590000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||IRL||||50|5020|502050|50205030|Industrials|Industrial Goods and Services|Industrial Support Services|Forms and Bulk Printing Services|N||N||||||Y|0|Y||||||76.17|77.24|0.0|77.06|77.02|77.38|76.99|77.14|0.0|0.0|76.8|77.31|77.03|74.36|74.0|76.8|0.0|76.99|0.0|77.03|76.35|78.12|58.95|94.16|76.82|77.53|76.8|77.31|76.75|77.23|77.0|77.23|77.48|23.13|118893|29857646 67550|CMPS|CMPS|20451W101|US20451W1018|COMPASS Pathways plc|ADR||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN5-2|TXN10-8|TXN6-2|TXN5-8|61900000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||GBR||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||6.09|6.1|0.0|6.1|6.09|6.1|6.12|6.11|0.0|0.0|6.12|6.1|6.1|6.12|5.89|6.09|6.02|6.1|0.0|6.1|6.04|6.19|4.72|7.41|6.05|6.18|6.08|6.15|6.08|6.14|6.1|6.12|11.48|5.01|476075|80023215 68134|CMPX|CMPX|20454B104|US20454B1044|Compass Therapeutics Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN6-2|TXN11-4|TXN6-7|TXN5-8|127490000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||1.74|1.735|0.0|1.74|1.74|1.74|1.73|1.735|0.0|0.0|1.735|1.74|1.74|1.74|1.74|1.74|1.74|1.73|1.74|1.74|1.71|1.77|1.35|2.1|1.71|1.76|1.7|1.77|1.7|1.77|1.73|1.74|5.65|1.39|245186|92713947 35958|CMRE|CMRE|Y1771G102|MHY1771G1026|Costamare Inc.|Common Stock|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-6|TXN3-5|TXN9-5|TXN3-5|TXN4-4|120010000|||Quarterly|||||2010-11-04||||||| | | | | | | | | |||N|0|N|Y|200A|MCO|MH|||50|5020|502060|50206030|Industrials|Industrial Goods and Services|Industrial Transportation|Marine Transportation|N||N||||||Y|0|Y||Y|2|||10.3|10.31|0.0|10.27|10.3|10.31|10.295|10.3|0.0|0.0|10.31|10.31|10.29|10.26|10.3|10.31|10.31|10.295|10.31|10.31|10.29|10.3|8.1|12.6|10.28|10.31|10.27|10.32|10.26|10.33|10.29|10.3|11.85|7.71|560455|136231288 42475|CMRE PRB|CMREpB|Y1771G110|MHY1771G1109|Costamare Inc.|7.625% Series B Cumulative Redeemable Perpetual Preferred Stock|Operating company|B|N|Y|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN2-3|TXN5-8|TXN2-1|TXN2-5|1970000|||Quarterly|||||2013-08-07||||||| | | | | | | | | |||N|0|N|N|200A|MCO|MH|||50|5020|502060|50206030|Industrials|Industrial Goods and Services|Industrial Transportation|Marine Transportation|N||N||||||N|0|Y||Y|2|||0.0|24.4|0.0|0.0|0.0|24.34|24.49|24.45|0.0|0.0|0.0|0.0|24.38|22.42|0.0|24.46|0.0|24.46|24.34|24.46|24.16|24.48|0.0|0.0|23.7|27.13|0.0|0.0|0.0|0.0|24.16|24.48|25.25|22.13|12388|557231 43403|CMRE PRC|CMREpC|Y1771G128|MHY1771G1281|Costamare Inc.|8.50% Series C Cumulative Redeemable Perpetual Preferred Stock|Operating company|B|N|Y|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN4-8|TXN3-8|TXN3-4|TXN3-1|3970000|||Quarterly|||||2014-01-22||||||| | | | | | | | | |||N|0|N|N|200A|MCO|MH|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|25.39|25.3698|0.0|0.0|0.0|25.25|0.0|25.39|0.0|21.365|25.3698|0.0|25.3698|0.0|25.3698|25.16|25.35|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|25.16|25.35|26.21|23.56|4502|1102743 49924|CMRE PRD|CMREpD|Y1771G136|MHY1771G1364|Costamare Inc.|8.75% Series D Cumulative Redeemable Perpetual Preferred Stock,|Operating company|B|N|Y|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN2-6|TXN4-8|TXN3-5|TXN2-3|3990000|||Quarterly|||||2015-05-15||||||| | | | | | | | | |||N|0|N|N|200A|MCO|MH|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|25.31|25.3378|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|25.28|0.0|25.28|0.0|25.28|25.27|25.45|0.0|0.0|25.11|25.47|0.0|0.0|0.0|0.0|25.27|25.45|26.77|23.85|1036|720682 60643|CMRE PRE|CMREpE|Y1771G201|MHY1771G2016|Costamare Inc.|8.875% Series E Cumulative Redeemable Perpetual Preferred Stock, par value $0.0001 per share, liquidation preference $25.00 per share|Operating company|B|N|Y|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN2-6|TXN4-8|TXN2-2|TXN1-7|4570000|||Quarterly|||||2018-02-02||||||| | | | | | | | | |||N|0|N|N|200A|MCO|MH|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|25.33|25.33|25.33|25.35|0.0|0.0|25.33|0.0|25.33|0.0|0.0|25.33|25.31|25.33|0.0|25.33|25.29|25.44|25.31|25.35|23.59|27.13|0.0|0.0|0.0|0.0|25.29|25.43|26.0424|24.56|26237|1689674 41813|CMRX|CMRX|16934W106|US16934W1062|Chimerix Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-8|TXN5-1|TXN14-2|TXN6-3|TXN6-5|88890000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||0.9875|0.9828|0.0|0.0|0.9899|0.9801|0.9806|0.9801|0.0|0.0|0.98|0.99|0.9805|1.005|0.0|0.0|0.99|0.9806|0.9875|0.9805|0.9573|1.02|0.7683|1.21|0.9605|1.01|0.9605|1.01|0.9614|1.02|0.9805|0.9899|2.32|0.88|273578|181531719 5501|CMS|CMS|125896100|US1258961002|CMS Energy Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-7|TXN3-7|TXN2-3|TXN4-4|TXN1-6|291760000|||Quarterly|||||1947-02-03||||||| | | | | | | | | |||N|5|Y|Y|310A|USA|US|||65|6510|651010|65101015|Utilities|Utilities|Electricity|Conventional Electricity|N||N||||||Y|0|Y||Y|1|||58.32|58.335|0.0|58.32|58.33|58.35|58.345|58.34|0.0|0.0|58.33|58.33|58.34|58.33|58.3|58.33|58.36|58.33|58.37|58.33|58.33|58.35|54.93|61.88|58.31|58.36|58.27|58.39|58.27|58.41|58.33|58.35|65.72|49.87|1843689|501267233 5503|CMS PRB|CMSpB|210518304|US2105183048|Consumers Energy Company|$4.50 Cumulative Preferred Stock|Operating company|B|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|10|TXN2-8|TXN2-5|TXN9-8|TXN2-7|TXN4-5|370000|||Quarterly|||||1968-06-07||||||| | | | | | | | | |||N|0|N|N|310A|USA|US|||65|6510|651010|65101015|Utilities|Utilities|Electricity|Conventional Electricity|N||N||||||N|0|Y||Y|2|||83.62|83.62|0.0|0.0|0.0|85.1|86.205|0.0|0.0|0.0|83.62|0.0|0.0|83.62|0.0|83.56|0.0|83.56|0.0|83.56|83.55|86.2|0.0|0.0|78.87|90.0|0.0|0.0|0.0|0.0|83.55|86.2|98.6298|75.02|1141|45013 71097|CMS PRC|CMSpC|125896837|US1258968379|CMS Energy Corporation|Depositary Shares, each representing a 1/1,000th interest in a share of 4.200% Cumulative Redeemable Perpetual Preferred Stock, Series C|Operating company|B|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN1-2|TXN2-8|TXN3-6|TXN4-4|9200000|||Quarterly|||||2021-07-09||||||| | | | | | | | | |||N|0|N|N|310A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||20.56|20.56|0.0|0.0|20.73|20.52|20.4|20.55|0.0|0.0|20.61|20.77|20.65|20.96|0.0|20.65|0.0|20.65|0.0|20.65|20.36|20.7|0.0|0.0|19.95|21.1|0.0|0.0|0.0|0.0|20.36|20.7|21.11|17.47|23033|4561921 60752|CMSA|CMSA|125896860|US1258968601|CMS Energy Corporation|5.625% Junior Subordinated Notes due 2078|Operating company|G|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN1-4|TXN8-8|TXN3-7|TXN4-5|8000000|||Quarterly|||||2018-03-12|2078-03-15|||||| | | | | | | | | |||N|0|N|N|310A||US|||||||||||N||N||||||N|0|Y||Y|2|||23.75|0.0|0.0|0.0|0.0|0.0|23.47|23.7|0.0|0.0|0.0|21.898437|23.62|23.228437|0.0|23.47|23.56|23.47|0.0|23.47|23.39|23.65|23.38|23.56|22.99|24.03|0.0|0.0|0.0|0.0|23.39|23.65|25.2751|21.0233|9356|3039897 61882|CMSC|CMSC|125896852|US1258968528|CMS Energy Corporation|5.875% Junior Subordinated Notes due 2078|Operating company|G|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN1-2|TXN1-5|TXN4-5|TXN2-2|11200000|||Quarterly|||||2018-10-01|2078-10-15|||||| | | | | | | | | |||N|0|N|N|310A||US|||||||||||N||N||||||N|0|Y||Y|2|||24.45|24.46|0.0|0.0|0.0|24.47|24.48|24.43|0.0|0.0|24.6|0.0|24.47|0.0|0.0|24.48|24.4|24.45|0.0|24.48|24.44|24.5|24.39|24.47|24.35|24.97|0.0|0.0|0.0|0.0|24.44|24.5|25.21|21.64|34357|4733521 63029|CMSD|CMSD|125896845|US1258968452|CMS Energy Corporation|5.875% Junior Subordinated Notes due 2079|Operating company|G|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN4-7|TXN8-8|TXN4-2|TXN2-3|25200000|||Quarterly|||||2019-02-21|2079-03-01|||||| | | | | | | | | |||N|0|N|N|310A||US|||||||||||N||N||||||N|0|Y||Y|2|||24.12|24.09|0.0|0.0|24.1|24.03|24.01|24.0|0.0|0.0|24.25|0.0|24.0|0.0|0.0|24.05|24.06|24.1|0.0|24.05|24.0|24.17|24.06|24.1|23.62|24.1|0.0|0.0|0.0|0.0|24.0|24.17|25.395|21.58|64839|13565645 5508|CMT|CMT|218683100|US2186831002|Core Molding Technolgies, Inc.|Common Stock|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-2|TXN1-1|TXN7-8|TXN4-4|TXN2-5|8660000|||Adhoc|||||1997-01-02||||||| | | | | | | | | |||N|0|N|N|100A|USA|US|||50|5020|502030|50203015|Industrials|Industrial Goods and Services|General Industrials|Plastics|N||N||||||N|0|Y||Y|2|||18.15|17.96|0.0|17.92|17.86|17.96|18.02|17.9|0.0|0.0|17.87|18.06|18.01|17.922|17.87|17.93|17.91|17.91|18.1|17.91|17.64|18.29|17.98|17.99|17.96|18.24|17.87|18.08|17.85|18.1|17.98|17.99|30.09|10.36|142663|18277325 72231|CMTG|CMTG|18270D106|US18270D1063|Claros Mortgage Trust, Inc.|Common Stock|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN3-6|TXN9-8|TXN2-7|TXN2-5|138730000|||Quarterly|||||2021-11-03||||||| | | | | | | | | |||N|0|N|Y|400A|USA|US|||30|3020|302030|30203010|Financials|Financial Services |Mortgage Real Estate Investment Trusts|Mortgage REITs: Commercial|N||N||||||Y|0|Y||Y|2|||12.72|12.91|0.0|12.76|12.92|12.91|12.93|12.92|0.0|0.0|12.92|12.85|12.93|12.87|12.8|12.93|12.8|12.93|12.91|12.93|12.92|12.93|9.75|15.61|12.85|12.97|12.88|12.96|12.88|12.97|12.92|12.93|18.015|9.6|254896|57427171 864|CMTL|CMTL|205826209|US2058262096|Comtech Telecommunications Corp.|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN6-2|TXN12-3|TXN5-7|TXN5-5|28200000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||15|1510|151010|15101010|Telecommunications|Telecommunications|Telecommunications Equipment|Telecommunications Equipment|N||N||||||Y|0|Y||||||0.0|12.08|0.0|0.0|12.16|12.16|12.15|12.155|0.0|0.0|12.14|12.12|12.15|12.155|12.14|12.07|12.07|12.16|12.16|12.15|12.02|12.26|9.58|14.89|12.05|12.24|12.11|12.19|12.12|12.19|12.15|12.16|16.87|7.91|186558|48945201 5509|CMU|CMU|59318E102|US59318E1029|MFS High Yield Municipal Trust|Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN1-5|TXN7-8|TXN2-4|TXN2-4|28330000|||Monthly|||||1987-03-19||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||3.21|3.22|0.0|0.0|0.0|3.21|3.2099|3.21|0.0|0.0|3.21|3.21|3.21|0.0|0.0|3.21|3.21|3.21|0.0|3.21|3.2|3.21|2.46|3.98|2.98|3.45|3.17|3.24|0.0|0.0|3.2|3.21|3.4|2.78|48022|16746585 44082|CN|CN|233051762|US2330517622|DBX ETF Trust|Xtrackers MSCI All China Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||DBX Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN3-3|TXN1-5|TXN3-4|TXN2-2|250001|||Yearly|||||2014-04-30||CN.NV|CN.SO|CN.EU|CN.TC|CN.IV| | | | | | | | | |1x|The db X-trackers Harvest MSCI All China Equity Fund (CN) seeks investment results that correspond generally to the performance, before fees and expenses, of the MSCI All China Index. The Underlying Index is designed to capture large- and mid-capitalization representation across all China securities listed in China and Hong Kong as well as in the U.S. and Singapore. The Underlying Index includes; A-Shares, H-Shares, B-Shares, Red chips, P chips, and China securities listed in the U.S. and Singapore. The Fund, using a passive or indexing investment approach, attempts to approximate the investment performance of the Underlying Index.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|25.7809|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|25.4762|0.0|25.4762|0.0|0.0|0.0|0.0|25.44|25.5|0.0|0.0|0.0|0.0|25.44|25.5|33.4595|24.9769|15|505812 5512|CNA|CNA|126117100|US1261171003|CNA Financial Corp.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN3-1|TXN5-8|TXN2-2|TXN3-4|270870000|||Quarterly|||||1969-02-03||||||| | | | | | | | | |||N|0|Y|Y|410B|USA|US|||30|3030|303020|30302010|Financials|Insurance|Non-life Insurance|Full Line Insurance|N||N||||||Y|0|Y||Y|1|||42.82|42.69|0.0|42.56|42.69|42.71|42.69|42.685|0.0|0.0|42.69|42.8|42.705|42.77|42.76|42.69|42.69|42.72|41.83|42.69|42.71|42.72|40.06|45.44|42.69|42.75|42.64|42.75|42.71|42.75|42.71|42.72|45.42|36.17|158387|43675500 64108|CNBS|CNBS|032108854|US0321088546|Amplify ETF Trust|Amplify Seymour Cannabis ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Amplify Investments|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-6|TXN3-5|TXN2-8|TXN3-2|TXN2-1|6450000|||Yearly|||||2019-07-23||CNBS.NV|CNBS.SO|CNBS.EU|CNBS.TC|CNBS.IV| | | | | | | | | ||The Fund is an actively managed ETF that seeks to provide investment exposure to global companies principally engaged in the emerging cannabis and hemp ecosystem across one of three classifications, which includes: Cannabis/Hemp Plant (Pharmaceuticals/Biotechnology, Cultivation & Retail, Hemp Products and Cannabis-Infused Products) Support (Agricultural Technology, Real Estate and Commercial Services) Ancillary (Consumption Devices/Mechanisms, Investing & Finance, Technology & Media and Other Ancillary)|N|0|N|N|406B|USA|US|EQUITY|ACTIVE|||||||||N||N||||||Y|0|Y||Y|2|||4.31|4.42|0.0|0.0|4.11|4.48|4.42|4.46|0.0|0.0|0.0|4.46|4.44|4.46|0.0|0.0|0.0|4.42|0.0|4.42|3.39|5.52|3.39|5.52|4.42|4.47|3.39|5.52|0.0|0.0|4.42|4.47|8.28|3.3801|49707|5850302 5516|CNC|CNC|15135B101|US15135B1017|Centene Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|D|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-7|TXN4-5|TXN5-1|TXN1-3|TXN4-4|534200000|||Adhoc|||||2003-10-16||||||| | | | | | | | | |||N|5|Y|Y|122A|USA|US|||20|2010|201010|20101020|Health Care |Health Care |Health Care Providers|Health Care Management Services|N||N||||||Y|0|Y||Y|1|||73.99|74.0|0.0|73.89|74.0|73.99|74.025|74.025|0.0|0.0|74.0|73.995|74.0|73.99|73.84|74.03|73.99|74.03|73.995|74.03|74.02|74.03|68.95|74.03|73.98|74.07|73.98|74.05|73.9|74.1|74.02|74.03|87.79|60.83|2348672|800200971 51697|CNCR|CNCR|26922A826|US26922A8264|Range Cancer Therapeutics ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN6-7|TXN14-1|TXN5-7|TXN6-8|1030000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|11.32|0.0|11.5299|0.0|0.0|0.0|11.49|0.0|11.45|0.0|0.0|0.0|0.0|11.45|0.0|11.45|10.84|12.2|0.0|0.0|11.31|11.77|0.0|0.0|0.0|0.0|11.45|11.6|15.2799|9.22|2847|1254394 72109|CNDA|CNDA|20607U108|US20607U1088|Concord Acquisition Corp II|Class A Common Stock|Special purpose acquisition company|A|N|N|N|Y|Y|Y|Y|Y|6|P|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN4-3|TXN7-8|TXN1-8|TXN4-7|14700000|||NotApplicable|||||2021-10-22||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|10.37|10.37|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.37|0.0|10.37|0.0|10.37|10.36|10.38|0.0|0.0|9.71|11.02|0.0|0.0|0.0|0.0|10.36|10.38|10.9|9.83|35087|56455167 72110|CNDA WS|CNDA.WS|20607U116|US20607U1161|Concord Acquisition Corp II|Warrants, each whole warrant exercisable for one share of Class A Common Stock at an exercise price of $11.50|Special purpose acquisition company|C|N|N|N|Y|Y|Y|Y|Y|6|P|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN6-8|TXN1-4|TXN3-8|TXN3-8|TXN4-5|0|||NotApplicable|||||2021-10-22||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||||||||||N||N||||||N|0|Y||N||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.13|0.18|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.13|0.18|0.33|0.0276|0|2906449 71568|CNDA U|CNDA.U|20607U207|US20607U2078|Concord Acquisition Corp II|Units, each consisting of one share of Class A Common Stock and one-third of one Warrant|Special purpose acquisition company|R|N|N|N|Y|Y|Y|Y|Y|6|P|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN2-6|TXN4-8|TXN3-4|TXN2-3|0|||NotApplicable|||||2021-09-01||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|9.89|10.96|0.0|0.0|9.89|10.96|0.0|0.0|0.0|0.0|9.89|10.96|10.819|9.86|0|609478 73036|CNDB|CNDB|20607V106|US20607V1061|Concord Acquisition Corp III|Class A Common Stock|Special purpose acquisition company|A|N|N|N|Y|Y|Y|Y|Y|6|P|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN1-3|TXN3-8|TXN3-1|TXN3-7|3940000|||NotApplicable|||||2021-12-27||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|10.55|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.54|0.0|0.0|10.54|0.0|10.54|0.0|10.54|10.54|10.55|10.54|10.55|10.32|10.75|0.0|0.0|0.0|0.0|10.54|10.55|11.5499|10.14|313|24434323 73037|CNDB WS|CNDB.WS|20607V114|US20607V1145|Concord Acquisition Corp III|Warrants, each whole warrant exercisable for one share of Class A Common Stock at an exercise price of $11.50|Special purpose acquisition company|C|N|N|N|Y|Y|Y|Y|Y|6|P|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN3-8|TXN2-3|TXN3-8|TXN2-6|TXN2-2|0|||NotApplicable|||||2021-12-27||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||||||||||N||N||||||N|0|Y||N||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0822|0.15|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0822|0.15|0.21|0.0152|0|5144373 72232|CNDB U|CNDB.U|20607V205|US20607V2051|Concord Acquisition Corp III|Units, each consisting of one share of Class A Common Stock and one-half of one Warrant|Special purpose acquisition company|R|N|N|N|Y|Y|Y|Y|Y|6|P|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN2-1|TXN8-8|TXN4-8|TXN2-6|0|||NotApplicable|||||2021-11-04||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.52|11.18|0.0|0.0|10.52|11.18|0.0|0.0|0.0|0.0|10.57|11.18|11.69|10.11|0|326358 54662|CNDT|CNDT|206787103|US2067871036|Conduent Inc|COM USD1||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN6-6|TXN12-4|TXN5-6|TXN6-3|217290000|||NotApplicable|||||||||||| | | | | | | | | 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|N||N||||||N|0|Y|C|||||0.7|0.7|0.0|0.0|0.7036|0.7021|0.7001|0.7|0.0|0.0|0.7036|0.7002|0.7|0.7|0.7002|0.0|0.0|0.7|0.0|0.7|0.6745|0.7718|0.0|0.0|0.6745|0.735|0.6297|0.852|0.0|0.0|0.7|0.735|2.2|0.3801|80362|19900896 69053|CNEY|CNEY|G2181K105|VGG2181K1057|CN Energy Group Inc|CL A COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-5|TXN6-7|TXN11-4|TXN6-7|TXN6-6|39400000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||55|5520|552010|55201020|Basic Materials|Chemicals|Chemicals|Specialty Chemicals|N||N||||||N|0|Y|D|||||0.0977|0.0976|0.0|0.0|0.0977|0.0981|0.0975|0.0987|0.0|0.0|0.0976|0.0976|0.0975|0.0|0.0|0.0|0.0|0.0975|0.0|0.0975|0.0762|0.1184|0.0762|0.1184|0.0931|0.1066|0.0762|0.1184|0.0|0.0|0.0975|0.1|2.17|0.0759|1782339|263634528 62241|CNF|CNF|18979T105|US18979T1051|CNFinance Holdings Limited|American Depositary Shares (ADSs), each representing twenty (20) Ordinary Shares|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|8|R|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN1-1|TXN1-5|TXN1-1|TXN2-4|1371640000|||NotApplicable|||||2018-11-07||||||| | | | | | | | | |||N|0|N|Y|408A|CHN|KY|||30|3020|302010|30201025|Financials|Financial Services |Finance and Credit Services|Mortgage Finance|N||N||||||N|0|Y||Y|2|||2.2|0.0|0.0|0.0|0.0|2.15|2.18|2.16|0.0|0.0|2.15|0.0|2.2|0.0|0.0|2.15|0.0|2.15|0.0|2.15|2.15|2.2|0.0|0.0|2.14|2.34|0.0|0.0|0.0|0.0|2.06|2.19|4.1|1.41|24484|5769157 50490|CNFR|CNFR|20731J102|US20731J1025|Conifer Holdings Inc|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN6-8|TXN12-7|TXN6-6|TXN6-3|12220000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3030|303020|30302025|Financials|Insurance|Non-life Insurance|Property and Casualty Insurance|N||N||||||N|0|Y||||||0.0|1.39|0.0|0.0|0.0|1.34|1.38|1.37|0.0|0.0|1.4|0.0|1.38|0.0|0.0|0.0|0.0|1.38|0.0|1.38|0.0|0.0|0.0|0.0|1.22|1.42|0.0|0.0|0.0|0.0|1.3|1.38|2.08|0.65|11886|1031479 76177|CNFRZ|CNFRZ|20731J300|US20731J3005|Conifer Holdings Inc 9.75 NT 28|ETN||U|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN6-1|TXN12-4|TXN6-2|TXN5-4|880000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|19.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|18.0|20.48|27.0|12.0|1|12725 73260|CNGL|CNGL|13767K101|US13767K1016|Canna-Global Acquisition Corp|CL A COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN5-5|TXN12-8|TXN5-1|TXN6-8|3230000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|10.79|0.0|0.0|0.0|0.0|0.0|10.86|0.0|0.0|0.0|0.0|10.79|0.0|10.86|0.0|0.0|0.0|0.0|10.13|10.86|0.0|0.0|0.0|0.0|10.79|10.86|10.87|10.2|483|2038192 72695|CNGLU|CNGLU|13767K200|US13767K2006|Canna-Global Acquisition Corp|UNITS||R|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN5-2|TXN14-6|TXN5-3|TXN5-1|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|7.92|14.53|0.0|0.0|9.24|12.91|7.92|14.53|0.0|0.0|9.89|12.11|11.222|10.21|0|40320 73261|CNGLW|CNGLW|13767K119|US13767K1198|Canna-Global Acquisition Corp|WT EXP 113026||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-2|TXN6-5|TXN11-2|TXN5-1|TXN5-3|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0099|0.0|0.0|0.0|0.0|0.0099|0.0|0.0099|0.004|0.0118|0.004|0.0118|0.004|0.0118|0.004|0.0118|0.0|0.0|0.005|0.0099|0.054|0.004|2500|5530507 42771|CNHI|CNHI|N20944109|NL0010545661|CNH Industrial N.V.|Common Shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|6|P|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-3|TXN4-2|TXN9-8|TXN1-7|TXN4-3|1330480000|||Yearly|||||2013-09-30||||||| | | | | | | | | |||N|0|Y|Y|132A|GBR|NL|||50|5020|502040|50204010|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Agricultural|N||N||||||Y|0|Y||Y|1|||10.96|10.95|0.0|10.99|10.95|10.955|10.95|10.955|0.0|0.0|10.955|10.96|10.95|10.96|10.96|10.97|10.96|10.95|10.96|10.97|10.95|10.96|10.95|11.64|10.95|10.96|10.95|10.99|10.93|10.99|10.95|10.96|17.98|9.77|15801009|1583897443 5520|CNI|CNI|136375102|CA1363751027|Canadian National Railway Company|Common Shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-4|TXN4-2|TXN4-4|TXN2-4|TXN1-5|647700000|||Quarterly|||||1995-11-17||||||| | | | | | | | | |||N|0|N|Y|204A|CAN|CA|||50|5020|502060|50206020|Industrials|Industrial Goods and Services|Industrial Transportation|Railroads|N||N||||||Y|0|Y||Y|2|||118.65|118.65|0.0|118.6|118.63|118.65|118.615|118.68|0.0|0.0|118.56|118.58|118.65|118.68|118.57|118.68|118.63|118.69|118.63|118.68|118.65|118.7|90.98|144.29|118.59|118.7|118.58|124.98|118.6|118.71|118.65|118.7|129.47|103.96|891561|267316774 24407|CNK|CNK|17243V102|US17243V1026|Cinemark Holdings, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|N|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN2-2|TXN9-2|TXN4-2|TXN4-2|121610000|||NotApplicable|||||2007-04-24||||||| | | | | | | | | |||N|0|N|Y|144C|USA|US|||40|4030|403010|40301010|Consumer Discretionary|Media|Media|Entertainment|N||N||||||Y|0|Y||Y|2|||14.77|14.77|0.0|14.59|14.79|14.78|14.77|14.755|0.0|0.0|14.77|14.75|14.78|14.76|14.77|14.79|14.78|14.79|14.8|14.79|14.78|14.79|11.55|18.04|14.78|14.79|14.74|14.81|14.73|14.82|14.78|14.79|19.85|8.28|2392830|662255025 71224|CNM|CNM|21874C102|US21874C1027|Core & Main, Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|O|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-7|TXN1-5|TXN8-3|TXN2-4|TXN4-2|173340000|||NotApplicable|||||2021-07-23||||||| | | | | | | | | |||N|0|Y|Y|100A|USA|US|||50|5020|502050|50205010|Industrials|Industrial Goods and Services|Industrial Support Services|Industrial Suppliers|N||N||||||Y|0|Y||Y|1|||36.09|36.08|0.0|36.15|36.07|36.1|36.07|36.09|0.0|0.0|36.08|36.0|36.09|36.09|36.17|36.09|36.07|36.1|36.03|36.09|36.1|36.11|33.9|38.55|36.02|36.14|34.44|37.94|35.86|36.26|36.1|36.11|36.29|18.75|2824583|337341413 877|CNMD|CNMD|207410101|US2074101013|CONMED Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|S|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN3-5|TXN6-8|TXN2-3|TXN2-1|30750000|||Quarterly|||||2020-02-10||||||| | | | | | | | | |||N|0|N|Y|122A|USA|US|||20|2010|201020|20102015|Health Care |Health Care |Medical Equipment and Services|Medical Supplies|N||N||||||Y|0|Y||Y|2|||111.32|111.47|0.0|111.53|111.38|111.47|111.47|111.47|0.0|0.0|111.33|111.56|111.48|109.64|109.65|111.51|111.28|111.51|111.46|111.51|111.51|111.52|84.08|136.83|111.25|111.65|111.3|111.64|111.27|111.67|111.51|111.52|138.47|82.97|386942|87499256 60156|CNNE|CNNE|13765N107|US13765N1072|Cannae Holdings, Inc.|Common Stock, par value $0.0001 per share|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|D|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-7|TXN4-7|TXN3-7|TXN3-3|TXN3-1|70710000|||NotApplicable|||||2017-11-20||||||| | | | | | | | | |||N|0|N|Y|408A|USA|US|||30|3020|302020|30202000|Financials|Financial Services |Investment Banking and Brokerage Services |Diversified Financial Services |N||N||||||Y|0|Y||Y|2|||18.375|18.38|0.0|18.55|18.35|18.38|18.35|18.345|0.0|0.0|18.35|18.38|18.35|18.36|18.38|18.37|18.33|18.35|18.55|18.37|18.36|18.37|14.21|22.83|18.33|18.39|18.33|18.39|18.33|18.39|18.36|18.37|25.51|15.93|518263|95340152 5525|CNO|CNO|12621E103|US12621E1038|CNO Financial Group, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-5|TXN1-8|TXN6-6|TXN2-8|TXN2-4|112170000|||Quarterly|||||2003-09-12||||||| | | | | | | | | |||N|0|N|Y|410B|USA|US|||30|3030|303010|30301010|Financials|Insurance|Life Insurance|Life Insurance|N||N||||||Y|0|Y||Y|2|||26.995|27.015|0.0|27.02|27.03|26.995|27.03|27.02|0.0|0.0|27.015|26.98|27.015|27.01|26.98|27.02|26.97|27.02|27.0|27.02|27.01|27.02|20.59|32.79|26.97|27.05|26.98|27.05|26.98|27.06|27.01|27.02|27.11|19.95|498278|181314473 68324|CNO PRA|CNOpA|12621E301|US12621E3018|CNO Financial Group, Inc.|5.125% Subordinated Debentures due 2060|Operating company|G|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN3-2|TXN9-8|TXN4-1|TXN3-3|6000000|||Quarterly|||||2020-11-30|2060-11-25|||||| | | | | | | | | |||N|0|N|N|410B|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||16.9|0.0|0.0|0.0|17.4|17.4|17.42|17.04|0.0|0.0|0.0|0.0|0.0|0.0|0.0|17.4|0.0|17.4|17.4|17.4|17.36|17.48|0.0|0.0|17.01|17.82|0.0|0.0|0.0|0.0|17.36|17.48|18.71|14.0|2085|1292620 870|CNOB|CNOB|20786W107|US20786W1071|ConnectOne Bancorp Inc|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN6-4|TXN11-6|TXN6-4|TXN6-2|38610000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||||||20.91|20.88|0.0|20.86|20.91|20.91|20.93|20.91|0.0|0.0|20.91|0.0|20.91|20.91|21.02|20.88|21.03|20.9|20.89|20.91|20.73|21.17|16.25|26.09|20.88|21.12|20.85|21.0|20.83|21.01|20.92|20.95|26.22|13.11|163032|44596967 71557|CNOBP|CNOBP|20786W503|US20786W5031|ConnectOne Bancorp Inc|PFD SER A||U|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN5-7|TXN11-3|TXN5-4|TXN5-3|4600000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|18.62|0.0|0.0|0.0|0.0|18.69|0.0|0.0|0.0|0.0|0.0|18.65|0.0|0.0|0.0|0.0|18.79|0.0|18.65|0.0|0.0|0.0|0.0|18.21|19.18|0.0|0.0|0.0|0.0|18.65|18.8|23.3786|14.0|4602|2524276 5528|CNP|CNP|15189T107|US15189T1079|CenterPoint Energy, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|A|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-6|TXN4-5|TXN7-4|TXN4-7|TXN1-5|631220000|||Quarterly|||||1943-08-16||||||| | | | | | | | | |||N|5|Y|Y|302A|USA|US|||65|6510|651020|65102000|Utilities|Utilities|Gas, Water and Multi-utilities |Multi-Utilities|N||N||||||Y|0|Y||Y|1|||28.85|28.845|0.0|28.63|28.845|28.845|28.845|28.85|0.0|0.0|28.85|28.86|28.85|28.84|28.86|28.85|28.84|28.85|28.86|28.85|28.85|28.86|27.12|30.82|28.83|28.87|28.82|28.87|28.81|28.88|28.85|28.86|31.48|25.42|6529612|946354533 5530|CNQ|CNQ|136385101|CA1363851017|Canadian Natural Resources Limited|Common Shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|8|R|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-1|TXN1-4|TXN8-6|TXN1-2|TXN3-4|1082420000|||Quarterly|||||2000-07-31||||||| | | | | | | | | |||N|0|N|Y|134A|CAN|CA|||60|6010|601010|60101010|Energy|Energy|Oil, Gas and Coal|Oil: Crude Producers|N||N||||||Y|0|Y||Y|2|||66.64|66.65|0.0|66.67|66.68|66.66|66.675|66.68|0.0|0.0|66.67|66.67|66.66|66.68|66.64|66.67|66.65|66.67|66.68|66.67|66.66|66.68|51.82|82.24|66.59|66.69|66.6|66.72|66.61|66.73|66.66|66.68|68.74|48.81|2298548|540835406 62012|CNRG|CNRG|78468R655|US78468R6559|SPDR Series Trust|SPDR S&P Kensho Clean Power ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|Citadel Securities 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NV|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN5-8|TXN11-4|TXN5-5|TXN5-6|27870000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||DEU||||20|2010|201020|20102020|Health Care |Health Care |Medical Equipment and Services|Medical Services|N||N||||||N|0|Y||||||1.24|0.0|0.0|0.0|0.0|1.27|1.25|1.25|0.0|0.0|1.22|1.22|1.25|0.0|0.0|0.0|0.0|1.27|0.0|1.27|0.0|0.0|0.0|0.0|1.22|1.3|0.0|0.0|0.0|0.0|1.24|1.27|2.52|0.61|10121|132587843 71256|CNTX|CNTX|21077P108|US21077P1084|Context Therapeutics Inc|COM USD0.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-1|TXN5-8|TXN14-4|TXN6-4|TXN6-6|15970000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||0.9155|0.0|0.0|0.0|0.9155|0.9155|0.9001|0.9501|0.0|0.0|0.9212|0.9212|0.91|0.0|0.0|0.0|0.0|0.9212|0.0|0.9212|0.7544|1.09|0.696|1.15|0.8402|1.02|0.7544|1.09|0.0|0.0|0.9001|0.9594|1.69|0.47|13420|138534108 886|CNTY|CNTY|156492100|US1564921005|Century Casinos Inc|COM 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Corp|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN6-1|TXN12-8|TXN5-3|TXN5-1|66600000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||USA||||10|1010|101010|10101010|Technology|Technology|Software and Computer Services|Computer Services|N||N||||||Y|0|Y||||||98.04|98.02|0.0|98.49|98.01|98.03|98.04|98.0|0.0|0.0|98.5|98.21|98.01|98.17|98.17|98.0|98.62|98.04|96.91|98.01|97.8|98.24|92.31|104.53|97.8|98.24|97.9|98.12|97.9|98.1|98.01|98.08|151.82|70.58|616833|84954302 3061|CNXN|CNXN|69318J100|US69318J1007|PC Connection Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN6-8|TXN13-3|TXN5-5|TXN5-3|26270000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101020|10102030|Technology|Technology|Technology Hardware and Equipment|Computer Hardware|N||N||||||N|0|Y||||||60.26|61.84|0.0|61.86|61.78|61.77|61.7|61.87|0.0|0.0|61.68|60.8|61.79|61.2|0.0|61.89|0.0|61.7|0.0|61.79|61.12|62.47|47.04|75.09|61.18|62.39|61.4|61.97|61.69|61.79|61.69|61.79|62.105|37.76|64290|14072713 44670|CNXT|CNXT|92189F627|US92189F6271|VanEck ETF Trust|VanEck ChiNext ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||VanEck Vectors|Jane Street Capital, 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9/29/2028||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-4|TXN6-3|TXN11-5|TXN5-1|TXN5-5|19550000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y|C|||||0.0|0.0|0.0|0.0|0.0|0.0|0.022521|0.0|0.0|0.0|0.0|0.0|0.0194|0.0|0.0|0.0|0.0|0.022521|0.0|0.022521|0.0|0.0|0.0|0.0|0.0141|0.0213|0.0|0.0|0.0|0.0|0.0151|0.02|0.0899|0.011|1087|882038 72095|COCO|COCO|92846Q107|US92846Q1076|Vita Coco Company Inc|COM 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USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN6-7|TXN12-3|TXN5-4|TXN6-7|10170000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y|C|||||1.76|1.76|0.0|0.0|0.0|1.72|1.74|1.76|0.0|0.0|1.73|0.0|1.73|0.0|0.0|0.0|0.0|1.74|0.0|1.73|1.63|1.85|1.32|2.16|1.64|1.8|1.32|2.14|0.0|0.0|1.72|1.76|3.285|1.38|38730|10650306 59205|CODA|CODA|19188U206|US19188U2069|Coda Octopus Group Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN6-1|TXN13-8|TXN5-6|TXN6-1|11120000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502010|50201020|Industrials|Industrial Goods and Services|Aerospace and Defense|Defense|N||N||||||N|0|Y||||||0.0|5.95|0.0|0.0|0.0|6.02|5.99|5.94|0.0|0.0|5.92|5.92|5.97|6.0|0.0|0.0|0.0|5.99|0.0|5.97|0.0|0.0|0.0|0.0|5.83|6.13|0.0|0.0|0.0|0.0|5.97|6.01|11.09|5.7|45301|6162872 16466|CODI|CODI|20451Q104|US20451Q1040|Compass Diversified|Shares representing beneficial interest in Compass Diversified Holdings|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|M|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN3-2|TXN1-5|TXN3-6|TXN3-8|71820000|||Quarterly|||||2010-11-01||||||| | | | | | | | | |||N|0|N|Y|408A|USA|US|||30|3020|302020|30202000|Financials|Financial Services |Investment Banking and Brokerage Services |Diversified Financial Services |N||N||||||Y|0|Y||Y|2|||20.63|20.63|0.0|20.67|20.67|20.68|20.69|20.69|0.0|0.0|20.69|20.5|20.69|20.68|20.67|20.68|20.84|20.69|20.63|20.68|20.66|20.68|15.78|25.33|20.6|20.75|20.63|20.74|20.64|20.73|20.66|20.68|22.91|16.32|110577|39099936 59001|CODI PRA|CODIpA|20451Q203|US20451Q2030|Compass Diversified|7.250% Series A Preferred Shares representing beneficial interest in Compass Diversified Holdings|Operating company|B|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN4-6|TXN7-8|TXN4-4|TXN1-1|4000000|||Quarterly|||||2017-07-03||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|22.9|0.0|0.0|0.0|22.98|22.9999|22.755|0.0|0.0|22.9|0.0|22.9|0.0|0.0|22.98|0.0|22.98|0.0|22.98|22.85|23.0|22.82|23.0|22.36|23.46|0.0|0.0|0.0|0.0|22.9|23.0|25.5845|21.09|3789|1277759 60773|CODI PRB|CODIpB|20451Q302|US20451Q3020|Compass Diversified|7.875% Series B Fixed-to-Floating Rate Cumulative Preferred Shares representing beneficial interest in Compass Diversified Holdings|Operating company|B|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN3-6|TXN5-8|TXN3-2|TXN1-8|4000000|||Quarterly|||||2018-03-16||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|24.24|0.0|0.0|0.0|24.25|24.3563|24.48|0.0|0.0|24.02|0.0|24.52|0.0|0.0|24.25|0.0|24.25|0.0|24.25|24.14|24.7|0.0|0.0|23.77|25.03|0.0|0.0|0.0|0.0|24.14|24.54|26.5|22.02|5049|1342551 65111|CODI PRC|CODIpC|20451Q401|US20451Q4010|Compass Diversified|7.875% Series C Cumulative Preferred Shares representing beneficial interests in Compass Diversified Holdings|Operating company|B|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN1-8|TXN6-8|TXN2-1|TXN2-3|4600000|||Quarterly|||||2019-11-22||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|24.48|0.0|0.0|24.32|24.49|24.3999|24.36|0.0|0.0|0.0|0.0|24.48|0.0|0.0|24.3999|0.0|24.3999|0.0|24.3999|24.3|24.4|24.24|24.45|23.76|24.94|0.0|0.0|0.0|0.0|24.3|24.4|25.91|22.79|5871|1835801 58901|CODX|CODX|189763105|US1897631057|Co-Diagnostic Inc|COM 0.001USD||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN5-6|TXN12-2|TXN6-8|TXN5-2|30580000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||Y|0|Y||||||0.0|1.29|0.0|0.0|1.3|1.295|1.295|1.31|0.0|0.0|1.28|1.28|1.3|1.294|0.0|1.3|0.0|1.295|0.0|1.3|1.25|1.33|0.976|1.54|1.28|1.33|1.26|1.33|1.26|1.33|1.29|1.3|3.33|0.975|54665|25830664 53301|COE|COE|16954L204|US16954L2043|51Talk Online Education Group|American Depositary Shares, each representing sixty (60) Class A Ordinary Shares|Operating company|H|N|Y|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN4-5|TXN8-8|TXN2-4|TXN1-8|236110000|||NotApplicable|||||2023-05-26||||||| | | | | | | | | |||N|0|N|N|180B|SGP|KY|||40|4020|402010|40201010|Consumer Discretionary|Consumer Products and Services|Consumer Services |Education Services|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|7.7|7.81|0.0|0.0|0.0|8.0|0.0|0.0|0.0|0.0|0.0|7.8|7.8|0.0|7.8|7.4|8.4|7.79|7.91|7.6|8.42|0.0|0.0|0.0|0.0|7.4|8.46|9.24|1.5|1656|1495851 68526|COEP|COEP|19207A108|US19207A1088|Coeptis Therapeutics Holdings Inc|COM USD0.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN5-5|TXN11-6|TXN6-2|TXN5-4|34110000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||1.16|1.15|0.0|0.0|1.16|1.17|1.16|1.18|0.0|0.0|1.2|1.25|1.2|1.251|1.16|1.16|1.18|1.16|1.16|1.2|1.1|1.24|0.912|1.38|1.12|1.23|1.13|1.22|1.13|1.23|1.16|1.2|2.1899|0.809|328247|44941741 68528|COEPW|COEPW|19207A116|US19207A1161|Coeptis Therapeutics Holdings Inc|WT EXP 123124||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-4|TXN5-6|TXN10-5|TXN6-5|TXN6-6|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.07|0.07|0.0|0.0|0.0|0.065|0.0701|0.0675|0.0|0.0|0.0657|0.0657|0.07|0.0|0.0|0.0|0.0|0.07|0.0|0.07|0.0|0.0|0.0|0.0|0.0234|0.0975|0.0|0.0|0.0|0.0|0.07|0.0701|0.2|0.0189|13997|5457429 5543|COF|COF|14040H105|US14040H1059|Capital One Financial Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-7|TXN2-4|TXN1-4|TXN4-4|TXN4-1|380850000|||Quarterly|||||1994-11-16||||||| | | | | | | | | |||N|1|Y|Y|408A|USA|US|||50|5020|502050|50205015|Industrials|Industrial Goods and Services|Industrial Support Services|Transaction Processing Services|N||N||||||Y|0|Y||Y|1|||114.87|114.93|0.0|114.86|114.9|114.89|114.91|114.91|0.0|0.0|114.91|114.93|114.93|114.87|114.87|114.94|114.86|114.94|114.86|114.94|114.93|114.94|107.41|121.94|114.91|114.97|114.87|115.01|114.9|114.95|114.93|114.94|123.09|83.93|3594024|664659324 64507|COF PRI|COFpI|14040H824|US14040H8245|Capital One Financial Corporation|Depositary shares each representing a 1/40th interest in a share of Fixed Rate Non-Cumulative Perpetual Preferred Stock, Series I|Operating company|B|N|N|N|Y|Y|Y|Y|Y|6|H|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN1-3|TXN2-8|TXN3-5|TXN1-7|60000000|||Quarterly|||||2019-09-16||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||18.3|18.27|0.0|0.0|18.3|18.27|18.25|18.25|0.0|0.0|18.34|18.2|18.27|18.43|18.53|18.25|18.53|18.25|18.53|18.25|18.26|18.32|14.2|22.47|18.17|18.68|14.2|22.47|0.0|0.0|18.26|18.32|22.16|15.65|163267|31215237 65528|COF PRJ|COFpJ|14040H782|US14040H7825|Capital One Financial Corporation|Depositary Shares, Each Representing a 1/40th Interest in a Share of Fixed Rate Non- Cumulative Perpetual Preferred Stock, Series J|Operating company|B|N|N|N|Y|Y|Y|Y|Y|6|H|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN1-5|TXN8-8|TXN3-1|TXN4-1|50000000|||Quarterly|||||2020-02-05||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||17.76|17.79|0.0|0.0|17.81|17.8|17.8184|17.77|0.0|0.0|17.79|0.0|17.79|17.76|0.0|17.77|0.0|17.75|17.97|17.77|17.75|17.87|13.69|21.96|17.41|18.18|13.69|21.96|0.0|0.0|17.75|17.87|20.92|15.05|101811|23311186 67568|COF PRK|COFpK|14040H774|US14040H7742|Capital One Financial Corporation|Depositary Shares, Each Representing a 1/40th Ownership Interest in a Share of Fixed Rate Non-Cumulative Perpetual Preferred Stock, Series K|Operating company|B|N|N|N|Y|Y|Y|Y|Y|6|H|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN2-3|TXN4-8|TXN2-8|TXN2-8|5000000|||Quarterly|||||2020-09-21||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||17.56|17.48|0.0|0.0|17.7|17.5|17.5|17.8|0.0|0.0|17.57|0.0|17.5|17.43|0.0|17.5|17.73|17.5|0.0|17.5|17.5|17.82|17.35|17.65|17.07|17.65|0.0|0.0|0.0|0.0|17.5|17.81|20.8199|14.64|4946|3296287 70495|COF PRL|COFpL|14040H758|US14040H7585|Capital One Financial Corporation|Depositary Shares, Each Representing a 1/40th Ownership Interest in a Share of Fixed Rate Non-Cumulative Perpetual Preferred Stock, Series L|Operating company|B|N|N|N|Y|Y|Y|Y|Y|6|H|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN4-7|TXN3-8|TXN1-7|TXN2-2|27000000|||Quarterly|||||2021-05-06||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||16.24|16.27|0.0|0.0|16.2|16.29|16.29|16.28|0.0|0.0|16.25|16.32|16.29|0.0|0.0|16.24|16.205|16.24|16.27|16.24|16.2|16.29|0.0|0.0|15.92|16.6|0.0|0.0|0.0|0.0|15.23|17.06|19.35|13.57|198384|15799080 71307|COF PRN|COFpN|14040H733|US14040H7338|Capital One Financial Corporation|Depositary Shares, Each Representing a 1/40th Ownership Interest in a Share of Fixed Rate Non-Cumulative Perpetual Preferred Stock, Series N|Operating company|B|N|N|N|Y|Y|Y|Y|Y|6|H|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN1-7|TXN2-8|TXN3-7|TXN2-5|17000000|||Quarterly|||||2021-08-02||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||15.86|15.97|0.0|0.0|15.87|15.82|15.8606|15.87|0.0|0.0|15.9|16.0|15.85|0.0|0.0|15.8606|0.0|15.8606|0.0|15.8606|15.88|15.95|0.0|0.0|15.56|16.2|0.0|0.0|0.0|0.0|15.88|15.95|19.23|13.26|32237|10705039 11277|COFS|COFS|170386106|US1703861062|Choiceone Financial Services Inc|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN6-2|TXN14-8|TXN6-7|TXN6-8|7550000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|26.23|0.0|0.0|0.0|26.0|25.75|26.76|0.0|0.0|0.0|0.0|26.25|0.0|26.76|24.88|27.15|0.0|0.0|24.95|27.2|0.0|0.0|0.0|0.0|25.94|26.9|29.99|15.8421|20830|3672124 60844|COGT|COGT|19240Q201|US19240Q2012|Cogent Biosciences Inc|COM 0.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN6-1|TXN13-6|TXN5-5|TXN6-3|86120000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||8.29|8.24|0.0|8.6|8.25|8.26|8.275|8.25|0.0|0.0|8.275|8.25|8.27|8.26|8.26|8.28|8.3|8.26|8.25|8.27|8.12|8.38|6.45|10.2|8.13|8.36|8.26|8.31|0.0|8.31|8.26|8.27|15.68|6.43|1196001|173054408 32030|COHN|COHN|19249M102|US19249M1027|Cohen & Company Inc.|Common Stock|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-3|TXN2-5|TXN4-8|TXN3-3|TXN3-6|1820000|||Quarterly|||||2017-09-05||||||| | | | | | | | | |||N|0|N|N|310A|USA|US|||30|3020|302020|30202015|Financials|Financial Services |Investment Banking and Brokerage Services |Investment Services|N||N||||||N|0|Y||Y|2|||6.69|6.33|0.0|0.0|0.0|6.73|6.5001|0.0|0.0|0.0|6.47|0.0|6.5|0.0|0.0|9.85|6.47|6.47|0.0|6.47|5.95|6.83|6.34|6.48|6.34|6.89|5.39|7.92|0.0|0.0|6.34|6.48|11.99|3.2901|13024|4572264 2009|COHR|COHR|19247G107|US19247G1076|Coherent Corp.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-6|TXN2-3|TXN1-4|TXN2-3|TXN4-5|151480000|||NotApplicable|||||2023-02-23||||||| | | | | | | | | |||N|0|Y|Y|122A|USA|US|||10|1010|101020|10102020|Technology|Technology|Technology Hardware and Equipment|Production Technology Equipment|N||N||||||Y|0|Y||Y|1|||39.17|39.2|0.0|39.24|39.19|39.21|39.24|39.19|0.0|0.0|39.23|39.175|39.19|39.23|39.16|39.2|39.17|39.21|39.155|39.2|39.2|39.21|36.44|41.34|39.12|39.44|39.14|39.23|39.15|39.23|39.2|39.21|60.46|26.2901|1974305|546959733 902|COHU|COHU|192576106|US1925761066|Cohu Inc|COM USD1||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN6-6|TXN11-6|TXN5-4|TXN6-1|47510000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101020|10102020|Technology|Technology|Technology Hardware and Equipment|Production Technology Equipment|N||N||||||Y|0|Y||||||32.41|32.75|0.0|32.63|32.75|32.72|32.78|32.72|0.0|0.0|32.77|32.63|32.77|32.77|32.74|32.77|32.63|32.75|32.15|32.77|32.39|32.78|25.01|39.87|32.43|32.99|32.7|32.83|32.69|32.84|32.75|32.78|43.99|29.0671|306963|57343563 70219|COIN|COIN|19260Q107|US19260Q1076|COINBASE GLOBAL INC|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN5-3|TXN13-5|TXN6-5|TXN5-2|192050000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||USA||||30|3020|302020|30202015|Financials|Financial Services |Investment Banking and Brokerage Services |Investment Services|N||N||||||Y|0|Y||||||141.16|141.03|0.0|141.09|141.01|141.04|141.0396|141.085|0.0|0.0|141.13|141.09|141.09|141.0|141.0|140.97|141.06|141.11|141.06|141.09|140.92|141.37|133.06|150.89|140.98|141.19|140.79|141.38|140.72|141.13|141.06|141.11|146.3|31.55|21561895|3352256707 903|COKE|COKE|191098102|US1910981026|Coca Cola Consolidated Inc|COM 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Corp|UNITS||R|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN5-1|TXN11-4|TXN5-6|TXN5-7|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.25|0.0|0.0|0.0|10.25|0.0|10.25|9.7|11.86|0.0|0.0|10.25|11.29|8.18|13.94|0.0|0.0|10.25|11.29|10.915|9.8945|115|103107 68565|CONXW|CONXW|212873111|US2128731112|CONX Corp|WT EXP 103027||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-8|TXN6-4|TXN10-2|TXN5-6|TXN5-7|21480000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y|C|||||0.0|0.0|0.0|0.0|0.0|0.0|0.3|0.3|0.0|0.0|0.0|0.0|0.2761|0.0|0.0|0.0|0.0|0.28|0.0|0.28|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.2201|0.29|0.41|0.05|3373|8241764 76155|CONY|CONY|88634T824|US88634T8247|Tidal Trust II|YieldMax COIN Option Income Strategy ETF|Trust|ETS|N|N|P|Y|Y|Y|Y|Y||||||||Tidal ETF Services |Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-3|TXN3-1|TXN5-8|TXN1-3|TXN4-6|4250000|||Monthly|||||2023-08-15||CONY.NV|CONY.SO|CONY.EU|CONY.TC| | | | | | | | | | |1x|the Fund uses a synthetic covered call strategy to provide income and exposure to the share price returns of COIN, subject to a limit on potential investment gains as a result of the nature of the options strategy it employs.|N|0|N|N|416A|USA|US|HYBRID|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||26.01|25.99|0.0|26.02|26.02|26.0|26.01|26.02|0.0|0.0|25.99|25.95|26.01|26.01|26.01|25.95|25.0|26.0|26.01|26.0|20.29|31.56|20.29|31.56|25.99|26.0|25.87|26.1|25.87|26.09|25.99|26.0|26.36|18.0101|501432|17423022 5549|COO|COO|216648402|US2166484020|Cooper Cos Inc (The)|COM USD.1||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN6-2|TXN10-5|TXN5-7|TXN5-3|49520000|||NotApplicable|||||||||||| | | | | | | | | |||N|5|Y|N||USA||||20|2010|201020|20102015|Health Care |Health Care |Medical Equipment and Services|Medical Supplies|N||N||||||Y|0|Y||||||338.26|338.16|0.0|338.54|338.3|338.27|338.25|338.17|0.0|0.0|337.75|338.84|338.32|338.66|337.805|337.92|337.65|338.54|338.14|338.32|335.23|341.4|317.63|362.36|338.05|338.71|337.61|339.09|338.25|339.01|338.25|338.53|399.62|303.74|271847|67384972 71266|COOK|COOK|89269P103|US89269P1030|Traeger, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|P|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN1-1|TXN2-7|TXN3-4|TXN4-5|125810000|||NotApplicable|||||2021-07-29||||||| | | | | | | | | |||N|0|N|Y|124A|USA|US|||40|4020|402020|40202020|Consumer Discretionary|Consumer Products and Services|Household Goods and Home Construction|Household Appliance|N||N||||||Y|0|Y||Y|2|||2.4|2.4|0.0|2.4|2.41|2.41|2.405|2.39|0.0|0.0|2.41|2.4|2.405|2.4|2.36|2.41|2.33|2.405|2.455|2.41|2.4|2.41|1.83|2.94|2.39|2.42|2.37|2.44|2.4|2.42|2.4|2.41|6.7|2.05|998086|120889574 69266|COOL|COOL|G2425N105|KYG2425N1051|Corner Growth Acquisition Corp|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN5-7|TXN14-6|TXN6-6|TXN6-5|10250000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.68|0.0|10.68|0.0|0.0|0.0|0.0|10.67|11.0|0.0|0.0|0.0|0.0|10.67|10.94|14.9999|9.68|101|1805562 68529|COOLU|COOLU|G2425N121|KYG2425N1218|Corner Growth Acquisition Corp|UNITS||R|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN6-7|TXN13-6|TXN5-3|TXN5-5|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|8.64|13.5|0.0|0.0|10.33|11.3|8.64|13.5|0.0|0.0|10.8|11.25|12.88|9.5|0|123422 69267|COOLW|COOLW|G2425N113|KYG2425N1135|Corner Growth Acquisition Corp|WRRT||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-4|TXN6-8|TXN12-8|TXN5-5|TXN5-7|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y|C|||||0.0351|0.0366|0.0|0.0|0.0|0.0403|0.05|0.0385|0.0|0.0|0.0351|0.0488|0.0487|0.0|0.0|0.0|0.0|0.05|0.0|0.05|0.043|0.0684|0.0|0.0|0.043|0.0684|0.0|0.0|0.0|0.0|0.05|0.0599|0.189285|0.0251|47777|8649102 40447|COOP|COOP|62482R107|US62482R1077|Mr. Cooper Group Inc|COM USD.00001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN5-1|TXN10-7|TXN5-7|TXN6-7|65860000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302010|30201025|Financials|Financial Services |Finance and Credit Services|Mortgage Finance|N||N||||||Y|0|Y||||||63.14|63.25|0.0|62.99|63.25|63.25|63.22|63.22|0.0|0.0|63.22|62.97|63.2|63.21|63.0|63.26|0.0|63.22|62.72|63.2|63.12|63.3|48.36|77.11|63.1|63.32|63.13|63.29|63.17|63.25|63.19|63.22|63.52|37.54|483306|139402123 5550|COP|COP|20825C104|US20825C1045|ConocoPhillips|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|A|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-4|TXN1-2|TXN3-1|TXN3-7|TXN4-6|1187410000|||Quarterly|||||1920-05-27||||||| | | | | | | | | |||N|1|Y|Y|134D|USA|US|||60|6010|601010|60101010|Energy|Energy|Oil, Gas and Coal|Oil: Crude Producers|N||N||||||Y|0|Y||Y|1|||114.54|114.52|0.0|114.47|114.52|114.525|114.53|114.53|0.0|0.0|114.54|114.49|114.53|114.54|114.44|114.53|114.48|114.53|114.51|114.53|114.52|114.53|108.41|121.55|114.5|114.55|114.45|114.57|114.44|114.6|114.52|114.53|127.35|91.5338|4824795|1315038241 75193|COPJ|COPJ|85208P501|US85208P5017|Sprott Junior Copper Miners ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN6-4|TXN11-7|TXN5-5|TXN5-2|220000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CAN||||||||||||N||N||||||N|0|Y||||||17.72|17.72|0.0|0.0|17.72|17.72|17.72|17.72|0.0|0.0|17.51|0.0|17.73|17.72|0.0|17.55|0.0|17.72|0.0|17.73|16.16|18.66|0.0|0.0|17.29|17.97|16.16|18.66|0.0|0.0|17.51|17.74|21.92|15.84|33710|846518 32580|COPX|COPX|37954Y830|US37954Y8306|Global X Funds|Global X Copper Miners ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Global X|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-1|TXN1-5|TXN8-8|TXN2-2|TXN2-7|39299374|||BiAnnually|||||2010-04-20||COPX.NV|COPX.SO|COPX.EU|COPX.TC|COPX.IV| | | | | | | | | |1x|Global X Copper Miners ETF (COPX) seeks to provide investment results that correspond generally to the price and yield performance, before fees and expenses, of the Solactive Global Copper Miners Index. The Underlying Index is free float adjusted, liquidity tested and market capitalization-weighted index that is designed to measure broad based equity market performance of global companies involved in the copper mining industry, as defined by Structured Solutions AG.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||35.09|35.12|0.0|34.91|35.06|35.11|35.1|35.12|0.0|0.0|35.11|35.08|35.12|35.01|35.01|35.13|34.91|35.09|35.04|35.09|32.98|37.46|32.98|37.46|35.0|35.1|34.79|35.52|34.79|35.52|35.0|35.1|42.44|31.6488|2535071|119974172 4553|COR|COR|03073E105|US03073E1055|Cencora, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|T|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-5|TXN1-2|TXN1-8|TXN2-2|TXN1-3|200710000|||Quarterly|||||1993-12-16||||||| | | | | | | | | |||N|5|Y|Y|140A|USA|US|||45|4520|452010|45201015|Consumer Staples |Personal Care, Drug and Grocery Stores |Personal Care, Drug and Grocery Stores |Drug Retailers|N||N||||||Y|0|Y||Y|1|||203.58|203.82|0.0|203.58|203.82|203.84|203.76|203.81|0.0|0.0|203.84|203.81|203.61|203.68|203.8|203.76|203.79|203.6|203.87|203.76|203.59|203.6|191.13|217.39|203.55|203.82|194.06|214.74|202.76|204.65|203.59|203.6|205.83|171.65|1246946|94678534 32825|CORN|CORN|88166A102|US88166A1025|Teucrium Commodity Trust|Teucrium Corn Fund|Trust|ETV|N|N|P|Y|Y|Y|Y|Y||||||||Teucrium|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-6|TXN2-3|TXN5-8|TXN3-4|TXN2-4|3875004|||NotApplicable|||||2010-06-09||CORN.NV|CORN.SO| | |CORN.IV| | | | | | | | | |1x|Teucrium Corn Fund (the Fund) is a commodity pool that is a series of Teucrium Commodity Trust (Trust), a Delaware statutory trust.The Fund will issue common units representing fractional undivided beneficial interests in such Fund, called Shares.The Fund intends to continuously offer creation baskets consisting of 100,000 Shares to Authorized Purchasers through ALPS Distributors, Inc., which is the marketing agent for Shares of the Fund (the Marketing Agent).Authorized Purchasers, in turn, may offer to the public Shares of any baskets they create.The Funds Shares are expected to trade on the secondary market on the NYSE Arca exchange (NYSE Arca) and may trade in the secondary market at prices that are lower or higher than their net asset value per Share.Fund Shares will be listed on the NYSE Arca under the symbol CORN. The investment objective of the Fund is to have the daily changes in percentage terms of the Funds net asset value per Share reflect the daily changes in percentage terms of a weighted average of the closing settlement prices for three corn futures contracts specifically, (1) the second-to-expire corn futures contract traded on the Chicago Board of Trade (CBOT), weighted 35%, (2) the third-to-expire CBOT corn futures contract, weighted 30%, and (3) the CBOT corn futures contract expiring in the December following the expiration month of third-to-expire contract, weighted 35%, less the Funds expenses.The Funds sponsor is Teucrium Trading, LLC (the Sponsor), a Delaware limited liability company that is registered as a commodity pool operator with the Commodity Futures Trading Commission (CFTC) and a member of the National Futures Association (NFA).The Sponsor makes investment decisions for the Fund and otherwise controls its operations.|N|0|N|N|416A|USA|US|COMMODITIES_AND_FUTURES|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||21.98|22.11|0.0|0.0|22.21|22.21|22.0995|21.98|0.0|0.0|22.16|22.2|22.12|22.17|0.0|0.0|0.0|22.09|0.0|22.09|21.1|23.3|22.06|22.13|22.08|22.09|22.06|22.14|22.05|22.14|22.08|22.09|27.21|21.535|52682|18320451 35737|CORP|CORP|72201R817|US72201R8170|PIMCO ETF Trust|PIMCO Investment Grade Corporate Bond Index Exchange-Traded Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||PIMCO|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN3-3|TXN9-5|TXN2-2|TXN1-1|10030000|||Monthly|||||2010-09-20||CORP.NV|CORP.SO|CORP.EU|CORP.TC|CORP.IV| | | | | | | | | |1x|The Fund seeks to provide total return that closely corresponds, before fees and expenses, to the total return of The BofA Merrill Lynch US Corporate Index. The BofA Merrill Lynch US Corporate Index is an unmanaged index that tracks the performance of US dollar denominated investment grade corporate debt publicly issued in the US domestic market. Qualifying securities int he Index must have at least one year remaining term to final maturity, a fixed coupon schedule and a minimum amount outstanding of $250 million.|N|0|N|N|416A|USA|US|FIXED_INCOME|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||94.08|94.08|0.0|0.0|94.08|94.08|94.1638|94.28|0.0|0.0|94.06|92.94|94.15|94.16|0.0|94.25|0.0|94.1642|93.76|94.1642|89.47|98.91|87.79|100.54|94.15|94.25|89.47|98.91|0.0|0.0|93.22|94.2|98.0|88.56|109992|23919489 918|CORT|CORT|218352102|US2183521028|Corcept Therapeutics Inc|COM USD.00001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN5-8|TXN11-8|TXN5-4|TXN5-7|103080000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103015|Health Care |Health Care |Pharmaceuticals and Biotechnology|Pharmaceuticals |N||N||||||Y|0|Y||||||26.26|26.24|0.0|26.17|26.23|26.21|26.255|26.25|0.0|0.0|26.25|26.21|26.26|26.19|26.18|26.17|26.18|26.24|26.24|26.26|26.2|26.3|20.05|32.02|26.19|26.31|26.21|26.29|26.22|26.31|26.23|26.25|34.275|17.86|433598|167747117 32875|COSM|COSM|221413305|US2214133058|Cosmos Health Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN5-8|TXN14-3|TXN6-6|TXN5-2|13400000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||45|4520|452010|45201015|Consumer Staples |Personal Care, Drug and Grocery Stores |Personal Care, Drug and Grocery Stores |Drug Retailers|N||N||||||Y|0|Y||||||1.06|1.05|0.0|1.07|1.05|1.06|1.06|1.08|0.0|0.0|1.06|1.08|1.06|0.0|1.05|1.055|1.05|1.06|0.0|1.06|1.03|1.1|0.848|1.29|1.03|1.1|1.04|1.1|1.03|1.11|1.06|1.08|23.84|0.238|227231|363107891 923|COST|COST|22160K105|US22160K1051|Costco Wholesale Corp|COM USD.1||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|4|0.01|0.01|5000000|1|100|TXN13-3|TXN6-1|TXN13-2|TXN5-8|TXN5-5|442740000|||NotApplicable|||||||||||| | | | | | | | | |||N|1|Y|N||USA||||40|4040|404010|40401010|Consumer Discretionary|Retail |Retailers |Diversified Retailers|N||N||||||Y|0|Y||||||599.29|598.95|0.0|598.95|599.05|599.03|598.92|598.965|0.0|0.0|599.24|599.36|599.08|599.29|599.1|599.05|599.53|599.07|0.0|599.08|598.49|599.42|556.62|631.94|598.77|599.57|598.62|599.39|598.94|599.15|598.94|599.08|599.94|447.9|1624045|414783873 42207|COTY|COTY|222070203|US2220702037|Coty Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|B|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-6|TXN1-6|TXN5-5|TXN2-8|TXN4-6|891670000|||Quarterly|||||2013-06-13||||||| | | | | | | | | |||N|0|Y|Y|120B|USA|US|||40|4020|402040|40204035|Consumer Discretionary|Consumer Products and Services|Personal Goods|Cosmetics|N||N||||||Y|0|Y||Y|1|||11.86|11.86|0.0|11.86|11.87|11.86|11.87|11.855|0.0|0.0|11.86|11.86|11.87|11.855|11.85|11.86|11.855|11.87|11.85|11.86|11.86|11.87|11.03|12.58|11.86|11.87|11.83|11.9|11.83|11.89|11.86|11.87|13.46|7.72|5173122|1221844003 70055|COUR|COUR|22266M104|US22266M1045|Coursera, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-3|TXN3-1|TXN7-2|TXN2-3|TXN3-8|152550000|||NotApplicable|||||2021-03-31||||||| | | | | | | | | |||N|0|N|Y|180B|USA|US|||40|4020|402010|40201010|Consumer Discretionary|Consumer Products and Services|Consumer Services |Education Services|N||N||||||Y|0|Y||Y|2|||20.45|20.45|0.0|20.15|20.45|20.45|20.44|20.465|0.0|0.0|20.45|20.45|20.46|20.46|20.44|20.46|20.49|20.46|20.44|20.46|20.45|20.47|15.58|24.84|20.42|20.49|20.41|20.49|20.45|20.49|20.45|20.47|20.5|9.91|1222289|271533034 75048|COWG|COWG|69374H360|US69374H3600|Pacer US Large Cap Cash Cows Growth Leaders ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN6-6|TXN12-5|TXN5-2|TXN5-3|1950000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||22.81|22.68|0.0|0.0|22.81|22.69|22.77|0.0|0.0|0.0|0.0|0.0|22.6898|22.81|0.0|0.0|0.0|22.67|0.0|22.6898|17.53|27.79|17.53|27.79|22.68|22.7|17.53|27.79|0.0|0.0|22.68|22.7|22.9472|19.275|20038|3717061 76282|COWS|COWS|032108698|US0321086987|Amplify Cash Flow Dividend Leaders ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN6-7|TXN10-5|TXN6-4|TXN5-3|230000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|25.78|0.0|0.0|0.0|0.0|25.711|0.0|0.0|0.0|0.0|0.0|25.7647|0.0|0.0|0.0|0.0|25.74|0.0|25.7647|0.0|0.0|0.0|0.0|25.75|25.78|0.0|0.0|0.0|0.0|25.75|25.77|25.94|23.0033|3265|277713 54689|COWZ|COWZ|69374H881|US69374H8815|Pacer US Cash Cows 100 ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-3|TXN1-6|TXN1-3|TXN2-6|TXN2-8|336750000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||50.56|50.56|0.0|0.0|50.56|50.55|50.55|50.565|0.0|0.0|50.56|50.51|50.55|50.56|50.55|50.55|50.57|50.56|50.58|50.56|50.54|50.56|50.48|50.62|50.54|50.56|50.47|50.59|50.47|50.62|50.54|50.56|52.09|43.7|2302342|432119459 75057|COYA|COYA|22407B108|US22407B1089|Coya Therapeutics Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN6-1|TXN12-3|TXN6-7|TXN5-8|10030000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||7.22|7.15|0.0|0.0|6.79|7.31|7.275|6.79|0.0|0.0|7.05|6.65|7.22|6.95|0.0|0.0|0.0|7.31|0.0|7.22|6.94|7.59|5.59|9.0|7.0|7.52|5.59|9.0|0.0|0.0|7.2|7.35|8.0|3.21|91691|15138318 5556|CP|CP|13646K108|CA13646K1084|Canadian Pacific Kansas City Limited|Common Shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|8|R|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN1-8|TXN4-4|TXN4-7|TXN3-7|931790000|||Quarterly|||||2001-10-03||||||| | | | | | | | | |||N|0|N|Y|204A|CAN|CA|||50|5020|502060|50206020|Industrials|Industrial Goods and Services|Industrial Transportation|Railroads|N||N||||||Y|0|Y||Y|2|||74.6|74.62|0.0|74.62|74.65|74.61|74.63|74.62|0.0|0.0|74.65|74.73|74.61|74.6|74.66|74.6|74.69|74.61|74.68|74.6|74.6|74.65|57.65|91.34|74.57|74.65|74.55|74.71|74.55|74.72|74.6|74.65|85.4|68.92|2034412|481192965 15833|CPA|CPA|P31076105|PAP310761054|Copa Holdings, S.A.|Class A Common Stock|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN4-7|TXN4-8|TXN2-3|TXN1-3|31770000|||Quarterly|||||2005-12-15||||||| | | | | | | | | |||N|0|N|Y|202A|PAN|PA|||40|4050|405010|40501010|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Airlines|N||N||||||Y|0|Y||Y|2|||94.67|94.58|0.0|94.64|94.635|94.62|94.63|94.62|0.0|0.0|94.64|94.44|94.64|94.635|93.92|94.64|93.67|94.63|94.55|94.64|94.55|94.64|72.06|115.15|93.86|95.33|94.45|94.75|94.55|94.81|94.55|94.64|121.2|78.12|309877|110521616 39557|CPAC|CPAC|15126Q208|US15126Q2084|Cementos Pacasmayo S.A.A.|American Depositary Shares (Each representing five Common Shares)|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|6|O|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN4-2|TXN2-8|TXN4-7|TXN1-8|423870000|||Adhoc|||||2017-03-03||||||| | | | | | | | | |||N|0|N|Y|110E|PER|PE|||50|5010|501010|50101030|Industrials|Construction and Materials|Construction and Materials |Cement|N||N||||||N|0|Y||Y|2|||4.69|4.7|0.0|0.0|4.66|4.7|4.6909|0.0|0.0|0.0|4.66|4.66|4.69|0.0|0.0|4.7|0.0|4.6909|0.0|4.7|4.65|4.7|0.0|0.0|4.36|4.7|0.0|0.0|0.0|0.0|4.65|4.7|5.6|4.65|18756|1748802 76694|CPAI|CPAI|66538R540|US66538R5404|Northern Lights Fund Trust III|Counterpoint Quantitative Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Ultimus Fund Solutions (Counterpoint Mutual Funds)|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN2-6|TXN6-8|TXN3-5|TXN4-6|20000|||Yearly|||||2023-11-29||CPAI.NV|CPAI.SO|CPAI.EU|CPAI.TC| | | | | | | | | | ||Counterpoint Quantitative Equity ETF is an actively managed exchange-traded fund incorporated in the USA. The Fund uses machine-learning models to invest in company stocks using factor categories of value, momentum, long-term reversal, sentiment, quality, and stability as inputs in the security selection process. Factor selection is derived from published academic papers as well as the advisors proprietary research. The Fund will attempt to outperform the S&P 1000 Total Return Index.|N|0|N|N|408A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|25.68|0.0|0.0|0.0|0.0|25.6693|0.0|0.0|0.0|25.67|0.0|0.0|0.0|0.0|0.0|0.0|25.6569|0.0|25.6569|25.57|25.69|19.33|31.67|25.63|25.68|19.33|31.67|0.0|0.0|25.63|25.68|25.68|25.1372|35833|215877 5557|CPB|CPB|134429109|US1344291091|Campbell Soup Company|Capital Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|B|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-7|TXN1-2|TXN6-2|TXN3-7|TXN4-5|297620000|||Quarterly|||||1954-12-13||||||| | | | | | | | | |||N|5|Y|Y|118B|USA|US|||45|4510|451020|45102020|Consumer Staples |Food, Beverage and Tobacco |Food Producers|Food Products|N||N||||||Y|0|Y||Y|1|||41.0|41.01|0.0|41.01|41.0|41.005|41.01|41.01|0.0|0.0|41.01|41.0|41.01|41.01|40.97|41.01|41.0|41.01|41.0|41.01|41.01|41.02|38.59|43.71|41.0|41.02|40.96|41.05|40.96|41.05|41.01|41.02|57.775|37.94|3789111|597302501 76497|CPBI|CPBI|15486W100|US15486W1009|Central Plains Bancshares Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN5-8|TXN11-8|TXN5-5|TXN5-2|4130000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||||||0.0|9.98|0.0|9.94|9.96|9.99|9.999|9.93|0.0|0.0|10.0|0.0|10.0|0.0|0.0|0.0|0.0|10.0|10.0|10.0|7.6|12.18|7.6|12.18|9.33|10.66|7.6|12.18|0.0|0.0|9.9|10.0|10.2|8.2006|17211|1601594 5560|CPE|CPE|13123X508|US13123X5086|Callon Petroleum Company|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|A|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-1|TXN3-8|TXN5-2|TXN4-6|TXN2-3|67770000|||NotApplicable|||||1998-04-22||||||| | | | | | | | | |||N|0|N|Y|134A|USA|US|||60|6010|601010|60101010|Energy|Energy|Oil, Gas and Coal|Oil: Crude Producers|N||N||||||Y|0|Y||Y|2|||31.18|31.2|0.0|31.15|31.19|31.195|31.2|31.2|0.0|0.0|31.18|31.16|31.2|31.18|31.17|31.2|31.17|31.2|31.1|31.2|31.19|31.2|23.95|38.01|31.14|31.23|31.14|31.23|31.13|31.24|31.19|31.2|44.4892|28.91|1030297|361086678 39071|CPER|CPER|911718104|US9117181043|United States Commodity Index Funds Trust|United States Copper Index Fund|Trust|ETV|N|N|P|Y|Y|Y|Y|Y||||||||United States Commodity Funds |Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-4|TXN2-1|TXN7-8|TXN2-6|TXN2-5|5300000|||NotApplicable|||||2011-11-15||CPER.NV|CPER.SO| | |CPER.IV| | | | | | | | | |1x|The investment objective of CPER is for the daily changes in percentage terms of its units net asset value (NAV) to reflect the daily changes in percentage terms of the SummerHaven Copper Index Total ReturnTM (the Copper Index), less CPERs expenses. The Copper Index is designed as a benchmark for investors seeking attractive risk-adjusted returns on a portfolio of copper futures contracts. CPERs sponsor does not intend to operate CPER in a fashion such that its per unit NAV will equal, in dollar terms, the spot price of copper underlying the futures contracts that comprise the Copper Index.|N|0|N|N|416A|USA|US|COMMODITIES_AND_FUTURES|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||23.7|0.0|0.0|24.26|23.7|23.7|23.69|23.7|0.0|0.0|23.71|23.71|23.7|23.7|0.0|23.54|0.0|23.69|23.7|23.69|22.28|25.39|23.63|23.76|23.69|23.7|23.63|23.76|23.63|23.76|23.69|23.7|26.38|21.88|74099|21974148 5562|CPF|CPF|154760409|US1547604090|Central Pacific Financial Corp.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|A|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN2-8|TXN3-8|TXN4-6|TXN3-2|27040000|||Quarterly|||||2011-02-03||||||| | | | | | | | | |||N|0|N|Y|402A|USA|US|||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||Y|2|||18.6|18.59|0.0|18.54|18.58|18.59|18.57|18.6|0.0|0.0|18.49|18.6|18.56|18.6|18.54|18.59|18.58|18.57|18.6|18.59|18.55|18.58|14.09|22.6|18.43|18.65|14.54|18.62|18.54|18.58|18.54|18.58|24.55|13.22|194268|44423923 43402|CPG|CPG|22576C101|CA22576C1014|Crescent Point Energy Corp.|Common shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|5|A|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-4|TXN1-2|TXN1-7|TXN2-1|TXN1-2|536110000|||Quarterly|||||2014-01-22||||||| | | | | | | | | |||N|0|N|Y|134C|CAN|CA|||60|6010|601010|60101010|Energy|Energy|Oil, Gas and Coal|Oil: Crude Producers|N||N||||||Y|0|Y||Y|2|||6.92|6.925|0.0|7.0|6.92|6.92|6.93|6.93|0.0|0.0|6.93|6.93|6.925|6.935|6.93|6.92|6.93|6.92|6.92|6.92|6.92|6.93|5.43|8.59|6.92|6.93|6.9|6.96|6.89|6.97|6.92|6.93|8.5899|5.59|5147130|1003505604 5971|CPHC|CPHC|13811E101|US13811E1010|Canterbury Park Holding Corp|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN5-1|TXN11-2|TXN6-5|TXN6-5|4950000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4050|405010|40501020|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Casinos and Gambling|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|19.0591|0.0|0.0|0.0|0.0|0.0|19.0|0.0|0.0|0.0|0.0|19.06|0.0|19.06|0.0|0.0|0.0|0.0|18.0|20.11|0.0|0.0|0.0|0.0|19.0|19.53|31.6|18.0|7731|911503 16442|CPHI|CPHI|16941T203|US16941T2033|China Pharma Holdings, Inc.|Common stock|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Brendan E. Cryan and Company, L.L.C.|CRYN|0235|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN11-5|TXN4-7|TXN8-8|TXN3-6|TXN3-7|32950000|||NotApplicable|||||2009-09-30||||||| | | | | | | | | |||N|0|N|N|140A|CHN|US|||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|2|Y||Y|2|||0.135|0.133|0.0|0.126|0.1317|0.1317|0.1319|0.131|0.0|0.0|0.1313|0.1348|0.132|0.1342|0.1349|0.1317|0.13|0.13|0.1327|0.13|0.1254|0.1439|0.13|0.137|0.1254|0.138|0.1254|0.1439|0.131|0.145|0.13|0.137|0.689999|0.063|2932804|370110885 5564|CPI|CPI|45409B602|US45409B6020|IndexIQ ETF Trust|IQ Real Return ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||IndexIQ |Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-3|TXN1-7|TXN1-5|TXN3-4|TXN1-1|150000|||Monthly|||||2009-10-26||CPI.NV|CPI.SO|CPI.EU|CPI.TC|CPI.IV| | | | | | | | | |1x|IQ CPI Inflation Hedged ETF (CPI) seeks investment results that correspond (before fees and expenses) generally to the price and yield performance of the IQ CPI Inflation Hedged Index, developed by IndexIQ. The Underlying Index seeks to provide investors with a hedge against changes in the U.S. inflation rate by providing a real return or a return above the rate of inflation, as represented by the CPI (the Strategy). The CPI, which is published by the Bureau of Labor Statistics, is a measure of the average change in prices over time of goods and services purchased by households.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|25.69|0.0|0.0|0.0|0.0|0.0|25.12754|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|25.593|0.0|25.593|25.32|25.86|25.55|25.59|25.56|25.62|25.56|25.62|0.0|0.0|25.56|25.62|25.7997|24.07|13|440280 74222|CPII|CPII|886364553|US8863645532|Tidal ETF Trust|Ionic Inflation Protection ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Tidal ETF Services |Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-6|TXN3-1|TXN5-8|TXN4-1|TXN3-3|650000|||Monthly|||||2022-06-29||CPII.NV|CPII.SO|CPII.EU|CPII.TC| | | | | | | | | | ||The Fund is an actively-managed exchange traded fund (ETF) that seeks to achieve its investment objective by investing primarily in a portfolio of inflation swap agreements (swaps) on the Consumer Price Index (CPI), interest rate swaps, swaptions and U.S. Treasury Obligations including U.S. Treasury Inflation-Protected Securities (TIPS).|N|0|N|N|416A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|19.67|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|19.69|0.0|19.69|0.0|0.0|0.0|0.0|19.67|19.71|0.0|0.0|0.0|0.0|19.67|19.71|22.22|19.1452|60|181917 25263|CPIX|CPIX|230770109|US2307701092|Cumberland Pharmaceuticals Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN5-2|TXN13-5|TXN5-8|TXN5-6|14260000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103015|Health Care |Health Care |Pharmaceuticals and Biotechnology|Pharmaceuticals |N||N||||||Y|0|Y||||||0.0|0.0|0.0|0.0|0.0|1.73|1.7397|1.715|0.0|0.0|0.0|0.0|1.68|0.0|0.0|1.71|0.0|1.69|0.0|1.68|1.59|1.84|0.0|0.0|1.62|1.82|1.3|2.1|0.0|0.0|1.68|1.74|2.91|1.43|4987|4703690 5565|CPK|CPK|165303108|US1653031088|Chesapeake Utilities Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN1-7|TXN7-8|TXN3-4|TXN3-1|21660000|||Quarterly|||||1993-01-04||||||| | | | | | | | | |||N|0|N|Y|310A|USA|US|||65|6510|651020|65102020|Utilities|Utilities|Gas, Water and Multi-utilities |Gas Distribution|N||N||||||Y|0|Y||Y|2|||101.3|100.78|0.0|101.54|101.23|100.78|100.75|100.965|0.0|0.0|100.98|101.13|100.73|101.33|98.53|100.75|101.26|100.74|101.04|100.75|100.85|100.86|78.45|125.07|100.54|101.21|100.43|101.19|100.48|100.97|100.85|100.86|132.91|83.795|208378|25049694 19332|CPLP|CPLP|Y11082206|MHY110822068|Capital Product Partners LP|COM UNIT||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN6-4|TXN12-8|TXN6-2|TXN6-5|19950000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||GRC||||50|5020|502060|50206030|Industrials|Industrial Goods and Services|Industrial Transportation|Marine Transportation|N||N||||||Y|0|Y||||||13.84|0.0|0.0|0.0|0.0|13.75|13.85|13.59|0.0|0.0|13.74|13.65|13.84|13.84|0.0|0.0|0.0|13.85|0.0|13.84|12.82|14.44|0.0|0.0|12.7|13.85|10.54|16.84|0.0|0.0|13.6|13.85|16.1|11.93|47533|9442322 69614|CPNG|CPNG|22266T109|US22266T1097|Coupang, Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-7|TXN2-7|TXN5-2|TXN4-5|TXN2-3|1612990000|||NotApplicable|||||2021-03-11||||||| | | | | | | | | |||N|0|Y|Y|108B|USA|US|||40|4040|404010|40401010|Consumer Discretionary|Retail |Retailers |Diversified Retailers|N||N||||||Y|0|Y||Y|1|||15.37|15.365|0.0|15.37|15.37|15.365|15.365|15.365|0.0|0.0|15.36|15.37|15.365|15.38|15.37|15.36|15.375|15.36|15.36|15.36|15.36|15.37|14.52|16.27|15.36|15.37|15.34|15.4|15.36|15.41|15.36|15.37|19.99|12.665|12288393|1769888657 71019|CPOP|CPOP|G71700119|KYG717001195|Pop Culture Group Co Ltd|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN6-6|TXN12-8|TXN6-7|TXN6-5|1830000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||40|4030|403010|40301010|Consumer Discretionary|Media|Media|Entertainment|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|1.45|1.445|0.0|0.0|0.0|0.0|0.0|1.41|0.0|0.0|0.0|0.0|1.445|0.0|1.445|1.09|1.83|1.09|1.83|1.31|1.53|1.09|1.83|0.0|0.0|1.41|1.48|2.76|0.2551|5966|18450918 39361|CPRI|CPRI|G1890L107|VGG1890L1076|Capri Holdings Limited|Ordinary Shares|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-7|TXN4-4|TXN4-4|TXN3-2|TXN1-3|116220000|||NotApplicable|||||2011-12-15||||||| | | | | | | | | |||N|0|Y|Y|148B|GBR|VG|||40|4040|404010|40401020|Consumer Discretionary|Retail |Retailers |Apparel Retailers|N||N||||||Y|0|Y||Y|1|||48.695|48.74|0.0|48.72|48.72|48.755|48.7|48.76|0.0|0.0|48.745|48.74|48.73|48.73|48.7|48.73|48.74|48.73|48.7|48.73|48.7|48.73|45.33|51.63|48.7|48.79|48.7|48.75|48.66|48.75|48.7|48.73|69.25|34.17|897597|596256674 930|CPRT|CPRT|217204106|US2172041061|Copart Inc|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN6-1|TXN10-7|TXN6-5|TXN6-3|960230000|||NotApplicable|||||||||||| | | | | | | | | |||N|5|Y|N||USA||||40|4020|402010|40201070|Consumer Discretionary|Consumer Products and Services|Consumer Services |Consumer Services: Misc.|N||N||||||Y|0|Y||||||49.08|49.09|0.0|49.08|49.07|49.08|49.089|49.085|0.0|0.0|49.09|49.08|49.09|49.08|49.045|49.075|49.08|49.08|49.06|49.09|49.08|49.11|45.8|52.31|49.08|49.11|49.04|49.12|49.06|49.11|49.08|49.09|94.77|42.41|5680522|619474140 17419|CPRX|CPRX|14888U101|US14888U1016|Catalyst Pharmaceutical Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN5-7|TXN14-2|TXN6-1|TXN5-4|106610000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||15.07|15.055|0.0|14.91|15.06|15.06|15.059|15.06|0.0|0.0|15.06|15.06|15.06|15.01|15.05|15.06|15.04|15.04|15.06|15.06|15.04|15.08|11.65|18.17|15.01|15.09|15.03|15.08|15.03|15.09|15.04|15.06|22.11|11.09|1068395|401042476 42905|CPS|CPS|21676P103|US21676P1030|Cooper-Standard Holdings Inc.|Common stock, par value $0.001 per share|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|N|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN4-1|TXN9-8|TXN1-6|TXN3-3|17200000|||NotApplicable|||||2013-10-17||||||| | | | | | | | | |||N|0|N|Y|132B|USA|US|||40|4010|401010|40101025|Consumer Discretionary|Automobiles and Parts|Automobiles and Parts|Auto Parts|N||N||||||Y|0|Y||Y|2|||18.21|18.26|0.0|18.2|18.17|18.21|18.25|18.235|0.0|0.0|18.15|18.07|18.26|18.26|18.24|18.28|18.21|18.27|18.23|18.28|18.23|18.27|14.13|22.41|18.14|18.32|18.17|18.34|18.23|18.34|18.23|18.27|22.74|5.92|118797|46463932 19285|CPSH|CPSH|12619F104|US12619F1049|CPS Technologies Corp|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN6-7|TXN11-2|TXN5-5|TXN6-2|14520000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||55|5510|551020|55102035|Basic Materials|Basic Resources|Industrial Metals and Mining|Aluminum|N||N||||||Y|0|Y||||||0.0|0.0|0.0|0.0|0.0|2.35|2.3953|0.0|0.0|0.0|2.38|0.0|2.35|2.369|0.0|0.0|2.35|2.3953|0.0|2.3953|2.21|2.51|0.0|0.0|2.21|2.46|1.79|2.91|0.0|0.0|2.35|2.4|3.5|2.21|35162|6996280 931|CPSI|CPSI|205306103|US2053061030|Computer Programs and Systems Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN5-6|TXN11-6|TXN6-3|TXN6-5|14550000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201010|20101025|Health Care |Health Care |Health Care Providers|Health Care Services|N||N||||||Y|0|Y||||||10.64|10.69|0.0|10.72|10.64|10.66|10.64|10.65|0.0|0.0|10.65|10.67|10.65|10.71|10.89|10.7|10.87|10.65|10.67|10.65|10.55|10.76|8.34|13.08|10.59|10.75|10.62|10.69|10.61|10.7|10.65|10.66|31.62|10.4|226070|33349193 932|CPSS|CPSS|210502100|US2105021008|Consumer Portfolio Services Inc|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN6-7|TXN13-8|TXN6-5|TXN5-4|21120000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302010|30201020|Financials|Financial Services |Finance and Credit Services|Consumer Lending|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|9.21|9.2|0.0|0.0|0.0|0.0|0.0|9.14|0.0|0.0|0.0|0.0|9.17|0.0|9.14|8.84|9.54|0.0|0.0|8.92|9.41|7.28|10.98|0.0|0.0|9.11|9.21|13.745|7.0132|8255|7296292 5572|CPT|CPT|133131102|US1331311027|Camden Property Trust|Common Shares of Beneficial Interest|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-2|TXN3-7|TXN3-5|TXN4-6|TXN3-6|106770000|||Quarterly|||||1993-07-22||||||| | | | | | | | | |||N|5|Y|Y|412A|USA|US|||35|3510|351020|35102040|Real Estate|Real Estate |Real Estate Investment Trusts|Residential REITs|N||N||||||N|0|Y||Y|1|||93.06|93.06|0.0|93.04|93.04|93.07|93.035|93.04|0.0|0.0|93.02|93.08|93.04|93.06|93.06|93.04|92.93|93.03|93.07|93.04|93.05|93.06|87.19|98.0|93.0|93.11|92.94|93.11|92.93|93.08|93.05|93.06|127.6|82.81|804120|193427834 70041|CPTK|CPTK|G25741102|KYG257411028|Crown PropTech Acquisitions|Class A Ordinary Shares|Special purpose acquisition company|A|N|N|N|Y|Y|Y|Y|Y|5|L|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN1-8|TXN5-8|TXN1-7|TXN4-7|4200000|||NotApplicable|||||2021-03-30||||||| | | | | | | | | |||N|0|N|Y|408A|USA|KY|||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|4|Y||Y|2|||0.0|10.6|0.0|0.0|0.0|0.0|10.6101|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.6|0.0|10.6|0.0|10.6|10.6|10.63|10.6|10.63|9.9|10.75|0.0|0.0|0.0|0.0|10.6|10.63|10.666|9.87|806|11693480 69089|CPTK U|CPTK.U|G25741128|KYG257411283|Crown PropTech Acquisitions|Units, each consisting of one Class A ordinary share and one-third of one redeemable warrant|Special purpose acquisition company|R|N|N|N|Y|Y|Y|Y|Y|5|L|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN1-6|TXN4-8|TXN4-8|TXN2-4|0|||NotApplicable|||||2021-02-09||||||| | | | | | | | | |||N|0|N|N|408A|USA|KY|||||||||||N||N||||||N|4|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.6|11.79|0.0|0.0|9.9|12.57|0.0|0.0|0.0|0.0|10.6|11.79|13.31|9.7|0|93638 69856|CPTN|CPTN|15673X200|US15673X2009|Cepton Inc|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN5-3|TXN10-8|TXN5-5|TXN6-1|15850000|||NotApplicable|||||||||||| | | | | | | | | 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Investments|N||N||||||N|0|Y||||||14.43|14.45|0.0|0.0|14.5|14.49|14.49|14.435|0.0|0.0|14.47|14.45|14.46|14.45|14.5|14.41|14.43|14.49|0.0|14.46|11.34|17.67|11.34|17.67|13.54|14.85|14.4|14.53|14.45|14.51|14.45|14.49|17.35|13.17|168131|10559921 19264|CQP|CQP|16411Q101|US16411Q1013|Cheniere Energy Partners LP|Common Stock|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Brendan E. Cryan and Company, L.L.C.|CRYN|0235|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-6|TXN2-6|TXN4-8|TXN2-5|TXN3-4|484040000|||Quarterly|||||2007-03-21||||||| | | | | | | | | |||N|0|N|N|134A|USA|US|||60|6010|601010|60101035|Energy|Energy|Oil, Gas and Coal|Pipelines|N||N||||||Y|0|Y||Y|2|||60.62|60.72|0.0|60.72|60.72|60.95|60.59|60.56|0.0|0.0|60.725|60.53|60.35|59.895|60.84|60.58|60.87|60.87|60.5|60.87|57.85|63.94|60.54|60.8|59.0|63.94|60.44|61.06|60.54|61.12|60.54|60.8|62.34|42.96|154866|44648186 31969|CQQQ|CQQQ|46138E800|US46138E8003|Invesco Exchange-Traded Fund Trust II|Invesco China Technology ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Invesco|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-3|TXN4-3|TXN9-8|TXN2-2|TXN1-7|18850000|||Yearly|||||2018-05-21||CQQQ.NV|CQQQ.SO|CQQQ.EU|CQQQ.TC|CQQQ.IV| | | | | | | | | |1x|The Guggenheim China Technology ETF seeks investment results that correspond generally to the performance, before the Funds fees and expenses, of an equity index called the AlphaShares China Technology Index. 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The Index is a modified market cap-weighted index intended to track the performance of the largest and most liquid companies in the global oil refining segment.|N|0|N|N|406C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||34.63|34.83|0.0|0.0|0.0|34.7|34.8679|34.86|0.0|0.0|34.89|0.0|0.0|34.91|0.0|0.0|0.0|34.85|0.0|34.85|32.28|37.22|34.51|35.2|34.76|34.9|34.51|35.2|34.51|35.2|34.76|34.9|35.89|28.92|7295|2686379 74610|CRBG|CRBG|21871X109|US21871X1090|Corebridge Financial, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|J|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN2-6|TXN2-5|TXN3-1|TXN1-8|631020000|||Quarterly|||||2022-09-15||||||| | | | | | | | | |||N|0|Y|Y|408A|USA|US|||30|3030|303010|30301010|Financials|Insurance|Life Insurance|Life Insurance|N||N||||||Y|0|Y||Y|1|||20.565|20.555|0.0|20.42|20.55|20.56|20.56|20.55|0.0|0.0|20.57|20.56|20.555|20.55|20.54|20.56|20.57|20.55|20.57|20.56|20.55|20.56|19.27|21.91|20.54|20.56|20.52|20.59|20.51|20.6|20.55|20.56|22.115|14.01|7473133|547696065 49030|CRBN|CRBN|46434V464|US46434V4648|iShares Trust|iShares MSCI ACWI Low Carbon Target ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-3|TXN3-8|TXN7-8|TXN4-3|TXN3-2|5450000|||BiAnnually|||||2014-12-09||CRBN.NV|CRBN.SO|CRBN.EU|CRBN.TC|CRBN.IV| | | | | | | | | |1x|Fund: The iShares MSCI ACWI Low Carbon Target ETF seeks to track the investment results of an index composed of large and mid-capitalization developed and emerging market equities with a lower carbon exposure than that of the broad market.Index: The MSCI ACWI Low Carbon Target Index (the Underlying Index) is designed to address two dimensions of carbon exposure carbon emissions and fossil fuel reserves. By overweighting companies with low carbon emissions relative to sales and those with low potential carbon emissions per dollar of market capitalization, the Underlying Index aims to reflect a lower carbon exposure than that of the broad market. The Underlying Index is designed to achieve a target level of tracking relative the MSCI ACWI Index (the Parent Index) while minimizing the carbon exposure. The Underlying Index is a subset of the Parent Index which measures the combined equity market performance of developed and emerging market countries. The Parent Index serves as the universe of eligible securities for the Underlying Index. Securities included in the Parent Index are first assigned a carbon exposure measured in terms of the issuers greenhouse gas emissions (relative to the issuers annual sales, as measured by the most recent calendar year sales or closest fiscal year sales) and potential carbon emissions from fossil fuel reserves held by the issuer (per dollar of such issuers market capitalization, as measured during the semi-annual index review). The Underlying Index is then constructed using a process that aims to achieve replicability and investability, subject to the following objective and constraints: (i) minimize carbon exposure subject to a tracking error constraint of 30 basis points relative to the Parent Index; (ii) the maximum weight of an Underlying Index constituent may not be greater than 20 times its weight in the Parent Index; (iii) country weights in the Underlying Index may not deviate more than 2% from the country weights in the Parent Index; and (iv) sector weights in the Underlying Index may not deviate more than 2% from the sector weights in the Parent Index, with the exception of the energy sector, where there is no weight constraint applied. |N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment 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NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN5-1|TXN11-4|TXN6-8|TXN6-5|53900000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||USA||||10|1010|101020|10102010|Technology|Technology|Technology Hardware and Equipment|Semiconductors|N||N||||||Y|0|Y||||||77.0|77.12|0.0|76.57|77.08|77.1|77.0|77.14|0.0|0.0|77.1|75.7|77.02|77.12|76.28|77.1|75.79|77.06|77.13|77.02|76.57|77.6|71.57|81.73|76.67|77.52|76.92|77.13|77.02|77.14|77.02|77.09|111.15|65.0177|339059|124043688 70779|CRUZ|CRUZ|26922B873|US26922B8735|ETF Series Solutions|Defiance Hotel, Airline, and Cruise ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Defiance ETFs|Jane Street Capital, 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Services|N||N||||||N|0|Y||||||218.9|216.81|0.0|0.0|218.23|217.92|218.55|216.1|0.0|0.0|0.0|0.0|218.57|0.0|0.0|0.0|0.0|218.57|0.0|218.57|213.01|222.13|168.02|269.48|214.08|221.62|217.76|263.98|218.0|219.8|218.0|218.57|228.94|136.22|36661|10925455 44708|CRVO|CRVO|15713L109|US15713L1098|CervoMed Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN6-6|TXN11-3|TXN5-7|TXN6-2|5680000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y|C|||||9.26|9.27|0.0|0.0|9.4|9.1|8.86|0.0|0.0|0.0|9.27|0.0|9.21|9.239|0.0|9.27|0.0|9.21|0.0|9.21|8.74|9.9|0.0|0.0|8.93|9.5|8.74|9.9|0.0|0.0|9.21|9.5|14.37|4.28|16396|3736235 52755|CRVS|CRVS|221015100|US2210151005|Corvus Pharmaceuticals Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN5-3|TXN10-8|TXN6-8|TXN5-3|49040000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||0.0|1.6|0.0|0.0|1.63|1.61|1.63|1.61|0.0|0.0|1.62|1.61|1.62|1.6|0.0|0.0|1.6|1.6|0.0|1.62|1.54|1.68|1.29|1.94|1.55|1.64|1.57|1.65|1.56|1.66|1.6|1.63|4.19|0.607|122883|108091507 63816|CRWD|CRWD|22788C105|US22788C1053|CrowdStrike Holdings Inc|COM CL A 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USD1||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN6-5|TXN13-4|TXN6-7|TXN6-4|10240000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4020|402020|40202025|Consumer Discretionary|Consumer Products and Services|Household Goods and Home Construction|Household Equipment and Products|N||N||||||Y|0|Y||||||0.0|0.0|0.0|0.0|0.0|5.01|5.02|0.0|0.0|0.0|4.97|0.0|5.0|0.0|0.0|0.0|0.0|5.02|0.0|5.0|0.0|0.0|0.0|0.0|4.78|5.21|0.0|0.0|0.0|0.0|5.0|5.02|6.0|4.11|24698|3169705 50266|CSA|CSA|92647N832|US92647N8323|VictoryShares US Small Cap Volatility Wtd ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN6-2|TXN11-4|TXN5-7|TXN6-2|500000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|62.0597|0.0|0.0|0.0|0.0|0.0|62.3083|0.0|0.0|0.0|0.0|62.0597|0.0|62.3083|0.0|0.0|62.2|62.43|62.26|62.36|62.19|62.44|62.19|62.44|62.26|62.34|65.78|54.8444|260|338958 69550|CSAN|CSAN|22113B103|US22113B1035|Cosan S.A.|American Depositary Shares (each representing four Common Shares)|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN2-2|TXN9-2|TXN1-5|TXN3-7|1874070000|||Adhoc|||||2021-03-08||||||| | | | | | | | | |||N|0|N|Y|118C|BRA|BM|||60|6010|601010|60101020|Energy|Energy|Oil, Gas and Coal|Oil Refining and Marketing|N||N||||||N|0|Y||Y|2|||14.32|14.33|0.0|14.58|14.32|14.325|14.325|14.34|0.0|0.0|14.315|14.32|14.335|14.34|14.62|14.32|14.5|14.325|0.0|14.32|14.32|14.34|11.13|17.64|14.3|14.39|14.26|14.39|14.3|14.39|14.32|14.33|17.505|10.13|274326|84919992 50267|CSB|CSB|92647N873|US92647N8737|VictoryShares US Small Cap High Div Volatility Wtd ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN6-1|TXN11-5|TXN5-7|TXN6-5|6300000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||0.0|0.0|0.0|0.0|52.73|52.48|52.75|52.73|0.0|0.0|52.59|0.0|52.7858|0.0|0.0|0.0|0.0|52.73|0.0|52.7858|0.0|0.0|52.66|52.89|52.66|52.89|52.66|0.0|52.66|52.89|52.73|52.81|58.7999|46.24|29126|7745898 18947|CSBR|CSBR|15870P307|US15870P3073|Champions Oncology Inc|COM USD.00001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN5-5|TXN13-2|TXN5-2|TXN6-4|13480000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201010|20101025|Health Care |Health Care |Health Care Providers|Health Care Services|N||N||||||Y|0|Y||||||0.0|0.0|0.0|0.0|0.0|5.06|5.25|0.0|0.0|0.0|0.0|0.0|5.04|0.0|0.0|0.0|0.0|5.25|0.0|5.25|4.75|5.39|0.0|0.0|4.8|5.32|0.0|0.0|0.0|0.0|5.03|5.12|7.32|3.75|2803|2238045 987|CSCO|CSCO|17275R102|US17275R1023|Cisco Systems Inc|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN5-6|TXN10-1|TXN6-1|TXN6-8|4063480000|||NotApplicable|||||||||||| | | | | | | | | |||Y|1|Y|N||USA||||15|1510|151010|15101010|Telecommunications|Telecommunications|Telecommunications Equipment|Telecommunications Equipment|N||N||||||Y|0|Y||||||48.03|48.02|0.0|47.96|48.01|48.02|48.03|48.03|0.0|0.0|48.02|48.03|48.05|48.02|48.03|48.03|48.035|48.025|48.025|48.05|48.01|48.04|47.4|51.36|48.02|48.03|47.4|48.06|48.01|48.04|48.02|48.03|58.185|45.555|17812934|4287904420 18456|CSD|CSD|46137V159|US46137V1594|Invesco Exchange-Traded Fund Trust|Invesco S&P Spin-Off ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Invesco|IMC Chicago, LLC, DBA IMC Financial Markets|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-7|TXN3-2|TXN1-5|TXN3-8|TXN1-4|870000|||Yearly|||||2018-04-09||CSD.NV|CSD.SO|CSD.EU|CSD.TC|CSD.IV| | | | | | | | | |1x|The Fund, using a low cost passive or indexing investment approach, seeks to replicate, before the Funds fees and expenses, the performance of the S&P U.S. Spin-Off Index. The S&P Index is a rule-based index comprised of, as of February 29, 2016, approximately 58 securities of U.S. companies that have recently been spun-off from larger corporations and meet market capitalization requirements. 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Services|N||N||||||Y|0|Y||||||85.22|85.23|0.0|85.14|85.27|85.23|85.25|85.23|0.0|0.0|85.25|85.19|85.23|85.28|85.21|85.26|84.63|85.25|85.12|85.23|85.15|85.32|79.35|90.57|85.2|85.33|85.18|85.3|85.21|0.0|85.23|85.25|92.36|65.12|1854646|515166532 995|CSGS|CSGS|126349109|US1263491094|CSG Systems International Inc.|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN5-6|TXN11-1|TXN5-3|TXN6-4|29670000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101010|10101015|Technology|Technology|Software and Computer 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59412|CSSE|CSSE|16842Q100|US16842Q1004|Chicken Soup for the Soul Entertainment Inc|CL A COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-5|TXN6-7|TXN14-4|TXN6-8|TXN6-8|23730000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4030|403010|40301010|Consumer Discretionary|Media|Media|Entertainment|N||N||||||Y|0|Y||||||0.287|0.2742|0.0|0.0|0.271|0.2893|0.28|0.2742|0.0|0.0|0.28|0.2887|0.29|0.0|0.0|0.276|0.0|0.2844|0.0|0.2844|0.2208|0.3396|0.2208|0.3396|0.2751|0.2958|0.2208|0.3396|0.0|0.0|0.28|0.29|6.95|0.24999|188012|86328795 68424|CSSEL|CSSEL|16842Q134|US16842Q1343|Chicken Soup for the Soul Entertainment Inc|WT EXP 102226||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-4|TXN6-7|TXN12-8|TXN5-3|TXN5-5|31240000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y|C|||||0.0|0.0114|0.0|0.0|0.0|0.0098|0.00971|0.0|0.0|0.0|0.011|0.011|0.0109|0.0|0.0|0.0|0.0|0.00971|0.0|0.00971|0.0|0.0|0.0|0.0|0.0097|0.0109|0.0|0.0|0.0|0.0|0.0097|0.0102|0.08|0.0055|82149|40045231 67024|CSSEN|CSSEN|16842Q308||Chicken Soup for the Soul Entertainment, Inc. 9.50% Notes due 2025|||U|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN5-3|TXN12-5|TXN6-2|TXN6-6|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||50|5020|502040|50204000|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Industrial|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|18.0|0.0|0.0|0.0|0.0|0.0|18.01|0.0|0.0|0.0|0.0|18.25|0.0|18.25|0.0|0.0|0.0|0.0|16.82|19.8|0.0|0.0|0.0|0.0|18.01|18.45|25.95|18.0|3032|1013095 61152|CSSEP|CSSEP|16842Q209|US16842Q2093|Chicken Soup for the Soul Entertainment Inc|10% PFD SER A||B|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN6-1|TXN14-8|TXN6-4|TXN6-8|5560000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||6.68|6.65|0.0|0.0|6.68|6.69|6.6547|6.65|0.0|0.0|6.65|6.66|6.68|0.0|0.0|6.69|0.0|6.65|0.0|6.68|0.0|0.0|0.0|0.0|6.51|6.83|0.0|0.0|0.0|0.0|6.64|6.7|23.4204|6.22|57998|6613393 69803|CSTA|CSTA|G2R18K105|KYG2R18K1053|Constellation Acquisition Corp I|Class A Ordinary Shares|Special purpose acquisition company|A|N|N|N|Y|Y|Y|Y|Y|5|L|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN4-2|TXN5-8|TXN1-7|TXN2-8|4490000|||NotApplicable|||||2021-03-19||||||| | | | | | | | | |||N|0|N|N|408A|USA|KY|||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||11.02|11.02|0.0|0.0|11.01|11.05|11.02|11.05|0.0|0.0|11.05|0.0|11.05|0.0|0.0|11.05|0.0|11.01|0.0|11.05|11.01|11.05|0.0|0.0|10.35|11.74|0.0|0.0|0.0|0.0|11.01|11.05|12.12|10.04|33425|5236832 69805|CSTA WS|CSTA.WS|G2R18K113|KYG2R18K1137|Constellation Acquisition Corp I|Redeemable warrants, each whole warrant exercisable for one Class A ordinary share at an exercise price of $11.50|Special purpose acquisition company|C|N|N|N|Y|Y|Y|Y|Y|5|L|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN5-8|TXN1-1|TXN1-5|TXN1-7|TXN1-4|0|||NotApplicable|||||2021-03-19||||||| | | | | | | | | |||N|0|N|N|408A|USA|KY|||||||||||N||N||||||N|0|Y||N||||0.0|0.0|0.0|0.0|0.0|0.015|0.028|0.0|0.0|0.0|0.0|0.0306|0.0|0.0|0.0|0.028|0.0|0.028|0.0|0.028|0.0279|0.03|0.0|0.0|0.015|0.06|0.0|0.0|0.0|0.0|0.0266|0.0313|0.12|0.0146|272850|2772479 68895|CSTA U|CSTA.U|G2R18K121|KYG2R18K1210|Constellation Acquisition Corp I|Units, each consisting of one Class A ordinary share and one-third of one redeemable warrant|Special purpose acquisition company|R|N|N|N|Y|Y|Y|Y|Y|5|L|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN3-1|TXN2-8|TXN3-4|TXN2-8|0|||NotApplicable|||||2021-01-27||||||| | | | | | | | | |||N|0|N|N|408A|USA|KY|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.9|11.8|0.0|0.0|10.31|12.58|8.72|14.16|0.0|0.0|11.0|12.58|11.21|9.82|0|163903 39788|CSTE|CSTE|M20598104|IL0011259137|Caesarstone Ltd|ORD ILS1||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN6-4|TXN12-8|TXN5-4|TXN5-3|34520000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||ISR||||50|5010|501010|50101035|Industrials|Construction and Materials|Construction and Materials |Building Materials: Other|N||N||||||Y|0|Y||||||0.0|4.05|0.0|0.0|0.0|4.17|4.12|4.105|0.0|0.0|0.0|0.0|4.19|4.13|0.0|0.0|0.0|4.12|0.0|4.19|3.89|4.43|3.24|5.12|4.04|4.21|4.06|4.26|4.05|4.27|4.13|4.19|6.55|3.51|38760|25106991 64152|CSTL|CSTL|14843C105|US14843C1053|Castle Biosciences Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN5-6|TXN12-5|TXN6-5|TXN6-8|26910000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103015|Health Care |Health Care |Pharmaceuticals and Biotechnology|Pharmaceuticals |N||N||||||Y|0|Y||||||19.92|19.93|0.0|19.86|19.97|19.92|19.9|19.96|0.0|0.0|19.89|19.89|19.95|0.0|0.0|19.86|0.0|19.9|19.85|19.95|19.75|20.17|15.32|24.24|19.78|20.13|19.86|20.0|19.85|19.98|19.9|19.96|29.59|9.2601|169729|85937750 42081|CSTM|CSTM|F21107101|FR0013467479|Constellium SE|Class A Ordinary shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|8|O|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-6|TXN1-6|TXN2-3|TXN3-4|TXN3-1|144300000|||NotApplicable|||||2013-05-23||||||| | | | | | | | | |||N|0|N|Y|130B|FRA|NL|||55|5510|551020|55102035|Basic Materials|Basic Resources|Industrial Metals and Mining|Aluminum|N||N||||||Y|0|Y||Y|2|||18.32|18.32|0.0|18.22|18.32|18.325|18.325|18.285|0.0|0.0|18.32|18.29|18.32|18.33|18.11|18.33|18.29|18.33|18.32|18.33|18.32|18.33|14.14|22.42|18.25|18.35|18.29|18.36|18.32|18.36|18.32|18.33|19.46|11.12|940104|193143910 53975|CSTR|CSTR|14070T102|US14070T1025|CapStar Financial Holdings Inc|COM USD1||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN5-2|TXN12-7|TXN6-3|TXN6-2|20710000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||||||0.0|17.55|0.0|0.0|17.57|17.55|17.57|17.55|0.0|0.0|17.55|17.3|17.55|17.55|17.5|17.55|17.51|17.55|0.0|17.55|17.37|17.72|13.31|21.22|17.39|17.71|17.51|17.6|17.51|17.6|17.54|17.58|18.52|11.22|279043|17826089 5622|CSV|CSV|143905107|US1439051079|Carriage Services, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|P|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN2-2|TXN7-8|TXN3-7|TXN2-7|14980000|||Quarterly|||||1998-05-08||||||| | | | | | | | | |||N|0|N|Y|180B|USA|US|||40|4020|402010|40201020|Consumer Discretionary|Consumer Products and Services|Consumer Services |Funeral Parlors and Cemetery|N||N||||||N|0|Y||Y|2|||23.33|23.37|0.0|23.49|23.53|23.36|23.53|23.47|0.0|23.59|23.53|23.45|23.51|22.79|23.6|23.51|23.59|23.51|23.19|23.51|23.51|23.53|17.83|28.64|23.31|23.62|23.42|23.61|23.45|23.56|23.51|23.53|35.99|18.06|85388|22033674 1015|CSWC|CSWC|140501107|US1405011073|Capital Southwest Corp|COM USD1.||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN6-5|TXN14-7|TXN5-3|TXN6-6|39950000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||Y|0|Y||||||22.78|22.79|0.0|0.0|22.78|22.775|22.78|22.78|0.0|0.0|22.79|0.0|22.75|22.859|22.81|22.775|22.9|22.78|0.0|22.75|22.65|22.93|17.54|28.05|22.68|22.83|22.73|22.8|22.74|22.8|22.75|22.78|23.35|16.34|245140|73434355 75887|CSWCZ|CSWCZ|12665G105|US12665G1058|Capital Southwest Corp 7.75 Notes due 2028|STRUCT PRODUCT||U|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN6-3|TXN14-1|TXN6-1|TXN5-3|2880000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|25.22|25.1501|0.0|0.0|0.0|25.2|0.0|25.17|0.0|0.0|0.0|25.25|25.1501|0.0|25.1501|0.0|0.0|0.0|0.0|24.54|27.08|0.0|0.0|0.0|0.0|25.2|25.3|25.825|24.79|11317|2424096 50669|CSWI|CSWI|126402106|US1264021064|CSW Industrials Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN6-2|TXN13-1|TXN6-6|TXN5-7|15550000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502030|50203000|Industrials|Industrial Goods and Services|General Industrials|Diversified Industrials|N||N||||||N|0|Y||||||180.67|180.59|0.0|182.64|0.0|180.14|180.26|180.27|0.0|0.0|0.0|0.0|180.2|180.46|179.93|180.27|0.0|180.2|0.0|180.2|178.5|182.46|136.91|222.08|180.13|182.26|179.66|180.72|179.66|180.56|180.15|180.56|190.6299|111.7|51995|14541794 5623|CSX|CSX|126408103|US1264081035|CSX Corp|COM USD1||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN6-1|TXN12-2|TXN5-6|TXN5-5|1976130000|||NotApplicable|||||||||||| | | | | | | | | |||N|5|Y|N||USA||||50|5020|502060|50206020|Industrials|Industrial Goods and Services|Industrial Transportation|Railroads|N||N||||||Y|0|Y||||||33.67|33.665|0.0|33.67|33.67|33.67|33.66|33.66|0.0|0.0|33.67|33.68|33.66|33.67|33.69|33.665|33.68|33.67|33.68|33.66|33.66|33.68|31.5|35.57|33.66|33.68|31.93|33.69|33.63|33.7|33.66|33.67|34.38|27.6|16935740|3039913701 73641|CTA|CTA|82889N699|US82889N6994|Simplify Exchange Traded Funds|Simplify Managed Futures Strategy ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Simplify|Jane Street Capital, 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LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN2-3|TXN9-8|TXN1-6|TXN1-8|0|||Quarterly|||||1947-05-26||||||| | | | | | | | | |||N|0|N|N|170A||US|||50|5020|502040|50204000|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Industrial|N||N||||||N|0|Y||Y|2|||0.0|57.225|0.0|0.0|0.0|54.66|54.7093|0.0|0.0|0.0|54.24|0.0|0.0|0.0|0.0|54.7093|0.0|54.7093|0.0|54.7093|54.41|54.75|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|54.41|54.75|67.99|51.96|1700|184482 5744|CTA PRB|CTApB|263534307||EIDP, Inc.|Preferred Stock $4.50 Series|Other|B|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN1-1|TXN8-8|TXN4-6|TXN3-4|0|||Quarterly|||||1937-10-21||||||| | | | | | | | | |||N|0|N|N|170A||US|||50|5020|502040|50204000|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Industrial|N||N||||||N|0|Y||Y|2|||74.5|0.0|0.0|0.0|0.0|75.25|74.37|74.5|0.0|0.0|72.5|0.0|75.52|69.54|0.0|74.37|0.0|74.37|74.5|74.37|72.3|75.25|0.0|0.0|71.47|76.75|0.0|0.0|0.0|0.0|71.75|76.43|102.5|63.22|5110|431644 1017|CTAS|CTAS|172908105|US1729081059|Cintas Corp|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|4|0.01|0.01|5000000|1|100|TXN14-2|TXN6-3|TXN12-8|TXN5-1|TXN6-3|101850000|||NotApplicable|||||||||||| | | | | | | | | |||N|5|Y|N||USA||||50|5020|502050|50205010|Industrials|Industrial Goods and Services|Industrial Support Services|Industrial Suppliers|N||N||||||Y|0|Y||||||554.42|554.52|0.0|554.62|555.0|554.67|555.066|555.14|0.0|0.0|553.03|554.93|555.05|0.0|553.67|554.38|0.0|555.06|0.0|555.05|554.21|555.5|522.2|586.4|554.61|555.09|554.52|555.58|554.55|555.05|554.68|555.05|559.94|423.06|303578|84994554 53731|CTBB|CTBB|74913G881|US74913G8814|Lumen Technologies, Inc.|6.5% Notes due 2056|Operating company|G|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN1-6|TXN5-8|TXN4-1|TXN3-4|39100000|||Quarterly|||||2016-08-23|2056-09-01|||||| | | | | | | | | |||N|0|N|N|306A||US|||||||||||N||N||||||N|0|Y||Y|2|||10.54|10.59|0.0|10.82|10.51|10.51|10.51|10.605|0.0|0.0|10.55|10.59|10.52|10.62|10.6|10.56|10.58|10.51|0.0|10.56|10.5|10.56|8.3|12.96|10.34|10.73|8.3|12.96|10.47|10.68|10.5|10.56|22.35|9.86|134694|29371121 1018|CTBI|CTBI|204149108|US2041491083|Community Trust Bancorp Inc|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN6-4|TXN12-6|TXN6-2|TXN5-5|18000000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||||||0.0|41.6|0.0|42.02|0.0|42.0|42.05|41.6|0.0|0.0|41.6|0.0|42.08|41.59|0.0|41.82|0.0|42.05|0.0|42.08|41.42|42.45|32.04|51.16|41.51|42.45|41.8|51.16|41.89|0.0|41.89|42.08|47.87|32.68|44522|11762091 71709|CTCX|CTCX|142922103|US1429221039|Carmell Corp|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN6-2|TXN14-7|TXN6-3|TXN5-8|23080000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||2.99|3.07|0.0|0.0|2.97|2.89|2.91|2.62|0.0|0.0|0.0|0.0|2.83|0.0|0.0|0.0|0.0|3.07|0.0|3.07|0.0|0.0|0.0|0.0|2.76|3.12|0.0|0.0|0.0|0.0|2.82|3.05|13.3099|1.7|9725|27072335 71710|CTCXW|CTCXW|142922111|US1429221112|Carmell Corp|WT EXP 040126||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-7|TXN5-1|TXN12-6|TXN5-6|TXN6-3|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.14|0.0|0.0|0.0|0.0|0.14|0.0|0.14|0.0|0.0|0.0|0.0|0.1275|0.2275|0.0|0.0|0.0|0.0|0.1275|0.199|0.8|0.1015|616|801160 57192|CTDD|CTDD|74913G873|US74913G8731|Lumen Technologies, Inc.|6.75% Notes due 2057|Operating company|G|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN3-4|TXN8-8|TXN2-1|TXN3-4|26400000|||Quarterly|||||2017-04-28|2057-06-15|||||| | | | | | | | | |||N|0|N|N|306A||US|||||||||||N||N||||||N|0|Y||Y|2|||11.3|11.2|0.0|10.42|11.34|11.19|11.18|11.29|0.0|0.0|11.2|11.22|11.16|11.34|11.19|11.18|0.0|11.18|0.0|11.18|11.17|11.26|8.76|13.79|10.96|11.49|8.76|13.79|0.0|0.0|11.17|11.26|22.8|10.04|77861|18714371 68012|CTEC|CTEC|37954Y228|US37954Y2283|Global X Funds Global X CleanTech ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN5-7|TXN11-5|TXN6-2|TXN5-1|5960000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|10.1696|10.06|0.0|0.0|0.0|10.13|10.1|0.0|0.0|0.0|0.0|10.1696|0.0|10.1|0.0|0.0|10.01|10.32|10.03|10.18|10.04|10.26|10.04|10.25|10.1|10.18|17.46|8.7477|24853|6582871 64113|CTEST|CTEST|||NYSE Chicago Test Symbol|||ETF|Y|N|N|Y|Y|Y|Y|Y|10|V|TBOX Test 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Index).|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|22.864|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|24.36|0.0|24.36|0.0|0.0|0.0|0.0|24.37|24.46|0.0|0.0|0.0|0.0|24.37|24.46|37.25|20.68|468|281885 5628|CTG|CTG|205477102|US2054771025|Computer Task Group Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN6-5|TXN14-8|TXN6-4|TXN5-3|16100000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101010|10101010|Technology|Technology|Software and Computer Services|Computer Services|N||N||||||N|0|Y||||||10.47|10.475|0.0|0.0|10.48|10.475|10.47|10.47|0.0|0.0|10.48|0.0|10.47|10.47|0.0|10.47|10.48|10.475|10.475|10.47|10.38|10.57|0.0|0.0|10.39|10.48|0.0|0.0|0.0|0.0|10.47|10.48|10.49|6.05|26498|17638887 72635|CTGO|CTGO|21077F100|US21077F1003|Contango ORE, Inc.|Common Stock|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Brendan E. Cryan and Company, L.L.C.|CRYN|0235|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN4-4|TXN7-8|TXN4-6|TXN4-2|9400000|||NotApplicable|||||2021-11-24||||||| | | | | | | | | |||N|0|N|N|130C|USA|US|||55|5510|551020|55102000|Basic Materials|Basic Resources|Industrial Metals and Mining|General Mining|N||N||||||N|0|Y||Y|2|||21.31|21.15|0.0|20.36|23.19|20.39|20.33|20.45|0.0|0.0|20.4|23.0|20.47|22.3|23.17|20.39|20.33|20.33|23.5|20.33|19.73|21.09|20.34|20.49|19.84|20.49|20.16|20.68|20.12|20.48|20.34|20.49|33.67|16.5301|31648|6175391 1028|CTHR|CTHR|159765106|US1597651066|Charles & Colvard Ltd|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-2|TXN5-2|TXN12-6|TXN6-3|TXN6-3|30350000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4020|402040|40204030|Consumer Discretionary|Consumer Products and Services|Personal Goods|Luxury Items|N||N||||||N|0|Y||||||0.445|0.0|0.0|0.0|0.0|0.4425|0.44|0.44|0.0|0.0|0.4425|0.44|0.4401|0.0|0.0|0.0|0.0|0.4401|0.0|0.4401|0.34|0.528|0.34|0.528|0.4108|0.4693|0.34|0.528|0.0|0.0|0.44|0.4401|1.26|0.285|29951|29403198 71231|CTKB|CTKB|23285D109|US23285D1090|Cytek Biosciences Inc|COM USD0.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN6-8|TXN10-6|TXN5-8|TXN5-5|135550000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||Y|0|Y||||||7.35|7.355|0.0|7.26|7.36|7.35|7.35|7.35|0.0|0.0|7.35|7.35|7.36|7.34|7.34|7.355|7.395|7.35|7.35|7.36|7.31|7.39|5.72|9.1|7.31|7.39|7.32|7.38|7.31|7.39|7.35|7.36|13.77|3.8|1125925|235141178 16122|CTLP|CTLP|138103106|US1381031061|Cantaloupe Inc|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN5-2|TXN14-3|TXN5-7|TXN6-6|72730000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502050|50205015|Industrials|Industrial Goods and Services|Industrial Support Services|Transaction Processing Services|N||N||||||Y|0|Y||||||7.29|7.295|0.0|0.0|7.29|7.3|7.29|7.3|0.0|0.0|7.3|7.3|7.29|0.0|7.32|7.295|7.3|7.29|0.0|7.29|7.26|7.31|5.61|8.93|7.26|7.31|7.27|7.33|7.26|7.34|7.29|7.3|8.285|3.5185|201943|88994235 44701|CTLT|CTLT|148806102|US1488061029|Catalent, Inc.|Common Stock, $0.01 par value per share|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|A|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-6|TXN2-8|TXN5-3|TXN2-1|TXN1-3|180270000|||NotApplicable|||||2014-07-31||||||| | | | | | | | | |||N|5|Y|Y|140A|USA|US|||20|2010|201030|20103015|Health Care |Health Care |Pharmaceuticals and Biotechnology|Pharmaceuticals |N||N||||||Y|4|Y||Y|1|||39.99|40.0|0.0|39.87|39.97|39.96|39.97|39.97|0.0|0.0|39.97|39.97|39.98|40.0|39.96|39.97|40.02|39.98|40.0|39.97|39.98|39.99|37.43|42.47|39.93|40.0|39.9|40.04|39.89|40.05|39.98|39.99|74.49|31.45|3493114|730749956 74749|CTM|CTM|14838T204|US14838T2042|Castellum, Inc.|Common Stock|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN10-6|TXN2-4|TXN8-8|TXN2-7|TXN1-5|47640000|||NotApplicable|||||2022-10-13||||||| | | | | | | | | |||N|0|N|N|114D|USA|US|||40|4040|404010|40401030|Consumer Discretionary|Retail |Retailers |Specialty Retailers |N||N||||||N|0|Y||Y|2|||0.214|0.214|0.0|0.0|0.214|0.2146|0.219649|0.2149|0.0|0.0|0.223|0.2161|0.214|0.0|0.0|0.0|0.2246|0.2246|0.0|0.2246|0.176|0.2737|0.218|0.2218|0.2122|0.223|0.176|0.2737|0.207|0.217|0.218|0.2218|1.98|0.175|274431|75613250 51488|CTMX|CTMX|23284F105|US23284F1057|CytomX Therapeutics Inc|COM USD.00001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN6-8|TXN14-5|TXN5-8|TXN6-6|66990000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||1.435|1.44|0.0|0.0|1.43|1.44|1.44|1.44|0.0|0.0|1.44|0.0|1.44|1.39|1.435|1.44|1.445|1.44|1.44|1.44|1.39|1.47|1.12|1.47|1.43|1.45|1.41|1.47|1.41|1.47|1.43|1.44|3.02|1.04|318047|215504143 76071|CTNT|CTNT|16307X103|US16307X1037|Cheetah Net Supply Chain Service Inc|CL A COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN5-8|TXN10-6|TXN6-8|TXN5-2|9670000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502060|50206060|Industrials|Industrial Goods and Services|Industrial Transportation|Transportation Services|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|1.48|1.46|0.0|0.0|0.0|0.0|0.0|1.49|0.0|0.0|0.0|0.0|1.46|0.0|1.46|1.21|1.86|1.21|1.86|1.42|1.61|1.21|1.86|0.0|0.0|1.47|1.52|6.9|0.9172|7753|31876687 5633|CTO|CTO|22948Q101|US22948Q1013|CTO Realty Growth, Inc.|Common stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN3-1|TXN4-8|TXN1-6|TXN2-4|22690000|||Quarterly|||||2021-02-01||||||| | | | | | | | | |||N|0|N|Y|412A|USA|US|||35|3510|351020|35102000|Real Estate|Real Estate |Real Estate Investment Trusts|Diversified REITs|N||N||||||Y|0|Y||Y|2|||17.43|17.43|0.0|17.4|17.44|17.43|17.42|17.47|0.0|0.0|17.42|17.16|17.43|17.45|16.9|17.44|17.325|17.44|17.43|17.44|17.43|17.44|13.33|21.19|17.39|17.48|17.4|17.47|17.4|17.48|17.43|17.44|20.1|15.63|146486|33869211 71082|CTO PRA|CTOpA|22948Q200|US22948Q2003|CTO Realty Growth, Inc.|6.375% Series A Cumulative Redeemable Preferred Stock|Operating company|B|N|N|N|Y|Y|Y|Y|Y|6|H|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN2-4|TXN8-8|TXN4-7|TXN3-3|3000000|||Quarterly|||||2021-07-08||||||| | | | | | | | | |||N|0|N|N|412A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|19.06|0.0|0.0|0.0|19.2|19.51|0.0|0.0|0.0|19.3|0.0|19.6|0.0|0.0|19.62|19.63|19.62|0.0|19.62|19.64|19.95|19.63|19.8|18.2|21.27|0.0|0.0|0.0|0.0|19.64|19.95|22.21|17.2|1951|907446 59754|CTOS|CTOS|23204X103|US23204X1037|Custom Truck One Source, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|P|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-6|TXN1-1|TXN1-8|TXN2-6|TXN2-6|242880000|||Monthly|||||2017-10-06||||||| | | | | | | | | |||N|0|N|Y|408A|USA|US|||50|5020|502060|50206050|Industrials|Industrial Goods and Services|Industrial Transportation|Commercial Vehicle-Equipment Leasing|N||N||||||Y|0|Y||Y|2|||6.09|6.06|0.0|5.77|6.05|6.055|6.055|6.05|0.0|0.0|6.05|6.05|6.06|6.08|6.05|6.06|6.06|6.06|6.06|6.06|6.05|6.06|4.62|7.42|6.05|6.09|6.03|6.08|6.02|6.09|6.05|6.06|7.64|4.415|452200|81623411 59753|CTOS WS|CTOS.WS|23204X111|US23204X1110|Custom Truck One Source, Inc.|Warrants, exerciseable for Common Stock|Operating company|C|N|N|N|Y|Y|Y|Y|Y|6|P|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN7-8|TXN2-1|TXN5-8|TXN3-1|TXN4-6|243910000|||Monthly|||||2017-10-06|2024-07-31|||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||||||||||N||N||||||N|0|Y||N||||0.0|0.0|0.0|0.0|0.0|0.0|0.015|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.015|0.019|0.03|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.019|0.03|0.88|0.01|3|9178736 40282|CTR|CTR|18469Q207|US18469Q2075|ClearBridge MLP and Midstream Total Return Fund Inc.|Common Stock|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN1-1|TXN6-7|TXN1-1|TXN2-1|7260000|||Quarterly|||||2012-06-27||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||34.94|34.95|0.0|34.75|34.94|34.75|34.945|34.81|0.0|0.0|34.94|34.94|34.96|34.94|0.0|34.94|0.0|34.96|34.94|34.94|34.94|34.98|0.0|0.0|32.62|37.41|27.84|42.26|34.94|34.99|34.94|34.98|35.18|26.0|20466|4636482 5545|CTRA|CTRA|127097103|US1270971039|Coterra Energy Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-6|TXN2-6|TXN9-2|TXN3-3|TXN1-2|752190000|||Quarterly|||||1990-02-08||||||| | | | | | | | | |||N|5|Y|Y|134C|USA|US|||60|6010|601010|60101010|Energy|Energy|Oil, Gas and Coal|Oil: Crude Producers|N||N||||||Y|0|Y||Y|1|||25.78|25.8|0.0|25.81|25.79|25.785|25.8|25.79|0.0|0.0|25.79|25.8|25.795|25.79|25.8|25.79|25.79|25.8|25.79|25.79|25.79|25.8|24.29|27.6|25.79|25.81|25.75|25.82|25.75|25.81|25.79|25.8|29.89|22.25|8082072|1691382523 44249|CTRE|CTRE|14174T107|US14174T1079|CareTrust REIT, Inc|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-2|TXN3-6|TXN8-2|TXN2-4|TXN3-7|119110000|||Quarterly|||||2022-05-23||||||| | | | | | | | | |||N|0|N|Y|414A|USA|US|||35|3510|351020|35102010|Real Estate|Real Estate |Real Estate Investment Trusts|Health Care REITs|N||N||||||Y|0|Y||Y|2|||22.63|22.635|0.0|22.55|22.63|22.635|22.62|22.63|0.0|0.0|22.63|22.63|22.615|22.63|22.59|22.62|22.63|22.61|22.63|22.62|22.61|22.63|17.67|27.97|22.6|22.63|22.58|22.66|22.6|22.67|22.61|22.63|23.26|17.86|2190281|199044354 62972|CTRM|CTRM|Y1146L125|MHY1146L1258|Castor Maritime Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-4|TXN6-2|TXN14-3|TXN5-4|TXN6-8|96620000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CYP||||50|5020|502060|50206030|Industrials|Industrial Goods and Services|Industrial Transportation|Marine Transportation|N||N||||||Y|0|Y||||||0.43|0.4289|0.0|0.0|0.44|0.441|0.4499|0.4319|0.0|0.0|0.4317|0.4201|0.4495|0.399|0.0|0.43195|0.0|0.45|0.0|0.45|0.418|0.4625|0.3372|0.5386|0.418|0.4667|0.3372|0.468|0.0|0.0|0.44|0.45|1.63|0.285496|1652190|167109315 1036|CTRN|CTRN|17306X102|US17306X1028|Citi Trends Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN6-1|TXN13-3|TXN6-3|TXN6-3|8560000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4040|404010|40401020|Consumer Discretionary|Retail |Retailers |Apparel Retailers|N||N||||||Y|0|Y||||||23.86|23.72|0.0|23.9|23.81|23.82|23.805|23.65|0.0|0.0|23.83|0.0|23.8|23.48|0.0|23.5|0.0|23.86|0.0|23.8|23.39|24.26|18.08|29.41|23.42|24.2|23.66|24.05|23.8|23.87|23.8|23.87|34.94|14.205|76519|28281359 5635|CTS|CTS|126501105|US1265011056|CTS Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN4-8|TXN9-8|TXN4-8|TXN2-4|31160000|||Quarterly|||||1962-06-04||||||| | | | | | | | | |||N|0|N|Y|114A|USA|US|||10|1010|101020|10102015|Technology|Technology|Technology Hardware and Equipment|Electronic Components|N||N||||||N|0|Y||Y|2|||40.29|40.24|0.0|40.2|40.24|40.28|40.22|40.24|0.0|0.0|40.02|40.02|40.24|39.79|39.95|40.24|38.66|40.25|38.74|40.24|40.24|40.25|30.59|49.02|39.89|40.61|40.17|40.3|40.21|40.31|40.24|40.25|49.59|35.5016|154026|40642447 1039|CTSH|CTSH|192446102|US1924461023|Cognizant Technology Solutions Corp|CL A COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN5-3|TXN10-5|TXN6-1|TXN6-1|501410000|||NotApplicable|||||||||||| | | | | | | | | |||N|5|Y|N||USA||||10|1010|101010|10101010|Technology|Technology|Software and Computer Services|Computer Services|N||N||||||Y|0|Y||||||71.15|71.16|0.0|71.28|71.14|71.16|71.15|71.16|0.0|0.0|71.15|71.17|71.16|71.16|71.17|71.18|71.19|71.16|71.16|71.16|71.12|71.21|66.45|75.15|71.13|71.21|71.11|74.05|71.14|71.19|71.16|71.18|72.705|54.25|2405138|874996622 32667|CTSO|CTSO|23283X206|US23283X2062|Cytosorbents Corp|COM USD0.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN6-6|TXN12-3|TXN5-5|TXN6-8|44440000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||Y|0|Y||||||0.0|1.26|0.0|0.0|1.33|1.3|1.3501|0.0|0.0|0.0|1.3|1.3|1.38|1.296|0.0|0.0|0.0|1.3501|0.0|1.38|1.29|1.44|1.05|1.6|1.33|1.4|1.32|1.4|1.32|1.4|1.35|1.38|4.59|1.03|51075|19006579 70105|CTV|CTV|457679108|US4576791085|Innovid Corp.|Class A Ordinary Shares|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|F|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN1-3|TXN5-8|TXN1-8|TXN4-7|140560000|||NotApplicable|||||2021-04-05||||||| | | | | | | | | |||N|0|N|Y|408A|USA|KY|||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||N|0|Y||Y|2|||1.59|1.59|0.0|0.0|1.58|1.585|1.57|1.58|0.0|0.0|1.58|1.6|1.59|1.52|1.57|1.6|0.0|1.59|1.59|1.6|1.57|1.59|1.24|1.88|1.56|1.6|1.55|1.61|1.54|1.62|1.57|1.59|2.9|0.75|181239|89634539 70106|CTV WS|CTV.WS|457679116|US4576791168|Innovid Corp.|Warrants, each whole warrant exercisable for one share of Common Stock at an exercise price of $11.50 per share|Operating company|C|N|N|N|Y|Y|Y|Y|Y|8|D|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN6-8|TXN2-8|TXN7-8|TXN4-6|TXN2-6|140140000|||NotApplicable|||||2021-04-05|2026-11-30|||||| | | | | | | | | |||N|0|N|N|408A|USA|KY|||||||||||N||N||||||N|0|Y||N||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.05|0.06|0.0|0.0|0.04|0.06|0.0|0.0|0.0|0.0|0.05|0.06|0.5075|0.04|0|559375 63701|CTVA|CTVA|22052L104|US22052L1044|Corteva, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|D|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN4-1|TXN4-3|TXN4-3|TXN1-1|704730000|||Quarterly|||||2019-05-24||||||| | | | | | | | | |||N|5|Y|Y|170A|USA|US|||45|4510|451020|45102010|Consumer Staples |Food, Beverage and Tobacco |Food Producers|Farming, Fishing, Ranching and Plantations|N||N||||||Y|0|Y||Y|1|||45.21|45.22|0.0|45.4|45.23|45.215|45.23|45.22|0.0|0.0|45.215|45.2|45.225|45.22|45.2|45.22|45.22|45.22|45.23|45.22|45.22|45.23|42.48|48.45|45.16|45.25|45.19|45.25|45.18|45.26|45.22|45.23|67.11|43.22|5222785|828648195 53126|CTXR|CTXR|17322U207|US17322U2078|Citius Pharmaceuticals Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-8|TXN5-2|TXN12-3|TXN6-4|TXN5-2|158860000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||0.765|0.7651|0.0|0.0|0.768|0.7644|0.7745|0.7651|0.0|0.0|0.7644|0.768|0.7722|0.7699|0.7698|0.7654|0.0|0.77|0.0|0.7722|0.738|0.7936|0.6064|0.936|0.7535|0.7873|0.7403|0.7966|0.7387|0.7923|0.77|0.7722|1.71|0.6|674149|265461486 1045|CUBA|CUBA|42804T106|US42804T1060|Herzfeld Caribbean Basin Fund Inc (The)|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN6-3|TXN10-7|TXN5-8|TXN5-6|7150000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||||||2.7|2.67|0.0|0.0|2.7|2.68|2.67|2.68|0.0|0.0|2.68|0.0|2.66|0.0|0.0|0.0|0.0|2.68|0.0|2.68|2.08|3.24|2.02|3.25|2.65|2.7|2.62|2.72|0.0|0.0|2.66|2.68|4.35|2.25|94381|6399553 65272|CUBB|CUBB|23204G803|US23204G8033|Customers Bancorp, Inc.|5.375% Subordinated Notes Due 2034|Operating company|G|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN4-7|TXN1-5|TXN2-4|TXN1-2|2990000|||Quarterly|||||2019-12-23|2034-12-30|||||| | | | | | | | | |||N|0|N|N|402B||US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|19.75|0.0|0.0|0.0|18.75|19.9097|0.0|0.0|0.0|18.9|0.0|0.0|0.0|0.0|19.9097|0.0|19.9097|0.0|19.9097|18.75|19.91|0.0|0.0|18.76|20.11|0.0|0.0|0.0|0.0|18.75|19.91|23.24|7.31|3915|755222 10164|CUBE|CUBE|229663109|US2296631094|CubeSmart|Common Shares|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-7|TXN1-1|TXN7-1|TXN3-8|TXN2-8|224860000|||Quarterly|||||2004-10-22||||||| | | | | | | | | |||N|0|Y|Y|412A|USA|US|||35|3510|351020|35102050|Real Estate|Real Estate |Real Estate Investment Trusts|Storage REITs|N||N||||||Y|0|Y||Y|1|||41.74|41.755|0.0|41.49|41.74|41.75|41.76|41.765|0.0|0.0|41.75|41.735|41.755|41.76|41.58|41.75|41.745|41.74|41.75|41.75|41.74|41.76|39.15|44.07|41.73|41.81|41.7|41.8|41.74|41.81|41.74|41.76|48.93|33.175|1404361|416855207 41074|CUBI|CUBI|23204G100|US23204G1004|Customers Bancorp, Inc.|Voting Common Stock, $1.00 par value per share|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|O|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-7|TXN1-1|TXN6-8|TXN3-8|TXN2-8|31410000|||NotApplicable|||||2014-12-30||||||| | | | | | | | | |||N|0|N|Y|402B|USA|US|||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||Y|2|||49.6|49.54|0.0|49.63|49.62|49.59|49.69|49.59|0.0|0.0|49.63|49.63|49.715|49.58|49.3|49.72|49.39|49.72|49.6|49.72|49.7|49.71|37.92|61.04|49.15|50.09|49.58|49.82|49.7|49.84|49.7|49.71|49.78|6.87|328975|122479786 52990|CUBI PRE|CUBIpE|23204G605|US23204G6052|Customers Bancorp, Inc.|Fixed-to-Floating Rate Non-Cumulative Perpetual Preferred Stock, Series E|Operating company|B|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN4-8|TXN8-8|TXN2-4|TXN3-5|2300000|||Quarterly|||||2016-04-29||||||| | | | | | | | | |||N|0|N|N|402B|USA|US|||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|25.13|25.0201|0.0|0.0|0.0|25.12|0.0|0.0|0.0|0.0|25.12|0.0|25.12|0.0|25.12|25.03|25.13|0.0|0.0|24.5|25.47|0.0|0.0|0.0|0.0|25.03|25.13|26.03|10.77|4064|1999481 53948|CUBI PRF|CUBIpF|23204G704|US23204G7043|Customers Bancorp, Inc.|Fixed-to-Floating Rate Non-Cumulative Perpetual Preferred Stock, Series F|Operating company|B|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN1-8|TXN2-8|TXN4-7|TXN3-1|3400000|||Quarterly|||||2016-09-21||||||| | | | | | | | | |||N|0|N|N|402B|USA|US|||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||Y|2|||0.0|24.85|0.0|0.0|0.0|24.82|24.88|24.82|0.0|0.0|0.0|0.0|0.0|0.0|0.0|24.82|24.85|24.82|0.0|24.82|24.8|24.82|24.81|24.85|23.16|25.01|0.0|0.0|0.0|0.0|24.8|24.82|25.6999|9.5|6346|2748593 60355|CUE|CUE|22978P106|US22978P1066|Cue Biopharma Inc|COM 0.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN5-3|TXN10-3|TXN6-3|TXN5-3|45120000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y|D|||||2.6|2.6|0.0|0.0|2.57|2.6|2.595|2.6|0.0|0.0|2.59|2.57|2.61|2.6|2.6|2.6|2.61|2.595|2.6|2.61|2.57|2.64|1.98|3.18|2.57|2.64|2.57|2.63|2.57|2.63|2.59|2.6|5.12|1.7|618203|68936352 51694|CUEN|CUEN|229794300|US2297943001|Cuentas Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN5-5|TXN11-8|TXN5-7|TXN6-7|2730000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502050|50205015|Industrials|Industrial Goods and Services|Industrial Support Services|Transaction Processing Services|N||N||||||N|0|Y|C|||||1.49|1.5|0.0|0.0|0.0|1.49|1.4501|1.38|0.0|0.0|1.49|1.47|1.49|0.0|0.0|1.47|1.49|1.51|0.0|1.51|1.21|1.68|1.21|1.77|1.42|1.55|1.43|1.54|1.42|1.55|1.46|1.51|10.5|0.15|137417|91645151 68995|CUENW|CUENW|229794110|US2297941104|Cuentas Inc|WT EXP||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-1|TXN6-3|TXN11-2|TXN5-6|TXN5-7|2720000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0025|0.0|0.0|0.0|0.0|0.0|0.0071|0.0197|0.2471|0.0066|0|569248 5642|CUK|CUK|14365C103|US14365C1036|Carnival plc|American Depositary Shares (each representing one ordinary share)|Operating company|H|N|N|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-5|TXN4-4|TXN6-4|TXN1-2|TXN4-6|186820000|||Quarterly|||||2000-10-23||||||| | | | | | | | | |||N|0|N|Y|200A|USA|GB|||40|4050|405010|40501015|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Travel and Tourism|N||N||||||Y|0|Y||Y|2|||14.73|14.7|0.0|14.19|14.7|14.705|14.7|14.7|0.0|0.0|14.715|14.72|14.705|14.73|14.6|14.71|14.63|14.7|14.72|14.71|14.7|14.71|11.34|18.08|14.63|14.73|14.68|14.74|14.67|14.75|14.7|14.71|17.67|6.7419|1493292|406312244 31815|CULL|CULL|230153108|US2301531081|Cullman Bancorp Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN6-5|TXN14-2|TXN5-2|TXN5-7|7260000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|10.56|0.0|0.0|0.0|0.0|0.0|10.63|0.0|0.0|0.0|0.0|10.56|0.0|10.56|0.0|0.0|0.0|0.0|10.08|11.08|0.0|0.0|0.0|0.0|10.45|10.66|13.25|10.22|260|624227 5376|CULP|CULP|230215105|US2302151053|Culp, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|P|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN2-1|TXN4-8|TXN3-8|TXN4-1|12460000|||Quarterly|||||1996-12-31||||||| | | | | | | | | |||N|0|N|Y|146G|USA|US|||55|5510|551010|55101020|Basic Materials|Basic Resources|Industrial Materials|Textile Products|N||N||||||Y|0|Y||Y|2|||5.0|5.05|0.0|0.0|5.05|4.995|5.0191|5.04|0.0|0.0|5.0|0.0|4.97|0.0|0.0|4.96|5.07|4.96|0.0|4.96|4.95|5.03|3.84|6.1|4.85|5.13|4.09|6.1|0.0|0.0|4.95|5.03|5.9929|4.16|40862|3989185 38350|CURE|CURE|25459Y876|US25459Y8764|Direxion Shares ETF Trust|Direxion Daily Healthcare Bull 3X Shares|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Direxion Shares|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-1|TXN2-7|TXN5-3|TXN3-8|TXN2-2|1900008|||Quarterly|||||2011-06-15||CURE.NV|CURE.SO|CURE.EU|CURE.TC|CURE.IV| | | | | | | | | |3x|The Fund seeks daily investment results, before fees and expenses, of 300% of the performance of the Health Care Select Sector Index.|N|0|N|N|416A|USA|US|EQUITY|LEVERAGED|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||91.44|93.0|0.0|0.0|92.48|92.69|92.692|0.0|0.0|0.0|92.56|92.45|92.72|92.721|92.56|92.57|0.0|92.7023|0.0|92.7023|92.1|93.24|71.41|98.0|92.64|92.76|92.17|93.23|92.17|93.08|92.64|92.76|130.08|75.39|35359|11622010 65316|CURI|CURI|23130Q107|US23130Q1076|CuriosityStream Inc|COM CL 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100126||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-7|TXN5-3|TXN13-4|TXN6-3|TXN5-3|53070000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.012|0.0249|0.1498|0.005|0|1658156 60249|CURO|CURO|23131L107|US23131L1070|CURO Group Holdings Corp.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|Q|GTS Securities 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LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-8|TXN3-5|TXN6-8|TXN4-4|TXN1-5|1700000|||Yearly|||||2018-04-09||CUT.NV|CUT.SO|CUT.EU|CUT.TC|CUT.IV| | | | | | | | | |1x|The Guggenheim MSCI Global Timber ETF seeks investment results that correspond generally to the performance, before the Funds fees and expenses, of an equity index called the MSCI ACWI IMI Timber Select Capped Index. 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REITs|N||N||||||Y|0|Y||Y|1|||22.36|22.345|0.0|22.27|22.345|22.345|22.345|22.35|0.0|0.0|22.34|22.35|22.35|22.35|22.35|22.34|22.38|22.34|22.35|22.34|22.34|22.35|20.91|23.76|22.32|22.37|22.32|22.38|22.32|22.37|22.34|22.35|28.66|17.4|1637085|369643347 67235|CVAC|CVAC|N2451R105|NL0015436031|CureVac N.V.|COM EUR0.12||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN5-4|TXN10-3|TXN5-5|TXN6-7|223880000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||DEU||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||5.55|5.56|0.0|5.48|5.56|5.5|5.56|5.55|0.0|0.0|5.55|5.48|5.56|5.5|5.55|5.56|5.49|5.56|5.555|5.56|5.47|5.59|4.21|6.7|5.48|5.59|5.51|5.58|5.54|5.59|5.55|5.56|12.79|4.95|434844|165359201 73018|CVAR|CVAR|26923N876|US26923N8763|Cultivar ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN1-3|TXN2-8|TXN2-6|TXN3-1|1230000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|24.2029|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|24.2029|0.0|24.2029|0.0|0.0|0.0|0.0|24.16|24.25|0.0|0.0|0.0|0.0|24.17|24.22|26.62|21.5061|0|500163 1053|CVBF|CVBF|126600105|US1266001056|CVB Financial Corp|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN5-7|TXN14-2|TXN6-4|TXN5-3|139340000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||||||19.2|19.185|0.0|19.0|19.18|19.185|19.2|19.185|0.0|0.0|19.19|19.19|19.19|19.21|19.21|19.195|19.2|19.195|19.23|19.19|19.18|19.22|14.94|23.48|19.16|19.23|19.16|19.22|19.18|19.22|19.19|19.21|28.67|10.66|929378|279026874 1055|CVCO|CVCO|149568107|US1495681074|Cavco Industries Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN6-7|TXN14-4|TXN5-3|TXN6-8|8330000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4020|402020|40202010|Consumer Discretionary|Consumer Products and Services|Household Goods and Home Construction|Home Construction|N||N||||||Y|0|Y||||||293.6|298.245|0.0|290.2|0.0|297.455|298.06|298.07|0.0|0.0|297.25|298.17|298.27|298.34|295.88|298.1|0.0|298.41|296.58|298.27|292.23|303.67|226.96|363.94|293.12|302.6|296.84|299.62|297.96|299.61|297.96|298.49|318.0|219.92|73179|14642635 1056|CVCY|CVCY|155685100|US1556851004|Central Valley Community Bancorp|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN6-2|TXN12-4|TXN5-1|TXN6-3|11820000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||||||18.22|18.2|0.0|0.0|0.0|18.1|18.2|18.22|0.0|0.0|0.0|0.0|18.32|0.0|0.0|18.2|0.0|18.2|0.0|18.32|17.73|18.84|0.0|0.0|17.78|18.75|0.0|0.0|0.0|0.0|18.14|18.33|25.99|12.59|47188|8282162 31772|CVE|CVE|15135U109|CA15135U1093|Cenovus Energy Inc.|Common Shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-1|TXN4-2|TXN9-7|TXN1-8|TXN1-2|1896490000|||Quarterly|||||2009-11-02||||||| | | | | | | | | |||N|0|N|Y|134A|CAN|CA|||60|6010|601010|60101000|Energy|Energy|Oil, Gas and Coal|Integrated Oil and Gas|N||N||||||Y|0|Y||Y|2|||17.16|17.15|0.0|0.0|17.16|17.16|17.16|17.155|0.0|0.0|17.16|17.155|17.155|17.15|17.16|17.16|17.16|17.16|17.15|17.16|17.15|17.16|13.53|21.42|17.15|17.16|17.13|17.19|17.14|17.19|17.15|17.16|21.37|14.97|7794012|1746946410 68661|CVE WS|CVE.WS|15135U117|CA15135U1176|Cenovus Energy Inc.|Warrants (each warrant entitles the holder to purchase one common share at an exercise price of C$6.54 per share)|Operating company|C|N|Y|N|Y|Y|Y|Y|Y|6|T|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN2-6|TXN4-8|TXN1-3|TXN4-7|1885560000|||NotApplicable|||||2021-01-06|2026-01-01|||||| | | | | | | | | |||N|0|N|N|134A|CAN|CA|||||||||||N||N||||||N|0|Y||N||||12.24|0.0|0.0|0.0|0.0|12.33|12.25|12.28|0.0|0.0|12.88|0.0|12.33|0.0|0.0|12.38|0.0|12.38|12.24|12.38|12.16|12.6|0.0|0.0|12.16|12.5|12.16|12.4|0.0|0.0|12.16|13.67|16.53|10.4|3608|702849 44242|CVEO|CVEO|17878Y207|CA17878Y2078|Civeo Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|P|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN1-4|TXN4-8|TXN4-2|TXN4-4|14750000|||Quarterly|||||2014-05-19||||||| | | | | | | | | |||N|0|N|Y|134F|USA|US|||60|6010|601010|60101030|Energy|Energy|Oil, Gas and Coal|Oil Equipment and Services|N||N||||||Y|0|Y||Y|2|||22.15|21.89|0.0|22.36|22.38|22.24|22.36|22.275|0.0|0.0|21.8|22.53|22.36|22.21|22.31|22.41|22.83|22.36|22.37|22.41|22.35|22.41|16.95|27.13|21.96|22.69|22.28|22.51|22.35|22.5|22.35|22.5|36.88|17.87|55359|13122275 1057|CVGI|CVGI|202608105|US2026081057|Commercial Vehicle Group Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN5-7|TXN14-6|TXN6-2|TXN5-7|33710000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502060|50206015|Industrials|Industrial Goods and Services|Industrial Transportation|Commercial Vehicles and Parts|N||N||||||Y|0|Y||||||6.77|6.8|0.0|0.0|6.77|6.785|6.795|6.785|0.0|0.0|6.79|6.97|6.795|6.74|6.77|6.79|6.75|6.795|6.74|6.795|6.72|6.86|5.27|8.34|6.79|6.83|6.76|6.82|6.77|6.82|6.79|6.8|11.9599|5.48|160728|53886204 1059|CVGW|CVGW|128246105|US1282461052|Calavo Growers Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN6-2|TXN13-8|TXN5-3|TXN5-2|17760000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||45|4510|451020|45102010|Consumer Staples |Food, Beverage and Tobacco |Food Producers|Farming, Fishing, Ranching and Plantations|N||N||||||Y|0|Y||||||26.69|26.82|0.0|26.62|26.84|26.8|26.84|26.83|0.0|0.0|26.81|26.65|26.84|26.8|26.8|26.78|26.84|26.85|26.8|26.84|26.54|27.09|20.36|32.7|26.81|27.05|26.75|26.89|26.81|26.9|26.81|26.85|38.97|21.59|446946|34514434 25992|CVI|CVI|12662P108|US12662P1084|CVR Energy, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|P|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-7|TXN4-2|TXN5-6|TXN1-7|TXN4-1|100530000|||Quarterly|||||2007-10-23||||||| | | | | | | | | |||N|0|N|Y|130E|USA|US|||60|6010|601010|60101020|Energy|Energy|Oil, Gas and Coal|Oil Refining and Marketing|N||N||||||Y|0|Y||Y|2|||32.18|32.21|0.0|32.11|32.21|32.18|32.205|32.17|0.0|0.0|32.13|32.18|32.2|32.18|32.14|32.2|32.1|32.2|32.12|32.2|32.18|32.2|24.81|39.29|32.13|32.23|32.15|32.25|32.14|32.26|32.18|32.2|39.36|22.6|547588|233776359 75178|CVIE|CVIE|61774R106|US61774R1068|Morgan Stanley ETF Trust|Calvert International Responsible Index ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Morgan Stanley|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-6|TXN3-1|TXN8-8|TXN2-7|TXN3-2|1400000|||Quarterly|||||2023-02-01||CVIE.NV|CVIE.SO|CVIE.EU|CVIE.TC|CVIE.IV| | | | | | | | | |1x|Calvert International Responsible Index ETF seeks to track the performance of the Calvert International Responsible Index.|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|51.3|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|51.354|0.0|51.354|0.0|0.0|0.0|0.0|51.32|51.38|0.0|0.0|0.0|0.0|51.32|51.38|53.03|45.9062|4909|1551365 70111|CVII|CVII|17144M102|US17144M1027|Churchill Capital Corp VII|Class A Common Stock|Special purpose acquisition company|A|N|N|N|Y|Y|Y|Y|Y|5|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN4-1|TXN1-5|TXN2-2|TXN4-2|58020000|||NotApplicable|||||2021-04-05||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||10.49|0.0|0.0|0.0|0.0|0.0|10.5|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.49|0.0|10.49|0.0|10.49|10.48|10.5|10.47|10.55|10.25|10.51|0.0|0.0|0.0|0.0|10.48|10.5|10.8|9.92|471|121409287 70112|CVII WS|CVII.WS|17144M110|US17144M1100|Churchill Capital Corp VII|Warrants, each exercisable for one share of Class A common stock at an exercise price of $11.50 per share|Special purpose acquisition company|C|N|N|N|Y|Y|Y|Y|Y|5|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN9-8|TXN3-8|TXN1-5|TXN1-2|TXN4-4|92520000|||NotApplicable|||||2021-04-05||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||||||||||N||N||||||N|0|Y|C|N||||0.1|0.1|0.0|0.0|0.1|0.1|0.0902|0.1|0.0|0.0|0.0999|0.0999|0.0999|0.0|0.0|0.0902|0.0|0.0902|0.1|0.0902|0.08|0.0902|0.0|0.0|0.05|0.1|0.0|0.0|0.0|0.0|0.0752|0.0942|0.39|0.015|13961|17649019 69166|CVII U|CVII.U|17144M201|US17144M2017|Churchill Capital Corp VII|Units, each consisting of one share of Class A common stock, and one-fifth of one redeemable warrant|Special purpose acquisition company|R|N|N|N|Y|Y|Y|Y|Y|5|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN4-5|TXN2-8|TXN4-5|TXN4-8|0|||NotApplicable|||||2021-02-12||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|10.48|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.48|0.0|10.48|0.0|10.48|10.48|10.5|0.0|0.0|10.43|10.57|8.24|12.73|0.0|0.0|10.48|10.5|10.58|9.68|424|2408967 75136|CVKD|CVKD|127636108|US1276361086|Cadrenal Therapeutics Inc|COM USD0.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-3|TXN6-8|TXN11-8|TXN6-7|TXN6-3|13020000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||0.54|0.5409|0.0|0.0|0.4928|0.5025|0.5598|0.559|0.0|0.0|0.5|0.5025|0.559|0.0|0.0|0.0|0.0|0.5|0.0|0.5|0.408|0.6516|0.408|0.6516|0.4668|0.597|0.408|0.6516|0.0|0.0|0.5002|0.559|6.75|0.395|62457|45922956 75179|CVLC|CVLC|61774R205|US61774R2058|Morgan Stanley ETF Trust|Calvert US Large-Cap Core Responsible Index ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Morgan Stanley|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-6|TXN1-7|TXN2-7|TXN1-1|TXN3-2|4152000|||Quarterly|||||2023-02-01||CVLC.NV|CVLC.SO|CVLC.EU|CVLC.TC|CVLC.IV| | | | | | | | | |1x|Calvert US Large-Cap Core Responsible Index ETF seeks to track the performance of the Calvert US Large-Cap Core Responsible Index.|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||0.0|56.97|0.0|0.0|0.0|56.97|56.96|0.0|0.0|0.0|56.97|0.0|56.97|56.97|0.0|56.97|0.0|57.0502|0.0|57.0502|56.46|57.61|0.0|0.0|57.03|57.06|57.03|57.06|0.0|0.0|57.03|57.06|57.61|47.75|13415|4370895 1064|CVLG|CVLG|22284P105|US22284P1057|Covenant Logistics Group Inc|CL A COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN6-1|TXN13-5|TXN5-6|TXN6-5|10600000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502060|50206010|Industrials|Industrial Goods and Services|Industrial Transportation|Trucking|N||N||||||N|0|Y||||||44.09|44.05|0.0|0.0|43.87|43.89|43.94|43.75|0.0|0.0|43.81|43.84|43.91|44.06|0.0|44.0|0.0|43.92|0.0|43.91|43.34|44.4|33.93|53.49|43.41|44.4|33.93|53.49|43.77|44.15|43.82|44.0|57.57|29.34|41324|17499624 17226|CVLT|CVLT|204166102|US2041661024|CommVault Systems Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN5-3|TXN14-8|TXN6-7|TXN6-8|43790000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||||||76.13|76.09|0.0|76.07|76.17|76.16|76.16|76.13|0.0|0.0|76.15|76.17|76.13|76.08|76.375|76.17|76.16|76.13|75.16|76.13|75.97|76.32|57.99|93.79|75.97|76.32|76.05|76.24|0.0|0.0|76.13|76.17|78.8|53.2|258049|69764725 1060|CVLY|CVLY|192025104|US1920251048|Codorus Valley Bancorp Inc|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN5-1|TXN14-3|TXN6-3|TXN5-2|9610000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|20.36|20.36|0.0|0.0|0.0|0.0|20.49|0.0|0.0|0.0|0.0|20.36|0.0|20.49|19.5|21.02|0.0|0.0|19.78|20.91|0.0|0.0|0.0|0.0|20.22|20.49|25.95|15.9999|5280|5136241 5661|CVM|CVM|150837607|US1508376076|Cel-Sci Corp|Common Stock|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Brendan E. Cryan and Company, L.L.C.|CRYN|0235|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-5|TXN3-7|TXN7-7|TXN1-2|TXN4-4|49980000|||Monthly|||||2017-06-15||||||| | | | | | | | | |||N|0|N|N|310A|USA|US|||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||Y|2|||2.805|2.8|0.0|2.83|2.83|2.805|2.8199|2.82|0.0|0.0|2.81|2.82|2.81|2.839|2.83|2.81|2.8|2.8|2.82|2.8|2.79|2.83|2.8|2.82|2.79|2.83|2.79|2.83|2.8|2.82|2.8|2.82|3.3299|1.04|2894723|117921073 75181|CVMC|CVMC|61774R403|US61774R4039|Morgan Stanley ETF Trust|Calvert US Mid-Cap Core Responsible Index ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Morgan Stanley|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-1|TXN3-8|TXN6-8|TXN4-6|TXN3-3|550000|||Quarterly|||||2023-02-01||CVMC.NV|CVMC.SO|CVMC.EU|CVMC.TC|CVMC.IV| | | | | | | | | |1x|Calvert US Mid-Cap Core Responsible Index ETF seeks to track the performance of the Calvert US Mid-Cap Core Responsible Index.|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|50.325|0.0|0.0|0.0|0.0|0.0|50.44|0.0|0.0|0.0|0.0|50.571|0.0|50.571|50.05|51.08|0.0|0.0|50.53|50.59|50.53|50.59|0.0|0.0|50.53|50.59|52.75|44.1672|207|206840 57182|CVNA|CVNA|146869102|US1468691027|Carvana Co.|Class A Common Stock, $0.001 par value|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|A|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-7|TXN1-6|TXN7-7|TXN3-2|TXN2-5|114030000|||NotApplicable|||||2017-04-28||||||| | | | | | | | | |||N|0|N|Y|132A|USA|US|||40|4040|404010|40401030|Consumer Discretionary|Retail |Retailers |Specialty Retailers |N||N||||||Y|0|Y||Y|2|||40.01|40.1|0.0|39.98|40.07|40.07|40.07|40.07|0.0|0.0|39.99|39.98|40.11|40.07|40.04|40.07|39.99|40.1|39.98|40.07|40.07|40.08|31.3|49.42|40.07|40.11|39.99|40.15|39.95|40.16|40.07|40.08|57.19|3.55|22337452|4645155502 5665|CVR|CVR|168088102|US1680881026|Chicago Rivet & Machine Co|Common Stock|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Brendan E. Cryan and Company, L.L.C.|CRYN|0235|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-2|TXN1-5|TXN1-5|TXN1-8|TXN2-7|970000|||Quarterly|||||1979-03-01||||||| | | | | | | | | |||N|0|N|N|100A|USA|US|||55|5510|551020|55102015|Basic Materials|Basic Resources|Industrial Metals and Mining|Metal Fabricating|N||N||||||N|0|Y||Y|2|||0.0|16.38|0.0|18.02|0.0|16.38|16.4978|0.0|0.0|0.0|0.0|0.0|16.02|0.0|0.0|0.0|16.38|16.38|0.0|16.38|0.0|0.0|15.52|17.0|15.61|17.0|0.0|0.0|0.0|0.0|15.7|17.0|32.94|15.16|2146|824530 76192|CVRD|CVRD|557441409|US5574414091|Madison ETFs Trust|Madison Covered Call ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Tidal ETF Services |GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-8|TXN2-8|TXN8-8|TXN2-5|TXN3-4|4000000|||Quarterly|||||2023-08-22||CVRD.NV|CVRD.SO|CVRD.EU|CVRD.TC| | | | | | | | | | ||The Fund will invest at least 80% of its net assets (including any borrowings for investment purposes) in equity securities of companies, including other investment companies. The Fund invests, under normal market conditions, in a diversified portfolio of common stocks of large- and mid-capitalization issuers that, in the view of the Funds investment advisor, Madison Asset Management LLC (Madison or the Advisor), sell at a reasonable price in relation to their long-term earnings growth rates, exhibit a high degree of financial strength and are well-positioned competitively.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|20.1998|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|20.6|0.0|20.6|0.0|0.0|0.0|0.0|20.6|20.61|10.31|30.93|0.0|0.0|20.6|20.61|20.62|19.2114|202|3994706 76432|CVRT|CVRT|12811T308|US12811T3086|Calamos ETF Trust|Calamos Convertible Equity Alternative ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Calamos|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-6|TXN3-6|TXN5-8|TXN1-6|TXN3-2|200001|||Adhoc|||||2023-10-04||CVRT.NV|CVRT.SO|CVRT.EU|CVRT.TC| | | | | | | | | | ||Actively managed ETF that seeks to deliver returns consistent with the segment of the U.S. convertibles marketplace that has a higher level of equity sensitivity. The Fund seeks to achieve its objective by investing at least 80% of its net assets (plus borrowings for investment purposes, if any) in a portfolio of convertible securities (including synthetic convertible instruments).|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|25.575|25.548|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|25.53|25.5695|0.0|25.5695|25.49|25.64|0.0|0.0|25.53|25.6|25.49|25.64|0.0|0.0|25.53|25.64|25.7036|22.82|477|98139 71020|CVRX|CVRX|126638105|US1266381052|CVRx Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN5-5|TXN11-2|TXN5-2|TXN6-5|20820000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||Y|0|Y||||||23.19|23.735|0.0|23.79|23.76|23.9|23.78|23.76|0.0|0.0|23.82|0.0|23.78|23.76|23.66|23.48|0.0|23.78|22.81|23.78|23.21|24.21|17.92|29.02|23.44|23.96|23.58|23.89|23.68|23.91|23.68|23.78|23.9|6.57|136245|42445319 5666|CVS|CVS|126650100|US1266501006|CVS Health Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|N|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-5|TXN3-6|TXN1-6|TXN4-4|TXN4-2|1286900000|||Quarterly|||||1952-10-01||||||| | | | | | | | | |||N|1|Y|Y|146G|USA|US|||45|4520|452010|45201015|Consumer Staples |Personal Care, Drug and Grocery Stores |Personal Care, Drug and Grocery Stores |Drug Retailers|N||N||||||Y|0|Y||Y|1|||68.47|68.48|0.0|67.83|68.48|68.48|68.48|68.5|0.0|0.0|68.48|68.5|68.48|68.47|68.5|68.48|68.47|68.48|68.465|68.48|68.47|68.49|64.15|72.7|68.46|68.49|68.44|68.53|68.47|68.49|68.48|68.5|104.83|64.41|7413614|2000145238 75183|CVSB|CVSB|61774R601|US61774R6018|Morgan Stanley ETF Trust|Calvert Ultra-Short Investment Grade ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Morgan Stanley|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-4|TXN2-5|TXN4-8|TXN3-7|TXN3-1|925000|||Monthly|||||2023-02-01||CVSB.NV|CVSB.SO|CVSB.EU|CVSB.TC|CVSB.IV| | | | | | | | | ||Calvert Ultra-Short Investment Grade ETF (the Fund) seeks to maximize income, to the extent consistent withpreservation of capital, through investment in short-term bonds and income-producing securities.|N|0|N|N|416A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|50.19|0.0|0.0|0.0|50.205|50.2198|50.13|0.0|0.0|50.25|0.0|50.24|0.0|0.0|0.0|0.0|50.185|0.0|50.185|0.0|0.0|0.0|0.0|50.17|50.2|0.0|0.0|0.0|0.0|50.17|50.2|50.51|49.85|2597|992293 75182|CVSE|CVSE|61774R502|US61774R5028|Morgan Stanley ETF Trust|Calvert US Select Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Morgan Stanley|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN3-3|TXN5-7|TXN2-6|TXN3-3|460000|||Quarterly|||||2023-02-01||CVSE.NV|CVSE.SO|CVSE.EU|CVSE.TC|CVSE.IV| | | | | | | | | ||Calvert US Select Equity ETF seeks to provide long-term capital appreciation.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|54.12|0.0|0.0|0.0|0.0|0.0|55.18|0.0|0.0|0.0|0.0|55.2484|0.0|55.2484|54.68|55.8|0.0|0.0|55.21|55.26|55.21|55.26|0.0|0.0|55.21|55.26|55.5753|47.4118|2|61465 74718|CVU|CVU|125919308|US1259193084|CPI Aerostructures, Inc.|Common Stock Without Par Value|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Brendan E. Cryan and Company, L.L.C.|CRYN|0235|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-5|TXN2-7|TXN8-8|TXN2-6|TXN4-8|12670000|||NotApplicable|||||2000-09-05||||||| | | | | | | | | |||N|0|N|N|100A|USA|US|||50|5020|502010|50201020|Industrials|Industrial Goods and Services|Aerospace and Defense|Defense|N||N||||||Y|0|Y||Y|2|||2.44|2.45|0.0|0.0|2.45|2.45|2.43|2.46|0.0|0.0|2.42|2.43|2.45|0.0|0.0|2.45|2.47|2.47|0.0|2.47|2.36|2.53|2.42|2.47|2.37|2.52|2.4|2.5|2.39|2.51|2.42|2.47|4.6|2.15|53499|8799199 5669|CVV|CVV|126601103|US1266011030|CVD Equipment Corp|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN5-4|TXN12-1|TXN5-8|TXN5-6|6830000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101020|10102020|Technology|Technology|Technology Hardware and Equipment|Production Technology Equipment|N||N||||||N|0|Y||||||0.0|4.88|0.0|0.0|4.91|4.9|4.975|4.98|0.0|0.0|4.98|0.0|4.97|4.97|0.0|0.0|0.0|4.97|0.0|4.97|4.56|5.25|0.0|0.0|4.69|5.17|4.07|6.0|0.0|0.0|4.88|4.98|15.82|3.93|30093|8986847 5671|CVX|CVX|166764100|US1667641005|Chevron Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|O|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-2|TXN1-1|TXN6-8|TXN3-5|TXN1-3|1882050000|||Quarterly|||||1921-06-24||||||| | | | | | | | | |||Y|1|Y|Y|134D|USA|US|||60|6010|601010|60101000|Energy|Energy|Oil, Gas and Coal|Integrated Oil and Gas|N||N||||||Y|0|Y||Y|1|||144.85|144.85|0.0|144.8|144.86|144.85|144.85|144.905|0.0|0.0|144.87|144.98|144.84|144.94|144.95|144.87|144.73|144.85|144.91|144.87|144.84|144.85|136.4|154.36|144.83|144.85|144.82|145.9|144.83|144.96|144.84|144.85|187.81|140.72|11842828|1963635320 17209|CVY|CVY|46137Y500|US46137Y5006|Invesco Exchange-Traded Fund Trust|Invesco Zacks Multi-Asset Income ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Invesco|IMC Chicago, LLC, DBA IMC Financial Markets|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN4-4|TXN1-5|TXN2-4|TXN3-1|13000000|||Quarterly|||||2018-04-09||CYM.NV|CVY.SO|CVY.EU|CVY.TC|CYM.IV| | | | | | | | | |1x|The Guggenheim Multi-Asset Income ETF seeks investment results that correspond generally to the performance, before the Funds fees and expenses, of an equity index called the Zacks Multi-Asset Income Index. The Zacks Multi Asset Income Index is comprised of approximately 125 to 150 securities selected, based on investment and other criteria, from a universe of domestic and international companies. The universe of securities within the Index includes: U.S.-listed common stocks, American depositary receipts (ADRs) paying dividends, Real estate investment trusts (REITs), Master limited partnerships (MLPs), Closed-end funds, Traditional preferred stocks|N|0|N|N|406C|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||23.11|23.13|0.0|0.0|23.1|23.13|23.0677|23.07|0.0|0.0|23.13|0.0|23.11|23.12|0.0|0.0|0.0|23.0799|0.0|23.0799|18.36|27.66|22.96|23.19|23.02|23.11|22.96|23.19|22.96|23.19|23.02|23.11|23.579|19.8001|4915|1558860 5672|CW|CW|231561101|US2315611010|Curtiss-Wright Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN4-3|TXN7-8|TXN1-2|TXN4-3|38240000|||Quarterly|||||1929-08-22||||||| | | | | | | | | |||N|0|Y|Y|102B|USA|US|||50|5020|502010|50201020|Industrials|Industrial Goods and Services|Aerospace and Defense|Defense|N||N||||||Y|0|Y||Y|1|||217.56|217.56|0.0|217.55|217.55|217.54|217.515|217.52|0.0|0.0|217.55|216.47|217.47|217.11|216.645|217.62|217.28|217.57|217.35|217.62|217.48|217.49|203.92|231.0|215.65|219.0|217.13|217.85|217.48|217.94|217.48|217.49|221.24|156.76|211218|37847028 71799|CWAN|CWAN|185123106|US1851231068|Clearwater Analytics Holdings, Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-1|TXN2-1|TXN1-3|TXN3-8|TXN1-3|89950000|||NotApplicable|||||2021-09-24||||||| | | | | | | | | |||N|0|N|Y|108B|USA|US|||30|3020|302010|30201030|Financials|Financial Services |Finance and Credit Services|Financial Data Providers|N||N||||||Y|0|Y||Y|2|||19.17|19.16|0.0|19.15|19.17|19.16|19.16|19.16|0.0|0.0|19.16|19.15|19.155|19.16|19.17|19.16|19.15|19.15|19.17|19.16|19.15|19.17|14.6|23.64|19.12|19.19|19.13|19.19|19.15|19.19|19.15|19.17|21.89|13.015|3092751|181301922 30781|CWB|CWB|78464A359|US78464A3591|SPDR Series Trust|SPDR Bloomberg Convertible Securities ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-3|TXN4-6|TXN5-5|TXN3-4|TXN3-5|50300000|||Monthly|||||2009-04-16||CWB.NV|CWB.SO|CWB.EU|CWB.TC|CWB.IV| | | | | | | | | |1x|The SPDR Barclays Capital Convertible Bond ETF seeks to provide investment results that, before fees and expenses, correspond generally to the price and yield performance of an index that tracks United States convertible bonds with outstanding issue sizes greater than $500 million. The Barclays Capital U.S. Convertible Bond >$500MM Index represents the market of U.S. convertible bonds with outstanding issue sizes greater than $500 million. Convertible bonds are bonds that can be exchanged, at the option of the holder, for a specific number of shares of the issuers preferred stock or common stock.|N|0|N|N|416A|USA|US|FIXED_INCOME|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||69.11|69.095|0.0|0.0|69.1|69.1|69.11|69.05|0.0|0.0|69.1|69.11|69.1|69.06|69.1|69.07|69.1|69.11|69.11|69.11|69.01|69.12|64.55|73.86|69.05|69.11|69.0|69.13|67.72|70.52|69.05|69.11|71.99|63.64|478997|239371691 1066|CWBC|CWBC|204157101|US2041571017|Community West Bancshares|COM USD2.5||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN6-2|TXN13-4|TXN5-4|TXN5-3|8850000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||||||0.0|13.91|0.0|0.0|0.0|14.0|13.98|13.97|0.0|0.0|14.0|0.0|13.96|0.0|0.0|0.0|0.0|13.9|0.0|13.96|13.43|14.44|0.0|0.0|13.47|14.38|0.0|0.0|0.0|0.0|13.9|14.0|15.2345|10.38|36452|1599922 1070|CWCO|CWCO|G23773107|KYG237731073|Consolidated Water Co. Ltd|ORD CI1||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN6-7|TXN12-2|TXN6-6|TXN6-4|15750000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CYM||||65|6510|651020|65102030|Utilities|Utilities|Gas, Water and Multi-utilities |Water|N||N||||||N|0|Y||||||37.63|37.7|0.0|37.58|37.56|37.65|37.63|37.625|0.0|0.0|37.2|36.95|37.65|37.61|0.0|37.23|0.0|37.63|0.0|37.65|37.24|38.02|28.97|45.33|37.26|38.0|37.56|37.73|37.59|37.67|37.59|37.65|38.29|13.655|166160|30351850 75717|CWD|CWD|13000T109|US13000T1097|CaliberCos Inc|CL A COM USD0.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN6-8|TXN12-4|TXN5-4|TXN6-2|13850000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302020|30202010|Financials|Financial Services |Investment Banking and Brokerage Services |Asset Managers and Custodians|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|1.52|1.52|0.0|0.0|0.0|1.55|0.0|1.52|0.0|0.0|0.0|0.0|1.52|0.0|1.52|0.0|0.0|0.0|0.0|1.36|1.64|0.0|0.0|0.0|0.0|1.45|1.54|13.0|1.21|5199|25191383 54257|CWEB|CWEB|25460G187|US25460G1875|Direxion Shares ETF Trust|Direxion Daily CSI China Internet Index Bull 2X Shares|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Direxion Shares|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-6|TXN2-8|TXN4-3|TXN1-3|TXN1-8|10074087.1|||Quarterly|||||2016-11-02||CWEB.NV|CWEB.SO|CWEB.EU|CWEB.TC|CWEB.IV| | | | | | | | | |2x|The Fund seeks daily investment results, before fees and expenses, of 200% of the performance of the CSI Overseas China Internet Index. The Fund seeks daily leveraged investment results and does not seek to achieve its stated investment objective over a period of time greater than one day. The Fund is different and much riskier than most exchange-traded funds.|N|0|N|N|416A|USA|US|EQUITY|LEVERAGED|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||32.8|32.78|0.0|32.84|32.78|32.83|32.78|32.79|0.0|0.0|32.79|32.69|32.81|32.82|32.67|32.79|32.99|32.86|32.93|32.86|32.1|33.52|32.13|40.1|32.78|32.82|32.13|35.07|32.13|33.51|32.78|32.82|71.688|29.51|705326|129802317 42340|CWEN|CWEN|18539C204|US18539C2044|Clearway Energy, Inc.|Class C Common Stock, $0.01 par value|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|L|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-1|TXN4-1|TXN8-3|TXN3-5|TXN2-8|82390000|||Quarterly|||||2015-05-15||||||| | | | | | | | | |||N|0|Y|Y|134B|USA|US|||65|6510|651010|65101010|Utilities|Utilities|Electricity|Alternative Electricity|N||N||||||Y|0|Y||Y|1|||25.27|25.21|0.0|25.39|25.24|25.23|25.232|25.24|0.0|0.0|25.21|25.265|25.21|25.21|25.265|25.22|25.28|25.21|25.265|25.22|25.21|25.24|23.67|26.92|25.12|25.24|25.2|25.27|25.2|25.27|25.21|25.24|35.14|18.59|1257256|250241471 49926|CWEN A|CWEN.A|18539C105|US18539C1053|Clearway Energy, Inc.|Class A Common Stock, $0.01 par value|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|L|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN1-2|TXN4-4|TXN1-4|TXN1-7|34610000|||Quarterly|||||2015-05-15||||||| | | | | | | | | |||N|0|Y|Y|134B|USA|US|||65|6510|651010|65101010|Utilities|Utilities|Electricity|Alternative Electricity|N||N||||||Y|0|Y||Y|1|||23.99|23.89|0.0|23.72|23.87|23.85|23.88|23.89|0.0|0.0|23.88|23.84|23.87|23.89|23.91|23.87|23.62|23.88|23.84|23.87|23.87|23.9|22.43|25.58|23.86|23.9|22.82|25.04|23.83|23.91|23.87|23.9|33.23|17.47|315072|72978598 54103|CWH|CWH|13462K109|US13462K1097|Camping World Holdings, Inc.|Class A common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|A|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-4|TXN1-6|TXN2-6|TXN1-8|TXN1-4|44780000|||Quarterly|||||2016-10-07||||||| | | | | | | | | |||N|0|N|Y|146G|USA|US|||40|4020|402030|40203055|Consumer Discretionary|Consumer Products and Services|Leisure Goods|Recreational Vehicles and Boats|N||N||||||Y|0|Y||Y|2|||22.53|22.47|0.0|22.34|22.48|22.47|22.475|22.515|0.0|0.0|22.51|22.52|22.48|22.52|22.54|22.48|22.52|22.48|22.515|22.48|22.48|22.49|17.05|27.3|22.44|22.53|17.58|22.52|22.46|22.52|22.48|22.49|32.8825|16.18|623634|251217976 19496|CWI|CWI|78463X848|US78463X8487|SPDR Index Shares Funds|SPDR MSCI ACWI ex-US ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-3|TXN1-2|TXN9-2|TXN2-5|TXN1-6|57299982|||BiAnnually|||||2008-11-06||CWI.NV|CWI.SO|CWI.EU|CWI.TC|CWI.IV| | | | | | | | | |1x|The SPDR MSCI ACWI ex-US ETF, before expenses, seeks to closely match the returns and characteristics of the total return performance of the MSCI ACWI ex USA Index (ticker: NDUEACWZ), an equity index based upon a broad based world ex-US composite market. The MSCI ACWI ex-USA Index is a float-adjusted market capitalization index that is designed to measure the combined equity market performance of developed and emerging market countries excluding the United States.|N|0|N|N|406C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||26.05|26.1|0.0|26.05|26.1|26.095|26.09|26.09|0.0|0.0|26.1|26.1|26.1|26.1|26.07|26.095|26.06|26.09|26.05|26.09|26.09|26.11|24.31|27.86|26.1|26.11|26.06|26.14|26.06|26.14|26.1|26.11|27.1189|23.785|838600|101639342 61344|CWK|CWK|G2717B108|GB00BFZ4N465|Cushman & Wakefield plc|Ordinary shares|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN3-6|TXN3-7|TXN3-2|TXN4-8|227250000|||NotApplicable|||||2018-08-02||||||| | | | | | | | | |||N|0|N|Y|414A|GBR|GB|||35|3510|351010|35101015|Real Estate|Real Estate |Real Estate Investment and Services Development|Real Estate Services|N||N||||||Y|0|Y||Y|2|||8.84|8.84|0.0|8.81|8.86|8.85|8.84|8.855|0.0|0.0|8.855|8.85|8.84|8.83|8.855|8.85|8.86|8.83|8.86|8.85|8.83|8.84|6.76|10.71|8.82|8.85|8.8|8.87|8.79|8.88|8.83|8.84|15.63|6.24|4132207|571446899 53946|CWS|CWS|00768Y560|US00768Y5603|AdvisorShares Trust|AdvisorShares Focused Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||AdvisorShares|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-3|TXN2-1|TXN9-8|TXN4-6|TXN4-4|1405000|||Yearly|||||2016-09-21||CWS.NV|CWS.SO|CWS.EU|CWS.TC|CWS.IV| | | | | | | | | ||AdvisorShares Focused Equity ETF seeks long-term capital appreciation. The Fund seeks to achieve its investment objective by investing primarily in a focused group of U.S. exchange listed equity securities.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|56.4202|56.29|0.0|0.0|54.8|0.0|56.4|55.074|0.0|0.0|0.0|56.6312|0.0|56.6312|55.93|57.09|42.72|69.29|56.44|56.62|52.16|60.55|0.0|0.0|56.44|56.62|56.84|46.7455|4497|1911140 1073|CWST|CWST|147448104|US1474481041|Casella Waste Systems Inc|CL A COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN6-4|TXN14-7|TXN6-8|TXN6-3|57000000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||65|6510|651030|65103035|Utilities|Utilities|Waste and Disposal Services|Waste and Disposal Services|N||N||||||Y|0|Y||||||85.0|84.98|0.0|84.96|84.96|85.0|84.97|84.99|0.0|0.0|84.935|84.24|85.01|0.0|83.93|84.825|0.0|84.97|83.53|85.01|84.83|85.19|65.69|102.39|84.8|85.02|84.87|85.13|84.91|85.02|84.94|85.02|95.782|72.33|277159|67887973 5677|CWT|CWT|130788102|US1307881029|California Water Service Group|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|R|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN3-3|TXN5-8|TXN2-4|TXN1-1|57710000|||Quarterly|||||1994-04-08||||||| | | | | | | | | |||N|0|N|Y|308A|USA|US|||65|6510|651020|65102030|Utilities|Utilities|Gas, Water and Multi-utilities |Water|N||N||||||N|0|Y||Y|2|||52.99|52.99|0.0|53.01|53.02|53.04|52.98|53.01|0.0|0.0|53.02|53.05|53.04|53.04|51.0|53.05|51.01|53.01|53.0|53.05|53.04|53.06|40.99|65.09|52.9|53.1|52.95|53.11|52.98|53.12|53.04|53.05|65.44|45.44|220363|65619867 5679|CX|CX|151290889|US1512908898|CEMEX, S.A.B. de C.V.|American Depositary Shares(Each representing Ten Ordinary Participation Certificates)|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|8|R|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-3|TXN2-1|TXN3-3|TXN1-4|TXN4-2|15137460000|||Adhoc|||||1999-09-15||||||| | | | | | | | | |||N|0|N|Y|110C|MEX|MX|||50|5010|501010|50101030|Industrials|Construction and Materials|Construction and Materials |Cement|N||N||||||Y|0|Y||Y|2|||7.04|7.04|0.0|0.0|7.05|7.035|7.03|7.035|0.0|0.0|7.04|7.04|7.04|7.035|7.035|7.04|7.035|7.05|7.035|7.04|7.03|7.05|5.52|8.63|7.03|7.05|7.0|7.07|7.03|7.05|7.03|7.05|8.46|3.98|3658470|1548233061 69024|CXAI|CXAI|23248B109|US23248B1098|CXApp Inc|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN5-1|TXN12-3|TXN6-7|TXN5-6|15250000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101010|10101010|Technology|Technology|Software and Computer Services|Computer Services|N||N||||||N|0|Y||||||1.49|1.49|0.0|0.0|1.5|1.49|1.495|1.49|0.0|0.0|1.49|1.49|1.5|1.502|1.5|1.49|1.5|1.495|1.5|1.5|1.44|1.54|1.16|1.84|1.45|1.53|1.46|1.53|1.45|1.54|1.49|1.5|21.0|1.17|317633|484410357 69025|CXAIW|CXAIW|23248B117|US23248B1171|CXApp Inc|WT EXP 031428||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-3|TXN5-1|TXN10-8|TXN6-3|TXN5-4|15250000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y|C|||||0.0|0.0|0.0|0.0|0.0|0.1084|0.0999|0.1094|0.0|0.0|0.0|0.0903|0.11|0.0|0.0|0.0|0.0|0.1094|0.0|0.1094|0.0|0.0|0.0|0.0|0.0774|0.125|0.0|0.0|0.0|0.0|0.09|0.1099|0.5715|0.0225|3858|25814053 49205|CXDO|CXDO|226552107|US2265521078|Crexendo Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN6-6|TXN13-7|TXN5-8|TXN5-3|26040000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||15|1510|151020|15102015|Telecommunications|Telecommunications|Telecommunications Service Providers |Telecommunications Services|N||N||||||Y|0|Y||||||3.44|3.39|0.0|3.39|3.45|3.46|3.45|3.45|0.0|0.0|3.44|3.44|3.4|0.0|0.0|3.39|0.0|3.45|0.0|3.4|2.63|4.21|2.63|4.21|3.27|3.57|3.34|3.51|3.33|3.52|3.4|3.45|3.73|1.2399|179000|9321238 5682|CXE|CXE|59318D104|US59318D1046|MFS High Income Municipal Trust|Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN1-5|TXN5-8|TXN2-7|TXN3-4|31530000|||Monthly|||||1989-02-17||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||3.51|3.475|0.0|0.0|3.47|3.48|3.47|3.475|0.0|0.0|3.47|0.0|3.475|3.48|3.475|3.48|3.49|3.47|0.0|3.48|3.47|3.48|2.69|4.32|3.25|3.72|3.44|3.51|0.0|0.0|3.47|3.48|3.81|2.95|96876|19389878 5683|CXH|CXH|59318B108|US59318B1089|MFS Investment Grade Municipal Trust|Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN4-1|TXN2-8|TXN4-5|TXN4-4|9110000|||Monthly|||||1989-05-19||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||7.32|7.32|0.0|0.0|7.32|7.325|7.32|7.32|0.0|0.0|7.32|0.0|7.33|7.32|0.0|7.33|7.33|7.33|7.32|7.33|7.32|7.34|5.65|9.04|7.32|7.81|5.65|9.04|0.0|0.0|7.32|7.34|7.76|6.4099|39366|4459596 70934|CXM|CXM|85208T107|US85208T1079|Sprinklr, Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-4|TXN4-3|TXN2-8|TXN2-3|TXN2-8|136750000|||NotApplicable|||||2021-06-23||||||| | | | | | | | | |||N|0|N|Y|180B|USA|US|||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||Y|2|||16.41|16.41|0.0|16.41|16.41|16.415|16.41|16.415|0.0|0.0|16.42|16.415|16.415|16.42|16.45|16.41|16.44|16.41|16.41|16.41|16.41|16.42|12.41|20.1|16.39|16.45|16.39|16.45|16.38|16.46|16.41|16.42|16.68|7.25|1612843|309018835 40721|CXSE|CXSE|97717X719|US97717X7194|WisdomTree China ex-State-Owned Enterprises 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LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-1|TXN4-3|TXN5-6|TXN1-7|TXN2-8|113610000|||Quarterly|||||1997-07-15||||||| | | | | | | | | |||N|0|N|Y|412A|USA|US|||50|5020|502050|50205020|Industrials|Industrial Goods and Services|Industrial Support Services|Professional Business Support Services|N||N||||||Y|0|Y||Y|2|||14.01|14.025|0.0|14.05|14.04|14.015|14.04|14.04|0.0|0.0|14.03|14.03|14.04|14.015|14.05|14.04|14.0|14.04|14.02|14.04|14.03|14.04|10.75|17.29|14.02|14.05|14.0|14.07|14.02|14.07|14.03|14.04|15.06|7.84|1065010|208309241 71656|CYA|CYA|82889N780|US82889N7802|Simplify Exchange Traded Funds|Simplify Tail Risk Strategy ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Simplify|Wolverine Trading, 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Services|Software|N||N||||||Y|0|Y||||||204.31|204.1|0.0|204.24|204.41|204.4|204.26|204.28|0.0|0.0|204.5|203.94|204.23|204.01|204.5|204.0|202.57|204.22|202.19|204.23|202.66|206.09|156.62|250.63|202.57|206.0|203.95|204.63|204.22|204.7|204.22|204.3|206.055|113.19|575790|101731057 1081|CYCC|CYCC|23254L603|US23254L6039|Cyclacel Pharmaceuticals Inc|COM USD||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-2|TXN6-4|TXN11-3|TXN5-2|TXN5-5|12640000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and 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Biotechnology|Biotechnology|N||N||||||N|0|Y|C|||||0.0|0.0|0.0|0.0|0.0|7.54|7.824|7.62|0.0|0.0|0.0|0.0|8.22|0.0|0.0|0.0|0.0|8.96|0.0|8.96|0.0|0.0|0.0|0.0|6.5|20.0|0.0|0.0|0.0|0.0|8.05|9.87|22.58|5.25|2761|652728 63256|CYCN|CYCN|23255M204|US23255M2044|Cyclerion Therapeutics Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN5-5|TXN11-3|TXN6-1|TXN5-6|2450000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y|C|||||0.0|0.0|0.0|0.0|0.0|0.0|2.3523|2.41|0.0|0.0|2.47|0.0|2.27|2.27|0.0|0.0|0.0|2.3523|0.0|2.27|2.13|2.42|0.0|0.0|2.21|2.35|2.13|2.42|0.0|0.0|2.25|2.3|6.75|0.1818|17970|25083667 5696|CYD|CYD|G21082105|BMG210821051|China Yuchai International Limited|Common Stock|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN1-6|TXN1-5|TXN2-3|TXN2-7|40860000|||Yearly|||||1994-12-16||||||| | | | | | | | | |||N|0|N|Y|132B|SGP|SG|||50|5020|502040|50204030|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Engines|N||N||||||Y|0|Y||Y|2|||9.49|9.31|0.0|0.0|9.36|9.45|9.42|9.53|0.0|0.0|9.12|9.75|9.32|9.03|0.0|9.3|0.0|9.3|0.0|9.3|9.3|9.47|0.0|0.0|8.71|10.11|7.44|11.73|0.0|0.0|9.3|9.47|12.5|6.73|5675|6033924 5700|CYH|CYH|203668108|US2036681086|Community Health Systems, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|D|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-6|TXN3-3|TXN7-5|TXN1-2|TXN2-7|136800000|||NotApplicable|||||2000-06-09||||||| | | | | | | | | |||N|0|N|Y|122B|USA|US|||20|2010|201010|20101010|Health Care |Health Care |Health Care Providers|Health Care Facilities|N||N||||||Y|0|Y||Y|2|||2.63|2.62|0.0|0.0|2.62|2.63|2.63|2.62|0.0|0.0|2.63|2.63|2.63|2.63|2.64|2.63|2.635|2.63|2.63|2.63|2.62|2.64|2.0|3.23|2.62|2.64|2.61|2.65|2.61|2.66|2.62|2.64|8.0099|2.01|4864294|432109357 72086|CYN|CYN|23257B107|US23257B1070|Cyngn Inc|COM 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LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN2-8|TXN2-8|TXN1-7|TXN2-4|19500000|||Quarterly|||||2019-05-02||||||| | | | | | | | | |||N|0|N|Y|208A|GRC|GR|||50|5020|502060|50206030|Industrials|Industrial Goods and Services|Industrial Transportation|Marine Transportation|N||N||||||Y|0|Y||Y|2|||71.44|71.42|0.0|71.37|71.41|71.52|71.39|71.505|0.0|0.0|71.62|71.21|71.43|71.39|70.12|71.44|70.51|71.41|69.46|71.44|71.41|71.44|54.56|87.56|70.82|71.99|71.33|71.53|71.37|71.44|71.41|71.44|71.9011|51.1|97470|29047716 66648|DADA|DADA|23344D108|US23344D1081|Dada Nexus Limited|ADS||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN5-1|TXN13-6|TXN6-6|TXN6-3|1024940000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||10|1010|101010|10101020|Technology|Technology|Software and Computer Services|Consumer Digital Services |N||N||||||Y|0|Y||||||3.3|3.3|0.0|3.3|3.3|3.29|3.295|3.29|0.0|0.0|3.29|3.29|3.3|3.29|3.28|3.295|3.29|3.295|3.29|3.3|3.28|3.32|2.49|4.03|3.28|3.31|3.26|3.32|3.29|3.31|3.29|3.3|15.5899|2.98|1569983|371323668 1096|DAIO|DAIO|237690102|US2376901029|Data I/O Corp|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN5-4|TXN10-2|TXN6-8|TXN6-2|9020000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101020|10102020|Technology|Technology|Technology Hardware and Equipment|Production Technology Equipment|N||N||||||Y|0|Y||||||0.0|3.13|0.0|0.0|0.0|0.0|3.05|3.06|0.0|0.0|3.11|0.0|3.11|0.0|0.0|0.0|0.0|3.05|0.0|3.05|2.88|3.33|0.0|0.0|2.95|3.31|2.58|3.79|0.0|0.0|3.05|3.18|4.99|2.8691|19502|4088609 1097|DAKT|DAKT|234264109|US2342641097|Daktronics Inc|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN6-6|TXN10-7|TXN6-3|TXN6-5|45720000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101020|10102015|Technology|Technology|Technology Hardware and Equipment|Electronic Components|N||N||||||Y|0|Y||||||10.23|10.23|0.0|10.25|10.23|10.24|10.2392|10.25|0.0|0.0|10.25|10.23|10.25|10.23|10.34|10.23|10.2|10.23|10.24|10.25|10.13|10.34|7.92|12.5|10.15|10.32|10.22|10.27|10.2|10.27|10.22|10.25|12.42|1.46|1034419|87532683 24424|DAL|DAL|247361702|US2473617023|Delta Air Lines, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|N|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-4|TXN4-1|TXN7-8|TXN1-4|TXN1-3|643460000|||Quarterly|||||2007-04-26||||||| | | | | | | | | |||N|5|Y|Y|202A|USA|US|||40|4050|405010|40501010|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Airlines|N||N||||||Y|0|Y||Y|1|||38.13|38.14|0.0|38.16|38.13|38.14|38.13|38.13|0.0|0.0|38.14|38.16|38.15|38.16|38.16|38.16|38.15|38.14|38.155|38.16|38.13|38.15|35.68|40.89|38.14|38.16|38.09|38.18|38.13|38.15|38.13|38.15|49.81|30.6|9760018|2353051915 60986|DALI|DALI|33738R712|US33738R7127|First Trust Exchange-Traded Fund VI|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN5-7|TXN10-8|TXN6-6|TXN6-2|6100000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|22.07|0.0|0.0|0.0|0.0|22.1143|0.0|0.0|0.0|0.0|0.0|22.14|0.0|0.0|0.0|0.0|22.11|0.0|22.14|17.7|26.65|22.01|22.24|22.09|22.14|22.01|22.25|0.0|22.25|22.09|22.14|27.31|22.07|17383|3335918 26886|DALN|DALN|235050101|US2350501019|DallasNews Corporation|CL A COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN5-7|TXN12-8|TXN5-6|TXN6-6|4740000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4030|403010|40301030|Consumer Discretionary|Media|Media|Publishing|N||N||||||N|0|Y||||||3.88|3.97|0.0|0.0|3.94|3.91|3.9499|3.87|0.0|0.0|3.95|0.0|3.91|0.0|0.0|3.83|0.0|3.97|0.0|3.97|3.71|4.14|0.0|0.0|3.78|4.12|0.0|0.0|0.0|0.0|3.9|3.97|5.7|3.72|32024|7026148 59676|DALT|DALT|90213U115|US90213U1152|Anfield Diversified Alternatives ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-5|TXN4-7|TXN4-8|TXN2-3|TXN1-2|4680000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|8.58|0.0|0.0|0.0|8.59|8.58|0.0|0.0|0.0|8.6|8.3793|0.0|0.0|0.0|8.59|8.6|8.58|0.0|8.58|8.52|8.71|8.6|8.61|8.58|8.61|8.58|8.61|0.0|0.0|8.58|8.61|8.94|7.96|17943|9771513 26963|DAN|DAN|235825205|US2358252052|Dana Incorporated|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|R|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-1|TXN1-7|TXN6-2|TXN1-8|TXN1-6|144340000|||Quarterly|||||2008-02-01||||||| | | | | | | | | |||N|0|N|Y|132B|USA|US|||40|4010|401010|40101025|Consumer Discretionary|Automobiles and Parts|Automobiles and Parts|Auto Parts|N||N||||||Y|0|Y||Y|2|||13.9|13.9|0.0|13.7|13.9|13.9|13.905|13.9|0.0|0.0|13.9|13.9|13.91|13.9|13.91|13.91|13.895|13.905|13.9|13.91|13.9|13.91|10.5|17.05|13.87|13.92|13.88|13.92|13.9|13.93|13.9|13.91|19.75|11.095|851175|297101064 64885|DAO|DAO|98741T104|US98741T1043|Youdao, Inc.|American Depositary Shares, each representing one Class A Ordinary Share|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|5|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN4-4|TXN1-5|TXN1-6|TXN3-4|37680000|||NotApplicable|||||2019-10-25||||||| | | | | | | | | |||N|0|N|Y|108C|CHN|KY|||40|4020|402010|40201010|Consumer Discretionary|Consumer Products and Services|Consumer Services |Education Services|N||N||||||Y|0|Y||Y|2|||4.06|4.085|0.0|4.11|4.11|4.125|4.11|4.11|0.0|0.0|4.09|4.03|4.14|4.14|4.09|4.15|0.0|4.15|4.13|4.15|4.11|4.15|3.19|5.03|4.08|4.19|4.09|4.17|4.09|4.18|4.11|4.15|10.0|3.38|217772|48622970 70221|DAPP|DAPP|92189H821|US92189H8218|VanEck Digital Transformation ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN6-8|TXN12-7|TXN6-7|TXN6-1|8330000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||8.06|8.01|0.0|0.0|8.03|8.05|8.05|8.02|0.0|0.0|8.05|7.94|8.07|8.066|0.0|8.06|8.01|8.01|8.02|8.07|6.6|9.36|7.95|8.13|8.0|8.08|7.95|8.13|7.95|8.12|8.0|8.07|9.76|2.52|282270|29084560 70281|DAPR|DAPR|33740U802|US33740U8027|FT Cboe Vest U.S. Equity Deep Buffer ETF - April|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-3|TXN4-8|TXN6-8|TXN1-3|TXN2-6|6730000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|31.7208|0.0|0.0|0.0|0.0|31.7101|0.0|0.0|0.0|31.68|0.0|31.71|31.68|31.71|0.0|31.68|31.7208|0.0|31.7208|30.11|33.28|29.63|33.68|31.67|31.75|31.63|31.8|31.67|31.8|31.66|33.28|31.83|29.21|13760|20482453 5723|DAR|DAR|237266101|US2372661015|Darling Ingredients Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|I|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-2|TXN3-6|TXN9-3|TXN2-7|TXN2-7|159530000|||NotApplicable|||||2007-10-24||||||| | | | | | | | | |||N|0|Y|Y|118C|USA|US|||45|4510|451020|45102020|Consumer Staples |Food, Beverage and Tobacco |Food Producers|Food Products|N||N||||||Y|0|Y||Y|1|||45.47|45.46|0.0|45.45|45.46|45.455|45.45|45.47|0.0|0.0|45.46|45.46|45.455|45.47|45.55|45.46|45.43|45.45|45.495|45.46|45.45|45.47|42.97|48.68|45.41|45.53|45.41|45.53|45.39|45.53|45.45|45.47|71.6|38.965|2026002|354465026 43915|DARE|DARE|23666P101|US23666P1012|Dare Bioscience Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-1|TXN6-1|TXN12-6|TXN5-3|TXN6-1|98560000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||0.375|0.3702|0.0|0.381|0.378|0.3701|0.36|0.379|0.0|0.0|0.3702|0.375|0.371|0.381|0.0|0.3702|0.0|0.36|0.381|0.371|0.3488|0.3896|0.3|0.4333|0.35|0.3838|0.3|0.4201|0.0|0.0|0.36|0.3711|1.4|0.28|939707|62096193 72957|DARP|DARP|88636J857|US88636J8577|Tidal Trust II|Grizzle Growth ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y|||||||||GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-6|TXN1-1|TXN3-8|TXN4-7|TXN3-3|520000|||Yearly|||||2023-08-28||||||| | | | | | | | | |||N|0|N|N|416A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|25.5002|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|25.08|0.0|25.08|0.0|0.0|25.0|25.09|25.08|25.19|24.94|26.35|0.0|0.0|25.08|25.18|25.9705|23.2299|5901|538107 68401|DASH|DASH|25809K105|US25809K1051|DoorDash Inc|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN5-8|TXN13-3|TXN5-6|TXN5-5|370740000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||USA||||10|1010|101010|10101020|Technology|Technology|Software and Computer Services|Consumer Digital Services |N||N||||||Y|0|Y||||||98.32|98.32|0.0|98.33|98.38|98.375|98.35|98.35|0.0|0.0|98.31|98.43|98.36|98.33|98.3|98.3|98.39|98.32|98.38|98.36|98.28|98.44|91.8|105.32|98.27|98.46|98.23|98.37|98.21|98.37|98.32|98.33|99.25|45.932|4702464|905501384 71859|DAT|DAT|74347G457|US74347G4579|ProShares Trust|ProShares Big Data Refiners ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ProShares Advisors |Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-3|TXN4-8|TXN9-8|TXN4-8|TXN4-2|125001|||Quarterly|||||2021-09-30||DAT.NV|DAT.SO|DAT.EU|DAT.TC|DAT.IV| | | | | | | | | |1x|ProShares Big Data Refiners ETF (the Fund) seeks investment results, before fees and expenses, that 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USD.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN6-6|TXN11-8|TXN5-4|TXN6-1|87040000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||12.15|12.15|0.0|12.07|12.16|12.155|12.15|12.15|0.0|0.0|12.16|12.11|12.16|12.15|12.17|12.14|12.17|12.15|12.17|12.16|12.12|12.18|9.17|14.9|12.05|12.19|12.11|12.18|12.13|12.18|12.14|12.16|25.77|9.67|400933|204963062 48344|DAX|DAX|37954Y491|US37954Y4917|Global X DAX Germany ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN6-8|TXN10-7|TXN5-7|TXN6-3|1800000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||0.0|0.0|0.0|0.0|0.0|29.7|29.83|29.73|0.0|0.0|0.0|0.0|29.82|29.859|0.0|0.0|0.0|29.88|0.0|29.82|27.71|31.9|0.0|0.0|29.82|30.04|27.71|31.9|0.0|0.0|29.82|29.88|30.89|25.411|7499|2793042 5725|DB|DB|D18190898|DE0005140008|Deutsche Bank Aktiengesellschaft|Ordinary Shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-3|TXN2-2|TXN5-3|TXN4-7|TXN4-5|2037840000|||Yearly|||||2001-10-03||||||| | | | | | | | | |||N|0|N|Y|416A|DEU|DE|||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||Y|2|||12.5|12.5|0.0|12.48|12.49|12.5|12.5|12.495|0.0|0.0|12.5|12.49|12.5|12.495|12.48|12.49|12.49|12.5|12.49|12.49|12.49|12.5|12.47|12.52|12.49|12.5|12.47|12.52|12.48|12.52|12.49|12.5|13.57|8.85|2355177|760924016 19226|DBA|DBA|46140H106|US46140H1068|Invesco DB Multi-Sector Commodity Trust|Invesco DB Agriculture Fund|Trust|ETV|N|N|P|Y|Y|Y|Y|Y||||||||Invesco|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-3|TXN1-5|TXN4-3|TXN3-2|TXN2-2|37300040|||Yearly|||||2008-11-25||DBA.NV|DBA.SO|DBA.EU|DBA.TC|DBA.IV| | | | | | | | | |1x|The PowerShares DB Agriculture Fund (Symbol: DBA) (the Fund) is based on the DBIQ Diversified Agriculture Index Excess Return (the Index or DB Agriculture Index) plus the interest income from the Funds holdings of US Treasury securities less the Funds expenses. and is managed by DB Commodity Services LLC (the Managing Owner). The Index is a rules-based index composed of futures contracts on some of the most liquid and widely traded agricultural commodities.|N|0|N|N|416A|USA|US|COMMODITIES_AND_FUTURES|INDEX|||||||||N||N||||||Y|0|Y||Y|1|||21.98|21.98|0.0|0.0|21.98|21.98|21.982|21.985|0.0|0.0|21.98|21.98|21.98|21.98|22.03|21.98|21.99|21.98|21.98|21.98|21.97|21.99|21.98|22.02|21.98|21.99|21.96|22.03|21.97|22.02|21.98|21.99|22.49|19.25|562752|150251143 43423|DBAW|DBAW|233051820|US2330518208|DBX ETF Trust|Xtrackers MSCI All World ex US Hedged Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||DBX Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-5|TXN3-8|TXN1-5|TXN4-1|TXN4-4|4600001|||BiAnnually|||||2014-01-23||DBAW.NV|DBAW.SO|DBAW.EU|DBAW.TC|DBAW.IV| | | | | | | | | |1x|The db X-trackers MSCI All World ex US Hedged Equity Fund (DBAW) seeks investment results that correspond generally to the performance, before fees and expenses, of the MSCI ACWI ex USA US Dollar Hedged Index. The Underlying Index is designed to provide exposure to equity securities in developed and emerging stock markets (excluding the United States), while at the same time mitigating exposure to fluctuations between the value of the U.S. dollar and selected non-U.S. currencies.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|29.4299|0.0|0.0|0.0|29.4|0.0|0.0|0.0|0.0|0.0|0.0|29.4433|0.0|29.4433|0.0|0.0|0.0|0.0|29.43|29.46|0.0|0.0|0.0|0.0|29.43|29.46|31.1199|26.87|13409|3235635 19225|DBB|DBB|46140H700|US46140H7008|Invesco DB Multi-Sector Commodity Trust|Invesco DB Base Metals Fund|Trust|ETV|N|N|P|Y|Y|Y|Y|Y||||||||Invesco|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-8|TXN1-7|TXN6-6|TXN1-2|TXN2-4|7250040|||Yearly|||||2008-11-25||DBB.NV|DBB.SO|DBB.EU|DBB.TC|DBB.IV| | | | | | | | | |1x|The PowerShares DB Base Metals Fund (Fund) is based on the DBIQ Optimum Yield Industrial Metals Index Excess Return (Index) and managed by DB Commodity Services LLC. The Index is a rules-based index composed of futures contracts on some of the most liquid and widely used base metals aluminum, zinc and copper (grade A). The index is intended to reflect the performance of the industrial metals sector. You cannot invest directly in an index. Ordinary brokerage commissions apply.The PowerShares DB Base Metals Fund (Fund) is based on the DBIQ Optimum Yield Industrial Metals Index Excess Return (Index) and managed by DB Commodity Services LLC. The Index is a rules-based index composed of futures contracts on some of the most liquid and widely used base metals aluminum, zinc and copper (grade A). |N|0|N|N|416A|USA|US|COMMODITIES_AND_FUTURES|INDEX|||||||||N||N||||||Y|0|Y||Y|1|||18.71|18.45|0.0|18.49|18.79|18.45|18.445|18.8|0.0|0.0|18.45|18.45|18.44|18.47|18.81|18.45|0.0|18.445|0.0|18.445|17.59|19.43|18.44|18.47|18.44|18.46|18.42|18.47|18.42|18.47|18.44|18.49|22.34|17.4|129432|37447945 16436|DBC|DBC|46138B103|US46138B1035|Invesco DB Commodity Index Tracking Fund|Invesco DB Commodity Index Tracking Fund|Trust|ETV|N|N|P|Y|Y|Y|Y|Y||||||||Invesco|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-7|TXN2-2|TXN6-7|TXN1-7|TXN1-5|87300000|||Yearly|||||2008-11-25|2099-05-31|DBC.NV|DBC.SO|DBC.EU|DBC.TC|DBCIIV.IV| | | | | | | | | |1x|The PowerShares DB Commodity Index Tracking Fund (Symbol: DBC) (the Fund) is based on the DBIQ Optimum Yield Diversified Commodity Index Excess Return (the Index or DB Commodity Index) and is managed by DB Commodity Services LLC (the Managing Owner). The Index is a rules-based index composed of futures contracts on 14 of the most heavily-traded and important physical commodities in the world.|N|0|N|N|416A|USA|US|COMMODITIES_AND_FUTURES|INDEX|||||||||N||N||||||Y|0|Y||Y|1|||23.645|23.65|0.0|23.64|23.65|23.65|23.645|23.645|0.0|0.0|23.65|23.65|23.65|23.655|23.65|23.65|23.65|23.64|23.65|23.64|23.64|23.66|23.64|23.68|23.64|23.65|23.64|23.68|23.64|23.68|23.64|23.65|25.63|22.05|5278434|292025009 76145|DBD|DBD|253651202|US2536512021|Diebold Nixdorf, Incorporated|Common Shares|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|O|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN1-4|TXN7-8|TXN1-8|TXN4-5|37570000|||NotApplicable|||||2023-08-14||||||| | | | | | | | | |||N|0|N|Y|114D|USA|US|||10|1010|101010|10101010|Technology|Technology|Software and Computer Services|Computer Services|N||N||||||N|0|Y||Y|2|||26.92|26.61|0.0|26.62|26.51|26.55|26.61|26.5|0.0|0.0|26.48|26.5|26.62|26.51|26.51|26.5|26.49|26.5|26.51|26.5|26.48|26.5|20.45|32.51|24.75|28.31|20.45|32.51|26.45|26.61|26.48|26.5|27.21|0.2401|623493|310267659 19221|DBE|DBE|46140H304|US46140H3049|Invesco DB Multi-Sector Commodity Trust|Invesco DB Energy Fund|Trust|ETV|N|N|P|Y|Y|Y|Y|Y||||||||Invesco|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-7|TXN3-2|TXN6-2|TXN1-5|TXN4-6|5650040|||Yearly|||||2008-11-25||DBE.NV|DBE.SO|DBE.EU|DBE.TC|DBE.IV| | | | | | | | | |1x|The PowerShares DB Energy Fund is based on the DBIQ Optimum Yield Energy Index Excess Return. The Index is a rules-based index composed of futures contracts on some of the most heavily traded energy commodities in the worldLight Sweet Crude Oil (WTI), Heating Oil, Brent Crude Oil, RBOB Gasoline and Natural Gas. The Index is a rules-based index composed of futures contracts on some of the most heavily traded energy commodities in the world light sweet crude oil (WTI), heating oil, Brent crude oil, RBOB gasoline and natural gas.|N|0|N|N|416A|USA|US|COMMODITIES_AND_FUTURES|INDEX|||||||||N||N||||||N|0|Y||Y|2|||20.71|20.7|0.0|20.71|20.72|20.7|20.72|20.73|0.0|0.0|20.71|20.71|20.73|20.71|20.71|20.72|20.7|20.73|20.72|20.73|16.52|24.82|20.71|20.74|20.73|20.74|20.71|20.77|20.71|20.77|20.73|20.74|24.29|18.5|1053130|14409544 38328|DBEF|DBEF|233051200|US2330512003|DBX ETF Trust|Xtrackers MSCI EAFE Hedged Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||DBX Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-3|TXN2-1|TXN9-4|TXN4-1|TXN3-4|124350001|||BiAnnually|||||2011-06-09||DBEF.NV|DBEF.SO|DBEF.EU|DBEF.TC|DBEF.IV| | | | | | | | | |1x|The db-X MSCI EAFE Currency-Hedged Equity Fund (the Fund) seeks investment results that correspond generally to the performance, before fees and expenses, of the MSCI EAFE US Dollar Hedged Index (the Index). The Index is designed provide exposure to equity securities in developed international stock markets, while at the same time mitigating exposure to fluctuations between the value of the U.S. dollar and non-U.S. currencies. As of March 31, 2011, the Index included securities from the following 22 countries: Australia, Austria, Belgium, Denmark, Finland, France, Germany, Greece, Hong Kong, Ireland, Israel, Italy, Japan, Netherlands, New Zealand, Norway, Portugal, Singapore, Spain, Sweden, Switzerland and the United Kingdom.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||36.05|36.06|0.0|0.0|36.055|36.045|36.055|36.055|0.0|0.0|36.05|36.05|36.05|36.05|36.045|36.05|36.035|36.05|36.04|36.05|36.0|36.06|33.78|38.32|36.05|36.06|34.26|37.87|35.29|36.79|36.05|36.06|38.03|32.16|617845|112736255 65247|DBEH|DBEH|53700T835|US53700T8356|Litman Gregory Funds Trust|iMGP DBi Hedge Strategy ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Litman Gregory|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-7|TXN4-4|TXN6-7|TXN2-1|TXN1-8|1225000|||Quarterly|||||2021-09-20||DBEH.NV|DBEH.SO|DBEH.EU|DBEH.TC| | | | | | | | | | ||The Fund seeks long term capital appreciation. The Fund is a non-diversified, actively-managed exchange-traded fund (ETF) that seeks to achieve its objective by: (i) investing its assets pursuant to an equity hedge strategy (described below); and (ii) allocating the remainder of its assets directly in a portfolio of investment grade debt securities to collateralize its derivatives investments, for liquidity purposes, or to enhance yield. The Fund seeks to model its investments after long/short equity hedge fund strategies and does not invest in hedge funds. Because the Fund is not a hedge fund, the Fund will be limited in its ability to fully replicate hedge fund strategies due to regulatory requirements, including limitations on leverage and liquidity of the Funds investments. The Fund invests in long and short positions in exchange-traded futures contracts across the broad asset classes of equities,fixed income, and currencies. The long and short positions in the futures contracts are determined by the Funds sub-adviser, Dynamic Beta investments (DBi or the Sub-Advisor), using a proprietary, quantitative model the Dynamic Beta Engine. The Dynamic Beta Engine is designed to identify the main drivers of performance of a diversified portfolio of the largest long/ short equity hedge funds, which are hedge funds that employ fundamental analysis to buy or sell short individual equitysecurities to achieve their respective investment objectives (Equity Hedge funds Equity Hedge funds typically diversify their risks by limiting the hedge funds net exposure to certain industries, regions, or market capitalizations, which allows them to focus on company-specific characteristics. Equity Hedge funds often hedge against the returns of the overall market. The Fund will not necessarily use its long and short positions to reduce risk by taking offsetting positions. The Fund may take uncorrelated positions (e.g., invest in long and short futures contracts with values that do not historically exhibit a strong relationship to each other), which may increase the Funds overall market exposure and risk.|N|0|N|N|406C|USA|US|HYBRID|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|26.868|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|26.8803|0.0|26.8803|25.08|28.86|26.84|26.98|26.85|27.01|25.08|28.86|0.0|0.0|26.85|27.01|27.55|24.73|541|1771590 38327|DBEM|DBEM|233051101|US2330511013|DBX ETF Trust|Xtrackers MSCI Emerging Markets Hedged Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||DBX Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN2-2|TXN8-8|TXN4-2|TXN3-7|4250001|||BiAnnually|||||2011-06-08||DBEM.NV|DBEM.SO|DBEM.EU|DBEM.TC|DBEM.IV| | | | | | | | | |1x|The db-X MSCI Emerging Markets Currency-Hedged Equity Fund (the Fund) seeks investment results that correspond generally to the performance, before fees and expenses, of the MSCI EM US Dollar Hedged Index (the Index). The Index is designed to provide exposure to equity securities in the global emerging markets, while at the same time mitigating exposure to fluctuations between the value of the U.S. dollar and non-U.S. currencies. As of March 31, 2011, the Index included securities from the following 21 countries: Brazil, Chile, China, Colombia, Czech Republic, Egypt, Hungary, India, Indonesia, South Korea, Malaysia, Mexico, Morocco, Peru, Philippines, Poland, Russia, South Africa, Taiwan, Thailand and Turkey.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||22.57|22.55|0.0|0.0|0.0|22.57|22.56|22.57|0.0|0.0|22.55|0.0|22.51|0.0|22.55|0.0|0.0|22.51|0.0|22.51|20.87|24.02|0.0|0.0|22.47|22.57|21.12|23.99|0.0|0.0|22.47|22.57|23.81|21.05|20620|3718008 42784|DBEU|DBEU|233051853|US2330518539|DBX ETF Trust|Xtrackers MSCI Europe Hedged Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||DBX Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-1|TXN3-1|TXN8-8|TXN3-1|TXN2-5|15150001|||BiAnnually|||||2013-09-30||DBEU.NV|DBEU.SO|DBEU.EU|DBEU.TC|DBEU.IV| | | | | | | | | |1x|The db X-trackers MSCI Europe Hedged Equity Fund (DBEU) seeks investment results that correspond generally to the performance, before fees and expenses, of the MSCI Europe US Dollar Hedged Index (the Underlying Index). The Underlying Index is designed to provide exposure to equity securities in developed stock markets in Europe, while at the same time mitigating exposure to fluctuations between the value of the U.S. dollar and selected non-U.S. currencies.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||36.82|36.83|0.0|36.83|36.79|36.79|36.82|36.81|0.0|0.0|36.83|0.0|36.83|36.79|36.75|36.84|0.0|36.85|36.83|36.85|34.93|36.84|0.0|0.0|36.78|36.84|34.93|38.66|0.0|0.0|36.78|36.84|38.01|33.2201|105353|21394030 49063|DBEZ|DBEZ|233051697|US2330516970|DBX ETF Trust|Xtrackers MSCI Eurozone Hedged Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||DBX Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-6|TXN3-1|TXN2-8|TXN1-7|TXN2-7|950001|||BiAnnually|||||2014-12-10||DBEZ.NV|DBEZ.SO|DBEZ.EU|DBEZ.TC|DBEZ.IV| | | | | | | | | |1x|The Deutsche X-trackers MSCI EMU Hedged Equity ETF (DBEZ) seeks investment results that correspond generally to the performance, before fees and expenses, of the MSCI EMU IMI US Dollar Hedged Index.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||40.81|0.0|0.0|0.0|40.81|39.7|40.79|40.785|0.0|0.0|0.0|0.0|0.0|40.79|0.0|0.0|0.0|40.8449|40.81|40.8449|0.0|0.0|0.0|0.0|40.82|40.87|0.0|0.0|0.0|0.0|40.82|40.87|41.45|35.03|2559|1661143 70624|DBGI|DBGI|25401N408|US25401N4088|Digital Brands Group Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN6-7|TXN10-2|TXN5-8|TXN5-8|860000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4040|404010|40401020|Consumer Discretionary|Retail |Retailers |Apparel Retailers|N||N||||||N|0|Y||||||3.93|3.965|0.0|0.0|3.93|3.935|3.92|3.93|0.0|0.0|3.95|3.91|3.93|3.79|0.0|3.92|0.0|3.92|3.46|3.93|3.79|4.12|3.07|4.88|3.81|4.1|3.15|4.33|0.0|0.0|3.92|3.96|23.72|0.35|316316|114819037 70625|DBGIW|DBGIW|25401N127|US25401N1274|Digital Brands Group Inc|WRRT||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN5-8|TXN11-4|TXN6-7|TXN6-1|580000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|7.55|117.64|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|7.55|103.19|20.0|0.7|0|205408 38330|DBGR|DBGR|233051408|US2330514082|DBX ETF Trust|Xtrackers MSCI Germany Hedged Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||DBX Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN3-8|TXN6-8|TXN1-7|TXN2-6|300001|||BiAnnually|||||2011-06-09||DBGR.NV|DBGR.SO|DBGR.EU|DBGR.TC|DBGR.IV| | | | | | | | | |1x|The db X-trackers MSCI Germany Hedged Equity Fund (the Fund) seeks investment results that correspond generally to the performance, before fees and expenses, of the MSCI Germany USD Hedged Index (the Index). The Index is designed to provide exposure to German equity markets, while at the same time mitigating exposure to fluctuations between the value of the U.S. dollar and the Euro.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|31.11|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|31.555|0.0|31.555|29.25|33.67|0.0|0.0|31.51|31.6|29.25|33.67|0.0|0.0|31.51|31.6|32.24|27.0001|1|104658 5902|DBI|DBI|250565108|US2505651081|Designer Brands Inc.|Class A Common Shares|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-7|TXN1-6|TXN2-4|TXN4-4|TXN2-1|50400000|||Quarterly|||||2005-06-29||||||| | | | | | | | | |||N|0|N|Y|146F|USA|US|||40|4040|404010|40401020|Consumer Discretionary|Retail |Retailers |Apparel Retailers|N||N||||||Y|0|Y||Y|2|||12.79|12.81|0.0|12.75|12.79|12.81|12.8|12.81|0.0|0.0|12.81|12.8|12.82|12.79|12.785|12.81|12.81|12.82|12.82|12.81|12.81|12.82|9.94|15.48|12.76|12.83|12.77|13.47|12.76|12.85|12.81|12.82|13.44|6.14|3666461|400354632 68637|DBJA|DBJA|45782C136|US45782C1365|Innovator Double Stacker 9 Buffer Etf|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN1-2|TXN8-8|TXN3-8|TXN3-8|200000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|29.3501|0.0|0.0|0.0|0.0|29.3278|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|29.3501|0.0|29.3501|0.0|0.0|0.0|0.0|29.24|29.47|0.0|0.0|0.0|0.0|21.07|37.67|29.3501|24.77|14|251750 38331|DBJP|DBJP|233051507|US2330515071|DBX ETF Trust|Xtrackers MSCI Japan Hedged Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||DBX Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-3|TXN4-8|TXN5-6|TXN1-6|TXN3-4|4800001|||BiAnnually|||||2011-06-09||DBJP.NV|DBJP.SO|DBJP.EU|DBJP.TC|DBJP.IV| | | | | | | | | |1x|The db-X MSCI Japan Currency-Hedged Equity Fund (the Fund) seeks investment results that correspond generally to the performance, before fees and expenses, of the MSCI Japan US Dollar Hedged Index (the Index). The Index is designed to provide exposure to Japanese equity markets, while at the same time mitigating exposure to fluctuations between the value of the U.S. dollar and Japanese yen.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|62.55|0.0|0.0|61.84|62.67|61.9956|61.82|0.0|0.0|0.0|0.0|61.89|0.0|0.0|0.0|0.0|61.9944|0.0|61.9944|58.14|62.05|0.0|0.0|61.95|62.02|58.14|65.83|0.0|0.0|61.95|62.02|63.215|48.05|4235|6638582 39473|DBL|DBL|258623107|US2586231076|Doubleline Opportunistic Credit Fund|Common Shares, par value $.00001|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN3-6|TXN2-8|TXN4-2|TXN3-2|16490000|||Monthly|||||2012-01-27||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|14.79|0.0|0.0|14.79|14.765|14.79|0.0|0.0|0.0|0.0|14.79|14.79|14.79|14.79|14.79|0.0|14.79|0.0|14.79|14.77|14.79|11.44|18.22|13.77|15.77|14.73|14.83|14.77|14.81|14.77|14.79|15.76|13.75|38748|12149801 63568|DBMF|DBMF|53700T827|US53700T8273|Litman Gregory Funds Trust|iMGP DBi Managed Futures Strategy ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Litman Gregory|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN2-5|TXN1-8|TXN3-5|TXN2-4|29275000|||Quarterly|||||2021-09-20||DBMF.NV|DBMF.SO|DBMF.EU|DBMF.TC| | | | | | | | | | ||The iM DBi Managed Futures Strategy ETF (the Fund) seeks long-term capital appreciation. The Fund is a non-diversified, actively-managed exchange-traded fund (ETF) that seeks to achieve its objective by:(i) investing its assets pursuant to a managed futures strategy (described below); (ii) allocating up to 20% of its total assets in its wholly-owned subsidiary (the Subsidiary), which is organized under the laws of the Cayman Islands, is advised by the Sub-Advisor (as defined herein), and will comply with the Funds investment objective and investment policies; and (iii) investing directly in select debt instruments for cash management and other purposes.The Funds managed futures strategy employs long and short positions in derivatives, primarily futures contracts and forwardcontracts, across the broad asset classes of equities, fixed income, currencies and, through the Subsidiary, commodities. Fund positions in those contracts are determined based on a proprietary,quantitative model the Dynamic Beta Engine that seeks to identify the main drivers of performance by approximating the current asset allocation of a selected pool of the largest commodity trading advisor hedge funds (CTA hedge funds), which are hedge funds that use futures or forward contracts to achieve their investment objectives. The Dynamic Beta Engine analyzes recent (i.e., trailing 60-day) performance of CTA hedge funds in order to identify a portfolio of liquid financial instruments that closely reflects the estimated current asset allocation of the selected pool of CTA hedge funds, with the goal of simulating the performance, but not the underlying positions, of those funds. Based on this analysis, the Fund will invest in an optimized portfolio of long and short positions in domestically-traded, liquid derivative contracts. The Dynamic Beta Engine uses data sourced from (1) publicly available U.S. futures market data obtained and cross-checked through multiple common subscription pricing sources, and (2) public CTA hedge fund indexes obtained through common subscription services and cross-checked with publicly available index information. The Sub-Advisor relies exclusively on the Dynamic Beta Engine and does not have discretion to override the model-determined asset allocation or portfolio weights. The Sub-Advisor will periodically review whether instruments should be added to or removed from the model in order to improve the models efficiency. The models asset allocation is limited to asset classes that are traded on U.S.-based exchanges. Based on this analysis, the Fund will invest in an optimized portfolio of long and short positions in domestically- traded, liquid derivative contracts selected from a pool of the most liquid derivative contracts, as determined by the Sub-Advisor.|N|0|N|N|406C|USA|US|HYBRID|ACTIVE|||||||||N||N||||||Y|0|Y||Y|1|||27.16|27.16|0.0|0.0|27.13|27.14|27.14|27.14|0.0|0.0|27.11|0.0|27.13|27.133|0.0|27.14|27.16|27.11|0.0|27.11|25.21|27.16|25.21|28.67|27.1|27.11|25.21|27.16|26.58|27.69|27.1|27.11|31.63|25.6301|1559763|85634661 73840|DBND|DBND|25861R105|US25861R1059|DoubleLine ETF Trust|DoubleLine Opportunistic Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||DoubleLine|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-5|TXN2-4|TXN8-7|TXN4-3|TXN3-6|5161000|||Monthly|||||2022-04-05||DBND.NV|DBND.SO|DBND.EU|DBND.TC|DBND.IV| | | | | | | | | ||The DoubleLine Opportunistic Bond ETFs investment objective is to seek to maximize current income and total return. The DoubleLine Opportunistic Bond ETF diversifies sector allocation across a broad range of fixed income sectors including Government, Mortgage-Backed Securities, Global Diversified Credits, International and Emerging Markets tactically allocating gradually to maximize total returns. Experienced, long-tenured sector specialist teams are responsible for the security selection within their sector based on in-depth research and established processes.|N|0|N|N|416A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|44.91|0.0|0.0|0.0|44.93|44.9627|44.694117|0.0|0.0|0.0|0.0|44.91|0.0|0.0|0.0|0.0|44.97|0.0|44.97|35.96|53.96|0.0|0.0|44.94|44.97|35.96|53.96|0.0|0.0|44.94|44.97|47.3199|42.85|27344|8739319 19220|DBO|DBO|46140H403|US46140H4039|Invesco DB Multi-Sector Commodity Trust|Invesco DB Oil Fund|Trust|ETV|N|N|P|Y|Y|Y|Y|Y||||||||Invesco|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-2|TXN4-2|TXN7-6|TXN1-1|TXN4-3|17450040|||Yearly|||||2008-11-25||DBO.NV|DBO.SO|DBO.EU|DBO.TC|DBO.IV| | | | | | | | | |1x|The PowerShares DB Oil Fund seeks to track changes, whether positive or negative, in the level of the DBIQ Optimum Yield Crude Oil Index Excess Return (DB Crude Oil Index or the Index) plus the interest income from the Funds holdings of US Treasury securities less the Funds expenses. DB Commodity Services LLC serves as the Managing Owner of the Fund. The Fund is designed for investors who want a cost-effective and convenient way to invest in commodity futures. The Index is a rules-based index composed of futures contracts on light sweet crude oil (WTI). You cannot invest directly in the Index. |N|0|N|N|416A|USA|US|COMMODITIES_AND_FUTURES|INDEX|||||||||N||N||||||Y|0|Y||Y|1|||15.07|15.05|0.0|15.18|15.06|15.06|15.058|15.06|0.0|0.0|15.06|15.06|15.07|15.14|15.13|15.07|15.07|15.07|15.01|15.07|15.05|15.07|15.03|15.07|15.06|15.07|15.03|15.1|15.03|15.1|15.06|15.07|18.26|12.9|2607498|151145462 19222|DBP|DBP|46140H502|US46140H5028|Invesco DB Multi-Sector Commodity Trust|Invesco DB Precious Metals Fund|Trust|ETV|N|N|P|Y|Y|Y|Y|Y||||||||Invesco|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-6|TXN3-2|TXN3-5|TXN1-6|TXN1-4|2950040|||Yearly|||||2008-11-25||DBP.NV|DBP.SO|DBP.EU|DBP.TC|DBP.IV| | | | | | | | | |1x|The PowerShares DB Precious Metals Fund seeks to track changes, whether positive or negative, in the level of the DBIQ Optimum Yield Precious Metals Index Excess Return (DB Precious Metals Index or the Index) plus the interest income from the Funds holdings of US Treasury securities less the Funds expenses. DB Commodity Services LLC serves as the Managing Owner of the Fund. The Fund is designed for investors who want a cost-effective and convenient way to invest in commodity futures. The Index is a rules-based index composed of futures contracts on two of the most important precious metals gold and silver. The Fund and the Index are rebalanced and reconstituted annually in November.|N|0|N|N|416A|USA|US|COMMODITIES_AND_FUTURES|INDEX|||||||||N||N||||||N|0|Y||Y|2|||53.221|51.93|0.0|51.96|0.0|53.26|51.97|51.94|0.0|0.0|0.0|51.97|52.01|52.571|0.0|0.0|0.0|52.04|51.93|52.04|51.93|52.11|51.92|52.11|51.92|52.04|51.92|52.1|51.92|52.11|51.96|52.08|53.6|46.105|19347|6238616 44536|DBRG|DBRG|25401T603|US25401T6038|DigitalBridge Group, Inc.|Class A Common Stock|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|8|O|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-2|TXN2-5|TXN7-5|TXN3-5|TXN4-4|163240000|||Quarterly|||||2014-06-27||||||| | | | | | | | | |||N|0|N|Y|408A|USA|US|||35|3510|351020|35102000|Real Estate|Real Estate |Real Estate Investment Trusts|Diversified REITs|N||N||||||Y|0|Y||Y|2|||16.88|16.885|0.0|16.86|16.88|16.86|16.88|16.88|0.0|0.0|16.87|16.88|16.88|16.86|16.86|16.87|16.875|16.88|16.88|16.87|16.87|16.88|13.35|20.88|16.87|16.94|16.18|16.91|16.72|16.91|16.87|16.88|18.435|9.99|1215906|392637997 56490|DBRG PRH|DBRGpH|25401T504|US25401T5048|DigitalBridge Group, Inc.|7.125% Series H Cumulative Redeemable Perpetual Preferred Stock|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN4-2|TXN8-8|TXN3-2|TXN3-1|8400000|||Quarterly|||||2017-01-11||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||22.04|22.23|0.0|0.0|0.0|22.29|22.305|22.06|0.0|0.0|0.0|0.0|21.96|0.0|0.0|22.29|0.0|22.29|0.0|22.29|22.31|22.35|0.0|0.0|21.8|22.8|0.0|0.0|0.0|0.0|22.31|22.35|22.95|17.5|4987|3636229 58630|DBRG PRI|DBRGpI|25401T405|US25401T4058|DigitalBridge Group, Inc.|7.15% Series I Cumulative Redeemable Perpetual Preferred Stock|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN4-7|TXN6-8|TXN4-1|TXN3-6|12870000|||Quarterly|||||2017-06-07||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|21.73|0.0|0.0|21.73|21.72|21.735|21.785|0.0|0.0|21.71|0.0|21.72|0.0|0.0|21.68|21.74|21.735|0.0|21.68|21.67|21.8|21.63|21.8|21.67|21.8|0.0|0.0|0.0|0.0|21.67|21.8|22.85|17.15|16132|5097403 59661|DBRG PRJ|DBRGpJ|25401T306|US25401T3068|DigitalBridge Group, Inc.|7.125% Series J Cumulative Redeemable Perpetual Preferred Stock|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN2-4|TXN3-8|TXN3-6|TXN4-6|11610000|||Quarterly|||||2017-09-27||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||21.95|21.95|0.0|0.0|21.06|21.97|21.9641|21.91|0.0|0.0|0.0|0.0|21.93|21.95|0.0|21.97|0.0|22.0|0.0|21.97|21.83|22.12|0.0|0.0|21.46|22.56|0.0|0.0|0.0|0.0|21.95|22.12|23.71|17.4|19755|4786989 48330|DBVT|DBVT|23306J101|US23306J1016|DBV Technologies S.A.|SPON ADR||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-8|TXN6-5|TXN14-7|TXN6-3|TXN6-8|54930000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||FRA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y|C|||||0.7101|0.715|0.0|0.0|0.6866|0.707|0.7071|0.715|0.0|0.0|0.6945|0.715|0.7|0.0|0.0|0.7|0.0|0.7071|0.6822|0.7|0.6798|0.7474|0.554|0.84|0.6959|0.72|0.6877|0.7367|0.6802|0.7368|0.707|0.71|2.37|0.65|4719904|42736545 60815|DBX|DBX|26210C104|US26210C1045|Dropbox Inc|COM CL A USD0.00001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN5-4|TXN10-4|TXN6-7|TXN6-1|265070000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||USA||||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||||||28.31|28.305|0.0|28.33|28.31|28.305|28.31|28.31|0.0|0.0|28.305|28.305|28.31|28.31|28.305|28.305|28.305|28.31|28.31|28.31|28.29|28.33|26.72|30.21|28.29|28.33|28.28|28.33|28.28|28.34|28.31|28.32|28.795|18.7107|2589339|800685223 73839|DC|DC|46655E100|US46655E1001|Dakota Gold Corp.|Common Stock|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||J. Streicher & Co. L.L.C.|JSCO|3856|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-4|TXN2-5|TXN8-8|TXN1-5|TXN1-8|86740000|||NotApplicable|||||2022-04-05||||||| | | | | | | | | |||N|0|N|N|130C|USA|US|||55|5510|551030|55103025|Basic Materials|Basic Resources|Precious Metals and Mining|Gold Mining|N||N||||||Y|0|Y||Y|2|||2.89|2.8|0.0|2.89|2.79|2.8|2.8|2.805|0.0|0.0|2.79|2.9|2.81|2.77|2.76|2.79|2.81|2.81|2.98|2.81|2.75|2.85|2.8|2.81|2.75|2.85|2.77|2.85|2.77|2.85|2.8|2.81|3.945|2.33|183264|41130537 74545|DC WS|DC.WS|46655E118||Dakota Gold Corp.|Warrants, each warrant exercisable for one Common Share at an exercise price of $2.08|Operating company|C|N|N|A|Y|Y|Y|Y|Y|||J. Streicher & Co. L.L.C.|JSCO|3856|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN11-1|TXN2-6|TXN2-8|TXN3-1|TXN3-8|0|||NotApplicable|||||2022-08-30|2026-03-15|||||| | | | | | | | | |||N|0|N|N|130C||US|||50|5020|502040|50204000|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Industrial|N||N||||||N|0|Y|D|N||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.96|1.03|0.0|0.0|0.0|0.0|0.0|0.0|0.96|1.03|2.28|0.7413|0|329040 68364|DCBO|DCBO|25609L105|CA25609L1058|Docebo Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN5-1|TXN12-8|TXN6-6|TXN6-6|31720000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CAN||||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||||||44.55|44.75|0.0|44.72|44.74|44.58|44.73|44.7|0.0|0.0|44.63|45.0|44.74|44.71|0.0|45.07|44.58|44.68|45.4|44.74|44.28|45.15|34.69|55.34|44.55|44.85|44.55|44.85|44.65|44.92|44.68|44.74|52.665|29.4|95105|10142408 59963|DCF|DCF|05588N108|US05588N1081|BNY Mellon Alcentra Global Credit Income 2024 Target Term Fund, Inc.|Common Stock|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN3-5|TXN5-8|TXN1-3|TXN1-6|14970000|||Monthly|||||2017-10-27||||||| | | | | | | | | |||N|0|N|N|406B|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||7.95|7.96|0.0|0.0|7.93|7.96|7.97|7.945|0.0|0.0|7.96|7.95|7.97|7.95|0.0|7.96|0.0|7.96|0.0|7.96|7.96|7.97|6.14|9.82|7.4|8.54|7.91|8.02|7.95|7.99|7.96|7.97|8.168|6.97|41570|8243140 70013|DCFC|DCFC|Q9225T108|AU0000205205|Tritium DCFC Limited|ORD||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-2|TXN5-7|TXN12-4|TXN6-7|TXN6-3|201670000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||AUS||||60|6010|601020|60102010|Energy|Energy|Alternative Energy|Alternative Fuels |N||N||||||Y|0|Y||||||0.1833|0.1852|0.0|0.1831|0.184|0.1846|0.1845|0.1856|0.0|0.0|0.1846|0.1846|0.1859|0.1845|0.1847|0.1849|0.1846|0.1846|0.1852|0.1859|0.1846|0.2292|0.1448|0.1859|0.1846|0.1859|0.1448|0.2292|0.0|0.0|0.1846|0.1859|2.2|0.1616|5238201|479086955 70014|DCFCW|DCFCW|Q9225T116|AU0000205197|Tritium DCFC Limited|WT EXP 011926||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-8|TXN6-6|TXN14-2|TXN6-2|TXN5-6|142010000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||AUS||||||||||||N||N||||||N|0|Y|C|||||0.0|0.1|0.0|0.0|0.15|0.0881|0.1|0.1275|0.0|0.0|0.1049|0.15|0.1|0.0|0.0|0.1|0.0|0.1|0.0|0.1|0.0|0.0|0.0|0.0|0.0875|0.1599|0.0|0.0|0.0|0.0|0.09|0.15|0.6425|0.031|48211|4247262 68465|DCGO|DCGO|256086109|US2560861096|Docgo Inc|DOCGO INC COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN6-8|TXN12-6|TXN5-4|TXN5-2|103900000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201010|20101025|Health Care |Health Care |Health Care Providers|Health Care Services|N||N||||||Y|0|Y||||||6.155|6.15|0.0|6.14|6.16|6.155|6.17|6.17|0.0|0.0|6.17|6.15|6.17|6.07|6.08|6.17|0.0|6.17|6.15|6.17|6.15|6.2|4.65|7.52|6.15|6.2|6.13|6.19|6.14|6.2|6.15|6.17|10.82|4.88|504047|181742566 5731|DCI|DCI|257651109|US2576511099|Donaldson Company, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|O|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-6|TXN4-5|TXN8-5|TXN4-2|TXN2-4|120590000|||Quarterly|||||1979-11-27||||||| | | | | | | | | |||N|0|Y|Y|126D|USA|US|||50|5020|502020|50202020|Industrials|Industrial Goods and Services|Electronic and Electrical Equipment|Electronic Equipment: Control and Filter|N||N||||||Y|0|Y||Y|1|||61.85|61.835|0.0|61.76|61.86|61.88|61.865|61.835|0.0|0.0|61.86|61.89|61.86|61.84|61.78|61.86|61.68|61.86|61.85|61.86|61.85|61.86|57.77|65.74|61.8|61.9|61.79|61.94|61.79|61.94|61.85|61.86|66.96|57.05|581907|99867231 75569|DCMB|DCMB|25861R303|US25861R3030|DoubleLine ETF Trust|DoubleLine Commercial Real Estate ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||DoubleLine|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-3|TXN2-6|TXN9-8|TXN1-3|TXN3-7|1200001|||Monthly|||||2023-04-04||DCMB.NV|DCMB.SO|DCMB.EU|DCMB.TC|DCMB.IV| | | | | | | | | ||The DoubleLine Commercial Real Estate ETFs investment objective is to seek current income and capital preservation. As a secondary objective, the fund seeks long-term capital appreciation. The fund invests in senior commercial real estate debt through investment grade commercial mortgage-backed securities (CMBS) and employs active management through security selection across commercial real estate (CRE) property types and subsectors, while maintaining a low level of interest rate risk. The investment universe includes high quality CRE debt across agency CMBS, non-agency CMBS, and commercial real estate collateralized loan obligations (CRE CLOs). 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LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-7|TXN2-5|TXN3-1|TXN4-8|TXN2-1|5000000|||Quarterly|||||2008-11-12||DDM.NV|DDM.SO|DDM.EU|DDM.TC|DDM.IV| | | | | | | | | |2x|ProShares Ultra Dow30 seeks daily investment results, before fees and expenses, that correspond to twice (200%) the daily performance of the Dow Jones Industrial Average. This ETF seeks a return of 200% of the return of an index (target) for a single day. Due to the compounding of daily returns, returns over periods other than one day will likely differ in amount and possibly direction from the target return for the same period. Investors should monitor their ProShares holdings consistent with their strategies, as frequently as daily. For more on correlation, leverage and other risks, please read the prospectus. The Dow Jones Industrial Average is a price-weighted index that is calculated as a simple average. The Index includes 30 large-cap, blue-chip U.S. stocks, excluding utility and transportation companies. They represent the leading U.S. companies in the industries driving the U.S. stock market, are widely held by investors and have long records of sustained growth. 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Vehicles|N||N||||||Y|0|Y||||||31.219|31.26|0.0|0.0|31.26|31.26|31.275|0.0|0.0|0.0|0.0|0.0|31.29|31.219|0.0|0.0|0.0|31.26|0.0|31.26|23.65|38.33|23.65|38.33|31.1|31.46|23.65|38.33|31.23|31.32|31.26|31.29|32.36|29.12|28733|7996926 5755|DE|DE|244199105|US2441991054|Deere & Company|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|P|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-2|TXN2-4|TXN4-3|TXN2-2|TXN4-8|288000000|||Quarterly|||||1933-06-29||||||| | | | | | | | | |||N|1|Y|Y|126A|USA|US|||50|5020|502040|50204010|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: 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LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-6|TXN3-2|TXN4-8|TXN4-3|TXN1-2|525000|||Adhoc|||||2022-12-01||DECT.NV|DECT.SO|DECT.EU|DECT.TC|DECT.IV| | | | | | | | | ||Designed to allow investors to participate in the growth potential of the SPDR S&P 500 ETF Trust up to a stated cap, with an explicit 10% downside buffer.|N|0|N|N|408A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||27.81|27.79|0.0|0.0|27.77|27.73|27.7706|27.77|0.0|0.0|27.77|0.0|27.79|27.77|0.0|0.0|27.77|27.8|27.77|27.8|0.0|0.0|27.7|27.77|27.72|27.8|0.0|0.0|0.0|0.0|27.72|27.8|27.938|23.6501|66715|3189918 74973|DECW|DECW|00888H794|US00888H7944|AIM ETF Products Trust|AllianzIM U.S. Large Cap Buffer20 Dec ETF|Trust|ETS|N|N|P|Y|Y|Y|Y|Y||||||||Allianz Investment Management|Citadel Securities 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LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-4|TXN3-2|TXN3-8|TXN1-8|TXN1-6|3250002|||Monthly|||||2020-04-30||DEED.NV|DEED.SO|DEED.EU|DEED.TC|DEED.IV| | | | | | | | | ||The First Trust TCW Securitized Plus ETF (the Fund) seeks to maximize long-term total return. nder normal market conditions, the Fund will invest at least 80% of its net assets (including investment borrowings) in securitized debt securities, including asset-backed securities, residential and commercial mortgage-backed securities and collateralized loan obligations (CLOs). The Funds investment sub-advisor, TCW Investment Management Company LLC (TCW or the Sub-Advisor) seeks to outperform the Bloomberg Barclays U.S. Mortgage-Backed Securities Index over a full market cycle through the utilization of independent, bottom-up research to identify securities that are undervalued and that offer a superior risk/reward profile. Under normal conditions, the Funds average portfolio duration varies within two years (plus or minus) of the portfolio duration of the securities comprising the Bloomberg Barclays U.S. Mortgage-Backed Securities Index. As a separate measure, there is no limit on the weighted average maturity of the Funds portfolio. While maturity refers to the expected life of a security, duration is a measure of the expected price volatility of a debt security as a result of changes in market rates of interest.|N|0|N|N|412C|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||20.15|20.45|0.0|0.0|20.4|0.0|20.4559|20.5|0.0|0.0|0.0|0.0|20.43|0.0|0.0|0.0|0.0|20.4375|0.0|20.4375|20.4|20.47|0.0|0.0|20.4|20.47|20.39|20.47|0.0|0.0|20.4|20.46|22.18|19.28|16209|7658105 52040|DEEF|DEEF|233051515|US2330515154|DBX ETF Trust|Xtrackers FTSE Developed ex US Multifactor ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||DBX Advisors|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-5|TXN1-1|TXN5-8|TXN2-2|TXN1-5|2050001|||Quarterly|||||2015-11-24||DEEF.NV|DEEF.SO|DEEF.EU|DEEF.TC|DEEF.IV| | | | | | | | | |1x|The Deutsche X-trackers FTSE Developed ex US Enhanced Beta ETF, using a passive or indexing investment approach, seeks investment results that correspond generally to the performance, before fees and expenses, of the Underlying Index, which is designed to track the equity market performance of companies in developed countries (except the United States) selected on the investment style criteria (factors) of value, momentum, quality, low volatility and size. The companies eligible for the Underlying Index are derived from its starting universe, the FTSE Developed ex US Index, which is comprised of large- and mid-capitalization equity securities from developed markets (except the United States). |N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|27.225|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|27.2601|0.0|27.2601|0.0|0.0|0.0|0.0|27.16|27.36|0.0|0.0|0.0|0.0|27.16|27.36|28.2592|24.64|1421|1798448 44970|DEEP|DEEP|26922A701|US26922A7019|ETF Series Solutions|Roundhill Acquirers Deep Value ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Exchange Traded Concepts (ETF Series Solutions Trust)|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-1|TXN2-6|TXN4-8|TXN1-8|TXN4-3|1100000|||Quarterly|||||2014-09-23||DEEP.NV|DEEP.SO|DEEP.EU|DEEP.TC|DEEP.IV| | | | | | | | | |1x|The Index is designed to track the performance of a portfolio of 20 undervalued, fundamentally strong stocks drawn from the largest 500 stocks listed in the United States meeting certain liquidity thresholds. The Index is reconstituted and rebalanced quarterly after the close of business on the third Friday of March, June, September, and December each year based on data as of the fourth business day prior to such reconstitution. With each reconstitution of the Index, stocks are removed from the Index that no longer meet the fundamental requirements of the criteria and are replaced with stocks that meet that criteria. |N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|33.36|34.0|33.98|0.0|0.0|0.0|34.0|0.0|33.89|0.0|0.0|0.0|0.0|34.0301|0.0|34.0301|33.67|34.42|0.0|0.0|33.99|34.08|33.98|34.15|33.91|34.15|33.99|34.08|35.7323|29.39|4917|980559 74635|DEFI|DEFI|88166A805|US88166A8053|Teucrium Commodity Trust|Hashdex Bitcoin Futures ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Teucrium|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-1|TXN2-4|TXN1-8|TXN4-3|TXN4-1|50000|||NotApplicable|||||2022-09-16||DEFI.NV|DEFI.SO|DEFI.EU|DEFI.TC|DEFI.IIV| | | | | | | | | ||The Hashdex Bitcoin Futures ETF uses bitcoin futures contracts to provide investors access to the worlds first and largest cryptocurrency, without the complexities of holding the cryptocurrency directly. The Fund is a commodity pool that trades on the NYSE Arca exchange under the symbol DEFI. Its investment objective is for NAV changes to reflect the daily changes of the price of bitcoin. In addition to bitcoin futures contracts, DEFI can invest in cash and cash equivalents.|N|0|N|N|416A|USA|US|COMMODITIES_AND_FUTURES|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|51.05|0.0|47.0|51.1074|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|51.0108|46.21|51.0108|50.84|51.17|50.84|51.16|50.95|51.16|50.84|51.17|50.84|51.16|50.95|51.16|51.1074|21.1798|1453|92095 73943|DEHP|DEHP|25434V757|US25434V7579|Dimensional ETF Trust|Dimensional Emerging Markets High Profitability ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Dimensional Fund Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-8|TXN4-1|TXN5-8|TXN3-3|TXN4-7|7650000|||Quarterly|||||2022-04-27||DEHP.NV|DEHP.SO|DEHP.EU|DEHP.TC|DEHP.IV| | | | | | | | | |1x|Dimensional Emerging Markets High Profitability ETF is an actively managed exchange traded fund incorporated in the USA. The ETF invests in emerging markets stocks. It invests in large cap companies with higher profitability compared to their representation in the Emerging Markets Universe.|N|0|N|N|408A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|23.35|23.33|23.33|23.33|0.0|0.0|23.32|0.0|23.32|23.629|0.0|23.57|24.193423|23.38|0.0|23.38|23.32|23.35|0.0|0.0|23.33|23.38|0.0|0.0|0.0|0.0|23.33|23.38|25.0099|21.7899|40588|7004423 17423|DEI|DEI|25960P109|US25960P1093|Douglas Emmett, Inc.|Common Stock|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|6|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-2|TXN1-7|TXN8-7|TXN4-2|TXN4-6|166740000|||Quarterly|||||2006-10-24||||||| | | | | | | | | |||N|0|N|Y|414A|USA|US|||35|3510|351020|35102030|Real Estate|Real Estate |Real Estate Investment Trusts|Office REITs|N||N||||||Y|0|Y||Y|2|||13.75|13.76|0.0|13.62|13.76|13.75|13.755|13.75|0.0|0.0|13.755|13.75|13.75|13.76|13.75|13.77|13.75|13.76|13.76|13.77|13.75|13.76|10.72|16.59|13.74|13.78|13.73|13.77|13.72|13.78|13.75|13.76|17.98|10.085|2749766|628522456 72895|DEIF|DEIF|66538H229|US66538H2296|Northern Lights Fund Trust IV|Sterling Capital Diverse Multi-Manager Active ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Ultimus Fund Solutions (Sterling Capital)|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-3|TXN3-3|TXN8-8|TXN2-3|TXN1-4|4075000|||Yearly|||||2021-12-14||DEIF.NV|DEIF.SO|DEIF.EU|DEIF.TC| | | | | | | | | | |1x|The Sterling Capital Diversity Equity & Inclusion Active ETF (the Fund) seeks long-term capital appreciation through strategies managed by sub-advisers that are majority diverse-owned (i.e., greater than 50 percent owned, controlled, and operated by persons of designated diverse backgrounds, including women, racial minorities, LGBTQ individuals, veterans, and disabled individuals).|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|23.165|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|24.9749|0.0|24.9749|0.0|0.0|24.91|25.02|24.94|25.01|24.91|25.02|24.91|25.02|24.94|25.01|25.1726|21.965|42|105559 62718|DELL|DELL|24703L202|US24703L2025|Dell Technologies Inc.|Class C Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-4|TXN1-3|TXN9-6|TXN4-5|TXN4-1|253410000|||Quarterly|||||2018-12-26||||||| | | | | | | | | |||N|0|N|Y|108A|USA|US|||10|1010|101020|10102030|Technology|Technology|Technology Hardware and Equipment|Computer Hardware|N||N||||||Y|0|Y||Y|2|||69.27|69.26|0.0|69.26|69.3|69.25|69.28|69.3|0.0|0.0|69.32|69.31|69.28|69.28|69.26|69.32|69.36|69.28|69.36|69.32|69.27|69.3|69.2|69.37|69.2|69.38|69.18|69.35|69.19|69.3|69.27|69.3|76.09|35.96|7444068|1047168636 25062|DEM|DEM|97717W315|US97717W3152|WisdomTree Trust|WisdomTree Emerging Markets High Dividend Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||WisdomTree|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-4|TXN2-3|TXN8-4|TXN3-4|TXN4-1|65100000|||Quarterly|||||2007-10-30||DEM.NV|DEM.SO|DEM.EU|DEM.TC|DEM.IV| | | | | | | | | |1x|WisdomTree Emerging Markets High Dividend Fund seeks investment results that correspond to the price and yield performance, before fees and expenses, of the WisdomTree Emerging Markets Equity Income Index. Prior to January 20, 2009, the WisdomTree Emerging Markets Equity Income Fund was named the WisdomTree Emerging Markets High-Yielding Equity Fund. The WisdomTree Emerging Markets Equity income Index is a fundamentally weighted index that measures the performance of the highest dividend yielding stocks selected from the WisdomTree Emerging Markets Dividend Index. At the index measurement date, companies within the WisdomTree Emerging Markets Dividend Index are ranked by dividend yield. Securities ranking in the highest 30% by dividend yield are selected for inclusion. Companies are weighted in the Index based on annual cash dividends paid. Prior to January 20, 2009, the WisdomTree Emerging Markets Equity Income Index was named the WisdomTree Emerging Markets High-Yielding Equity Index.|N|0|N|N|406C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||38.875|38.88|0.0|0.0|38.88|38.875|38.875|38.88|0.0|0.0|38.875|38.88|38.875|38.86|38.86|38.82|0.0|38.87|0.0|38.87|38.87|40.99|36.44|41.65|38.87|38.89|37.18|40.99|38.68|38.9|38.87|38.89|40.86|35.5|236113|96068582 68069|DEMZ|DEMZ|00774Q346|US00774Q3469|Democratic Large Cap Core ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN6-4|TXN14-1|TXN5-3|TXN5-3|930000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|28.57|0.0|0.0|0.0|0.0|28.5399|0.0|0.0|0.0|0.0|0.0|28.59|0.0|0.0|0.0|0.0|28.5399|0.0|28.59|28.27|28.85|0.0|0.0|28.5|28.59|28.5|28.59|0.0|0.0|28.52|28.59|28.75|23.46|1577|497333 1131|DENN|DENN|24869P104|US24869P1049|Dennys Corp|COM USD.1||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN6-1|TXN13-7|TXN6-4|TXN6-2|53090000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4050|405010|40501040|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Restaurants and Bars|N||N||||||Y|0|Y||||||9.94|9.95|0.0|9.94|9.96|9.95|9.96|9.94|0.0|0.0|9.95|9.95|9.96|9.92|9.93|9.925|10.03|9.96|9.93|9.96|9.85|9.96|7.7|12.17|9.87|9.96|9.91|9.99|9.9|9.99|9.94|9.96|13.0|8.115|747040|128458217 5758|DEO|DEO|25243Q205|US25243Q2057|DIAGEO plc|American Depositary Shares (Each representing 4 Ordinary Shares)|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|8|R|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-5|TXN2-3|TXN6-8|TXN4-7|TXN3-2|2239510000|||BiAnnually|||||1997-12-17||||||| | | | | | | | | |||N|0|N|Y|170A|GBR|GB|||45|4510|451010|45101015|Consumer Staples |Food, Beverage and Tobacco |Beverages|Distillers and Vintners|N||N||||||Y|0|Y||Y|2|||141.71|141.88|0.0|141.92|141.9|141.89|141.895|141.925|0.0|0.0|141.87|141.69|141.96|141.93|141.92|141.93|141.71|141.93|142.55|141.93|141.9|141.99|109.68|173.5|141.69|142.08|141.8|142.02|141.93|142.01|141.9|141.99|190.48|135.631|637249|107458796 72365|DERM|DERM|48115J109|US48115J1097|Journey Medical Corp|COM USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN6-1|TXN14-2|TXN6-4|TXN6-1|12510000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103015|Health Care |Health Care |Pharmaceuticals and Biotechnology|Pharmaceuticals |N||N||||||N|0|Y||||||0.0|4.97|0.0|0.0|4.96|4.945|4.91|4.945|0.0|0.0|4.96|4.96|4.97|4.96|4.96|4.945|4.945|4.945|0.0|4.97|4.73|5.16|3.83|6.02|4.75|5.07|4.89|5.0|4.88|5.01|4.93|4.96|5.75|1.02|606551|23062558 16670|DES|DES|97717W604|US97717W6049|WisdomTree Trust|WisdomTree U.S. SmallCap Dividend Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||WisdomTree|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-3|TXN4-7|TXN3-8|TXN3-6|TXN1-1|61050000|||Monthly|||||2007-11-28||DES.NV|DES.SO|DES.EU|DES.TC|DES.IV| | | | | | | | | |1x|WisdomTree small cap Dividend Fund seeks investment results that closely correspond to the price and yield performance, before fees and expenses, of the WisdomTree small cap Dividend Index. The WisdomTree small cap Dividend Index is a fundamentally weighted index measuring the performance of the small capitalization segment of the US dividend-paying market. The Index is comprised of the companies that compose the bottom 25% of the market capitalization of the WisdomTree Dividend Index after the 300 largest companies have been removed. The index is dividend weighted annually to reflect the proportionate share of the aggregate cash dividends each component company is projected to pay in the coming year, based on the most recently declared dividend per share. This index was established with a base value of 200 on May 31, 2006.|N|0|N|N|406C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||30.26|30.33|0.0|0.0|30.33|30.335|30.34|30.315|0.0|0.0|30.32|0.0|30.335|30.3|30.26|30.26|30.29|30.33|0.0|30.33|28.65|31.67|30.29|30.4|30.32|30.36|30.27|30.4|30.27|30.4|30.32|30.36|32.31|26.4101|194222|34206824 76340|DESK|DESK|92189H714|US92189H7145|VanEck ETF Trust|VanEck Office and Commercial REIT ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||VanEck Vectors|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-6|TXN3-4|TXN7-8|TXN1-1|TXN1-1|30000|||Quarterly|||||2023-09-21||DESK.NV|DESK.SO|DESK.EU|DESK.TC|DESK.IV| | | | | | | | | |1x|The VanEck Office and Commercial REIT ETF (DESK) seeks to replicate as closely as possible, before fees and expenses, the price and yield performance of the MarketVector US Listed Office and Commercial REITs Index, which is intended to track the overall performance of U.S. office and commercial real estate investment trusts.|N|0|N|N|406C|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|30.26|31.9179|0.0|0.0|0.0|0.0|0.0|36.25|0.0|0.0|0.0|0.0|36.5206|0.0|36.5206|0.0|0.0|0.0|0.0|36.52|36.54|17.94|53.81|0.0|0.0|36.5|36.54|36.5206|29.085|62|13506 59591|DESP|DESP|G27358103|VGG273581030|Despegar.com, Corp.|Ordinary shares, no par value|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|8|R|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN4-3|TXN3-8|TXN2-1|TXN3-8|66060000|||NotApplicable|||||2017-09-20||||||| | | | | | | | | |||N|0|N|Y|144C|ARG|VG|||40|4050|405010|40501015|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Travel and Tourism|N||N||||||Y|0|Y||Y|2|||8.32|8.32|0.0|8.38|8.31|8.29|8.33|8.32|0.0|0.0|8.32|8.31|8.325|8.29|8.2|8.31|8.23|8.32|8.25|8.31|8.31|8.33|8.28|8.36|8.25|8.39|8.29|8.35|8.31|8.35|8.31|8.33|9.45|4.44|264087|58183640 52039|DEUS|DEUS|233051481|US2330514819|DBX ETF Trust|Xtrackers Russell US Multifactor ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||DBX Advisors|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-8|TXN3-5|TXN5-6|TXN4-2|TXN3-3|3050001|||Quarterly|||||2015-11-24||DEUS.NV|DEUS.SO|DEUS.EU|DEUS.TC|DEUS.IV| | | | | | | | | |1x|The Deutsche X-trackers Russell 1000 Enhanced Beta ETF, using a passive or indexing investment approach, seeks investment results that correspond generally to the performance, before fees and expenses, of the Underlying Index, which is designed to track the equity market performance of companies in emerging market countries selected on the investment style criteria (factors) of value, momentum, quality, low volatility and size. The companies eligible for the Underlying Index are derived from its starting universe, the FTSE Emerging Index, which is comprised of large- and mid-cap equity securities from emerging markets. |N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||45.67|0.0|0.0|0.0|45.67|0.0|45.7478|45.67|0.0|0.0|44.6|44.7|45.85|45.67|0.0|45.67|0.0|45.83|45.83|45.83|45.73|45.87|45.66|45.87|45.73|45.8|45.65|45.87|45.65|45.87|45.73|45.8|46.1407|40.77|12156|2327325 16673|DEW|DEW|97717W877|US97717W8771|WisdomTree Trust|WisdomTree Global High Dividend Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||WisdomTree|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-7|TXN4-5|TXN9-8|TXN3-2|TXN3-6|2350000|||Quarterly|||||2007-11-28||DEW.NV|DEW.SO|DEW.EU|DEW.TC|DEW.IV| | | | | | | | | |1x|WisdomTree Global High Dividend Fund seeks investment results that closely correspond to the price and yield performance, before fees and expenses, of the WisdomTree Global Equity Income Index. Prior to June 19, 2009, the WisdomTree Global Equity Income Fund was named the WisdomTree Europe Equity Income Fund. The WisdomTree Global Equity Income Fund operates as a fund of funds and attempts to achieve its investment objective by investing primarily in other WisdomTree exchange traded funds (ETFs). Instead of investing in several hundred securities, the Fund now invests primarily in the WisdomTree Equity Income Fund, DEFA Equity Income Fund and Emerging Markets Equity Income Fund. By investing in these ETFs the Fund will achieve exposure to the securities in the Global Equity Income Index. The WisdomTree Global Equity Income Index* is a fundamentally weighted index that measures the performance of high dividend-yielding companies selected from the WisdomTree Global Dividend Index, which measures the performance of dividend-paying companies in the U.S., developed and emerging markets. At the index measurement date, companies with market capitalizations of at least $2 billion are ranked by dividend yield and those companies in the top 30% by dividend yield are selected for inclusion in the Global High-Yielding Equity Index. Companies are weighted in the index based on annual cash dividends paid. The Index, established with a base value of 200 on November 30, 2007, is calculated in U.S. dollars and is updated daily to reflect market prices and exchange rates. Closing or last-sale prices are used when non-U.S. markets are closed. Also known as the WisdomTree Global High-Yielding Equity Index.|N|0|N|N|406C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||0.0|47.26|0.0|0.0|0.0|47.19|47.29|0.0|0.0|0.0|0.0|0.0|47.19|0.0|0.0|0.0|0.0|47.2814|0.0|47.2814|0.0|0.0|0.0|0.0|47.23|47.28|0.0|0.0|0.0|0.0|47.23|47.28|49.44|43.0809|15704|2913682 70848|DFAC|DFAC|25434V708|US25434V7082|Dimensional ETF Trust|Dimensional U.S. Core Equity 2 ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Dimensional Fund Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN1-2|TXN9-5|TXN4-5|TXN2-1|817789243|||Quarterly|||||2021-06-14||DFAC.NV|DFAC.SO|DFAC.EU|DFAC.TC|DFAC.IV| | | | | | | | | |1x|Dimensional U.S. Core Equity 2 ETF is an actively managed exchange traded fund incorporated in the USA. The ETFs objective is to achieve long-term capital appreciation while minimizing federal income tax implications of investment decisions. The ETF invests in a broad and diverse group of common stocks of U.S. companies with an increased exposure to small capitalization and value companies.|N|0|N|N|408A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||Y|0|Y||Y|1|||27.88|27.885|0.0|0.0|27.89|27.88|27.8899|27.84|0.0|0.0|27.895|27.88|27.885|27.84|27.88|27.885|27.835|27.89|27.88|27.89|27.87|27.9|27.84|27.91|27.87|27.88|27.84|27.91|27.84|27.91|27.87|27.88|28.24|23.78|1892506|367299485 68345|DFAE|DFAE|25434V302|US25434V3024|Dimensional ETF Trust|Dimensional Emerging Core Equity Market ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Dimensional Fund Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-5|TXN3-7|TXN3-5|TXN2-3|TXN3-6|137800000|||Quarterly|||||2020-12-02||DFAE.NV|DFAE.SO|DFAE.EU|DFAE.TC|DFAE.IV| | | | | | | | | ||The Emerging Markets Core ETF is an actively managed exchange traded fund incorporated in the USA. The ETF invests in emerging market stocks. It invests in companies of all sizes, with increased exposure to smaller capitalization, lower relative price, and higher profitability companies as compared to their representation in the Emerging Markets Universe.|N|0|N|N|408A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|1|||23.18|23.185|0.0|0.0|23.19|23.185|23.18|23.16|0.0|0.0|23.18|23.2|23.18|23.16|23.16|23.18|23.175|23.19|0.0|23.19|23.17|23.19|21.6|23.24|23.18|23.19|21.6|23.24|23.07|23.23|23.18|23.19|24.85|21.544|672330|150776905 68185|DFAI|DFAI|25434V203|US25434V2034|Dimensional ETF Trust|Dimensional International Core Equity Market ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Dimensional Fund Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-6|TXN3-6|TXN2-3|TXN3-7|TXN2-3|164600000|||Quarterly|||||2020-11-18||DFAI.NV|DFAI.SO|DFAI.EU|DFAI.TC|DFAI.IV| | | | | | | | | ||The International Markets Core ETF is an actively managed exchange traded fund incorporated in the USA. The ETF invests in non-US developed market stocks. It invests in companies of all sizes, with increased exposure to smaller capitalization, lower relative price, and higher profitability companies as compared to their representation in the International Universe.|N|0|N|N|408A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||Y|0|Y||Y|1|||27.41|27.4|0.0|0.0|27.41|27.41|27.415|27.41|0.0|0.0|27.41|27.41|27.41|27.37|27.37|27.41|0.0|27.42|27.41|27.42|27.41|27.43|27.32|27.47|27.41|27.42|27.38|27.47|27.38|27.47|27.41|27.47|28.27|24.755|1126215|172052283 73548|DFAR|DFAR|25434V823|US25434V8239|Dimensional ETF Trust|Dimensional US Real Estate ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Dimensional Fund Advisors|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN3-6|TXN8-7|TXN4-5|TXN1-1|36150000|||Quarterly|||||2022-02-24||DFAR.NV|DFAR.SO|DFAR.EU|DFAR.TC|DFAR.IV| | | | | | | | | |1x|Dimensional US Real Estate ETF is an actively managed exchange traded fund incorporated in the USA. The ETF invests in companies whose principal activities include ownership, management, development, construction, or sale of residential, commercial or industrial real estate.|N|0|N|N|408A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||Y|0|Y||Y|1|||0.0|21.82|0.0|0.0|21.81|21.83|21.82|0.0|0.0|0.0|21.77|0.0|21.83|21.67|0.0|21.82|0.0|21.82|0.0|21.82|21.81|21.86|21.78|21.87|21.81|21.83|21.78|21.87|21.78|21.87|21.81|21.83|24.1186|18.31|85630|45625758 70846|DFAS|DFAS|25434V500|US25434V5003|Dimensional ETF Trust|Dimensional U.S. Small Cap ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Dimensional Fund Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN1-8|TXN1-6|TXN2-6|TXN2-6|117715557|||Quarterly|||||2021-06-14||DFAS.NV|DFAS.SO|DFAS.EU|DFAS.TC|DFAS.IV| | | | | | | | | |1x|Dimensional U.S. Small Cap ETF is an actively managed exchange traded fund incorporated in the USA. The ETFs objective is to provide long-term capital appreciation and maximization of after-tax value. The ETF invests at least 80% of its assets in small cap U.S. companies.|N|0|N|N|408A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||Y|0|Y||Y|1|||55.81|55.82|0.0|0.0|55.84|55.82|55.83|55.84|0.0|0.0|55.83|55.54|55.82|55.84|55.71|55.85|55.76|55.85|55.69|55.85|55.73|55.9|55.72|55.91|55.78|55.81|55.71|55.92|55.72|55.91|55.78|55.81|58.0472|48.66|861941|62765194 70847|DFAT|DFAT|25434V609|US25434V6092|Dimensional ETF Trust|Dimensional U.S. Targeted Value ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Dimensional Fund Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-3|TXN4-7|TXN6-5|TXN4-8|TXN3-7|181228862|||Quarterly|||||2021-06-14||DFAT.NV|DFAT.SO|DFAT.EU|DFAT.TC|DFAT.IV| | | | | | | | | |1x|Dimensional U.S. Targeted Value ETF is an actively managed exchange traded fund incorporated in the USA. The ETF seeks long-term capital appreciation and maximization of after-tax value by investing in small cap U.S. companies.|N|0|N|N|408A|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|1|||48.76|48.73|0.0|0.0|48.76|48.75|48.7598|48.64|0.0|0.0|48.75|48.59|48.76|48.61|48.68|48.68|48.67|48.72|48.58|48.72|48.64|48.83|45.12|51.71|48.72|48.77|48.72|48.85|48.6|48.83|48.72|48.77|50.0|41.1631|274071|72802025 68183|DFAU|DFAU|25434V104|US25434V1044|Dimensional ETF Trust|Dimensional US Core Equity Market ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Dimensional Fund Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN2-1|TXN8-3|TXN1-8|TXN3-3|136750000|||Quarterly|||||2020-11-18||DFAU.NV|DFAU.SO|DFAU.EU|DFAU.TC|DFAU.IV| | | | | | | | | ||The US Core ETF is an actively managed exchange traded fund incorporated in the USA. The ETF invests in companies of all sizes, with increased exposure to smaller capitalization, lower relative price, and higher profitability companies as compared to their representation in the U.S. Universe.|N|0|N|N|408A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||Y|0|Y||Y|1|||31.82|31.875|0.0|0.0|31.87|31.86|31.865|31.98|0.0|0.0|31.88|31.86|31.865|31.82|31.8|31.865|31.805|31.87|0.0|31.87|31.85|31.88|31.82|31.89|31.85|31.87|31.84|31.88|31.81|31.89|31.85|31.87|32.15|26.48|563881|105997696 76370|DFAW|DFAW|25434V617|US25434V6175|Dimensional ETF Trust|Dimensional World Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Dimensional Fund Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN4-8|TXN2-8|TXN3-6|TXN3-7|2405000|||Quarterly|||||2023-09-27||DFAW.NV|DFAW.SO|DFAW.EU|DFAW.TC|DFAW.IV| | | | | | | | | ||The World Equity ETF is a fund of funds, which means that the Portfolio generally allocates its assets among other funds managed by the Advisor (the Underlying Funds), although it has the flexibility to invest directly in securities and derivatives. The Portfolio allocates its assets to Underlying Funds that invest in domestic and international equity securities.|N|0|N|N|408A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||52.5|52.47|0.0|0.0|0.0|52.39|52.4441|0.0|0.0|0.0|52.4|0.0|52.5|52.5|0.0|0.0|0.0|52.47|52.47|52.47|51.89|52.97|40.44|64.07|52.42|52.48|52.42|52.48|0.0|0.0|52.42|52.48|53.26|47.04|55502|3349423 71629|DFAX|DFAX|25434V880|US25434V8809|Dimensional ETF Trust|Dimensional World ex U.S. Core Equity 2 ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Dimensional Fund Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-4|TXN2-6|TXN6-8|TXN3-6|TXN2-4|254617896|||Quarterly|||||2021-09-13||DFAX.NV|DFAX.SO|DFAX.EU|DFAX.TC|DFAX.IV| | | | | | | | | |1x|Dimensional World ex U.S. Core Equity 2 ETF is an actively managed exchange traded fund incorporated in the USA. The ETFs objective is long-term capital appreciation while considering federal tax implications of investment decisions. The ETF invests in a broad portfolio of secutities of non-U.S. companies, including emerging markets issuers, with an exposure to small capitalization and value companies.|N|0|N|N|408A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||Y|0|Y||Y|1|||23.41|23.405|0.0|0.0|23.41|23.405|23.4099|23.41|0.0|0.0|23.405|23.37|23.405|23.41|23.405|23.4|23.38|23.39|23.385|23.39|23.38|23.41|23.33|23.45|23.39|23.41|23.33|23.46|23.33|23.45|23.38|23.41|24.4|21.34|555838|126361355 75938|DFCA|DFCA|25434V633|US25434V6332|Dimensional ETF Trust|Dimensional California Municipal Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Dimensional Fund Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-8|TXN1-4|TXN6-8|TXN4-1|TXN2-2|3725000|||Monthly|||||2023-06-27||DFCA.NV|DFCA.SO|DFCA.EU|DFCA.TC|DFCA.IV| | | | | | | | | ||The investment objective of the Dimensional California Municipal Bond ETF (the California Municipal Bond ETF or Portfolio) is to seek to provide current income that is expected to be exempt from federal personal income tax and California state personal income taxes.|N|0|N|N|408A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||50.11|50.14|0.0|0.0|0.0|50.185|50.2088|0.0|0.0|0.0|0.0|0.0|50.16|50.2|0.0|0.0|0.0|50.195|0.0|50.195|0.0|0.0|0.0|0.0|50.17|50.22|0.0|0.0|0.0|0.0|45.05|50.22|50.55|48.39|17188|5281330 72379|DFCF|DFCF|25434V872|US25434V8726|Dimensional ETF Trust|Dimensional Core Fixed Income ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Dimensional Fund Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-1|TXN1-2|TXN4-6|TXN2-1|TXN2-6|92250000|||Monthly|||||2021-11-16||DFCF.NV|DFCF.SO|DFCF.EU|DFCF.TC|DFCF.IV| | | | | | | | | |1x|The Core Fixed Income ETF is an actively managed exchange traded fund incorporated in the USA. The ETF seeks to maximize total returns from the universe of eligible investments. The ETF will seek to achieve its investment objective through exposure to a broad portfolio of U.S. and foreign investment grade fixed income securities.|N|0|N|N|408A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|1|||41.42|41.42|0.0|0.0|41.42|41.425|41.42|41.425|0.0|0.0|41.43|41.41|41.43|41.41|0.0|41.425|41.17|41.48|41.425|41.48|41.32|44.23|38.59|44.23|41.38|41.45|38.59|44.23|40.58|42.33|41.38|41.45|43.51|39.48|678581|110020560 16684|DFE|DFE|97717W869|US97717W8698|WisdomTree Trust|WisdomTree Europe SmallCap Dividend Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||WisdomTree|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-3|TXN4-6|TXN2-8|TXN2-3|TXN3-3|3300000|||Quarterly|||||2007-10-11||DFE.NV|DFE.SO|DFE.EU|DFE.TC|DFE.IV| | | | | | | | | |1x|WisdomTree Europe small cap Dividend Fund seeks investment results that closely correspond to the price and yield performance, before fees and expenses, of the WisdomTree Europe small cap Dividend Index. The WisdomTree Europe small cap Dividend Index is a fundamentally weighted index that measures the performance of the small capitalization segment of the European dividend-paying market. The Index is comprised of the companies that compose the bottom 25% of the market capitalization of the WisdomTree Europe Dividend Index after the 300 largest companies have been removed. Companies are weighted in the Index based on annual cash dividends paid. The Index, established with a base value of 200 on May 31, 2006, is calculated in US dollars and is updated every 15 seconds between 9:30 a.m. and 4:00 p.m. to reflect market prices and exchange rates. Closing or last-sale prices are used when non-U.S. markets are closed.|N|0|N|N|406C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||54.83|54.79|0.0|0.0|54.83|0.0|54.85|54.73|0.0|0.0|0.0|0.0|54.59|54.83|54.83|0.0|0.0|54.8499|0.0|54.8499|52.21|57.51|0.0|0.0|54.81|54.87|52.21|57.51|0.0|0.0|54.81|54.87|61.406|48.5773|16585|5665188 65657|DFEB|DFEB|33740F771|US33740F7713|FT Cboe Vest US Equity Deep Buffer ETF -February|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-4|TXN3-6|TXN3-8|TXN1-4|TXN3-1|5530000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|36.6439|0.0|0.0|0.0|0.0|36.6196|36.605|0.0|0.0|0.0|0.0|36.62|36.58|0.0|0.0|0.0|36.6439|0.0|36.6439|36.59|36.67|36.57|36.64|36.6|36.68|36.55|36.73|36.56|36.73|36.62|36.68|36.7667|32.35|9349|12761434 73945|DFEM|DFEM|25434V732|US25434V7322|Dimensional ETF Trust|Dimensional Emerging Markets Core Equity 2 ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Dimensional Fund Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-1|TXN1-8|TXN5-5|TXN3-8|TXN2-8|112000000|||Quarterly|||||2022-04-27||DFEM.NV|DFEM.SO|DFEM.EU|DFEM.TC|DFEM.IV| | | | | | | | | ||Dimensional Emerging Markets Core Equity 2 ETF is an actively managed exchange traded fund incorporated in the USA. The ETF invests in emerging markets stocks. It invests in companies of all sizes, with increased exposure to smaller capitalization, lower relative price, and high profitability companies as compared to their representation in the Emerging Markets Universe.|N|0|N|N|408A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|1|||24.07|24.07|0.0|24.08|24.08|24.07|24.075|24.08|0.0|0.0|24.07|24.14|24.075|24.08|24.08|24.06|0.0|24.06|24.055|24.06|24.05|24.07|22.62|24.12|24.06|24.07|22.62|24.12|23.53|24.11|24.06|24.07|25.43|22.2|451636|126977262 57229|DFEN|DFEN|25460E661|US25460E6611|Direxion Shares ETF Trust|Direxion Daily Aerospace & Defense Bull 3X Shares|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Direxion Shares|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-7|TXN3-7|TXN6-3|TXN1-6|TXN3-7|8100001|||Quarterly|||||2017-05-03||DFEN.NV|DFEN.SO|DFEN.EU|DFEN.TC|DFEN.IV| | | | | | | | | |3x|The Fund seeks daily investment results, before fees andexpenses, of 300% of the daily performance of the Dow Jones U.S. Select Aerospace &Defense Index|N|0|N|N|416A|USA|US|EQUITY|LEVERAGED|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||22.14|22.17|0.0|21.23|22.16|22.18|22.145|22.15|0.0|0.0|22.18|22.05|22.17|21.239|22.0|22.051|22.0|22.17|22.14|22.17|22.03|22.33|17.07|26.85|22.18|22.2|22.15|22.22|22.08|22.29|22.18|22.2|22.85|13.3097|301830|67363262 73944|DFEV|DFEV|25434V740|US25434V7405|Dimensional ETF Trust|Dimensional Emerging Markets Value ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Dimensional Fund Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-7|TXN2-1|TXN5-8|TXN1-3|TXN1-7|20100000|||Quarterly|||||2022-04-27||DFEV.NV|DFEV.SO|DFEV.EU|DFEV.TC|DFEV.IV| | | | | | | | | ||Dimensional Emerging Markets Value ETF is an actively managed exchange traded fund incorporated in the USA. The ETF invests in emerging markets stocks. It invests in value companies with an increased exposure to smaller capitalization, lower relative price, and higher profitability compared to their representation in the Emerging Markets Universe.|N|0|N|N|408A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||24.13|24.16|0.0|0.0|24.16|24.16|24.16|24.16|0.0|0.0|24.16|24.17|24.16|24.16|24.13|24.16|0.0|24.14|24.17|24.14|18.78|24.17|18.78|24.21|24.14|24.17|18.78|24.21|0.0|0.0|24.14|24.17|25.88|22.1639|117756|18792137 76579|DFGP|DFGP|25434V583|US25434V5839|Dimensional Global Core Plus Fixed Income ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN6-1|TXN11-8|TXN6-3|TXN5-3|2700000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||51.87|51.86|0.0|0.0|51.87|51.86|51.87|51.86|0.0|0.0|51.86|0.0|51.84|0.0|0.0|51.86|0.0|51.87|51.895|51.84|39.86|63.77|39.86|63.77|51.57|51.88|39.86|63.77|0.0|0.0|51.84|51.88|52.12|50.1391|36163|2120283 74991|DFGR|DFGR|25434V658|US25434V6589|Dimensional ETF Trust|Dimensional Global Real Estate ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Dimensional Fund Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-7|TXN4-6|TXN9-3|TXN4-7|TXN4-2|50650000|||Quarterly|||||2022-12-07||DFGR.NV|DFGR.SO|DFGR.EU|DFGR.TC|DFGR.IV| | | | | | | | | ||The Portfolio, using a market capitalization weighted approach, purchases a broad and diverse set of securities of U.S. and non-U.S. companies principally engaged in the real estate industry, including developed and emerging markets, with a particular focus on real estate investment trusts (REITs) and companies the Advisor considers to be REIT-like entities. The Portfolio invests in companies of all sizes.|N|0|N|N|408A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||Y|0|Y||Y|1|||24.8|24.8|0.0|0.0|24.8|24.8|24.8|24.81|0.0|0.0|24.8|24.69|24.8|24.8|24.8|24.8|24.8|24.8|24.735|24.8|24.76|24.83|24.69|24.85|24.78|24.8|24.76|24.84|24.76|24.84|24.78|24.8|27.5093|21.1|382547|67862992 76580|DFGX|DFGX|25434V575|US25434V5755|Dimensional Global ex US Core Fixed Income ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN5-4|TXN14-2|TXN6-1|TXN5-6|1250000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|51.6|0.0|0.0|51.61|51.59|51.579|0.0|0.0|0.0|51.59|0.0|51.5841|0.0|0.0|0.0|0.0|51.61|0.0|51.5841|39.65|63.49|39.65|63.49|51.54|51.62|39.65|63.49|0.0|0.0|51.54|51.62|51.63|50.215|19672|940998 68836|DFH|DFH|26154D100|US26154D1000|Dream Finders Homes, Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|R|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN3-7|TXN1-8|TXN4-6|TXN2-8|32880000|||NotApplicable|||||2022-10-10||||||| | | | | | | | | |||N|0|N|Y|414A|USA|US|||40|4020|402020|40202010|Consumer Discretionary|Consumer Products and Services|Household Goods and Home Construction|Home Construction|N||N||||||Y|0|Y||Y|2|||25.97|26.0|0.0|25.96|26.0|25.99|26.05|26.05|0.0|0.0|26.06|25.98|26.1|25.97|25.86|26.05|25.98|26.06|25.97|26.05|26.02|26.06|19.78|31.55|25.92|26.17|25.98|26.11|26.02|26.1|26.02|26.06|31.6|8.17|401122|57908456 68392|DFHY|DFHY|89628W609|US89628W6093|Donoghue Forlines Tactical High Yield ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN2-8|TXN8-8|TXN4-2|TXN3-7|1550000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N|Y|N||||||N|0|Y||||||0.0|20.78|0.0|0.0|0.0|0.0|20.78|20.78|0.0|0.0|0.0|0.0|20.78|20.78|0.0|20.78|0.0|20.78|0.0|20.78|0.0|0.0|0.0|0.0|20.66|20.93|0.0|0.0|0.0|0.0|20.77|20.82|21.3716|19.811|3922|828804 73743|DFIC|DFIC|25434V799|US25434V7991|Dimensional International Core Equity 2 ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-7|TXN1-1|TXN8-6|TXN4-3|TXN1-4|190500000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||24.415|24.4|0.0|0.0|24.41|24.41|24.41|24.42|0.0|0.0|24.415|24.41|24.41|24.405|24.41|24.41|24.41|24.4|24.42|24.4|24.4|24.42|24.32|24.47|24.4|24.42|24.31|24.47|24.32|24.47|24.4|24.42|25.27|22.04|820005|203318795 53950|DFIN|DFIN|25787G100|US25787G1004|Donnelley Financial Solutions, Inc.|Common Stock, par value $0.01 per share|Operating company|A|N|N|N|Y|Y|Y|Y|Y|11|Q|Virtu Americas LLC|NITC|295|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN4-5|TXN8-8|TXN4-4|TXN1-5|29110000|||Monthly|||||2016-09-21||||||| | | | | | | | | |||N|0|N|Y|104C|USA|US|||50|5020|502050|50205020|Industrials|Industrial Goods and Services|Industrial Support Services|Professional Business Support Services|N||N||||||N|0|Y||Y|2|||59.56|59.42|0.0|59.12|59.06|59.025|59.0|59.025|0.0|0.0|59.4|58.22|58.96|59.05|59.4|58.96|59.78|58.98|57.12|58.96|58.96|58.98|44.92|72.71|58.77|59.26|58.85|59.06|58.83|59.07|58.96|58.98|59.855|35.69|261311|44629636 72381|DFIP|DFIP|25434V856|US25434V8569|Dimensional ETF Trust|Dimensional Inflation-Protected Securities ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Dimensional Fund Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-7|TXN4-5|TXN2-6|TXN3-8|TXN3-6|11225000|||Monthly|||||2021-11-16||DFIP.NV|DFIP.SO|DFIP.EU|DFIP.TC|DFIP.IV| | | | | | | | | |1x|The Inflation-Protected Securities ETF is an actively managed exchange traded fund incorporated in the USA. The ETF seeks to provide inflation protection and earn current income consistent with inflation-protected securities.|N|0|N|N|408A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||Y|0|Y||Y|2|||40.375|40.37|0.0|0.0|40.37|40.375|40.3529|40.375|0.0|0.0|40.37|40.37|40.375|40.375|40.37|40.375|40.37|40.3529|40.37|40.3529|40.35|40.38|31.11|49.75|40.35|40.38|40.35|40.38|0.0|0.0|40.35|40.38|43.28|39.06|118333|12429434 73744|DFIS|DFIS|25434V773|US25434V7736|Dimensional International Small Cap ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN1-6|TXN2-7|TXN2-7|TXN1-7|35500000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||22.84|22.86|0.0|0.0|22.85|22.85|22.85|22.83|0.0|0.0|22.855|0.0|22.85|22.84|22.85|22.85|22.85|22.86|0.0|22.86|22.84|22.86|21.43|24.27|22.84|22.86|21.43|24.27|22.36|23.31|22.84|22.86|24.06|20.47|253167|32029692 71630|DFIV|DFIV|25434V807|US25434V8072|Dimensional ETF Trust|Dimensional International Value ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Dimensional Fund Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-8|TXN4-6|TXN1-7|TXN4-3|TXN4-4|182045115|||Quarterly|||||2021-09-13||DFIV.NV|DFIV.SO|DFIV.EU|DFIV.TC|DFIV.IV| | | | | | | | | |1x|Dimensional International Value ETF Portfolio is an actively managed exchange traded fund incorporated in the USA. The ETFs objective is to provide long-term capital appreciation and maximization of after-tax value. The ETF seeks to achieve its objective by purchasing value stocks of large non-U.S. companies on a market capitalization weighted basis in each applicable country.|N|0|N|N|408A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||Y|0|Y||Y|1|||33.2|33.21|0.0|0.0|33.21|33.205|33.215|33.2|0.0|0.0|33.215|33.19|33.205|33.21|33.215|33.21|33.205|33.21|33.2|33.21|33.2|33.21|33.12|33.25|33.2|33.21|33.16|33.22|33.16|33.22|33.2|33.22|34.54|29.97|1119365|163955213 16685|DFJ|DFJ|97717W836|US97717W8367|WisdomTree Trust|WisdomTree Japan  SmallCap Dividend Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||WisdomTree|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-8|TXN4-1|TXN7-7|TXN3-5|TXN4-4|2900000|||Quarterly|||||2007-10-11||DFJ.NV|DFJ.SO|DFJ.EU|DFJ.TC|DFJ.IV| | | | | | | | | |1x|WisdomTree Japan small cap Dividend Fund seeks investment results that closely correspond to the price and yield performance, before fees and expenses, of the WisdomTree Japan small cap Dividend Index. The WisdomTree Japan small cap Dividend Index measures the performance of dividend-paying small capitalization companies in Japan. After the 300 largest companies have been removed from the WisdomTree Japan Dividend Index, the remaining companies are chosen for inclusion in the Index. Companies are weighted in the Index based on annual cash dividends paid. The Index, established with a base value of 200 on May 31, 2006, is calculated in US dollars and is updated every 15 seconds between 9:30 a.m. and 4:00 p.m. to reflect market prices and exchange rates. Closing or last-sale prices are used when non-U.S. markets are closed.|N|0|N|N|406C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||71.8|71.5|0.0|0.0|71.6|71.5|71.475|71.45|0.0|0.0|71.7|0.0|71.45|71.45|0.0|0.0|0.0|71.46|0.0|71.46|57.1|85.9|0.0|0.0|71.43|71.51|67.24|75.96|0.0|0.0|71.43|71.82|71.99|60.9301|14359|3555324 71516|DFLI|DFLI|26145B106|US26145B1061|Dragonfly Energy Holdings Corp|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-4|TXN5-1|TXN14-7|TXN5-8|TXN6-4|59550000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502020|50202010|Industrials|Industrial Goods and Services|Electronic and Electrical Equipment|Electrical Components |N||N||||||Y|0|Y||||||0.57|0.5641|0.0|0.0|0.569|0.5675|0.5675|0.5637|0.0|0.0|0.5634|0.5659|0.5675|0.569|0.0|0.5641|0.569|0.5659|0.569|0.5675|0.5434|0.5886|0.4506|0.674|0.5444|0.5864|0.5409|0.584|0.5436|0.5912|0.5643|0.5678|28.7497|0.5|415625|264154678 71517|DFLIW|DFLIW|26145B114|US26145B1145|Dragonfly Energy Holdings Corp|WT EXP 072926||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-3|TXN5-2|TXN12-3|TXN6-3|TXN5-2|58880000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y|D|||||0.0|0.0|0.0|0.0|0.0|0.0297|0.0|0.0|0.0|0.0|0.03|0.0|0.0298|0.0|0.0|0.0|0.0|0.03|0.0|0.03|0.0|0.0|0.0|0.0|0.0191|0.0319|0.0|0.0|0.0|0.0|0.0205|0.03|0.6599|0.013478|2104|6567315 74990|DFLV|DFLV|25434V666|US25434V6662|Dimensional ETF Trust|Dimensional US Large Cap Value ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Dimensional Fund Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-8|TXN2-5|TXN3-6|TXN1-5|TXN4-1|43950000|||Quarterly|||||2022-12-07||DFLV.NV|DFLV.SO|DFLV.EU|DFLV.TC|DFLV.IV| | | | | | | | | ||The Portfolio is designed to purchase a broad and diverse group of readily marketable securities of large U.S. companies that the Advisor determines to be value stocks.|N|0|N|N|408A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||Y|0|Y||Y|1|||25.835|25.82|0.0|0.0|25.835|25.835|25.835|25.795|0.0|0.0|25.83|25.84|25.83|25.84|25.835|25.84|25.82|25.84|0.0|25.84|25.8|25.88|24.07|27.39|25.8|25.84|25.8|25.88|25.3|26.36|25.8|25.85|26.51|23.15|337410|58345027 52293|DFND|DFND|829658400|US8296584001|Siren DIVCON Dividend Defender ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN4-1|TXN6-8|TXN4-8|TXN2-7|255060|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|38.4773|0.0|0.0|0.0|0.0|38.39|38.34|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|38.4773|0.0|38.4773|0.0|0.0|0.0|0.0|38.22|38.52|36.53|40.52|0.0|0.0|38.43|38.52|38.6241|33.09|1976|331607 56496|DFNL|DFNL|23908L108|US23908L1089|Davis Fundamental ETF Trust - Davis Select Financial|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-4|TXN2-7|TXN8-8|TXN3-4|TXN1-1|6100000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||0.0|28.8843|0.0|0.0|0.0|0.0|28.08|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|28.8843|0.0|28.8843|26.74|30.69|0.0|0.0|28.84|28.94|28.84|28.94|0.0|0.0|28.85|28.92|30.05|24.61|5479|2651524 72382|DFNM|DFNM|25434V849|US25434V8494|Dimensional ETF Trust|Dimensional National Municipal Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Dimensional Fund Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN2-7|TXN4-8|TXN1-3|TXN4-6|22650000|||Monthly|||||2021-11-16||DFNM.NV|DFNM.SO|DFNM.EU|DFNM.TC|DFNM.IV| | | | | | | | | |1x|The National Municipal Bond ETF is an actively managed exchange traded fund incorporated in the USA. The ETF seeks to provide current income that is expected to be exempt from federal personal income tax.|N|0|N|N|408A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|1|||0.0|47.895|0.0|0.0|47.94|47.915|47.9201|47.915|0.0|0.0|47.89|0.0|47.92|47.86|47.92|47.89|0.0|47.89|47.895|47.89|44.59|51.14|44.59|51.14|47.9|47.94|44.59|51.14|46.92|48.87|47.91|48.91|48.72|46.1|141680|27316442 68393|DFNV|DFNV|89628W500|US89628W5004|Donoghue Forlines Innovation ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN3-1|TXN1-5|TXN2-6|TXN1-6|1730000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|26.4486|0.0|0.0|0.0|0.0|26.4486|0.0|0.0|0.0|0.0|0.0|26.39|0.0|0.0|0.0|0.0|26.4486|0.0|26.4486|0.0|0.0|26.33|26.39|26.43|26.63|0.0|0.0|0.0|0.0|26.43|26.47|26.7479|21.81|3652|2072619 42094|DFP|DFP|33848W106|US33848W1062|Flaherty & Crumrine Dynamic Preferred and Income Fund Incorporated|Common Stock ($0.01 par value)|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN2-3|TXN1-5|TXN3-7|TXN1-4|20140000|||Monthly|||||2013-05-24||||||| | | | | | | | | |||N|0|N|N|406B|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||17.85|17.9|0.0|17.85|17.87|17.865|17.86|17.885|0.0|0.0|17.95|17.9|17.86|17.86|17.44|17.85|17.87|17.85|17.92|17.85|17.85|17.87|15.4|22.06|16.77|19.17|17.82|17.9|17.82|17.89|17.85|17.87|21.6401|15.45|93979|17639743 72897|DFRA|DFRA|89628W708|US89628W7083|Donoghue Forlines Yield Enhanced Real Asset ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-6|TXN2-5|TXN5-8|TXN4-6|TXN2-4|1800000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N|Y|N||||||N|0|Y||||||0.0|28.06|0.0|0.0|0.0|0.0|28.0401|0.0|0.0|0.0|0.0|0.0|28.06|0.0|0.0|0.0|0.0|28.06|0.0|28.06|0.0|0.0|28.03|28.08|28.05|28.1|0.0|0.0|0.0|0.0|28.05|28.09|28.4022|23.9108|3511|1849521 24818|DFS|DFS|254709108|US2547091080|Discover Financial Services|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|P|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-5|TXN1-7|TXN9-6|TXN4-1|TXN1-4|250060000|||Quarterly|||||2007-06-14||||||| | | | | | | | | |||N|5|Y|Y|408A|USA|US|||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||Y|1|||94.7|94.7|0.0|94.62|94.74|94.705|94.72|94.72|0.0|0.0|94.695|94.69|94.73|94.7|94.65|94.74|94.61|94.74|94.705|94.74|94.72|94.73|88.79|99.74|94.68|94.81|94.68|94.77|94.69|94.82|94.72|94.73|122.5|79.04|2024123|545293263 74921|DFSB|DFSB|25434V674|US25434V6746|Dimensional ETF Trust|Dimensional Global Sustainability Fixed Income ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Dimensional Fund Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-1|TXN4-1|TXN6-8|TXN4-1|TXN2-1|4400000|||Monthly|||||2022-11-16||DFSB.NV|DFSB.SO|DFSB.EU|DFSB.TC|DFSB.IV| | | | | | | | | ||The Global Sustainability Fixed Income ETF invests in a broad portfolio of investment grade debt securities (e.g., rated BBB or above by S&P Global Ratings (S&P) or Fitch Ratings Ltd. (Fitch) or Baa3 or above by Moodys Investors Service, Inc. (Moodys)) of U.S. and nonU.S. corporate and government issuers, including mortgage-backed securities, while excluding or underweighting securities of corporate and certain nonsovereign government issuers based upon the Portfolios sustainability impact considerations. At times, the Portfolio may invest a majority of its net assets in securities of U.S. and nonU.S. government issuers. The Advisor expects that the Portfolio will primarily invest in the obligations of issuers that are in developed countries. Under normal circumstances, the Portfolio invests at least 40% of its net assets in nonU.S. fixed income securities (unless market conditions are not deemed favorable by the Advisor, in which case the Portfolio would invest at least 30% of its net assets in nonU.S. fixed income securities).|N|0|N|N|408A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|50.59|0.0|0.0|0.0|50.69|50.5993|50.695|0.0|0.0|50.59|0.0|50.59|50.61|0.0|0.0|0.0|50.61|50.6|50.61|0.0|0.0|0.0|0.0|50.58|50.62|0.0|0.0|0.0|0.0|50.58|50.84|52.655|48.44|17522|4372229 72380|DFSD|DFSD|25434V864|US25434V8643|Dimensional ETF Trust|Dimensional Short-Duration Fixed Income ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Dimensional Fund Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-3|TXN1-6|TXN4-8|TXN3-7|TXN2-6|38750000|||Monthly|||||2021-11-16||DFSD.NV|DFSD.SO|DFSD.EU|DFSD.TC|DFSD.IV| | | | | | | | | |1x|The Short-Duration Fixed Income ETF is an actively managed exchange traded fund incorporated in the USA. The ETF seeks to maximize total returns from the universe of fixed income securities in which the Portfolio invests. The ETF will seek to achieve its investment objective through exposure to a broad portfolio of U.S. and foreign investment grade securities.|N|0|N|N|408A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|1|||46.72|46.71|0.0|0.0|46.72|46.72|46.73|46.71|0.0|0.0|46.73|46.71|46.73|46.72|46.715|46.71|46.72|46.73|46.71|46.73|43.52|49.88|43.52|49.88|46.73|46.74|43.52|49.88|0.0|0.0|46.73|48.58|47.0|46.04|399352|47130088 74829|DFSE|DFSE|25434V682|US25434V6829|Dimensional ETF Trust|Dimensional Emerging Markets Sustainability Core 1 ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Dimensional Fund Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-5|TXN3-7|TXN5-8|TXN1-2|TXN2-4|5800000|||Quarterly|||||2022-11-02||DFSE.NV|DFSE.SO|DFSE.EU|DFSE.TC|DFSE.IV| | | | | | | | | |1x|The Portfolio is designed to purchase a broad and diverse group of securities associated with emerging markets. The Portfolio invests in companies of all sizes, with increased exposure to smaller capitalization, lower relative price, and higher profitability companies as compared to their representation in the Emerging Markets Universe, while adjusting the composition of the Portfolio based on sustainability impact considerations.|N|0|N|N|408A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||30.369|30.39|0.0|0.0|30.63|30.36|30.32|30.33|0.0|0.0|30.36|0.0|30.345|30.369|0.0|30.369|0.0|30.36|0.0|30.36|28.35|32.63|0.0|0.0|30.32|30.4|28.35|32.63|0.0|0.0|30.32|30.4|32.3899|27.8781|30353|5266365 74828|DFSI|DFSI|25434V690|US25434V6902|Dimensional ETF Trust|Dimensional International Sustainability Core 1 ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Dimensional Fund Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN4-4|TXN5-8|TXN4-2|TXN1-2|8800000|||Quarterly|||||2022-11-02||DFSI.NV|DFSI.SO|DFSI.EU|DFSI.TC|DFSI.IV| | | | | | | | | |1x|The Portfolio is designed to purchase a broad and diverse group of securities of non-U.S. companies in developed markets. The Portfolio invests in companies of all sizes, with increased exposure to smaller capitalization, lower relative price, and higher profitability companies as compared to their representation in the International Universe, while adjusting the composition of the Portfolio based on sustainability impact considerations.|N|0|N|N|408A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||30.42|30.44|0.0|0.0|30.42|30.4|30.425|30.45|0.0|0.0|30.4|0.0|30.4|30.42|30.4|30.4|0.0|30.44|0.0|30.44|28.28|32.55|23.21|37.54|30.39|30.45|28.28|32.55|0.0|0.0|30.37|30.45|31.53|27.07|63132|10846214 74827|DFSU|DFSU|25434V716|US25434V7165|Dimensional ETF Trust|Dimensional US Sustainability Core 1 ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Dimensional Fund Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-8|TXN1-5|TXN9-3|TXN4-5|TXN4-6|21600000|||Quarterly|||||2022-11-02||DFSU.NV|DFSU.SO|DFSU.EU|DFSU.TC|DFSU.IV| | | | | | | | | |1x|The Portfolio is designed to purchase a broad and diverse group of securities of U.S. companies. The Portfolio invests in companies of all sizes, with increased exposure to smaller capitalization, lower relative price, and higher profitability companies as compared to their representation in the U.S. Universe, while adjusting the composition of the Portfolio based on sustainability impact considerations.|N|0|N|N|408A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||Y|0|Y||Y|1|||29.67|29.6|0.0|0.0|0.0|29.62|29.63|29.63|0.0|0.0|29.62|0.0|29.62|29.61|29.6|29.62|29.57|29.62|0.0|29.62|29.31|29.92|27.67|31.65|29.57|29.63|27.67|29.64|0.0|0.0|29.57|29.63|29.95|24.45|98491|25641976 73546|DFSV|DFSV|25434V815|US25434V8155|Dimensional ETF Trust|Dimensional US Small Cap Value ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Dimensional Fund Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-3|TXN1-1|TXN4-5|TXN2-8|TXN1-8|80600000|||Quarterly|||||2022-02-24||DFSV.NV|DFSV.SO|DFSV.EU|DFSV.TC|DFSV.IV| | | | | | | | | |1x|Dimensional US Small Cap Value ETF is an actively managed exchange traded fund incorporated in the USA. 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As further described below, the Portfolios design emphasizes long-term drivers of expected returns identified by the Advisors research, while balancing risk through broad diversification across companies and sectors. 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|Diversified Retailers|N||N||||||Y|0|Y||Y|1|||134.85|134.86|0.0|134.82|134.86|134.95|134.75|134.87|0.0|0.0|134.75|134.89|134.82|134.82|134.85|134.83|134.62|134.75|134.91|134.83|134.75|134.83|127.58|142.92|134.72|134.89|134.64|134.93|134.75|134.85|134.75|134.83|251.0|101.09|2761142|678548348 76581|DGCB|DGCB|25434V567|US25434V5672|Dimensional Global Credit ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN6-3|TXN11-4|TXN5-7|TXN5-3|1250000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|51.76|51.83|51.72|0.0|0.0|51.89|51.89|51.8203|51.89|0.0|51.89|0.0|51.97|51.89|51.8203|39.82|63.68|39.82|63.68|51.82|51.89|39.82|63.68|0.0|0.0|51.82|51.89|52.04|50.06|95365|1344601 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NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN5-7|TXN11-2|TXN5-7|TXN6-7|5580000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3030|303020|30302025|Financials|Insurance|Non-life Insurance|Property and Casualty Insurance|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|14.08|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|12.5|14.72|0.0|0.0|12.03|0.0|13.02|14.26|20.18|12.5|22|322751 1141|DGII|DGII|253798102|US2537981027|Digi International Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN5-2|TXN11-4|TXN6-1|TXN6-2|36110000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||15|1510|151010|15101010|Telecommunications|Telecommunications|Telecommunications Equipment|Telecommunications Equipment|N||N||||||Y|0|Y||||||23.93|23.96|0.0|23.97|23.95|23.95|23.94|23.97|0.0|0.0|23.97|23.89|23.95|0.0|0.0|23.98|23.94|23.94|0.0|23.95|23.7|23.97|18.29|29.1|23.74|23.97|23.88|24.02|23.9|24.03|23.93|23.96|42.95|21.25|228743|64324873 73505|DGIN|DGIN|92189H789|US92189H7897|VanEck ETF Trust|VanEck Digital India ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||VanEck Vectors|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-5|TXN1-8|TXN3-8|TXN4-7|TXN3-3|150000|||Yearly|||||2022-02-17||DGIN.NV|DGIN.SO|DGIN.EU|DGIN.TC|DGIN.IV| | | | | | | | | |1x|VanEck Digital India ETF (DGIN) seeks to track as closely as possible, before fees and expenses, the price and yield performance of the MVIS Digital India Index (MVDINDTR), which is intented to track the overall performance of companies involved in supporting the digitization of the Indian economy.|N|0|N|N|406C|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|34.54|34.6462|0.0|0.0|0.0|0.0|0.0|34.53|0.0|0.0|0.0|0.0|34.6399|0.0|34.6399|0.0|0.0|0.0|0.0|34.55|34.67|0.0|0.0|0.0|0.0|34.55|34.67|34.94|26.8801|2183|268780 25373|DGLY|DGLY|25382T200|US25382T2006|Digital Ally Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN5-2|TXN10-4|TXN6-6|TXN6-6|2800000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502020|50202020|Industrials|Industrial Goods and Services|Electronic and Electrical Equipment|Electronic Equipment: Control and Filter|N||N||||||N|0|Y||||||1.79|0.0|0.0|0.0|0.0|1.79|1.7909|0.0|0.0|0.0|0.0|0.0|1.79|0.0|0.0|0.0|0.0|1.79|0.0|1.79|1.71|1.91|0.0|0.0|1.7|1.88|1.49|2.29|0.0|0.0|1.79|1.81|5.88|0.2053|13870|22024177 27323|DGP|DGP|25154H749|US25154H7492|Deutsche Bank AG|DB Gold Double Long Exchange Traded Notes due February 15, 2038|Operating company|ETN|N|N|P|Y|Y|Y|Y|Y||||||||Deutsche Bank Securities |Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-8|TXN4-4|TXN4-2|TXN4-6|TXN2-4|1930000|||NotApplicable|||||2008-02-28|2038-02-15| |DGP.SO| | |DGP.IV| | | | | | | | | |2x|The PowerShares DB Gold ETNs provide investors with a cost-effective and convenient way to take a short or leveraged view on the performance of gold. All of the PowerShares DB Gold ETNs are based on a total return version of the Deutsche Bank Liquid Commodity Index-Optimum Yield Gold.|N|0|N|N|402A|GBR|DE|COMMODITIES_AND_FUTURES|LEVERAGED|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|8|Y||Y|2|||43.27|0.0|0.0|0.0|42.31|42.29|42.3101|41.39|0.0|0.0|42.29|0.0|42.36|0.0|0.0|0.0|0.0|42.4645|41.72|42.4645|40.07|44.84|42.07|43.23|42.3|42.66|42.3|42.66|42.31|43.23|39.61|42.66|46.43|34.56|7036|1130118 42448|DGRE|DGRE|97717W323|US97717W3236|WisdomTree Emerging Markets Quality Dividend Growth Fund|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN6-7|TXN12-3|TXN5-8|TXN5-8|4900000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||23.36|23.4|0.0|0.0|23.4|23.4|23.36|23.4|0.0|0.0|0.0|0.0|23.43|0.0|0.0|23.4|0.0|23.36|0.0|23.43|0.0|0.0|0.0|0.0|23.2|23.68|0.0|0.0|0.0|0.0|23.34|23.52|23.97|21.05|16538|4682631 44431|DGRO|DGRO|46434V621|US46434V6213|iShares Trust|iShares Core Dividend Growth ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-8|TXN1-2|TXN1-8|TXN4-4|TXN3-4|470050000|||Quarterly|||||2014-06-12||DGRO.NV|DGRO.SO|DGRO.EU|DGRO.TC|DGRO.IV| | | | | | | | | |1x|The iShares Core Dividend Growth ETF seeks to track the investment resutls of an index composed of U.S. equities with a history of consistently growing dividends.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||52.19|52.17|0.0|0.0|52.19|52.175|52.18|52.19|0.0|0.0|52.18|52.17|52.16|52.14|52.13|52.18|52.11|52.18|52.03|52.18|52.16|52.18|52.13|52.24|52.16|52.18|52.15|52.19|52.13|52.24|52.16|52.18|53.55|47.1901|2047343|408531327 42394|DGRS|DGRS|97717X651|US97717X6519|WisdomTree U.S. SmallCap Quality Dividend Growth Fund|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN6-8|TXN11-7|TXN5-3|TXN6-1|6470000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|44.16|0.0|0.0|0.0|0.0|0.0|44.22|0.0|0.0|0.0|0.0|44.16|0.0|44.22|0.0|0.0|44.17|44.3|44.21|44.27|44.16|44.31|44.17|44.31|44.21|44.27|46.89|38.462|20855|4840364 42074|DGRW|DGRW|97717X669|US97717X6691|WisdomTree U.S. Quality Dividend Growth Fund|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN5-4|TXN11-8|TXN6-2|TXN5-5|157950000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||67.8|67.78|0.0|0.0|67.79|67.795|67.78|67.75|0.0|0.0|67.78|67.8|67.77|67.69|67.8|67.705|67.8|67.78|0.0|67.77|67.77|67.8|67.68|67.86|67.77|67.8|67.76|67.81|67.68|67.82|67.77|67.79|68.6999|58.98|409327|134756043 26072|DGS|DGS|97717W281|US97717W2816|WisdomTree Trust|WisdomTree Emerging Markets SmallCap Dividend Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||WisdomTree|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-6|TXN3-5|TXN2-8|TXN4-2|TXN3-3|61400000|||Quarterly|||||2007-10-30||DGS.NV|DGS.SO|DGS.EU|DGS.TC|DGS.IV| | | | | | | | | |1x|WisdomTree Emerging Markets small cap Dividend Fund seeks investment results that correspond to the price and yield performance, before fees and expenses, of the WisdomTree Emerging Markets small cap Dividend Index. The WisdomTree Emerging Markets small cap Dividend Index is a fundamentally weighted index that measures the performance of primarily small cap stocks selected from the WisdomTree Emerging Markets Dividend Index. Companies included in the Index fall within the bottom 10% of total market capitalization of the WisdomTree Emerging Markets Dividend Index as of the annual index measurement date. Companies are weighted in the Index based on annual cash dividends paid.|N|0|N|N|406C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||0.0|47.62|0.0|0.0|0.0|47.62|47.795|47.935|0.0|0.0|47.62|47.59|47.8|47.71|0.0|0.0|0.0|47.78|0.0|47.78|45.62|50.33|44.92|50.81|47.78|47.8|45.62|50.33|0.0|0.0|47.78|47.8|49.98|43.73|102922|36747127 5774|DGT|DGT|78464A706|US78464A7063|SPDR Series Trust|SPDR Global Dow ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-7|TXN2-3|TXN3-7|TXN3-1|TXN2-7|1500464|||Quarterly|||||2008-11-06||DGT.NV|DGT.SO|DGT.EU|DGT.TC|DGT.IV| | | | | | | | | |1x|The SPDR Global Dow ETF, before expenses, seeks to closely match the returns and characteristics of the Global Dow Index. The Global Dow Index is made up of 150 constituents from around the world selected by an Averages Committee comprised of the managing editor of the Wall Street Journal, the head of Dow Jones Indexes research and the head of CME Group research. The 150 companies are selected not just based on size and reputation, but also on their promise of future growth. The Index has been designed to cover both developed and emerging countries. The Index is equal weighted and will be reset to equal weights annually each September.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|115.73|115.075|0.0|0.0|0.0|0.0|0.0|115.63|0.0|0.0|0.0|0.0|115.1361|0.0|115.1361|107.16|123.3|0.0|0.0|115.03|115.24|107.16|123.3|0.0|0.0|115.03|115.24|117.488|99.345|25287|1937154 5775|DGX|DGX|74834L100|US74834L1008|Quest Diagnostics Incorporated|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|I|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-5|TXN4-6|TXN7-8|TXN1-2|TXN1-8|112440000|||Quarterly|||||1996-12-17||||||| | | | | | | | | |||N|5|Y|Y|122A|USA|US|||20|2010|201020|20102020|Health Care |Health Care |Medical Equipment and Services|Medical Services|N||N||||||Y|0|Y||Y|1|||137.58|137.595|0.0|137.57|137.58|137.595|137.555|137.58|0.0|0.0|137.56|137.57|137.52|137.55|137.555|137.49|137.45|137.49|137.58|137.49|137.49|137.5|127.38|145.29|137.43|137.62|137.41|137.66|137.46|137.64|137.49|137.5|158.3356|119.59|871010|227238030 27324|DGZ|DGZ|25154H731|US25154H7310|Deutsche Bank AG|DB Gold Short Exchange Traded Notes due February 15, 2038|Operating company|ETN|N|N|P|Y|Y|Y|Y|Y||||||||Deutsche Bank Securities |Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-1|TXN1-7|TXN2-8|TXN3-1|TXN3-1|318054|||NotApplicable|||||2008-02-28|2038-02-15| |DGZ.SO| | |DGZ.IV| | | | | | | | | |-1x|The PowerShares DB Gold ETNs provide investors with a cost-effective and convenient way to take a short or leveraged view on the performance of gold. All of the PowerShares DB Gold ETNs are based on a total return version of the Deutsche Bank Liquid Commodity Index-Optimum Yield Gold.|N|0|N|N|402A|GBR|DE|COMMODITIES_AND_FUTURES|INVERSE|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|8|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|9.77|9.78|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.0|0.0|10.0|9.29|10.61|9.79|10.26|9.8|10.11|9.79|10.27|9.82|10.27|9.82|10.26|11.0484|9.35|151|299100 71666|DH|DH|24477E103|US24477E1038|Definitive Healthcare Corp|COM CL A USD0.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN6-7|TXN14-5|TXN5-6|TXN6-5|116330000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101010|10101020|Technology|Technology|Software and Computer Services|Consumer Digital Services |N||N||||||Y|0|Y||||||8.81|8.8|0.0|0.0|8.785|8.8|8.8|8.8|0.0|0.0|8.8|8.8|8.8|8.775|8.77|8.8|8.79|8.81|8.76|8.8|8.79|8.84|6.72|10.69|8.71|8.84|7.04|8.83|8.77|8.84|8.79|8.81|14.03|5.53|602926|181558743 73072|DHAC|DHAC|253893101|US2538931013|Digital Health Acquisition Corp|COM USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN6-5|TXN14-5|TXN6-2|TXN5-3|3580000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|12.52|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|12.05|13.76|0.0|0.0|0.0|0.0|12.5|12.97|14.49|10.5301|146|616556 72239|DHACU|DHACU|253893200|US2538932003|Digital Health Acquisition Corp|UNITS||R|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN6-8|TXN12-1|TXN6-2|TXN6-4|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|11.42|13.94|14.01|10.23|0|25399 73073|DHACW|DHACW|253893119|US2538931195|Digital Health Acquisition Corp|WRRTS||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-5|TXN5-3|TXN14-8|TXN5-7|TXN5-5|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0101|0.0199|0.1334|0.005|0|5369457 9238|DHC|DHC|25525P107|US25525P1075|Diversified Healthcare Trust|COM USD.01||P|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN5-1|TXN14-2|TXN6-4|TXN5-8|240450000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||35|3510|351020|35102010|Real Estate|Real Estate |Real Estate Investment Trusts|Health Care REITs|N||N||||||Y|0|Y||||||2.565|2.57|0.0|2.65|2.57|2.565|2.57|2.57|0.0|0.0|2.57|2.57|2.57|2.57|2.57|2.565|2.575|2.57|2.57|2.57|2.55|2.59|1.98|3.16|2.55|2.59|2.54|2.59|2.55|2.6|2.56|2.57|3.3|0.61|949810|699303082 70337|DHCA|DHCA|G2758T109|KYG2758T1094|DHC Acquisition Corp|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN6-6|TXN14-7|TXN5-3|TXN5-4|4570000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|10.7305|10.74|0.0|0.0|10.63|0.0|10.61|0.0|0.0|0.0|10.61|10.63|0.0|10.63|0.0|0.0|0.0|0.0|10.63|12.35|0.0|0.0|0.0|0.0|10.63|11.75|11.19|9.99|426087|15112447 69434|DHCAU|DHCAU|G2758T125|KYG2758T1250|DHC Acquisition Corp|UNITS||R|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN5-6|TXN12-2|TXN6-5|TXN6-4|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|7.74|13.41|0.0|0.0|9.67|12.44|7.74|13.41|0.0|0.0|9.67|11.61|11.185|9.78|0|226681 70338|DHCAW|DHCAW|G2758T117|KYG2758T1177|DHC Acquisition Corp|Wrrt||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-3|TXN6-2|TXN13-5|TXN6-8|TXN5-8|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0215|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0215|0.0|0.0215|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.01|0.0298|0.1568|0.0089|4700|2389169 40378|DHCNI|DHCNI|25525P206|US25525P2065|Diversified Healthcare Trust 5.625 Senior Notes due 2042|STRUCT PRODUCT||U|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN6-3|TXN10-3|TXN5-6|TXN5-5|14000000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||||||||||N||N||||||N|0|Y||||||0.0|15.09|0.0|15.0|0.0|15.09|15.04|15.095|0.0|0.0|15.095|15.1|15.2|0.0|0.0|15.15|0.0|15.19|0.0|15.19|0.0|0.0|0.0|0.0|14.83|15.71|0.0|0.0|0.0|0.0|15.13|15.4|15.8|10.21|14500|14289557 52526|DHCNL|DHCNL|25525P305|US25525P3055|Diversified Healthcare Trust 6.25 Senior Notes Due 2046|STRUCT PRODUCT||U|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN6-3|TXN11-3|TXN6-1|TXN5-2|10000000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||||||||||N||N||||||N|0|Y||||||15.17|15.04|0.0|0.0|0.0|15.1|15.1863|15.1|0.0|0.0|15.1|15.05|15.02|0.0|0.0|15.19|0.0|15.18|15.17|15.02|0.0|0.0|0.0|0.0|14.72|15.59|0.0|0.0|0.0|0.0|15.02|15.28|16.9199|11.03|60415|6309159 5777|DHF|DHF|09660L105|US09660L1052|BNY Mellon High Yield Strategies Fund|Common Stock|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN4-2|TXN2-8|TXN3-8|TXN2-2|72740000|||Monthly|||||1998-04-24||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||2.26|2.25|0.0|0.0|2.25|2.25|2.2579|2.25|0.0|0.0|2.25|2.25|2.25|0.0|0.0|2.26|2.245|2.25|0.0|2.26|2.24|2.26|1.76|2.79|2.24|2.26|2.22|2.29|2.24|2.26|2.24|2.26|2.39|2.06|585448|84696205 5778|DHI|DHI|23331A109|US23331A1097|D.R. Horton, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|C|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-2|TXN4-7|TXN9-7|TXN1-3|TXN1-7|333180000|||Quarterly|||||1995-12-14||||||| | | | | | | | | |||N|5|Y|Y|110A|USA|US|||40|4020|402020|40202010|Consumer Discretionary|Consumer Products and Services|Household Goods and Home Construction|Home Construction|N||N||||||Y|0|Y||Y|1|||130.57|130.49|0.0|130.46|130.48|130.47|130.47|130.475|0.0|115.07|130.46|130.57|130.47|130.51|130.58|130.49|130.63|130.48|130.6|130.49|130.48|130.49|121.88|138.56|130.41|130.55|130.41|130.58|130.39|130.59|130.48|130.49|132.2999|82.97|2153594|662783375 1145|DHIL|DHIL|25264R207|US25264R2076|Diamond Hill Investment Group Inc|CL A COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN6-8|TXN14-6|TXN6-7|TXN6-7|2880000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302020|30202010|Financials|Financial Services |Investment Banking and Brokerage Services |Asset Managers and Custodians|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|164.0|165.0001|0.0|0.0|0.0|0.0|0.0|165.1|0.0|0.0|0.0|0.0|165.0|0.0|165.1|159.53|169.73|0.0|0.0|160.69|168.81|164.05|198.0|0.0|0.0|164.05|165.37|193.2|145.86|10187|2943044 5780|DHR|DHR|235851102|US2358511028|Danaher Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|D|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN4-3|TXN9-3|TXN4-8|TXN2-1|738930000|||Quarterly|||||1969-12-10||||||| | | | | | | | | |||N|1|Y|Y|150A|USA|US|||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||Y|0|Y||Y|1|||222.0|222.01|0.0|222.03|222.08|222.01|222.08|222.025|0.0|0.0|222.23|222.03|222.11|222.06|222.11|222.13|222.07|222.11|222.05|222.13|221.99|222.01|207.97|236.59|221.88|222.13|221.88|222.18|222.0|222.08|221.99|222.01|281.535|182.09|2246858|680323466 16681|DHS|DHS|97717W208|US97717W2089|WisdomTree Trust|WisdomTree U.S. High Dividend Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||WisdomTree|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN2-3|TXN1-8|TXN4-6|TXN3-2|13500000|||Monthly|||||2007-10-11||DHS.NV|DHS.SO|DHS.EU|DHS.TC|DHS.IV| | | | | | | | | |1x|WisdomTree High Dividend Fund seeks investment results that closely correspond to the price and yield performance, before fees and expenses, of the WisdomTree Equity Income Index. Prior to January 20, 2009, the WisdomTree Equity Income Fund was named the WisdomTree High-Yielding Equity Fund. The WisdomTree Equity Income Index is a fundamentally weighted index that measures the performance of companies with high dividend yields selected from the WisdomTree Dividend Index. At the index measurement date, companies within the WisdomTree Dividend Index with market capitalizations of at least $200 million and average daily trading volumes of at least $200,000 for the prior three months are ranked by dividend yield. Securities ranking in the highest 30% by dividend yield are selected for inclusion. The index is dividend weighted annually to reflect the proportionate share of the aggregate cash dividends each component company is projected to pay in the coming year, based on the most recently declared dividend per share. The Index was established with a base value of 200 as of May 31, 2006. Prior to January 20, 2009, the WisdomTree Equity Income Index was named the WisdomTree High-Yielding Equity Index.|N|0|N|N|406C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||0.0|79.96|0.0|0.0|79.96|79.9|79.9699|79.92|0.0|0.0|79.91|79.89|79.96|79.95|77.96|78.569|79.95|79.91|0.0|79.91|79.79|80.12|79.85|80.05|79.92|79.95|79.82|80.06|79.83|80.06|79.93|79.95|89.61|73.4824|39715|18676292 5781|DHT|DHT|Y2065G121|MHY2065G1219|DHT Holdings, Inc.|Common stock|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|8|O|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-1|TXN1-2|TXN3-7|TXN1-8|TXN2-3|162650000|||Quarterly|||||2012-07-17||||||| | | | | | | | | |||N|0|N|Y|200A|BMU|MH|||50|5020|502060|50206030|Industrials|Industrial Goods and Services|Industrial Transportation|Marine Transportation|N||N||||||Y|0|Y||Y|2|||10.14|10.14|0.0|10.22|10.14|10.14|10.135|10.14|0.0|0.0|10.14|10.13|10.135|10.13|10.13|10.14|10.13|10.14|10.14|10.14|10.13|10.14|7.93|11.5|10.13|10.16|10.11|10.16|10.12|10.14|10.13|10.14|12.13|7.3|1944016|585044034 25093|DHX|DHX|23331S100|US23331S1006|DHI Group, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|O|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN2-5|TXN6-8|TXN2-4|TXN3-6|46820000|||NotApplicable|||||2007-07-18||||||| | | | | | | | | |||N|0|N|Y|104C|USA|US|||50|5020|502050|50205025|Industrials|Industrial Goods and Services|Industrial Support Services|Business Training and Employment Agencies|N||N||||||N|0|Y||Y|2|||2.72|2.69|0.0|2.66|2.67|2.71|2.7|2.71|0.0|0.0|2.71|2.68|2.72|2.68|0.0|2.71|0.0|2.71|2.71|2.71|2.7|2.73|2.09|3.31|2.67|2.76|2.68|2.75|2.67|2.76|2.7|2.73|6.31|1.97|75738|31081085 5782|DHY|DHY|22544F103|US22544F1030|Credit Suisse High Yield Bond Fund|Common Stock|Closed end fund|P|N|N|A|Y|Y|Y|Y|Y|||Brendan E. Cryan and Company, L.L.C.|CRYN|0235|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-6|TXN1-3|TXN2-8|TXN3-1|TXN3-5|103510000|||Monthly|||||2006-05-11||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||1.92|1.92|0.0|0.0|1.92|1.91|1.91|1.915|0.0|0.0|1.92|1.91|1.915|0.0|1.915|1.915|1.92|1.92|1.9|1.92|1.9|2.01|1.91|1.92|1.9|1.93|1.88|1.95|0.0|0.0|1.91|1.92|1.98|1.65|407444|103506473 5783|DIA|DIA|78467X109|US78467X1090|SPDR Dow Jones Industrial Average ETF Trust|Trust Units|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||PDR Services|IMC Chicago, LLC, DBA IMC Financial Markets|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-5|TXN1-5|TXN1-2|TXN3-3|TXN4-5|84642867|||Monthly|||||2008-11-07||DIA.NV|DIA.SO|DIA.EU|DIA.TC|DIA.IV| | | | | | | | | |1x|Dow Diamonds seeks to provide investment results that, before expenses, generally correspond to the price and yield performance of the Dow Jones Industrial Average (Ticker: DJITR). The Dow Jones Industrial Average is an index of 30 blue-chip U.S. stocks. At 100-plus years, it is the oldest continuing U.S. market index. It is called an average because it originally was computed by adding up stock prices and dividing by the number of stocks. (The very first average price of industrial stocks, on May 26, 1896, was 40.94.) The methodology remains the same today, but the divisor has been changed to preserve historical continuity. The DJIA is the best-known market indicator in the world, partly because it is old enough that many generations of investors have become accustomed to quoting it, and partly because the U.S. stock market is the globes biggest.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||362.79|362.62|0.0|361.8|362.62|362.64|362.65|362.62|0.0|0.0|362.6|362.6|362.68|362.62|362.64|362.6|362.64|362.64|362.29|362.64|362.63|362.89|362.66|362.69|362.66|362.68|362.13|363.25|362.4|363.0|362.66|362.68|363.25|314.97|4210952|798442975 59831|DIAL|DIAL|19761L508|US19761L5084|Columbia ETF Trust I|Columbia Diversified Fixed Income Allocation ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Columbia Management Investment Advisers|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN4-7|TXN3-8|TXN3-3|TXN4-6|22000000|||Monthly|||||2017-10-12||DIAL.NV|DIAL.SO|DIAL.EU|DIAL.TC|DIAL.IV| | | | | | | | | |1x|The Index reflects a multi-sector, strategic beta approach to measuring the performance of the debt market through representation of six sectors of the debt market in the Index, each focused on yield, quality, and liquidity of the particular eligible universe. The Index, and therefore the Fund, will have exposure to the following sectors of the debt market (% amount noted is the Indexs allocation to the particular sector): U.S. Treasury securities (xx%); global ex-U.S. treasury securities (xx%); U.S. agency mortgage backed securities (xx%); U.S. corporate investment grade bonds (xx%); U.S. corporate high yield bonds (xx%); and emerging markets sovereign and quasi-sovereign debt (xx%). The Indexs allocation to each of the six sectors is fixed and, as such, will not vary as a result of Index rebalancing or reconstitution, but may be changed by the Index Provider. The six sector index models, each as discussed below, will generate all of the component securities of the Index.|N|0|N|N|416A|USA|US|FIXED_INCOME|INDEX|||||||||N||N||||||N|0|Y||Y|1|||17.44|17.445|0.0|0.0|17.44|17.44|17.445|17.45|0.0|0.0|17.44|0.0|17.445|17.44|0.0|17.445|0.0|17.445|17.445|17.445|16.25|18.64|16.25|18.64|17.44|17.45|16.25|18.64|0.0|0.0|17.44|17.45|18.26|16.335|75424|38535538 49124|DIAX|DIAX|67075F105|US67075F1057|Nuveen Dow 30SM Dynamic Overwrite Fund|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN3-6|TXN4-8|TXN2-7|TXN3-1|36370000|||Quarterly|||||2014-12-22||||||| | | | | | | | | |||N|0|N|N|406B|USA|US|||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||13.94|13.95|0.0|13.95|13.95|13.945|13.96|13.94|0.0|0.0|13.945|13.96|13.96|13.95|0.0|13.97|13.95|13.96|13.94|13.97|13.95|13.97|10.84|17.15|13.94|14.89|13.92|13.98|13.95|13.99|13.95|13.99|16.6|12.8|135422|20332943 70827|DIBS|DIBS|320551104|US3205511047|1stDIBS.com Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN5-1|TXN13-7|TXN6-3|TXN6-3|39980000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101010|10101020|Technology|Technology|Software and Computer Services|Consumer Digital Services |N||N||||||Y|0|Y||||||0.0|4.34|0.0|0.0|4.32|4.325|4.32|4.31|0.0|0.0|4.34|4.3|4.31|0.0|4.29|4.29|0.0|4.3|0.0|4.31|4.24|4.42|3.38|5.31|4.24|4.4|4.28|4.34|4.27|4.35|4.29|4.32|6.63|3.445|78275|32681653 53236|DIEM|DIEM|35473P207|US35473P2074|Franklin Templeton ETF Trust|Franklin Emerging Market Core Dividend Tilt Index ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Franklin Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-8|TXN4-3|TXN1-5|TXN1-8|TXN4-6|500000|||Quarterly|||||2016-06-03||FLQE.NV|FLQE.SO|FLQE.EU|FLQE.TC|FLQE.IV| | | | | | | | | |1x|The Funds investment goal is to seek to provide investment results that closely correspond, before fees and expenses, to the performance of the LibertyQ Emerging Markets Index.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|23.97|0.0|0.0|0.0|23.9|0.0|0.0|0.0|0.0|0.0|0.0|23.7142|0.0|23.7142|0.0|0.0|0.0|0.0|23.68|23.74|0.0|0.0|0.0|0.0|23.68|23.74|25.2299|22.195|345|360211 18912|DIG|DIG|74347G705|US74347G7051|ProShares Trust|ProShares Ultra Energy|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ProShares Advisors |Pundion LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-7|TXN3-7|TXN8-5|TXN1-5|TXN2-1|2902944|||Quarterly|||||2008-11-12||DIG.NV|DIG.SO|DIG.EU|DIG.TC|DIG.IV| | | | | | | | | |2x|ProShares Ultra Oil & Gas seeks daily investment results, before fees and expenses, that correspond to twice (200%) the daily performance of the Dow Jones U.S. Oil & Gas Index. This ETF seeks a return of 200% of the return of an index (target) for a single day. Due to the compounding of daily returns, returns over periods other than one day will likely differ in amount and possibly direction from the target return for the same period. Investors should monitor their ProShares holdings consistent with their strategies, as frequently as daily. For more on correlation, leverage and other risks, please read the prospectus. The Dow Jones U.S. Oil & Gas Index measures the performance of the energy sector of the U.S. equity market. Component companies include oil drilling equipment and services, coal, oil companies-major, oil companies-secondary, pipelines, liquid, solid or gaseous fossil fuel producers and service companies. It is not possible to invest directly in an index.|N|0|N|N|416A|USA|US|EQUITY|LEVERAGED|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||0.0|37.27|0.0|0.0|0.0|37.27|37.2063|37.485|0.0|0.0|37.23|0.0|37.25|0.0|0.0|36.44|0.0|37.2701|0.0|37.2701|37.09|37.42|28.67|45.8|37.22|37.26|35.71|39.26|0.0|0.0|37.2|37.27|47.47|30.609|39294|22805686 73745|DIHP|DIHP|25434V765|US25434V7652|Dimensional International High Profitability ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-7|TXN4-1|TXN8-4|TXN4-4|TXN4-2|62100000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||24.54|24.55|0.0|0.0|24.54|24.555|24.545|24.55|0.0|0.0|24.555|24.55|24.545|24.549|24.555|24.529|0.0|24.55|0.0|24.55|24.52|24.6|24.45|24.6|24.52|24.55|24.44|24.6|24.45|24.6|24.52|26.31|25.2301|21.81|247712|78069249 16680|DIM|DIM|97717W778|US97717W7781|WisdomTree Trust|WisdomTree International MidCap Dividend Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||WisdomTree|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-3|TXN4-2|TXN2-8|TXN1-7|TXN1-2|2350000|||Quarterly|||||2007-10-11||DIM.NV|DIM.SO|DIM.EU|DIM.TC|DIM.IV| | | | | | | | | |1x|WisdomTree International MidCap Dividend Fund seeks investment results that closely correspond to the price and yield performance, before fees and expenses, of the WisdomTree International MidCap Dividend Index. The WisdomTree International MidCap Dividend Index is a fundamentally weighted index that measures the performance of the mid-capitalization segment of the dividend-paying market in the industrialized world outside the U.S. and Canada. The Index is comprised of the companies that compose the top 75% of the market capitalization of the WisdomTree DEFA Index after the 300 largest companies have been removed. Companies are weighted in the Index based on annual cash dividends paid. The Index, established with a base value of 200 on May 31, 2006, is calculated in US dollars and is updated every 15 seconds between 9:30 a.m. and 4:00 p.m. to reflect market prices and exchange rates. Closing or last-sale prices are used when non-U.S. markets are closed.|N|0|N|N|406C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|58.41|0.0|0.0|0.0|0.0|58.0901|58.37|0.0|0.0|0.0|0.0|58.3|0.0|0.0|0.0|0.0|58.2|0.0|58.2|0.0|0.0|0.0|0.0|58.19|58.26|58.1|58.25|58.1|58.25|58.19|58.26|61.05|52.87|4000|1814493 6997|DIN|DIN|254423106|US2544231069|Dine Brands Global, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|C|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN1-5|TXN6-8|TXN3-8|TXN2-2|15440000|||Quarterly|||||1999-09-17||||||| | | | | | | | | |||N|0|N|Y|128B|USA|US|||40|4050|405010|40501040|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Restaurants and Bars|N||N||||||Y|0|Y||Y|2|||46.13|46.17|0.0|46.15|46.17|46.17|46.15|46.27|0.0|0.0|46.21|46.32|46.17|45.995|46.29|46.2|43.77|46.15|46.84|46.2|46.16|46.2|36.64|56.79|46.08|46.3|46.08|46.26|46.16|46.3|46.16|46.2|82.43|42.0|197822|58005835 6835|DINO|DINO|403949100|US4039491000|HF Sinclair Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|A|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-5|TXN3-5|TXN9-8|TXN4-5|TXN2-5|219500000|||Quarterly|||||2004-04-26||||||| | | | | | | | | |||N|0|Y|Y|134C|USA|US|||60|6010|601010|60101020|Energy|Energy|Oil, Gas and Coal|Oil Refining and Marketing|N||N||||||Y|0|Y||Y|1|||54.39|54.395|0.0|53.98|54.36|54.365|54.36|54.36|0.0|0.0|54.39|54.4|54.365|54.37|54.4|54.37|54.33|54.38|54.36|54.37|54.36|54.37|51.03|57.37|54.31|54.44|54.35|54.41|54.35|54.44|54.36|54.37|62.2|37.115|2663215|523097073 60733|DINT|DINT|23908L405|US23908L4059|Davis Fundamental ETF Trust-Davis Select International ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-1|TXN1-8|TXN8-8|TXN1-8|TXN4-1|8550000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|17.9784|0.0|0.0|0.0|0.0|17.9932|18.1|0.0|0.0|0.0|0.0|18.01|18.23|0.0|0.0|0.0|17.9784|0.0|17.9784|16.81|19.35|0.0|0.0|17.94|18.14|16.81|19.35|0.0|0.0|17.94|18.01|20.3|16.75|41610|4529831 1153|DIOD|DIOD|254543101|US2545431015|Diodes Inc|COM USD.66||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN5-1|TXN11-6|TXN5-3|TXN5-1|45940000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101020|10102010|Technology|Technology|Technology Hardware and Equipment|Semiconductors|N||N||||||Y|0|Y||||||69.41|69.445|0.0|69.05|69.44|69.44|69.43|69.48|0.0|0.0|69.48|0.0|69.41|69.22|67.99|68.735|0.0|69.43|69.04|69.41|69.25|69.57|52.24|84.53|69.25|69.57|69.3|69.52|69.25|69.59|69.38|69.44|97.45|60.0|302092|59203887 75012|DIP|DIP|26922B634|US26922B6341|ETF Series Solutions|BTD Capital Fund|Trust|ETF|N|N|N|Y|Y|Y|Y|Y|5|J|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN4-5|TXN6-8|TXN2-5|TXN1-7|140000|||Monthly|||||2023-05-01||||||| | | | | | | | | |||N|0|N|N|416A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|24.48207|25.19|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|25.2019|0.0|25.19|0.0|25.2019|25.04|25.34|0.0|0.0|25.19|25.21|0.0|0.0|0.0|0.0|25.19|25.21|30.35|22.67|48|422091 5788|DIS|DIS|254687106|US2546871060|The Walt Disney Company|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|P|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-2|TXN1-8|TXN2-8|TXN2-2|TXN2-6|1830320000|||BiAnnually|||||1957-11-12||||||| | | | | | | | | |||Y|1|Y|Y|144D|USA|US|||40|4030|403010|40301010|Consumer Discretionary|Media|Media|Entertainment|N||N||||||Y|0|Y||Y|1|||92.01|92.01|0.0|92.04|92.01|92.01|92.01|92.01|0.0|0.0|92.01|92.01|92.015|92.01|92.1|92.01|92.01|92.01|92.06|92.01|92.01|92.02|86.25|97.78|91.99|92.04|91.97|92.06|91.96|92.06|92.01|92.02|118.18|78.7309|12602805|3064631872 70634|DISA|DISA|G2770Y102|KYG2770Y1026|Disruptive Acquisition Corp I|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN5-6|TXN12-5|TXN5-3|TXN5-6|1710000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|10.65|10.65|0.0|0.0|0.0|0.0|10.65|0.0|0.0|0.0|0.0|10.65|0.0|10.65|0.0|0.0|0.0|0.0|10.0|11.35|0.0|0.0|0.0|0.0|10.65|10.66|13.2|9.99|19994|6661139 69917|DISAU|DISAU|G2770Y110|KYG2770Y1109|Disruptive Acquisition Corp I|UNITS||R|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN6-3|TXN13-4|TXN5-3|TXN6-7|27500000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|8.48|14.05|0.0|0.0|8.48|14.05|8.48|14.05|0.0|0.0|10.6|11.71|12.17|9.7|0|240989 70635|DISAW|DISAW|G2770Y128|KYG2770Y1281|Disruptive Acquisition Corp I|Wrrt||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-3|TXN5-5|TXN13-7|TXN6-4|TXN5-3|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0252|0.0499|0.1247|0.0075|0|2705516 1156|DISH|DISH|25470M109|US25470M1099|DISH Network Corp|CL A COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN5-3|TXN14-4|TXN6-7|TXN5-8|295960000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||USA||||15|1510|151020|15102010|Telecommunications|Telecommunications|Telecommunications Service Providers |Cable Television Services|N||N||||||Y|0|Y||||||3.92|3.92|0.0|3.91|3.92|3.915|3.92|3.915|0.0|0.0|3.92|3.92|3.92|3.92|3.92|3.91|3.915|3.92|3.91|3.92|3.9|3.93|3.68|4.14|3.9|3.93|3.89|4.12|3.88|3.93|3.92|3.93|16.45|3.21|7973166|2263046560 76219|DISO|DISO|88634T444|US88634T4444|Tidal Trust II|YieldMax DIS Option Income Strategy ETF|Trust|ETS|N|N|P|Y|Y|Y|Y|Y||||||||Tidal ETF Services |Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-1|TXN1-2|TXN9-8|TXN2-1|TXN2-1|250000|||Monthly|||||2023-08-25||DISO.NV|DISO.SO|DISO.EU|DISO.TC| | | | | | | | | | |1x|the Fund uses a synthetic covered call strategy to provide income and exposure to the share price returns of DIS, subject to a limit on potential investment gains as a result of the nature of the options strategy it employs.|N|0|N|N|416A|USA|US|HYBRID|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||20.79|20.98|0.0|0.0|0.0|20.95|20.9221|20.93|0.0|0.0|20.945|21.31|20.92|20.929|0.0|0.0|0.0|20.99|0.0|20.99|0.0|0.0|0.0|0.0|20.82|20.99|0.0|0.0|0.0|0.0|20.9|22.05|21.71|19.29|19310|720426 75528|DIST|DIST|G27740110|KYG277401108|Distoken Acquisition Corp|ORD||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN5-2|TXN14-3|TXN6-5|TXN5-2|6430000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.61|0.0|0.0|0.0|0.0|10.6|0.0|10.6|0.0|0.0|0.0|0.0|9.9|11.31|0.0|0.0|0.0|0.0|10.6|10.61|11.17|10.15|917|4662403 75529|DISTR|DISTR|G27740136||Distoken Acquisition Corporation Right|||D|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-3|TXN6-4|TXN12-7|TXN6-8|TXN6-4|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||50|5020|502040|50204000|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Industrial|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.1201|0.17|0.4902|0.1|0|3044425 75530|DISTW|DISTW|G27740102|KYG277401025|Distoken Acquisition Corp|WT EXP 113027||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-8|TXN5-6|TXN10-4|TXN6-2|TXN5-3|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0112|0.02|0.37|0.0055|1|2485615 73746|DISV|DISV|25434V781|US25434V7819|Dimensional International Small Cap Value ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-1|TXN1-4|TXN1-8|TXN4-2|TXN4-6|58150000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||24.69|24.69|0.0|0.0|24.7|24.68|24.68|24.67|0.0|0.0|24.68|0.0|24.68|24.68|24.68|24.68|0.0|24.69|0.0|24.69|24.67|24.7|23.16|26.44|24.67|24.7|23.16|26.44|0.0|0.0|24.67|24.69|25.54|21.66|223738|58435196 5789|DIT|DIT|02341Q205|US02341Q2057|AMCON Distributing Company|Common Stock|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|10|TXN10-6|TXN2-8|TXN6-8|TXN3-2|TXN2-1|630000|||Quarterly|||||1999-12-31||||||| | | | | | | | | |||N|0|N|N|146G|USA|US|||45|4520|452010|45201010|Consumer Staples |Personal Care, Drug and Grocery Stores |Personal Care, Drug and Grocery Stores |Food Retailers and Wholesalers |N||N||||||N|0|Y||Y|2|||187.22|0.0|0.0|0.0|0.0|176.0|179.98|179.96|0.0|0.0|188.0|0.0|0.0|178.96|0.0|0.0|179.97|179.97|0.0|179.97|0.0|0.0|168.02|179.97|164.02|190.72|0.0|0.0|0.0|0.0|168.02|179.97|249.99|154.04|378|218519 41606|DIV|DIV|37950E291|US37950E2919|Global X Funds|Global X SuperDividend U.S. ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Global X|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-6|TXN1-7|TXN6-6|TXN1-7|TXN4-5|36050000|||Monthly|||||2013-03-12||DIV.NV|DIV.SO|DIV.EU|DIV.TC|DIV.IV| | | | | | | | | |1x|The Underlying Index tracks the performance of 50 equally weighted common stocks, MLPs and REITs that rank among the highest dividend yielding equity securities in the United States, as defined by INDXX, LLC. The components of the Underlying Index have paid dividends consistently over the last two years. The Underlying Index is comprised of securities that INDXX, LLC determines to have lower relative volatility, as measured by the beta of each security relative to the market benchmark.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||0.0|16.75|0.0|0.0|16.76|16.76|16.765|16.74|0.0|0.0|16.76|16.75|16.755|16.62|16.74|16.75|16.76|16.76|0.0|16.76|16.72|16.8|16.7|16.81|16.75|16.76|16.7|16.8|16.7|16.8|16.75|16.76|19.72|15.32|138898|40167184 60066|DIVB|DIVB|46435U861|US46435U8615|iShares Core Dividend ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-6|TXN4-1|TXN8-6|TXN4-2|TXN1-3|6750000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||39.22|39.15|0.0|0.0|39.15|39.1|39.17|38.22|0.0|0.0|38.26|0.0|39.17|38.39|0.0|0.0|0.0|39.15|0.0|39.15|39.14|39.24|36.4|41.51|39.14|39.17|39.09|39.24|39.07|39.24|39.14|39.17|40.095|35.29|19464|10732448 74699|DIVD|DIVD|02072L656|US02072L6561|Altrius Global Dividend ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN5-2|TXN14-2|TXN6-2|TXN6-6|220000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|30.3514|0.0|0.0|0.0|0.0|0.0|0.0|30.3514|0.0|0.0|0.0|0.0|30.27|30.43|0.0|0.0|0.0|0.0|30.27|30.43|31.1325|27.6567|1|440078 53235|DIVI|DIVI|35473P108|US35473P1084|Franklin Templeton ETF Trust|Franklin International Core Dividend Tilt Index ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Franklin Advisors|RBC Capital Markets, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-5|TXN2-8|TXN6-8|TXN3-3|TXN3-7|17400000|||Quarterly|||||2016-06-03||FLQH.NV|FLQH.SO|FLQH.EU|FLQH.TC|FLQH.IV| | | | | | | | | |1x|The Funds investment goal is to seek to provide investment results that closely correspond, before fees and expenses, to the performance of the LibertyQ International Equity Hedged Index.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||29.38|29.4|0.0|0.0|29.44|29.37|29.425|29.35|0.0|0.0|29.37|0.0|29.41|29.38|29.38|0.0|0.0|29.41|0.0|29.41|27.57|31.29|27.57|31.29|29.41|29.43|27.57|31.29|28.71|30.06|29.41|29.43|30.61|26.34|131863|27620555 76154|DIVL|DIVL|557441508|US5574415080|Madison ETFs Trust|Madison Dividend Value ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Tidal ETF Services |GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-4|TXN3-5|TXN8-8|TXN3-1|TXN3-3|3375000|||Monthly|||||2023-08-15||DIVL.NV|DIVL.SO|DIVL.EU|DIVL.TC| | | | | | | | | | ||The Fund seeks to achieve its investment objective by investing in equity securities of companies with a market capitalization of over $1 billion and a history of paying dividends, with the ability to increase dividends over time. 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Investment decisions for the Fund are made by Sound Income Strategies, LLC, the Funds sub-adviser. In making investment decisions for the Fund, the Sub-Adviser conducts a fundamental, bottom-up analysis on individual securities, focusing on companies with sound economic foundations, as demonstrated by indicators such as: generally positive cash flows, favorable profitability ratios and manageable leverage ratios.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|24.272|0.0|0.0|0.0|0.0|24.9804|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|24.9611|0.0|24.9611|0.0|0.0|24.82|25.08|24.84|25.1|0.0|0.0|0.0|0.0|24.84|25.1|27.535|20.47|2201|580063 68922|DIVZ|DIVZ|53656F474|US53656F4744|Listed Funds Trust|TrueShares Low Volatility Equity Income ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||TrueMark Investments|Latour Trading, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-6|TXN1-4|TXN6-8|TXN2-6|TXN4-7|2260000|||Quarterly|||||2021-01-28||DIVZ.NV|DIVZ.SO|DIVZ.EU|DIVZ.TC| | | | | | | | | | ||TrueShares Low Volatility Equity Income ETF is an actively managed excahnge traded fund (ETF) that seeks to achieve its invesmtent objective by purchasing 25-35 stocks of companies that pay dividends and expect to grow the dividends over time and are trading at attractive valuations at the time of the investment sub-adviser, Titleist Asset Management, Ltd. (the Sub-Adviser), believes dividend paying companies tend to be more established businesses with high cash flow, stable revenue streams, and more disciplined capital reinvestment programs which may, in turn experience lower volatility relative to the overall equity market.|N|0|N|N|412C|USA||EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|27.52|27.4301|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|27.37|27.3882|0.0|27.3882|27.33|27.44|27.37|27.4|27.37|27.39|27.04|27.64|0.0|0.0|27.37|27.39|30.0|25.42|6718|2864630 68812|DJAN|DJAN|33740F631|US33740F6319|FT Cboe Vest US Equity Deep Buffer ETF - January|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-7|TXN4-5|TXN2-8|TXN4-6|TXN2-8|5500000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|34.0111|0.0|0.0|0.0|0.0|33.99|0.0|0.0|0.0|0.0|0.0|34.02|0.0|0.0|0.0|34.02|34.0111|0.0|34.0111|27.16|40.82|33.91|34.05|33.97|34.06|33.97|34.1|33.97|34.1|33.97|40.82|34.08|29.87|10849|10657348 64891|DJCB|DJCB|90269A450|US90269A4500|UBS AG|ETRACS Bloomberg Commodity Index Total Return ETN Series B due October 31, 2039|Operating company|ETN|N|N|P|Y|Y|Y|Y|Y||||||||UBS|IMC Chicago, LLC, DBA IMC Financial Markets|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-8|TXN3-2|TXN8-8|TXN3-3|TXN1-5|2100000|||NotApplicable|||||2019-10-25|2039-10-31|DJCB.NV|DJCB.SO|DJCB.EC|DJCB.TC|DJCB.IV| | | | | | | | | |1x|The ETRACS Bloomberg Commodity Index Total Return ETN Series B due October 31, 2039 (the Securities) provide exposure to potential price appreciation in the Bloomberg Commodity Index Total Return (the Index). The Securities are senior unsecured debt securities issued by UBS AG (UBS). |N|0|N|N|416A||CH|COMMODITIES_AND_FUTURES|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|20.75|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|20.1685|0.0|20.1685|19.71|20.65|19.72|20.65|19.76|20.57|19.71|20.66|19.92|20.65|19.92|20.41|22.65|18.39|81|206563 1159|DJCO|DJCO|233912104|US2339121046|Daily Journal Corp|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN5-6|TXN14-7|TXN5-2|TXN6-5|1380000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4030|403010|40301030|Consumer Discretionary|Media|Media|Publishing|N||N||||||N|0|Y||||||0.0|331.25|0.0|0.0|0.0|331.0|331.2006|330.85|0.0|0.0|0.0|0.0|332.8|330.0|0.0|0.0|0.0|331.0|0.0|332.8|316.75|344.15|0.0|0.0|318.15|342.44|328.96|0.0|0.0|0.0|328.96|333.0|336.9|250.0|5099|572752 52173|DJD|DJD|46137V605|US46137V6056|Invesco Exchange-Traded Fund Trust|Invesco Dow Jones Industrial Average Dividend ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Invesco|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-5|TXN2-1|TXN9-8|TXN4-6|TXN1-7|7070000|||Quarterly|||||2018-04-09||DJD.NV|DJD.SO|DJD.EU|DJD.EU|DJD.IV| | | | | | | | | |1x|The Guggenheim Dow Jones Industrial Average Dividend ETF (DJD) seeks investment results that correspond generally to the performance, before the funds fees and expenses, of the Dow Jones Industrial Average Yield Weighted index. The Dow Jones Industrial Average Yield Weighted index is designed to provide increased exposure to higher yielding companies included in the Dow Jones Industrial Average (DJIA), which is a price-weighted index of 30 U.S. blue-chip companies that meet certain size, listing, and liquidity requirements. The DJIA Yield Weighted index is calculated using a yield-weighted methodology that weights all securities of the DJIA by their twelve-month dividend yield. |N|0|N|N|406C|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|1|||0.0|43.88|0.0|0.0|42.52|43.9|43.89|43.75|0.0|0.0|43.87|0.0|43.88|43.82|0.0|0.0|0.0|43.88|0.0|43.88|43.85|43.88|43.63|44.07|43.85|43.88|43.63|44.08|43.63|44.08|43.85|43.88|46.0|39.7883|18450|10792256 73545|DJIA|DJIA|37960A859|US37960A8595|Global X Funds|Global X Dow 30 Covered Call ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Global X|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-3|TXN1-5|TXN1-5|TXN2-4|TXN3-4|3800000|||Monthly|||||2022-02-24||DJIA.NV|DJIA.SO|DJIA.EU|DJIA.TC|DJIA.IV| | | | | | | | | |1x|The Global X Dow 30 Covered Call ETF (Fund) seeks to provide investment results that correspond generally to the price and yield performance, before fees and expenses, of the DJIA Cboe BuyWrite v2 Index (Underlying Index).|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||21.67|21.67|0.0|0.0|0.0|21.67|21.615|21.645|0.0|0.0|0.0|21.6|21.61|21.669|21.62|0.0|21.65|21.67|0.0|21.67|16.4|26.54|16.4|26.54|21.56|21.67|16.4|26.54|0.0|0.0|21.54|21.69|22.602|20.64|98706|8386886 16916|DJP|DJP|06738C778|US06738C7781|Barclays Bank PLC|iPath Bloomberg Commodity Index Total Return ETN due 6/12/2036|Operating company|ETN|N|N|P|Y|Y|Y|Y|Y||||||||Barclays Bank Plc|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-8|TXN3-6|TXN1-6|TXN3-5|TXN2-7|18582991|||NotApplicable|||||2007-12-31|2036-06-12|DJPRD.NV|DJP.SO| | |DJP.IV| | | | | | | | | |1x|The iPath Dow Jones-UBS Commodity Index Total Return ETN is linked to the Dow Jones-UBS Commodity Index Total Return and reflects the returns that are potentially available through an unleveraged investment in the futures contracts on physical commodities comprising the index plus the rate of interest that could be earned on cash collateral invested in specified Treasury Bills. The commodities represented in the Dow Jones-UBS Commodity Index Total Return are rebalanced annually; however, the weightings fluctuate between rebalancings due to changes in market prices. |N|0|N|N|402A|GBR|US|COMMODITIES_AND_FUTURES|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||30.86|30.89|0.0|0.0|31.25|30.82|30.82|30.79|0.0|0.0|30.82|30.83|30.83|30.83|30.83|0.0|30.93|30.8|0.0|30.8|29.42|32.44|30.8|30.88|30.8|30.85|30.79|30.86|30.79|30.88|30.8|30.85|34.6|29.15|83500|31463541 67018|DJUL|DJUL|33740F698|US33740F6988|Ft Cboe Vest U.S. Equity Deep Buffer ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-7|TXN1-3|TXN2-8|TXN1-1|TXN2-3|12930000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||35.36|35.39|0.0|0.0|35.38|35.37|35.395|35.37|0.0|0.0|35.37|0.0|35.36|35.35|35.34|35.36|0.0|35.39|35.36|35.39|35.38|43.42|27.31|43.42|35.38|35.48|35.33|35.5|35.33|35.5|35.38|35.43|35.57|30.54|24619|19673049 66795|DJUN|DJUN|33740F714|US33740F7143|First Trust Exchange-Traded Fund VIII - FT Cboe Vest U.S. Equity Deep Buffer ETF - June|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-7|TXN1-3|TXN6-8|TXN2-4|TXN4-1|5130000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||36.89|36.9313|0.0|0.0|36.91|0.0|36.8909|0.0|0.0|0.0|0.0|0.0|0.0|36.89|0.0|0.0|0.0|36.9313|36.89|36.9313|28.35|45.48|28.35|45.48|36.89|36.98|28.35|37.02|36.85|37.02|36.89|36.98|37.09|31.995|9557|7767239 16443|DK|DK|24665A103|US24665A1034|Delek US Holdings, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|M|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN2-1|TXN4-7|TXN4-5|TXN2-4|63930000|||Quarterly|||||2017-07-03||||||| | | | | | | | | |||N|0|N|Y|134C|USA|US|||60|6010|601010|60101020|Energy|Energy|Oil, Gas and Coal|Oil Refining and Marketing|N||N||||||Y|0|Y||Y|2|||27.55|27.53|0.0|27.82|27.55|27.55|27.545|27.55|0.0|0.0|27.56|27.58|27.545|27.54|27.55|27.54|27.52|27.53|27.59|27.54|27.53|27.54|21.25|33.9|27.51|27.63|27.5|27.59|27.51|27.59|27.53|27.54|31.215|19.39|885359|333746859 40927|DKL|DKL|24664T103|US24664T1034|Delek Logistics Partners, LP|Common units representing limited partner interests|Limited partnership|A|N|N|N|Y|Y|Y|Y|Y|8|J|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN3-5|TXN2-8|TXN4-3|TXN4-3|43600000|||Quarterly|||||2012-11-02||||||| | | | | | | | | |||N|0|N|N|134C|USA|US|||60|6010|601010|60101035|Energy|Energy|Oil, Gas and Coal|Pipelines|N||N||||||N|0|Y||Y|2|||50.93|52.01|0.0|52.08|49.11|52.1|52.02|52.0|0.0|0.0|53.0|0.0|52.21|52.0|52.02|52.22|0.0|52.21|52.01|52.22|52.08|52.22|40.17|64.55|48.42|55.45|51.46|52.74|52.09|52.92|52.09|52.92|58.81|36.5|36643|12850625 63978|DKNG|DKNG|26142V105|US26142V1052|DraftKings Inc|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN5-4|TXN10-6|TXN6-5|TXN6-1|466240000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||USA||||40|4050|405010|40501020|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Casinos and Gambling|N||N||||||Y|0|Y||||||37.19|37.2|0.0|37.25|37.195|37.21|37.21|37.2|0.0|0.0|37.21|37.2|37.19|37.21|37.25|37.215|37.22|37.21|37.22|37.19|37.17|37.23|34.77|39.24|37.2|37.21|37.16|37.25|0.0|37.26|37.2|37.21|39.35|10.6936|17674321|2878898672 75045|DKRB|DKRB|81752T569|US81752T5699|Subversive Decarbonization ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-8|TXN2-2|TXN6-8|TXN4-7|TXN3-3|30000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|25.7713|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|25.7713|0.0|25.7713|0.0|0.0|0.0|0.0|24.94|26.57|0.0|0.0|0.0|0.0|25.45|26.08|28.0602|20.6918|79|119754 5809|DKS|DKS|253393102|US2533931026|Dick's Sporting Goods, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|C|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-7|TXN1-3|TXN9-8|TXN4-5|TXN3-1|58170000|||Quarterly|||||2002-10-16||||||| | | | | | | | | |||N|0|Y|Y|144C|USA|US|||40|4040|404010|40401030|Consumer Discretionary|Retail |Retailers |Specialty Retailers |N||N||||||Y|0|Y||Y|1|||141.13|141.175|0.0|140.86|141.09|141.14|141.165|141.14|0.0|0.0|141.17|141.09|141.16|141.15|141.23|141.15|141.17|141.17|141.18|141.15|141.17|141.18|132.39|150.71|140.57|141.8|140.98|141.28|140.97|141.29|141.17|141.18|152.6081|100.98|2109461|352575914 5817|DLA|DLA|247368103|US2473681037|Delta Apparel, Inc.|Common Stock Par Value $.01|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Brendan E. Cryan and Company, L.L.C.|CRYN|0235|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-1|TXN4-2|TXN1-5|TXN2-8|TXN4-4|7010000|||NotApplicable|||||2000-06-30||||||| | | | | | | | | |||N|0|N|N|180A|USA|US|||40|4020|402040|40204020|Consumer Discretionary|Consumer Products and Services|Personal Goods|Clothing and Accessories|N||N||||||N|0|Y||Y|2|||0.0|9.16|0.0|0.0|9.01|9.135|9.0828|9.16|0.0|0.0|8.82|0.0|9.16|0.0|0.0|8.49|9.05|9.05|0.0|9.05|8.81|9.44|9.07|9.19|8.89|9.38|7.03|11.31|0.0|0.0|9.07|9.19|14.51|6.45|19721|7133718 5818|DLB|DLB|25659T107|US25659T1079|Dolby Laboratories, Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN2-3|TXN9-7|TXN4-1|TXN2-1|59190000|||Quarterly|||||2005-02-17||||||| | | | | | | | | |||N|0|Y|Y|114D|USA|US|||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||Y|1|||87.87|87.87|0.0|87.89|87.89|87.885|87.885|87.9|0.0|0.0|87.89|87.58|87.9|87.59|87.71|87.87|87.01|87.89|86.79|87.87|87.86|87.89|81.95|92.43|87.43|88.41|83.43|87.96|87.86|87.96|87.86|87.89|91.015|67.44|291264|99629494 4120|DLHC|DLHC|23335Q100|US23335Q1004|DLH Holdings Corp|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN6-6|TXN11-2|TXN6-8|TXN6-2|13900000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502050|50205020|Industrials|Industrial Goods and Services|Industrial Support Services|Professional Business Support Services|N||N||||||Y|0|Y||||||14.49|14.88|0.0|0.0|0.0|0.0|14.9|14.825|0.0|0.0|0.0|0.0|14.78|14.5|0.0|0.0|0.0|14.88|14.48|14.78|14.18|15.28|0.0|0.0|14.28|15.27|11.6|17.1|0.0|0.0|14.65|14.9|15.42|9.0101|21851|5971776 16686|DLN|DLN|97717W307|US97717W3079|WisdomTree Trust|WisdomTree U.S. LargeCap Dividend Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||WisdomTree|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-1|TXN1-8|TXN8-2|TXN4-3|TXN4-3|55600000|||Monthly|||||2007-11-28||DLN.NV|DLN.SO|DLN.EU|DLN.TC|DLN.IV| | | | | | | | | |1x|WisdomTree LargeCap Dividend Fund seeks investment results that closely correspond to the price and yield performance, before fees and expenses, of the WisdomTree LargeCap Dividend Index. The WisdomTree LargeCap Dividend Index is a fundamentally weighted index that measures the performance of the large-capitalization segment of the U.S. dividend-paying market. The Index is comprised of the 300 largest companies ranked by market capitalization from the WisdomTree Dividend Index. The index is dividend weighted annually to reflect the proportionate share of the aggregate cash dividends each component company is projected to pay in the coming year, based on the most recently declared dividend per share. The Index was established with a base value of 200 as of May 31, 2006.|N|0|N|N|406C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||64.181|64.26|0.0|0.0|64.22|64.22|64.24|64.27|0.0|0.0|64.265|64.26|64.265|64.18|64.16|64.27|64.26|64.25|0.0|64.25|64.14|64.4|59.87|68.23|64.24|64.26|64.18|64.31|64.18|64.31|64.24|64.26|65.815|58.7088|165719|39313730 43109|DLNG|DLNG|Y2188B108|MHY2188B1083|Dynagas LNG Partners LP|Common Units|Limited partnership|A|N|Y|N|Y|Y|Y|Y|Y|5|Q|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN3-8|TXN8-8|TXN2-6|TXN1-5|36800000|||Quarterly|||||2014-12-30||||||| | | | | | | | | |||N|0|N|N|208A|GRC|MH|||50|5020|502060|50206030|Industrials|Industrial Goods and Services|Industrial Transportation|Marine Transportation|N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|2.705|2.7301|2.74|0.0|0.0|2.61|0.0|2.75|0.0|0.0|2.71|0.0|2.7301|0.0|2.71|2.71|2.75|2.65|2.69|2.55|2.93|2.09|3.26|0.0|0.0|2.71|2.75|3.25|2.08|22694|7967372 50384|DLNG PRA|DLNGpA|Y2188B116|MHY2188B1166|Dynagas LNG Partners LP|9.00% Series A Cumulative Redeemable Preferred Units, liquidation preference $25.00 per Unit|Limited partnership|B|N|Y|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN4-8|TXN3-8|TXN1-4|TXN3-3|3000000|||Quarterly|||||2015-07-27||||||| | | | | | | | | |||N|0|N|N|208A|GRC|MH|||50|5020|502060|50206030|Industrials|Industrial Goods and Services|Industrial Transportation|Marine Transportation|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|23.69|23.7761|0.0|0.0|0.0|0.0|0.0|23.7|0.0|0.0|23.7761|23.69|23.7761|0.0|23.7761|23.52|24.1|23.72|23.8|21.97|25.43|0.0|0.0|0.0|0.0|23.6|24.1|24.9|20.37|4822|1321710 62097|DLNG PRB|DLNGpB|Y2188B124|MHY2188B1240|Dynagas LNG Partners LP|8.75% Series B Fixed to Floating Rate Cumulative Redeemable Perpetual Preferred Units|Limited partnership|B|N|Y|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN4-5|TXN3-8|TXN1-8|TXN2-2|2200000|||Quarterly|||||2018-10-26||||||| | | | | | | | | |||N|0|N|N|208A|GRC|MH|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|24.65|24.68|24.445|0.0|0.0|0.0|24.5|0.0|0.0|24.083125|24.68|24.7|24.68|0.0|24.68|24.65|24.72|24.65|24.71|23.08|26.44|0.0|0.0|0.0|0.0|24.65|24.72|25.15|21.5101|3208|897671 70774|DLO|DLO|G29018101|KYG290181018|DLocal Ltd|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN6-5|TXN14-1|TXN5-8|TXN5-2|293800000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||URY||||50|5020|502050|50205015|Industrials|Industrial Goods and Services|Industrial Support Services|Transaction Processing Services|N||N||||||Y|0|Y||||||16.95|16.91|0.0|17.11|16.95|16.97|16.9|16.905|0.0|0.0|16.95|16.97|16.91|16.94|16.81|16.97|16.91|16.9|16.97|16.91|16.87|16.95|13.07|20.65|16.88|16.95|16.86|16.97|16.86|16.98|16.9|16.91|24.2168|9.04|887734|385297841 60344|DLPN|DLPN|25686H209|US25686H2094|Dolphin Entertainment Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN6-8|TXN12-4|TXN5-7|TXN5-8|18140000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4030|403010|40301020|Consumer Discretionary|Media|Media|Media Agencies|N||N||||||Y|0|Y||||||0.0|1.66|0.0|0.0|1.62|1.66|1.62|0.0|0.0|0.0|1.6|0.0|1.63|0.0|0.0|0.0|0.0|1.62|0.0|1.62|1.52|1.76|0.0|0.0|1.61|1.69|1.27|1.98|0.0|0.0|1.62|1.67|2.82|1.37|24129|7751744 5823|DLR|DLR|253868103|US2538681030|Digital Realty Trust, Inc.|Common Stock|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|5|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-2|TXN4-8|TXN5-7|TXN2-3|TXN4-2|302850000|||Quarterly|||||2004-10-29||||||| | | | | | | | | |||N|5|Y|Y|412A|USA|US|||35|3510|351020|35102070|Real Estate|Real Estate |Real Estate Investment Trusts|Other Specialty REITs|N||N||||||Y|0|Y||Y|1|||137.91|137.79|0.0|137.75|137.79|137.79|137.8|137.79|0.0|0.0|137.77|137.75|137.79|137.99|137.77|137.77|137.96|137.77|137.75|137.77|137.78|137.79|128.57|146.65|137.73|137.95|137.7|137.87|137.68|137.89|137.78|137.79|139.35|86.33|2163806|560050654 59387|DLR PRJ|DLRpJ|253868855|US2538688555|Digital Realty Trust, Inc.|5.250% Series J Cumulative Redeemable Preferred Stock|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|6|H|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN1-7|TXN4-8|TXN4-7|TXN4-6|8000000|||Quarterly|||||2017-08-15||||||| | | | | | | | | |||N|0|N|N|412A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|21.98|0.0|0.0|21.39|21.98|21.977|21.83|0.0|0.0|0.0|0.0|22.0|0.0|0.0|21.96|0.0|21.98|0.0|21.96|21.96|22.09|0.0|0.0|21.46|22.44|0.0|0.0|0.0|0.0|21.96|22.09|24.13|19.06|47157|3491821 63252|DLR PRK|DLRpK|253868830|US2538688308|Digital Realty Trust, Inc.|5.850% Series K Cumulative Redeemable Preferred Stock|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|6|H|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN2-5|TXN6-8|TXN2-4|TXN2-5|8400000|||Quarterly|||||2019-03-18||||||| | | | | | | | | |||N|0|N|N|412A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||23.89|0.0|0.0|0.0|23.69|24.29|24.2465|24.38|0.0|0.0|24.2|0.0|24.21|0.0|0.0|24.15|0.0|24.22|21.995|24.15|24.15|24.3|0.0|0.0|23.72|24.89|0.0|0.0|0.0|0.0|24.15|24.3|25.71|21.4|9932|5487040 64843|DLR PRL|DLRpL|253868822|US2538688225|Digital Realty Trust, Inc.|5.200% Series L Cumulative Redeemable Preferred Stock|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|6|H|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN1-8|TXN4-8|TXN3-1|TXN2-3|13800000|||Quarterly|||||2019-10-14||||||| | | | | | | | | |||N|0|N|N|412A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|21.84|0.0|0.0|22.05|21.86|21.89|22.04|0.0|0.0|21.85|22.06|21.95|22.03|0.0|21.89|0.0|21.89|0.0|21.89|21.84|21.95|0.0|0.0|21.4|22.39|0.0|0.0|0.0|0.0|21.84|21.95|23.99|19.01|23170|5563053 16674|DLS|DLS|97717W760|US97717W7609|WisdomTree Trust|WisdomTree International SmallCap Dividend Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||WisdomTree|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-7|TXN3-2|TXN9-8|TXN3-8|TXN4-8|17600000|||Quarterly|||||2007-10-11||DLS.NV|DLS.SO|DLS.EU|DLS.TC|DLS.IV| | | | | | | | | |1x|WisdomTree International small cap Dividend Fund seeks investment results that closely correspond to the price and yield performance, before fees and expenses, of the WisdomTree International small cap Dividend Index. The WisdomTree International small cap Dividend Index is a fundamentally weighted index that measures the performance of the small capitalization segment of the dividend-paying market in the industrialized world outside the U.S. and Canada. The Index is comprised of the companies that compose the bottom 25% of the market capitalization of the WisdomTree DEFA Index after the 300 largest companies have been removed. Companies are weighted in the Index based on annual cash dividends paid. The Index, established with a base value of 200 on May 31, 2006, is calculated in US dollars and is updated every 15 seconds between 9:30 a.m. and 4:00 p.m. to reflect market prices and exchange rates. Closing or last-sale prices are used when non-U.S. markets are closed.|N|0|N|N|406C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||59.838|59.78|0.0|0.0|59.76|59.87|59.855|60.375|0.0|0.0|59.78|0.0|59.88|59.73|0.0|0.0|0.0|59.855|0.0|59.855|57.0|62.96|56.15|63.68|59.82|59.89|57.0|63.03|0.0|0.0|59.82|59.91|64.12|53.7785|33744|12255906 52028|DLTH|DLTH|26443V101|US26443V1017|Duluth Holdings Inc|CL B COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN5-3|TXN13-1|TXN6-6|TXN6-4|31210000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4040|404010|40401020|Consumer Discretionary|Retail |Retailers |Apparel Retailers|N||N||||||Y|0|Y||||||0.0|5.02|0.0|0.0|5.01|5.02|5.02|5.03|0.0|0.0|5.06|5.05|5.02|5.19|5.27|5.04|5.05|5.02|0.0|5.02|4.92|5.14|3.9|6.25|4.94|5.12|4.98|5.1|4.97|5.1|5.02|5.06|7.88|4.65|168284|24746050 1166|DLTR|DLTR|256746108|US2567461080|Dollar Tree Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN6-4|TXN14-5|TXN5-8|TXN6-8|217870000|||NotApplicable|||||||||||| | | | | | | | | |||N|5|Y|N||USA||||40|4040|404010|40401010|Consumer Discretionary|Retail |Retailers |Diversified Retailers|N||N||||||Y|0|Y||||||128.18|128.22|0.0|128.21|128.19|128.22|128.19|128.19|0.0|0.0|128.2|128.23|128.22|128.28|128.23|128.205|128.25|128.19|128.3|128.22|128.09|128.29|119.03|136.07|128.14|128.23|128.06|128.31|128.05|128.23|128.19|128.21|161.1|102.77|2441201|524355526 5827|DLX|DLX|248019101|US2480191012|Deluxe Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|O|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN1-5|TXN3-8|TXN1-2|TXN3-6|43690000|||Quarterly|||||1980-04-25||||||| | | | | | | | | |||N|0|N|Y|104B|USA|US|||50|5020|502050|50205030|Industrials|Industrial Goods and Services|Industrial Support Services|Forms and Bulk Printing Services|N||N||||||N|0|Y||Y|2|||19.15|19.15|0.0|19.18|19.17|19.15|19.175|19.16|0.0|0.0|19.15|18.63|19.155|19.18|19.2|19.17|18.67|19.17|19.16|19.17|19.17|19.18|14.42|23.53|19.11|19.2|19.12|19.19|19.11|19.2|19.17|19.18|21.59|13.6081|217108|51045773 65660|DLY|DLY|25862D105|US25862D1054|DoubleLine Yield Opportunities Fund|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN3-6|TXN9-8|TXN3-6|TXN4-1|47950000|||Monthly|||||2020-02-26||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||14.52|14.52|0.0|14.55|14.51|14.515|14.51|14.55|0.0|0.0|14.58|14.59|14.52|14.52|14.55|14.51|14.58|14.51|0.0|14.51|14.51|14.54|11.27|17.82|13.68|15.62|14.48|14.55|14.5|14.53|14.51|14.54|15.3|13.12|291889|38801337 63544|DM|DM|25058X105|US25058X1054|Desktop Metal, Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN2-8|TXN4-8|TXN7-5|TXN2-7|TXN4-3|324740000|||NotApplicable|||||2019-05-03||||||| | | | | | | | | |||N|0|N|Y|408A|USA|US|||50|5020|502040|50204050|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: 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Investments|N||N||||||N|0|Y||Y|2|||6.17|6.05|0.0|0.0|6.06|6.05|6.03|6.02|0.0|0.0|6.02|0.0|6.04|0.0|0.0|6.05|6.15|6.03|0.0|6.05|6.03|6.08|6.05|6.15|6.03|6.48|6.0|6.12|0.0|0.0|6.03|6.08|8.77|4.78|47629|11414694 59779|DMAC|DMAC|25253X207|CA25253X2077|DiaMedica Therapeutics Inc|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN6-5|TXN11-2|TXN6-7|TXN5-4|37950000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||2.63|2.65|0.0|0.0|2.66|2.66|2.68|2.68|0.0|0.0|2.6|2.6|2.66|0.0|0.0|0.0|0.0|2.68|0.0|2.66|2.52|2.76|2.58|2.74|2.53|2.75|2.01|3.27|2.57|2.74|2.64|2.68|4.75|1.27|27185|18375550 72736|DMAQ|DMAQ|243733102|US2437331026|Deep Medicine Acquisition Corp|COM CL A USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN5-8|TXN10-4|TXN5-1|TXN6-1|4360000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|11.55|0.0|0.0|0.0|0.0|11.55|0.0|0.0|0.0|0.0|0.0|0.0|11.55|0.0|11.55|0.0|0.0|0.0|0.0|10.74|12.0|0.0|0.0|0.0|0.0|11.5|11.57|19.91|10.16|277|2379734 72737|DMAQR|DMAQR|243733110||Deep Medicine Acquisition Corp. Rights|||D|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-8|TXN5-4|TXN10-7|TXN6-8|TXN6-6|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||50|5020|502040|50204000|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Industrial|N||N||||||N|0|Y|D|||||0.0|0.3199|0.0|0.0|0.0|0.3258|0.35|0.0|0.0|0.0|0.3016|0.3|0.3199|0.0|0.3|0.3|0.0|0.3016|0.0|0.3016|0.2316|0.384|0.2316|0.384|0.2316|0.384|0.2316|0.384|0.0|0.0|0.2895|0.32|0.44|0.05|44912|10674384 69838|DMAR|DMAR|33740F615|US33740F6152|FT CBOE Vest US Equity Deep Buffer ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN4-8|TXN5-8|TXN4-6|TXN2-6|5880000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||33.38|33.4195|0.0|0.0|33.38|33.38|33.3867|0.0|0.0|0.0|0.0|0.0|0.0|33.38|0.0|0.0|0.0|33.4195|33.38|33.4195|31.7|35.11|33.37|33.42|33.37|33.46|33.37|33.5|33.34|33.5|33.37|33.47|33.4594|29.9937|10850|15342381 73324|DMAT|DMAT|37960A867|US37960A8678|Global X Disruptive Materials ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN6-1|TXN14-2|TXN6-6|TXN5-3|540000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|14.1006|0.0|0.0|0.0|0.0|0.0|14.06|0.0|0.0|0.0|0.0|14.1006|0.0|14.06|0.0|0.0|0.0|0.0|13.95|14.28|0.0|0.0|0.0|0.0|14.06|14.15|24.4|13.78|1342|920781 66467|DMAY|DMAY|33740F730|US33740F7309|Ft Cboe Vest U.S. Equity Deep Buffer ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-3|TXN3-6|TXN7-8|TXN4-7|TXN4-1|5500000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|35.3499|0.0|0.0|35.37|35.28|35.3499|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|35.3499|0.0|35.3499|35.29|35.37|35.28|35.35|35.3|35.39|35.26|35.44|35.26|35.44|35.3|35.39|35.48|30.91|5702|10329014 41886|DMB|DMB|09662W109|US09662W1099|BNY Mellon Municipal Bond Infrastructure Fund, Inc.|Common Stock|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN1-4|TXN4-8|TXN3-4|TXN2-2|18410000|||Monthly|||||2013-04-26||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||10.07|10.08|0.0|0.0|10.09|10.08|10.089|10.08|0.0|0.0|10.08|10.01|10.08|10.08|0.0|10.07|0.0|10.07|0.0|10.07|10.07|10.1|7.74|12.31|10.07|10.71|10.04|10.12|10.07|10.09|10.07|10.1|11.79|8.94|61358|12946848 75568|DMBS|DMBS|25861R402|US25861R4020|DoubleLine ETF Trust|DoubleLine Mortgage ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||DoubleLine|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN3-6|TXN9-8|TXN3-5|TXN1-5|3360001|||Monthly|||||2023-04-04||DMBS.NV|DMBS.SO|DMBS.EU|DMBS.TC|DMBS.IV| | | | | | | | | ||The DoubleLine Mortgage ETFs investment objective is to seek total return (capital appreciation and current income) which exceeds the total return of its benchmark index over a full market cycle. The Fund invests primarily in high quality residential mortgage-backed securities (RMBS), actively allocating between government-backed Agency MBS and non-Agency MBS. Interest rate, credit and prepayment risks are actively managed with the goal of providing enhanced risk-adjusted returns through various interest rate and economic environments.|N|0|N|N|416A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||47.86|47.8|0.0|0.0|47.86|47.84|47.88|0.0|0.0|0.0|47.8|0.0|47.9|47.86|0.0|0.0|47.8|47.8922|47.86|47.8922|47.86|47.91|47.8|47.91|47.87|47.91|47.87|47.91|0.0|0.0|47.87|47.91|50.5948|45.27|18343|4426436 70052|DMCY|DMCY|00774Q148|US00774Q1489|The Advisors Inner Circle Fund III|Democracy International Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||SEI Investments|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-1|TXN2-3|TXN8-8|TXN4-2|TXN3-3|300000|||Quarterly|||||2021-04-01||DMCY.NV|DMCY.SO|DMCY.EU|DMCY.TC| | | | | | | | | | |1x|The Fund uses a passive management (or indexing) approach in seeking to achieve its investment objective. The Index construction process begins with the universe ofcompanies that are current members of the Solactive GBS Global Markets ex United States Large & Mid Cap USD Index (market cap weighted, international equities) (theSolactive Index). The Solactive Index consists of over 2,400 individual companies representing 52 countries. Democracy Investments Index Provider LLC (the IndexProvider) assigns a country of risk to each company in the Solactive Index universe based on the country of risk assigned to each such company by Bloomberg L.P. Acompanys country of risk designation is based on a number of criteria, including the country in which the company is domiciled, the primary stock exchange on which thecompanys shares trade, the location from which the majority of the companys revenues are generated, and the companys reporting currency.|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||23.82|0.0|0.0|0.0|23.82|23.76|23.765|23.82|0.0|0.0|0.0|0.0|0.0|23.82|0.0|0.0|0.0|23.7381|0.0|23.7381|0.0|0.0|0.0|0.0|23.7|23.77|0.0|0.0|0.0|0.0|23.7|23.77|25.96|21.511|5039|253231 62474|DMDV|DMDV|26922A347|US26922A3471|ETF Series Solutions|AAM S&P Developed Markets High Dividend Value ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Advisors Asset Management|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-3|TXN4-6|TXN4-8|TXN1-8|TXN1-2|90000|||Monthly|||||2018-11-28||DMDV.NV|DMDV.SO|DMDV.EU|DMDV.TC|DMDV.IV| | | | | | | | | |1x|The AAM S&P Developed Markets High Dividend Value ETF (the Fund) seeks to track the total return performance, before fees and expenses, of the S&P Developed Ex-U.S. Dividend and Free Cash Flow Yield Index (the Index). The Index is designed to provide exposure to a subset of the constituents of the BMI Index. The BMI Index is a comprehensive benchmark including stocks from developed markets excluding the United States. The BMI Index includes equity securities that are listed in Australia, Austria, Belgium, Canada, Denmark, Finland, France, Germany, Hong Kong, Ireland, Israel, Italy, Japan, Luxembourg, the Netherlands, New Zealand, Norway, Portugal, Singapore, Spain, Sweden, Switzerland, and the United Kingdom (collectively, the Developed ex-U.S. Markets).|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|21.3732|21.030666|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|21.7514|0.0|21.7514|0.0|0.0|0.0|0.0|21.7|21.8|0.0|0.0|0.0|0.0|21.7|21.8|23.01|19.7862|365|40481 5831|DMF|DMF|05589T104|US05589T1043|BNY Mellon Municipal Income Inc.|Common Stock|Closed end fund|P|N|N|A|Y|Y|Y|Y|Y|||Brendan E. Cryan and Company, L.L.C.|CRYN|0235|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-3|TXN2-5|TXN3-8|TXN1-8|TXN3-8|20750000|||Monthly|||||1988-10-21||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||6.36|6.32|0.0|0.0|6.32|6.325|6.32|6.34|0.0|0.0|6.36|0.0|6.325|6.36|6.29|6.32|6.32|6.32|6.34|6.32|6.19|6.35|6.32|6.35|6.13|6.35|4.92|7.8|0.0|0.0|6.32|6.35|6.76|5.37|91377|12151854 829|DMK|DMK|00547W307|US00547W3079|DMK Pharmaceuticals Corp|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-7|TXN6-8|TXN10-2|TXN6-3|TXN6-1|10100000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103015|Health Care |Health Care |Pharmaceuticals and Biotechnology|Pharmaceuticals |N||N||||||N|0|Y||||||0.61|0.6093|0.0|0.0|0.6199|0.6188|0.6186|0.609|0.0|0.0|0.6175|0.6188|0.6199|0.0|0.0|0.60965|0.0|0.6199|0.0|0.6199|0.57|0.651|0.4875|0.7198|0.57|0.645|0.5877|0.6413|0.5886|0.6413|0.6101|0.62|1.5|0.4505|270556|77238251 1171|DMLP|DMLP|25820R105|US25820R1059|Dorchester Minerals LP|LP DEP UNTS NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN5-8|TXN10-4|TXN6-4|TXN6-4|39580000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||60|6010|601010|60101010|Energy|Energy|Oil, Gas and Coal|Oil: Crude Producers|N||N||||||N|0|Y||||||0.0|28.94|0.0|28.89|28.86|28.865|28.9|28.9|0.0|0.0|28.94|28.94|28.9|28.78|0.0|28.9|0.0|28.94|0.0|28.9|28.34|29.28|22.33|35.42|28.78|29.0|28.73|34.62|28.78|29.06|28.78|28.96|33.18|26.5|59355|20846975 32334|DMO|DMO|95790B109|US95790B1098|Western Asset Mortgage Opportunity Fund Inc.|Common Stock|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN2-5|TXN5-8|TXN4-7|TXN2-5|11330000|||Monthly|||||2010-02-24||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||0.0|10.69|0.0|0.0|10.69|10.675|10.7|10.7|0.0|0.0|10.65|0.0|10.69|10.74|0.0|10.68|0.0|10.7|0.0|10.68|10.68|10.7|8.3|13.19|9.99|11.41|8.3|13.19|0.0|0.0|10.68|10.7|11.66|10.0|60938|11041195 29155|DMRC|DMRC|25381B101|US25381B1017|Digimarc Corp|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN5-3|TXN11-2|TXN5-4|TXN5-6|20360000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||||||33.55|33.7|0.0|33.74|33.715|33.66|33.72|33.725|0.0|0.0|33.53|33.62|33.77|0.0|33.53|33.7|0.0|33.725|0.0|33.77|33.09|34.37|26.22|41.74|33.17|34.3|33.56|33.92|33.64|33.77|33.68|33.77|38.3461|16.1305|97861|23943002 59346|DMTK|DMTK|24984K105|US24984K1051|DermTech Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN5-5|TXN13-4|TXN6-1|TXN5-2|34240000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201020|20102020|Health Care |Health Care |Medical Equipment and Services|Medical Services|N||N||||||Y|0|Y||||||0.0|1.53|0.0|0.0|1.54|1.51|1.53|1.52|0.0|0.0|1.52|1.52|1.52|1.539|0.0|1.51|0.0|1.53|0.0|1.52|1.48|1.57|1.18|1.87|1.48|1.57|1.5|1.55|1.49|1.56|1.51|1.53|6.44|1.12|112504|99083274 66760|DMXF|DMXF|46436E759|US46436E7590|iShares ESG Advanced MSCI EAFE ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN6-4|TXN12-2|TXN6-6|TXN5-8|8700000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||60.98|60.94|0.0|0.0|60.79|60.94|61.12|0.0|0.0|0.0|0.0|0.0|61.02|60.79|60.81|60.875|0.0|61.12|0.0|61.02|0.0|0.0|0.0|0.0|60.87|61.13|0.0|0.0|0.0|0.0|61.02|61.13|62.66|53.7001|22740|6372137 74937|DMYY|DMYY|233276104|US2332761046|dMY Squared Technology Group, Inc.|Class A Common Stock|Special purpose acquisition company|A|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-4|TXN1-2|TXN7-8|TXN1-5|TXN3-5|6320000|||NotApplicable|||||2022-11-21||||||| | | | | | | | | |||N|0|N|N|400A|USA|US|||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|10.56|0.0|0.0|0.0|0.0|10.5501|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.56|10.56|0.0|10.56|0.0|0.0|10.55|10.56|10.5|10.6|0.0|0.0|0.0|0.0|10.55|10.56|10.85|9.93|5722|2475408 74938|DMYY WS|DMYY.WS|233276112|US2332761129|dMY Squared Technology Group, Inc.|Redeemable Warrants, each whole warrant exercisable for one share of Class A common stock at an exercise price of $11.50 per share|Special purpose acquisition company|C|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN11-3|TXN2-3|TXN9-8|TXN2-3|TXN1-2|0|||NotApplicable|||||2022-11-21||||||| | | | | | | | | |||N|0|N|N|400A|USA|US|||||||||||N||N||||||N|0|Y|C|N||||0.0673|0.0676|0.0|0.0|0.0|0.0677|0.0677|0.0673|0.0|0.0|0.0673|0.0677|0.0|0.0|0.0|0.0|0.0677|0.0677|0.0673|0.0677|0.0|0.0|0.062|0.1097|0.035|0.0673|0.0|0.0|0.0|0.0|0.06|0.115|0.99|0.05|44682|1303508 74698|DMYY U|DMYY.U|233276203|US2332762036|dMY Squared Technology Group, Inc.|Units, each consisting of one share of Class A common stock and one-half of one redeemable warrant|Special purpose acquisition company|R|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-8|TXN3-7|TXN6-8|TXN3-3|TXN4-5|0|||NotApplicable|||||2022-09-30||||||| | | | | | | | | |||N|0|N|N|400A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.54|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.54|10.54|0.0|10.54|10.54|22.67|10.51|11.61|10.52|11.61|0.0|0.0|0.0|0.0|10.54|22.67|11.105|10.0|100|169209 71718|DNA|DNA|37611X100|US37611X1000|Ginkgo Bioworks Holdings, Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|T|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-4|TXN4-8|TXN6-5|TXN2-3|TXN2-1|1619440000|||NotApplicable|||||2021-09-17||||||| | | | | | | | | |||N|0|Y|Y|140A|USA|US|||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||Y|1|||1.41|1.41|0.0|1.41|1.4|1.405|1.41|1.405|0.0|0.0|1.405|1.4|1.405|1.4|1.405|1.4|1.405|1.41|1.4|1.4|1.4|1.41|1.31|1.48|1.4|1.41|1.37|1.44|1.39|1.41|1.4|1.41|2.545|1.12|22862414|4809723068 71719|DNA WS|DNA.WS|37611X118|US37611X1182|Ginkgo Bioworks Holdings, Inc.|Warrants, each whole warrant exercisable to purchase one share of Class A Common Stock at an exercise price of $11.50 per share|Operating company|C|N|N|N|Y|Y|Y|Y|Y|6|T|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN5-8|TXN1-7|TXN7-8|TXN1-6|TXN3-5|1972730000|||NotApplicable|||||2021-09-17|2026-09-16|||||| | | | | | | | | |||N|0|N|N|140A|USA|US|||||||||||N||N||||||N|0|Y|C|N||||0.11|0.0|0.0|0.0|0.0|0.1115|0.11145|0.0|0.0|0.0|0.11|0.11|0.1129|0.0|0.0|0.11|0.0|0.11|0.0|0.11|0.104|0.11|0.0|0.0|0.1013|0.1173|0.0|0.0|0.0|0.0|0.1093|0.15|0.4|0.087555|22558|15249094 66869|DNB|DNB|26484T106|US26484T1060|Dun & Bradstreet Holdings, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|D|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-7|TXN3-2|TXN9-5|TXN1-8|TXN4-3|438960000|||Quarterly|||||2020-07-01||||||| | | | | | | | | |||N|0|Y|Y|104B|USA|US|||10|1010|101010|10101010|Technology|Technology|Software and Computer Services|Computer Services|N||N||||||Y|0|Y||Y|1|||10.82|10.83|0.0|10.88|10.83|10.83|10.825|10.825|0.0|0.0|10.83|10.82|10.83|10.82|10.82|10.83|10.81|10.83|10.83|10.83|10.82|10.83|10.08|11.5|10.82|10.84|10.79|10.85|10.78|10.86|10.82|10.83|15.45|8.68|3550519|607245261 16671|DNL|DNL|97717W844|US97717W8441|WisdomTree Trust|WisdomTree Global ex-US Quality Dividend Growth Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||WisdomTree|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-8|TXN3-5|TXN7-8|TXN4-8|TXN2-1|16900000|||Quarterly|||||2007-10-10||DNL.NV|DNL.SO|DNL.EU|DNL.TC|DNL.IV| | | | | | | | | |1x|WisdomTreeGlobal ex-U.S. Quality Dividend Growth Fund seeks investment results that closely correspond to the price and yield performance, before fees and expenses, of the WisdomTree World ex-US Growth Index. Prior to June 19, 2009, the WisdomTree World ex-US Growth Fund was named the WisdomTree Japan Equity Income Fund. The WisdomTree World ex-US Growth Index is a fundamentally weighted index that measures the performance of growth companies in the developed and emerging markets outside of the United States. The index consists of dividend paying companies that pass WisdomTrees market capitalization, liquidity, and other requirements. WisdomTree creates a growth score for each company based on the companys earnings per share, sales per share, book value per share and price per share. The top 30% of companies with the highest growth scores within the 1000 largest companies by market capitalization are included in the Index. Companies are weighted in the Index annually based on annual cash dividends paid.|N|0|N|N|406C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||35.4|35.39|0.0|0.0|35.39|35.37|35.37|35.38|0.0|0.0|35.32|0.0|35.36|35.37|0.0|35.37|0.0|35.39|0.0|35.39|32.94|37.82|32.94|37.82|35.35|35.39|32.94|37.82|0.0|0.0|35.35|35.39|36.7989|31.77|133197|17826591 60265|DNLI|DNLI|24823R105|US24823R1059|Denali Therapeutics Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN6-5|TXN12-8|TXN6-3|TXN6-4|138200000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||18.73|18.775|0.0|18.72|18.78|18.775|18.78|18.775|0.0|0.0|18.77|18.77|18.77|18.78|18.67|18.8|18.78|18.78|18.68|18.77|18.6|18.81|14.21|22.63|18.63|18.83|15.12|18.82|0.0|18.83|18.75|18.78|33.31|15.45|746996|171691690 66554|DNMR|DNMR|236272100|US2362721001|Danimer Scientific, Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN4-6|TXN8-8|TXN3-8|TXN3-2|102040000|||NotApplicable|||||2020-05-28||||||| | | | | | | | | |||N|0|N|Y|408A|USA|US|||50|5020|502030|50203015|Industrials|Industrial Goods and Services|General Industrials|Plastics|N||N||||||Y|0|Y||Y|2|||1.15|1.155|0.0|0.0|1.15|1.15|1.15|1.155|0.0|0.0|1.155|1.14|1.155|1.15|1.155|1.16|1.155|1.15|1.15|1.16|1.15|1.16|0.896|1.34|1.13|1.16|1.12|1.19|1.14|1.16|1.15|1.16|4.59|0.871|1119359|260909742 24375|DNN|DNN|248356107|CA2483561072|Denison Mines Corp|Common Stock|Operating company|A|N|Y|A|Y|Y|Y|Y|Y|||J. Streicher & Co. L.L.C.|JSCO|3856|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-4|TXN2-8|TXN1-8|TXN1-3|TXN2-3|888610000|||Adhoc|||||2007-04-19||||||| | | | | | | | | |||N|0|N|N|130E|CAN|CA|||55|5510|551020|55102050|Basic Materials|Basic Resources|Industrial Metals and Mining|Nonferrous Metals|N||N||||||Y|0|Y||Y|2|||1.84|1.85|0.0|1.86|1.84|1.845|1.8471|1.85|0.0|0.0|1.85|1.85|1.845|1.85|1.86|1.85|1.86|1.86|1.855|1.86|1.84|1.86|1.84|1.85|1.84|1.85|1.82|1.88|1.83|1.86|1.84|1.85|1.89|0.922|9776673|1375440465 65063|DNOV|DNOV|33740F839|US33740F8398|FT Cboe Vest US Equity Deep Buffer ETF -November|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-5|TXN2-3|TXN1-5|TXN2-4|TXN3-8|7080000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||37.68|37.7181|0.0|37.74|37.68|37.7|37.6771|37.71|0.0|0.0|37.73|37.73|37.65|37.68|0.0|37.71|37.72|37.7181|37.74|37.7181|29.08|46.8|29.08|37.79|37.66|37.75|37.65|46.8|37.65|37.79|37.69|37.75|37.89|32.35|36824|9491105 44287|DNOW|DNOW|67011P100|US67011P1003|NOW Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|O|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-6|TXN1-5|TXN2-4|TXN4-2|TXN3-1|106330000|||NotApplicable|||||2014-05-20||||||| | | | | | | | | |||N|0|N|Y|134F|USA|US|||60|6010|601010|60101030|Energy|Energy|Oil, Gas and Coal|Oil Equipment and Services|N||N||||||Y|0|Y||Y|2|||10.56|10.55|0.0|10.44|10.56|10.55|10.55|10.555|0.0|0.0|10.55|10.55|10.55|10.575|10.55|10.56|10.55|10.55|10.55|10.56|10.55|10.56|8.02|12.75|10.53|10.58|10.52|10.59|10.52|10.59|10.55|10.56|14.86|8.83|907638|160922911 5842|DNP|DNP|23325P104|US23325P1049|DNP Select Income Fund Inc.|Common Stock|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-7|TXN1-6|TXN5-5|TXN2-3|TXN1-7|355770000|||Monthly|||||1987-01-21||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||8.93|8.925|0.0|8.99|8.93|8.93|8.93|8.93|0.0|0.0|8.93|8.92|8.925|8.92|8.97|8.93|8.92|8.94|0.0|8.93|8.93|8.94|6.98|8.98|8.92|8.95|8.89|8.97|8.92|8.95|8.93|8.94|11.84|8.86|1435128|124543019 61154|DNTH|DNTH|252828108|US2528281080|Dianthus Therapeutics Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN5-8|TXN14-5|TXN5-7|TXN5-8|14820000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y|C|||||0.0|9.78|0.0|0.0|0.0|10.03|10.145|10.49|0.0|0.0|0.0|0.0|9.45|0.0|0.0|9.91|0.0|9.78|0.0|9.45|8.97|10.86|0.0|0.0|9.39|10.82|0.0|0.0|0.0|0.0|9.45|10.5|13.75|9.45|34253|1394310 71049|DNUT|DNUT|50101L106|US50101L1061|Krispy Kreme Inc|COM NEW||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN6-5|TXN11-1|TXN5-1|TXN5-3|168600000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4050|405010|40501040|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Restaurants and Bars|N||N||||||Y|0|Y||||||13.43|13.42|0.0|13.27|13.42|13.41|13.4|13.42|0.0|0.0|13.41|13.42|13.42|13.36|13.37|13.41|13.42|13.42|13.43|13.42|13.39|13.44|10.26|16.29|13.38|13.44|13.38|13.44|13.38|13.45|13.4|13.42|16.22|10.21|750934|218169772 73792|DO|DO|25271C201|US25271C2017|Diamond Offshore Drilling, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|A|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN3-7|TXN6-1|TXN1-7|TXN2-6|102320000|||NotApplicable|||||2022-03-30||||||| | | | | | | | | |||N|0|N|Y|134B|USA|US|||60|6010|601010|60101015|Energy|Energy|Oil, Gas and Coal|Offshore Drilling and Other Services|N||N||||||Y|0|Y||Y|2|||12.98|12.995|0.0|13.01|13.01|13.015|13.02|12.99|0.0|0.0|13.02|13.0|13.02|12.98|12.98|13.02|13.0|13.03|12.99|13.02|13.01|13.02|10.06|15.79|12.97|13.04|12.98|13.05|12.97|13.06|13.01|13.02|17.32|8.395|923329|277702646 42357|DOC|DOC|71943U104|US71943U1043|Physicians Realty Trust|Common Shares of Beneficial Interest, $0.01 par value per share|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-6|TXN3-3|TXN5-8|TXN4-3|TXN2-1|238490000|||Quarterly|||||2013-07-19||||||| | | | | | | | | |||N|0|N|Y|414A|USA|US|||35|3510|351020|35102010|Real Estate|Real Estate |Real Estate Investment Trusts|Health Care REITs|N||N||||||Y|0|Y||Y|2|||12.41|12.42|0.0|0.0|12.42|12.42|12.41|12.4|0.0|0.0|12.43|12.42|12.43|12.4|12.4|12.42|12.4|12.42|12.42|12.42|12.42|12.43|9.4|14.96|12.39|12.44|12.39|12.45|12.38|12.44|12.42|12.43|16.34|10.52|1922685|459932229 69910|DOCN|DOCN|25402D102|US25402D1028|DigitalOcean Holdings, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|A|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-6|TXN1-4|TXN3-4|TXN2-7|TXN3-4|86010000|||NotApplicable|||||2021-03-24||||||| | | | | | | | | |||N|0|N|Y|180B|USA|US|||10|1010|101010|10101010|Technology|Technology|Software and Computer Services|Computer Services|N||N||||||Y|0|Y||Y|2|||30.81|30.76|0.0|30.64|30.76|30.8|30.75|30.775|0.0|0.0|30.8|30.71|30.765|30.76|30.79|30.77|30.81|30.76|30.98|30.77|30.76|30.77|24.22|37.42|30.73|30.83|30.72|30.81|30.71|30.82|30.76|30.77|51.69|19.39|806459|370861881 70946|DOCS|DOCS|26622P107|US26622P1075|Doximity, Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|T|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-1|TXN4-3|TXN2-4|TXN4-7|TXN4-4|118160000|||NotApplicable|||||2021-06-24||||||| | | | | | | | | |||N|0|Y|Y|122A|USA|US|||20|2010|201010|20101025|Health Care |Health Care |Health Care Providers|Health Care Services|N||N||||||Y|0|Y||Y|1|||24.535|24.55|0.0|24.7|24.525|24.55|24.55|24.56|0.0|0.0|24.545|24.545|24.55|24.56|24.53|24.54|24.54|24.56|24.545|24.54|24.54|24.56|22.94|26.11|24.53|24.58|24.51|24.59|24.54|24.59|24.54|24.56|40.12|19.71|1618664|449842149 67919|DOCT|DOCT|33740F672|US33740F6723|FT Cboe Vest U.S. Equity Deep Buffer ETF - October|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-4|TXN4-5|TXN9-8|TXN3-4|TXN2-6|5350000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||35.63|35.6746|0.0|0.0|0.0|0.0|35.68|0.0|0.0|0.0|0.0|0.0|0.0|35.69|0.0|0.0|0.0|35.6746|35.63|35.6746|27.44|43.87|27.44|35.75|35.62|35.71|27.44|35.75|35.63|35.71|35.63|35.7|35.78|30.97|8892|8659755 60932|DOCU|DOCU|256163106|US2561631068|DocuSign Inc.|COM USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN6-8|TXN13-7|TXN5-3|TXN5-1|203210000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||USA||||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||||||45.89|45.89|0.0|45.87|45.88|45.865|45.89|45.89|0.0|0.0|45.87|45.85|45.88|45.84|45.84|45.86|45.85|45.89|45.855|45.88|45.88|45.92|43.06|48.49|45.85|45.91|45.88|45.92|45.86|45.93|45.88|45.9|69.45|38.11|4946681|859546009 16714|DOG|DOG|74347B235|US74347B2354|ProShares Trust|ProShares Short Dow 30|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ProShares Advisors |Pundion LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-1|TXN4-1|TXN5-2|TXN2-6|TXN2-3|5873755|||Quarterly|||||2008-11-12||DOG.NV|DOG.SO|DOG.EU|DOG.TC|DOG.IV| | | | | | | | | |-1x|ProShares Short Dow30 seeks daily investment results, before fees and expenses, that correspond to the inverse (opposite) of the daily performance of the Dow Jones Industrial Average Index. This ETF seeks a return of -100% of the return of an index (target) for a single day. Due to the compounding of daily returns, returns over periods other than one day will likely differ in amount and possibly direction from the target return for the same period. Investors should monitor their ProShares holdings consistent with their strategies, as frequently as daily. For more on correlation, leverage and other risks, please read the prospectus. The Dow Jones Industrial Average is a price-weighted index that is calculated as a simple average. The Index includes 30 large-cap, blue-chip U.S. stocks, excluding utility and transportation companies. They represent the leading U.S. companies in the industries driving the U.S. stock market, are widely held by investors and have long records of sustained growth. It is not possible to invest directly in an index. |N|0|N|N|416A|USA|US|EQUITY|INVERSE|||||||||N||N||||||Y|0|Y||Y|1|||31.15|31.15|0.0|0.0|31.15|31.145|31.15|31.14|0.0|0.0|31.145|31.14|31.16|31.19|31.14|31.145|31.18|31.16|31.22|31.16|31.15|31.16|31.1|31.2|31.15|31.16|31.14|31.17|30.56|31.86|31.15|31.16|35.36|31.09|624364|169370806 75644|DOGG|DOGG|33738D846|US33738D8469|FT Cboe Vest DJIA Dogs 10 Target Income ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-6|TXN3-5|TXN6-7|TXN4-5|TXN4-1|450000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|20.1696|0.0|0.0|0.0|19.98|20.175|20.18|0.0|0.0|0.0|0.0|20.11|0.0|20.11|0.0|20.16|20.1696|20.21|20.1696|0.0|0.0|20.12|20.16|20.13|20.23|20.13|20.24|20.13|20.24|20.13|20.23|23.12|18.6406|2509|787466 60337|DOGZ|DOGZ|G2788T111|VGG2788T1113|Dogness (International) Corp|COM USD.002 CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN6-1|TXN13-1|TXN5-3|TXN5-6|1550000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||40|4020|402040|40204020|Consumer Discretionary|Consumer Products and Services|Personal Goods|Clothing and Accessories|N||N||||||N|0|Y||||||2.97|0.0|0.0|0.0|2.97|2.95|2.9601|2.97|0.0|0.0|0.0|0.0|2.9|2.97|0.0|0.0|0.0|2.95|0.0|2.95|2.31|3.68|0.0|0.0|2.71|3.15|2.31|3.75|0.0|0.0|2.9|2.96|4.4157|0.1403|2576|19679776 16668|DOL|DOL|97717W794|US97717W7948|WisdomTree Trust|WisdomTree International LargeCap Dividend Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||WisdomTree|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-4|TXN3-3|TXN6-8|TXN2-3|TXN3-5|10850000|||Quarterly|||||2007-10-11||DOL.NV|DOL.SO|DOL.EU|DOL.TC|DOL.IV| | | | | | | | | |1x|WisdomTree International LargeCap Dividend Fund seeks investment results that closely correspond to the price and yield performance, before fees and expenses, of the WisdomTree International LargeCap Dividend Index. The WisdomTree International LargeCap Dividend Index is a fundamentally weighted index that measures the performance of the large-capitalization segment of the dividend-paying market in the industrialized world outside the U.S. and Canada. The Index is comprised of the 300 largest companies ranked by market capitalization from the WisdomTree DEFA Index. Companies are weighted in the Index based on annual cash dividends paid. The Index, established with a base value of 200 on May 31, 2006, is calculated in US dollars and is updated every 15 seconds between 9:30 a.m. and 4:00 p.m. to reflect market prices and exchange rates. Closing or last-sale prices are used when non-U.S. markets are closed.|N|0|N|N|406C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||47.64|47.65|0.0|0.0|47.655|47.65|47.64|47.64|0.0|0.0|47.53|0.0|47.65|47.65|47.52|0.0|0.0|47.64|0.0|47.64|47.64|57.16|0.0|0.0|47.64|47.72|38.02|57.26|0.0|0.0|47.64|47.72|48.91|43.6179|15480|6903546 71275|DOLE|DOLE|G27907107|IE0003LFZ4U7|Dole plc|Ordinary Shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|5|C|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-7|TXN3-4|TXN1-8|TXN1-2|TXN1-5|94900000|||Quarterly|||||2021-07-30||||||| | | | | | | | | |||N|0|N|Y|118D|IRL|IE|||45|4510|451020|45102020|Consumer Staples |Food, Beverage and Tobacco |Food Producers|Food Products|N||N||||||Y|0|Y||Y|2|||11.9|11.9|0.0|11.75|11.9|11.9|11.905|11.905|0.0|0.0|11.91|11.91|11.9|11.75|11.94|11.91|11.9|11.91|11.75|11.91|11.89|11.91|9.09|14.4|11.87|11.93|11.87|11.94|11.87|11.94|11.89|11.91|14.005|9.32|554977|123153394 68845|DOMA|DOMA|25703A203|US25703A2033|Doma Holdings, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|O|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN4-1|TXN7-8|TXN2-1|TXN3-1|13440000|||NotApplicable|||||2021-01-22||||||| | | | | | | | | |||N|0|N|Y|408A|USA|US|||30|3030|303020|30302025|Financials|Insurance|Non-life Insurance|Property and Casualty Insurance|N||N||||||Y|0|Y|C|Y|2|||5.25|5.56|0.0|0.0|0.0|5.48|5.535|5.525|0.0|0.0|5.47|0.0|5.53|0.0|0.0|5.52|0.0|5.535|0.0|5.52|5.52|5.65|0.0|0.0|5.41|5.75|4.42|6.57|0.0|0.0|5.52|5.65|9.44|0.1701|19373|153840753 3764|DOMH|DOMH|008875304|US0088753043|Dominari Holdings Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN5-6|TXN10-7|TXN5-5|TXN5-5|5350000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|2.2725|0.0|0.0|0.0|0.0|0.0|2.22|0.0|0.0|0.0|0.0|2.2725|0.0|2.2725|2.08|2.4|0.0|0.0|2.19|2.37|1.76|2.74|0.0|0.0|2.21|2.28|4.45|1.76|2870|3893593 61211|DOMO|DOMO|257554105|US2575541055|Domo Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN5-5|TXN10-8|TXN5-3|TXN6-7|32820000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||||||9.83|9.83|0.0|9.82|9.82|9.83|9.811|9.81|0.0|0.0|9.83|9.83|9.81|9.81|9.8|9.835|9.8|9.81|9.87|9.81|9.73|9.93|7.72|12.12|9.73|9.92|9.78|9.86|9.78|9.84|9.81|9.83|19.09|7.78|650645|135870819 16672|DON|DON|97717W505|US97717W5058|WisdomTree Trust|WisdomTree U.S. MidCap Dividend Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||WisdomTree|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-4|TXN4-8|TXN9-4|TXN3-2|TXN1-5|76250000|||Monthly|||||2007-11-28||DON.NV|DON.SO|DON.EU|DON.TC|DON.IV| | | | | | | | | |1x|WisdomTree MidCap Dividend Fund seeks investment results that closely correspond to the price and yield performance, before fees and expenses, of the WisdomTree MidCap Dividend Index. The WisdomTree MidCap Dividend Index is a fundamentally weighted index that measures the performance of the mid-capitalization segment of the US dividend-paying market. The Index is comprised of the companies that compose the top 75% of the market capitalization of the WisdomTree Dividend Index after the 300 largest companies have been removed. The index is dividend weighted annually to reflect the proportionate share of the aggregate cash dividends each component company is projected to pay in the coming year, based on the most recently declared dividend per share. This index was established with a base value of 200 on May 31, 2006.|N|0|N|N|406C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||43.78|43.78|0.0|0.0|43.78|43.78|43.7788|43.78|0.0|0.0|43.78|0.0|43.78|43.66|43.69|43.59|43.7|43.75|43.38|43.75|43.68|43.85|40.81|46.15|43.75|43.78|43.74|43.79|43.69|43.87|43.76|43.79|45.6|38.51|152553|39035930 61759|DOOO|DOOO|05577W200|CA05577W2004|BRP Inc|SUB VTG NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN6-8|TXN10-8|TXN5-2|TXN5-7|34420000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CAN||||40|4020|402030|40203055|Consumer Discretionary|Consumer Products and Services|Leisure Goods|Recreational Vehicles and Boats|N||N||||||Y|0|Y||||||60.95|60.91|0.0|61.05|60.92|60.99|60.92|60.93|0.0|0.0|60.97|60.9|60.96|60.979|0.0|60.96|61.38|60.9|60.99|60.96|60.84|61.08|60.79|61.07|60.75|61.1|60.82|61.07|60.77|61.12|60.89|60.96|92.74|58.67|242621|15333096 42625|DOOR|DOOR|575385109|CA5753851099|Masonite International Corporation|Common shares|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|P|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN1-4|TXN7-8|TXN2-4|TXN1-8|21910000|||NotApplicable|||||2013-09-09||||||| | | | | | | | | |||N|0|N|Y|110D|USA|US|||50|5010|501010|50101035|Industrials|Construction and Materials|Construction and Materials |Building Materials: Other|N||N||||||Y|0|Y||Y|2|||92.7|92.73|0.0|92.3|92.64|92.75|92.76|92.77|0.0|0.0|92.34|92.5|92.8|92.17|92.73|92.8|88.77|92.8|92.73|92.8|92.71|92.8|70.03|112.18|91.93|93.5|92.51|92.99|92.71|93.04|92.71|92.8|109.58|71.04|118153|31194001 16575|DORM|DORM|258278100|US2582781009|Dorman Products Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN6-7|TXN12-5|TXN5-1|TXN6-8|31490000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4010|401010|40101025|Consumer Discretionary|Automobiles and Parts|Automobiles and Parts|Auto Parts|N||N||||||Y|0|Y||||||75.8|77.1|0.0|0.0|0.0|76.68|77.12|77.11|0.0|0.0|75.85|76.065|77.09|75.955|76.1|76.03|0.0|77.1|0.0|77.09|76.19|77.88|58.15|94.08|76.67|77.13|76.81|77.25|76.99|77.35|76.99|77.12|102.25|60.0113|130133|23793166 72965|DOUG|DOUG|25961D105|US25961D1054|Douglas Elliman Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN1-2|TXN6-6|TXN3-1|TXN2-8|88710000|||Quarterly|||||2021-12-17||||||| | | | | | | | | |||N|0|N|Y|404A|USA|US|||35|3510|351010|35101015|Real Estate|Real Estate |Real Estate Investment and Services Development|Real Estate Services|N||N||||||Y|0|Y||Y|2|||2.19|2.22|0.0|2.09|2.2|2.215|2.21|2.21|0.0|0.0|2.21|2.2|2.21|2.215|2.2|2.19|2.225|2.21|2.21|2.19|2.2|2.22|1.68|2.69|2.19|2.22|2.18|2.25|2.2|2.23|2.2|2.22|5.27|1.57|867904|157548427 5849|DOV|DOV|260003108|US2600031080|Dover Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-4|TXN3-8|TXN6-4|TXN4-4|TXN2-2|139890000|||Quarterly|||||1956-12-03||||||| | | | | | | | | |||N|5|Y|Y|126E|USA|US|||50|5020|502030|50203000|Industrials|Industrial Goods and Services|General Industrials|Diversified Industrials|N||N||||||Y|0|Y||Y|1|||143.35|143.39|0.0|143.3|143.39|143.42|143.38|143.47|0.0|0.0|143.49|143.51|143.34|143.5|143.15|143.43|142.185|143.37|143.31|143.43|143.37|143.39|133.05|151.57|143.3|143.5|143.25|143.51|143.33|143.47|143.37|143.39|160.66|127.25|726487|195812974 63278|DOW|DOW|260557103|US2605571031|Dow Inc.|Common Stock, par value $0.01 per share|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|J|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-5|TXN4-7|TXN6-5|TXN1-2|TXN3-5|701400000|||Quarterly|||||2019-03-20||||||| | | | | | | | | |||Y|1|Y|Y|100A|USA|US|||55|5520|552010|55201000|Basic Materials|Chemicals|Chemicals|Chemicals: Diversified|N||N||||||Y|0|Y||Y|1|||52.1|52.09|0.0|52.1|52.1|52.09|52.1|52.09|0.0|52.22|52.09|52.1|52.11|52.11|52.1|52.1|52.1|52.1|52.11|52.1|52.1|52.11|48.77|55.37|52.08|52.11|52.06|52.13|52.06|52.13|52.1|52.11|60.875|47.26|6354711|1065139172 5851|DOX|DOX|G02602103|GB0022569080|Amdocs Ltd|ORD GBP.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN6-4|TXN11-1|TXN5-4|TXN5-4|120820000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||USA||||10|1010|101010|10101015|Technology|Technology|Software and Computer 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I|WRRTS||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-6|TXN5-7|TXN12-2|TXN6-8|TXN6-3|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.008|0.036|0.008|0.036|0.008|0.036|0.008|0.036|0.0|0.0|0.01|0.03|0.2969|0.008|0|2893389 38559|DPG|DPG|26433C105|US26433C1053|Duff & Phelps Utility and Infrastructure Fund Inc.|Common Stock|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN4-2|TXN8-8|TXN2-2|TXN1-8|38120000|||Quarterly|||||2011-07-27||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||9.64|9.63|0.0|0.0|9.64|9.635|9.63|9.63|0.0|0.0|9.64|9.63|9.635|9.63|0.0|9.63|9.66|9.63|0.0|9.63|9.63|9.64|7.44|11.8|8.99|10.05|9.61|9.66|9.61|9.66|9.63|9.64|14.29|7.9|152450|33170462 65530|DPRO|DPRO|26142Q205|CA26142Q2053|Draganfly Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-4|TXN6-4|TXN13-1|TXN5-5|TXN5-7|43850000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CAN||||50|5020|502010|50201010|Industrials|Industrial Goods and Services|Aerospace and Defense|Aerospace|N||N||||||Y|0|Y||||||0.569|0.559|0.0|0.0|0.561|0.57|0.5589|0.5698|0.0|0.0|0.569|0.569|0.57|0.569|0.5602|0.56|0.5599|0.569|0.0|0.57|0.44|0.666|0.44|0.666|0.5217|0.5797|0.44|0.666|0.0|0.0|0.559|0.57|2.465|0.5135|567414|87590400 74000|DPSI|DPSI|24345A507|US24345A5074|DecisionPoint Systems, Inc.|Common Stock|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-4|TXN2-4|TXN7-8|TXN1-2|TXN3-5|7660000|||NotApplicable|||||2022-05-05||||||| | | | | | | | | |||N|0|N|N|104C|USA|US|||10|1010|101010|10101010|Technology|Technology|Software and Computer Services|Computer Services|N||N||||||N|0|Y||Y|2|||5.9|5.24|0.0|0.0|6.3|6.05|6.221|6.18|0.0|0.0|6.2|5.75|6.05|5.67|0.0|5.78|6.09|6.09|6.25|6.09|0.0|0.0|5.96|6.4|5.65|6.43|0.0|0.0|0.0|0.0|5.96|6.4|11.27|4.04|26995|4682999 50529|DPST|DPST|25460G153|US25460G1537|Direxion Shares ETF Trust|Direxion Daily Regional Banks Bull 3X Shares|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Direxion Shares|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-5|TXN2-5|TXN2-2|TXN4-2|TXN4-8|8573935|||Quarterly|||||2015-08-19||DPST.NV|DPST.SO|DPST.EU|DPST.TC|DPST.IV| | | | | | | | | |3x|The Fund seeks daily investment results, before fees and expenses, of 300% of the performance of the Solactive US Regional Banks TR Index. The Fund seeks daily leveraged investment results and does not seek to achieve its stated investment objective over a period of time greater than one day. 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Mining|N||N||||||Y|0|Y||Y|2|||8.91|8.9|0.0|9.04|8.89|8.9|8.9|8.91|0.0|0.0|8.9|8.92|8.9|8.91|8.9|8.91|8.9|8.9|8.91|8.91|8.89|8.91|8.86|8.94|8.85|8.95|8.85|8.95|8.85|8.94|8.89|8.91|13.85|6.44|776406|77769057 5878|DRH|DRH|252784301|US2527843013|DiamondRock Hospitality Company|Common Stock|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|8|R|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-3|TXN1-3|TXN1-7|TXN3-3|TXN4-4|209630000|||Quarterly|||||2005-05-26||||||| | | | | | | | | |||N|0|N|Y|412A|USA|US|||35|3510|351020|35102015|Real Estate|Real Estate |Real Estate Investment Trusts|Hotel and Lodging REITs|N||N||||||N|0|Y||Y|2|||8.66|8.66|0.0|8.52|8.66|8.66|8.66|8.67|0.0|0.0|8.66|8.66|8.655|8.66|8.65|8.65|8.66|8.66|8.67|8.65|8.65|8.67|6.51|10.47|8.65|8.68|8.63|8.69|8.62|8.7|8.65|8.67|10.02|7.14|2485268|503510483 67426|DRH PRA|DRHpA|252784400|US2527844003|DiamondRock Hospitality Company|8.250% Series A Cumulative Redeemable Preferred Stock|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN4-3|TXN7-8|TXN1-8|TXN3-7|4760000|||Quarterly|||||2020-09-03||||||| | | | | | | | | |||N|0|N|N|412A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|25.825|25.7|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|25.69|0.0|25.69|0.0|25.69|25.32|25.69|25.51|25.7|25.11|26.21|0.0|0.0|0.0|0.0|25.66|27.49|26.53|24.26|2120|1905419 5879|DRI|DRI|237194105|US2371941053|Darden Restaurants, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|M|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-7|TXN1-3|TXN5-7|TXN1-1|TXN2-2|120320000|||Quarterly|||||1995-05-09||||||| | | | | | | | | |||N|5|Y|Y|128B|USA|US|||40|4050|405010|40501040|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Restaurants and Bars|N||N||||||Y|0|Y||Y|1|||161.06|161.04|0.0|161.07|161.09|161.065|161.06|161.07|0.0|0.0|161.04|161.07|161.04|161.0|161.1|161.0|160.72|161.01|161.0|161.0|161.0|161.07|150.97|170.0|160.96|161.1|160.89|161.17|161.0|161.18|161.0|161.07|173.06|131.9|1026513|277734893 41797|DRIO|DRIO|23725P209|US23725P2092|DarioHealth Corp|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN5-8|TXN13-5|TXN5-2|TXN5-3|27220000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||Y|0|Y||||||1.52|1.59|0.0|0.0|1.63|1.62|1.5937|1.63|0.0|0.0|1.61|1.56|1.6|1.56|1.55|1.52|0.0|1.62|0.0|1.6|1.54|1.68|1.25|1.88|1.57|1.63|1.58|1.64|1.56|1.65|1.59|1.62|6.78|0.68|215188|34373330 49994|DRIP|DRIP|25460G328|US25460G3285|Direxion Shares ETF Trust|Direxion Daily S&P Oil & Gas Exp. & Prod. Bear 2X Shares|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Direxion Shares|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-2|TXN2-7|TXN8-5|TXN2-7|TXN1-2|5707895|||Quarterly|||||2015-05-28||DRIP.NV|DRIP.SO|DRIP.EU|DRIP.TC|DRIP.IV| | | | | | | | | |-2x|The Fund seeks daily investment results, before fees and expenses, of 200% of the inverse (or opposite) of the performance of the S&P Oil & Gas Exploration & Production Select Industry Index. The Fund seeks daily inverse leveraged investment results and does not seek to achieve its stated investment objective over a period of time greater than one day. The Fund is different and much riskier than most exchange-traded funds|N|0|N|N|416A|USA|US|EQUITY|INVERSE|||||||||N||N||||||Y|0|Y||Y|2|||11.52|11.53|0.0|0.0|11.52|11.52|11.5201|11.52|0.0|0.0|11.53|11.52|11.525|11.541|11.52|11.515|11.565|11.52|11.23|11.52|11.48|11.58|8.82|11.56|11.52|11.54|11.44|11.61|11.44|11.61|11.52|11.54|19.05|9.15|1672809|544725420 60898|DRIV|DRIV|37954Y624|US37954Y6243|Global X Autonomous & Electric Vehicles ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN6-7|TXN12-2|TXN6-6|TXN5-5|30090002|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||23.09|23.11|0.0|0.0|23.13|23.12|23.13|23.12|0.0|0.0|23.13|23.15|23.13|23.09|23.09|23.09|23.11|23.12|23.12|23.13|21.75|24.65|23.08|23.32|23.05|23.22|23.08|23.23|23.08|23.23|23.08|23.15|27.8|19.5101|136681|31279334 74363|DRLL|DRLL|02072L722|US02072L7221|EA Series Trust|Strive U.S. Energy ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Alpha Architect|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-4|TXN4-5|TXN5-5|TXN3-1|TXN4-8|11880000|||Quarterly|||||2022-08-09||DRLL.NV|DRLL.SO|DRLL.EU|DRLL.TC|DRLL.IV| | | | | | | | | |1x|The Fund seeks to track the investment results of the Solactive United States Energy Regulated Capped Index , which measures the performance of the energy sector of the U.S. equity market as defined by Solactive AG. The Index includes large, and mid-capitalization companies.|N|0|N|N|408A|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||0.0|28.39|0.0|0.0|0.0|28.32|28.3103|0.0|0.0|0.0|28.67|0.0|28.28|0.0|28.33|28.21|27.93|28.3103|0.0|28.3103|28.29|28.32|28.25|28.36|28.29|28.32|28.25|28.36|28.25|28.36|28.29|28.32|31.2|25.46|27794|12764016 71422|DRMA|DRMA|249845306|US2498453065|Dermata Therapeutics Inc|COM USD||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-8|TXN6-7|TXN11-8|TXN5-1|TXN5-1|3190000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||0.0|0.7514|0.0|0.0|0.7351|0.7514|0.75|0.7161|0.0|0.0|0.76|0.7487|0.7673|0.0|0.0|0.0|0.0|0.75|0.0|0.75|0.5764|0.936|0.5764|0.936|0.7002|0.828|0.7235|0.8078|0.7232|0.8067|0.75|0.7799|4.7999|0.1621|49917|245254257 71423|DRMAW|DRMAW|249845116|US2498451168|Dermata Therapeutics Inc|WT EXP 081326||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-5|TXN6-4|TXN12-5|TXN5-4|TXN5-3|3190000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y|C|||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0128|0.0|0.0|0.0|0.0|0.0128|0.0|0.0128|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0128|0.024|0.1|0.005|200|2195521 31223|DRN|DRN|25459W755|US25459W7552|Direxion Shares ETF Trust|Direxion Daily Real Estate Bull 3X Shares|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Direxion Shares|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-3|TXN2-8|TXN7-1|TXN2-8|TXN4-4|7000000|||Quarterly|||||2009-07-16||DRN.NV|DRN.SO|DRN.EU|DRN.TC|DRN.IV| | | | | | | | | |3x|The Direxion Daily Real Estate Bull 3x Shares seeks daily investment results, before fees and expenses, of 300% of the price performance of the MSCI US REIT Index. There is no guarantee the fund will meet its stated investment objective.The Real Estate Index is a free float market capitalization weighted index that is comprised of Equity REIT securities that belong to the MSCI US Investable Market 2500 Index. The MSCI US REIT Index includes only REIT securities that are of reasonable size in terms of full and free float adjusted market capitalization to ensure that the performance of the Equity REIT universe can be captured and replicated in actual institutional and retail portfolios of different sizes. As of April 6, 2009, the components in the index had an average market capitalization of $1.3 billion dollars and a median market capitalization of $746 million dollars.|N|0|N|N|416A|USA|US|EQUITY|LEVERAGED|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||9.17|9.18|0.0|0.0|9.18|9.18|9.1757|9.17|0.0|0.0|9.18|9.18|9.18|9.07|9.06|9.18|9.07|9.19|9.09|9.19|9.17|9.19|7.11|11.15|9.17|9.18|9.13|9.22|9.15|9.22|9.17|9.18|14.28|5.535|1397560|149842102 5882|DRQ|DRQ|262037104|US2620371045|Dril-Quip, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN1-6|TXN3-8|TXN2-8|TXN1-8|34180000|||NotApplicable|||||1997-10-23||||||| | | | | | | | | |||N|0|N|Y|134F|USA|US|||60|6010|601010|60101030|Energy|Energy|Oil, Gas and Coal|Oil Equipment and Services|N||N||||||Y|0|Y||Y|2|||22.46|22.42|0.0|22.26|22.37|22.39|22.42|22.43|0.0|0.0|22.38|22.39|22.405|22.36|22.27|22.42|22.4|22.42|22.39|22.42|22.39|22.42|17.29|27.31|22.35|22.45|22.34|22.47|22.39|22.48|22.39|22.42|35.95|21.31|168538|57043592 1200|DRRX|DRRX|266605500|US2666055007|Durect Corp|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-1|TXN5-3|TXN10-3|TXN6-8|TXN5-2|29830000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103015|Health Care |Health Care |Pharmaceuticals and Biotechnology|Pharmaceuticals |N||N||||||Y|0|Y||||||0.6612|0.6799|0.0|0.68|0.68|0.68|0.6706|0.6706|0.0|0.0|0.68|0.68|0.6611|0.6799|0.0|0.68|0.0|0.6612|0.66855|0.6611|0.627|0.711|0.541|0.8103|0.6468|0.6936|0.6287|0.7097|0.0|0.0|0.66|0.68|9.5|0.381|564755|73875619 3361|DRS|DRS|52661A108|US52661A1088|Leonardo DRS Inc|COM USD0.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN6-8|TXN12-3|TXN6-7|TXN6-5|262370000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502010|50201020|Industrials|Industrial Goods and Services|Aerospace and Defense|Defense|N||N||||||Y|0|Y||||||19.21|19.18|0.0|19.18|19.18|19.175|19.2|19.19|0.0|0.0|19.2|19.22|19.21|19.19|19.19|19.19|19.17|19.2|19.2|19.21|19.15|19.24|15.03|23.69|19.15|19.25|19.19|19.25|19.19|19.25|19.2|19.21|20.95|9.6764|1094758|178403180 61369|DRSK|DRSK|26922A388|US26922A3885|ETF Series Solutions - 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invest in 250 of the 500 largest US listed stocks|N|0|N|N|406C|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|42.08|42.8935|0.0|0.0|0.0|41.86|0.0|42.96|0.0|0.0|0.0|0.0|43.0017|0.0|43.0017|42.58|43.46|0.0|0.0|42.95|43.03|42.95|43.03|0.0|0.0|42.95|43.03|43.3004|36.73|1997|312778 31224|DRV|DRV|25460G419|US25460G4192|Direxion Shares ETF Trust|Direxion Daily MSCI Real Estate Bear 3X Shares|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Direxion Shares|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-5|TXN4-5|TXN2-6|TXN3-8|TXN4-2|2534045|||Quarterly|||||2009-07-15||DRV.NV|DRV.SO|DRV.EU|DRV.TC|DRV.IV| | | | | | | | | |-3x|The Direxion Daily Real Estate Bear 3X Shares seeks daily investment results, before fees and expenses, of 300% of the inverse (or opposite) of the price performance of the Real Estate Index. There is no guarantee the fund will meet its stated investment objective.The Real Estate Index is a free float market capitalization weighted index that is comprised of Equity REIT securities that belong to the MSCI US Investable Market 2500 Index. The MSCI US REIT Index includes only REIT securities that are of reasonable size in terms of full and free float adjusted market capitalization to ensure that the performance of the Equity REIT universe can be captured and replicated in actual institutional and retail portfolios of different sizes. 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Services |N||N||||||Y|0|Y||||||13.82|13.83|0.0|13.91|13.82|13.835|13.835|13.84|0.0|0.0|13.83|13.83|13.84|13.88|13.83|13.835|13.86|13.83|13.84|13.84|13.81|13.86|13.08|14.7|13.81|13.86|13.8|13.87|13.79|13.88|13.83|13.84|31.47|10.605|1128022|225822164 72367|DSAQ|DSAQ|25460L103|US25460L1035|Direct Selling Acquisition Corp.|Class A Common Stock|Special purpose acquisition company|A|N|N|N|Y|Y|Y|Y|Y|8|D|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN1-6|TXN2-8|TXN4-4|TXN2-5|5600000|||NotApplicable|||||2021-11-12||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment 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ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-5|TXN2-4|TXN5-8|TXN3-6|TXN2-6|5550000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|35.515|0.0|0.0|0.0|0.0|35.5102|0.0|0.0|0.0|0.0|0.0|35.44|35.47|0.0|0.0|0.0|35.515|0.0|35.515|35.47|35.56|35.43|35.51|35.47|35.55|35.42|35.6|35.42|35.6|35.48|35.55|35.652|30.27|9608|11237172 69979|DSGN|DSGN|25056L103|US25056L1035|Design Therapeutics Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN6-1|TXN10-3|TXN5-1|TXN6-2|56000000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||2.5|2.45|0.0|2.49|2.46|2.455|2.455|2.455|0.0|0.0|2.46|2.46|2.46|2.49|2.47|2.45|2.46|2.455|2.46|2.46|2.44|2.47|1.95|3.07|2.44|2.47|2.43|2.48|2.44|2.46|2.45|2.46|14.065|1.94|393599|124461851 2278|DSGR|DSGR|520776105|US5207761058|Distribution Solutions Group Inc|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN5-4|TXN12-4|TXN5-3|TXN5-8|46850000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502050|50205010|Industrials|Industrial Goods and Services|Industrial Support Services|Industrial Suppliers|N||N||||||N|0|Y||||||26.11|25.995|0.0|26.18|26.14|26.18|26.3|26.36|0.0|0.0|26.11|26.04|26.34|26.06|0.0|26.16|0.0|26.34|0.0|26.34|25.75|26.74|20.05|32.24|25.79|26.73|26.12|26.5|26.25|26.57|26.25|26.34|56.6699|22.91|54290|7410633 1210|DSGX|DSGX|249906108|CA2499061083|Descartes Systems Group Inc (The)|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN6-2|TXN10-5|TXN6-7|TXN6-7|85100000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CAN||||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||||||81.5|81.52|0.0|81.54|81.49|81.53|81.51|81.505|0.0|0.0|81.51|81.51|81.49|81.5|81.5|81.49|0.0|81.51|81.46|81.49|80.99|82.01|63.26|100.69|81.46|81.7|81.41|81.59|81.39|81.56|81.49|81.53|82.54|64.91|294428|30854349 18274|DSI|DSI|464288570|US4642885705|iShares Trust|iShares MSCI KLD 400 Social ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-6|TXN1-7|TXN4-5|TXN2-6|TXN1-3|44400000|||Quarterly|||||2008-11-06||DSI.NV|DSI.SO|DSI.EU|DSI.TC|DSI.IV| | | | | | | | | |1x|The iShares MSCI KLD 400 Social Index Fund seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the MSCI KLD 400 Social Index. The Underlying Index is a free float-adjusted market capitalization index designed to provide exposure to U.S. companies that have positive environmental, social and governance (ESG) characteristics. As of March 31, 2012, the Underlying Index consisted of 400 companies identified by MSCI Inc. (MSCI) from the universe of companies included in the MSCI USA Investable Market Indices ESG, which target 99% of the market coverage of stocks that are listed for trading on the New York Stock Exchange (NYSE), NASDAQ Stock Market and the American Stock Exchange. MSCI analyzes each eligible companys ESG performance using proprietary ratings covering environmental, social, and governance and ethics criteria. Companies that MSCI determines have significant involvement in the following businesses are not eligible for the Underlying Index: alcohol, tobacco, firearms, nuclear power, military weapons and gambling. MSCI seeks to maintain the large capitalization character of the Underlying Index while including mid- and small-capitalization companies. Components primarily include consumer discretionary, consumer staples, financial, health care and information technology companies. The components of the Underlying Index, and the degree to which these components represent certain industries, may change over time.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||86.98|87.14|0.0|0.0|87.1|86.94|87.0911|86.64|0.0|0.0|86.98|86.91|87.08|87.08|86.96|86.99|86.76|87.08|0.0|87.08|86.91|87.3|81.47|92.51|87.09|87.12|87.02|87.21|86.96|87.21|87.08|87.12|87.6999|70.41|119702|34632225 68638|DSJA|DSJA|45782C177|US45782C1779|Innovator Double Stacker ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-4|TXN3-1|TXN1-5|TXN2-1|TXN2-3|80000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|29.6901|0.0|0.0|29.63|0.0|29.6952|0.0|0.0|0.0|0.0|0.0|29.63|29.63|29.63|0.0|0.0|29.6901|0.0|29.6901|0.0|0.0|0.0|0.0|29.59|29.81|0.0|0.0|0.0|0.0|29.59|29.81|29.6952|23.7436|588|60732 50616|DSKE|DSKE|23753F107|US23753F1075|Daseke Inc|COM USD.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN6-7|TXN10-8|TXN6-7|TXN5-3|46500000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502060|50206010|Industrials|Industrial Goods and Services|Industrial Transportation|Trucking|N||N||||||Y|0|Y||||||4.8|4.775|0.0|0.0|4.76|4.765|4.77|4.765|0.0|0.0|4.77|4.79|4.78|4.712|0.0|4.78|4.72|4.775|0.0|4.78|4.72|4.82|3.63|5.9|4.72|4.81|4.75|4.8|4.76|4.8|4.77|4.78|9.575|4.06|217279|63306860 41885|DSL|DSL|258622109|US2586221093|DoubleLine Income Solutions Fund|Common Shares, $.00001 par value|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-5|TXN1-7|TXN1-8|TXN3-5|TXN3-5|102000000|||Monthly|||||2013-04-26||||||| | | | | | | | | |||N|0|N|N|406B|USA|US|||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||11.93|11.96|0.0|0.0|11.96|11.97|11.965|11.97|0.0|0.0|11.97|11.97|11.965|11.97|0.0|11.97|11.94|11.97|11.96|11.97|11.96|11.97|9.27|14.66|11.96|11.98|11.93|12.0|11.95|11.98|11.96|11.97|12.78|10.22|443938|92958894 5894|DSM|DSM|09662E109|US09662E1091|BNY Mellon Strategic Municipal Bond Fund, Inc.|Common Stock|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN2-4|TXN8-8|TXN1-2|TXN2-8|49430000|||Monthly|||||1989-11-22||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||5.53|5.54|0.0|5.52|5.53|5.525|5.54|5.54|0.0|0.0|5.53|5.53|5.54|5.59|0.0|5.54|5.54|5.54|0.0|5.54|5.52|5.54|4.28|6.82|5.14|5.88|5.51|5.56|5.53|5.55|5.52|5.54|6.2|4.69|224682|31629970 74726|DSMC|DSMC|26922B667|US26922B6671|ETF Series Solutions|Distillate Small/Mid Cash Flow ETF|Trust|ETF|N|N|N|Y|Y|Y|Y|Y|8|P|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-6|TXN4-1|TXN4-8|TXN3-1|TXN1-5|1225000|||Quarterly|||||2023-08-08||||||| | | | | | | | | |||N|0|N|N|416A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|31.34|0.0|0.0|0.0|32.28|32.3|0.0|0.0|0.0|0.0|0.0|32.28|0.0|0.0|32.373|0.0|32.38|0.0|32.373|32.32|32.37|0.0|0.0|32.31|32.37|31.7|32.32|0.0|0.0|32.31|32.37|32.4|26.39|9441|1561241 69137|DSP|DSP|92557A101|US92557A1016|Viant Technology Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN6-1|TXN14-3|TXN6-3|TXN6-3|15540000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||||||0.0|6.7|0.0|6.42|6.8|6.99|6.75|6.75|0.0|0.0|6.56|6.87|6.75|6.56|0.0|6.45|0.0|6.7|0.0|6.75|6.52|7.06|5.31|8.44|6.55|6.9|5.36|7.71|0.0|0.0|6.68|6.76|7.21|3.15|182682|21428879 5829|DSS|DSS|26253C102|US26253C1027|DSS, Inc.|Common Stock|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Brendan E. Cryan and Company, L.L.C.|CRYN|0235|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN11-2|TXN3-7|TXN6-8|TXN4-2|TXN3-6|140260000|||Adhoc|||||2016-08-26||||||| | | | | | | | | |||N|0|N|N|142A|USA|US|||50|5020|502030|50203030|Industrials|Industrial Goods and Services|General Industrials|Containers and Packaging|N||N||||||N|2|Y||Y|2|||0.1375|0.14|0.0|0.0|0.1375|0.1391|0.1391|0.1391|0.0|0.0|0.1391|0.139|0.1391|0.0|0.0|0.1409|0.139|0.139|0.0|0.139|0.1349|0.1424|0.139|0.1391|0.136|0.1391|0.132|0.1468|0.134|0.145|0.139|0.1391|0.468|0.134|250418|74266981 62057|DSTL|DSTL|26922A321|US26922A3216|ETF Series Solutions|Distillate U.S. Fundamental Stability & Value ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Distillate Capital Partners|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN2-3|TXN7-7|TXN1-8|TXN3-3|29400000|||Quarterly|||||2018-10-24||DSTL.NV|DSTL.SO|DSTL.EU|DSTL.TC|DSTL.IV| | | | | | | | | |1x|The Fund uses a passive management (or indexing) approach to track the performance, before fees and expenses, of the Index. The Index was developed in 2018 by Distillate Capital Partners LLC, the Funds investment adviser and index provider (the Adviser), and uses an objective, rules-based methodology to measure the performance of U.S.-listed, large-capitalization equity securities, selected based on certain fundamental factors, as described below.|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|1|||47.12|47.2|0.0|0.0|47.12|47.14|47.19|0.0|0.0|0.0|47.14|0.0|47.19|47.14|47.14|47.15|47.14|47.2|0.0|47.2|47.17|49.27|43.94|49.86|47.17|47.19|47.04|49.27|0.0|0.0|47.17|47.19|47.28|40.17|66138|21445715 68495|DSTX|DSTX|26922B501|US26922B5012|ETF Series Solutions|Distillate International Fundamental Stability & Value ETF|Trust|ETF|N|N|N|Y|Y|Y|Y|Y|8|P|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN1-5|TXN3-8|TXN2-1|TXN3-5|1400000|||Quarterly|||||2023-08-08||||||| | | | | | | | | |||N|0|N|N|416A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|22.7355|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|22.758|0.0|22.7355|0.0|22.758|22.71|22.8|0.0|0.0|22.73|22.79|18.01|27.61|0.0|0.0|22.71|22.79|23.72|19.9689|3608|1308284 5900|DSU|DSU|09255R202|US09255R2022|BlackRock Debt Strategies Fund, Inc.|Common Stock|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN4-8|TXN7-8|TXN4-7|TXN4-7|46610000|||Monthly|||||2016-11-16||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||10.43|10.4|0.0|0.0|10.43|10.4|10.4|10.405|0.0|0.0|10.41|10.41|10.405|10.4|10.42|10.42|10.44|10.42|0.0|10.42|10.4|10.43|8.07|12.8|10.39|11.15|10.37|10.46|10.4|10.43|10.4|10.43|10.51|9.14|131887|32327159 1218|DSWL|DSWL|250639101|VG2506391011|Deswell Industries Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN6-3|TXN11-8|TXN6-5|TXN5-4|15940000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||MAC||||50|5020|502030|50203015|Industrials|Industrial Goods and Services|General Industrials|Plastics|N||N||||||N|0|Y||||||2.73|0.0|0.0|0.0|2.73|0.0|2.73|2.73|0.0|0.0|0.0|0.0|2.72|2.73|0.0|0.0|0.0|2.73|0.0|2.73|1.96|3.4|0.0|0.0|2.43|2.93|1.96|3.4|0.0|0.0|2.6|2.74|3.24|2.12|10605|1183900 5903|DSX|DSX|Y2066G104|MHY2066G1044|Diana Shipping Inc.|Common Stock|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|8|M|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-7|TXN1-8|TXN2-6|TXN1-7|TXN3-2|108230000|||Quarterly|||||2005-03-18||||||| | | | | | | | | |||N|0|N|Y|208A|GRC|MH|||50|5020|502060|50206030|Industrials|Industrial Goods and Services|Industrial Transportation|Marine Transportation|N||N||||||Y|0|Y||Y|2|||3.48|3.48|0.0|3.45|3.47|3.48|3.4702|3.475|0.0|0.0|3.48|3.48|3.475|3.47|3.48|3.47|3.44|3.475|3.48|3.47|3.47|3.48|2.7|4.25|3.47|3.49|3.44|3.5|3.47|3.51|3.47|3.48|4.85|3.0101|707555|125426316 43586|DSX PRB|DSXpB|Y2066G112|MHY2066G1127|Diana Shipping Inc.|8.875% Series B Cumulative Redeemable Perpetual Preferred Shares|Operating company|B|N|Y|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN4-3|TXN1-5|TXN2-1|TXN1-6|2600000|||Quarterly|||||2014-02-21||||||| | | | | | | | | |||N|0|N|N|208A|GRC|MH|||50|5020|502060|50206030|Industrials|Industrial Goods and Services|Industrial Transportation|Marine Transportation|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|25.5|25.6645|0.0|0.0|0.0|0.0|0.0|25.66|0.0|0.0|25.6645|0.0|25.6645|0.0|25.6645|25.42|25.7|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|25.42|25.7|26.5|24.5708|257|669098 64202|DT|DT|268150109|US2681501092|Dynatrace, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|A|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-2|TXN3-1|TXN7-8|TXN2-7|TXN1-8|304390000|||NotApplicable|||||2019-08-01||||||| | | | | | | | | |||N|0|Y|Y|180B|USA|US|||10|1010|101010|10101020|Technology|Technology|Software and Computer Services|Consumer Digital Services |N||N||||||Y|0|Y||Y|1|||54.73|54.72|0.0|54.7|54.73|54.72|54.71|54.71|0.0|0.0|54.71|54.74|54.72|54.71|54.71|54.73|54.71|54.73|54.71|54.73|54.75|54.76|51.55|58.0|54.7|54.81|54.64|54.78|54.71|54.81|54.75|54.76|55.8699|35.39|2861041|617626758 67788|DTB|DTB|233331826|US2333318267|DTE Energy Company|2020 Series G 4.375% Junior Subordinated Debentures due 2080|Operating company|G|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN3-8|TXN9-8|TXN2-7|TXN4-4|9200000|||Quarterly|||||2020-10-07|2080-10-15|||||| | | | | | | | | |||N|0|N|N|302A||US|||||||||||N||N||||||N|0|Y||Y|2|||20.1|20.1|0.0|0.0|0.0|20.08|20.24|0.0|0.0|0.0|20.26|0.0|20.13|20.1|0.0|20.24|0.0|20.24|20.3|20.24|20.08|20.27|0.0|0.0|19.72|20.78|0.0|0.0|0.0|0.0|20.08|20.27|22.86|17.1301|11498|3043574 72159|DTC|DTC|83425V104|US83425V1044|Solo Brands, Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|P|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-6|TXN2-8|TXN7-5|TXN1-3|TXN1-3|57850000|||NotApplicable|||||2021-10-28||||||| | | | | | | | | |||N|0|N|Y|146G|USA|US|||40|4020|402030|40203050|Consumer Discretionary|Consumer Products and Services|Leisure Goods|Recreational Products|N||N||||||Y|0|Y||Y|2|||5.42|5.42|0.0|0.0|5.43|5.42|5.43|5.415|0.0|0.0|5.42|5.42|5.44|5.42|5.42|5.43|5.42|5.44|5.38|5.43|5.43|5.45|4.24|6.61|5.4|5.46|5.4|6.49|5.39|5.46|5.43|5.45|8.8556|3.39|359483|129735453 76304|DTCK|DTCK|G2677P105|KYG2677P1054|Davis Commodities Ltd|ORD||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN6-3|TXN12-2|TXN5-8|TXN6-7|24500000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||SGP||||45|4510|451020|45102035|Consumer Staples |Food, Beverage and Tobacco |Food Producers|Sugar|N||N||||||N|0|Y||||||1.24|1.26|0.0|0.0|1.25|1.25|1.23|1.25|0.0|0.0|1.26|1.25|1.25|1.231|1.24|1.255|0.0|1.25|0.0|1.25|1.01|1.53|1.01|1.53|1.15|1.33|1.22|1.34|0.0|0.0|1.23|1.27|9.0|0.963126|426009|52379329 16677|DTD|DTD|97717W109|US97717W1099|WisdomTree Trust|WisdomTree U.S. Total Dividend Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||WisdomTree|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN4-7|TXN4-5|TXN2-8|TXN3-4|17350000|||Monthly|||||2007-10-10||DTD.NV|DTD.SO|DTD.EU|DTD.TC|DTD.IV| | | | | | | | | |1x|WisdomTree Total Dividend Fund seeks investment results that closely correspond to the price and yield performance, before fees and expenses, of the WisdomTree Dividend Index. The WisdomTree Dividend Index is a fundamentally-weighted index that defines the dividend-paying portion of the U.S. stock market. The Index measures the performance of US companies, listed on the NYSE, AMEX or NASDAQ Global Market, that pay regular cash dividends and that meet other liquidity and capitalization requirements established by WisdomTree. The index is dividend weighted at the annual reconstitution in December to reflect the proportionate share of the aggregate cash dividends each component company is projected to pay in the coming year, based on the most recently declared dividend per share. |N|0|N|N|406C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||0.0|0.0|0.0|0.0|0.0|63.12|63.06|62.32|0.0|0.0|63.12|0.0|63.04|61.88|0.0|0.0|0.0|63.06|0.0|63.06|59.91|66.04|62.98|63.22|63.06|63.14|62.98|63.23|62.98|63.23|63.06|63.14|64.545|57.39|24972|9819635 5909|DTE|DTE|233331107|US2333311072|DTE Energy Company|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|D|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN4-2|TXN9-8|TXN2-8|TXN2-8|206260000|||Quarterly|||||1949-11-16||||||| | | | | | | | | |||N|5|Y|Y|302A|USA|US|||65|6510|651010|65101015|Utilities|Utilities|Electricity|Conventional Electricity|N||N||||||Y|0|Y||Y|1|||108.39|108.42|0.0|108.38|108.39|108.415|108.37|108.41|0.0|0.0|108.41|108.4|108.38|108.41|108.42|108.41|108.43|108.37|108.64|108.41|108.36|108.37|102.27|116.14|108.34|108.42|108.34|108.44|108.36|108.4|108.36|108.37|122.405|90.14|1365994|301261796 60359|DTEC|DTEC|00162Q478|US00162Q4780|ALPS ETF Trust|ALPS Disruptive Technologies ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ALPS|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-8|TXN3-6|TXN8-8|TXN3-3|TXN2-8|2525002|||Yearly|||||2021-03-29||DTEC.NV|DTEC.SO|DTEC.EU|DTEC.TC|DTEC.IV| | | | | | | | | |1x|The Fund seeks to track the investment results of an index composed of global companies that enter traditional markets with new digital forms of production and distribution, and are likely to disrupt an existing market or value network.|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||38.79|0.0|0.0|0.0|0.0|0.0|38.87|38.95|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|38.8796|0.0|38.8796|0.0|0.0|0.0|0.0|38.84|39.04|0.0|0.0|0.0|0.0|38.84|39.04|41.17|32.33|6087|1813959 5913|DTF|DTF|23334J107|US23334J1079|DTF Tax-Free Income 2028 Term Fund Inc.|Common Stock|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN3-7|TXN3-8|TXN4-8|TXN1-5|7030000|||Monthly|||||1991-11-22||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||10.81|10.73|0.0|0.0|10.79|10.74|10.7422|10.83|0.0|0.0|10.81|0.0|10.74|0.0|0.0|10.73|0.0|10.73|0.0|10.73|10.73|10.78|10.59|10.78|10.11|10.77|10.71|10.8|10.76|10.84|10.73|10.77|11.39|10.29|35245|3260108 72685|DTG|DTG|233331818|US2333318184|DTE Energy Company|2021 Series E 4.375% Junior Subordinated Debentures due 2081|Operating company|G|N|N|N|Y|Y|Y|Y|Y|8|D|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN2-6|TXN9-8|TXN3-6|TXN1-4|11200000|||Quarterly|||||2021-11-29|2081-12-01|||||| | | | | | | | | |||N|0|N|N|302A||US|||||||||||N||N||||||N|0|Y||Y|2|||20.59|20.57|0.0|0.0|20.58|20.58|20.565|20.56|0.0|0.0|20.58|0.0|20.57|0.0|0.0|20.56|0.0|20.57|20.58|20.56|20.5|20.57|0.0|0.0|20.1|21.06|0.0|0.0|0.0|0.0|20.5|20.57|21.95|17.195|38966|5000803 16683|DTH|DTH|97717W802|US97717W8029|WisdomTree Trust|WisdomTree International High Dividend Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||WisdomTree|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-2|TXN4-1|TXN6-8|TXN3-4|TXN4-4|9150000|||Quarterly|||||2007-10-10||DTH.NV|DTH.SO|DTH.EU|DTH.TC|DTH.IV| | | | | | | | | |1x|WisdomTree International High Dividend Fund seeks investment results that closely correspond to the price and yield performance, before fees and expenses, of the WisdomTree DEFA Equity Income Index. Prior to January 20, 2009, the WisdomTree DEFA Equity Income Fund was named the WisdomTree DEFA High-Yielding Equity Fund. The WisdomTree DEFA Equity Income Index is a fundamentally weighted Index that measures the performance of companies with high dividend yields selected from the WisdomTree DEFA Index. At the index measurement date, companies within the WisdomTree DEFA Index with market capitalizations of at least $200 million and average daily trading volumes of at least $200,000 for the prior three months are ranked by dividend yield. Securities ranking in the highest 30% by dividend yield are selected for inclusion. Companies are weighted in the Index based on annual cash dividends paid. |N|0|N|N|406C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||0.0|37.48|0.0|0.0|37.46|0.0|37.49|37.435|0.0|0.0|37.42|0.0|37.41|0.0|0.0|0.0|0.0|37.48|0.0|37.48|35.63|39.4|34.89|40.03|37.44|37.49|35.63|39.4|0.0|0.0|37.44|37.49|39.26|34.58|14700|14793857 73063|DTI|DTI|26205E107|US26205E1073|Drilling Tools International Corp|COM USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN6-8|TXN14-8|TXN5-7|TXN5-4|29770000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|3.35|3.35|0.0|0.0|0.0|0.0|3.32|3.35|3.321|0.0|0.0|0.0|3.35|0.0|3.35|0.0|0.0|0.0|0.0|3.2|3.48|0.0|0.0|0.0|0.0|3.35|3.36|4.89|3.26|28318|5039899 63325|DTIL|DTIL|74019P108|US74019P1084|Precision BioSciences Inc|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-7|TXN6-8|TXN10-6|TXN5-3|TXN5-8|120900000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||0.3859|0.3859|0.0|0.0|0.38|0.3859|0.3859|0.3859|0.0|0.0|0.3859|0.38|0.3862|0.0|0.0|0.3872|0.0|0.3859|0.3909|0.3862|0.373|0.3859|0.2936|0.453|0.3782|0.3932|0.3596|0.4055|0.0|0.0|0.3851|0.3855|1.45|0.275|331687|190774298 70911|DTM|DTM|23345M107|US23345M1071|DT Midstream, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-4|TXN1-8|TXN4-3|TXN1-8|TXN3-5|96970000|||Quarterly|||||2021-06-18||||||| | | | | | | | | |||N|0|Y|Y|304B|USA|US|||60|6010|601010|60101035|Energy|Energy|Oil, Gas and Coal|Pipelines|N||N||||||Y|0|Y||Y|1|||58.26|58.26|0.0|58.28|58.27|58.26|58.28|58.28|0.0|0.0|58.27|58.29|58.28|58.28|58.27|58.27|58.26|58.28|58.16|58.27|58.27|58.28|54.06|61.89|58.19|58.31|58.23|58.32|58.22|58.32|58.27|58.28|60.45|45.105|728154|150109185 25453|DTRE|DTRE|33736N101|US33736N1019|First Trust Exchange-Traded Fund II|First Trust Alerian Disruptive Technology Real Estate|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||First Trust|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN1-2|TXN9-8|TXN2-5|TXN4-1|541608|||Quarterly|||||2008-11-06||FFR.NV|FFR.SO|FFR.EU|FFR.TC|FFR.IV| | | | | | | | | |1x|First Trust FTSE EPRA/NAREIT Developed Markets Real Estate Index Fund is an exchange-traded fund. The investment objective of the Fund is to seek investment results that correspond generally to the price and yield, before fees and expenses, of an equity index called the FTSE EPRA/NAREIT Developed Index. The Index is designed to measure the stock performance of companies engaged in specific real estate activities of the North American, European and Asian real estate markets. Relevant real estate activities are defined as the ownership, trading and development of income-producing real estate. The constituents of the Index are required to meet individual geographic criteria and are subject to size, liquidity, and free float screens. The Index is a modified market capitalization weighted index, based on free float market capitalization. The Index is rebalanced and reconstituted quarterly.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|40.89|0.0|0.0|0.0|0.0|41.8847|39.79|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|41.35|0.0|41.35|0.0|0.0|0.0|0.0|41.66|42.01|0.0|0.0|0.0|0.0|41.66|42.01|45.57|34.83|759|515873 58869|DTSS|DTSS|238116206|US2381162062|Datasea Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-4|TXN5-1|TXN14-2|TXN5-7|TXN5-5|38070000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||N|0|Y||||||0.184|0.0|0.0|0.0|0.184|0.184|0.184|0.0|0.0|0.0|0.0|0.0|0.184|0.0|0.0|0.18|0.0|0.184|0.0|0.184|0.171|0.1932|0.1408|0.216|0.175|0.1962|0.1408|0.216|0.0|0.0|0.1802|0.184|1.53|0.1695|63860|87185936 29917|DTST|DTST|23786R201|US23786R2013|Data Storage Corp|COM USD0.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN5-6|TXN13-6|TXN6-2|TXN5-4|6860000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101010|10101010|Technology|Technology|Software and Computer Services|Computer Services|N||N||||||N|0|Y||||||0.0|3.15|0.0|0.0|3.17|3.15|3.17|0.0|0.0|0.0|3.15|3.17|3.17|0.0|0.0|3.15|0.0|3.17|0.0|3.17|2.39|3.82|0.0|0.0|3.04|3.31|2.39|3.82|0.0|0.0|3.16|3.17|3.75|1.39|41831|9195394 70623|DTSTW|DTSTW|23786R110|US23786R1106|Data Storage Corp|WT EXP 051326||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-7|TXN6-1|TXN13-1|TXN6-6|TXN5-1|6860000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.088|0.0|0.0|0.0|0.0|0.0|0.1207|0.1999|0.4446|0.075|0|590016 60166|DTW|DTW|233331859|US2333318598|DTE Energy Company|2017 Series E 5.25% Junior Subordinated Debentures due 2077|Operating company|G|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN3-5|TXN8-8|TXN3-4|TXN1-6|16000000|||Quarterly|||||2017-11-22|2077-12-01|||||| | | | | | | | | |||N|0|N|N|302A||US|||||||||||N||N||||||N|0|Y||Y|2|||23.36|23.12|0.0|0.0|23.12|23.27|23.14|23.1|0.0|0.0|23.13|23.35|23.27|23.02|0.0|23.27|0.0|23.3|0.0|23.27|23.13|23.3|0.0|0.0|22.57|23.73|0.0|0.0|0.0|0.0|21.57|24.88|24.99|20.425|43057|6108094 75876|DUBS|DUBS|26922B535|US26922B5350|Aptus Large Cap Enhanced Yield 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ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-1|TXN3-5|TXN5-8|TXN3-2|TXN4-7|2230000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||30.62|30.63|0.0|0.0|30.62|30.63|30.63|30.63|0.0|0.0|0.0|0.0|30.62|30.63|0.0|30.64|0.0|30.63|0.0|30.63|30.61|30.68|30.58|30.68|30.61|30.63|30.11|30.78|0.0|0.0|30.61|30.63|33.28|28.46|48005|3384717 56497|DUSA|DUSA|23908L207|US23908L2079|Davis Fundamental ETF Trust- Davis Select U.S. Equity ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN2-4|TXN1-5|TXN4-6|TXN4-5|11450000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|33.78|0.0|0.0|0.0|0.0|33.76|0.0|0.0|0.0|0.0|0.0|33.695|0.0|0.0|0.0|0.0|33.78|0.0|33.78|31.23|35.99|25.9|41.72|33.38|34.55|31.23|35.99|0.0|0.0|33.71|33.81|34.1301|26.7|14858|3751341 76371|DUSB|DUSB|25434V591|US25434V5912|Dimensional ETF Trust|Dimensional Ultrashort Fixed Income ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Dimensional Fund Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN3-3|TXN1-5|TXN2-5|TXN3-3|1700000|||Monthly|||||2023-09-27||DUSB.NV|DUSB.SO|DUSB.EU|DUSB.TC|DUSB.IV| | | | | | | | | ||The Ultrashort Fixed Income ETF seeks to achieve its investment objective by generally investing in a universe of investment grade fixed income securities that typically mature in one year or less from the date of settlement. The Portfolio may, however, take a large position in securities maturing within two years from the date of settlement when higher yields are available.|N|0|N|N|408A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||50.43|50.43|0.0|0.0|50.42|50.42|50.42|50.42|0.0|0.0|50.42|50.42|50.42|50.45|0.0|50.45|0.0|50.42|50.42|50.42|0.0|0.0|0.0|0.0|50.41|50.43|0.0|0.0|0.0|0.0|50.41|50.43|50.63|50.0499|82615|2211962 57227|DUSL|DUSL|25460E737|US25460E7379|Direxion Shares ETF Trust|Direxion Daily Industrials Bull 3X Shares|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Direxion Shares|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-6|TXN2-4|TXN5-5|TXN2-2|TXN4-8|750001|||Quarterly|||||2017-05-03||DUSL.NV|DUSL.SO|DUSL.EU|DUSL.TC|DUSL.IV| | | | | | | | | |3x|The Fund seeks daily investment results, before fees andexpenses, of 300% of the daily performance of the Industrials Select Sector Index|N|0|N|N|416A|USA|US|EQUITY|LEVERAGED|||||||||N||N||||||Y|0|Y||Y|2|||37.47|37.43|0.0|0.0|37.47|37.37|37.6893|36.59|0.0|0.0|36.59|0.0|37.71|37.47|0.0|36.59|0.0|37.6893|37.47|37.6893|37.48|37.94|37.6|37.78|37.66|37.74|37.59|37.78|37.6|37.79|37.6|37.72|42.195|26.42|19564|5107589 36212|DUST|DUST|25460G880|US25460G8805|Direxion Shares ETF Trust|Direxion Daily Gold Miners Index Bear 2X Shares|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Direxion Shares|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-5|TXN4-6|TXN1-8|TXN2-2|TXN2-3|8160171.0016|||Quarterly|||||2010-12-08||DUST.NV|DUST.SO|DUST.EU|DUST.TC|DUST.IV| | | | | | | | | |-2x|The Fund seeks daily investment results, before fees and expenses, of 200% of the performance of the NYSE Arca Gold Miners Index. The Index is composed of equity securities of issuers involved in the exploration and production of gold and does not track changes in the spot price of gold as a commodity.|N|0|N|N|416A|USA|US|EQUITY|INVERSE|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||10.76|10.79|0.0|10.72|10.77|10.78|10.775|10.77|0.0|0.0|10.78|10.78|10.78|10.87|10.77|10.775|10.78|10.76|10.73|10.76|10.75|10.94|10.69|13.11|10.78|10.8|10.75|10.81|10.76|10.81|10.77|10.8|16.55|8.46|5868248|1024066660 70303|DV|DV|25862V105|US25862V1052|DoubleVerify Holdings, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-5|TXN1-5|TXN1-7|TXN3-6|TXN4-4|169990000|||NotApplicable|||||2021-04-21||||||| | | | | | | | | |||N|0|Y|Y|180B|USA|US|||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||Y|1|||33.32|33.3|0.0|33.32|33.31|33.305|33.315|33.315|0.0|0.0|33.33|33.33|33.3|33.29|33.3|33.3|33.305|33.3|33.22|33.3|33.3|33.31|31.35|35.16|33.17|33.37|33.23|33.37|33.3|33.39|33.3|33.31|42.51|20.38|1279690|379187905 5927|DVA|DVA|23918K108|US23918K1088|DaVita Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|T|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-3|TXN4-1|TXN7-6|TXN4-3|TXN4-1|91270000|||NotApplicable|||||1995-10-31||||||| | | | | | | | | |||N|5|Y|Y|122B|USA|US|||20|2010|201010|20101010|Health Care |Health Care |Health Care Providers|Health Care Facilities|N||N||||||Y|0|Y||Y|1|||106.6|106.62|0.0|106.6|106.58|106.58|106.58|106.58|0.0|0.0|106.61|106.57|106.61|106.56|106.58|106.59|106.42|106.6|106.63|106.59|106.6|106.61|99.6|113.15|106.55|106.63|106.47|106.73|106.56|106.72|106.6|106.61|116.97|70.8|1128897|195175844 74819|DVAL|DVAL|35473P462|US35473P4625|BrandywineGLOBAL Dynamic US Large Cap Value ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN5-1|TXN10-6|TXN6-8|TXN5-6|12200000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|12.01|0.0|0.0|0.0|0.0|12.01|0.0|0.0|0.0|0.0|0.0|12.01|0.0|0.0|0.0|0.0|12.01|0.0|12.01|0.0|0.0|0.0|0.0|12.01|12.03|0.0|0.0|0.0|0.0|12.01|12.02|13.328|10.66|8614|4734341 1230|DVAX|DVAX|268158201|US2681582019|Dynavax Technologies Corp|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN5-5|TXN12-4|TXN6-8|TXN5-6|129260000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||13.91|13.91|0.0|0.0|13.91|13.91|13.9|13.91|0.0|0.0|13.91|13.9|13.92|13.92|13.905|13.91|13.87|13.9|13.91|13.92|13.89|13.92|10.75|16.9|13.89|13.92|13.88|13.95|13.87|13.96|13.9|13.91|15.15|9.42|1244494|355476606 76550|DVDN|DVDN|26923N868|US26923N8680|ETF Opportunities Trust|Kingsbarn Dividend Opportunity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y|||||||||GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-3|TXN2-8|TXN8-8|TXN1-8|TXN3-2|20000|||Quarterly|||||2023-11-02||||||| | | | | | | | | |||N|0|N|N|416A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|29.196|0.0|29.196|22.22|35.99|22.22|35.99|29.14|29.26|22.22|35.99|0.0|0.0|29.14|29.26|29.196|26.0|0|30303 61695|DVLU|DVLU|33741L207|US33741L2079|First Trust Exchange-Traded Fund VI - First Trust Dorsey Wright Momentum & Value ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN5-3|TXN14-8|TXN5-5|TXN5-2|1000000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|24.379|0.0|0.0|0.0|24.35|0.0|24.3789|0.0|0.0|0.0|0.0|24.379|0.0|24.3789|19.39|29.24|0.0|0.0|24.35|24.38|24.31|24.43|24.31|24.43|24.35|24.38|24.59|20.69|1139|1015441 5931|DVN|DVN|25179M103|US25179M1036|Devon Energy Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|A|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-3|TXN3-1|TXN4-1|TXN2-8|TXN2-6|640700000|||Quarterly|||||2004-10-12||||||| | | | | | | | | |||N|5|Y|Y|134A|USA|US|||60|6010|601010|60101010|Energy|Energy|Oil, Gas and Coal|Oil: Crude Producers|N||N||||||Y|0|Y||Y|1|||44.68|44.68|0.0|44.59|44.68|44.68|44.6899|44.68|0.0|0.0|44.68|44.7|44.68|44.69|44.69|44.68|44.7|44.6899|44.67|44.68|44.68|44.69|44.4|45.19|44.66|44.69|44.64|44.73|44.64|44.73|44.68|44.69|70.42|42.59|6670337|2067320592 74341|DVND|DVND|89157W103|US89157W1036|Touchstone ETF Trust|Touchstone Dividend Select ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Touchstone Investments|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-8|TXN3-5|TXN1-5|TXN4-5|TXN3-3|1100000|||Quarterly|||||2022-08-04||DVND.NV|DVND.SO|DVND.EU|DVND.TC|DVND.IV| | | | | | | | | ||The Fund invests, under normal market conditions, at least 80% of its assets in equity securities of U.S. large-cap companies that have historically paid dividends. The Funds 80% policy is a non-fundamental investment policy that can be changed by the Funds Board upon 60 days prior notice to shareholders. For the purpose of the Funds 80% policy, a large capitalization company has a market capitalization within the range represented in the S&P 500 Index (between approximately $5.2 billion and $2.9 trillion as of December 31, 2021) at the time of purchase. These securities may be listed on an exchange or traded over-the-counter.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|27.1297|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|27.2738|0.0|27.2738|26.98|27.54|27.23|27.26|27.24|27.3|27.24|27.33|0.0|0.0|27.24|27.33|27.4792|24.6434|4977|121560 61696|DVOL|DVOL|33741L108|US33741L1089|First Trust Exchange-Traded Fund VI - First Trust Dorsey Wright Momentum & Low Volatility ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN5-5|TXN11-8|TXN6-6|TXN6-6|1750000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||0.0|27.07|0.0|0.0|0.0|27.07|27.0875|0.0|0.0|0.0|27.055|0.0|27.0854|0.0|0.0|27.07|0.0|27.0875|0.0|27.0854|21.52|32.46|0.0|0.0|27.08|27.11|27.01|27.18|27.02|27.17|27.08|27.11|27.195|24.42|19828|3423700 5934|DVY|DVY|464287168|US4642871689|iShares Select Dividend ETF|DJ SEL DIV INX||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN5-8|TXN13-4|TXN6-3|TXN6-7|162400000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||114.17|114.15|0.0|114.0|114.16|114.16|114.16|114.15|0.0|0.0|114.16|114.15|114.15|113.96|114.01|114.15|114.15|114.14|114.16|114.15|113.93|114.39|113.97|114.2|114.1|114.16|113.96|114.27|114.01|114.25|114.12|114.15|126.895|102.66|757888|159331187 39632|DVYA|DVYA|464286293|US4642862936|iShares Inc.|iShares Asia/Pacific Dividend ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-5|TXN4-1|TXN4-8|TXN1-7|TXN2-1|1200000|||Quarterly|||||2012-02-24||DVYA.NV|DVYA.SO|DVYA.EU|DVYA.TC|DVYA.IV| | | | | | | | | |1x|The iShares Asia / Pacific Dividend 30 Index Fund seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the Dow Jones Asia / Pacific Select Dividend 30 Index. The Underlying Index measures the stock performance of high dividend paying companies listed in Australia, China, Hong Kong, Japan, New Zealand and Singapore. The Underlying Index measures the performance of a selected group of equity securities issued by companies that have provided relatively high dividend yields on a consistent basis over time. Dividend yield is calculated using a stocks unadjusted indicated annual dividend (not including any special dividends) divided by its unadjusted price.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|33.27|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|33.2756|0.0|33.2756|31.16|35.53|0.0|0.0|33.21|33.32|31.16|35.53|0.0|0.0|33.21|33.32|36.8|30.4601|3986|878023 39633|DVYE|DVYE|464286319|US4642863199|iShares Inc.|iShares Emerging Markets Dividend ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-3|TXN1-7|TXN6-6|TXN4-3|TXN3-1|25200000|||Quarterly|||||2012-02-24||DVYE.NV|DVYE.SO|DVYE.EU|DVYE.TC|DVYE.IV| | | | | | | | | |1x|The iShares Emerging Markets Dividend Index Fund seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the Dow Jones Emerging Markets Select Dividend Index. The Underlying Index measures the performance of a group of equity securities issued by companies in emerging market countries that have provided relatively high dividend yields on a consistent basis over time. Dividend yield is calculated using a stocks unadjusted indicated annual dividend (not including any special dividends) divided by its unadjusted price. The starting universe for the Underlying Index is the Dow Jones Emerging Markets Total Stock Market Specialty Index, excluding countries classified as frontier markets.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||25.66|25.65|0.0|0.0|25.66|25.72|25.665|25.66|0.0|0.0|25.66|25.65|25.665|25.65|25.51|0.0|0.0|25.66|0.0|25.66|25.65|27.09|24.21|27.38|25.66|25.68|25.61|27.09|25.27|25.96|25.66|25.68|26.465|22.86|77810|25329376 71875|DWAC|DWAC|25400Q105|US25400Q1058|Digital World Acquisition Corp|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN6-1|TXN13-5|TXN6-5|TXN5-4|29990000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||17.68|17.74|0.0|0.0|17.74|17.66|17.7|17.73|0.0|0.0|17.66|17.66|17.66|17.7|0.0|17.66|0.0|17.7|17.71|17.66|17.45|17.88|13.57|21.56|17.48|17.87|17.6|17.77|17.64|17.72|17.64|17.7|25.85|12.34|141574|118494892 71362|DWACU|DWACU|25400Q204|US25400Q2049|Digital World Acquisition Corp|UNITS||R|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN6-2|TXN12-3|TXN6-5|TXN6-2|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|20.0|0.0|0.0|0.0|0.0|19.85|0.0|19.85|15.2|25.2|0.0|0.0|19.31|22.39|15.2|25.2|0.0|0.0|19.31|21.0|29.0|13.26|425|243081 71876|DWACW|DWACW|25400Q113|US25400Q1132|Digital World Acquisition Corp|WT EXP 063028||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN6-2|TXN11-4|TXN5-8|TXN6-6|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||5.97|0.0|0.0|0.0|0.0|5.95|5.91|0.0|0.0|0.0|5.95|0.0|6.0|5.963|0.0|0.0|0.0|5.91|0.0|5.91|4.58|7.33|4.58|7.33|5.9|6.45|4.58|7.33|0.0|0.0|5.9|6.02|8.0|2.2501|10792|12683945 40362|DWAS|DWAS|46138E842|US46138E8425|Invesco Dorsey Wright SmallCap Momentum ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN5-8|TXN13-3|TXN5-1|TXN6-8|8930000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||78.65|78.73|0.0|0.0|78.68|78.65|78.77|78.65|0.0|0.0|78.65|0.0|78.76|78.65|78.65|78.65|0.0|78.73|0.0|78.76|78.61|78.9|73.24|83.57|78.71|78.79|78.42|82.43|78.43|0.0|78.72|78.76|83.27|68.4439|49836|11993625 46078|DWAT|DWAT|042765792|US0427657921|Arrow Investments Trust Arrow DWA Tactical ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-1|TXN4-7|TXN6-8|TXN1-8|TXN3-3|300000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|9.9394|0.0|0.0|0.0|0.0|9.8701|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|9.9394|9.88|9.9394|9.84|10.05|9.91|9.94|9.92|9.95|9.92|9.95|0.0|0.0|9.92|9.95|11.2901|9.1|40|251001 65289|DWAW|DWAW|00768Y479|US00768Y4796|AdvisorShares Dorsey Wright FSM All Cap World ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN5-8|TXN11-3|TXN6-1|TXN6-6|2170000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|32.2071|0.0|0.0|0.0|0.0|0.0|32.3|0.0|0.0|0.0|0.0|32.2071|0.0|32.3|32.02|32.67|0.0|0.0|32.3|32.35|32.3|32.35|32.23|32.51|32.3|32.35|34.7712|28.75|16554|2013673 60361|DWCR|DWCR|042765685|US0427656857|Arrow Investments Trust - Arrow DWA Country Rotation ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-5|TXN4-7|TXN5-8|TXN3-6|TXN1-5|300000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|28.2021|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|28.2021|0.0|28.2021|0.0|0.0|0.0|0.0|27.43|28.88|0.0|0.0|0.0|0.0|27.96|28.44|29.69|25.0499|0|31789 56498|DWLD|DWLD|23908L306|US23908L3069|Davis Fundamental ETF Trust-Davis Select Worldwide ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-7|TXN2-4|TXN7-8|TXN4-7|TXN3-3|9050000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|28.2031|0.0|0.0|0.0|0.0|28.17|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|28.2031|0.0|28.2031|26.21|30.15|0.0|0.0|28.02|28.38|26.21|30.15|0.0|0.0|28.16|28.21|30.78|22.58|11560|3834448 16682|DWM|DWM|97717W703|US97717W7039|WisdomTree Trust|WisdomTree International Equity Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||WisdomTree|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-3|TXN3-2|TXN9-8|TXN1-7|TXN2-6|11150000|||Quarterly|||||2007-10-10||DWM.NV|DWM.SO|DWM.EU|DWM.TC|DWM.IV| | | | | | | | | |1x| WisdomTree International Equity Fund seeks investment results that closely correspond to the price and yield performance, before fees and expenses, of the WisdomTree Dividend Index of Europe, Far East Asia and Australasia Index (WisdomTree DEFA). The WisdomTree DEFA Fund operates as a fund of funds and attempts to achieve its investment objective by investing primarily in other WisdomTree exchange traded funds (ETFs). Instead of investing in several hundred securities, the Fund now invests primarily in the WisdomTree Europe Total Dividend Fund, Japan Total Dividend Fund and Pacific ex-Japan Total Dividend Fund. By investing in these ETFs the Fund will achieve exposure to the securities in the DEFA Index.|N|0|N|N|406C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||0.0|50.46|0.0|0.0|50.51|0.0|50.505|50.47|0.0|0.0|0.0|0.0|50.525|50.524|0.0|0.0|0.0|50.5417|0.0|50.5417|50.5|60.69|0.0|0.0|50.5|50.56|47.61|53.29|0.0|0.0|50.5|50.56|51.97|46.3501|19082|8384923 61400|DWMF|DWMF|97717Y774|US97717Y7748|WisdomTree Trust|WisdomTree International Multifactor Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||WisdomTree|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-7|TXN1-8|TXN5-8|TXN1-2|TXN4-3|1700000|||Quarterly|||||2018-08-10||DWMF.NV|DWMF.SO|DWMF.EU|DWMF.TC|DWMF.IV| | | | | | | | | ||The Fund is actively managed. The Fund seeks to achieve its investment objective by investing primarily in equity securities of developed markets, excluding the US and Canada, that have the highest potential for returns based on proprietary measures of valuation, quality, and technical factors.|N|0|N|N|406C|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|24.92|25.12|0.0|0.0|0.0|25.18|0.0|0.0|0.0|0.0|0.0|0.0|25.1028|0.0|25.1028|25.08|25.12|0.0|0.0|25.09|25.11|0.0|0.0|0.0|0.0|25.09|25.11|26.95|23.7|2442|1216095 61239|DWSH|DWSH|00768Y529|US00768Y5298|AdvisorShares Trust - AdvisorShares Dorsey Wright short etf|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN6-2|TXN12-3|TXN6-4|TXN6-4|2235000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||8.59|8.65|0.0|0.0|8.6|8.6|8.59|8.61|0.0|0.0|8.6|8.6|8.61|0.0|0.0|8.59|0.0|8.6|0.0|8.61|8.49|8.68|8.52|8.63|8.52|8.63|8.51|8.64|8.52|8.63|8.57|8.61|10.32|7.49|29948|17728305 9493|DWSN|DWSN|239360100|US2393601008|Dawson Geophysical Co|COM USD.3333||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN5-5|TXN10-5|TXN6-3|TXN6-1|30810000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||60|6010|601010|60101030|Energy|Energy|Oil, Gas and Coal|Oil Equipment and Services|N||N||||||N|0|Y||||||1.56|0.0|0.0|0.0|1.56|1.55|1.5501|1.56|0.0|0.0|1.55|0.0|1.56|0.0|0.0|0.0|1.55|1.5501|0.0|1.5501|1.47|1.74|0.0|0.0|1.49|1.75|1.24|1.95|0.0|0.0|1.55|1.68|2.6513|1.28|28403|1475654 65291|DWUS|DWUS|00768Y487|US00768Y4879|AdvisorShares Dorsey Wright FSM US Core ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN5-3|TXN10-2|TXN5-1|TXN6-1|2380000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|38.1518|0.0|0.0|0.0|0.0|0.0|0.0|38.1518|37.75|38.52|0.0|0.0|37.88|38.23|35.35|38.23|0.0|0.0|38.1|38.2|38.61|31.73|95|540115 27239|DWX|DWX|78463X772|US78463X7729|SPDR Index Shares Funds|SPDR S&P International Dividend ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-8|TXN3-3|TXN8-8|TXN3-2|TXN1-3|14501326|||Quarterly|||||2008-11-07||DWX.NV|DWX.SO|DWX.EU|DWX.TC|DWX.IV| | | | | | | | | |1x|The SPDR S&P International Dividend ETF seeks to replicate as closely as possible, before expenses, the price and yield performance of the S&P International Dividend Opportunities Index (ticker: SPGTDOU). The S&P International Dividend Opportunities Index generally includes 100 tradable, exchange-listed common stocks from around the world that offer high dividend yields. The universe from which the International Dividend Index is drawn is all dividend-paying common stocks and ADRs listed on primary exchanges of countries included in the S&P/Citigroup Broad Market Index that may be delivered in-kind, free of payment. To be included in the International Dividend Index, stocks must meet, as of the reference date, the following investability criteria: a total market capitalization greater than $1.5 billion; a three-month average daily value traded greater than $5 million; and traded at least 300,000 shares for each of the preceding six months. Additionally, stocks must meet the following stability factor: positive 5-year earnings growth and profitability, as measured by positive earning per share. To ensure diverse exposure, no single country or sector has more than 25% weight in the Index and emerging market exposure is limited to 10% at rebalancing. Common stocks of companies domiciled in the United States, derivatives, structured products, over-the-counter listings, mutual funds and exchange traded funds are not eligible for inclusion in the International Dividend Index. The reference date is the last trading date of June and December. The market capitalization and liquidity thresholds are subject to change according to market conditions.|N|0|N|N|406C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|34.65|0.0|0.0|34.55|34.55|34.62|34.64|0.0|0.0|34.56|0.0|34.55|34.54|34.55|0.0|0.0|34.65|0.0|34.65|32.79|36.58|0.0|0.0|34.6|34.65|32.79|36.58|0.0|0.0|34.6|34.65|35.99|31.8|58245|10216202 5937|DX|DX|26817Q886|US26817Q8868|Dynex Capital, Inc.|Common Stock|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-4|TXN4-7|TXN4-3|TXN2-2|TXN3-2|56650000|||Monthly|||||2019-06-21||||||| | | | | | | | | |||N|0|N|Y|412A|USA|US|||30|3020|302030|30203020|Financials|Financial Services |Mortgage Real Estate Investment Trusts|Mortgage REITs: Residential|N||N||||||Y|0|Y||Y|2|||11.815|11.81|0.0|11.79|11.815|11.815|11.81|11.815|0.0|0.0|11.815|11.82|11.81|11.82|11.775|11.82|11.815|11.81|11.82|11.82|11.81|11.82|9.1|14.44|11.8|11.83|11.79|11.84|11.78|11.85|11.81|11.82|15.0|9.57|763926|232339774 65659|DX PRC|DXpC|26817Q878|US26817Q8785|Dynex Capital, Inc.|6.900% Series C Fixed-to-Floating Rate Cumulative Redeemable Preferred Stock|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN2-7|TXN7-8|TXN2-7|TXN3-6|4460000|||Quarterly|||||2020-02-25||||||| | | | | | | | | |||N|0|N|N|412A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|22.95|0.0|0.0|0.0|23.23|23.3021|22.95|0.0|0.0|23.2|22.9|23.38|0.0|0.0|23.38|23.25|23.38|0.0|23.38|23.27|23.49|23.27|23.5|22.85|23.97|0.0|0.0|0.0|0.0|23.27|23.49|23.75|20.53|6163|2573994 56848|DXC|DXC|23355L106|US23355L1061|DXC Technology Company|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|O|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-6|TXN3-5|TXN7-8|TXN3-1|TXN1-5|193640000|||Quarterly|||||2017-03-16||||||| | | | | | | | | |||N|0|Y|Y|180B|USA|US|||10|1010|101010|10101010|Technology|Technology|Software and Computer Services|Computer Services|N||N||||||Y|0|Y||Y|1|||23.85|23.87|0.0|23.59|23.85|23.87|23.87|23.87|0.0|0.0|23.87|23.84|23.87|23.85|23.85|23.86|23.86|23.87|23.84|23.86|23.86|23.87|22.2|25.21|23.86|23.88|23.83|23.9|23.82|23.91|23.86|23.87|30.27|18.61|2282309|541266219 1244|DXCM|DXCM|252131107|US2521311074|DexCom Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN5-7|TXN13-1|TXN5-5|TXN6-6|386370000|||NotApplicable|||||||||||| | | | | | | | | |||N|5|Y|N||USA||||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||Y|0|Y||||||118.3|118.28|0.0|118.28|118.32|118.31|118.25|118.25|0.0|0.0|118.28|118.36|118.24|118.24|118.28|118.46|118.31|118.26|118.24|118.24|118.16|118.37|109.98|125.36|118.21|118.33|118.12|118.48|118.23|0.0|118.25|118.27|139.55|74.75|3085082|784831898 16835|DXD|DXD|74347G374|US74347G3746|ProShares Trust|ProShares UltraShort Dow 30|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ProShares Advisors |Latour Trading, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN3-3|TXN5-2|TXN2-3|TXN3-6|2159786|||Quarterly|||||2008-11-11||DXD.NV|DXD.SO|DXD.EU|DXD.TC|DXD.IV| | | | | | | | | |-2x|ProShares UltraShort Dow30 seeks daily investment results, before fees and expenses, that correspond to twice (200%) the inverse (opposite) of the daily performance of the Dow Jones Industrial Average Index. This ETF seeks a return of -200% of the return of an index (target) for a single day. Due to the compounding of daily returns, returns over periods other than one day will likely differ in amount and possibly direction from the target return for the same period. Investors should monitor their ProShares holdings consistent with their strategies, as frequently as daily. For more on correlation, leverage and other risks, please read the prospectus. The Dow Jones Industrial Average is a price-weighted index that is calculated as a simple average. The Index includes 30 large-cap, blue-chip U.S. stocks, excluding utility and transportation companies. They represent the leading U.S. companies in the industries driving the U.S. stock market, are widely held by investors and have long records of sustained growth. It is not possible to invest directly in an index. |N|0|N|N|416A|USA|US|EQUITY|INVERSE|||||||||N||N||||||Y|0|Y||Y|2|||36.87|36.94|0.0|37.12|36.94|36.89|36.9196|37.23|0.0|0.0|36.91|36.9|36.94|36.891|37.03|36.91|37.04|36.94|0.0|36.94|36.91|36.96|36.81|37.05|36.93|36.94|36.81|37.05|36.17|37.66|36.93|36.94|48.06|36.79|267956|97659265 36141|DXF|DXF|26605Q205|US26605Q2057|Dunxin Financial Holdings Limited|American Depositary Shares, each representing four hundred and eighty (480) Ordinary Shares|Operating company|H|N|Y|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN11-8|TXN1-4|TXN9-8|TXN4-1|TXN3-5|1907630000|||NotApplicable|||||2023-07-25||||||| | | | | | | | | |||N|0|N|N|310A|CHN|KY|||40|4020|402040|40204020|Consumer Discretionary|Consumer Products and Services|Personal Goods|Clothing and Accessories|N||N||||||N|0|Y||Y|2|||0.385|0.401|0.0|0.0|0.0|0.383|0.3916|0.3784|0.0|0.0|0.383|0.0|0.3916|0.0|0.0|0.0|0.384|0.384|0.0|0.384|0.3593|0.4216|0.384|0.399|0.377|0.42|0.3208|0.4852|0.377|0.401|0.384|0.399|1.9|0.03|49968|350348873 16675|DXJ|DXJ|97717W851|US97717W8516|WisdomTree Trust|WisdomTree Japan Hedged Equity Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||WisdomTree|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN3-5|TXN3-5|TXN2-3|TXN2-2|35850000|||Quarterly|||||2007-10-09||DXJ.NV|DXJ.SO|DXJ.EU|DXJ.TC|DXJ.IV| | | | | | | | | |1x|WisdomTree Japan Total Dividend Fund seeks investment results that closely correspond to the price and yield performance, before fees and expenses, of the WisdomTree Japan Dividend Index. The WisdomTree Japan Dividend Index is a fundamentally weighted Index that measures the performance of dividend-paying companies incorporated in Japan, listed on the Tokyo Stock Exchange and that meet other requirements necessary to be included in the WisdomTree DEFA Index. 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Retailers|N||N||||||Y|0|Y||||||3.84|3.84|0.0|3.95|3.85|3.845|3.845|3.845|0.0|0.0|3.84|3.84|3.85|3.91|3.85|3.84|3.84|3.85|3.87|3.85|3.83|3.87|3.0|4.75|3.81|3.85|3.81|3.88|3.83|3.88|3.84|3.85|7.57|3.685|473895|130222208 1248|DXPE|DXPE|233377407|US2333774071|DXP Enterprises Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN6-2|TXN10-4|TXN5-8|TXN6-3|16180000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502050|50205010|Industrials|Industrial Goods and Services|Industrial Support Services|Industrial Suppliers|N||N||||||Y|0|Y||||||0.0|30.29|0.0|0.0|30.22|29.91|30.255|30.26|0.0|0.0|30.17|0.0|30.27|29.56|29.67|29.67|0.0|30.29|0.0|30.27|29.84|30.61|22.78|36.97|29.91|30.28|30.1|30.38|30.07|30.43|30.2|30.28|39.89|22.06|78526|20789439 5940|DXR|DXR|239467103|US2394671034|Daxor Corp|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN5-2|TXN11-2|TXN6-3|TXN6-4|4740000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|7.8808|7.88|0.0|0.0|7.8|0.0|7.88|0.0|0.0|0.0|0.0|7.9|0.0|7.9|0.0|0.0|0.0|0.0|7.37|8.32|0.0|0.0|0.0|0.0|7.8|7.89|13.128|7.11|1529|1235026 1249|DXYN|DXYN|255519100|US2555191004|Dixie Group Inc (The)|COM USD3||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-5|TXN5-1|TXN13-4|TXN5-3|TXN6-4|14430000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4020|402020|40202015|Consumer Discretionary|Consumer Products and Services|Household Goods and Home Construction|Household Furnishings|N||N||||||Y|0|Y|D|||||0.895|0.895|0.0|0.0|0.92|0.89|0.8799|0.949|0.0|0.0|0.88|0.0|0.8501|0.0|0.0|0.0|0.0|0.8799|0.0|0.8799|0.7695|0.924|0.6743|1.06|0.7582|0.9385|0.716|0.996|0.0|0.0|0.8101|0.88|1.36|0.46|38821|8573300 5942|DY|DY|267475101|US2674751019|Dycom Industries, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|O|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN2-8|TXN3-8|TXN3-4|TXN4-6|29340000|||NotApplicable|||||1990-09-24||||||| | | | | | | | | |||N|0|N|Y|114D|USA|US|||50|5010|501010|50101015|Industrials|Construction and Materials|Construction and Materials |Engineering and Contracting Services|N||N||||||Y|0|Y||Y|2|||108.06|108.15|0.0|107.84|108.05|108.06|107.86|108.13|0.0|0.0|108.25|108.1|107.94|108.1|107.01|107.92|106.72|107.87|107.73|107.92|107.86|107.93|84.05|133.65|107.73|108.17|107.72|108.09|107.66|107.92|107.66|107.92|115.53|77.33|317383|92836139 5786|DYAI|DYAI|26745T101|US26745T1016|Dyadic International Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN6-6|TXN14-4|TXN6-6|TXN5-4|28810000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||1.79|1.75|0.0|0.0|0.0|1.71|1.7299|1.72|0.0|0.0|1.71|1.73|1.73|1.75|0.0|0.0|1.77|1.7299|1.75|1.73|1.61|1.83|0.0|0.0|1.67|1.76|1.36|2.0|0.0|0.0|1.7|1.73|2.4|1.12|28567|6430254 70992|DYLD|DYLD|90214Q675|US90214Q6750|Two Roads Shared Trust|LeaderShares® Dynamic Yield ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Ultimus Fund Solutions (LeaderShares)|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-8|TXN2-4|TXN1-8|TXN2-6|TXN4-4|3500000|||Monthly|||||2021-06-29||DYLD.NV|DYLD.SO|DYLD.EU|DYLD.TC| | | | | | | | | | |1x|The Fund will be an actively managed exchange traded fund (ETF) that normally invests, directly or indirectly, at least 80% of its net assets, including any borrowings for investment purposes, in a diversified portfolio of fixed income instruments. The Fund is not managed relative to an index and has broad flexibility to allocate its assets across different types of securities and sectors of the fixed income markets. The principal investments of the Fund include corporate bonds, U.S. government and agency securities, private debt, foreign sovereign bonds, convertible securities, bank loans, asset-backed securities, mortgage-backed securities, and cash equivalent instruments. 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price and yield performance, before fees and expenses, of the Cboe DJIA Half BuyWrite Index (Underlying Index).|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|24.5899|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|25.83|0.0|25.83|0.0|0.0|0.0|0.0|25.77|25.88|25.77|25.88|25.78|25.88|25.77|25.88|25.9599|23.8693|3|48214 67536|DYN|DYN|26818M108|US26818M1080|Dyne Therapeutics Inc|COM USD.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN6-7|TXN13-5|TXN5-3|TXN5-5|61380000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||11.65|11.64|0.0|11.62|11.68|11.65|11.68|11.68|0.0|0.0|11.67|11.67|11.65|11.65|11.67|11.64|11.67|11.68|11.64|11.65|11.33|11.78|9.13|14.38|11.45|11.75|11.64|11.73|11.66|0.0|11.66|11.7|15.6|6.4|1086025|108392216 63286|DYNF|DYNF|09290C103|US09290C1036|BlackRock ETF Trust|BlackRock U.S. Equity Factor Rotation ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Latour Trading, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-3|TXN2-5|TXN6-8|TXN4-4|TXN3-3|1225000|||Quarterly|||||2019-03-21||DYNF.NV|DYNF.SO|DYNF.EU|DYNF.TC|DYNF.IV| | | | | | | | | ||The Fund seeks to achieve its investment objective by investing, under normal circumstances, at least 80% of its net assets plus the amount of any borrowings for investment purposes in U.S. 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April is an exchange-traded fund incorporated in the USA. It is designed to track the return of the MSCI Emerging Markets Index (to a predetermined cap) while buffering investors against the first 15% of losses over the outcome period (approximately 1 year). The ETF can be held indefinitely, resetting at the end of each outcome period.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|24.51|0.0|0.0|0.0|24.51|24.4944|24.65|0.0|0.0|24.51|0.0|0.0|0.0|0.0|24.53|0.0|24.5|0.0|24.5|24.19|24.92|24.45|24.52|24.46|24.54|24.43|24.59|24.43|24.59|24.46|24.54|25.525|23.12|8039|3892363 67903|EAR|EAR|270087208|US2700872086|Eargo Inc|COM USD.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN6-3|TXN12-4|TXN6-7|TXN5-1|20760000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||N|0|Y||||||2.6|2.59|0.0|0.0|0.0|2.59|2.6007|2.59|0.0|0.0|0.0|0.0|2.61|0.0|0.0|2.59|2.59|2.6007|0.0|2.61|2.04|3.1|1.98|3.17|2.54|2.66|2.04|3.1|0.0|0.0|2.6|2.61|16.8|0.5|55535|26048044 41903|EARN|EARN|288578107|US2885781078|Ellington Residential Mortgage REIT|Common Shares of Beneficial Interest, $0.01 par value|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|8|O|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN3-3|TXN9-8|TXN1-1|TXN4-1|16330000|||Monthly|||||2013-05-01||||||| | | | | | | | | |||N|0|N|Y|412A|USA|US|||30|3020|302030|30203020|Financials|Financial Services |Mortgage Real Estate Investment Trusts|Mortgage REITs: Residential|N||N||||||Y|0|Y||Y|2|||6.14|6.14|0.0|6.07|6.15|6.14|6.1403|6.145|0.0|0.0|6.14|6.14|6.14|6.15|0.0|6.14|6.15|6.13|6.0|6.14|6.13|6.15|4.72|7.46|6.03|6.27|6.11|6.18|6.12|6.15|6.13|6.15|8.15|5.09|194722|24680689 61693|EASG|EASG|233051218|US2330512185|DBX ETF Trust|Xtrackers MSCI EAFE ESG Leaders Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||DBX Advisors|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-4|TXN4-2|TXN4-8|TXN1-7|TXN1-6|1600001|||BiAnnually|||||2018-09-06||EASG.NV|EASG.SO|EASG.EU|EASG.TC|EASG.IV| | | | | | | | | |1x|Fund will aim to track the underlying index, which aims to provide access to US equities that show factor exposure to quality and value.|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|27.03|0.0|28.2135|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|28.288|0.0|28.288|0.0|0.0|0.0|0.0|28.26|28.3|0.0|0.0|0.0|0.0|28.26|28.3|29.51|25.31|521|1316706 49226|EAST|EAST|277802401|US2778024016|Eastside Distilling Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN6-6|TXN11-6|TXN5-2|TXN5-2|1560000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||45|4510|451010|45101015|Consumer Staples |Food, Beverage and Tobacco |Beverages|Distillers and Vintners|N||N||||||Y|0|Y|C|||||0.0|1.12|0.0|0.0|0.0|1.17|1.21|1.18|0.0|0.0|1.19|1.16|1.17|1.123|1.2|0.0|0.0|1.21|0.0|1.17|0.944|1.46|0.944|1.46|1.12|1.25|0.944|1.46|0.0|0.0|1.15|1.22|8.22|0.1697|48407|40259845 5955|EAT|EAT|109641100|US1096411004|Brinker International, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|O|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-2|TXN1-2|TXN5-4|TXN3-5|TXN2-3|44200000|||Quarterly|||||1989-07-28||||||| | | | | | | | | |||N|0|N|Y|128B|USA|US|||40|4050|405010|40501040|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Restaurants and Bars|N||N||||||Y|0|Y||Y|2|||38.46|38.49|0.0|38.5|38.48|38.45|38.485|38.48|0.0|0.0|38.48|38.49|38.5|38.45|38.36|38.49|38.45|38.5|38.45|38.49|38.49|38.5|30.05|47.15|38.24|38.53|38.47|38.55|38.42|38.56|38.49|38.5|42.12|28.23|1336294|245832919 73061|EATV|EATV|00770X261|US00770X2615|Advisors Series Trust|VegTech Plant-based Innovation & Climate ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||VegTech|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-3|TXN4-2|TXN6-8|TXN2-8|TXN3-3|330000|||Yearly|||||2021-12-29||EATV.NV|EATV.SO|EATV.EU|EATV.TC| | | | | | | | | | |1x|VegTech Plant-based Innovation & Climate ETF is an actively managed exchange traded fund (ETF) will invest under normal circumstances at least 80% of its net assets (plus any borrowings for investment purposes) in the securities of companies that meet the Advisers strict criteria mandating amount of animal-based materials, processes or services used in end-products in order to promote positive environmental change.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|15.67|15.7397|0.0|0.0|0.0|0.0|0.0|15.7|0.0|0.0|0.0|0.0|15.7428|0.0|15.7428|12.23|18.73|0.0|0.0|15.72|15.76|12.23|18.73|0.0|0.0|15.72|15.76|18.37|14.29|656|175601 70304|EATZ|EATZ|00768Y388|US00768Y3889|AdvisorShares Trust|AdvisorShares Restaurant ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||AdvisorShares|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-4|TXN2-5|TXN4-8|TXN4-4|TXN3-3|125000|||Yearly|||||2021-04-21||EATZ.NV|EATZ.SO|EATZ.EU|EATZ.TC| | | | | | | | | | |1x|actively managed exchange-traded fund that seeks to achieve its investment objective by investing companies of the restaurant business. The Fund defines companies in the restaurant business as those in the restaurant sub-industry, which consists of owners and actively managed exchange-traded fund that seeks to achieve its investment objective by investing companies of the restaurant business. The Fund defines companies in the restaurant business as those in the restaurant sub-industry, which consists of owners and operators of restaurants, bars, pubs, and fast food or take out facilities as well as companies that provide food catering services.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||Y|0|Y||Y|2|||0.0|21.39|0.0|0.0|0.0|0.0|21.38|20.715|0.0|0.0|0.0|0.0|21.27|0.0|0.0|18.49|0.0|21.3097|0.0|21.3097|21.08|21.53|0.0|0.0|21.28|21.34|21.26|21.34|0.0|0.0|21.28|21.34|22.44|17.7914|1817|213480 61790|EB|EB|29975E109|US29975E1091|Eventbrite, Inc.|Class A Common Stock, $0.00001 par value per share|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN2-4|TXN5-4|TXN4-3|TXN3-1|84960000|||NotApplicable|||||2018-09-20||||||| | | | | | | | | |||N|0|N|Y|180B|USA|US|||10|1010|101010|10101020|Technology|Technology|Software and Computer Services|Consumer Digital Services |N||N||||||Y|0|Y||Y|2|||7.78|7.775|0.0|7.71|7.78|7.775|7.77|7.78|0.0|0.0|7.77|7.77|7.77|7.78|7.81|7.78|7.74|7.78|7.81|7.78|7.77|7.78|5.89|9.55|7.75|7.8|7.74|7.81|7.74|7.81|7.77|7.78|11.905|5.3|1554908|289341699 1262|EBAY|EBAY|278642103|US2786421030|eBay Inc.|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN6-6|TXN12-1|TXN6-4|TXN5-3|519000000|||NotApplicable|||||||||||| | | | | | | | | |||N|5|Y|N||USA||||40|4020|402010|40201070|Consumer Discretionary|Consumer Products and Services|Consumer Services |Consumer Services: Misc.|N||N||||||Y|0|Y||||||41.63|41.62|0.0|41.55|41.62|41.62|41.615|41.61|0.0|0.0|41.61|41.62|41.62|41.62|41.61|41.615|41.625|41.62|41.62|41.62|41.61|41.65|38.85|44.22|41.61|41.65|41.57|41.67|41.58|41.67|41.61|41.62|52.23|37.17|5197587|1213667033 67892|EBC|EBC|27627N105|US27627N1054|Eastern Bankshares Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN5-4|TXN14-7|TXN5-2|TXN5-5|176430000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3030|303020|30302010|Financials|Insurance|Non-life Insurance|Full Line Insurance|N||N||||||Y|0|Y||||||12.91|12.9|0.0|0.0|12.9|12.905|12.909|12.91|0.0|0.0|12.91|12.91|12.91|12.9|12.91|12.91|12.83|12.9|12.9|12.91|12.87|12.93|9.76|15.63|12.87|12.93|12.87|12.93|12.86|12.94|12.9|12.91|19.49|9.93|772759|217356251 5957|EBF|EBF|293389102|US2933891028|Ennis, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN2-8|TXN9-8|TXN3-8|TXN4-7|25880000|||Quarterly|||||1969-01-20||||||| | | | | | | | | |||N|0|N|Y|104B|USA|US|||50|5020|502050|50205030|Industrials|Industrial Goods and Services|Industrial Support Services|Forms and Bulk Printing Services|N||N||||||N|0|Y||Y|2|||21.92|22.13|0.0|0.0|22.12|22.07|22.1|22.075|0.0|0.0|22.05|21.85|22.11|22.18|21.63|22.11|21.12|22.12|21.13|22.11|22.1|22.12|17.07|27.2|21.92|22.27|22.06|22.16|22.08|22.15|22.1|22.12|23.48|18.94|78034|21839513 1264|EBIX|EBIX|278715206|US2787152063|Ebix Inc|COM USD.1||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN5-2|TXN13-6|TXN6-2|TXN6-5|30900000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||||||4.39|4.395|0.0|4.36|4.4|4.395|4.4|4.4|0.0|0.0|4.4|4.37|4.4|4.39|4.39|4.395|0.0|4.4|4.4|4.4|4.37|4.44|3.37|5.4|4.34|4.42|4.36|4.42|4.37|4.43|4.39|4.4|32.87|3.11|1118468|222889004 62489|EBIZ|EBIZ|37954Y467|US37954Y4677|Global X Funds - Global X E-commerce ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN5-7|TXN10-2|TXN5-2|TXN5-8|3660000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||20.07|20.07|0.0|0.0|20.07|20.1|20.14|20.11|0.0|0.0|0.0|0.0|20.11|20.11|0.0|0.0|0.0|20.11|0.0|20.11|0.0|0.0|19.7|20.45|19.93|20.34|19.7|20.45|19.7|20.45|20.09|20.17|21.37|15.82|25898|2939739 56652|EBLU|EBLU|56167N753|US56167N7536|Managed Portfolio Series|Ecofin Global Water ESG Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Tortoise Capital Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-4|TXN1-7|TXN3-8|TXN1-1|TXN3-2|1150000|||BiAnnually|||||2021-01-04||EBLU.NV|EBLU.SO|EBLU.EU|EBLU.TC|EBLU.IV| | | | | | | | | |1x|The Tortoise Global Water ESG Fund seeks investment results that correspond generally to the price and distribution rate performance of the Tortoise Global Water ESG Net Total Return Index.|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||0.0|41.2|0.0|0.0|0.0|0.0|41.37|40.13|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|41.555|0.0|41.555|38.43|44.25|31.57|51.45|41.45|41.66|38.43|44.25|0.0|0.0|41.45|41.66|42.5799|36.02|729|962121 11712|EBMT|EBMT|26942G100|US26942G1004|Eagle Bancorp Montana Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN6-7|TXN11-2|TXN6-8|TXN6-1|7990000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|13.0|12.76|0.0|0.0|0.0|12.87|0.0|12.9|0.0|0.0|0.0|0.0|13.0|0.0|13.0|0.0|0.0|0.0|0.0|12.31|13.59|0.0|0.0|0.0|0.0|12.8|13.05|18.37|11.26|3173|1915912 36584|EBND|EBND|78464A391|US78464A3914|SPDR Series Trust|SPDR Bloomberg Emerging Markets Local Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-8|TXN4-2|TXN2-7|TXN2-6|TXN1-7|91400000|||Monthly|||||2011-02-24||EBND.NV|EBND.SO|EBND.EU|EBND.TC|EBND.IV| | | | | | | | | |1x|The SPDR Barclays Capital Emerging Markets Local Bond ETF seeks to provide investment results that, before fees and expenses, correspond generally to the price and yield performance of an index that tracks the fixed-rate local currency sovereign debt of emerging market countries. The Barclays Capital EM Local Currency Government Diversified Index is designed to measure the performance of the fixed-rate local currency sovereign debt of emerging market countries. |N|0|N|N|416A|USA|US|FIXED_INCOME|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||20.585|20.59|0.0|0.0|20.58|20.585|20.585|20.58|0.0|0.0|20.57|20.585|20.59|20.55|20.56|20.585|20.57|20.58|20.58|20.58|20.57|20.59|19.19|20.63|20.57|20.59|20.56|20.59|20.47|20.63|20.57|20.59|21.83|19.24|237469|119587256 66852|EBON|EBON|G3R33A205|KYG3R33A2053|Ebang International Holdings Inc|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN5-4|TXN13-8|TXN6-4|TXN5-6|4990000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||10|1010|101020|10102030|Technology|Technology|Technology Hardware and Equipment|Computer Hardware|N||N||||||N|0|Y||||||7.17|7.99|0.0|0.0|0.0|8.33|8.37|7.99|0.0|0.0|8.3|8.3|8.3|0.0|0.0|0.0|0.0|8.37|0.0|8.37|7.83|8.8|0.0|0.0|7.83|8.8|6.6|9.8|0.0|0.0|8.2|8.37|12.6|2.52|67718|10918872 29252|EBR|EBR|15234Q207|US15234Q2075|Centrais Elétricas Brasileiras S.A.- Eletrobrás|American Depositary Shares (Each representing one Common Share)|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-5|TXN3-8|TXN2-3|TXN4-1|TXN2-1|2021140000|||Adhoc|||||2008-10-31||||||| | | | | | | | | |||N|0|N|Y|302A|BRA|BR|||65|6510|651010|65101010|Utilities|Utilities|Electricity|Alternative Electricity|N||N||||||N|0|Y||Y|2|||8.25|8.25|0.0|8.26|8.25|8.245|8.25|8.245|0.0|0.0|8.24|8.24|8.245|8.24|8.19|8.24|8.24|8.25|8.25|8.24|8.24|8.25|6.45|10.2|8.24|8.25|8.2|8.29|8.2|8.29|8.24|8.25|8.575|5.67|698608|284524612 28371|EBR B|EBR.B|15234Q108|US15234Q1085|Centrais Elétricas Brasileiras S.A.- Eletrobrás|American Depositary Shares (Each representing one Preferred Share)|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-6|TXN3-3|TXN1-8|TXN2-4|TXN1-2|279940000|||Adhoc|||||2008-10-31||||||| | | | | | | | | |||N|0|N|Y|302A|BRA|BR|||65|6510|651010|65101010|Utilities|Utilities|Electricity|Alternative Electricity|N||N||||||N|0|Y||Y|2|||9.07|9.09|0.0|0.0|9.1|9.17|9.07|0.0|0.0|0.0|9.1|9.09|9.07|0.0|0.0|9.11|0.0|9.07|0.0|9.11|9.06|9.26|9.08|9.14|9.05|9.27|7.34|11.04|0.0|0.0|9.07|9.16|9.51|6.2|11443|5372580 18261|EBS|EBS|29089Q105|US29089Q1058|Emergent BioSolutions Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|T|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-4|TXN4-1|TXN9-4|TXN1-6|TXN3-4|51810000|||NotApplicable|||||2006-11-15||||||| | | | | | | | | |||N|0|N|Y|122A|USA|US|||20|2010|201030|20103015|Health Care |Health Care |Pharmaceuticals and Biotechnology|Pharmaceuticals |N||N||||||Y|4|Y||Y|2|||2.57|2.56|0.0|2.62|2.56|2.565|2.565|2.56|0.0|0.0|2.56|2.56|2.565|2.57|2.58|2.57|2.56|2.57|2.565|2.57|2.56|2.58|2.0|3.11|2.56|2.59|2.53|2.9|2.56|2.58|2.56|2.58|16.6643|1.81|1923586|403103698 1267|EBTC|EBTC|293668109|US2936681095|Enterprise Bancorp Inc/MA|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN6-8|TXN14-8|TXN5-3|TXN5-1|12260000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||||||0.0|0.0|0.0|0.0|0.0|29.46|29.12|28.7|0.0|0.0|29.25|0.0|29.55|0.0|0.0|0.0|0.0|29.46|0.0|29.55|29.12|30.41|0.0|0.0|28.13|30.46|0.0|0.0|0.0|0.0|29.13|29.67|36.72|25.0|32137|3761181 28868|EC|EC|279158109|US2791581091|Ecopetrol S.A|American Depositary Shares, (Each representing the right to receive 20 Common Shares)|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-5|TXN4-2|TXN6-8|TXN2-7|TXN3-7|41116700000|||Yearly|||||2008-09-18||||||| | | | | | | | | |||N|0|N|Y|134A|COL|CO|||60|6010|601010|60101000|Energy|Energy|Oil, Gas and Coal|Integrated Oil and Gas|N||N||||||Y|0|Y||Y|2|||12.64|12.635|0.0|12.59|12.64|12.635|12.635|12.64|0.0|0.0|12.64|12.63|12.635|12.64|12.63|12.64|12.645|12.635|12.64|12.64|12.63|12.64|9.86|15.58|12.62|12.65|12.62|12.66|12.63|12.67|12.63|12.64|13.08|8.59|2036473|472736765 71809|ECAT|ECAT|09262F100|US09262F1003|BlackRock ESG Capital Allocation Term Trust|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-7|TXN3-4|TXN9-7|TXN1-3|TXN2-8|102010000|||Monthly|||||2021-09-28||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||15.78|15.75|0.0|15.76|15.76|15.755|15.75|15.755|0.0|0.0|15.76|15.76|15.76|15.76|15.76|15.77|15.76|15.77|15.76|15.77|15.75|15.77|12.15|19.3|14.69|16.78|15.72|15.79|15.74|15.78|15.75|15.77|16.1|13.34|354626|67155782 74316|ECBK|ECBK|26828M106|US26828M1062|ECB Bancorp Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN6-8|TXN12-5|TXN5-1|TXN6-6|9390000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|12.21|12.141|0.0|0.0|0.0|0.0|0.0|12.24|0.0|0.0|0.0|0.0|12.141|0.0|12.141|0.0|0.0|0.0|0.0|11.4|12.73|0.0|0.0|0.0|0.0|12.0|12.28|16.7|9.82|2563|3190694 46118|ECC|ECC|269808101|US2698081013|Eagle Point Credit Company Inc.|Shares of Common Stock|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-4|TXN2-8|TXN8-4|TXN1-4|TXN4-7|71990000|||Monthly|||||2014-10-08||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||9.57|9.56|0.0|9.48|9.56|9.565|9.5624|9.57|0.0|0.0|9.57|9.5|9.57|9.57|9.49|9.57|9.56|9.58|9.57|9.57|9.57|9.58|7.38|11.67|9.55|9.59|9.55|9.59|9.55|9.59|9.57|9.58|11.79|8.6|988421|105435113 72707|ECC PRD|ECCpD|269809802|US2698098025|Eagle Point Credit Company Inc.|6.75% Series D Preferred Stock|Closed end fund|B|N|N|N|Y|Y|Y|Y|Y|6|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN1-6|TXN3-8|TXN2-7|TXN2-5|1140000|||Monthly|||||2021-12-01||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||19.72|0.0|0.0|0.0|0.0|19.74|19.65|0.0|0.0|0.0|19.6|0.0|0.0|19.74|0.0|19.65|0.0|19.65|0.0|19.65|19.45|19.75|19.65|19.75|18.3|21.06|0.0|0.0|0.0|0.0|19.45|19.75|22.25|19.06|3620|462744 70915|ECCC|ECCC|269809703|US2698097035|Eagle Point Credit Company Inc.|6.50% Series C Term Preferred Stock due 2031|Closed end fund|G|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN1-2|TXN6-8|TXN1-5|TXN1-5|2170000|||Monthly|||||2021-06-18|2031-06-30|||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|21.25|0.0|0.0|0.0|21.25|21.36|0.0|0.0|0.0|21.41|0.0|21.25|0.0|0.0|21.36|0.0|21.36|0.0|21.36|21.35|21.48|0.0|0.0|19.94|22.87|0.0|0.0|0.0|0.0|21.35|21.48|22.55|20.07|5348|1192751 73321|ECCV|ECCV|269809885||Eagle Point Credit Company Inc.|5.375% Notes due 2029|Closed end fund|G|N|N|N|Y|Y|Y|Y|Y|6|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN2-7|TXN9-8|TXN1-3|TXN3-4|0|||Quarterly|||||2022-01-26|2029-01-31|||||| | | | | | | | | |||N|0|N|N|406C||US|||50|5020|502040|50204000|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Industrial|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|21.9319|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|21.93|0.0|21.9319|0.0|21.93|21.86|21.92|21.86|21.99|20.3|23.45|0.0|0.0|0.0|0.0|21.86|21.92|22.8|20.78|2010|636859 70010|ECCW|ECCW|269809604||Eagle Point Credit Company Inc.|6.75% Notes due 2031|Closed end fund|G|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN4-6|TXN9-8|TXN3-7|TXN4-8|0|||Quarterly|||||2021-03-29|2031-03-31|||||| | | | | | | | | |||N|0|N|N|406C||US|||50|5020|502040|50204000|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Industrial|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|23.47|23.199|0.0|0.0|0.0|22.9|0.0|23.45|0.0|0.0|23.47|22.9|23.47|0.0|23.47|23.3|23.49|23.3|23.49|21.68|25.05|0.0|0.0|0.0|0.0|23.3|23.49|24.5|21.4301|581|665008 60936|ECCX|ECCX|269809505|US2698095054|Eagle Point Credit Company Inc.|6.6875% Notes due 2028|Closed end fund|G|N|N|N|Y|Y|Y|Y|Y|6|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN2-3|TXN7-8|TXN4-5|TXN1-5|1300000|||Quarterly|||||2018-04-30|2028-04-30|||||| | | | | | | | | |||N|0|N|N|406C||US|||||||||||N||N||||||N|0|Y||Y|2|||24.07|24.23|0.0|0.0|0.0|24.0|24.11|0.0|0.0|0.0|24.0|0.0|23.7|23.94|0.0|24.12|0.0|24.11|0.0|24.12|23.99|24.42|0.0|0.0|23.82|24.25|0.0|0.0|0.0|0.0|23.99|24.41|26.0|22.7|14377|779301 5967|ECF|ECF|289074106|US2890741067|Ellsworth Growth and Income Fund Ltd.|Common Stock|Closed end fund|P|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN4-8|TXN1-5|TXN3-7|TXN3-2|13920000|||Quarterly|||||1986-06-19||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||7.7|7.7|0.0|0.0|7.72|7.7|7.7|7.69|0.0|0.0|7.695|7.69|7.695|7.7|0.0|7.69|7.69|7.69|0.0|7.69|7.23|8.12|7.69|7.7|7.69|8.24|7.67|7.72|0.0|0.0|7.69|7.7|9.15|7.02|56958|10117764 59598|ECF PRA|ECFpA|289074205|US2890742057|Ellsworth Growth and Income Fund Ltd.|5.25% Series A Cumulative Preferred Shares (Liquidation Preference $25.00 per share)|Closed end fund|B|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-6|TXN4-5|TXN4-8|TXN2-3|TXN1-8|1170000|||Quarterly|||||2017-09-20||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||22.06|0.0|0.0|0.0|22.06|22.25|22.418|0.0|0.0|0.0|22.0|0.0|0.0|22.06|0.0|0.0|22.418|22.418|0.0|22.418|0.0|0.0|22.2|22.41|22.03|22.77|0.0|0.0|0.0|0.0|22.2|23.9|24.175|21.61|5995|696470 26261|ECH|ECH|464286640|US4642866408|iShares MSCI Chile ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-4|TXN3-8|TXN1-5|TXN3-2|TXN3-5|20850000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||26.86|26.85|0.0|0.0|26.87|26.9|26.89|26.89|0.0|0.0|26.905|27.79|26.88|26.87|26.91|26.89|26.84|26.85|26.89|26.85|26.74|27.07|25.34|28.67|26.76|27.05|25.69|28.19|0.0|0.0|26.86|26.93|32.06|23.67|372209|165838505 5969|ECL|ECL|278865100|US2788651006|Ecolab Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-5|TXN4-5|TXN6-5|TXN3-8|TXN4-7|285140000|||Quarterly|||||1986-12-10||||||| | | | | | | | | |||N|5|Y|Y|124C|USA|US|||55|5520|552010|55201000|Basic Materials|Chemicals|Chemicals|Chemicals: Diversified|N||N||||||Y|0|Y||Y|1|||191.375|191.38|0.0|191.37|191.44|191.48|191.42|191.44|0.0|0.0|191.37|191.38|191.44|191.4|191.37|191.44|191.66|191.43|191.38|191.44|191.42|191.49|179.33|204.27|191.34|191.52|191.2|191.6|191.19|191.52|191.42|191.49|193.7245|140.13|1642025|249068077 64346|ECLN|ECLN|33738D705|US33738D7057|First Trust Exchange-Traded Fund IV|First Trust EIP Carbon Impact ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||First Trust|RBC Capital Markets, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-3|TXN1-7|TXN9-8|TXN2-5|TXN2-7|1250002|||Quarterly|||||2019-08-20||ECLN.NV|ECLN.SO|ECLN.EU|ECLN.TC|ECLN.IV| | | | | | | | | ||The First Trust EIP Carbon Impact ETFs (the Fund) seeks to achieve a competitive risk-adjusted total return balanced between dividends and capital appreciation. Under normal market conditions, the Fund will invest at least 80% of its net assets (including investment borrowings) in the equity securities of Utility and/or Energy companies identified by the Funds investment sub-advisor, Energy Income Partners, LLC (EIP or the Sub-Advisor), as seeking to reduce the carbon impact of the production, transportation, conversion or storage of energy. |N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|24.14|24.1223|24.14|0.0|0.0|22.71|0.0|0.0|0.0|0.0|0.0|0.0|24.1111|0.0|24.1111|0.0|0.0|0.0|0.0|24.06|24.14|0.0|0.0|0.0|0.0|23.57|24.14|27.07|21.5248|3131|1223602 75728|ECML|ECML|02072L466|US02072L4665|EA Series Trust|Euclidean Fundamental Value ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Alpha Architect|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-3|TXN3-4|TXN5-8|TXN4-5|TXN3-3|5424000|||Yearly|||||2023-05-18||ECML.NV|ECML.SO|ECML.EU|ECML.TC| | | | | | | | | | ||The Fund is an actively managed ETF that seeks to achieve its investment objective by investing in U.S. equity securities that the Sub-Adviser believes are under-valued and under-appreciated by the market.|N|0|N|N|408A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|28.26|28.3189|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|28.97|0.0|28.97|0.0|0.0|28.91|29.0|28.97|29.0|14.47|43.39|0.0|0.0|28.97|29.0|29.41|24.2|338|332946 35789|ECNS|ECNS|46429B200|US46429B2007|iShares Trust|iShares MSCI China Small-Cap ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-8|TXN2-4|TXN4-8|TXN1-2|TXN1-3|2200000|||BiAnnually|||||2010-09-29||ECNS.NV|ECNS.SO|ECNS.EU|ECNS.TC|ECNS.IV| | | | | | | | | |1x|The iShares MSCI China Small Cap Index Fund seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the MSCI China Small Cap Index (the Underlying Index). The Underlying Index is a free-float adjusted market capitalization weighted index designed to measure the performance of equity securities in the bottom 14% by market capitalization of the Chinese equity securities market, as represented by H-Share and B-Share markets. 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Equipment|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|5.84|5.8329|0.0|0.0|0.0|0.0|0.0|5.83|0.0|0.0|0.0|0.0|5.84|0.0|5.84|5.42|6.15|0.0|0.0|5.51|6.08|4.4|6.78|0.0|0.0|5.62|5.84|7.5|0.246|9489|11767349 63548|ECOW|ECOW|69374H865|US69374H8658|Pacer Funds Trust - Pacer US Small Cap Cash Cows 100 ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN6-3|TXN14-7|TXN5-3|TXN6-7|3700000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||0.0|0.0|0.0|0.0|19.13|0.0|19.1296|0.0|0.0|0.0|0.0|0.0|19.13|0.0|0.0|0.0|0.0|19.1296|0.0|19.13|14.78|23.87|14.78|23.87|19.0|19.24|14.78|23.87|0.0|0.0|19.1|19.13|21.09|17.72|13601|8023618 1277|ECPG|ECPG|292554102|US2925541029|Encore Capital Group Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN6-2|TXN14-7|TXN6-4|TXN6-1|23530000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302010|30201020|Financials|Financial Services |Finance and Credit Services|Consumer Lending|N||N||||||Y|0|Y||||||46.09|46.1|0.0|45.61|46.2|46.05|46.16|46.215|0.0|0.0|46.2|0.0|46.19|0.0|0.0|45.98|0.0|46.16|46.09|46.19|45.74|46.67|35.3|57.09|45.74|46.59|46.04|46.37|46.12|46.37|46.16|46.19|58.46|34.74|94617|46197333 59671|ECVT|ECVT|27923Q109|US27923Q1094|Ecovyst Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-1|TXN2-1|TXN8-3|TXN2-4|TXN4-2|116120000|||Adhoc|||||2017-09-29||||||| | | | | | | | | |||N|0|N|Y|106B|USA|US|||55|5520|552010|55201020|Basic Materials|Chemicals|Chemicals|Specialty Chemicals|N||N||||||N|0|Y||Y|2|||9.88|9.895|0.0|0.0|9.89|9.895|9.9|9.9|0.0|0.0|9.89|9.9|9.895|9.91|9.91|9.89|9.91|9.88|9.91|9.89|9.88|9.89|7.55|12.12|9.87|9.91|9.87|9.92|9.87|9.93|9.88|9.89|12.35|8.26|670225|197222377 70047|ECX|ECX|G29201103|KYG292011031|ECARX Holdings Inc|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN6-5|TXN13-8|TXN5-4|TXN5-6|288430000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||GBR||||40|4010|401010|40101025|Consumer Discretionary|Automobiles and Parts|Automobiles and Parts|Auto Parts|N||N||||||N|0|Y||||||2.57|2.55|0.0|0.0|2.54|2.56|2.545|2.56|0.0|0.0|2.54|2.52|2.55|0.0|0.0|2.54|0.0|2.545|0.0|2.55|2.49|2.6|2.0|3.09|2.49|2.59|2.0|3.09|0.0|0.0|2.54|2.55|11.0|2.43|132235|62734708 70048|ECXWW|ECXWW|G29201111|KYG292011114|ECARX Holdings Inc|WTS||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-6|TXN6-8|TXN10-4|TXN6-5|TXN5-3|337400000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||GBR||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.021|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|2.1|0.0|0.0|0.0|0.0|0.021|0.03|0.2488|0.0014|34|5638859 5975|ED|ED|209115104|US2091151041|Consolidated Edison, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-6|TXN4-2|TXN8-6|TXN3-4|TXN3-4|345220000|||Quarterly|||||1948-06-21||||||| | | | | | | | | |||N|5|Y|Y|302A|USA|US|||65|6510|651010|65101015|Utilities|Utilities|Electricity|Conventional Electricity|N||N||||||Y|0|Y||Y|1|||91.99|91.99|0.0|91.99|91.97|92.015|91.95|92.005|0.0|0.0|92.05|92.02|91.96|91.99|92.01|91.99|92.17|91.99|91.99|91.99|91.97|91.99|86.33|98.27|91.9|92.01|91.93|92.03|91.88|92.04|91.97|91.99|100.92|80.46|1872335|444393486 1281|EDAP|EDAP|268311107|US2683111072|EDAP TMS SA|SPON ADR||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN5-6|TXN12-3|TXN5-3|TXN6-1|36930000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||FRA||||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||Y|0|Y||||||5.3|5.245|0.0|0.0|0.0|5.31|5.26|5.35|0.0|0.0|5.32|0.0|5.35|0.0|0.0|0.0|0.0|5.32|0.0|5.35|5.0|5.67|4.15|6.56|4.94|5.75|5.11|5.55|5.07|5.55|5.26|5.38|12.65|3.6|55748|19681427 73998|EDBL|EDBL|28059P204|US28059P2048|Edible Garden AG Inc|COM USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-3|TXN6-1|TXN10-3|TXN6-4|TXN5-1|5710000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||45|4510|451020|45102010|Consumer Staples |Food, Beverage and Tobacco |Food Producers|Farming, Fishing, Ranching and Plantations|N||N||||||N|0|Y||||||0.0|0.5394|0.0|0.0|0.5201|0.55|0.52975|0.549|0.0|0.0|0.54|0.0|0.5399|0.0|0.0|0.0|0.0|0.5263|0.0|0.5263|0.4396|0.6357|0.4396|0.6357|0.5022|0.5499|0.4948|0.5551|0.0|0.0|0.5202|0.5399|16.98|0.1912|50209|254979731 73999|EDBLW|EDBLW|28059P113|US28059P1131|Edible Garden AG Inc|WT EXP||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-4|TXN6-1|TXN11-2|TXN6-6|TXN6-5|5700000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.03|0.0251|0.0|0.0|0.0|0.025|0.025|0.025|0.0|0.0|0.0|0.0|0.0251|0.0|0.0251|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.025|0.035|0.35|0.0051|22688|2683147 29709|EDC|EDC|25490K281|US25490K2814|Direxion Shares ETF Trust|Direxion Daily MSCI Emerging Markets Bull 3X Shares|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Direxion Shares|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN1-6|TXN5-8|TXN4-4|TXN4-7|2881598|||Quarterly|||||2008-12-16||EDC.NV|EDC.SO|EDC.EU|EDC.TC|EDC.IV| | | | | | | | | |3x|The Emerging Markets Bull 3X Shares seeks daily investment results, before fees and expenses, of 300% of the price performance of the MSCI Emerging Markets Index (the EM Index). There is no guarantee the fund will meet its stated investment objective.The MSCI Emerging Markets IndexSM is a free float-adjusted market capitalization index that is designed to measure equity market performance in the global emerging markets. As of September 30, 2007, the MSCI Emerging Markets Index consisted of the following 21 emerging market country indices: Argentina, Brazil, Chile, China, Czech Republic, Egypt, Hong Kong, Hungary, India, Indonesia, Israel, Malaysia, Mexico, Peru, Philippines, Russia, South Africa, South Korea, Taiwan, Thailand and Turkey.|N|0|N|N|416A|USA|US|EQUITY|LEVERAGED|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||27.76|27.13|0.0|0.0|27.14|27.08|27.1253|27.11|0.0|0.0|27.08|27.08|27.09|27.04|27.17|0.0|0.0|27.13|0.0|27.13|26.24|27.96|21.16|33.11|27.08|27.14|25.5|28.42|0.0|0.0|27.08|27.14|41.16|22.05|68283|22892142 24406|EDD|EDD|617477104|US6174771047|Morgan Stanley Emerging Markets Domestic Debt Fund, Inc.|Common Stock|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN2-7|TXN1-5|TXN3-3|TXN3-5|65750000|||Quarterly|||||2007-04-24||||||| | | | | | | | | |||N|0|N|N|406B|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||4.74|4.75|0.0|0.0|4.75|4.76|4.75|4.76|0.0|0.0|4.75|4.75|4.75|4.73|4.75|4.76|4.77|4.74|0.0|4.76|4.74|4.76|3.68|5.79|4.74|5.05|4.72|4.78|0.0|0.0|4.74|4.76|4.95|4.22|223770|42329712 39459|EDEN|EDEN|46429B523|US46429B5232|iShares MSCI Denmark ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-2|TXN3-8|TXN7-5|TXN2-3|TXN4-1|2300000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|106.5664|0.0|0.0|0.0|0.0|106.3583|105.98|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|106.5664|0.0|106.5664|99.01|113.92|0.0|0.0|105.82|107.23|99.01|113.92|0.0|0.0|106.36|106.7|111.77|94.077|1367|3667287 36291|EDF|EDF|86164T107|US86164T1079|Virtus Stone Harbor Emerging Markets Income Fund|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN3-4|TXN3-8|TXN4-2|TXN1-1|17100000|||Monthly|||||2010-12-23||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||4.35|4.37|0.0|0.0|4.37|4.37|4.3599|4.37|0.0|0.0|4.36|4.37|4.335|4.35|4.35|4.37|4.37|4.36|4.36|4.37|4.36|4.37|3.38|5.39|4.32|4.37|4.33|4.4|0.0|0.0|4.32|4.37|5.62|3.51|75527|17277091 40909|EDI|EDI|86164W100|US86164W1009|Virtus Stone Harbor Emerging Markets Total Income Fund|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN1-2|TXN4-8|TXN2-7|TXN4-3|9980000|||Monthly|||||2012-10-26||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||5.12|5.1|0.0|0.0|5.17|5.12|5.12|5.12|0.0|0.0|5.19|0.0|5.12|0.0|0.0|5.13|5.13|5.12|0.0|5.13|5.11|5.15|5.13|5.17|4.79|5.15|0.0|0.0|0.0|0.0|5.11|5.15|6.51|4.2001|128329|12547320 52452|EDIT|EDIT|28106W103|US28106W1036|Editas Medicine Inc|COM USD.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN6-8|TXN11-7|TXN5-5|TXN5-8|81670000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||11.04|11.04|0.0|10.78|11.04|11.04|11.04|11.04|0.0|0.0|11.04|11.04|11.05|11.035|11.04|11.04|11.01|11.04|11.04|11.05|11.03|11.06|8.35|13.58|11.03|11.07|11.0|11.07|11.02|11.08|11.03|11.04|11.9275|6.0799|1561413|419586081 36583|EDIV|EDIV|78463X533|US78463X5335|SPDR Index Shares Funds|SPDR S&P Emerging Markets Dividend ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|IMC Chicago, LLC, DBA IMC Financial Markets|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-5|TXN3-1|TXN9-8|TXN3-3|TXN3-2|10650000|||Quarterly|||||2011-02-24||EDIV.NV|EDIV.SO|EDIV.EU|EDIV.TC|EDIV.IV| | | | | | | | | |1x|The SPDR S&P Emerging Markets Dividend ETF seeks to provide investment results that, before fees and expenses, correspond generally to the price and yield performance of an index that tracks dividend paying securities of publicly-traded companies in emerging markets. The S&P Emerging Markets Dividend Opportunities Index is comprised of 100 of the highest yielding emerging markets stocks, based on market capitalization, in the S&P Dividend Opportunities family of indices (excluding the S&P/CITIC China A-Share Dividend Opportunities Index) that meet certain investability requirements. The S&P Dividend Opportunities family is comprised of the following five indices: the S&P Global Dividend Opportunities Index; the S&P International Dividend Opportunities Index; the S&P Pan Asia Dividend Opportunities Index; the S&P Europe Dividend Opportunities Index and the S&P/CITIC China A-Share Dividend Opportunities Index.|N|0|N|N|406C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||31.1|31.06|0.0|0.0|31.06|31.06|31.06|31.1|0.0|0.0|31.06|0.0|31.085|31.1|0.0|31.09|0.0|31.06|31.18|31.06|23.83|38.46|23.83|38.46|31.05|31.1|29.2|31.25|0.0|0.0|31.05|31.1|32.0799|23.58|143909|10451748 24426|EDN|EDN|29244A102|US29244A1025|Empresa Distribuidora y Comercializadora Norte S.A. (EDENOR)|American Depositary Shares (Each representing 20 Class B Common Shares)|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|8|R|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN3-7|TXN2-8|TXN3-1|TXN1-8|442210000|||NotApplicable|||||2007-04-26||||||| | | | | | | | | |||N|0|N|Y|302A|ARG|AR|||65|6510|651010|65101015|Utilities|Utilities|Electricity|Conventional Electricity|N||N||||||N|0|Y||Y|2|||16.15|16.44|0.0|0.0|16.15|16.47|16.33|16.45|0.0|0.0|16.15|0.0|16.4|0.0|16.27|16.61|0.0|16.52|16.35|16.61|16.35|16.52|12.52|20.23|15.39|17.32|16.31|16.77|16.11|16.84|16.35|16.52|18.22|6.5179|40568|11053414 67093|EDOC|EDOC|37954Y285|US37954Y2853|Global X Telemedicine & Digital Health ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN6-5|TXN10-2|TXN5-5|TXN6-5|7250000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||9.21|9.29|0.0|0.0|9.21|9.21|9.272|9.21|0.0|0.0|9.21|9.21|9.24|9.21|9.21|9.21|0.0|9.272|0.0|9.24|7.24|10.98|9.16|9.29|9.16|9.29|9.15|9.3|9.16|9.39|9.22|9.29|13.1|8.02|51343|7239497 43836|EDOG|EDOG|00162Q668|US00162Q6686|ALPS ETF Trust|ALPS Emerging Sector Dividend Dogs ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ALPS|Old Mission Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-8|TXN2-5|TXN7-8|TXN2-7|TXN3-6|1450000|||Quarterly|||||2014-03-28||EDOG.NV|EDOG.SO|EDOG.EU|EDOG.TC|EDOG.IV| | | | | | | | | |1x|The Fund seeks investment results that replicate as closely as possible, before fees and expenses, the performnace of the S-Network Emerging Sector Dividend Dogs Index.The Index methodology selects the five stocks in each of the ten GICS sectors that make up the S-Network Emerging Markets which offer the highest dividend yields as of the last trading day of November. Dividend yield is computed based on the regular cash dividends paid by the company over the previous twelve month period, divided by the share price. The eligible stocks that are selected for inclusion in the Indexs portfolio are equally weighted. If there are less than five eligible securities represented in any sector, then the Index will include only those securities that qualify. Country representation is capped at five eligible securities. The Index is rebalanced quarterly.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|21.0|0.0|0.0|0.0|20.82|20.9799|20.99|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|20.9784|0.0|20.9784|20.9|21.0|0.0|0.0|20.93|21.02|0.0|0.0|0.0|0.0|20.93|21.02|22.6508|19.48|2361|1282395 59333|EDOW|EDOW|33733A201|US33733A2015|First Trust Exchange-Traded Fund|First Trust Dow 30 Equal Weight ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||First Trust|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-6|TXN3-6|TXN3-8|TXN4-8|TXN3-7|8247756|||Quarterly|||||2017-08-09||EDOW.NV|EDOW.SO|EDOW.EU|EDOW.TC|EDOW.IV| | | | | | | | | |1x|The Fund will normally invest at least 90% of its net assets (including investment borrowings) in common stocks that comprise the Index. The Fund, using an indexing investment approach, attempts to replicate, before fees and expenses, the performance of the Index. The Funds investment advisor seeks a correlation of 0.95 or better (before fees and expenses) between the Funds performance and the performance of the Index; a figure of 1.00 would represent perfect correlation.The Index is developed, maintained and sponsored by S&P Dow Jones Indices LLC (the Index Provider). The Index consists of an equally weighted portfolio of the 30 securities that comprise the Dow Jones Industrial AverageTM (the DJIA).|N|0|N|N|406C|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||31.34|31.35|0.0|0.0|31.34|31.2|31.2901|31.24|0.0|0.0|0.0|0.0|31.31|31.34|0.0|0.0|0.0|31.35|0.0|31.35|31.22|31.26|0.0|0.0|31.31|31.4|0.0|0.0|0.0|0.0|31.31|31.4|31.4029|27.9301|23870|8363437 70407|EDR|EDR|29260Y109|US29260Y1091|Endeavor Group Holdings, Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-2|TXN4-4|TXN5-8|TXN1-8|TXN2-6|300470000|||Quarterly|||||2021-04-29||||||| | | | | | | | | |||N|0|N|Y|104C|USA|US|||40|4030|403010|40301020|Consumer Discretionary|Media|Media|Media Agencies|N||N||||||Y|0|Y||Y|2|||24.43|24.435|0.0|24.42|24.43|24.435|24.44|24.385|0.0|0.0|24.41|24.41|24.435|24.43|24.39|24.43|24.39|24.44|24.41|24.43|24.42|24.43|18.59|29.7|24.41|24.46|24.4|24.46|24.4|24.44|24.42|24.43|26.26|17.65|2903383|630662583 61054|EDRY|EDRY|Y23508107|MHY235081079|EuroDry Ltd|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN5-5|TXN13-7|TXN6-1|TXN5-1|2790000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||GRC||||50|5020|502060|50206030|Industrials|Industrial Goods and Services|Industrial Transportation|Marine Transportation|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|19.5|19.4887|0.0|0.0|0.0|0.0|0.0|19.54|0.0|0.0|0.0|0.0|19.5|0.0|19.5|0.0|0.0|0.0|0.0|18.3|20.96|0.0|0.0|0.0|0.0|19.41|19.75|20.41|13.42|15388|2275489 41618|EDSA|EDSA|27966L306|CA27966L3065|Edesa Biotech Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN6-7|TXN12-2|TXN6-1|TXN6-5|3070000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CAN||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||3.41|3.44|0.0|0.0|3.38|3.5|3.5|3.5|0.0|0.0|3.49|3.48|3.44|3.37|0.0|0.0|0.0|3.38|0.0|3.38|3.23|3.71|0.0|0.0|3.27|3.66|2.66|4.2|0.0|0.0|3.36|3.52|8.3331|0.3913|23350|28244276 67037|EDTK|EDTK|G8211A108|KYG8211A1085|Skillful Craftsman Education Technology Limited|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-4|TXN6-6|TXN13-8|TXN6-8|TXN6-7|15450000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||40|4020|402010|40201010|Consumer Discretionary|Consumer Products and Services|Consumer Services |Education Services|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.923|0.95|0.0|0.0|0.0|0.0|0.0|0.0|0.93|0.0|0.0|0.0|0.0|0.923|0.0|0.923|0.0|0.0|0.0|0.0|0.8617|1.04|0.0|0.0|0.0|0.0|0.923|0.98|2.09|0.75|801|9522897 17146|EDU|EDU|647581206|US6475812060|New Oriental Education & Technology Group Inc.|American Depositary Shares (each representing ten (10) Common Shares)|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|8|R|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-4|TXN2-3|TXN6-7|TXN2-8|TXN1-7|1655120000|||Adhoc|||||2022-04-08||||||| | | | | | | | | |||N|0|N|Y|180B|CHN|KY|||40|4020|402010|40201010|Consumer Discretionary|Consumer Products and Services|Consumer Services |Education Services|N||N||||||Y|0|Y||Y|2|||81.46|81.37|0.0|81.33|81.5|81.36|81.36|81.36|0.0|0.0|81.37|81.37|81.37|81.33|81.37|81.31|81.45|81.34|81.37|81.31|81.33|81.39|63.16|98.77|81.25|81.54|81.0|81.73|81.0|81.39|81.33|81.39|82.57|28.33|1548148|409604010 1290|EDUC|EDUC|281479105|US2814791057|Educational Development Corp|COM USD.2||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-6|TXN5-1|TXN12-3|TXN6-1|TXN5-3|8570000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4040|404010|40401030|Consumer Discretionary|Retail |Retailers |Specialty Retailers |N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.8918|0.0|0.0|0.0|0.0|0.0|0.8823|0.0|0.0|0.0|0.0|0.8918|0.0|0.8918|0.704|1.09|0.704|1.09|0.8216|0.91|0.704|1.09|0.0|0.0|0.8803|0.91|4.0|0.8|7712|4610882 26469|EDV|EDV|921910709|US9219107094|Vanguard World Funds|Vanguard Extended Duration Treasury ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Vanguard|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-1|TXN3-5|TXN9-5|TXN2-3|TXN4-2|38600000|||Quarterly|||||2008-09-19||EDV.NV|EDV.SO|EDV.EU|EDV.TC|EDV.IV| | | | | | | | | |1x|Vanguard Extended Duration Treasury ETF is an exchange-traded share class of Vanguard Extended Duration Treasury Index Fund. The fund employs a passive managementor indexinginvestment approach designed to track the performance of the Barclays Capital U.S. Treasury STRIPS 2030 Year Equal Par Bond Index. This index measures the investment return of Treasury STRIPS, coupon and principal, with maturities ranging from 20 to 30 years. A Treasury STRIP represents a single coupon payment, or a single principal payment, from a U.S. Treasury security that has been stripped into separately tradable components.|N|0|N|N|406C|USA|US|FIXED_INCOME|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||74.38|74.24|0.0|0.0|74.31|74.3|74.285|74.27|0.0|0.0|74.27|74.23|74.24|74.38|74.24|74.32|74.37|74.32|74.32|74.32|70.4|77.84|69.33|79.05|74.25|74.27|73.96|77.84|73.96|74.52|74.25|74.27|95.3|62.3|797487|102792254 29710|EDZ|EDZ|25460E547|US25460E5472|Direxion Shares ETF Trust|Direxion Daily MSCI Emerging Markets Bear 3X Shares|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Direxion Shares|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-6|TXN1-2|TXN2-8|TXN4-5|TXN4-7|1795232|||Quarterly|||||2010-03-04||EDZ.NV|EDZ.SO|EDZ.EU|EDZ.TC|EDZ.IV| | | | | | | | | |-3x|The Emerging Markets Bear 3X Shares seeks daily investment results, before fees and expenses, of 300% of the inverse (or opposite) of the price performance of the MSCI Emerging Markets IndexSM. There is no guarantee the fund will meet its stated investment objective.The MSCI Emerging Markets IndexSM is a free float-adjusted market capitalization index that is designed to measure equity market performance in the global emerging markets. As of September 30, 2007, the MSCI Emerging Markets Index consisted of the following 21 emerging market country indices: Argentina, Brazil, Chile, China, Czech Republic, Egypt, Hong Kong, Hungary, India, Indonesia, Israel, Malaysia, Mexico, Peru, Philippines, Russia, South Africa, South Korea, Taiwan, Thailand and Turkey.|N|0|N|N|416A|USA|US|EQUITY|INVERSE|||||||||N||N||||||Y|0|Y||Y|2|||0.0|12.52|0.0|12.32|12.53|12.52|12.52|12.5|0.0|0.0|12.52|12.52|12.52|12.49|12.25|12.351|0.0|12.52|12.37|12.52|12.51|12.53|9.61|15.19|12.51|12.53|11.7|12.97|12.26|12.82|12.51|12.53|15.64|10.04|97538|41323056 73883|EE|EE|30069T101|US30069T1016|Excelerate Energy, Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|A|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN3-5|TXN3-8|TXN4-3|TXN3-6|26260000|||Quarterly|||||2022-04-13||||||| | | | | | | | | |||N|0|N|Y|208A|USA|US|||65|6510|651020|65102020|Utilities|Utilities|Gas, Water and Multi-utilities |Gas Distribution|N||N||||||Y|0|Y||Y|2|||16.94|16.845|0.0|17.36|16.85|16.845|16.84|16.83|0.0|0.0|16.88|16.88|16.845|16.89|16.9|16.85|16.99|16.84|16.86|16.85|16.84|16.85|13.02|20.65|16.71|17.0|16.81|16.88|16.8|16.85|16.84|16.85|30.48|13.7|213761|45601157 5989|EEA|EEA|298768102|US2987681028|The European Equity Fund, Inc.|Common Stock|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN2-1|TXN2-8|TXN2-4|TXN2-5|6970000|||BiAnnually|||||1986-07-18||||||| | | | | | | | | |||N|0|N|N|406B|DEU|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|8.4|8.4171|8.45|0.0|0.0|0.0|0.0|8.4|0.0|0.0|8.4|0.0|8.4|0.0|8.4|8.39|8.4|8.41|8.5|8.39|9.03|0.0|0.0|0.0|0.0|8.39|8.4|8.925|7.4533|2309|1303736 1293|EEFT|EEFT|298736109|US2987361092|Euronet Worldwide Inc|COM USD.02||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN5-2|TXN13-7|TXN6-7|TXN6-1|46120000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||USA||||50|5020|502050|50205015|Industrials|Industrial Goods and Services|Industrial Support Services|Transaction Processing Services|N||N||||||Y|0|Y||||||89.42|89.42|0.0|89.34|89.4|89.33|89.395|89.43|0.0|0.0|89.39|89.39|89.4|0.0|0.0|89.38|89.45|89.4|0.0|89.4|89.2|89.6|83.25|94.65|89.2|89.6|89.31|89.51|89.28|89.54|89.36|89.4|121.55|73.84|392927|90369362 69946|EEIQ|EEIQ|G3104J100|VGG3104J1003|EpicQuest Education Group International Limited|ORD SHS||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN6-3|TXN12-2|TXN5-8|TXN6-5|11440000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4020|402010|40201010|Consumer Discretionary|Consumer Products and Services|Consumer Services |Education Services|N||N||||||N|0|Y||||||0.0|1.53|0.0|0.0|0.0|1.6|1.7|0.0|0.0|0.0|1.6|0.0|1.67|0.0|0.0|0.0|0.0|1.7|0.0|1.7|1.32|1.83|1.32|1.98|1.55|1.7|1.32|1.83|0.0|0.0|1.65|1.7|3.63|0.795|8324|38168002 39428|EELV|EELV|46138E297|US46138E2972|Invesco Exchange-Traded Fund Trust II|Invesco S&P Emerging Markets Low Volatility ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Invesco|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-7|TXN2-7|TXN6-8|TXN2-2|TXN3-5|31500000|||Quarterly|||||2012-01-13||EELV.NV|EELV.SO|EELV.EU|EELV.TC|EELV.IV| | | | | | | | | |1x|The PowerShares S&P Emerging Markets Low Volatility Portfolio (the Fund) seeks investment results that generally correspond (before fees and expenses) to the price and yield of the S&P BMI Emerging Markets Low Volatility Index. Standard & Poors (the Index Provider) compiles, maintains and calculates the Underlying Index, which is designed to measure the performance of 200 of the least volatile stocks of the S&P Emerging BMI Plus LargeMid Cap Index.|N|0|N|N|406C|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|1|||0.0|23.32|0.0|0.0|23.33|23.34|23.3155|23.34|0.0|0.0|23.36|23.34|23.37|23.34|0.0|23.34|0.0|23.3155|23.34|23.3155|23.3|24.54|21.81|25.06|23.3|23.39|22.27|24.54|0.0|0.0|23.3|23.38|24.48|21.7759|136326|64932214 5992|EEM|EEM|464287234|US4642872349|iShares Inc.|iShares MSCI Emerging Markets ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-6|TXN2-7|TXN8-2|TXN3-7|TXN2-4|428400000|||BiAnnually|||||2007-12-06||EEM.NV|EEM.SO|EEM.EU|EEM.TC|EEM.IV| | | | | | | | | |1x|The iShares MSCI Emerging Markets Index Fund seeks to provide investment results that correspond generally to the price and yield performance, before fees and expenses, of publicly traded securities in emerging markets, as represented by the MSCI Emerging Markets Index. The Underlying Index is designed to measure equity market performance in the global emerging markets. As of June 30, 2012, the Underlying Index consisted of the following 21 emerging market indexes: Brazil, Chile, China, Colombia, the Czech Republic, Egypt, Hungary, India, Indonesia, Malaysia, Mexico, Morocco, Peru, the Philippines, Poland, Russia, South Africa, South Korea, Taiwan, Thailand and Turkey. Components primarily include energy, financial, information technology and materials companies.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||39.26|39.26|0.0|39.26|39.26|39.26|39.26|39.25|0.0|0.0|39.255|39.26|39.26|39.26|39.265|39.26|39.265|39.28|39.25|39.28|39.26|39.27|36.93|41.86|39.25|39.27|39.26|39.28|39.25|39.36|39.25|39.27|42.53|36.375|28074884|7179909486 39563|EEMA|EEMA|464286426|US4642864262|iShares MSCI Emerging Markets Asia ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN6-8|TXN13-3|TXN5-7|TXN5-1|6600000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||64.39|64.39|0.0|0.0|64.33|64.38|64.39|64.36|0.0|0.0|64.39|0.0|64.39|64.33|64.36|64.34|0.0|64.39|0.0|64.39|61.44|68.44|0.0|0.0|64.38|65.21|61.44|68.44|0.0|0.0|64.38|64.79|71.695|60.36|61640|16423140 60187|EEMD|EEMD|26922A586|US26922A5864|ETF Series Solutions|AAM S&P Emerging Markets High Dividend Value ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Advisors Asset Management|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN4-3|TXN7-8|TXN1-5|TXN3-2|400000|||Monthly|||||2017-11-29||EEMD.NV|EEMD.SO|EEMD.EU|EEMD.TC|EEMD.IV| | | | | | | | | |1x|The Fund uses a passive management (or indexing) approach to track the total return performance, before fees and expenses, of the Index. The Index is a rules-based, equal-weighted index that is designed to provide exposure to the constituents of the S&P Emerging Plus LargeMidCap Index that exhibit both high dividend yield and sustainable dividend distribution characteristics, while maintaining diversified sector exposure. The Index was developed in 2017 by S&P Dow Jones Indices, a division of S&P Global. The S&P Emerging Plus LargeMidCap Index is designed to measure the performance of large- and mid-capitalization securities in emerging markets.|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|18.7|18.715|18.71|0.0|0.0|0.0|0.0|18.86|0.0|0.0|0.0|0.0|18.6834|0.0|18.6834|18.63|18.69|0.0|0.0|18.65|18.71|0.0|0.0|0.0|0.0|18.65|18.71|19.3394|16.73|494|1325887 39635|EEMO|EEMO|46138E289|US46138E2899|Invesco Exchange-Traded Fund Trust II|Invesco S&P Emerging Markets Momentum ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Invesco|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-6|TXN3-6|TXN7-8|TXN2-6|TXN4-2|350000|||Quarterly|||||2012-02-24||EEMO.NV|EEMO.SO|EEMO.EU|EEMO.TC|EEMO.IV| | | | | | | | | |1x|The S&P Momentum Emerging Plus LargeMidCap is designed to measure the performance of securities in emerging markets plus Korea that exhibit persistence in their relative performance.|N|0|N|N|406C|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|14.44|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|14.4748|0.0|14.4748|11.57|17.36|0.0|0.0|14.43|14.51|11.57|17.36|0.0|0.0|14.43|14.51|14.793|12.8441|602|319612 38664|EEMS|EEMS|464286475|US4642864759|iShares Inc.|iShares MSCI Emerging Markets Small-Cap ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-8|TXN4-2|TXN7-8|TXN4-2|TXN1-2|6000000|||BiAnnually|||||2011-08-18||EEMS.NV|EEMS.SO|EEMS.EU|EEMS.TC|EEMS.IV| | | | | | | | | |1x|The iShares MSCI Emerging Markets Small Cap Index Fund seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the MSCI Emerging Markets Small Cap Index. The Underlying Index is designed to measure the performance of equity securities of small capitalization companies, whose market capitalization represents the bottom 14% of, companies in emerging market countries, as measured by market capitalization. As of July 29, 2011, the Underlying Index consisted of issuers in the following 21 emerging market countries: Brazil, Chile, China, Colombia, the Czech Republic, Egypt, Hungary, India, Indonesia, Malaysia, Mexico, Morocco, Peru, the Philippines, Poland, Russia, South Africa, South Korea, Taiwan, Thailand and Turkey. As of July 29, 2011, the Underlying Indexs three largest industries were industrials, consumer discretionary, and financials.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||0.0|56.94|0.0|0.0|56.92|56.91|56.975|56.88|0.0|0.0|0.0|0.0|56.945|56.91|56.91|56.871|0.0|56.94|56.88|56.94|53.15|61.17|0.0|0.0|56.92|57.02|54.03|60.58|0.0|0.0|56.92|57.02|57.59|47.92|25259|6707141 38949|EEMV|EEMV|464286533|US4642865335|iShares MSCI Emerging Markets Min Vol Factor ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-8|TXN4-5|TXN3-3|TXN3-7|TXN1-4|79200000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||54.38|54.4|0.0|0.0|54.39|54.385|54.38|54.375|0.0|0.0|54.36|54.38|54.39|54.36|54.4|54.38|0.0|54.4|54.35|54.4|54.28|54.46|50.98|58.1|54.38|54.46|51.81|54.73|54.27|54.57|54.38|54.39|57.1613|51.11|323843|194461152 54184|EEMX|EEMX|78470E205|US78470E2054|SPDR Index Shares Funds|SPDR MSCI Emerging Markets Fossil Fuel Reserves Free ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-5|TXN3-2|TXN6-8|TXN2-2|TXN1-4|2600000|||BiAnnually|||||2016-10-25||EEMX.NV|EEMX.SO|EEMX.EU|EEMX.TC|EEMX.IV| | | | | | | | | |1x|The SPDR MSCI Emerging Markets Fossil Fuel Reserves Free ETF (the Fund) seeks to provide investment results that, before fees and expenses, correspond generally to the total return performance of the MSCI Emerging Markets ex Fossil Fuels Index.|N|0|N|N|406C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|29.82|0.0|0.0|0.0|0.0|0.0|29.95|0.0|0.0|0.0|0.0|29.8893|0.0|29.8893|23.95|35.95|23.19|37.12|29.84|29.93|23.95|35.95|0.0|0.0|29.84|29.93|61.8893|27.6|12615|2748924 19090|EES|EES|97717W562|US97717W5629|WisdomTree Trust|WisdomTree U.S. SmallCap Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||WisdomTree|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-5|TXN4-1|TXN5-7|TXN2-8|TXN4-7|13000000|||Quarterly|||||2008-11-20||EES.NV|EES.SO|EES.EU|EES.TC|EES.IV| | | | | | | | | |1x|The WisdomTree U.S. SmallCap Fund seeks to track the price and yield performance, before fees and expenses, of the WisdomTree U.S. SmallCap Index. The Index is a fundamentally weighted index that is comprised of earnings-generating companies within the small-capitalization segment of the U.S. stock market. The Index is comprised of the companies in the bottom 25% of the market capitalization of the WisdomTree U.S. Total Market Index, which defines the earnings-generating universe of companies in the U.S. stock market, after the 500 largest companies have been removed. The Index is earnings-weighted annually to reflect the proportionate share of the aggregate earnings each component company has generated. Companies with greater earnings generally have larger weights in the Index. WisdomTree Investments, Inc. , as Index provider, currently uses Standard & Poors Global Industry Classification Standards (S&P GICS) to define companies within a sector.|N|0|N|N|406C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||45.97|46.14|0.0|0.0|44.32|45.98|46.245|46.1|0.0|0.0|45.96|0.0|46.14|45.96|44.38|44.66|46.14|46.14|46.14|46.14|46.14|48.34|46.07|46.37|46.14|46.28|46.07|46.38|46.07|46.37|46.14|46.28|49.52|39.925|36512|10982964 31031|EET|EET|74347X302|US74347X3026|ProShares Trust|ProShares Ultra MSCI Emerging Markets|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ProShares Advisors |IMC Chicago, LLC, DBA IMC Financial Markets|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-3|TXN3-6|TXN9-8|TXN2-8|TXN1-3|350000|||Quarterly|||||2009-06-04||EET.NV|EET.SO|EET.EU|EET.TC|EET.IV| | | | | | | | | |2x|ProShares Ultra MSCI Emerging Markets seeks daily investment results, before fees and expenses, that correspond to twice (200%) the daily performance of the MSCI Emerging Markets Index. Because the value of the Index is not computed as of the close of the U.S. securities markets due to differences in trading hours between U.S. and foreign markets, correlation to the Index will be measured by comparing the daily change in the Funds net asset value per share to the performance of one or more U.S. exchange traded securities or instruments that reflect the values of the securities underlying the Index as of the close of the U.S. securities markets. This ETF seeks a return of 200% of the return of an index (target) for a single day. Due to the compounding of daily returns, returns over periods other than one day will likely differ in amount and possibly direction from the target return for the same period. Investors should monitor their ProShares holdings consistent with their strategies, as frequently as daily. For more on correlation, leverage and other risks, please read the prospectus. The MSCI Emerging Markets Index adjusts the market capitalization of index constituents for free float and targets for index inclusion 85% of free float-adjusted market capitalization in each industry group, in global emerging markets countries. As of June 2007, the MSCI Emerging Markets Index consisted of the following 25 emerging market country indexes: Argentina, Brazil, Chile, China, Colombia, Czech Republic, Egypt, Hungary, India, Indonesia, Israel, Jordan, Korea, Malaysia, Mexico, Morocco, Pakistan, Peru, Philippines, Poland, Russia, South Africa, Taiwan, Thailand, and Turkey.|N|0|N|N|416A|USA|US|EQUITY|LEVERAGED|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|42.39|0.0|0.0|0.0|48.64|47.24|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|47.24|0.0|47.24|47.09|47.24|47.19|47.41|47.27|47.32|47.11|47.46|47.12|47.45|47.27|47.32|60.65|41.35|5473|2013731 76412|EETH|EETH|74349Y100|US74349Y1001|ProShares Trust|ProShares Ether Strategy ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ProShares Advisors |Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-8|TXN3-8|TXN6-1|TXN2-3|TXN2-2|200000|||Monthly|||||2023-10-02||EETH.NV|EETH.SO|EETH.EU|EETH.TC|EETH.IV| | | | | | | | | ||ProShares Ether Strategy ETF (EETH) seeks to provide capital appreciation primarily through managed exposure to ether futures contracts. The Fund does not invest directly in ether.|N|0|N|N|416A|USA|US|COMMODITIES_AND_FUTURES|ACTIVE|||||||||N||N||||||Y|0|Y||Y|2|||53.03|50.3|0.0|0.0|0.0|52.86|53.2015|52.74|0.0|0.0|53.2|53.2|52.78|53.03|53.2|52.97|53.2|53.059|53.03|53.059|53.03|53.11|53.03|53.1|53.04|53.11|53.02|53.1|52.97|53.1|53.04|53.11|53.23|36.5464|21783|613987 26107|EEV|EEV|74347B284|US74347B2842|ProShares Trust|ProShares UltraShort MSCI Emerging Markets|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ProShares Advisors |Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-8|TXN4-6|TXN3-8|TXN3-6|TXN4-2|318771|||Quarterly|||||2010-04-15||EEV.NV|EEV.SO|EEV.EU|EEV.TC|EEV.IV| | | | | | | | | |-2x|ProShares UltraShort MSCI Emerging Markets seeks daily investment results, before fees and expenses, that correspond to twice (200%) the inverse (opposite) of the daily performance of the MSCI Emerging Markets Index. Because the value of the Index is not computed as of the close of the U.S. securities markets due to differences in trading hours between U.S. and foreign markets, correlation to the Index will be measured by comparing the daily change in the Funds net asset value per share to the performance of one or more U.S. exchange traded securities or instruments that reflect the values of the securities underlying the Index as of the close of the U.S. securities markets. This ETF seeks a return of -200% of the return of an index (target) for a single day. Due to the compounding of daily returns, returns over periods other than one day will likely differ in amount and possibly direction from the target return for the same period. Investors should monitor their ProShares holdings consistent with their strategies, as frequently as daily. For more on correlation, leverage and other risks, please read the prospectus. The MSCI Emerging Markets Index adjusts the market capitalization of index constituents for free float and targets for index inclusion 85% of free float-adjusted market capitalization in each industry group, in global emerging markets countries. As of June 2007, the MSCI Emerging Markets Index consisted of the following 25 emerging market country indexes: Argentina, Brazil, Chile, China, Colombia, Czech Republic, Egypt, Hungary, India, Indonesia, Israel, Jordan, Korea, Malaysia, Mexico, Morocco, Pakistan, Peru, Philippines, Poland, Russia, South Africa, Taiwan, Thailand, and Turkey.|N|0|N|N|416A|USA|US|EQUITY|INVERSE|||||||||N||N||||||Y|0|Y||Y|2|||22.931|0.0|0.0|0.0|0.0|21.16|21.24|0.0|0.0|0.0|0.0|0.0|0.0|21.661|0.0|21.429|0.0|21.6853|0.0|21.6853|21.26|22.12|21.48|21.93|21.66|21.72|21.46|21.93|21.47|21.93|21.66|21.72|25.08|18.6485|1008|1689506 57183|EEX|EEX|29103W104|US29103W1045|Emerald Holding, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN2-2|TXN7-8|TXN4-1|TXN3-2|62890000|||Quarterly|||||2017-04-28||||||| | | | | | | | | |||N|0|N|Y|146G|USA|US|||40|4030|403010|40301020|Consumer Discretionary|Media|Media|Media Agencies|N||N||||||N|0|Y||Y|2|||5.3|5.29|0.0|0.0|5.31|5.27|5.25|5.29|0.0|0.0|5.295|0.0|5.28|4.98|5.09|5.28|0.0|5.25|5.1|5.28|5.27|5.29|4.13|6.54|5.16|5.38|4.16|6.54|0.0|0.0|5.27|5.29|5.9399|3.26|22868|22141490 5996|EFA|EFA|464287465|US4642874659|iShares Trust|iShares MSCI EAFE ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN2-1|TXN1-6|TXN2-7|TXN4-7|671400000|||BiAnnually|||||2007-12-06||EFA.NV|EFA.SO|EFA.EU|EFA.TC|EFA.IV| | | | | | | | | |1x|The iShares MSCI EAFE ETF (the Fund) seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the MSCI EAFE Index (the Underlying Index). The Underlying Index has been developed by MSCI Inc. (MSCI) as an equity benchmark for its international stock performance. The Underlying Index includes stocks from Europe, Australasia and the Far East and, as of June 30, 2012, consisted of the following 22 developed market country indexes or regions: Australia, Austria, Belgium, Denmark, Finland, France, Germany, Greece, Hong Kong, Ireland, Israel, Italy, Japan, the Netherlands, New Zealand, Norway, Portugal, Singapore, Spain, Sweden, Switzerland and the United Kingdom. Components primarily include consumer staples, financial and industrials companies. The components of the Underlying Index, and the degree to which these components represent certain industries, may change over time.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||72.615|72.62|0.0|72.56|72.63|72.62|72.6213|72.62|0.0|0.0|72.62|72.62|72.625|72.62|72.62|72.62|72.62|72.61|72.61|72.61|72.62|72.63|67.94|77.01|72.62|72.63|72.59|72.64|72.48|72.76|72.61|72.63|74.735|65.09|14778700|3915837770 44818|EFAD|EFAD|74347B839|US74347B8393|ProShares MSCI EAFE Dividend Growers ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-6|TXN4-1|TXN8-8|TXN1-3|TXN4-7|2430001|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|36.5043|0.0|0.0|0.0|36.48|36.48|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|36.5043|0.0|36.5043|36.46|36.52|0.0|0.0|36.48|36.56|36.43|36.51|36.44|36.51|36.47|36.55|38.98|33.17|30995|2116176 54409|EFAS|EFAS|37954Y699|US37954Y6995|Global X MSCI SuperDividend EAFE ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN6-8|TXN10-3|TXN5-3|TXN6-8|790000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|13.7|0.0|0.0|0.0|0.0|0.0|13.76|0.0|0.0|0.0|0.0|13.7|0.0|13.76|0.0|0.0|0.0|0.0|13.71|13.84|0.0|0.0|0.0|0.0|13.71|13.76|14.78|12.57|767|1067973 38947|EFAV|EFAV|46429B689|US46429B6891|iShares MSCI EAFE Min Vol Factor ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-3|TXN3-8|TXN2-5|TXN3-4|TXN1-1|106600000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||67.59|67.63|0.0|0.0|67.58|67.61|67.62|67.615|0.0|0.0|67.62|67.6|67.62|67.61|67.52|67.58|67.5|67.63|67.61|67.63|67.6|67.67|62.95|72.25|67.6|67.67|67.59|67.69|0.0|0.0|67.6|67.63|71.08|62.6878|431877|107329340 54183|EFAX|EFAX|78470E106|US78470E1064|SPDR Index Shares Funds|SPDR MSCI EAFE Fossil Fuel Reserves Free ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN1-8|TXN5-8|TXN3-6|TXN4-6|6300000|||BiAnnually|||||2016-10-25||EFAX.NV|EFAX.SO|EFAX.EU|EFAX.TC|EFAX.IV| | | | | | | | | |1x|The SPDR MSCI EAFE Fossil Fuel Reserves Free ETF (the Fund) seeks to provide investment results that, before fees and expenses, correspond generally to the total return performance of the MSCI EAFE ex Fossil Fuels Index.|N|0|N|N|406C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||37.49|37.49|0.0|0.0|37.49|37.49|37.5149|37.49|0.0|0.0|36.99|0.0|37.49|37.49|37.49|0.0|0.0|37.5078|0.0|37.5078|28.94|46.08|28.94|46.08|37.48|37.55|28.94|46.08|0.0|0.0|37.48|37.55|71.805|33.57|59991|3802981 5997|EFC|EFC|28852N109|US28852N1090|Ellington Financial Inc.|Common Stock|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|8|O|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN1-5|TXN9-2|TXN1-2|TXN4-1|68230000|||Monthly|||||2019-03-04||||||| | | | | | | | | |||N|0|N|Y|414A|USA|US|||30|3020|302030|30203000|Financials|Financial Services |Mortgage Real Estate Investment Trusts|Mortgage REITs: Diversified|N||N||||||Y|0|Y||Y|2|||12.965|12.965|0.0|13.1|12.97|12.955|12.95|12.97|0.0|0.0|12.96|12.965|12.96|12.965|12.96|12.96|12.97|12.96|12.97|12.96|12.95|12.96|10.13|16.03|12.95|12.97|12.93|12.98|12.92|12.99|12.95|12.96|14.418|10.815|1106875|186967361 64884|EFC PRA|EFCpA|28852N208|US28852N2080|Ellington Financial Inc.|6.750% Series A Fixed-to-Floating Rate Cumulative Redeemable Preferred Stock|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN3-7|TXN9-8|TXN2-5|TXN1-1|4600000|||Quarterly|||||2019-10-24||||||| | | | | | | | | |||N|0|N|N|414A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|22.67|0.0|0.0|0.0|0.0|22.67|22.5|0.0|0.0|0.0|0.0|22.77|0.0|0.0|22.67|0.0|22.67|0.0|22.67|22.69|22.79|22.55|22.79|22.16|23.26|0.0|0.0|0.0|0.0|22.69|22.79|23.2499|18.2495|1660|1997137 72941|EFC PRB|EFCpB|28852N307|US28852N3070|Ellington Financial Inc.|6.250% Series B Fixed-Rate Reset Cumulative Redeemable Preferred Stock|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN3-3|TXN4-8|TXN4-6|TXN1-4|4820000|||Quarterly|||||2021-12-16||||||| | | | | | | | | |||N|0|N|N|414A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|19.4|0.0|0.0|0.0|19.535|19.4794|19.53|0.0|0.0|19.49|0.0|19.5|0.0|0.0|19.55|19.5|19.55|0.0|19.55|19.51|19.55|19.45|19.5|19.06|19.94|0.0|0.0|0.0|0.0|18.08|20.87|21.31|16.87|10614|1257871 75229|EFC PRC|EFCpC|28852N406|US28852N4060|Ellington Financial Inc.|8.625% Series C Fixed-Rate Reset Cumulative Redeemable Preferred Stock|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|8|I|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN4-2|TXN2-8|TXN2-7|TXN4-5|4000000|||Quarterly|||||2023-02-09||||||| | | | | | | | | |||N|0|N|N|414A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|22.95|22.7002|22.69|0.0|0.0|0.0|0.0|23.09|0.0|0.0|23.09|0.0|23.09|0.0|23.09|22.71|23.15|22.7|23.15|22.23|23.51|0.0|0.0|0.0|0.0|22.5|23.15|24.95|20.1|2917|2353071 17097|EFG|EFG|464288885|US4642888857|iShares Trust iShares MSCI EAFE Growth ETF|MSCI GRW IDX||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-4|TXN1-3|TXN3-3|TXN1-2|TXN2-4|111200000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||92.25|92.27|0.0|0.0|92.27|92.27|92.26|92.3|0.0|0.0|92.26|92.24|92.28|92.26|92.3|92.23|92.26|92.27|92.2|92.27|92.21|92.35|85.56|97.59|92.26|92.31|92.21|92.4|92.15|92.4|92.27|92.3|99.3|82.2949|877932|224422440 74995|EFHT|EFHT|28201D109|US28201D1090|EF Hutton Acquisition Corp I|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN5-5|TXN11-2|TXN6-6|TXN6-1|6630000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y|C|||||0.0|0.0|0.0|0.0|0.0|0.0|8.835|0.0|0.0|0.0|0.0|0.0|8.95|10.15|0.0|0.0|0.0|8.835|0.0|8.835|0.0|0.0|0.0|0.0|5.91|9.59|0.0|0.0|0.0|0.0|6.3|9.0|11.37|8.835|13619|7647252 74996|EFHTR|EFHTR|28201D125||EF Hutton Acquisition Corporation I Rights|||D|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-7|TXN5-1|TXN11-3|TXN5-4|TXN6-6|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||50|5020|502040|50204000|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Industrial|N||N||||||N|0|Y|D|||||0.0|0.0|0.0|0.0|0.0|0.195|0.18|0.0|0.0|0.0|0.19|0.1899|0.19|0.0|0.0|0.0|0.0|0.1899|0.0|0.1899|0.152|0.2358|0.152|0.2358|0.18|0.21|0.152|0.2358|0.0|0.0|0.1899|0.19|0.28|0.027|15322|5350975 74997|EFHTW|EFHTW|28201D117|US28201D1173|EF Hutton Acquisition Corp I|WT EXP 111827||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-6|TXN6-8|TXN13-4|TXN6-2|TXN5-3|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.06|0.0|0.0|0.0|0.0|0.035|0.04|0.12|0.01|0|3646939 67065|EFIV|EFIV|78468R531|US78468R5312|SPDR Series Trust|SPDR S&P 500 ESG ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-2|TXN2-3|TXN5-2|TXN1-6|TXN3-6|24050000|||Quarterly|||||2020-07-28||EFIV.NV|EFIV.SO|EFIV.EU|EFIV.TC|EFIV.IV| | | | | | | | | |1x|The SPDR S&P 500 ESG ETF (the Fund) seeks to provide investment results that, before fees and expenses, correspond generally to the total return performance of an index that provides exposure to securities that meet certain sustainability criteria while maintaining a similar overall industry group weight as the S&P 500 Index|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|1|||0.0|0.0|0.0|0.0|44.67|44.65|44.34|44.63|0.0|0.0|0.0|0.0|44.68|44.3|0.0|44.65|0.0|44.3983|0.0|44.3983|44.38|44.49|0.0|0.0|44.38|44.4|0.0|0.0|0.0|0.0|44.38|44.4|44.68|36.02|13169|18088563 69248|EFIX|EFIX|33740U604|US33740U6047|First Trust Exchange-Traded Fund VIII|First Trust TCW Emerging Markets Debt ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||First Trust|Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-8|TXN3-4|TXN9-7|TXN2-4|TXN3-8|2200002|||Monthly|||||2021-02-18||EFIX.NV|EFIX.SO|EFIX.EU|EFIX.TC| | | | | | | | | | ||The First Trust TCW Emerging Markets Debt ETF (the Fund) seeks to provide high total return from current income and capital appreciation. Under normal market conditions, the Fund will invest at least 80% of its net assets (including investment borrowings) in debt securities issued or guaranteed by companies, financial institutions and government entities located in emerging market countries. An emerging market country is a country that, at the time the Fund invests in the related security or instrument, is classified as an emerging or developing economy by any supranational organization such as the World Bank or the United Nations, or related entities, or is considered an emerging market country for purposes of constructing a major emerging market securities index. The Funds investments include, but are not limited to, debt securities issued by sovereign entities, quasi-sovereign entities and corporations. Quasi-Sovereign refers to an entity that is either 100% owned by a sovereign entity or whose debt is 100% guaranteed by a sovereign entity. The Fund may invest up to 25% of its net assets in securities issued by non-Quasi-Sovereign corporations in emerging market countries. The Fund will invest at least 90% of its assets in dollar-denominated securities. The Fund may invest up to 10% of its assets in securities denominated in Eurodollars and/or Japanese yen.|N|0|N|N|412C|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|15.61|15.47|0.0|0.0|0.0|0.0|0.0|15.66|0.0|0.0|0.0|15.63|0.0|15.63|0.0|0.0|0.0|0.0|15.47|15.79|0.0|0.0|0.0|0.0|15.47|15.82|16.83|13.83|4375|957197 39460|EFNL|EFNL|46429B515|US46429B5158|iShares MSCI Finland ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-1|TXN4-6|TXN3-8|TXN2-8|TXN1-7|550000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|34.3158|0.0|0.0|0.0|0.0|34.2126|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|34.3158|0.0|34.3158|32.15|36.24|0.0|0.0|34.02|34.56|32.02|36.85|0.0|0.0|34.26|34.36|39.81|30.3|632|769691 31030|EFO|EFO|74347X500|US74347X5005|ProShares Trust|ProShares Ultra MSCI EAFE|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ProShares Advisors |Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-6|TXN4-6|TXN2-8|TXN2-7|TXN2-4|215000|||Quarterly|||||2009-06-04||EFO.NV|EFO.SO|EFO.EU|EFO.TC|EFO.IV| | | | | | | | | |2x|ProShares Ultra MSCI EAFE seeks daily investment results, before fees and expenses, that correspond to twice (200%) the daily performance of the Ultra MSCI EAFE. Because the value of the Index is not computed as of the close of the U.S. securities markets due to differences in trading hours between U.S. and foreign markets, correlation to the Index will be measured by comparing the daily change in the Funds net asset value per share to the performance of one or more U.S. exchange traded securities or instruments that reflect the values of the securities underlying the Index as of the close of the U.S. securities markets. This ETF seeks a return of -200% of the return of an index (target) for a single day. Due to the compounding of daily returns, returns over periods other than one day will likely differ in amount and possibly direction from the target return for the same period. Investors should monitor their ProShares holdings consistent with their strategies, as frequently as daily. For more on correlation, leverage and other risks, please read the prospectus. The MSCI EAFE Index (Europe, Australasia, Far East) adjusts the market capitalization of index constituents for free float and targets for index inclusion 85% of free float-adjusted market capitalization in each industry group, in developed market countries, excluding the US & Canada. As of June 2007, the MSCI EAFE Index consisted of the following 21 developed market country indexes: Australia, Austria, Belgium, Denmark, Finland, France, Germany, Greece, Hong Kong, Ireland, Italy, Japan, the Netherlands, New Zealand, Norway, Portugal, Singapore, Spain, Sweden, Switzerland and the United Kingdom.|N|0|N|N|416A|USA|US|EQUITY|LEVERAGED|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||0.0|33.72|0.0|0.0|0.0|33.46|39.21|34.16|0.0|0.0|0.0|0.0|39.3|0.0|0.0|0.0|0.0|39.2238|0.0|39.2238|38.58|40.2|0.0|0.0|39.21|39.43|36.58|42.1|0.0|0.0|39.21|39.43|43.34|32.56|11134|1184369 1464|EFOI|EFOI|29268T508|US29268T5083|Energy Focus Inc|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN6-6|TXN10-5|TXN6-7|TXN6-6|4350000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502020|50202010|Industrials|Industrial Goods and Services|Electronic and Electrical Equipment|Electrical Components |N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|1.75|0.0|0.0|0.0|0.0|0.0|1.73|0.0|0.0|0.0|0.0|1.75|0.0|1.75|1.59|1.84|0.0|0.0|1.6|1.82|1.59|1.84|0.0|0.0|1.68|1.73|2.6099|0.27|1487|12306735 6003|EFR|EFR|27828Q105|US27828Q1058|Eaton Vance Senior Floating-Rate Trust|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN4-7|TXN5-8|TXN1-4|TXN1-6|29180000|||Monthly|||||2003-11-25||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||12.46|12.48|0.0|12.46|12.49|12.47|12.48|12.49|0.0|0.0|12.48|0.0|12.48|12.478|12.44|12.48|0.0|12.48|0.0|12.48|12.46|12.48|9.63|15.31|11.64|13.3|12.43|12.51|12.44|12.5|12.46|12.48|12.52|10.78|155863|16999462 74838|EFRA|EFRA|46436E254|US46436E2542|iShares Environmental Infrastructure and Industrials ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN5-3|TXN14-7|TXN6-8|TXN5-3|160000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|27.91|0.0|0.0|0.0|0.0|0.0|0.0|27.91|0.0|0.0|0.0|0.0|27.91|27.97|0.0|0.0|0.0|0.0|27.91|27.97|29.1727|24.5817|23|143864 1300|EFSC|EFSC|293712105|US2937121059|Enterprise Financial Services Corporation|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN6-7|TXN11-3|TXN5-1|TXN5-5|37390000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||||||41.4|41.16|0.0|41.42|41.15|41.13|41.16|41.18|0.0|0.0|41.26|41.23|41.15|41.16|0.0|41.24|0.0|41.16|41.23|41.15|40.8|41.62|32.01|50.4|40.85|41.32|41.04|41.26|41.13|0.0|41.16|41.23|56.35|32.97|167895|37313458 72425|EFSCP|EFSCP|293712303|US2937123030|Enterprise Financial Services Corporation|5% DEP PFD SR A||B|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN6-7|TXN12-8|TXN6-1|TXN6-4|3000000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|15.9|0.0|0.0|0.0|15.75|0.0|15.61|0.0|0.0|15.75|15.75|15.7|0.0|15.7|0.0|0.0|0.0|0.0|14.51|15.75|0.0|0.0|0.0|0.0|15.5|15.75|22.0099|13.6801|3593|1514400 74336|EFSH|EFSH|28252B887|US28252B8871|1847 Holdings LLC|Common Shares|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Brendan E. Cryan and Company, L.L.C.|CRYN|0235|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN12-8|TXN3-6|TXN5-8|TXN2-1|TXN2-2|3170000|||Quarterly|||||2022-08-03||||||| | | | | | | | | |||N|0|N|N|416A|USA|US|||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.62|0.6161|0.0|0.0|0.62|0.6199|0.6231|0.6299|0.0|0.0|0.0|0.6179|0.63|0.0|0.0|0.0|0.6231|0.6231|0.0|0.6231|0.5|0.7597|0.607|0.6231|0.5752|0.64|0.5885|0.6507|0.5896|0.6496|0.607|0.6231|2.53|0.065|38776|521527263 6004|EFT|EFT|278279104|US2782791048|Eaton Vance Floating-Rate Income Trust|Common Shares of Beneficial Interest, $0.01 par value|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN2-4|TXN8-8|TXN1-2|TXN3-8|29090000|||Monthly|||||2004-06-25||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||12.25|12.21|0.0|0.0|12.2|12.21|12.2|12.265|0.0|0.0|12.21|12.15|12.21|12.25|0.0|12.2|0.0|12.2|12.26|12.2|12.2|12.22|9.51|15.09|11.51|13.14|12.18|12.25|12.18|12.24|12.2|12.22|12.51|10.89|111949|18916445 69401|EFTR|EFTR|28202V108|US28202V1089|eFFECTOR Therapeutics Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-6|TXN5-7|TXN10-7|TXN5-3|TXN6-7|64620000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||0.5808|0.5808|0.0|0.5808|0.5881|0.5848|0.581|0.5808|0.0|0.0|0.5881|0.5881|0.5808|0.59|0.5808|0.5881|0.588|0.581|0.0|0.5808|0.5642|0.595|0.452|0.595|0.5808|0.595|0.5527|0.6168|0.5786|0.59|0.5808|0.59|1.48|0.3378|2078517|240178229 69402|EFTRW|EFTRW|28202V116|US28202V1162|eFFECTOR Therapeutics Inc|WT EXP 123125||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-4|TXN5-7|TXN10-4|TXN5-8|TXN6-7|62500000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.1551|0.0|0.0|0.0|0.0|0.0|0.1003|0.0|0.0|0.0|0.0|0.1551|0.0|0.1551|0.0|0.0|0.0|0.0|0.0675|0.1525|0.0|0.0|0.0|0.0|0.1003|0.142|0.2125|0.0578|221|1260110 26033|EFU|EFU|74348A475|US74348A4756|ProShares Trust|ProShares UltraShort MSCI EAFE|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ProShares Advisors |Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-1|TXN1-6|TXN4-8|TXN1-3|TXN4-7|162428|||Quarterly|||||2008-11-12||EFU.NV|EFU.SO|EFU.EU|EFU.TC|EFU.IV| | | | | | | | | |-2x|ProShares UltraShort MSCI EAFE seeks daily investment results, before fees and expenses, that correspond to twice (200%) the inverse (opposite) of the daily performance of the MSCI EAFE Index. Because the value of the Index is not computed as of the close of the U.S. securities markets due to differences in trading hours between U.S. and foreign markets, correlation to the Index will be measured by comparing the daily change in the Funds net asset value per share to the performance of one or more U.S. exchange traded securities or instruments that reflect the values of the securities underlying the Index as of the close of the U.S. securities markets. This ETF seeks a return of -200% of the return of an index (target) for a single day. Due to the compounding of daily returns, returns over periods other than one day will likely differ in amount and possibly direction from the target return for the same period. Investors should monitor their ProShares holdings consistent with their strategies, as frequently as daily. For more on correlation, leverage and other risks, please read the prospectus. The MSCI EAFE Index (Europe, Australasia, Far East) adjusts the market capitalization of index constituents for free float and targets for index inclusion 85% of free float-adjusted market capitalization in each industry group, in developed market countries, excluding the US & Canada. As of June 2007, the MSCI EAFE Index consisted of the following 21 developed market country indexes: Australia, Austria, Belgium, Denmark, Finland, France, Germany, Greece, Hong Kong, Ireland, Italy, Japan, the Netherlands, New Zealand, Norway, Portugal, Singapore, Spain, Sweden, Switzerland and the United Kingdom.|N|0|N|N|416A|USA|US|EQUITY|INVERSE|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|10.47|0.0|0.0|0.0|10.3|9.45|0.0|0.0|0.0|9.45|0.0|0.0|9.441|0.0|9.451|0.0|9.435|0.0|9.435|9.25|9.63|0.0|0.0|9.42|9.45|8.8|10.14|0.0|0.0|9.42|9.45|12.24|8.92|13595|3223701 76423|EFUT|EFUT|92189H698|US92189H6980|VanEck Ethereum Strategy ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-3|TXN4-8|TXN2-8|TXN4-5|TXN2-8|650000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|20.9234|0.0|20.96|0.0|20.81|20.9999|0.0|0.0|0.0|19.06|20.96|20.95|20.999|0.0|0.0|0.0|20.9234|0.0|20.9234|0.0|0.0|0.0|0.0|19.84|22.05|0.0|0.0|20.74|20.98|20.87|20.98|21.02|15.23|38020|538967 17098|EFV|EFV|464288877|US4642888774|iShares MSCI EAFE Value ETF|MSCI VAL IDX||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-7|TXN1-6|TXN3-7|TXN4-7|TXN1-2|332000000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||50.69|50.67|0.0|0.0|50.69|50.69|50.68|50.68|0.0|0.0|50.69|50.69|50.69|50.685|50.69|50.68|50.69|50.67|50.635|50.67|50.68|50.71|47.42|54.14|50.68|50.7|50.61|50.76|50.61|50.76|50.68|50.69|51.2453|44.7894|1663684|546378532 6005|EFX|EFX|294429105|US2944291051|Equifax Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|M|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-4|TXN4-1|TXN7-7|TXN2-5|TXN1-1|123220000|||Quarterly|||||1971-05-11||||||| | | | | | | | | |||N|5|Y|Y|104C|USA|US|||50|5020|502050|50205020|Industrials|Industrial Goods and Services|Industrial Support Services|Professional Business Support Services|N||N||||||Y|0|Y||Y|1|||225.11|225.17|0.0|225.2|225.14|225.065|225.19|225.16|0.0|0.0|225.08|225.09|225.1|225.1|224.86|225.14|224.69|225.14|225.15|225.14|225.05|225.15|209.0|237.78|224.93|225.25|224.87|225.37|225.06|225.34|225.05|225.15|240.35|159.95|754663|190462392 74748|EFXT|EFXT|29269R105|CA29269R1055|Enerflex Ltd.|Common Shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|5|A|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN4-7|TXN8-8|TXN1-6|TXN1-6|123930000|||Quarterly|||||2022-10-13||||||| | | | | | | | | |||N|0|N|Y|180B|CAN|CA|||60|6010|601010|60101030|Energy|Energy|Oil, Gas and Coal|Oil Equipment and Services|N||N||||||Y|0|Y||Y|2|||4.2|4.23|0.0|0.0|4.22|4.18|4.2001|4.2|0.0|0.0|4.26|4.19|4.225|4.201|0.0|4.23|0.0|4.23|4.2|4.23|4.21|4.24|4.2|4.23|4.16|4.28|4.21|4.24|0.0|0.0|4.21|4.24|8.36|3.94|30829|12416794 26032|EFZ|EFZ|74347R370|US74347R3701|ProShares Trust|ProShares Short MSCI EAFE|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ProShares Advisors |Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-7|TXN3-2|TXN1-8|TXN4-5|TXN4-4|2775000|||Quarterly|||||2008-11-11||EFZ.NV|EFZ.SO|EFZ.EU|EFZ.TC|EFZ.IV| | | | | | | | | |-1x|ProShares Short MSCI EAFE seeks daily investment results, before fees and expenses, that correspond to the inverse (opposite) of the daily performance of the MSCI EAFE Index. Because the value of the Index is not computed as of the close of the U.S. securities markets due to differences in trading hours between U.S. and foreign markets, correlation to the Index will be measured by comparing the daily change in the Funds net asset value per share to the performance of one or more U.S. exchange traded securities or instruments that reflect the values of the securities underlying the Index as of the close of the U.S. securities markets. This ETF seeks a return of -100% of the return of an index (target) for a single day. Due to the compounding of daily returns, returns over periods other than one day will likely differ in amount and possibly direction from the target return for the same period. Investors should monitor their ProShares holdings consistent with their strategies, as frequently as daily. For more on correlation, leverage and other risks, please read the prospectus. The MSCI EAFE Index (Europe, Australasia, Far East) adjusts the market capitalization of index constituents for free float and targets for index inclusion 85% of free float-adjusted market capitalization in each industry group, in developed market countries, excluding the US & Canada. As of June 2007, the MSCI EAFE Index consisted of the following 21 developed market country indexes: Australia, Austria, Belgium, Denmark, Finland, France, Germany, Greece, Hong Kong, Ireland, Italy, Japan, the Netherlands, New Zealand, Norway, Portugal, Singapore, Spain, Sweden, Switzerland and the United Kingdom.|N|0|N|N|416A|USA|US|EQUITY|INVERSE|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||18.211|18.285|0.0|0.0|0.0|18.225|18.2301|18.075|0.0|0.0|18.24|0.0|18.225|18.25|0.0|18.211|0.0|18.225|0.0|18.225|18.21|18.24|18.06|18.39|18.21|18.24|18.14|18.39|18.06|18.39|18.21|18.24|20.2584|17.51|11941|26321233 8881|EG|EG|G3223R108|BMG3223R1088|Everest Group, Ltd.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-7|TXN1-5|TXN4-8|TXN1-2|TXN1-8|43390000|||Quarterly|||||1995-10-03||||||| | | | | | | | | |||N|5|Y|Y|410B|BMU|BM|||30|3030|303020|30302020|Financials|Insurance|Non-life Insurance|Reinsurance|N||N||||||Y|0|Y||Y|1|||399.38|399.28|0.0|398.96|399.19|399.315|398.89|399.07|0.0|0.0|399.21|398.84|398.99|399.07|402.66|399.06|401.73|398.88|410.68|399.06|398.96|399.14|373.38|423.88|398.84|399.36|398.5|399.52|398.53|399.14|398.96|399.14|417.92|343.36|517393|32943672 11760|EGAN|EGAN|28225C806|US28225C8064|eGain Corp|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN5-1|TXN10-4|TXN5-5|TXN6-4|31490000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||||||8.01|8.01|0.0|0.0|7.98|7.97|7.98|7.99|0.0|0.0|8.0|8.0|8.0|7.96|7.75|7.75|8.0|7.99|7.96|8.0|7.85|8.14|6.14|9.82|7.86|8.12|7.94|9.82|7.93|8.05|7.97|7.99|10.35|5.61|193579|14945921 1302|EGBN|EGBN|268948106|US2689481065|Eagle Bancorp Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN5-6|TXN10-7|TXN6-7|TXN5-4|29930000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||||||0.0|25.94|0.0|25.83|25.9|25.89|25.88|25.945|0.0|0.0|25.9|25.85|25.88|25.95|25.84|25.82|25.8|25.88|0.0|25.88|25.67|26.19|19.75|31.4|25.71|25.97|25.83|25.95|25.82|25.96|25.88|25.9|49.04|16.72|201272|70960625 6006|EGF|EGF|09255K108|US09255K1088|BlackRock Enhanced Government Fund, Inc.|Common Stock|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN3-4|TXN8-8|TXN3-5|TXN3-5|4260000|||Monthly|||||2005-10-27||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||0.0|9.7|0.0|0.0|9.61|0.0|9.58|0.0|0.0|0.0|0.0|9.44|9.75|0.0|0.0|9.75|0.0|9.75|0.0|9.75|9.75|9.76|0.0|0.0|9.11|10.4|0.0|0.0|0.0|0.0|9.75|9.76|10.47|9.02|26192|990223 71166|EGGF|EGGF|26846A100|US26846A1007|EG Acquisition Corp.|Class A Common Stock|Special purpose acquisition company|A|N|N|N|Y|Y|Y|Y|Y|6|P|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN1-6|TXN4-8|TXN3-8|TXN2-7|9860000|||NotApplicable|||||2021-07-16||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||10.83|0.0|0.0|0.0|10.83|10.86|10.895|0.0|0.0|0.0|0.0|0.0|0.0|10.83|0.0|10.895|0.0|10.895|0.0|10.895|10.67|10.9|10.67|10.9|10.02|10.9|0.0|0.0|0.0|0.0|10.67|10.9|12.11|9.87|2860|13189960 71168|EGGF WS|EGGF.WS|26846A118|US26846A1189|EG Acquisition Corp.|Redeemable warrants, each whole warrant exercisable for one Class A common stock at an exercise price of $11.50 per share|Special purpose acquisition company|C|N|N|N|Y|Y|Y|Y|Y|6|P|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN3-8|TXN4-8|TXN7-8|TXN2-2|TXN2-2|0|||NotApplicable|||||2021-07-16||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||||||||||N||N||||||N|0|Y||N||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.12|0.0|0.0|0.12|0.0|0.12|0.0|0.12|0.0801|0.15|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0801|0.15|0.46|0.0736|100|2344493 70736|EGGF U|EGGF.U|26846A209|US26846A2096|EG Acquisition Corp.|Units, each consisting of one share of Class A common stock and one-third of one redeemable warrant|Special purpose acquisition company|R|N|N|N|Y|Y|Y|Y|Y|6|P|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN3-5|TXN1-5|TXN2-6|TXN2-8|22500000|||NotApplicable|||||2021-05-26||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|9.13|11.18|0.0|0.0|8.13|12.16|0.0|0.0|0.0|0.0|9.13|11.18|10.7|9.0|0|102686 1303|EGHT|EGHT|282914100|US2829141009|8x8 Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN5-4|TXN14-1|TXN5-5|TXN5-1|122160000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||15|1510|151020|15102015|Telecommunications|Telecommunications|Telecommunications Service Providers |Telecommunications Services|N||N||||||Y|0|Y||||||3.24|3.235|0.0|3.16|3.24|3.235|3.24|3.24|0.0|0.0|3.235|3.24|3.24|3.23|3.25|3.235|3.235|3.24|3.23|3.24|3.2|3.27|2.45|3.95|3.2|3.25|3.2|3.26|3.23|3.25|3.23|3.24|6.49|2.15|1978487|422886898 24766|EGIO|EGIO|53261M104|US53261M1045|Edgio Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-1|TXN5-3|TXN10-6|TXN5-6|TXN6-2|225550000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101010|10101020|Technology|Technology|Software and Computer Services|Consumer Digital Services |N||N||||||Y|0|Y||||||0.493|0.489|0.0|0.0|0.489|0.486|0.493|0.4885|0.0|0.0|0.4881|0.4881|0.4875|0.498|0.0|0.4885|0.0|0.493|0.0|0.4875|0.4689|0.5077|0.3776|0.5898|0.4764|0.4981|0.4612|0.5145|0.0|0.0|0.484|0.493|1.79|0.45|552948|227305134 1304|EGLE|EGLE|Y2187A150|MHY2187A1507|Eagle Bulk Shipping Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|O|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN1-1|TXN5-8|TXN2-1|TXN1-7|9930000|||Quarterly|||||2023-01-04||||||| | | | | | | | | |||N|0|N|Y|200A|USA|MH|||50|5020|502060|50206030|Industrials|Industrial Goods and Services|Industrial Transportation|Marine 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Vehicles|N||N||||||N|0|Y||||||0.6292|0.6292|0.0|0.0|0.6059|0.6059|0.6299|0.607|0.0|0.0|0.6|0.5477|0.611|0.0|0.0|0.6059|0.0|0.6299|0.0|0.611|0.498|0.7558|0.498|0.7558|0.5734|0.65|0.5877|0.6499|0.5832|0.0|0.61|0.6299|2.24|0.3608|2974482|11497670 6010|EGP|EGP|277276101|US2772761019|EastGroup Properties Inc.|Common Stock|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|6|P|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-7|TXN2-2|TXN7-6|TXN3-2|TXN2-8|46330000|||Quarterly|||||1994-05-03||||||| | | | | | | | | |||N|0|Y|Y|412A|USA|US|||35|3510|351020|35102020|Real Estate|Real Estate |Real Estate Investment Trusts|Industrial REITs|N||N||||||N|0|Y||Y|1|||178.18|178.21|0.0|177.39|178.29|178.275|178.11|178.2|0.0|0.0|178.06|178.14|178.155|178.23|178.13|178.19|176.31|178.11|178.23|178.19|178.11|178.19|167.0|187.98|177.29|179.21|177.96|178.33|177.98|178.18|178.11|178.19|188.85|144.4|439696|61554766 32306|EGPT|EGPT|92189F775|US92189F7758|VanEck ETF Trust|VanEck Egypt Index ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||VanEck Vectors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-7|TXN2-3|TXN9-8|TXN3-4|TXN3-2|824974|||Yearly|||||2010-02-17||EGPT.NV|EGPT.SO|EGPT.EU|EGPT.TC|EGPT.IV| | | | | | | | | |1x|Market Vectors Egypt Index ETF (the Fund) seeks to replicate as closely as possible, before fees and expenses, the price and yield performance of the Market Vectors Egypt Index (the Egypt Index). The Fund will normally invest at least 80% of its total assets in securities that comprise the Funds benchmark index. The Egypt Index is comprised of securities of Egyptian companies. A company is considered to be an Egyptian company if it is incorporated in Egypt or generates at least 50% of its revenues (or, in certain circumstances, has at least 50% of its assets) in Egypt. 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Biotechnology|Pharmaceuticals |N||N||||||Y|0|Y||||||6.27|6.22|0.0|6.15|6.27|6.25|6.25|6.26|0.0|0.0|6.22|6.27|6.25|6.235|6.27|6.27|6.22|6.25|6.13|6.25|6.08|6.39|4.83|7.7|6.1|6.37|6.23|6.31|6.23|6.28|6.25|6.26|35.82|5.5304|434737|37917303 75191|EGUS|EGUS|46436E239|US46436E2393|iShares ESG Aware MSCI USA Growth ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-7|TXN4-8|TXN4-8|TXN4-2|TXN3-3|160000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|32.123|0.0|0.0|0.0|0.0|32.08|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|32.123|0.0|32.123|32.06|32.19|0.0|0.0|32.11|32.12|16.23|48.66|0.0|0.0|32.11|32.12|32.4425|24.4843|146|23136 6015|EGY|EGY|91851C201|US91851C2017|VAALCO Energy, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|R|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-5|TXN1-3|TXN5-6|TXN1-3|TXN2-1|105160000|||Quarterly|||||2006-10-12||||||| | | | | | | | | |||N|0|N|Y|134B|USA|US|||60|6010|601010|60101010|Energy|Energy|Oil, Gas and Coal|Oil: Crude Producers|N||N||||||Y|0|Y||Y|2|||4.61|4.63|0.0|4.64|4.63|4.63|4.62|4.635|0.0|0.0|4.62|4.63|4.63|4.61|4.64|4.63|4.635|4.61|4.625|4.63|4.61|4.63|3.56|5.68|4.61|4.65|4.6|4.66|4.61|4.67|4.61|4.63|5.585|3.51|668481|277793048 65212|EH|EH|26853E102|US26853E1029|EHang Holdings Limited|ADS||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN5-4|TXN13-2|TXN5-6|TXN6-4|77310000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||50|5020|502010|50201010|Industrials|Industrial Goods and Services|Aerospace and Defense|Aerospace|N||N||||||Y|0|Y||||||17.62|17.61|0.0|17.67|17.67|17.61|17.61|17.6|0.0|0.0|17.6|17.59|17.59|17.61|16.98|17.61|17.53|17.61|17.12|17.59|17.43|17.78|13.93|21.71|17.45|17.76|17.5|17.68|17.52|17.68|17.59|17.62|25.78|6.0|757235|242518367 74184|EHAB|EHAB|29332G102|US29332G1022|Enhabit, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|T|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN4-2|TXN4-7|TXN4-2|TXN2-7|50130000|||NotApplicable|||||2022-06-23||||||| | | | | | | | | |||N|0|N|Y|400A|USA|US|||20|2010|201010|20101025|Health Care |Health Care |Health Care Providers|Health Care Services|N||N||||||Y|0|Y||Y|2|||11.0|10.99|0.0|11.26|11.0|11.055|11.06|11.06|0.0|0.0|11.05|11.04|11.055|11.06|11.0|11.06|10.99|11.06|11.035|11.06|11.05|11.06|8.65|13.52|10.92|11.13|11.02|11.09|11.01|11.1|11.05|11.06|16.64|7.12|447527|147701044 17438|EHC|EHC|29261A100|US29261A1007|Encompass Health Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|T|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-7|TXN1-3|TXN4-6|TXN2-1|TXN2-7|100240000|||Quarterly|||||2006-10-26||||||| | | | | | | | | |||N|0|Y|Y|122B|USA|US|||20|2010|201010|20101010|Health Care |Health Care |Health Care Providers|Health Care Facilities|N||N||||||Y|0|Y||Y|1|||66.82|66.81|0.0|66.82|66.82|66.745|66.825|66.82|0.0|0.0|66.76|66.76|66.85|66.76|66.35|66.83|66.51|66.82|66.81|66.83|66.82|66.83|62.67|70.86|66.69|66.89|66.75|66.9|66.82|66.91|66.82|66.83|72.0631|51.15|547111|158936935 6019|EHI|EHI|95766B109|US95766B1098|Western Asset Global High Income Fund Inc.|Common Stock|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN3-1|TXN5-8|TXN4-5|TXN1-8|22700000|||Monthly|||||2003-07-29||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||6.83|6.84|0.0|0.0|0.0|6.84|6.83|6.905|0.0|0.0|6.84|6.85|6.84|0.0|7.02|6.85|6.9|6.86|0.0|6.85|6.83|6.86|5.35|8.51|6.83|7.33|6.8|6.89|0.0|0.0|6.83|6.86|7.9|6.0|91487|12876554 17365|EHTH|EHTH|28238P109|US28238P1093|eHealth Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN5-6|TXN14-6|TXN6-7|TXN5-7|28370000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3030|303010|30301010|Financials|Insurance|Life Insurance|Life Insurance|N||N||||||Y|0|Y||||||8.97|8.98|0.0|9.09|8.98|8.995|8.98|9.0|0.0|0.0|8.99|9.0|8.98|8.97|9.1|9.0|9.1|8.98|9.1|8.98|8.89|9.11|6.86|11.09|8.89|9.0|8.92|9.78|8.95|0.0|8.97|9.0|10.57|4.01|772165|103097430 64145|EIC|EIC|269817102|US2698171020|Eagle Point Income Company Inc.|Common Stock|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN1-5|TXN9-8|TXN1-3|TXN3-3|9970000|||Monthly|||||2019-07-24||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||14.88|14.88|0.0|0.0|14.72|14.875|14.88|14.875|0.0|0.0|14.74|14.78|14.88|0.0|0.0|14.88|14.72|14.88|0.0|14.88|14.87|14.91|14.68|14.71|13.78|15.76|14.84|14.92|14.87|14.89|14.87|14.89|15.8|13.0|151228|9957128 72134|EICA|EICA|269817201|US2698172010|Eagle Point Income Company Inc.|5.00% Series A Term Preferred Stock due 2026|Closed end fund|G|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN3-1|TXN4-8|TXN3-1|TXN3-2|1520000|||Monthly|||||2021-10-27|2026-10-30|||||| | | | | | | | | |||N|0|N|N|406C||US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|23.1|23.0867|0.0|0.0|0.0|23.12|0.0|0.0|0.0|0.0|23.0867|22.8|23.0867|0.0|23.0867|23.05|23.12|23.05|23.18|21.43|24.61|0.0|0.0|0.0|0.0|23.05|23.12|24.1|22.18|2887|434276 76081|EICB|EICB|269817300|US2698173000|Eagle Point Income Company Inc.|7.75% Series B Term Preferred Stock Due 2028|Closed end fund|G|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN3-2|TXN4-8|TXN3-3|TXN1-3|1320000|||Monthly|||||2023-08-01|2028-07-31|||||| | | | | | | | | |||N|0|N|N|406C||US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|24.92|0.0|0.0|0.0|24.7|0.0|0.0|0.0|0.0|24.92|0.0|24.92|0.0|24.92|24.91|24.92|0.0|0.0|24.08|24.92|0.0|0.0|0.0|0.0|24.91|24.92|25.09|23.79|2090|732452 32663|EIDO|EIDO|46429B309|US46429B3096|iShares Trust|iShares MSCI Indonesia ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Pundion LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-7|TXN1-2|TXN2-6|TXN4-8|TXN2-3|18400000|||BiAnnually|||||2010-05-07||EIDO.NV|EIDO.SO|EIDO.EU|EIDO.TC|EIDO.IV| | | | | | | | | |1x|iShares MSCI Indonesia Investable Market Index Fund (EIDO) seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the MSCI Indonesia Investable Market Index. The Underlying Index is a free-float adjusted market capitalization weighted index designed to measure the performance of equity securities in the top 99% by market capitalization of equity securities listed on stock exchanges in Indonesia.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||21.86|21.84|0.0|0.0|21.85|21.855|21.85|21.85|0.0|0.0|21.855|21.85|21.84|21.84|21.85|21.845|21.865|21.86|21.88|21.86|21.83|21.85|20.38|23.37|21.84|21.85|20.8|22.99|21.74|21.91|21.83|21.85|24.78|19.945|267008|114474847 18932|EIG|EIG|292218104|US2922181043|Employers Holdings, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|A|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN3-6|TXN5-8|TXN1-2|TXN3-4|25720000|||Quarterly|||||2007-01-31||||||| | | | | | | | | |||N|0|N|Y|410B|USA|US|||30|3030|303020|30302025|Financials|Insurance|Non-life Insurance|Property and Casualty Insurance|N||N||||||Y|0|Y||Y|2|||39.0|39.18|0.0|39.01|39.03|38.99|38.94|38.92|0.0|0.0|38.96|39.0|38.94|38.97|38.84|38.96|37.99|38.97|38.99|38.96|38.97|39.01|29.59|47.57|38.86|39.12|30.55|46.58|38.94|39.06|38.97|39.01|46.12|35.43|130337|30264601 826|EIGR|EIGR|28249U105|US28249U1051|Eiger BioPharmaceuticals Inc|COM USD.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-6|TXN5-6|TXN14-6|TXN6-4|TXN5-3|44390000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||0.33|0.3298|0.0|0.0|0.3228|0.33|0.3235|0.3268|0.0|0.0|0.33|0.3302|0.3255|0.331|0.0|0.33|0.0|0.325|0.331|0.3255|0.3135|0.3759|0.264|0.42|0.317|0.36|0.264|0.396|0.0|0.0|0.3235|0.358|4.52|0.21|120895|105354812 6025|EIM|EIM|27827X101|US27827X1019|Eaton Vance Municipal Bond Fund|Common Shares of Beneficial Interest|Closed end fund|P|N|N|A|Y|Y|Y|Y|Y|||Brendan E. Cryan and Company, L.L.C.|CRYN|0235|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-7|TXN3-4|TXN4-7|TXN4-6|TXN2-1|71950000|||Monthly|||||2002-08-28||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||9.83|9.835|0.0|9.84|9.84|9.835|9.83|9.835|0.0|0.0|9.83|9.83|9.835|9.861|9.81|9.835|9.83|9.83|0.0|9.83|9.59|9.85|9.83|9.84|9.82|9.85|9.8|9.87|9.83|9.84|9.83|9.85|10.7|8.61|222294|35428627 39744|EINC|EINC|92189H870|US92189H8705|VanEck ETF Trust|VanEck Energy Income ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||VanEck Vectors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-6|TXN4-1|TXN3-8|TXN4-6|TXN2-2|564720|||Quarterly|||||2016-02-22||EINC.NV|EINC.SO|EINC.EU|EINC.TC|EINC.IV| | | | | | | | | |1x|Market Vectors Energy Income ETF seeks to replicate as closely as possible, before fees and expenses, the price and yield performance of the MVIS North American Energy Infrastructure Index. |N|0|N|N|406C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|65.3516|70.75|69.995|69.7|0.0|0.0|69.93|0.0|0.0|0.0|64.7016|0.0|0.0|69.9932|0.0|69.9932|64.99|74.78|0.0|0.0|69.64|70.28|66.11|73.81|0.0|0.0|69.64|70.28|70.99|56.92|29018|696261 74832|EIPX|EIPX|33739Q804|US33739Q8042|First Trust Exchange-Traded Fund IV|FT Energy Income Partners Strategy ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||First Trust|RBC Capital Markets, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-3|TXN1-1|TXN6-8|TXN3-6|TXN1-1|10700002|||Quarterly|||||2022-11-03||EIPX.NV|EIPX.SO|EIPX.EU|EIPX.TC| | | | | | | | | | |2x|The FT Energy Income Partners Strategy ETFs (the Fund) investment objective is to seek risk-adjusted total return.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|21.39|0.0|0.0|0.0|21.42|21.4078|0.0|0.0|0.0|21.39|0.0|21.38|0.0|0.0|0.0|0.0|21.44|0.0|21.44|0.0|0.0|0.0|0.0|21.38|21.45|0.0|0.0|0.0|0.0|21.38|21.45|22.01|18.6|7188|7488559 32664|EIRL|EIRL|46429B507|US46429B5075|iShares Trust|iShares MSCI Ireland ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-5|TXN2-5|TXN6-8|TXN4-8|TXN2-3|1650000|||BiAnnually|||||2010-05-07||EIRL.NV|EIRL.SO|EIRL.EU|EIRL.TC|EIRL.IV| | | | | | | | | |1x|iShares MSCI Ireland Capped Investable Market Index Fund (EIRL) seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the MSCI Ireland Investable Market Index 25/50 Index. The Underlying Index is a free-float adjusted market capitalization weighted index designed to measure the performance of equity securities in the top 99% by market capitalization of the equity securities listed on stock exchanges in Ireland.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|57.12|57.225|0.0|0.0|0.0|0.0|56.65|57.224|0.0|0.0|0.0|57.2216|0.0|57.2216|53.07|61.12|0.0|0.0|57.18|57.27|53.07|61.12|0.0|0.0|57.18|57.27|60.269|44.92|4206|2434887 27581|EIS|EIS|464286632|US4642866325|iShares Inc.|iShares MSCI Israel ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-6|TXN3-7|TXN7-8|TXN3-5|TXN1-7|2300000|||BiAnnually|||||2008-03-28||EIS.NV|EIS.SO|EIS.EU|EIS.TC|EIS.IV| | | | | | | | | |1x|The iShares MSCI Israel Capped Investable Market Index Fund seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the MSCI Israel Capped Investable Market Index. The Underlying Index is a custom, free float adjusted market capitalization index designed to measure broad based equity market performance in Israel. The Underlying Index consists of stocks traded primarily on the Tel Aviv Stock Exchange. As of September 30, 2008, the Underlying Indexs three largest industries were health care, financials and materials.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||54.67|54.92|0.0|0.0|0.0|54.61|54.97|54.9|0.0|0.0|0.0|0.0|0.0|0.0|54.01|0.0|0.0|54.92|0.0|54.92|43.58|65.7|0.0|0.0|54.91|55.03|43.58|65.73|0.0|0.0|54.91|55.03|61.33|44.52|38270|7684501 6029|EIX|EIX|281020107|US2810201077|Edison International|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|A|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-4|TXN4-1|TXN7-5|TXN2-8|TXN2-6|383570000|||Quarterly|||||1926-05-27||||||| | | | | | | | | |||N|5|Y|Y|302A|USA|US|||65|6510|651010|65101015|Utilities|Utilities|Electricity|Conventional Electricity|N||N||||||Y|0|Y||Y|1|||67.4|67.38|0.0|67.34|67.38|67.35|67.36|67.38|0.0|67.68|67.35|67.39|67.35|67.35|67.33|67.37|67.36|67.34|67.4|67.37|67.33|67.36|62.78|71.51|67.28|67.45|67.29|67.42|67.31|67.44|67.33|67.36|74.92|58.82|1752406|421409058 65300|EJAN|EJAN|45782C516|US45782C5168|Innovator ETFs Trust|Innovator Emerging Markets Power Buffer ETF - January|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Innovator Capital Management |Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-4|TXN2-8|TXN6-8|TXN2-4|TXN3-1|12825000|||Yearly|||||2020-01-02||EJAN.NV|EJAN.SO|EJAN.EU|EJAN.TC|EJAN.IV| | | | | | | | | ||Innovator MSCI Emerging Markets Power Buffer ETF - January is an exchange-traded fund incorporated in the USA. It is designed to track the return of the MSCI Emerging Markets Index (to a predetermined cap) while buffering investors against the first 15% of losses over the outcome period (approximately 1 year). 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6039|EL|EL|518439104|US5184391044|The Estee Lauder Companies Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|C|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-6|TXN4-1|TXN8-7|TXN1-5|TXN3-6|232310000|||Quarterly|||||1995-11-17||||||| | | | | | | | | |||N|5|Y|Y|120A|USA|US|||40|4020|402040|40204035|Consumer Discretionary|Consumer Products and Services|Personal Goods|Cosmetics|N||N||||||Y|0|Y||Y|1|||138.935|138.91|0.0|138.9|138.9|138.91|138.93|138.9|0.0|0.0|138.9|138.9|138.89|138.96|138.92|138.95|138.95|138.95|138.98|138.95|138.95|138.96|131.19|147.91|138.82|139.01|138.79|139.16|138.81|139.18|138.95|138.96|283.6225|102.22|6849874|523673202 1144|ELA|ELA|29402E102|US29402E1029|Envela Corporation|Common Stock|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-7|TXN2-4|TXN1-5|TXN4-1|TXN1-1|26700000|||NotApplicable|||||2007-10-31||||||| | | | | | | | | |||N|0|N|N|310A|USA|US|||40|4040|404010|40401030|Consumer Discretionary|Retail |Retailers |Specialty Retailers |N||N||||||Y|0|Y||Y|2|||4.24|4.67|0.0|0.0|4.68|4.66|4.61|4.69|0.0|0.0|4.63|4.17|4.65|4.46|0.0|0.0|4.64|4.64|3.5|4.64|4.48|4.81|4.64|4.66|4.55|4.66|3.55|5.76|0.0|0.0|4.64|4.66|8.05|3.02|14886|10889844 76668|ELAB|ELAB|28622K104|US28622K1043|Elevai Labs Inc|COM USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN6-7|TXN13-2|TXN6-3|TXN6-4|9990000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||45|4520|452010|45201020|Consumer Staples |Personal Care, Drug and Grocery Stores |Personal Care, Drug and Grocery Stores |Personal Products|N||N||||||N|0|Y|C|||||2.46|2.46|0.0|0.0|2.42|2.42|2.5199|2.46|0.0|0.0|2.5|2.48|2.42|2.424|2.47|2.42|0.0|2.42|2.46|2.42|1.91|3.07|1.91|3.07|2.26|2.66|1.91|3.07|0.0|0.0|2.42|2.53|4.2442|2.35|173321|3805748 61791|ELAN|ELAN|28414H103|US28414H1032|Elanco Animal Health Incorporated|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|D|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-7|TXN3-4|TXN9-8|TXN4-2|TXN2-5|492800000|||Quarterly|||||2018-09-20||||||| | | | | | | | | |||N|0|Y|Y|122A|USA|US|||20|2010|201030|20103015|Health Care |Health Care |Pharmaceuticals and Biotechnology|Pharmaceuticals |N||N||||||Y|0|Y||Y|1|||12.84|12.835|0.0|12.8|12.83|12.83|12.83|12.84|0.0|0.0|12.83|12.83|12.83|12.83|12.85|12.83|12.835|12.83|12.83|12.83|12.83|12.84|11.96|13.63|12.83|12.86|12.8|12.87|12.8|12.87|12.83|12.84|14.69|7.88|7240646|1535471660 62202|ELBM|ELBM|28474P201|CA28474P2017|Electra Battery Materials Corporation|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-5|TXN5-1|TXN12-2|TXN5-8|TXN5-1|55840000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CAN||||55|5510|551020|55102000|Basic Materials|Basic Resources|Industrial Metals and Mining|General Mining|N||N||||||N|0|Y||||||0.465|0.47|0.0|0.0|0.465|0.47|0.477783|0.47|0.0|0.0|0.0|0.0|0.4698|0.0|0.0|0.0|0.0|0.47|0.47|0.4698|0.376|0.5755|0.376|0.5755|0.4632|0.4796|0.376|0.5755|0.0|0.0|0.465|0.4796|2.7395|0.42|84195|111801285 53693|ELC|ELC|29364W108|US29364W1080|Entergy Corporation|Collateral Trust Mortgage Bonds, 4.875% Series due September 1, 2066|Operating company|G|N|N|N|Y|Y|Y|Y|Y|6|H|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN1-1|TXN6-8|TXN1-5|TXN4-4|10800000|||Quarterly|||||2016-08-18|2066-09-01|||||| | | | | | | | | |||N|0|N|N|302A||US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|21.53|0.0|0.0|0.0|21.52|21.54|21.735|0.0|0.0|21.65|0.0|21.56|0.0|0.0|21.56|0.0|21.52|0.0|21.56|21.49|21.6|0.0|0.0|21.16|22.08|0.0|0.0|0.0|0.0|21.49|21.6|24.0|19.86|13857|5003397 35587|ELD|ELD|97717X867|US97717X8671|WisdomTree Trust|WisdomTree Emerging Markets Local Debt Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||WisdomTree|Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-8|TXN4-6|TXN4-8|TXN4-4|TXN2-8|3250000|||Monthly|||||2010-08-09||ELD.NV|ELD.SO|ELD.EU|ELD.TC|ELD.IV| | | | | | | | | ||The Fund seeks a high level of total return consisting of both income and capital appreciation. The Fund seeks to achieve its investment objective through investment in Local Debt denominated in the local currencies of emerging market countries. Under normal circumstances, the Fund will invest at least 80% of its net assets, plus the amount of any borrowings for investment purposes, in Local Debt. For these purposes, Local Debt includes fixed income securities, such as bonds, notes or other debt obligations denominated in local currencies of emerging market countries, as well as certain derivatives and other instruments described herein. The Fund is an actively managed exchange traded fund (ETF). |N|0|N|N|406C|USA|US|FIXED_INCOME|ACTIVE|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|27.44|0.0|0.0|0.0|26.95|27.095|0.0|0.0|0.0|26.95|0.0|27.25|0.0|0.0|0.0|0.0|27.02|0.0|27.02|26.97|27.23|0.0|0.0|26.97|27.22|26.97|27.24|0.0|0.0|26.97|27.22|28.59|25.01|10566|4470031 44935|ELDN|ELDN|28617K101|US28617K1016|Eledon Pharmaceuticals Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN6-5|TXN10-8|TXN6-5|TXN5-7|24200000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||1.16|1.33|0.0|1.38|1.3|1.3|1.26|1.3|0.0|0.0|1.3|1.3|1.3|1.265|1.3|1.28|1.16|1.33|0.0|1.33|1.24|1.36|1.03|1.57|1.25|1.33|1.07|1.54|0.0|0.0|1.29|1.33|3.7|1.07|218502|22209401 70973|ELEV|ELEV|28623U101|US28623U1016|Elevation Oncology Inc|COM USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-7|TXN6-6|TXN11-5|TXN6-6|TXN5-4|42420000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||0.5|0.495|0.0|0.0|0.49|0.49|0.4818|0.4909|0.0|0.0|0.49|0.5|0.482|0.0|0.0|0.0|0.482|0.482|0.0|0.482|0.4657|0.5133|0.3843|0.6|0.48|0.5108|0.3843|0.6|0.0|0.0|0.4819|0.5|5.89|0.363|101357|180734332 53968|ELF|ELF|26856L103|US26856L1035|e.l.f. Beauty, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|C|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-6|TXN3-8|TXN4-5|TXN2-5|TXN3-5|55200000|||NotApplicable|||||2016-09-22||||||| | | | | | | | | |||N|0|N|Y|120A|USA|US|||40|4020|402040|40204035|Consumer Discretionary|Consumer Products and Services|Personal Goods|Cosmetics|N||N||||||Y|0|Y||Y|2|||126.63|126.58|0.0|126.63|126.62|126.65|126.56|126.58|0.0|0.0|126.6|126.65|126.58|126.83|126.6|126.59|126.855|126.6|126.6|126.59|126.59|126.61|126.35|126.79|126.55|126.87|126.36|126.85|126.52|126.86|126.59|126.61|139.85|48.1|1636222|271945749 69833|ELIQ|ELIQ|285046108|US2850461086|Electriq Power Holdings, Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|L|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN7-8|TXN3-1|TXN4-8|TXN4-7|TXN4-1|41750000|||NotApplicable|||||2021-03-22||||||| | | | | | | | | |||N|0|N|Y|408A|USA|US|||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|2|Y|C|Y|2|||0.45|0.4326|0.0|0.0|0.42|0.4399|0.4308|0.453|0.0|0.0|0.46|0.0|0.4308|0.0|0.4399|0.4317|0.4399|0.4308|0.0|0.4317|0.4307|0.4391|0.3461|0.54|0.4214|0.4509|0.3461|0.54|0.0|0.0|0.4307|0.4391|6.5|0.41|78483|68879198 76087|ELIQ WS|ELIQ.WS|285046116|US2850461169|Electriq Power Holdings, Inc.|Warrants, each exercisable for one share of Class A common stock at an exercise price of $6.57 per share|Operating company|C|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN10-5|TXN1-8|TXN3-8|TXN4-4|TXN3-5|0|||NotApplicable|||||2023-08-01||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||||||||||N||N||||||N|2|Y|D|N||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.007|0.02|0.0|0.0|0.0|0.0|0.0|0.0|0.007|0.02|0.1879|0.0056|0|2396011 38683|ELLO|ELLO|M39927120|IL0010826357|Ellomay Capital Ltd.|Ordinary shares|Operating company|A|N|Y|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-4|TXN4-1|TXN1-5|TXN4-7|TXN2-1|12850000|||Adhoc|||||2011-08-22||||||| | | | | | | | | |||N|0|N|N|116A|ISR|IL|||65|6510|651010|65101010|Utilities|Utilities|Electricity|Alternative Electricity|N||N||||||N|0|Y||Y|2|||0.0|13.6|0.0|0.0|0.0|11.1|13.382|0.0|0.0|0.0|0.0|11.8|0.0|11.15|0.0|0.0|12.43|12.43|12.2|12.43|0.0|0.0|12.66|13.09|12.45|13.25|0.0|0.0|0.0|0.0|12.66|13.09|18.76|10.0|2599|409878 35602|ELMD|ELMD|285409108|US2854091087|Electromed Inc.|Common Stock|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Brendan E. Cryan and Company, L.L.C.|CRYN|0235|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN1-3|TXN6-8|TXN3-3|TXN1-5|8580000|||NotApplicable|||||2011-10-03||||||| | | | | | | | | |||N|0|N|N|140A|USA|US|||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||Y|0|Y||Y|2|||10.35|10.39|0.0|0.0|10.37|10.63|10.64|10.4|0.0|0.0|10.35|0.0|0.0|10.643|0.0|0.0|10.64|10.64|0.0|10.64|9.91|10.93|10.4|10.68|10.02|10.67|9.91|11.2|0.0|0.0|10.4|10.68|13.84|8.8|12172|2739403 10038|ELME|ELME|939653101|US9396531017|Elme Communities|Shares of Beneficial Interest|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|6|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-3|TXN1-6|TXN9-4|TXN1-7|TXN3-3|87830000|||Quarterly|||||1999-01-04||||||| | | | | | | | | |||N|0|N|Y|412A|USA|US|||35|3510|351020|35102000|Real Estate|Real Estate |Real Estate Investment Trusts|Diversified REITs|N||N||||||Y|0|Y||Y|2|||13.82|13.825|0.0|13.19|13.815|13.8|13.825|13.82|0.0|0.0|13.82|13.82|13.825|13.82|13.72|13.83|13.805|13.83|13.81|13.83|13.82|13.83|10.54|16.96|13.79|13.85|13.79|13.85|13.78|13.86|13.82|13.83|19.87|12.44|532402|134251204 6048|ELP|ELP|20441B605|US20441B6056|Companhia Paranaense de Energia - COPEL|American Depositary Shares (each representing one Unit consisting one Common Share and four non-voting Class B Preferred Shares)|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|8|R|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-5|TXN4-6|TXN6-6|TXN2-7|TXN1-5|1679340000|||Yearly|||||2021-04-28||||||| | | | | | | | | |||N|0|N|Y|302A|BRA|BR|||65|6510|651010|65101010|Utilities|Utilities|Electricity|Alternative Electricity|N||N||||||N|0|Y||Y|2|||9.26|9.24|0.0|9.17|9.23|9.24|9.25|9.235|0.0|0.0|9.25|9.23|9.24|9.26|9.22|9.25|9.21|9.25|9.19|9.25|9.23|9.26|7.26|11.25|9.23|9.26|9.19|9.29|9.24|9.28|9.24|9.28|9.77|6.005|794833|111460843 72324|ELQD|ELQD|46436E437|US46436E4373|iShares Trust|iShares ESG Advanced Investment Grade Corporate Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-4|TXN2-8|TXN7-8|TXN1-3|TXN3-3|150000|||Monthly|||||2021-11-10||ELQD.NV|ELQD.SO|ELQD.EU|ELQD.TC|ELQD.IV| | | | | | | | | |1x|The iShares ESG Advanced Investment Grade Corporate Bond ETF seeks to track the investment results of an index composed of U.S. dollar-denominated, investment grade corporate bonds that applies extensive climate-based screens and other extensive screens for involvement in controversial activities, and reflects the performance of issuers with a favorable environmental, social and governance rating as identified by the index provider.|N|0|N|N|412C|USA|US|FIXED_INCOME|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|79.926986|0.0|0.0|0.0|79.382131|0.0|0.0|0.0|0.0|0.0|0.0|80.2595|0.0|80.2595|0.0|0.0|0.0|0.0|80.16|80.46|0.0|0.0|0.0|0.0|80.03|80.33|83.7251|73.9617|43|27566 6049|ELS|ELS|29472R108|US29472R1086|Equity Lifestyle Properties, Inc.|Common Stock|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|6|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-5|TXN3-7|TXN2-5|TXN1-4|TXN1-7|186390000|||Quarterly|||||1993-02-25||||||| | | | | | | | | |||N|0|Y|Y|414A|USA|US|||35|3510|351020|35102040|Real Estate|Real Estate |Real Estate Investment Trusts|Residential REITs|N||N||||||Y|0|Y||Y|1|||72.275|72.27|0.0|71.92|72.21|72.24|72.2|72.28|0.0|0.0|72.25|72.28|72.2|72.275|71.94|72.23|71.51|72.21|72.28|72.23|72.22|72.26|67.4|76.34|72.14|72.34|72.18|72.3|72.19|72.29|72.19|72.26|74.4|60.47|1148247|276118022 1321|ELSE|ELSE|285233102|US2852331022|Electro-Sensors Inc|COM USD.1||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN5-8|TXN14-2|TXN6-7|TXN6-4|3430000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502020|50202025|Industrials|Industrial Goods and Services|Electronic and Electrical Equipment|Electronic Equipment: Gauges and Meters|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|3.79|3.75|0.0|0.0|0.0|3.84|0.0|3.87|0.0|0.0|0.0|0.0|3.84|0.0|3.84|3.51|4.16|0.0|0.0|3.55|4.11|0.0|0.0|0.0|0.0|3.72|3.89|5.14|3.65|2150|762877 1323|ELTK|ELTK|M40184208|IL0010828411|Eltek Ltd|ORD NIS.6||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN5-2|TXN10-8|TXN5-7|TXN5-6|5850000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||ISR||||10|1010|101020|10102015|Technology|Technology|Technology Hardware and Equipment|Electronic Components|N||N||||||N|0|Y||||||12.71|12.86|0.0|12.72|12.39|12.86|12.833|12.85|0.0|0.0|12.64|12.37|12.78|12.85|12.71|0.0|0.0|12.81|0.0|12.78|10.13|14.94|9.67|15.74|11.94|13.7|12.69|12.93|12.77|12.99|12.77|12.86|14.229|3.84|104872|8260789 69050|ELTX|ELTX|28657F103|US28657F1030|Elicio Therapeutics Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN5-6|TXN13-4|TXN6-6|TXN6-8|8410000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||6.4|0.0|0.0|0.0|6.39|6.28|6.55|6.325|0.0|0.0|6.28|6.25|6.54|0.0|0.0|0.0|0.0|6.45|0.0|6.54|0.0|0.0|0.0|0.0|6.45|6.81|0.0|0.0|0.0|0.0|6.45|6.55|24.39|5.19|53218|3620358 67813|ELUT|ELUT|05479K106|US05479K1060|Elutia Inc|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN5-8|TXN13-8|TXN5-3|TXN5-3|18880000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103015|Health Care |Health Care |Pharmaceuticals and Biotechnology|Pharmaceuticals |N||N||||||N|0|Y||||||0.0|2.29|0.0|0.0|2.33|2.46|2.35|0.0|0.0|0.0|0.0|0.0|2.32|0.0|0.0|0.0|0.0|2.29|0.0|2.32|1.79|2.94|1.79|2.94|2.21|2.46|1.79|2.94|0.0|0.0|2.28|2.37|2.47|1.1001|47354|28417436 10002|ELV|ELV|036752103|US0367521038|Elevance Health, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|T|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-5|TXN2-8|TXN3-5|TXN1-6|TXN1-4|234960000|||Quarterly|||||2001-10-30||||||| | | | | | | | | |||N|5|Y|Y|122B|USA|US|||20|2010|201010|20101020|Health Care |Health Care |Health Care Providers|Health Care Management Services|N||N||||||Y|0|Y||Y|1|||481.59|483.18|0.0|483.15|482.82|483.06|483.02|482.845|0.0|0.0|483.07|482.98|483.12|482.82|483.06|483.1|481.13|483.1|482.97|483.1|483.05|483.06|453.0|508.98|482.79|483.24|458.99|483.43|482.67|483.46|483.05|483.06|544.01|412.0|877778|271548158 59445|ELVA|ELVA|28617B606|CA28617B6061|Electrovaya Inc|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN6-2|TXN13-8|TXN6-4|TXN5-1|32980000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CAN||||50|5020|502020|50202010|Industrials|Industrial Goods and Services|Electronic and Electrical Equipment|Electrical Components |N||N||||||N|0|Y||||||2.93|2.98|0.0|0.0|0.0|2.98|3.02|2.96|0.0|0.0|0.0|0.0|3.02|0.0|0.0|2.921|0.0|3.02|2.92|3.02|2.75|0.0|0.0|0.0|2.94|3.02|0.0|0.0|0.0|0.0|2.99|3.02|5.5|2.34|43295|5416315 65791|ELVN|ELVN|29337E102|US29337E1029|Enliven Therapeutics Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN6-8|TXN12-6|TXN5-6|TXN6-1|41210000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||11.52|11.45|0.0|0.0|11.46|11.51|11.48|11.49|0.0|0.0|11.75|0.0|11.5|0.0|0.0|11.51|11.69|11.48|0.0|11.5|11.11|11.89|8.93|14.12|11.26|11.78|11.3|11.67|11.24|11.74|11.46|11.52|25.34|9.985|91709|28181661 76042|ELWS|ELWS|27030F103|US27030F1030|Early Works Co 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102526||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-3|TXN5-1|TXN12-6|TXN5-4|TXN5-6|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.011|0.02|0.045|0.0083|0|1609660 62575|EMCR|EMCR|233051192|US2330511922|DBX ETF Trust|Xtrackers Emerging Markets Carbon Reduction and Climate Improvers ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||DBX Advisors|RBC Capital Markets, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-7|TXN3-2|TXN3-8|TXN1-3|TXN2-7|30450001|||BiAnnually|||||2018-12-06||ACSG.NV|ACSG.SO|ACSG.EU|ACSG.TC|ACSG.IV| | | | | | | | | |1x|Fund will aim to track the underlying index, which aims to provide access to international equities that demonstrate better exposure to Environmental, Social, & Governance standards than their peers.|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|27.0|0.0|0.0|0.0|0.0|0.0|26.98|0.0|0.0|0.0|0.0|26.9895|0.0|26.9895|20.54|33.29|20.54|33.29|26.92|27.01|20.54|33.29|0.0|0.0|26.92|27.01|28.76|24.89|673|16888402 6131|EMD|EMD|95766A101|US95766A1016|Western Asset Emerging Markets Debt Fund Inc.|Common Stock|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN1-8|TXN2-8|TXN2-5|TXN4-8|59390000|||Monthly|||||2003-12-02||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||8.79|8.85|0.0|8.83|8.81|8.8|8.85|8.81|0.0|0.0|8.85|8.8|8.82|8.949|8.82|8.86|8.88|8.85|8.85|8.86|8.81|8.85|6.87|10.95|8.79|8.86|8.8|10.77|8.82|8.85|8.81|8.85|9.75|7.85|412990|41647903 75367|EMDM|EMDM|33734X754|US33734X7545|First Trust Exchange-Traded Fund II|First Trust Bloomberg Emerging Market Democracies ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||First Trust|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-7|TXN4-7|TXN2-8|TXN2-1|TXN3-3|250002|||Quarterly|||||2023-03-03||EMDM.NV|EMDM.SO|EMDM.EU|EMDM.TC|EMDM.IV| | | | | | | | | |1x|The First Trust Bloomberg Emerging Market Democracies ETF (the Fund) seeks investments results that correspond generally to the price and yield, before fees and expenses, of an equity index called the Bloomberg Emerging Market Democracies Index (the Index).|N|0|N|N|416A|USA|US|HYBRID|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|21.3302|0.0|21.3302|0.0|0.0|0.0|0.0|21.29|21.35|0.0|0.0|0.0|0.0|21.29|21.35|23.79|18.9144|273|296700 52390|EMDV|EMDV|74347B847|US74347B8476|ProShares MSCI Emerging Markets Dividend Growers 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LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN4-1|TXN8-8|TXN3-5|TXN1-3|47040000|||Quarterly|||||2000-11-16||||||| | | | | | | | | |||N|0|Y|Y|110A|USA|US|||50|5010|501010|50101010|Industrials|Construction and Materials|Construction and Materials |Construction|N||N||||||Y|0|Y||Y|1|||217.1|216.93|0.0|215.31|216.12|216.955|216.86|216.765|0.0|0.0|216.08|216.32|216.86|213.95|219.41|216.79|215.5|216.86|212.5|216.79|216.85|216.86|202.5|229.61|215.17|218.83|216.4|217.13|216.37|217.19|216.85|216.86|227.495|141.89|273757|79648880 6059|EMF|EMF|880191101|US8801911012|Templeton Emerging Markets Fund|Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN3-2|TXN9-8|TXN2-3|TXN1-6|16070000|||Yearly|||||1989-12-13||||||| | | | | | | | | |||N|0|N|N|406B|SGP|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||11.63|11.7|0.0|0.0|11.68|11.64|11.65|11.655|0.0|0.0|11.67|0.0|11.65|0.0|0.0|11.64|0.0|11.64|0.0|11.64|11.64|11.66|11.63|11.67|10.93|12.53|8.98|14.65|0.0|0.0|11.64|11.66|13.19|10.58|18962|4425079 43067|EMFM|EMFM|37950E218|US37950E2182|Global X Funds|Global X MSCI Next Emerging & Frontier ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Global X|Susquehanna Securities, 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Vehicles|N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|18.3779|18.28|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|18.31|0.0|18.31|0.0|0.0|0.0|0.0|18.3|18.35|0.0|0.0|0.0|0.0|18.3|18.35|19.49|16.91|2928|1142746 62903|EMFQ|EMFQ|032108870|US0321088702|Amplify ETF Trust|Amplify Emerging Markets FinTech ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Amplify Investments|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-6|TXN1-1|TXN8-8|TXN2-8|TXN3-3|100000|||Yearly|||||2019-01-30||XBUY.NV|XBUY.SO|XBUY.EU|XBUY.TC|XBUY.IV| | | | | | | | | ||The Index seeks to measure the performance of equity securities( common stock and depositary receipts) issued by non-US companies that derive at least 90% of their revenue from online business or e-commerce 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Vehicles|N||N||||||Y|0|Y||||||0.0|42.6389|0.0|0.0|42.61|42.63|42.6389|0.0|0.0|0.0|42.64|0.0|42.67|42.64|0.0|0.0|0.0|42.6389|0.0|42.6389|42.61|42.67|0.0|0.0|42.39|42.92|0.0|0.0|0.0|0.0|42.59|42.69|44.98|39.2292|40167|30255416 70149|EMHC|EMHC|78468R515|US78468R5155|SPDR Series Trust|SPDR Bloomberg Emerging Markets USD Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN2-8|TXN3-8|TXN2-6|TXN3-4|8600000|||Monthly|||||2021-04-07||EMHC.NV|EMHC.SO|EMHC.EU|EMHC.TC|EMHC.IV| | | | | | | | | |1x|The SPDR Bloomberg Barclays Emerging Markets USD Bond ETF (the Fund) seeks to provide investment results that, before fees and expenses, correspond generally to the price and yield performance of an index that tracks fixed-rate US dollar-denominated debt issued by sovereign and quasi-sovereign emerging market issuers.|N|0|N|N|416A|USA|US|FIXED_INCOME|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|23.49|23.495|0.0|0.0|0.0|0.0|0.0|23.49|0.0|0.0|0.0|0.0|23.5151|0.0|23.5151|0.0|0.0|0.0|0.0|23.51|23.53|0.0|0.0|0.0|0.0|23.38|23.53|25.04|21.86|1379|5836248 39846|EMHY|EMHY|464286285|US4642862852|iShares J.P. Morgan EM High Yield Bond ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN1-2|TXN6-7|TXN1-8|TXN4-8|9150000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|35.27|0.0|0.0|0.0|35.28|35.26|35.336425|0.0|0.0|35.25|35.23|35.27|35.23|0.0|35.27|0.0|35.27|35.22|35.27|33.1|37.31|27.01|43.51|35.26|35.31|28.24|42.39|0.0|0.0|35.26|35.3|37.08|33.05|38424|10877916 31106|EMIF|EMIF|464288216|US4642882165|iShares Emerging Markets Infrastructure ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN5-7|TXN12-5|TXN5-2|TXN5-2|1000000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|20.52|0.0|0.0|0.0|0.0|20.54|0.0|20.52|19.11|21.98|0.0|0.0|20.24|20.69|19.11|21.98|0.0|0.0|20.37|20.52|23.02|18.918|170|352627 1334|EMKR|EMKR|290846203|US2908462037|EMCORE Corp|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-8|TXN5-3|TXN12-8|TXN5-8|TXN5-6|73810000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101020|10102010|Technology|Technology|Technology Hardware and Equipment|Semiconductors|N||N||||||Y|0|Y||||||0.511|0.5188|0.0|0.0|0.51|0.5187|0.510101|0.5144|0.0|0.0|0.5188|0.51|0.5149|0.504|0.0|0.5188|0.51|0.510101|0.504|0.5149|0.4979|0.5302|0.4075|0.6114|0.5016|0.5287|0.4075|0.6108|0.0|0.0|0.51|0.5189|1.49|0.36|122622|80453955 6062|EML|EML|276317104|US2763171046|Eastern Co (The)|COM USD10||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN6-8|TXN11-5|TXN6-2|TXN5-6|6240000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||55|5510|551020|55102015|Basic Materials|Basic Resources|Industrial Metals and Mining|Metal Fabricating|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|18.17|18.07|0.0|0.0|0.0|0.0|0.0|18.07|0.0|0.0|0.0|0.0|18.07|0.0|18.07|17.38|18.91|0.0|0.0|17.88|18.84|0.0|0.0|0.0|0.0|18.07|18.25|24.35|15.3|5135|1710318 35496|EMLC|EMLC|92189H300|US92189H3003|VanEck ETF Trust|VanEck J. P. Morgan EM Local Currency Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||VanEck Vectors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-1|TXN2-8|TXN9-3|TXN1-3|TXN3-3|120422682|||Monthly|||||2010-07-23||EMLC.NV|EMLC.SO|EMLC.EU|EMLC.TC|EMLC.IV| | | | | | | | | |1x|Market Vectors Emerging Markets Local Currency Bond ETF (the Fund) seeks to replicate as closely as possible, before fees and expenses, the price and yield performance of the J.P. Morgan Government Bond Index - Emerging Markets Global Core (the Emerging Markets Index). The Fund normally invests at least 80% of its total assets in securities that comprise the Funds benchmark index. The Emerging Markets Index is comprised of bonds issued by emerging market governments and denominated in the local currency of the issuer. As of June 30, 2012, the Emerging Markets Index included 172 bonds of 14 sovereign issuers. This 80% investment policy is non-fundamental and requires 60 days prior written notice to shareholders before it can be changed.|N|0|N|N|406C|USA|US|FIXED_INCOME|INDEX|||||||||N||N||||||Y|0|Y||Y|1|||24.775|24.78|0.0|24.96|24.77|24.775|24.7762|24.78|0.0|0.0|24.77|24.77|24.78|24.78|24.72|24.775|24.77|24.78|24.77|24.78|24.76|24.78|23.3|24.83|24.77|24.78|24.75|24.79|24.62|24.83|24.77|24.78|26.1075|23.1139|857043|354028144 73415|EMLD|EMLD|29103K100|US29103K1007|FTAC Emerald Acquisition Corp|CL A COM USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN5-5|TXN14-5|TXN6-4|TXN6-1|25220000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.55|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|9.86|11.19|0.0|0.0|0.0|0.0|10.52|10.55|10.66|9.955|60|58004778 72953|EMLDU|EMLDU|29103K209|US29103K2096|FTAC Emerald Acquisition Corp|UNITS||R|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN5-8|TXN14-6|TXN5-2|TXN6-2|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.44|11.59|0.0|0.0|0.0|0.0|10.44|11.59|11.8|9.86|0|324280 73416|EMLDW|EMLDW|29103K118|US29103K1189|FTAC Emerald Acquisition Corp|WT EXP 101928||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-6|TXN6-5|TXN10-4|TXN5-7|TXN6-1|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.02|0.0253|0.85|0.005|0|3595074 40245|EMLP|EMLP|33738D101|US33738D1019|First Trust Exchange-Traded Fund IV|First Trust North American Energy Infrastructure Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||First Trust|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN4-7|TXN4-3|TXN3-7|TXN2-5|85455000|||Quarterly|||||2012-06-21||EMLP.NV|EMLP.SO|EMLP.EU|EMLP.TC|EMLP.IV| | | | | | | | | ||Under normal market conditions, the Fund will invest at least 80% of its net assets (plus the amount of any borrowing for investment purposes) in equity securities of companies deemed by the sub-advisor to be engaged in the energy infrastructure sector. These companies principally include publicly-traded master limited partnerships and limited liability companies taxed as partnerships (MLPs), MLP affiliates, Canadian income trusts and their successor companies (collectively, Canadian Income Equities), pipeline companies, utilities, and other companies that derive at least 50% of their revenues from operating orproviding services in support of infrastructure assets such as pipelines, power transmission and petroleum and natural gas storage in the petroleum, natural gas and power generation industries (collectively, Energy Infrastructure Companies). The Fund will be generally concentrated in Energy Infrastructure Companies. In addition, under normal market conditions, the Fund will invest at least 80% of its net assets (plus the amount of any borrowing for investment purposes) in equity securities of companies headquartered or incorporated in the United States and Canada.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||27.84|27.83|0.0|0.0|27.82|27.83|27.82|27.84|0.0|0.0|27.81|27.83|27.82|27.83|27.79|27.83|27.88|27.83|0.0|27.83|27.8|27.84|25.93|29.59|27.8|27.83|27.77|27.9|27.8|27.85|27.8|27.83|28.2599|24.94|286657|64815419 75697|EMM|EMM|37960A636|US37960A6367|Global X Funds|Global X Emerging Markets ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Global X|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-5|TXN1-7|TXN6-8|TXN2-2|TXN2-7|970587|||BiAnnually|||||2023-05-15||EMM.NV|EMM.SO|EMM.EU|EMM.TC|EMM.IV| | | | | | | | | ||The investment objective of the Global X Emerging Markets ETF (the Fund) is to achieve long-term capital growth.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|24.69|24.6901|24.69|0.0|0.0|24.69|0.0|24.69|0.0|0.0|24.69|0.0|24.79|0.0|24.79|0.0|0.0|0.0|0.0|24.73|24.84|0.0|0.0|0.0|0.0|24.73|24.84|27.1|22.76|2100|496692 61399|EMMF|EMMF|97717Y782|US97717Y7821|WisdomTree Trust|WisdomTree Emerging Markets Multifactor Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||WisdomTree|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-2|TXN3-3|TXN7-8|TXN4-6|TXN3-2|200000|||Quarterly|||||2018-08-10||EMMF.NV|EMMF.SO|EMMF.EU|EMMF.TC|EMMF.IV| | | | | | | | | ||The Fund is actively managed. The Fund seeks to achieve its investment objective by investing primarily in equity securities of emerging markets that exhibit certain characteristics that are indicative of positive future returns based on a model developed by WisdomTree. |N|0|N|N|406C|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|23.7099|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|23.7143|0.0|23.7143|23.67|23.75|0.0|0.0|23.68|23.74|0.0|0.0|0.0|0.0|23.68|23.74|24.179|20.72|1534|237688 6063|EMN|EMN|277432100|US2774321002|Eastman Chemical Company|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-5|TXN2-3|TXN7-6|TXN3-1|TXN3-2|118560000|||Quarterly|||||1993-12-14||||||| | | | | | | | | |||N|5|Y|Y|106A|USA|US|||55|5520|552010|55201000|Basic Materials|Chemicals|Chemicals|Chemicals: Diversified|N||N||||||Y|0|Y||Y|1|||84.98|84.88|0.0|84.85|84.92|84.9|84.851|84.88|0.0|0.0|84.88|84.91|84.85|84.85|84.92|84.88|84.87|84.87|84.885|84.88|84.86|84.87|79.51|90.61|84.79|84.92|84.8|84.97|84.79|84.97|84.86|84.87|92.21|68.89|1043379|218026408 65205|EMNT|EMNT|72201R643|US72201R6430|PIMCO ETF Trust|PIMCO Enhanced Short Maturity Active ESG Exchange-Traded Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||PIMCO|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-1|TXN4-5|TXN5-8|TXN2-5|TXN3-3|1690000|||Monthly|||||2019-12-12||EMNT.NV|EMNT.SO|EMNT.EU|EMNT.TC|EMNT.IV| | | | | | | | | ||The Fund seeks maximum current income, consistent with preservation of capital and daily liquidity, while incorporating PIMCOs ESG investment strategy.The Fund seeks to achieve its investment objective by investing under normal circumstances at least 80% of its net assets in a diversified portfolio of Fixed Income Instruments of varying maturities, which may be represented by forwards. Fixed Income Instruments include bonds, debt securities and other similar instruments issued by various U.S. and non-U.S. public- or private-sector entities. The average portfolio duration of this Fund will vary based on PIMCOs market forecasts and will normally not exceed one year. Duration is a measure used to determine the sensitivity of a securitys price to changes in interest rates. The longer a securitys duration, the more sensitive it will be to changes in interest rates. The dollar-weighted average portfolio maturity of the Fund is normally not expected to exceed three years.The Fund may avoid investment in the securities of issuers whose business practices with respect to the environment, social responsibility, and governance (ESG practices) are not to PIMCOs satisfaction. In determining the efficacy of an issuers ESG practices, PIMCO will use its own proprietary assessments of material ESG issues and may also reference standards as set forth by recognized global organizations such as entities sponsored by the United Nations. Additionally, PIMCO may engage proactively with issuers to encourage them to improve their ESG practices. PIMCOs activities in this respect may include, but are not limited to, direct dialogue with company management, such as through in-person meetings, phone calls, electronic communications, and letters. Through these engagement activities, PIMCO seeks to identify opportunities for a company to improve its ESG practices, and will endeavor to work collaboratively with company management to establish concrete objectives and to develop a plan for meeting these objectives. The Fund may invest in securities of issuers whose ESG practices are currently suboptimal, with the expectation that these practices may improve over time either as a result of PIMCOs engagement efforts or through the companys own initiatives. It may also exclude those issuers that are not receptive to PIMCOs engagement efforts, as determined in PIMCOs sole discretion.The Fund will not invest in the securities of any issuer determined by PIMCO to be engaged principally in the manufacture of alcoholic beverages, tobacco products or military equipment, the operation of gambling casinos, the production of coal, or in the production or trade of pornographic materials. To the extent possible on the basis of information available to PIMCO, an issuer will be deemed to be principally engaged in an activity if it derives more than 10% of its gross revenues from such activities. In analyzing whether an issuer meets any of the criteria described above, PIMCO may rely upon, among other things, information provided by an independent third party.The Fund primarily invests in U.S. dollar-denominated investment grade debt securities, rated Baa or higher by Moodys Investors Service, Inc. (Moodys), or equivalently rated by Standard & Poors Ratings Services (S&P) or Fitch, Inc. (Fitch), or, if unrated, determined by PIMCO to be of comparable quality. The Fund may invest, without limitation, in U.S. dollar-denominated securities and instruments of foreign issuers. The Fund may invest up to 10% of its total assets in securities denominated in foreign currencies. The Fund seeks to eliminate foreign (non-U.S.) currency exposure (from non-U.S. dollar-denominated securities or currencies) through hedging techniques, although the Fund may have limited amounts of foreign (non-U.S.) currency exposure due to the difficulty in perfectly hedging such exposures.The Fund may invest in mortgage or asset-backed securities, including to-be-announced transactions. The Fund may purchase and sell securities on a when-issued, delayed delivery or forward commitment basis. The Fund may, without limitation, seek to obtain market exposure to the securities in which it primarily invests by entering into a series of purchase and sale contracts or by using other investment techniques (such as buy backs or dollar rolls).|N|0|N|N|416A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|97.885|0.0|0.0|0.0|0.0|97.925|97.88|0.0|0.0|0.0|97.83|0.0|97.95|0.0|0.0|0.0|97.925|0.0|97.925|97.9|97.94|0.0|0.0|97.92|97.94|97.9|97.95|0.0|0.0|97.9|97.93|98.36|96.89|3574|1877868 38340|EMO|EMO|18469P209|US18469P2092|ClearBridge Energy Midstream Opportunity Fund Inc.|Common Stock, $0.001 par value|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-7|TXN2-4|TXN3-7|TXN1-1|TXN2-8|13110000|||Quarterly|||||2011-06-10||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||34.37|34.42|0.0|34.39|34.42|34.38|34.55|34.42|0.0|0.0|34.38|0.0|34.45|0.0|0.0|34.43|0.0|34.55|0.0|34.43|34.43|34.57|26.07|42.85|32.01|34.87|27.75|42.09|34.43|34.57|26.07|34.56|34.97|25.57|39280|7824864 53914|EMP|EMP|29364N108|US29364N1081|Entergy Corporation|First Mortgage Bonds, 4.90% Series Due October 1, 2066|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|H|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN3-3|TXN4-8|TXN1-8|TXN1-8|10400000|||Quarterly|||||2016-09-16|2066-10-01|||||| | | | | | | | | |||N|0|N|N|302A||US|||||||||||N||N||||||N|0|Y||Y|2|||22.33|0.0|0.0|0.0|22.37|22.33|22.31|22.19|0.0|0.0|22.31|0.0|22.32|0.0|0.0|22.34|22.31|22.31|0.0|22.34|22.34|22.4|22.31|22.4|21.91|22.95|0.0|0.0|0.0|0.0|22.34|22.4|23.9|19.9|8811|3909541 48861|EMQQ|EMQQ|301505889|US3015058890|Exchange Traded Concepts Trust|EMQQ The Emerging Markets Internet & Ecommerce ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Exchange Traded Concepts|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-1|TXN3-5|TXN8-8|TXN2-8|TXN3-1|14500000|||Yearly|||||2014-11-13||EMQQ.NV|EMQQ.SO|EMQQ.EU|EMQQ.TC|EMQQ.IV| | | | | | | | | |1x|The Fund will normally invest at least 80% of its total assets in securities of the Index or in depositary receipts representing securities of the Index. The Index is designed to measure the performance of an investable universe of publicly-traded, emerging market internet and ecommerce companies.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||0.0|30.63|0.0|0.0|30.52|30.53|30.56|30.54|0.0|0.0|30.58|30.61|30.565|30.68|0.0|31.12|0.0|30.59|0.0|30.59|29.12|32.54|28.61|32.67|30.6|30.68|28.61|32.67|30.56|30.71|30.6|30.68|35.78|27.3201|112226|18469661 6067|EMR|EMR|291011104|US2910111044|Emerson Electric Co.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|N|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-2|TXN3-2|TXN7-2|TXN2-1|TXN3-6|570100000|||Quarterly|||||1944-09-05||||||| | | | | | | | | |||N|1|Y|Y|112A|USA|US|||50|5020|502020|50202040|Industrials|Industrial Goods and Services|Electronic and Electrical Equipment|Electronic Equipment: Other|N||N||||||Y|0|Y||Y|1|||88.9|88.9|0.0|88.89|88.9|88.945|88.92|88.91|0.0|88.9|88.93|88.91|88.92|88.94|88.9|88.91|88.95|88.92|88.9|88.91|88.91|88.92|88.85|88.98|88.87|88.95|88.87|88.95|88.85|88.98|88.91|88.92|100.62|76.94|4068908|732472694 76350|EMSF|EMSF|577130628|US5771306280|Matthews International Funds|Matthews Emerging Markets Sustainable Future Active ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Matthews Asia|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-3|TXN4-6|TXN8-8|TXN4-5|TXN3-3|250000|||Yearly|||||2023-09-22||EMSF.NV|EMSF.SO|EMSF.EU|EMSF.TC| | | | | | | | | | ||Under normal circumstances, the Matthews Emerging Markets Sustainable Future Active ETF seeks to achieve its investment objective by investing at least 80% of its net assets, which include borrowings for investment purposes, in the common and preferred stocks of companies of any market capitalization located in emerging market countries that satisfy one or more of the Funds environmental, social and governance (ESG) standards. Up to 20% of the Funds net assets may be invested in companies that do not satisfy these ESG standards. The Fund may also invest in companies located in developed countries; however, the Fund may not invest in any company located in a developed country if, at the time of purchase, more than 20% of the Funds assets are invested in developed market companies.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||25.08|0.0|0.0|0.0|25.08|25.08|25.06|25.08|0.0|0.0|0.0|0.0|25.07|25.08|0.0|25.08|0.0|25.085|0.0|25.085|0.0|0.0|0.0|0.0|25.03|25.13|0.0|0.0|0.0|0.0|25.03|25.13|26.09|23.5622|2897|308137 62574|EMSG|EMSG|233051226|US2330512268|DBX ETF Trust|Xtrackers MSCI Emerging Markets ESG Leaders Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||DBX Advisors|RBC Capital Markets, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-5|TXN1-7|TXN3-8|TXN4-7|TXN2-2|1050001|||BiAnnually|||||2018-12-06||EMSG.NV|EMSG.SO|EMSG.EU|EMSG.TC|EMSG.IV| | | | | | | | | |1x|Fund will aim to track the underlying index, which aims to provide access to EM equities that demonstrate better exposure to Environmental, Social, & Governance standards than their peers.|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||23.38|0.0|0.0|0.0|23.38|0.0|23.3701|23.38|0.0|0.0|0.0|0.0|0.0|23.38|0.0|0.0|0.0|23.4393|0.0|23.4393|23.36|23.46|0.0|0.0|23.39|23.48|0.0|0.0|0.0|0.0|23.39|23.48|26.394|21.98|1731|591832 52907|EMTL|EMTL|78470P309|US78470P3091|SPDR DoubleLine Emerging Markets Fixed Income ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-5|TXN2-5|TXN8-8|TXN4-1|TXN2-7|1900000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||40.78|40.78|0.0|0.0|0.0|40.805|40.78|40.740484|0.0|0.0|40.740484|0.0|40.77|40.710484|0.0|40.250484|0.0|40.78|0.0|40.78|0.0|0.0|0.0|0.0|40.76|40.85|0.0|0.0|0.0|0.0|40.76|40.82|42.1299|39.2|10451|2433196 60128|EMTY|EMTY|74347B367|US74347B3675|ProShares Trust|ProShares Decline of the Retail Store ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ProShares Advisors |SG Americas Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-3|TXN3-1|TXN9-8|TXN2-2|TXN1-4|620001|||Quarterly|||||2017-11-16||EMTY.NV|EMTY.SO|EMTY.EU|EMTY.TC|EMTY.IV| | | | | | | | | |-1x|The Solactive-ProShares Bricks and Mortar Retail Store Index seeks to measure the performance of publicly traded bricks and mortar retail companies whose retail revenue is derived principally from in-store sales and who thus face threats from ongoing trends, such as the growth of online shopping and markets oversaturated with stores. . Companies must derive at least 75% of their retail revenues from in-store sales to be included in the Index. The Index includes only U.S. companies.|N|0|N|N|416A|USA|US|EQUITY|INVERSE|||||||||N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|16.18|15.3056|15.28|0.0|0.0|0.0|0.0|0.0|0.0|15.28|15.28|0.0|15.3041|0.0|15.3041|15.11|15.33|0.0|0.0|15.29|15.34|15.47|15.84|0.0|0.0|15.29|15.34|17.74|13.12|31685|4325274 39505|EMX|EMX|26873J107|CA26873J1075|EMX Royalty Corporation|Common Stock|Operating company|A|N|Y|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-8|TXN3-7|TXN4-8|TXN4-3|TXN1-3|112210000|||NotApplicable|||||2012-01-30||||||| | | | | | | | | |||N|0|N|N|130E|CAN|CA|||55|5510|551030|55103025|Basic Materials|Basic Resources|Precious Metals and Mining|Gold Mining|N||N||||||Y|0|Y||Y|2|||1.79|1.79|0.0|0.0|1.8|1.79|1.795|1.795|0.0|0.0|1.79|1.79|1.79|1.79|1.8|1.79|1.78|1.78|0.0|1.78|1.76|1.8|1.79|1.8|1.76|1.8|1.76|1.82|1.76|1.82|1.79|1.8|2.21|1.58|182660|36366594 59219|EMXC|EMXC|46434G764|US46434G7640|iShares MSCI Emerging Markets ex China ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN6-1|TXN12-2|TXN5-4|TXN5-1|149700000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||52.86|52.825|0.0|0.0|52.85|52.85|52.82|52.84|0.0|0.0|52.83|0.0|52.88|52.86|52.87|52.85|52.81|52.84|52.825|52.88|50.45|52.88|52.41|53.18|52.68|52.88|52.4|53.19|52.4|53.19|52.82|52.88|54.34|46.47|719672|221973517 67816|EMXF|EMXF|46436E742|US46436E7426|ISHARES ESG Advanced MSCI EM ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN6-2|TXN14-4|TXN6-1|TXN5-4|1900000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|34.51|34.5099|34.37|0.0|0.0|0.0|0.0|34.55|0.0|0.0|0.0|0.0|34.55|0.0|34.55|0.0|0.0|0.0|0.0|34.25|34.72|0.0|0.0|0.0|0.0|34.39|34.55|38.4|32.66|7059|1631711 6071|ENB|ENB|29250N105|CA29250N1050|Enbridge Inc.|Common Shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-7|TXN4-3|TXN7-5|TXN1-8|TXN3-5|2125570000|||Quarterly|||||2001-10-30||||||| | | | | | | | | |||N|0|N|Y|134A|CAN|CA|||60|6010|601010|60101035|Energy|Energy|Oil, Gas and Coal|Pipelines|N||N||||||Y|0|Y||Y|2|||35.16|35.16|0.0|35.17|35.15|35.15|35.155|35.155|0.0|0.0|35.15|35.155|35.16|35.14|35.14|35.15|35.14|35.16|35.14|35.15|35.15|35.16|35.12|35.19|35.15|35.17|35.12|35.18|35.15|35.19|35.15|35.16|42.11|31.03|10479146|1051983318 73151|ENCP|ENCP|G30449105|KYG304491056|Energem Corp|CL A COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN5-6|TXN10-3|TXN5-4|TXN5-2|1750000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||MYS||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|11.4|0.0|0.0|0.0|0.0|0.0|0.0|11.4|0.0|0.0|0.0|0.0|11.4|0.0|11.4|0.0|0.0|0.0|0.0|10.54|12.09|0.0|0.0|0.0|0.0|11.23|11.4|11.4|10.2994|4666|273166 72396|ENCPU|ENCPU|G30449113|KYG304491130|Energem Corp|UNITS||R|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN6-7|TXN13-2|TXN6-1|TXN5-7|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||MYS||||||||||||N||N||||||N|0|Y||||||12.01|12.01|0.0|11.8|0.0|0.0|11.8001|0.0|0.0|0.0|0.0|0.0|11.9|12.6|0.0|0.0|0.0|11.8001|12.6|11.8001|0.0|0.0|0.0|0.0|11.01|11.99|0.0|0.0|0.0|0.0|11.4|11.98|12.7|10.03|2903|46381 73152|ENCPW|ENCPW|G30449121|KYG304491213|Energem Corp|WT EXP 111526||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-3|TXN5-1|TXN13-1|TXN5-2|TXN5-3|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||MYS||||||||||||N||N||||||N|0|Y|D|||||0.0|0.0|0.0|0.0|0.0|0.0175|0.0174|0.0|0.0|0.0|0.0|0.0|0.0171|0.0|0.0|0.0|0.0|0.0174|0.0|0.0174|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.01|0.0175|0.099599|0.01|515|1617373 72712|ENER|ENER|00438Y107|US00438Y1073|Accretion Acquisition Corp|COM USD0.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN5-4|TXN11-4|TXN6-6|TXN6-5|10600000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.32|10.6|10.53|0.0|0.0|0.0|10.55|10.57|10.94|10.01|40|12829165 72713|ENERR|ENERR|00438Y123||Accretion Acquisition Corp. Right|||D|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-8|TXN5-5|TXN13-6|TXN6-2|TXN6-2|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||50|5020|502040|50204000|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Industrial|N||N||||||N|0|Y|C|||||0.0|0.0|0.0|0.0|0.0|0.0507|0.0507|0.0|0.0|0.0|0.0507|0.0507|0.0507|0.0|0.0|0.0|0.0|0.0507|0.0|0.0507|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0399|0.06|0.2591|0.03|90688|6862975 72096|ENERU|ENERU|00438Y206|US00438Y2063|Accretion Acquisition Corp|UNITS||R|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN5-5|TXN14-3|TXN5-4|TXN6-4|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|8.48|13.99|0.0|0.0|8.48|11.66|8.48|13.99|0.0|0.0|10.59|11.66|10.64|10.07|0|18092 72714|ENERW|ENERW|00438Y115|US00438Y1156|Accretion Acquisition Corp|WT EXP 030128||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-5|TXN6-3|TXN11-8|TXN5-2|TXN5-3|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0172|0.01|0.0177|0.0|0.0|0.0185|0.0|0.0108|0.0|0.0|0.0|0.0|0.01|0.0|0.01|0.0076|0.0246|0.0076|0.0246|0.0076|0.0238|0.0076|0.0246|0.0|0.0|0.01|0.0199|0.15|0.005|52146|3908849 72081|ENFN|ENFN|292812104|US2928121043|Enfusion, Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-6|TXN4-1|TXN6-8|TXN2-1|TXN1-4|84230000|||NotApplicable|||||2021-10-21||||||| | | | | | | | | |||N|0|N|Y|108B|USA|US|||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||Y|2|||10.01|9.91|0.0|9.93|9.9|9.9|9.9|9.895|0.0|0.0|9.9|9.9|9.895|9.96|9.94|9.9|9.93|9.9|9.9|9.9|9.9|9.91|7.72|12.13|9.83|9.99|9.87|9.93|9.88|9.93|9.9|9.91|12.315|7.37|278359|91751161 43026|ENFR|ENFR|00162Q676|US00162Q6769|ALPS ETF Trust|Alerian Energy Infrastructure ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ALPS|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-3|TXN1-6|TXN6-8|TXN4-2|TXN2-4|5700000|||Quarterly|||||2013-11-01||ENFR.NV|ENFR.SO|ENFR.EU|ENFR.TC|ENFR.IV| | | | | | | | | |1x|The Index is comprised of 30 equity securities of issuers headquartered or incorporated in the United States and Canada that engage in the transportation, storage, and processing of energy commodities (midstream energy businesses). The following five categories of issuers are included in the Index: master limited partnerships and limited liability companies taxed as partnerships (MLPs) known as Midstream MLPs (seven constituents, 25% total index weight), U.S. MLP affiliates (seven constituents, 30% total index weight) taxed as corporations, Canadian MLP affiliates (two constituents, 10% total index weight) taxed as corporations, U.S. energy infrastructure and power companies (seven constituents, 15% total index weight) taxed as corporations and Canadian energy infrastructure companies (seven constituents, 20% total index weight) taxed as corporations. Each issuer included in the Index must earn the majority of its cash flow from midstream energy businesses except for U.S. energy infrastructure and power companies, which must earn the majority of its cash flow from the retail distribution of electricity and gas (while also being involved in midstream energy businesses and separately report earnings from those businesses on their financial statements). The Indexs constituents are equally weighted within each category. Eligible companies are selected for inclusion by ranking them in market capitalization, float-adjusted market capitalization, and liquidity. No more than 25% of the Index may consist of MLPs or other issuers treated as publicly traded partnerships for U.S. federal income tax purposes.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||23.34|0.0|0.0|0.0|23.32|0.0|23.315|0.0|0.0|0.0|23.32|0.0|23.37|23.38|0.0|0.0|0.0|23.33|0.0|23.33|18.01|28.62|18.01|28.62|23.33|23.39|18.01|28.62|0.0|0.0|23.33|23.39|23.5099|19.33|24216|5356128 6074|ENG|ENG|293306205|US2933062059|ENGlobal Corp|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN5-4|TXN13-8|TXN6-3|TXN6-3|5130000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|1.87|0.0|0.0|0.0|1.89|1.8508|1.97|0.0|0.0|0.0|1.99|1.85|0.0|0.0|0.0|0.0|1.89|0.0|1.85|1.74|1.98|1.53|2.3|1.77|1.95|1.53|2.22|0.0|0.0|1.85|1.88|2.0999|0.24|49482|43108832 73382|ENGN|ENGN|29286M105|CA29286M1059|enGene Holdings Inc|CL A COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN5-7|TXN14-7|TXN6-6|TXN5-1|23200000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CAN||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y|D|||||10.8|12.2|0.0|0.0|10.8|12.3|12.3001|11.53|0.0|0.0|11.7|11.47|12.31|10.8|11.2|12.0|0.0|12.3001|10.8|12.31|9.29|15.21|9.29|15.21|11.61|12.98|9.29|15.21|0.0|0.0|12.3|12.31|43.0|6.7|734275|1771588 73383|ENGNW|ENGNW|29286M113|CA29286M1133|enGene Holdings Inc|WT EXP 10/31/28||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-5|TXN6-4|TXN11-5|TXN5-3|TXN5-3|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CAN||||||||||||N||N||||||N|0|Y||||||0.0|0.75|0.0|0.0|0.0|0.75|0.75|0.75|0.0|0.0|0.0|0.0|0.8|0.0|0.0|0.0|0.0|0.8|0.0|0.8|0.64|1.17|0.64|1.17|0.64|0.9775|0.64|1.17|0.0|0.0|0.8|0.9775|1.01|0.391|93366|744675 52945|ENIC|ENIC|29278D105|US29278D1054|Enel Chile S.A.|American Depositary Shares (Each representing 50 shares of Common Stock)|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|8|R|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-7|TXN3-1|TXN4-6|TXN3-8|TXN1-6|69166560000|||BiAnnually|||||2016-04-21||||||| | | | | | | | | |||N|0|N|Y|302A|CHL|CL|||65|6510|651010|65101015|Utilities|Utilities|Electricity|Conventional Electricity|N||N||||||Y|0|Y||Y|2|||3.32|3.32|0.0|0.0|3.32|3.315|3.319|3.31|0.0|0.0|3.32|3.32|3.32|3.31|3.295|3.33|3.3|3.32|3.345|3.33|3.31|3.32|2.63|4.06|3.31|3.33|3.28|3.34|3.28|3.33|3.31|3.32|3.895|1.94|600186|227438379 41130|ENJ|ENJ|29364P509|US29364P5098|Entergy Corporation|First Mortgage Bonds, 5.0% Series due December 1, 2052|Operating company|G|N|N|N|Y|Y|Y|Y|Y|6|H|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN2-4|TXN7-8|TXN1-2|TXN2-6|1200000|||Quarterly|||||2012-12-05|2052-12-01|||||| | | | | | | | | |||N|0|N|N|302A||US|||65|6510|651010|65101015|Utilities|Utilities|Electricity|Conventional Electricity|N||N||||||N|0|Y||Y|2|||20.84|0.0|0.0|0.0|0.0|20.8|20.73|0.0|0.0|0.0|20.7275|20.73|20.8|20.8|0.0|20.78|0.0|20.78|0.0|20.78|20.73|20.86|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|20.73|20.86|25.1|19.31|3572|501537 4498|ENLC|ENLC|29336T100|US29336T1007|EnLink Midstream, LLC|Common Units Representing Limited Liability Company Interests|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|A|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-2|TXN4-8|TXN1-8|TXN2-5|TXN1-2|456850000|||Quarterly|||||2014-03-10||||||| | | | | | | | | |||N|0|N|Y|134E|USA|US|||60|6010|601010|60101035|Energy|Energy|Oil, Gas and Coal|Pipelines|N||N||||||Y|0|Y||Y|2|||13.74|13.75|0.0|13.8|13.75|13.75|13.75|13.745|0.0|0.0|13.75|13.74|13.74|13.74|13.75|13.76|13.74|13.76|13.745|13.76|13.74|13.76|10.64|16.7|13.65|13.77|13.71|13.79|13.74|13.79|13.74|13.76|13.975|8.455|1463742|541932037 75238|ENLT|ENLT|M4056D110|IL0007200111|Enlight Renewable Energy Ltd|ORD||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN6-2|TXN12-6|TXN6-2|TXN6-4|117630000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||ISR||||65|6510|651010|65101010|Utilities|Utilities|Electricity|Alternative Electricity|N||N||||||Y|0|Y||||||17.59|17.55|0.0|0.0|17.6|17.61|17.61|17.56|0.0|0.0|17.59|0.0|17.61|0.0|0.0|17.545|0.0|17.61|17.59|17.61|17.36|17.79|13.54|21.56|17.44|17.76|17.57|17.64|17.57|17.64|17.6|17.62|20.44|12.11|59256|23043238 44716|ENLV|ENLV|M4130Y106|IL0011319527|Enlivex Therapeutics Ltd|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN6-3|TXN10-6|TXN5-1|TXN6-5|18590000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||ISR||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||1.74|1.75|0.0|0.0|1.74|1.75|1.72|0.0|0.0|0.0|1.77|0.0|1.74|0.0|0.0|0.0|0.0|1.72|0.0|1.72|1.65|1.91|0.0|0.0|1.67|1.86|1.44|2.18|0.0|0.0|1.72|1.81|4.6499|1.27|34058|6727397 52770|ENO|ENO|29364P103|US29364P1030|Entergy Corporation|First Mortgage Bonds, 5.50% Series due April 1, 2066|Operating company|G|N|N|N|Y|Y|Y|Y|Y|6|H|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN4-3|TXN9-8|TXN3-4|TXN4-6|4400000|||Quarterly|||||2016-03-24|2066-04-01|||||| | | | | | | | | |||N|0|N|N|302A||US|||||||||||N||N||||||N|0|Y||Y|2|||21.98|22.2|0.0|0.0|0.0|22.64|22.5|22.54|0.0|0.0|22.4|22.2|22.48|0.0|0.0|22.47|0.0|22.47|0.0|22.47|22.4|22.48|0.0|0.0|22.0|22.97|0.0|0.0|0.0|0.0|22.4|22.48|24.82|20.5|10153|1651187 39449|ENOR|ENOR|46429B499|US46429B4995|iShares MSCI Norway ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-3|TXN4-7|TXN5-8|TXN1-5|TXN3-2|1550000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||22.93|22.9852|0.0|0.0|23.59|22.95|22.975|0.0|0.0|0.0|22.96|0.0|22.95|22.97|0.0|0.0|0.0|22.9852|0.0|22.9852|21.5|24.61|0.0|0.0|22.8|23.17|21.5|24.61|0.0|0.0|22.94|23.02|25.58|21.375|10220|3093612 27888|ENOV|ENOV|194014502|US1940145022|Enovis Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|A|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-5|TXN4-3|TXN3-8|TXN4-2|TXN3-6|54590000|||Adhoc|||||2008-05-08||||||| | | | | | | | | |||N|0|Y|Y|102B|USA|US|||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||Y|0|Y||Y|1|||51.26|51.26|0.0|51.03|51.2|51.27|51.2275|51.225|0.0|0.0|51.21|50.6|51.22|51.26|50.06|51.22|51.06|51.2|51.22|51.22|51.19|51.25|47.9|54.36|50.99|51.58|51.13|51.31|51.17|51.25|51.19|51.25|66.71|43.04|396516|108961963 39832|ENPH|ENPH|29355A107|US29355A1079|Enphase Energy Inc|COM USD.00001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN6-8|TXN10-8|TXN6-6|TXN5-3|136550000|||NotApplicable|||||||||||| | | | | | | | | |||N|5|Y|N||USA||||60|6010|601020|60102020|Energy|Energy|Alternative Energy|Renewable Energy Equipment |N||N||||||Y|0|Y||||||108.78|108.865|0.0|109.0|108.9|108.88|108.91|108.87|0.0|0.0|108.88|108.85|108.87|108.88|108.86|108.81|108.96|108.87|108.83|108.87|108.8|109.04|101.4|115.13|108.73|109.03|108.68|109.08|108.85|109.09|108.87|108.89|339.92|73.49|4847303|984971653 50107|ENR|ENR|29272W109|US29272W1099|Energizer Holdings, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|C|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN2-4|TXN7-5|TXN3-4|TXN4-7|71580000|||Quarterly|||||2015-06-12||||||| | | | | | | | | |||N|0|N|Y|124D|USA|US|||45|4520|452010|45201030|Consumer Staples |Personal Care, Drug and Grocery Stores |Personal Care, Drug and Grocery Stores |Nondurable Household 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The Index follows a rules-based methodology that tracks the performance of the equity securities of publicly-traded large, mid, and small capitalization U.S. and non-U.S. companies in developed and emerging markets that are selected based on a list of products and services that enable carbon dioxide aviodance (CO2 Aviodance).|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|12.3477|11.895|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|12.3007|0.0|12.3007|0.0|0.0|0.0|0.0|12.28|12.32|0.0|0.0|0.0|0.0|12.28|12.32|18.35|10.4699|620|435248 6083|ENS|ENS|29275Y102|US29275Y1029|EnerSys|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|O|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN3-5|TXN6-8|TXN3-2|TXN4-1|40400000|||Quarterly|||||2004-07-30||||||| | | | | | | | | |||N|0|N|Y|180A|USA|US|||50|5020|502020|50202010|Industrials|Industrial Goods and Services|Electronic and Electrical Equipment|Electrical Components |N||N||||||Y|0|Y||Y|2|||91.64|91.62|0.0|91.58|91.64|91.66|91.6|91.68|0.0|0.0|91.55|91.7|91.63|91.69|91.76|91.61|92.49|91.57|91.72|91.61|91.58|91.63|70.25|112.84|90.91|92.37|91.46|91.81|91.58|91.86|91.58|91.63|113.34|71.155|160514|59070959 60356|ENSC|ENSC|293602405|US2936024056|Ensysce Biosciences Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-7|TXN5-3|TXN12-5|TXN6-5|TXN5-3|3150000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y|D|||||0.89|0.9356|0.0|0.0|0.9015|0.9356|0.9555|0.9356|0.0|0.0|0.93|0.95|0.9555|0.0|0.0|0.0|0.0|0.9555|0.0|0.9555|0.712|1.09|0.712|1.11|0.92|1.01|0.712|1.09|0.8882|0.9822|0.92|0.9555|7.2|0.4557|84814|212720316 26185|ENSG|ENSG|29358P101|US29358P1012|Ensign Group Inc (The)|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN5-3|TXN12-7|TXN6-8|TXN5-6|56450000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201010|20101010|Health Care |Health Care |Health Care Providers|Health Care Facilities|N||N||||||Y|0|Y||||||108.81|109.49|0.0|109.53|109.53|109.6|109.585|109.53|0.0|0.0|109.53|109.55|109.55|0.0|108.95|0.0|0.0|109.51|0.0|109.55|108.55|109.7|83.25|134.73|109.3|109.76|109.39|109.67|109.48|109.72|109.48|109.59|109.68|85.4955|282724|63745277 36317|ENSV|ENSV|29358Y201|US29358Y2019|Enservco Corporation|Common stock|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Brendan E. Cryan and Company, L.L.C.|CRYN|0235|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN11-5|TXN4-5|TXN9-8|TXN4-4|TXN4-7|26590000|||NotApplicable|||||2014-03-10||||||| | | | | | | | | |||N|0|N|N|130C|USA|US|||60|6010|601010|60101030|Energy|Energy|Oil, Gas and Coal|Oil Equipment and Services|N||N||||||Y|2|Y||Y|2|||0.3253|0.3119|0.0|0.0|0.322|0.3131|0.3225|0.3202|0.0|0.0|0.32|0.3029|0.3196|0.0|0.0|0.3131|0.313|0.313|0.0|0.313|0.2973|0.3387|0.313|0.318|0.3|0.3245|0.2973|0.3387|0.309|0.324|0.313|0.318|2.45|0.28|79343|65816854 41682|ENTA|ENTA|29251M106|US29251M1062|Enanta Pharmaceuticals Inc|COM USD0.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN6-7|TXN13-1|TXN6-8|TXN5-7|21060000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||9.93|10.01|0.0|9.94|10.01|10.01|10.0|10.005|0.0|0.0|10.0|9.99|10.0|9.99|10.09|10.0|9.99|10.0|10.05|10.0|9.91|10.11|7.84|12.31|9.92|10.1|9.96|10.05|9.97|10.04|10.0|10.02|62.06|8.08|179488|64117877 1346|ENTG|ENTG|29362U104|US29362U1043|Entegris Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN6-6|TXN12-4|TXN5-5|TXN5-2|150160000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||USA||||10|1010|101020|10102020|Technology|Technology|Technology Hardware and Equipment|Production Technology Equipment|N||N||||||Y|0|Y||||||106.96|106.96|0.0|106.73|106.9|106.94|106.93|106.88|0.0|0.0|106.94|106.84|106.88|106.24|106.96|106.91|106.98|106.93|106.84|106.88|106.82|107.02|100.21|112.61|106.8|107.05|106.79|107.06|106.89|106.97|106.89|106.94|114.47|62.24|1428719|338130131 60053|ENTR|ENTR|293828802|US2938288022|ERShares Entrepreneurs 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68649|ENVX|ENVX|293594107|US2935941078|Enovix Corp|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN5-1|TXN12-4|TXN5-1|TXN5-2|167770000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502020|50202010|Industrials|Industrial Goods and Services|Electronic and Electrical Equipment|Electrical Components |N||N||||||Y|0|Y||||||12.45|12.445|0.0|12.39|12.44|12.445|12.45|12.45|0.0|0.0|12.445|12.45|12.45|12.445|12.445|12.445|12.445|12.45|12.435|12.45|12.43|12.47|9.48|15.2|12.43|12.45|12.39|12.49|12.39|12.49|12.44|12.45|23.9|6.4998|4030244|1321139610 6086|ENX|ENX|27827Y109|US27827Y1091|Eaton Vance New York Municipal Bond Fund|Common Shares of Beneficial Interest Par Value $.01|Closed end fund|P|N|N|A|Y|Y|Y|Y|Y|||Brendan E. 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Investments|N||N||||||N|0|Y||Y|2|||0.0|4.23|0.0|0.0|4.23|4.235|4.239|4.235|0.0|0.0|4.24|4.24|4.23|4.249|0.0|4.23|4.24|4.23|0.0|4.23|4.23|4.24|3.25|5.2|4.22|4.55|4.2|4.27|0.0|0.0|4.23|4.24|5.0267|3.73|166968|20579981 6090|EOG|EOG|26875P101|US26875P1012|EOG Resources, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|A|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-3|TXN1-3|TXN9-5|TXN2-8|TXN4-7|583150000|||Quarterly|||||1989-10-04||||||| | | | | | | | | |||N|5|Y|Y|134A|USA|US|||60|6010|601010|60101010|Energy|Energy|Oil, Gas and Coal|Oil: Crude 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Investments|N||N||||||N|0|Y||Y|2|||0.0|15.85|0.0|0.0|15.87|15.9|15.905|15.875|0.0|0.0|15.92|0.0|15.905|0.0|15.72|15.9|15.85|15.9|0.0|15.9|15.9|15.91|12.39|19.69|14.92|16.91|15.87|15.94|15.88|15.93|15.9|15.91|16.99|14.36|87209|15379117 60652|EOLS|EOLS|30052C107|US30052C1071|Evolus Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN6-7|TXN11-6|TXN6-1|TXN5-5|57150000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||9.89|9.9|0.0|9.74|9.9|9.9|9.89|9.895|0.0|0.0|9.895|9.88|9.895|9.88|9.9|9.9|0.0|9.88|9.85|9.895|9.79|9.98|7.64|12.16|9.83|9.98|9.87|9.92|9.85|0.0|9.88|9.91|11.49|6.51|377231|139394141 6096|EOS|EOS|278277108|US2782771081|Eaton Vance Enhanced Equity Income Fund II|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN3-8|TXN5-7|TXN4-5|TXN2-6|51410000|||Monthly|||||2005-01-27||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||18.25|18.22|0.0|0.0|18.27|18.255|18.2784|18.26|0.0|0.0|18.26|18.23|18.28|18.32|18.32|18.29|0.0|18.28|0.0|18.29|18.27|18.29|14.26|22.68|16.99|19.52|18.25|18.32|18.25|18.31|18.27|18.29|18.7|15.3|53501|23018242 66608|EOSE|EOSE|29415C101|US29415C1018|Eos Energy Enterprises Inc|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN6-8|TXN10-2|TXN6-4|TXN6-5|158060000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502020|50202040|Industrials|Industrial Goods and Services|Electronic and Electrical Equipment|Electronic Equipment: Other|N||N||||||Y|0|Y||||||1.18|1.18|0.0|1.19|1.18|1.185|1.18|1.185|0.0|0.0|1.19|1.18|1.19|1.19|1.185|1.185|1.18|1.18|1.18|1.19|1.17|1.22|0.944|1.39|1.16|1.21|1.15|1.22|1.17|1.19|1.18|1.19|5.665|0.96|4573458|1434968501 66610|EOSEW|EOSEW|29415C119|US29415C1190|Eos Energy Enterprises Inc|WT EXP 050626||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-6|TXN6-6|TXN12-5|TXN6-5|TXN5-5|156380000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.22|0.2199|0.0|0.0|0.0|0.22|0.22|0.2185|0.0|0.0|0.0|0.0|0.22|0.0|0.22|0.0|0.0|0.0|0.0|0.2025|0.2346|0.0|0.0|0.0|0.0|0.2161|0.22|1.8839|0.1083|25629|7080728 30995|EOT|EOT|27829L105|US27829L1052|Eaton Vance National Municipal Opportunities Trust|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN4-6|TXN8-8|TXN4-2|TXN1-5|15630000|||Monthly|||||2009-05-27||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||16.62|16.635|0.0|16.59|16.65|16.85|16.65|16.63|0.0|0.0|0.0|0.0|16.64|16.62|16.62|16.61|16.65|16.65|0.0|16.61|16.6|16.65|12.84|20.46|15.6|17.82|16.56|16.69|16.57|16.65|16.6|16.65|18.2999|14.63|47117|7609146 73640|EP|EP|292034303|US2920343033|Empire Petroleum Corporation|Common Stock|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-3|TXN2-6|TXN4-8|TXN3-7|TXN4-7|22890000|||NotApplicable|||||2022-03-08||||||| | | | | | | | | |||N|0|N|N|134B|USA|US|||60|6010|601010|60101010|Energy|Energy|Oil, Gas and Coal|Oil: Crude Producers|N||N||||||N|0|Y||Y|2|||8.88|8.97|0.0|0.0|8.81|9.01|8.83|8.945|0.0|0.0|8.87|9.15|8.855|9.16|0.0|9.3|8.86|8.86|0.0|8.86|8.43|9.34|8.9|8.99|8.72|9.17|6.81|11.02|0.0|0.0|8.72|9.05|13.82|5.66|23203|6616031 6099|EP PRC|EPpC|283678209|US2836782092|El Paso Energy Capital Trust I|4.75% Trust Convertible Preferred Securities|Other|B|N|N|N|Y|Y|Y|Y|Y|6|H|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN2-8|TXN9-8|TXN3-5|TXN1-5|4410000|||Quarterly|||||1998-03-12|2028-03-31|||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|47.2|0.0|0.0|0.0|46.79|47.29|46.98|0.0|0.0|0.0|0.0|46.87|0.0|0.0|46.75|0.0|46.98|44.26875|46.75|46.75|47.1|0.0|0.0|45.97|48.13|0.0|0.0|0.0|0.0|46.75|47.1|47.29|44.27|1118|1658025 4878|EPAC|EPAC|292765104|US2927651040|Enerpac Tool Group Corp.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|P|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN3-4|TXN6-8|TXN1-5|TXN4-8|54340000|||Yearly|||||1992-08-04||||||| | | | | | | | | |||N|0|N|Y|112A|USA|US|||50|5020|502030|50203000|Industrials|Industrial Goods and Services|General Industrials|Diversified Industrials|N||N||||||Y|0|Y||Y|2|||28.98|28.97|0.0|28.97|28.98|28.97|28.995|28.97|0.0|0.0|28.98|28.96|28.99|28.64|28.91|29.0|28.98|29.0|28.86|29.0|28.99|29.0|22.31|35.31|28.87|29.01|28.95|29.02|28.95|29.02|28.99|29.0|30.22|22.94|382054|73195677 39555|EPAM|EPAM|29414B104|US29414B1044|EPAM Systems, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|R|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN4-1|TXN3-7|TXN1-5|TXN3-6|57700000|||NotApplicable|||||2012-02-08||||||| | | | | | | | | |||N|5|Y|Y|306A|USA|US|||10|1010|101010|10101010|Technology|Technology|Software and Computer Services|Computer Services|N||N||||||Y|0|Y||Y|1|||261.1|261.39|0.0|261.48|261.065|260.5|261.48|261.26|0.0|0.0|259.91|257.53|261.35|261.34|261.26|261.46|259.26|261.46|258.77|261.46|261.24|261.46|244.37|276.56|258.87|263.49|260.86|261.8|261.24|261.89|261.24|261.46|385.96|197.99|476040|118103231 6082|EPC|EPC|28035Q102|US28035Q1022|Edgewell Personal Care Company|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|N|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN4-8|TXN4-6|TXN3-1|TXN3-3|50020000|||Adhoc|||||2000-03-27||||||| | | | | | | | | |||N|0|N|Y|124C|USA|US|||45|4520|452010|45201020|Consumer Staples |Personal Care, Drug and Grocery Stores |Personal Care, Drug and Grocery Stores |Personal Products|N||N||||||Y|0|Y||Y|2|||35.44|35.44|0.0|35.46|35.48|35.455|35.47|35.475|0.0|0.0|35.44|35.36|35.46|35.399|35.4|35.49|35.43|35.49|35.455|35.49|35.47|35.49|26.78|42.83|35.27|35.63|35.44|35.51|35.47|35.52|35.47|35.49|46.13|33.705|325032|91504942 6102|EPD|EPD|293792107|US2937921078|Enterprise Products Partners L.P.|Common Units Representing Limited Partner Interests|Limited partnership|A|N|N|N|Y|Y|Y|Y|Y|5|A|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-6|TXN2-1|TXN7-7|TXN1-3|TXN2-3|2171880000|||Quarterly|||||1998-07-28||||||| | | | | | | | | |||N|0|N|N|134F|USA|US|||60|6010|601010|60101035|Energy|Energy|Oil, Gas and Coal|Pipelines|N||N||||||Y|0|Y||Y|2|||26.83|26.835|0.0|26.75|26.83|26.83|26.83|26.82|0.0|0.0|26.835|26.84|26.82|26.83|26.84|26.83|26.83|26.82|26.845|26.83|26.81|26.83|20.81|32.94|26.81|26.83|26.8|26.86|26.79|26.87|26.81|26.83|27.95|23.14|2878976|1020749015 35790|EPHE|EPHE|46429B408|US46429B4086|iShares Trust|iShares MSCI Philippines ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-1|TXN1-7|TXN7-8|TXN4-5|TXN3-6|3700000|||BiAnnually|||||2010-09-29||EPHE.NV|EPHE.SO|EPHE.EU|EPHE.TC|EPHE.IV| | | | | | | | | |1x|The iShares MSCI Philippines Investable Market Index Fund seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the MSCI Philippines Investable Market Index (the Underlying Index). The Underlying Index is a free-float adjusted market capitalization weighted index designed to measure the performance of equity securities in the bottom 14% by market capitalization of the performance of equity securities in the top 99% by market capitalization of equity securities listed on stock exchanges in the Philippines. |N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||25.39|25.39|0.0|0.0|25.32|25.31|25.32|25.32|0.0|0.0|25.39|25.4|25.32|25.35|0.0|25.4|0.0|25.34|25.38|25.34|24.11|26.59|23.63|26.93|25.31|25.34|24.11|26.59|0.0|0.0|25.31|25.34|29.395|23.15|117090|21106977 27282|EPI|EPI|97717W422|US97717W4226|WisdomTree Trust|WisdomTree India Earnings Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||WisdomTree|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-5|TXN3-4|TXN6-8|TXN3-5|TXN3-1|42400000|||Quarterly|||||2008-02-22||EPI.NV|EPI.SO|EPI.EU|EPI.TC|EPI.IV| | | | | | | | | |1x|WisdomTree India Earnings Fund seeks investment results that correspond to the price and yield performance, before fees and expenses, of the WisdomTree India Earnings Index. The WisdomTree India Earnings Index is a fundamentally weighted index that measures the performance of companies incorporated and traded in India that are profitable and that are eligible to be purchased by foreign investors as of the index measurement date. Companies are weighted in the Index based on their earnings in their fiscal year prior to the Index measurement date adjusted for a factor that takes into account shares available to foreign investors. For these purposes, earnings are determined using a companys net income.|N|0|N|N|406C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||39.09|39.09|0.0|39.08|39.09|39.095|39.09|39.095|0.0|0.0|39.09|39.09|39.09|39.09|39.09|39.095|39.095|39.08|39.08|39.08|39.08|39.1|39.08|39.74|39.09|39.1|39.0|39.75|39.08|39.74|39.09|39.1|39.3052|30.8|1348068|103649305 31708|EPIX|EPIX|29668H708|CA29668H7085|ESSA Pharma Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN6-1|TXN10-8|TXN5-2|TXN5-6|44100000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CAN||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||5.34|5.32|0.0|0.0|5.32|5.4|5.4|5.32|0.0|0.0|5.33|0.0|5.36|5.35|0.0|0.0|0.0|5.32|5.48|5.36|5.09|5.63|4.11|6.66|5.2|5.49|5.23|5.46|5.22|5.47|5.31|5.4|6.4|2.29|37749|29962345 13564|EPM|EPM|30049A107|US30049A1079|Evolution Petroleum Corporation|Common Stock|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||J. Streicher & Co. L.L.C.|JSCO|3856|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN1-5|TXN5-5|TXN1-1|TXN3-3|33430000|||Quarterly|||||2006-07-17||||||| | | | | | | | | |||N|0|N|N|134A|USA|US|||60|6010|601010|60101010|Energy|Energy|Oil, Gas and Coal|Oil: Crude Producers|N||N||||||Y|0|Y||Y|2|||5.98|5.96|0.0|5.82|5.95|5.95|5.955|5.96|0.0|0.0|5.96|5.95|5.965|5.96|5.95|5.98|5.99|5.99|0.0|5.99|5.96|6.0|5.95|5.97|5.96|6.0|5.93|5.99|5.92|6.0|5.95|5.97|10.11|5.39|202753|91820876 32749|EPOL|EPOL|46429B606|US46429B6065|iShares Trust|iShares MSCI Poland ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Pundion LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-8|TXN3-5|TXN4-5|TXN4-5|TXN1-7|11250000|||BiAnnually|||||2010-05-26||EPOL.NV|EPOL.SO|EPOL.EU|EPOL.TC|EPOL.IV| | | | | | | | | |1x|iShares MSCI Poland Investable Market Index Fund (EPOL) seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the MSCI Poland Investable Market Index. The Underlying Index is a free-float adjusted market capitalization weighted index designed to measure the performance of equity securities in the top 99% by market capitalization of equity securities listed on stock exchanges in Poland.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||22.45|22.42|0.0|22.54|22.42|22.42|22.425|22.42|0.0|0.0|22.4|22.4|22.425|22.42|22.45|22.425|0.0|22.45|22.42|22.45|22.44|23.54|22.44|22.57|22.44|22.45|22.44|22.57|22.44|22.57|22.44|22.45|22.625|14.22|189245|67977020 69120|EPOW|EPOW|G3932F106|KYG3932F1063|Sunrise New Energy Co Ltd|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN5-8|TXN12-4|TXN6-6|TXN6-2|25360000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||10|1010|101010|10101020|Technology|Technology|Software and Computer Services|Consumer Digital Services |N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|1.03|1.1099|0.0|0.0|0.0|0.0|1.03|1.09|0.0|0.0|0.0|0.0|1.1099|0.0|1.1099|0.88|1.38|0.792|1.38|0.9616|1.25|0.792|1.38|0.0|0.0|1.03|1.18|5.1299|0.945|6369|27801553 6107|EPP|EPP|464286665|US4642866655|iShares Inc.|iShares MSCI Pacific ex Japan ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-1|TXN4-7|TXN8-2|TXN3-1|TXN4-2|43500000|||BiAnnually|||||2007-12-06||EPP.NV|EPP.SO|EPP.EU|EPP.TC|EPP.IV| | | | | | | | | |1x|The iShares MSCI Pacific ex Japan ETF (the Fund) seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the MSCI Pacific ex-Japan Index (the Underlying Index). The Underlying Index consists of stocks from the following four countries: Australia, Hong Kong, New Zealand and Singapore. Components primarily include financial, industrials and materials companies. The components of the Underlying Index, and the degree to which these components represent certain industries, may change over time.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||40.81|40.81|0.0|40.82|40.83|40.825|40.82|40.82|0.0|0.0|40.825|40.82|40.83|40.785|40.815|40.825|40.815|40.83|40.83|40.83|40.79|40.85|40.67|41.04|40.79|40.83|40.67|41.05|40.67|41.05|40.79|40.83|47.6|38.05|714930|99045528 6108|EPR|EPR|26884U109|US26884U1097|EPR Properties|Common Shares Of Beneficial Interest|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|6|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-4|TXN3-5|TXN3-6|TXN3-1|TXN2-7|75330000|||Monthly|||||1997-11-18||||||| | | | | | | | | |||N|0|Y|Y|412A|USA|US|||35|3510|351020|35102000|Real Estate|Real Estate |Real Estate Investment Trusts|Diversified REITs|N||N||||||Y|0|Y||Y|1|||46.08|46.04|0.0|45.82|46.03|46.065|46.045|46.065|0.0|0.0|46.03|46.08|46.03|46.08|45.9|46.02|45.86|46.03|46.06|46.02|46.01|46.03|42.86|48.79|45.88|46.06|45.99|46.06|45.99|46.03|46.01|46.03|47.7058|33.92|593601|132432067 18512|EPR PRC|EPRpC|26884U208|US26884U2087|EPR Properties|5.75% Series C Cumulative Convertible Preferred Shares|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN3-1|TXN4-8|TXN3-3|TXN4-1|5390000|||Quarterly|||||2006-12-22||||||| | | | | | | | | |||N|0|N|N|412A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||20.05|20.14|0.0|0.0|20.14|20.175|20.175|20.23|0.0|0.0|20.21|20.14|20.24|20.14|0.0|20.24|20.09|20.24|0.0|20.24|20.21|20.25|20.15|20.21|19.78|20.64|0.0|0.0|0.0|0.0|20.21|20.25|21.31|16.65|148675|3015091 27672|EPR PRE|EPRpE|26884U307|US26884U3077|EPR Properties|9.00% Series E Cumulative Convertible Preferred Shares|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN4-4|TXN2-8|TXN3-2|TXN1-4|3450000|||Quarterly|||||2008-04-07||||||| | | | | | | | | |||N|0|N|N|412A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||26.51|26.96|0.0|0.0|0.0|26.96|26.73|26.97|0.0|0.0|26.8|0.0|27.08|26.75|25.5675|27.12|0.0|26.98|0.0|27.12|26.98|27.12|26.85|26.99|26.31|27.09|0.0|0.0|0.0|0.0|26.98|27.46|29.157|24.84|14878|1804664 60264|EPR PRG|EPRpG|26884U505|US26884U5056|EPR Properties|5.750% Series G Cumulative Redeemable Preferred Shares|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN2-6|TXN9-8|TXN1-4|TXN4-6|6000000|||Quarterly|||||2017-12-08||||||| | | | | | | | | |||N|0|N|N|412A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||18.73|19.7|0.0|0.0|19.22|19.83|19.99|19.7|0.0|0.0|19.73|0.0|19.95|0.0|0.0|19.94|0.0|19.94|0.0|19.94|19.93|20.0|0.0|0.0|19.52|20.38|0.0|0.0|0.0|0.0|18.69|20.77|20.77|16.69|8610|2357992 53167|EPRF|EPRF|45783Y822|US45783Y8223|Innovator S&P Investment Grade Preferred ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-3|TXN1-7|TXN9-8|TXN3-4|TXN4-6|5800000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||18.39|18.3184|0.0|0.0|18.4|0.0|18.3184|18.29|0.0|0.0|0.0|0.0|0.0|18.23|0.0|0.0|0.0|18.3184|0.0|18.3184|18.08|18.56|0.0|0.0|18.2|18.44|18.2|18.44|18.21|18.44|18.29|18.33|20.47|16.405|15621|4487250 61139|EPRT|EPRT|29670E107|US29670E1073|Essential Properties Realty Trust, Inc.|Common Stock|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN3-1|TXN7-1|TXN2-7|TXN3-3|166460000|||Quarterly|||||2018-06-21||||||| | | | | | | | | |||N|0|N|Y|414A|USA|US|||35|3510|351020|35102000|Real Estate|Real Estate |Real Estate Investment Trusts|Diversified REITs|N||N||||||Y|0|Y||Y|2|||25.01|25.0|0.0|24.79|24.99|24.99|24.995|25.005|0.0|0.0|25.0|25.0|25.0|25.01|25.02|24.99|24.97|25.0|24.975|24.99|24.99|25.0|18.78|30.08|24.93|25.04|24.96|25.04|24.95|25.01|24.99|25.0|26.43|20.49|1145107|242169199 19092|EPS|EPS|97717W588|US97717W5884|WisdomTree Trust|WisdomTree U.S. LargeCap Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||WisdomTree|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-8|TXN1-6|TXN1-8|TXN3-5|TXN1-6|14800000|||Quarterly|||||2008-11-20||EPS.NV|EPS.SO|EPS.EU|EPS.TC|EPS.IV| | | | | | | | | |1x|The WisdomTree U.S. LargeCap Fund seeks to track the price and yield performance, before fees and expenses, of the WisdomTree U.S. LargeCap Index. The Index is a fundamentally weighted index that consists of the 500 largest companies ranked by market capitalization in the WisdomTree U.S. Total Market Index, which is comprised of earnings-generating companies within the large-capitalization segment of the U.S. stock market. Companies in the Index are incorporated, domiciled and listed in the U.S. and have generated positive cumulative earnings over their most recent four fiscal quarters prior to the annual Index screening date. The Index is earnings-weighted annually to reflect the proportionate share of the aggregate earnings each component company has generated. Companies with greater earnings generally have larger weights in the Index. WisdomTree Investments, Inc., as Index provider, currently uses Standard & Poors Global Industry Classification Standards (S&P GICS) to define companies within a sector.|N|0|N|N|406C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|48.04|48.1047|0.0|0.0|0.0|48.19|0.0|48.19|0.0|0.0|0.0|0.0|48.183|0.0|48.183|48.16|48.28|48.05|59.41|48.16|48.19|48.05|48.31|48.05|48.31|48.16|48.19|48.7423|40.91|16710|8244234 63011|EPSN|EPSN|294375209|CA2943752097|Epsilon Energy Ltd|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN5-6|TXN10-6|TXN6-1|TXN6-3|22160000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||60|6010|601010|60101010|Energy|Energy|Oil, Gas and Coal|Oil: Crude Producers|N||N||||||Y|0|Y||||||0.0|5.39|0.0|0.0|5.35|5.39|5.3323|5.27|0.0|0.0|5.28|5.275|5.4|5.31|0.0|0.0|5.275|5.39|5.27|5.4|5.23|5.47|0.0|0.0|5.25|5.44|0.0|0.0|0.0|0.0|5.34|5.4|7.22|4.76|35562|25376271 31109|EPU|EPU|464289842|US4642898427|iShares Trust|iShares MSCI Peru and Global Exposure ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-5|TXN2-8|TXN9-8|TXN1-6|TXN3-6|2950000|||BiAnnually|||||2009-06-22||EPU.NV|EPU.SO|EPU.EU|EPU.TC|EPU.IV| | | | | | | | | |1x|The iShares MSCI All Peru Capped Index Fund seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the MSCI All Peru Capped Index. THE UNDERLYING INDEX IS A FREE FLOAT-ADJUSTED MARKET CAPITALIZATION INDEX DESIGNED TO MEASURE THE PERFORMANCE OF THE BROAD PERU EQUITY UNIVERSE. MSCI DEFINES THE BROAD PERU EQUITY UNIVERSE BY IDENTIFYING PERUVIAN EQUITY SECURITIES THAT ARE CLASSIFIED IN PERU ACCORDING TO THE MSCI GLOBAL INVESTABLE MARKET INDICES METHODOLOGY (A METHODOLOGY EMPLOYED BY MSCI TO CONSTRUCT ITS GLOBAL INVESTABLE MARKET INDICES, WHICH CLASSIFIES ELIGIBLE SECURITIES ACCORDING TO THEIR COUNTRY OF LISTING) AS WELL AS SECURITIES OF COMPANIES THAT ARE HEADQUARTERED IN PERU AND HAVE THE MAJORITY OF THEIR OPERATIONS BASED IN PERU.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||30.86|0.0|0.0|0.0|0.0|30.85|30.89|30.86|0.0|0.0|30.93|0.0|30.86|30.86|0.0|30.85|0.0|30.85|0.0|30.85|24.86|37.34|0.0|0.0|30.85|30.98|29.54|32.51|0.0|0.0|30.85|30.98|33.8895|27.62|11641|8424790 31095|EPV|EPV|74348A434|US74348A4343|ProShares Trust|ProShares UltraShort FTSE Europe|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ProShares Advisors |Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-1|TXN3-8|TXN1-8|TXN1-3|TXN4-1|4787119|||Quarterly|||||2011-02-25||EPV.NV|EPV.SO|EPV.EU|EPV.TC|EPV.IV| | | | | | | | | |-2x|The FTSE Developed Europe All Cap Index is a market-capitalization weighted index representing the performance of large, mid and small cap companies in Developed European markets, including the UK. The index is comprised of approximately 1250 securities from 16 countries, and derived from the FTSE Global Equity Index Series (GEIS), which covers over 7,400 securities in 47 different countries and captures 98% of the worlds investable market capitalization.|N|0|N|N|416A|USA|US|EQUITY|INVERSE|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||0.0|9.54|0.0|0.0|9.54|9.58|9.5318|9.575|0.0|0.0|9.56|9.56|9.54|0.0|0.0|9.431|0.0|9.54|0.0|9.54|9.54|9.55|9.47|11.78|9.54|9.55|9.47|10.28|9.47|9.77|9.54|9.55|13.08|9.07|71653|69555392 61948|EQ|EQ|29446K106|US29446K1060|Equillium Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-1|TXN6-5|TXN13-7|TXN6-3|TXN5-4|35120000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y|C|||||0.4815|0.482|0.0|0.0|0.515|0.515|0.52|0.482|0.0|0.0|0.5188|0.5132|0.5079|0.0|0.0|0.4812|0.0|0.52|0.0|0.52|0.475|0.546|0.4105|0.624|0.4668|0.5545|0.4152|0.6014|0.4789|0.5412|0.5001|0.52|1.75|0.45|268019|37201932 49127|EQAL|EQAL|46138E420|US46138E4200|Invesco Exchange-Traded Fund Trust II|Invesco Russell 1000 Equal Weight ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Invesco|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-5|TXN4-4|TXN6-8|TXN2-7|TXN3-8|14550001|||Quarterly|||||2014-12-23||EQAL.NV|EQAL.SO|EQAL.EU|EQAL.TC|EQAL.IV| | | | | | | | | |1x|The Fund generally will invest at least 90% of its total assets in common stocks that comprise the Underlying Index. Strictly in accordance with its guidelines and mandated procedures, Frank Russell Company (the Index Provider) compiles and maintains the Underlying Index, which is composed of all of the securities in the Russell 1000 Index (the Russell 1000) equally weighted. The Index Provider equally weights the Underlying Index by applying a two-step weighting process. First, the Index Provider separates the component securities of the Russell 1000 into different economic sector groups based on the Russell Global Sectors (the RGS) classification system. There are nine economic sectors within the RGS classification system. Next, the Index Provider equally weights those nine sector groups, and then equally weights the individual securities within each of those sector groups. The Index Provider re-weights the Underlying Index quarterly and reconstitutes it annually in accordance with this equally-weighted methodology. The Russell 1000 is composed of approximately 1,000 of the largest securities within the Russell 3000 Index. It measures the performance of the large-cap segment of the U.S. equity universe, representing approximately 92% of the equity U.S. market. Securities within the Russell 1000 are weighted based on total market capitalization. As of the date of this prospectus, the Russell 1000 included securities of companies with a market capitalization of at least $2.2 billion. |N|0|N|N|406C|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|1|||41.94|42.08|0.0|0.0|0.0|42.06|42.125|0.0|0.0|0.0|42.02|0.0|42.04|42.08|0.0|41.99|0.0|42.12|0.0|42.12|42.1|42.22|42.05|42.18|42.1|42.12|42.04|42.18|42.05|42.18|42.1|42.12|45.04|37.35|58998|13307324 51937|EQBK|EQBK|29460X109|US29460X1090|Equity Bancshares, Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN2-1|TXN5-8|TXN1-6|TXN4-2|15410000|||Quarterly|||||2023-05-23||||||| | | | | | | | | |||N|0|N|Y|402B|USA|US|||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||Y|2|||0.0|27.15|0.0|0.0|27.27|27.17|27.12|26.99|0.0|0.0|26.635|24.05|27.54|26.98|26.24|27.25|0.0|27.54|27.16|27.25|27.09|27.31|20.53|33.07|26.49|27.6|21.16|32.37|0.0|0.0|27.09|27.31|36.97|20.5|28171|9781833 6862|EQC|EQC|294628102|US2946281027|Equity Commonwealth|Common Shares of Beneficial Interest|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-6|TXN3-6|TXN3-3|TXN2-3|TXN3-5|106710000|||Adhoc|||||2010-07-01||||||| | | | | | | | | |||N|0|N|Y|412A|USA|US|||35|3510|351020|35102030|Real Estate|Real Estate |Real Estate Investment Trusts|Office REITs|N||N||||||Y|0|Y||Y|2|||19.13|19.14|0.0|19.2|19.15|19.155|19.14|19.145|0.0|0.0|19.14|19.14|19.14|19.13|19.16|19.14|19.15|19.13|19.16|19.14|19.13|19.16|14.81|23.6|19.12|19.16|19.11|19.17|19.12|19.18|19.13|19.16|26.52|18.095|735708|242070735 17549|EQC PRD|EQCpD|294628201|US2946282017|Equity Commonwealth|6 1/2% Series D Cumulative Convertible Preferred Shares|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN1-4|TXN5-8|TXN2-7|TXN3-5|4920000|||Quarterly|||||2006-11-10||||||| | | | | | | | | |||N|0|N|N|412A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||25.32|25.35|0.0|0.0|25.32|25.39|25.215|25.3|0.0|0.0|0.0|0.0|0.0|0.0|0.0|25.14|0.0|25.14|0.0|25.14|25.0|25.25|25.15|25.34|25.09|25.76|0.0|0.0|0.0|0.0|25.09|25.76|25.97|24.02|4742|1765631 60966|EQH|EQH|29452E101|US29452E1010|Equitable Holdings, Inc.|Common stock, $0.01 par value per share|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-2|TXN1-7|TXN5-2|TXN2-7|TXN1-3|338490000|||Quarterly|||||2018-05-10||||||| | | | | | | | | |||N|0|Y|Y|408A|USA|US|||30|3020|302020|30202010|Financials|Financial Services |Investment Banking and Brokerage Services |Asset Managers and Custodians|N||N||||||Y|0|Y||Y|1|||32.26|32.26|0.0|32.26|32.25|32.25|32.26|32.26|0.0|31.8|32.25|32.26|32.255|32.21|32.18|32.25|32.21|32.26|32.25|32.25|32.25|32.26|30.06|34.34|32.25|32.28|32.22|32.29|32.22|32.28|32.25|32.26|33.245|21.89|8750572|643904714 65154|EQH PRA|EQHpA|29452E200|US29452E2000|Equitable Holdings, Inc.|Depositary Shares, each representing a 1/1000th interest in a share of Fixed Rate Noncumulative Perpetual Preferred Stock, Series A|Operating company|B|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN2-7|TXN5-8|TXN4-7|TXN3-1|32000000|||Quarterly|||||2019-12-02||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||20.66|20.68|0.0|0.0|20.92|20.55|20.66|20.54|0.0|0.0|20.55|20.55|20.61|20.54|19.871875|20.51|0.0|20.66|0.0|20.51|20.5|20.67|15.83|25.61|20.12|21.08|15.83|25.61|0.0|0.0|20.5|20.67|22.93|17.26|58663|11897998 68741|EQH PRC|EQHpC|29452E408|US29452E4089|Equitable Holdings, Inc.|Depositary Shares, each representing a 1/1,000th interest in a share of Fixed Rate Noncumulative Perpetual Preferred Stock, Series C|Operating company|B|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN2-5|TXN9-8|TXN4-1|TXN1-7|12000000|||Quarterly|||||2021-01-13||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||15.88|15.86|0.0|0.0|15.86|15.86|15.8999|15.86|0.0|0.0|15.85|15.9|15.88|15.98|0.0|15.93|0.0|15.9|15.98|15.93|15.77|15.95|0.0|0.0|15.56|16.22|0.0|0.0|0.0|0.0|15.83|15.95|19.97|13.35|42144|9853952 1366|EQIX|EQIX|29444U700|US29444U7000|Equinix Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|4|0.01|0.01|5000000|1|100|TXN14-8|TXN5-2|TXN12-5|TXN5-8|TXN5-8|93880000|||NotApplicable|||||||||||| | | | | | | | | |||N|5|Y|N||USA||||35|3510|351020|35102070|Real Estate|Real Estate |Real Estate Investment Trusts|Other Specialty REITs|N||N||||||Y|0|Y||||||822.3|822.52|0.0|822.76|822.16|821.285|822.63|822.59|0.0|0.0|821.69|818.72|822.33|821.19|822.15|822.63|818.89|822.6|822.14|822.33|813.97|829.18|769.92|867.78|815.71|828.73|821.46|823.47|0.0|0.0|822.59|822.6|824.86|640.92|479473|91852885 31169|EQL|EQL|00162Q205|US00162Q2057|ALPS ETF Trust|ALPS Equal Sector Weight ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ALPS|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-3|TXN1-6|TXN3-8|TXN4-6|TXN1-1|3075000|||Quarterly|||||2009-07-06||EQL.NV|EQL.SO|EQL.EU|EQL.TC|EQL.IV| | | | | | | | | |1x|The Fund seeks investment results that replicate as closely as possible, before fees and expenses, the performance of the Bank of America Securities - Merrill Lynch Equal Sector Weight Index. The Funds investment objective is not fundamental and may be changed by the Board of Trustees without shareholder approval. The Bank of America - Merrill Lynch Equal Sector Weight Index was created in 2009 and is a U.S. equity index comprised, in equal weights, of nine Underlying Sector Indexes. These are the Consumer Discretionary Select Sector Index, Consumer Staples Select Sector Index, Materials Select Sector Index, Energy Select Sector Index, Technology Select Sector Index, Utilities Select Sector Index, Financial Select Sector Index, Industrial Select Sector Index and Health Care Select Sector Index. These nine indexes, whose components add up to the components of the S&P 500, are the Select Sector SPDR Indexes. Each Select Sector SPDR Index is a modified capitalization weighted index whose composition is defined by their GICS (Global Industry Classification System) code. This design ensures that each of the component stocks within a Select Sector SPDR Index is represented in a proportion consistent with its percentage with respect to the total market capitalization of such Select Sector SPDR Index. Under certain conditions, however, the number of shares of a component stock within the Select Sector SPDR Index may be adjusted to conform to Internal Revenue Code requirements. At all times, the Bank of America Securities Merrill Lynch Equal Sector Weight Index will be comprised of the constituents in the S&P 500, albeit in different weights. The Underlying Index is rebalanced four times a year on the third Friday of March, June, September and December to reset the Underlying Sector Indexes to equal weightings. In between the quarterly rebalances, the Underlying Sector Indexes will not have equal weights in the Index. The Underlying Index is calculated real time and published in Reuters, Bloomberg and on the Merrill Lynch web site.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||106.29|104.82|0.0|0.0|0.0|0.0|105.96|106.08|0.0|0.0|0.0|0.0|106.07|105.85|105.85|105.81|0.0|106.0504|106.29|106.0504|102.45|105.81|0.0|0.0|105.97|106.07|105.76|106.29|105.76|106.29|105.97|106.07|108.36|93.75|16362|4236144 75875|EQLS|EQLS|82889N541|US82889N5418|Simplify Exchange Traded Funds|Simplify Market Neutral Equity Long/Short ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Simplify|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN2-1|TXN2-8|TXN3-2|TXN3-3|4625001|||Quarterly|||||2023-06-14||EQLS.NV|EQLS.SO|EQLS.EU|EQLS.TC| | | | | | | | | | ||The Simplify Market Neutral Long/Short ETF (the Fund or EQLS) seeks to provide positive absolute returns and income. The Fund invests in equity securities primarily through total return swaps that provide the returns, long or short, of a basket of common stocks. The companies in the swap basket are selected using a third-party, multi-factor quantitative ranking system based on machine learning.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|24.18|24.1638|0.0|0.0|0.0|0.0|0.0|24.14|0.0|0.0|0.0|0.0|24.1601|0.0|24.1601|0.0|0.0|0.0|0.0|24.13|24.19|0.0|0.0|0.0|0.0|22.39|24.18|26.17|23.58|8928|5141091 9338|EQNR|EQNR|29446M102|US29446M1027|Equinor ASA|American Depositary Shares (Each Representing One Ordinary Share, nominal value NOK 2.50 per share)|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-2|TXN2-3|TXN9-1|TXN3-2|TXN1-1|3003110000|||Quarterly|||||2001-06-18||||||| | | | | | | | | |||N|0|N|Y|134A|NOR|NO|||60|6010|601010|60101000|Energy|Energy|Oil, Gas and Coal|Integrated Oil and Gas|N||N||||||Y|0|Y||Y|2|||30.805|30.825|0.0|30.73|30.83|30.83|30.83|30.83|0.0|0.0|30.81|30.81|30.83|30.805|30.81|30.81|30.81|30.83|30.81|30.81|30.82|30.83|23.95|37.86|30.82|30.83|30.8|30.85|30.79|30.86|30.82|30.83|38.0|25.2301|3180316|703728343 6111|EQR|EQR|29476L107|US29476L1070|Equity Residential|Common Shares of Beneficial Interest|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|6|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-3|TXN3-1|TXN2-7|TXN2-5|TXN3-6|379730000|||Quarterly|||||1993-08-12||||||| | | | | | | | | |||N|5|Y|Y|412A|USA|US|||35|3510|351020|35102040|Real Estate|Real Estate |Real Estate Investment Trusts|Residential REITs|N||N||||||Y|0|Y||Y|1|||58.69|58.69|0.0|58.55|58.7|58.7|58.69|58.69|0.0|0.0|58.69|58.71|58.69|58.71|58.77|58.69|58.68|58.68|58.71|58.69|58.68|58.69|55.02|62.15|58.66|58.71|58.66|58.72|58.64|58.75|58.68|58.69|69.45|52.57|2525749|448924401 59206|EQRR|EQRR|74347B391|US74347B3915|ProShares Equities for Rising Rates ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN5-6|TXN12-1|TXN5-2|TXN6-2|520001|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||51.66|51.625|0.0|0.0|0.0|51.67|51.68|51.76|0.0|0.0|51.66|0.0|51.67|51.66|51.7|51.66|0.0|51.68|0.0|51.67|0.0|0.0|0.0|0.0|51.17|51.8|0.0|0.0|0.0|0.0|51.66|51.8|56.177|45.1801|4558|1361782 6118|EQS|EQS|294766100|US2947661003|Equus Total Return, Inc.|Common Stock|Business development company|A|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN1-6|TXN3-8|TXN3-6|TXN4-2|13520000|||NotApplicable|||||1998-05-20||||||| | | | | | | | | |||N|0|N|N|406B|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|1.42|1.455|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|1.45|0.0|1.45|0.0|1.45|1.42|1.45|0.0|0.0|1.34|1.51|0.0|0.0|0.0|0.0|1.42|1.45|1.75|1.32|1074|2572302 6119|EQT|EQT|26884L109|US26884L1098|EQT Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|D|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-2|TXN1-4|TXN6-1|TXN2-3|TXN2-5|411330000|||Quarterly|||||1950-06-05||||||| | | | | | | | | |||N|5|Y|Y|304A|USA|US|||60|6010|601010|60101010|Energy|Energy|Oil, Gas and Coal|Oil: Crude Producers|N||N||||||Y|0|Y||Y|1|||38.97|38.965|0.0|38.91|38.97|38.97|38.97|38.97|0.0|0.0|38.97|38.98|38.97|38.98|38.96|38.97|38.97|38.97|38.96|38.97|38.97|38.98|36.64|41.31|38.96|38.99|38.92|39.02|38.92|39.02|38.97|38.98|45.23|28.105|6762535|1402770175 75010|EQTY|EQTY|92046L353|US92046L3539|Valued Advisers Trust|Kovitz Core Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Ultimus Fund Solutions (Kovitz)|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-8|TXN3-4|TXN7-8|TXN3-8|TXN2-6|47973196|||Yearly|||||2022-12-12||EQTY.NV|EQTY.SO|EQTY.EU|EQTY.TC| | | | | | | | | | ||The Kovitz Core Equity ETF invests primarily in equity securities of U.S. and foreign companies. 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The Fund will normally invest at least 90% of its total assets in common stocks that comprise the Index. The Index is designed to objectively identify those stocks within a particular market segment that have the greatest potential for capital appreciation. 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Cryan and Company, L.L.C.|CRYN|0235|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN1-3|TXN5-8|TXN3-6|TXN3-3|28050000|||Monthly|||||2003-06-25||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||0.0|9.32|0.0|0.0|0.0|9.31|9.3068|9.3|0.0|0.0|9.31|0.0|9.31|9.29|0.0|0.0|9.31|9.31|0.0|9.31|8.75|9.81|9.3|9.31|8.65|9.31|7.39|11.19|0.0|0.0|9.3|9.31|10.39|8.51|80623|13480965 74929|ERET|ERET|46436E270|US46436E2708|iShares Environmentally Aware Real Estate ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN5-1|TXN14-4|TXN6-4|TXN5-3|360000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|24.925|0.0|0.0|0.0|0.0|24.94|0.0|24.925|0.0|0.0|0.0|0.0|24.67|25.14|0.0|0.0|0.0|0.0|24.88|24.97|27.56|21.5978|505|177380 6122|ERF|ERF|292766102|CA2927661025|Enerplus Corporation|Common Shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|5|A|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-1|TXN4-8|TXN9-4|TXN1-3|TXN4-3|205530000|||Quarterly|||||2011-01-03||||||| | | | | | | | | |||N|0|N|Y|412C|CAN|CA|||60|6010|601010|60101010|Energy|Energy|Oil, Gas and Coal|Oil: Crude Producers|N||N||||||Y|0|Y||Y|2|||15.61|15.61|0.0|15.65|15.61|15.61|15.615|15.62|0.0|0.0|15.61|15.615|15.61|15.615|15.62|15.61|15.61|15.61|15.61|15.61|15.61|15.62|12.23|19.39|15.58|15.62|15.58|15.65|15.58|15.65|15.61|15.62|18.74|12.84|1063391|270425018 6123|ERH|ERH|94987E109|US94987E1091|Allspring Utilities and High Income Fund|Common Shares|Closed end fund|P|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-1|TXN1-2|TXN4-8|TXN2-2|TXN3-4|9290000|||Monthly|||||2004-04-28||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||9.22|9.28|0.0|0.0|9.29|9.3|9.2854|9.31|0.0|0.0|9.31|0.0|9.29|0.0|0.0|9.31|9.29|9.29|0.0|9.29|0.0|0.0|9.29|9.3|9.29|9.32|0.0|0.0|0.0|0.0|9.29|9.3|11.82|7.97|44165|4017134 1371|ERIC|ERIC|294821608|US2948216088|Telefonaktiebolaget LM Ericsson (publ)|CL B 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LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-3|TXN4-7|TXN9-6|TXN1-6|TXN3-2|93440000|||NotApplicable|||||2021-06-15||||||| | | | | | | | | |||N|0|N|Y|130D|CAN|CA|||55|5510|551020|55102040|Basic Materials|Basic Resources|Industrial Metals and Mining|Copper|N||N||||||Y|0|Y||Y|2|||13.42|13.39|0.0|13.4|13.4|13.39|13.41|13.41|0.0|0.0|13.39|13.44|13.41|13.4|13.44|13.41|13.39|13.41|13.39|13.41|13.41|13.43|10.26|16.41|13.34|13.49|13.37|13.47|13.36|13.43|13.41|13.43|24.38|11.35|344297|38075534 62728|ERSX|ERSX|293828885|US2938288857|ERShares NextGen Entrepreneurs ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN5-3|TXN13-6|TXN5-3|TXN5-3|1650000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|12.11|0.0|0.0|0.0|0.0|0.0|0.0|12.11|0.0|0.0|0.0|0.0|12.03|12.05|0.0|0.0|0.0|0.0|12.03|12.05|13.96|10.9361|93|103061 17421|ERTH|ERTH|46137V407|US46137V4077|Invesco Exchange-Traded Fund Trust|Invesco MSCI Sustainable Future ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Invesco|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-3|TXN4-7|TXN6-8|TXN2-5|TXN3-3|5100000|||Quarterly|||||2008-11-03||PZD.NV|PZD.SO|PZD.EU|PZD.TC|PZD.IV| | | | | | | | | |1x|The PowerShares Cleantech Portfolio (Fund) is based on the Cleantech Index. The Fund will normally invest at least 90% of its total assets in securities that comprise the Index and ADRs based on the stocks in the Index. The Index is designed to track the leading cleantech companies, from a broad range of industry sectors that offer the best investment returns. 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There is no guarantee the fund will meet its stated investment objective.The Russell Energy Sector consists of energy-related businesses, such as oil companies involved in the exploration, production, servicing, drilling and refining processes, and companies primarily involved in the production and mining of coal and other fuels used in the generation of consumable energy. 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(MSCI or the Index Provider). The Index was developed by MSCI with input from Columbia Management Investment Advisers, LLC (the Funds Investment Manager). The Index, which typically holds common stocks and depositary receipts, was constructed to provide exposure to foreign large- and mid-cap companies (located in developed markets) that are believed to offer sustainable levels of income, as well as total return opportunity. The Index holds and the Fund typically invests in foreign companies in at least three countries, other than the U.S.The Index is comprised of a subset of 100 companies within the MSCI World ex USA Index. Starting with the MSCI World ex USA Index, the Index was designed to reflect the performance of the top 100 (developed markets) foreign large- and mid-cap companies (excluding real estate investment trusts) ranked and weighted according to a composite factor score determined through the application of a systematic, rules-based methodology applied by MSCI. This methodology focuses on security dividend yield, dividend growth, and cash-based dividend coverage ratio factors. MSCI also screens companies for sustainability through the application of its Environmental, Social and Governance (ESG) rating methodology that is designed to exclude companies with unfavorable corporate ESG practices. The Index component securities are weighted based on the overall composite model scores and dividend yield. The Index is rebalanced on a quarterly basis in February, May, August and November.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|27.99|28.22|0.0|0.0|0.0|0.0|0.0|27.99|0.0|0.0|0.0|0.0|27.8585|0.0|27.8585|0.0|0.0|0.0|0.0|27.75|27.95|0.0|0.0|0.0|0.0|27.75|27.95|28.24|24.1875|234|93260 18941|ESGR|ESGR|G3075P101|BMG3075P1014|Enstar Group Ltd|ORD||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN5-1|TXN11-4|TXN5-5|TXN5-3|16040000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||BMU||||30|3030|303020|30302025|Financials|Insurance|Non-life Insurance|Property and Casualty Insurance|N||N||||||N|0|Y||||||277.8|278.34|0.0|281.18|0.0|281.32|281.02|0.0|0.0|0.0|0.0|0.0|281.26|0.0|278.42|0.0|0.0|281.02|0.0|281.26|275.85|285.92|213.13|343.14|279.67|285.77|279.82|281.78|281.01|281.51|281.01|281.51|281.57|209.895|32052|8861465 62515|ESGRO|ESGRO|29359U208|US29359U2087|Enstar Group Ltd|7% DP RP PFD E||B|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN6-8|TXN11-4|TXN5-4|TXN5-1|4400000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||BMU||||||||||||N||N||||||N|0|Y||||||23.58|0.0|0.0|0.0|0.0|0.0|23.68|0.0|0.0|0.0|0.0|0.0|23.56|0.0|0.0|0.0|23.6|23.6|0.0|23.6|23.43|0.0|0.0|0.0|22.95|24.05|0.0|0.0|0.0|0.0|23.43|23.58|25.8064|21.78|9479|2130337 61245|ESGRP|ESGRP|29359U109|US29359U1097|Enstar Group Ltd|DEP SHS PFD D||U|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN5-6|TXN11-3|TXN5-2|TXN6-5|16000000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||BMU||||||||||||N||N||||||N|0|Y||||||24.94|24.95|0.0|0.0|24.94|24.97|24.58|24.61|0.0|0.0|24.57|0.0|24.56|24.94|0.0|0.0|24.65|24.58|24.95|24.58|0.0|0.0|0.0|0.0|24.13|24.98|0.0|0.0|0.0|0.0|24.56|24.72|25.06|20.7372|24632|9400436 53314|ESGS|ESGS|19761L300|US19761L3006|Columbia ETF Trust I|Columbia U.S. ESG Equity Income ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Columbia Management Investment Advisers|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-7|TXN1-1|TXN9-8|TXN3-8|TXN4-2|1250000|||Quarterly|||||2016-06-13||ESGS.NV|ESGS.SO|ESGS.EU|ESGS.TC|ESGS.IV| | | | | | | | | |1x|Columbia Sustainable U.S. Equity Income ETF (the Fund) seeks investment results that, before fees and expenses, closely correspond to the performance of the Beta AdvantageSM Sustainable U.S. Equity Income 100 Index (the Index).The Fund invests at least 80% of its assets in the component securities of the Index.The Index is owned and calculated by MSCI Inc. (MSCI or the Index Provider). The Index was developed by MSCI with input from Columbia Management Investment Advisers, LLC (the Funds Investment Manager). The Index, which typically holds common stocks, was constructed to provide exposure to U.S. large- and mid-cap companies that are believed to offer sustainable levels of income, as well as total return opportunity.The Index is comprised of a subset of 100 companies within the MSCI USA Index. With a starting point of the MSCI USA Index, the Index was designed to reflect the performance of the top 100 U.S. large- and mid-cap companies (excluding real estate investment trusts) ranked and weighted according to a composite factor score determined through the application of a systematic, rules-based methodology applied by MSCI. This methodology focuses on security dividend yield, dividend growth, and cash-based dividend coverage ratio factors. MSCI also screens companies for sustainability through the application of its Environmental, Social and Governance (ESG) rating methodology that is designed to exclude companies with unfavorable corporate ESG practices. The Index component securities are weighted based on the overall composite model scores and dividend yield. The Index is rebalanced on a quarterly basis in February, May, August and November.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|39.191|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|39.3197|0.0|39.3197|0.0|0.0|38.77|39.91|39.21|39.4|38.77|39.92|38.77|39.91|39.21|39.4|39.86|35.4|2655|1158185 54589|ESGU|ESGU|46435G425|US46435G4257|iShares Trust iShares ESG Aware MSCI USA ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN6-8|TXN13-7|TXN6-7|TXN6-7|126950000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||100.64|100.62|0.0|0.0|100.64|100.64|100.64|100.66|0.0|0.0|100.64|100.64|100.63|100.64|100.65|100.635|100.65|100.61|0.0|100.63|100.61|100.67|100.49|100.75|100.62|100.66|100.61|100.67|100.49|100.69|100.62|100.65|101.28|83.0812|641898|271998120 61799|ESGV|ESGV|921910733|US9219107334|Vanguard World Fund - Vanguard ESG U.S. Stock ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-8|TXN1-1|TXN2-5|TXN3-8|TXN3-4|86680000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||81.07|81.09|0.0|0.0|81.11|80.99|81.09|80.75|0.0|0.0|81.0|0.0|81.09|81.09|81.4|80.75|0.0|81.09|80.76|81.09|81.09|81.26|80.96|81.22|81.09|81.13|80.96|81.23|80.96|81.23|81.09|81.12|81.5176|64.6613|232111|48023694 71036|ESGY|ESGY|025072380|US0250723808|American Century ETF Trust|American Century Sustainable Growth ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||American Century Investments|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-3|TXN3-4|TXN2-8|TXN3-4|TXN3-3|270000|||Quarterly|||||2021-07-01||ESGY.NV|ESGY.SO|ESGY.EU|ESGY.TC|ESGY.IV| | | | | | | | | |1x|SGY is designed for investors seeking a risk-aware large cap growth portfolio that integrates ESG data in an effort to deliver competitive returns with a positive impact. The team follows the philosophy that excess returns** may be achieved by investing in companies with improving business fundamentals and sustainable corporate behaviors. Their approach to ESG integration seeks to invest primarily in companies they believe manage ESG risks and opportunities better than their sector peers. By recognizing early signs of business improvement, the team aims to identify large-company growth stocks near the beginning of a cycle of improving earnings, increasing earnings estimates and expanding stock-price multiples. Because they consider environmental, social, and governance (ESG) issues alongside traditional financial information, the team believes it gains a more comprehensive view of value, risk and return potential.|N|0|N|N|406B|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|43.75|0.0|0.0|0.0|0.0|43.6301|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|43.7326|0.0|43.7326|34.94|52.64|0.0|0.0|43.69|43.75|35.0|52.63|0.0|0.0|43.71|43.74|44.16|31.3191|1976|340343 76030|ESHA|ESHA|296424104|US2964241044|ESH Acquisition Corp|ORD USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN6-6|TXN13-7|TXN5-6|TXN5-7|12750000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|10.2|0.0|0.0|0.0|0.0|0.0|10.2|0.0|0.0|0.0|0.0|10.2|0.0|10.2|0.0|0.0|0.0|0.0|0.0|10.5|0.0|0.0|0.0|0.0|10.2|10.21|10.21|10.05|26052|5795233 76031|ESHAR|ESHAR|296424112||ESH Acquisition Corp. Right|||D|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-5|TXN5-3|TXN12-8|TXN5-2|TXN6-2|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||50|5020|502040|50204000|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Industrial|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.1263|0.0|0.0|0.0|0.0|0.1263|0.1263|0.1301|0.0|0.0|0.0|0.0|0.1263|0.0|0.1263|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.1201|0.17|1.35|0.1207|6250|3920563 49433|ESHY|ESHY|233051747|US2330517473|Xtrackers J.P. Morgan ESG USD High Yield Corporate Bond ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-7|TXN1-1|TXN8-8|TXN3-3|TXN3-6|300001|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|18.2|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|18.2|0.0|18.2|0.0|0.0|0.0|0.0|17.97|18.46|0.0|0.0|0.0|0.0|18.12|18.3|18.5732|17.37|10|929670 43431|ESI|ESI|28618M106|US28618M1062|Element Solutions Inc|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-4|TXN4-5|TXN4-2|TXN1-2|TXN4-7|241520000|||Quarterly|||||2014-01-23||||||| | | | | | | | | |||N|0|Y|Y|110E|USA|US|||55|5520|552010|55201020|Basic Materials|Chemicals|Chemicals|Specialty Chemicals|N||N||||||Y|0|Y||Y|1|||20.935|20.935|0.0|0.0|20.935|20.945|20.94|20.93|0.0|0.0|20.94|20.935|20.95|20.93|20.935|20.96|20.99|20.96|20.93|20.96|20.95|20.96|19.67|22.23|20.95|20.98|20.17|22.23|20.93|20.98|20.95|20.96|21.9|17.08|1563228|290800697 73167|ESIX|ESIX|78468R481|US78468R4810|SPDR Series Trust|SPDR S&P SmallCap 600 ESG ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-1|TXN3-4|TXN3-8|TXN4-7|TXN3-3|100000|||Quarterly|||||2022-01-11||ESIX.NV|ESIX.SO|ESIX.EU|ESIX.TC|ESIX.IV| | | | | | | | | |1x|The SPDR S&P SmallCap 600 ESG ETF seeks to provide investment results that, before fees and expenses, correspond generally to the total return performance of an index that provides exposure to securities that meet certain sustainability criteria (criteria related to environmental, social and governance (ESG) factors), while maintaining similar overall industry group weights as the S&P SmallCap 600 Index.|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|26.9604|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|27.0113|0.0|27.0113|26.73|27.29|0.0|0.0|26.98|27.04|26.98|27.04|0.0|0.0|26.98|27.04|28.5819|23.6883|134|1243597 71587|ESLA|ESLA|297584104|US2975841048|Estrella Immunopharma Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN6-1|TXN14-3|TXN5-1|TXN6-7|35200000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y|C|||||1.36|1.31|0.0|0.0|1.32|1.31|1.3681|1.33|0.0|0.0|1.31|1.31|1.34|0.0|0.0|0.0|0.0|1.31|0.0|1.34|1.09|1.64|1.09|1.64|1.29|1.45|1.09|1.64|0.0|0.0|1.31|1.36|5.62|1.2|59973|4890570 71588|ESLAW|ESLAW|297584112|US2975841121|Estrella Immunopharma Inc|WT EXP 09/29/2028||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-6|TXN6-2|TXN12-3|TXN6-4|TXN5-3|35200000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y|C|||||0.0|0.0|0.0|0.0|0.0|0.0|0.04|0.0|0.0|0.0|0.0|0.0|0.07|0.0|0.0|0.0|0.0|0.04|0.0|0.04|0.0|0.0|0.0|0.0|0.025|0.11|0.0|0.0|0.0|0.0|0.035|0.0842|0.19|0.0351|150|318759 1387|ESLT|ESLT|M3760D101|IL0010811243|Elbit Systems Ltd|ORD NIS1||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN5-5|TXN11-2|TXN6-5|TXN6-8|44350000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||ISR||||50|5020|502010|50201020|Industrials|Industrial Goods and Services|Aerospace and Defense|Defense|N||N||||||N|0|Y||||||207.1|206.52|0.0|207.56|207.73|208.0|207.57|207.13|0.0|0.0|0.0|205.23|207.73|0.0|207.79|205.3|0.0|207.56|0.0|207.73|193.73|215.09|157.82|252.72|205.87|209.35|157.82|252.72|207.57|208.61|207.57|208.0|225.22|162.01|56749|6335064 60883|ESML|ESML|46435U663|US46435U6635|iShares ESG Aware MSCI USA Small-Cap ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-1|TXN3-5|TXN1-8|TXN3-7|TXN4-1|38200000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|35.65|0.0|0.0|0.0|35.66|35.67|35.58|0.0|0.0|35.56|0.0|35.66|35.571|35.56|35.62|35.34|35.65|0.0|35.65|35.64|35.72|33.2|37.85|35.64|35.67|33.2|37.85|35.52|36.04|35.64|35.65|37.7099|30.9|93654|33333390 71768|ESMT|ESMT|29283F103|US29283F1030|EngageSmart, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN4-6|TXN3-8|TXN3-4|TXN1-1|168130000|||NotApplicable|||||2021-09-23||||||| | | | | | | | | |||N|0|N|Y|108A|USA|US|||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||Y|2|||22.77|22.76|0.0|0.0|22.775|22.765|22.77|22.775|0.0|0.0|22.77|22.775|22.76|22.78|22.775|22.76|22.79|22.77|22.78|22.76|22.76|22.77|17.61|27.99|22.75|22.77|18.18|27.45|22.64|22.99|22.76|22.77|23.1|15.01|1700481|164924501 72209|ESMV|ESMV|46436E445|US46436E4456|iShares ESG MSCI USA Min Vol Factor ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN5-3|TXN11-7|TXN5-6|TXN5-3|350000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|24.53|0.0|0.0|0.0|0.0|0.0|0.0|24.53|24.48|24.57|0.0|0.0|24.51|24.53|0.0|0.0|0.0|0.0|24.51|24.53|24.55|21.9566|230|423190 42975|ESNT|ESNT|G3198U102|BMG3198U1027|Essent Group Ltd.|Common Shares|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-4|TXN1-8|TXN8-6|TXN2-1|TXN1-2|106760000|||Quarterly|||||2013-10-31||||||| | | | | | | | | |||N|0|N|Y|410B|BMU|US|||30|3030|303020|30302025|Financials|Insurance|Non-life Insurance|Property and Casualty Insurance|N||N||||||Y|0|Y||Y|2|||49.36|49.35|0.0|49.23|49.35|49.38|49.38|49.36|0.0|0.0|49.37|49.35|49.36|49.36|48.93|49.38|49.37|49.37|49.42|49.38|49.38|49.4|37.79|60.18|49.29|49.44|49.34|49.42|49.38|49.43|49.38|49.4|53.66|36.53|408446|106365942 55320|ESOA|ESOA|29271Q103|US29271Q1031|Energy Services of America Corp|COM USD.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN6-1|TXN13-3|TXN6-4|TXN5-2|16570000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||60|6010|601010|60101030|Energy|Energy|Oil, Gas and Coal|Oil Equipment and Services|N||N||||||N|0|Y||||||4.41|4.37|0.0|0.0|4.47|4.4|4.38|4.42|0.0|0.0|4.4|4.4|4.43|4.36|0.0|0.0|0.0|4.37|0.0|4.43|4.22|4.54|3.45|5.47|4.23|4.53|3.45|5.47|0.0|0.0|4.36|4.46|5.21|1.84|48687|11530050 6138|ESP|ESP|296650104|US2966501049|Espey Mfg. & Electronics Corp|Common Stock|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-5|TXN1-6|TXN6-8|TXN2-1|TXN1-4|2710000|||Quarterly|||||1978-03-01||||||| | | | | | | | | |||N|0|N|N|180A|USA|US|||50|5020|502010|50201020|Industrials|Industrial Goods and Services|Aerospace and Defense|Defense|N||N||||||N|0|Y||Y|2|||0.0|17.84|0.0|0.0|16.93|17.7|18.07|17.7|0.0|0.0|17.66|17.29|17.8|17.33|0.0|17.54|18.07|18.07|17.8|18.07|16.54|18.94|17.6|18.21|17.11|18.85|0.0|0.0|0.0|0.0|17.6|18.21|22.9599|13.12|13824|1794499 61982|ESPO|ESPO|92189F114|US92189F1140|VanEck Video Gaming and eSports ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN5-2|TXN13-5|TXN5-1|TXN6-4|4550000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||54.87|0.0|0.0|0.0|0.0|0.0|54.7709|0.0|0.0|0.0|0.0|0.0|55.04|54.74|0.0|0.0|0.0|54.87|0.0|55.04|0.0|0.0|0.0|0.0|54.85|55.09|0.0|0.0|0.0|0.0|54.85|55.05|59.12|41.52|11648|6142898 42281|ESPR|ESPR|29664W105|US29664W1053|Esperion Therapeutics Inc|COM USD0.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN6-6|TXN10-2|TXN6-6|TXN5-3|113720000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103015|Health Care |Health Care |Pharmaceuticals and Biotechnology|Pharmaceuticals |N||N||||||Y|0|Y||||||1.545|1.55|0.0|1.57|1.55|1.55|1.55|1.55|0.0|0.0|1.55|1.54|1.54|1.55|1.51|1.55|1.52|1.54|1.54|1.54|1.51|1.56|1.2|1.8|1.52|1.56|1.51|1.57|1.53|1.57|1.54|1.55|8.87|0.7|5832710|773821628 58870|ESQ|ESQ|29667J101|US29667J1016|Esquire Financial Holdings Inc|COM 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Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN6-5|TXN12-6|TXN6-3|TXN6-2|25810000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CRI||||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||Y|0|Y||||||25.53|25.36|0.0|25.27|25.49|25.38|25.35|25.365|0.0|0.0|25.37|25.46|25.36|25.41|25.15|25.47|0.0|25.37|0.0|25.36|25.07|25.69|19.71|30.96|25.1|25.66|25.27|25.5|25.29|25.44|25.35|25.4|79.88|16.96|227562|56372697 61895|ESTC|ESTC|N14506104|NL0013056914|Elastic N.V.|Ordinary shares|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities 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It provides 2 times leveraged long exposure to the compounded quarterly performance of the total return version of the MSCI USA ESG Focus Index. The underlying Index is designed to maximize exposure to positive environmental, social and governance (ESG) factors while exhibiting risk and return characteristics similar to those of the MSCI USA Index. 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70894|ETAO|ETAO|G31363107|KYG313631072|ETAO International Co Ltd|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-8|TXN6-5|TXN12-6|TXN5-4|TXN5-7|102450000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201010|20101010|Health Care |Health Care |Health Care Providers|Health Care Facilities|N||N||||||N|0|Y|C|||||0.32|0.3277|0.0|0.0|0.32|0.3277|0.3192|0.331|0.0|0.0|0.3277|0.0|0.32|0.3683|0.0|0.3277|0.0|0.3192|0.0|0.3192|0.2485|0.396|0.2485|0.396|0.2904|0.3412|0.2485|0.396|0.0|0.0|0.311|0.32|5.6296|0.14|249657|98277474 6145|ETB|ETB|27828X100|US27828X1000|Eaton Vance Tax-Managed Buy-Write Income Fund|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN1-5|TXN3-8|TXN3-1|TXN4-7|29380000|||Monthly|||||2005-04-27||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||13.04|13.03|0.0|0.0|12.96|12.965|12.96|12.975|0.0|0.0|12.97|0.0|12.96|0.0|0.0|12.97|13.03|12.96|0.0|12.97|12.96|12.97|10.06|15.9|12.12|13.03|12.94|13.0|12.93|13.0|12.96|12.97|14.085|11.59|68885|15522572 6149|ETD|ETD|297602104|US2976021046|Ethan Allen Interiors Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|P|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN2-8|TXN7-8|TXN4-2|TXN1-8|25400000|||Quarterly|||||1993-03-16||||||| | | | | | | | | |||N|0|N|Y|146E|USA|US|||40|4020|402020|40202015|Consumer Discretionary|Consumer Products and Services|Household Goods and Home Construction|Household Furnishings|N||N||||||Y|0|Y||Y|2|||28.0|28.0|0.0|27.98|27.97|27.98|27.97|28.025|0.0|0.0|28.01|28.27|27.99|27.97|27.38|28.0|26.87|27.99|28.01|28.0|27.99|28.0|21.3|34.67|27.91|28.05|27.93|28.03|27.95|28.04|27.99|28.0|36.195|24.7602|187424|52520515 75532|ETEC|ETEC|46436E197|US46436E1973|iShares Breakthrough Environmental Solutions ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN6-6|TXN12-4|TXN5-7|TXN5-3|160000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|22.11|0.0|0.0|0.0|0.0|0.0|0.0|22.11|0.0|0.0|0.0|0.0|21.97|22.31|0.0|0.0|0.0|0.0|22.11|22.18|27.42|19.9313|6|27245 6148|ETG|ETG|27828S101|US27828S1015|Eaton Vance Tax-Advantaged Global Dividend Income Fund|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN1-6|TXN4-8|TXN1-1|TXN4-6|76320000|||Monthly|||||2004-01-28||||||| | | | | | | | | |||N|0|N|N|406B|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||16.53|16.56|0.0|0.0|16.56|16.56|16.5842|16.62|0.0|0.0|16.58|16.6|16.58|16.58|0.0|16.57|16.61|16.58|0.0|16.57|16.57|16.59|12.77|20.4|15.47|17.68|16.55|16.62|16.56|16.6|16.57|16.59|17.42|14.08|146833|28948534 52007|ETHO|ETHO|26924G888|US26924G8886|ETF Managers Trust|Etho Climate Leadership U.S. ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ETF Managers Group|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-3|TXN4-3|TXN1-8|TXN2-4|TXN1-3|3300000|||Quarterly|||||2015-11-19||ETHO.NV|ETHO.SO|ETHO.EU|ETHO.TC|ETHO.IV| | | | | | | | | |1x|The Fund seeks to provide investment results that, before fees and expenses, correspond generally to the total return performance of the Etho Climate Leadership Index US (the Index). The Index was created by Etho Capital, LLC (the Index Provider) and tracks the performance of the equity securities of a diversified set of U.S. companies that are leaders in their industry with respect to their carbon impact. Carbon impact is calculated based on the total greenhouse gas (GHG) emissions from a companys operations, fuel use, supply chain and business activities, divided by the companys market capitalization. The Index primarily includes each company with a carbon impact at least 50% better (i.e., lower) than the average carbon impact for a given companys industry (Carbon Leaders). The Index generally excludes companies in industries or sub-industries or specific companies that are broadly associated with negative environmental, social, or corporate governance (ESG) profiles, as described below. The Index Provider created the Index to identify a diverse portfolio of companies with a carbon impact at least 50% better than commonly used broad-based securities indices.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||50.78|52.7|0.0|0.0|0.0|52.0|52.675|51.51|0.0|0.0|0.0|0.0|52.7|52.63|0.0|0.0|0.0|52.7291|52.6|52.7291|52.2|53.29|0.0|0.0|52.69|52.77|52.69|52.77|0.0|0.0|52.69|52.77|56.14|46.26|22568|1458423 64465|ETI PR|ETIp|29365T302|US29365T3023|Entergy Corporation|5.375% Series A Preferred Stock, Cumulative, No Par Value|Operating company|B|N|N|N|Y|Y|Y|Y|Y|6|H|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN3-8|TXN5-8|TXN4-7|TXN3-1|1400000|||Quarterly|||||2019-09-11||||||| | | | | | | | | |||N|0|N|N|302A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|22.3|22.3425|22.4|0.0|0.0|22.3|22.3|22.3|0.0|0.0|22.3|0.0|22.3|0.0|22.3|22.25|22.44|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|22.25|22.44|25.49|21.3906|7440|568928 25184|ETJ|ETJ|27829G106|US27829G1067|Eaton Vance Risk-Managed Diversified Equity Income Fund|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN2-8|TXN2-8|TXN4-3|TXN3-4|65730000|||Monthly|||||2007-07-27||||||| | | | | | | | | |||N|0|N|N|406B|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||7.81|7.78|0.0|7.81|7.79|7.79|7.79|7.81|0.0|0.0|7.79|0.0|7.8|0.0|7.84|7.81|7.79|7.8|0.0|7.81|7.79|7.81|6.11|9.72|7.32|8.04|7.77|7.82|7.77|7.82|7.79|7.81|8.46|7.2|187642|37695868 6152|ETN|ETN|G29183103|IE00B8KQN827|Eaton Corporation plc|Ordinary Shares|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|J|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-2|TXN2-6|TXN5-6|TXN1-7|TXN4-4|399300000|||Quarterly|||||2012-12-03||||||| | | | | | | | | |||N|5|Y|Y|170A|IRL|US|||50|5020|502030|50203000|Industrials|Industrial Goods and Services|General Industrials|Diversified Industrials|N||N||||||Y|0|Y||Y|1|||228.16|228.19|0.0|228.09|228.2|228.215|228.21|228.14|0.0|0.0|228.27|228.3|228.2|228.16|228.23|228.2|227.51|228.16|228.23|228.2|228.15|228.21|214.05|241.32|228.02|228.32|227.94|228.42|228.12|228.44|228.15|228.21|240.44|150.86|1592443|475192571 65018|ETNB|ETNB|282559103|US2825591033|89bio Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN6-7|TXN14-5|TXN5-6|TXN6-1|75640000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||9.06|9.07|0.0|8.93|9.06|9.065|9.06|9.06|0.0|0.0|9.06|9.03|9.05|9.06|9.06|9.07|9.06|9.065|9.06|9.05|8.97|9.15|7.03|10.96|8.98|9.15|9.02|9.09|9.04|9.09|9.06|9.07|22.93|6.575|3042316|364808442 6153|ETO|ETO|27828U106|US27828U1060|Eaton Vance Tax-Advantaged Global Dividend Opportunities Fund|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN4-1|TXN5-8|TXN4-2|TXN4-5|16390000|||Monthly|||||2004-04-28||||||| | | | | | | | | |||N|0|N|N|406B|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||0.0|22.77|0.0|0.0|22.63|22.73|22.735|22.67|0.0|0.0|22.73|22.71|22.75|0.0|0.0|22.75|0.0|22.75|0.0|22.75|22.75|22.8|22.72|22.84|21.2|24.36|0.0|0.0|0.0|0.0|22.75|22.8|23.97|19.85|37020|7949388 62257|ETON|ETON|29772L108|US29772L1089|Eton Pharmaceuticals Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN6-6|TXN12-1|TXN6-6|TXN6-6|25660000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103015|Health Care |Health Care |Pharmaceuticals and Biotechnology|Pharmaceuticals |N||N||||||N|0|Y||||||3.65|3.61|0.0|0.0|3.69|3.69|3.635|3.65|0.0|0.0|3.69|0.0|3.66|3.65|0.0|0.0|0.0|3.635|3.65|3.66|3.51|3.79|2.78|4.5|3.6|3.74|2.78|4.5|3.55|3.72|3.61|3.66|5.81|2.42|43807|40256381 6155|ETR|ETR|29364G103|US29364G1031|Entergy Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|A|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-5|TXN1-3|TXN5-4|TXN4-7|TXN1-8|211470000|||Quarterly|||||1949-05-31||||||| | | | | | | | | |||N|5|Y|Y|302A|USA|US|||65|6510|651010|65101015|Utilities|Utilities|Electricity|Conventional Electricity|N||N||||||Y|0|Y||Y|1|||101.39|101.39|0.0|101.42|101.37|101.39|101.4|101.38|0.0|0.0|101.41|101.41|101.39|101.37|101.64|101.39|101.34|101.39|101.4|101.39|101.38|101.39|96.03|108.1|101.34|101.45|101.32|101.46|101.29|101.48|101.38|101.39|120.78|87.1|1477425|352259800 62181|ETRN|ETRN|294600101|US2946001011|Equitrans Midstream Corporation|Common stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN3-3|TXN3-1|TXN2-6|TXN4-3|433260000|||Quarterly|||||2018-10-31||||||| | | | | | | | | |||N|0|N|Y|134F|USA|US|||60|6010|601010|60101035|Energy|Energy|Oil, Gas and Coal|Pipelines|N||N||||||Y|0|Y||Y|2|||10.05|10.06|0.0|10.05|10.06|10.06|10.06|10.06|0.0|0.0|10.06|10.055|10.055|10.06|10.055|10.06|10.055|10.055|10.06|10.06|10.05|10.06|7.88|12.28|10.05|10.07|10.02|10.08|10.05|10.09|10.05|10.06|10.48|4.6|5719445|1289892119 49652|ETSY|ETSY|29786A106|US29786A1060|Etsy Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN6-5|TXN13-4|TXN5-6|TXN6-4|119750000|||NotApplicable|||||||||||| | | | | | | | | |||N|5|Y|N||USA||||40|4040|404010|40401010|Consumer Discretionary|Retail |Retailers |Diversified Retailers|N||N||||||Y|0|Y||||||83.03|82.98|0.0|83.33|83.03|83.03|83.0|83.0|0.0|0.0|83.03|83.02|82.99|83.02|83.04|83.03|83.03|83.0|83.02|82.99|82.96|83.12|78.3|88.75|82.94|83.05|82.83|83.16|82.97|83.16|82.99|83.03|149.91|58.2|5973029|795177213 6158|ETV|ETV|27828Y108|US27828Y1082|Eaton Vance Tax-Managed Buy-Write Opportunities Fund|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN2-6|TXN6-7|TXN1-3|TXN1-2|116600000|||Monthly|||||2005-06-28||||||| | | | | | | | | |||N|0|N|N|406B|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||12.54|12.34|0.0|12.73|12.34|12.34|12.34|12.34|0.0|0.0|12.36|12.34|12.345|12.34|12.37|12.34|12.34|12.34|0.0|12.34|12.34|12.35|9.59|15.23|12.34|12.36|12.32|12.37|12.33|12.36|12.34|12.35|13.5|11.05|228884|56539704 6159|ETW|ETW|27829C105|US27829C1053|Eaton Vance Tax-Managed Global Buy-Write Opportunities Fund|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN4-4|TXN2-8|TXN2-1|TXN3-2|107490000|||Monthly|||||2005-09-28||||||| | | | | | | | | |||N|0|N|N|406B|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||7.79|7.78|0.0|0.0|7.785|7.785|7.7801|7.785|0.0|0.0|7.78|7.78|7.785|0.0|0.0|7.79|7.78|7.785|0.0|7.79|7.78|7.79|6.05|9.6|7.77|7.8|7.75|7.82|7.77|7.8|7.78|7.79|8.49|6.96|331805|69065854 66721|ETWO|ETWO|29788T103|US29788T1034|E2open Parent Holdings, Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|O|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-6|TXN4-5|TXN9-5|TXN1-8|TXN1-6|303300000|||NotApplicable|||||2020-06-15||||||| | | | | | | | | |||N|0|N|Y|408A|USA|KY|||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||Y|2|||3.82|3.84|0.0|3.64|3.82|3.84|3.825|3.83|0.0|0.0|3.83|3.83|3.825|3.83|3.83|3.82|3.815|3.82|3.84|3.82|3.82|3.83|2.97|4.63|3.82|3.83|3.8|3.86|3.81|3.84|3.82|3.83|7.205|2.15|3089682|439080987 66722|ETWO WS|ETWO.WS|29788T111|US29788T1117|E2open Parent Holdings, Inc.|Warrants, each whole warrant exercisable for one Class A Common Stock at an exercise price of $11.50|Operating company|C|N|N|N|Y|Y|Y|Y|Y|6|O|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN7-8|TXN3-2|TXN7-8|TXN2-8|TXN2-3|303250000|||NotApplicable|||||2020-06-15||||||| | | | | | | | | |||N|0|N|N|408A|USA|KY|||||||||||N||N||||||N|0|Y||N||||0.0|0.31|0.0|0.0|0.0|0.3082|0.0|0.0|0.0|0.0|0.31|0.3088|0.31|0.0|0.0|0.31|0.0|0.31|0.0|0.31|0.3076|0.32|0.0|0.0|0.3|0.3412|0.0|0.0|0.0|0.0|0.3|0.33|1.292|0.1499|129455|7336800 41722|ETX|ETX|27829U105|US27829U1051|Eaton Vance Municipal Income 2028 Term Trust|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN1-7|TXN5-8|TXN2-7|TXN2-8|10890000|||Monthly|||||2013-03-26||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||17.6|0.0|0.0|0.0|0.0|17.7|17.55|17.6|0.0|0.0|17.7|0.0|17.615|17.6|0.0|17.52|17.76|17.52|0.0|17.52|17.53|17.69|17.71|17.8|16.49|18.86|0.0|0.0|0.0|0.0|17.53|17.69|18.7323|16.36|31320|7175318 18341|ETY|ETY|27828N102|US27828N1028|Eaton Vance Tax-Managed Diversified Equity Income Fund|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-7|TXN1-4|TXN6-8|TXN3-6|TXN2-1|157330000|||Monthly|||||2006-11-28||||||| | | | | | | | | |||N|0|N|N|406B|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||11.76|11.76|0.0|0.0|11.76|11.765|11.765|11.75|0.0|0.0|11.765|11.75|11.765|11.911|0.0|11.77|11.8|11.76|0.0|11.77|11.76|11.77|9.08|14.51|11.73|11.78|11.73|11.8|11.73|11.79|11.76|11.77|12.671|10.59|203729|56256820 75140|EU|EU|29259W700|CA29259W7008|enCore Energy Corp.|Common Shares|Operating company|A|N|Y|A|Y|Y|Y|Y|Y|||Brendan E. Cryan and Company, L.L.C.|CRYN|0235|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-7|TXN2-7|TXN2-6|TXN2-8|TXN2-8|161030000|||NotApplicable|||||2023-01-23||||||| | | | | | | | | |||N|0|N|N|134B|USA|CA|||55|5510|551030|55103025|Basic Materials|Basic Resources|Precious Metals and Mining|Gold Mining|N||N||||||Y|0|Y||Y|2|||4.04|4.04|0.0|0.0|4.03|4.04|4.035|4.045|0.0|0.0|4.04|4.04|4.04|4.02|4.04|4.035|4.05|4.05|4.04|4.05|4.02|4.06|4.03|4.04|4.01|4.07|4.01|4.07|4.01|4.07|4.03|4.04|4.1|1.76|1158538|185276130 72902|EUDA|EUDA|G3142E105|VGG3142E1051|EUDA Health Holdings Limited|ORD SHS||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN6-2|TXN12-8|TXN5-3|TXN6-1|24630000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||SGP||||20|2010|201010|20101025|Health Care |Health Care |Health Care Providers|Health Care Services|N||N||||||N|0|Y||||||1.23|0.0|0.0|0.0|1.22|1.19|1.19|1.225|0.0|0.0|1.2|1.23|1.19|1.24|0.0|0.0|0.0|1.19|0.0|1.19|0.984|1.47|0.984|1.47|1.12|1.31|1.16|1.26|1.16|1.26|1.19|1.24|3.44|0.4334|112266|107867377 72904|EUDAW|EUDAW|G3142E121|VGG3142E1218|EUDA Health Holdings Limited|WT EXP 092426||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-1|TXN5-4|TXN14-2|TXN5-8|TXN5-4|20190000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||SGP||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0525|0.19|0.0|0.0|0.0|0.0|0.0525|0.1632|0.2929|0.0227|0|2387383 44116|EUDG|EUDG|97717X610|US97717X6105|WisdomTree Trust|WisdomTree Europe Quality Dividend Growth Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||WisdomTree|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-7|TXN3-1|TXN9-8|TXN3-1|TXN2-8|2450000|||Quarterly|||||2014-05-06||EUDG.NV|EUDG.SO|EUDG.EU|EUDG.TC|EUDG.IV| | | | | | | | | |1x|WisdomTree Europe Quality Dividend Growth Fund(EUDG) seeks to track the price and yield performance, before fees and expenses, of the WisdomTree Europe Dividend Growth Index. The Index is designed to provide exposure to dividend-paying common stocks of companies with growth characteristics that are listed on a stock exchange in one of the following countries: Austria, Belgium, Denmark, Finland, France, Germany, Ireland, Italy, Netherlands, Norway, Portugal, Spain, Sweden, Switzerland or the United Kingdom. The Index is a fundamentally weighted index that is generally comprised of the 300 companies with the best combined rank of certain growth and quality factors: specifically long-term earnings growth expectations, return on equity, and return on assets.|N|0|N|N|406C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|30.3|30.4757|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|30.4791|0.0|30.4791|0.0|0.0|0.0|0.0|30.46|30.49|0.0|0.0|0.0|0.0|30.46|30.49|31.71|27.05|2629|1877432 50607|EUDV|EUDV|74347B540|US74347B5407|ProShares MSCI Europe Dividend Growers ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-6|TXN4-2|TXN8-8|TXN4-1|TXN2-7|195001|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|44.8293|0.0|0.0|0.0|0.0|44.5579|0.0|0.0|0.0|0.0|0.0|44.81|0.0|0.0|0.0|0.0|44.8293|0.0|44.8293|0.0|0.0|0.0|0.0|44.44|45.21|0.0|0.0|0.0|0.0|44.75|44.91|46.99|39.77|111|112382 32172|EUFN|EUFN|464289180|US4642891802|iShares MSCI Europe Financials ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN6-3|TXN14-7|TXN5-2|TXN5-3|60000000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||20.32|20.31|0.0|20.28|20.32|20.32|20.32|20.32|0.0|0.0|20.32|20.32|20.32|20.33|20.32|20.32|20.305|20.32|20.34|20.32|20.31|20.34|20.26|20.34|20.31|20.34|20.25|20.34|20.25|20.34|20.31|20.34|20.425|16.71|356864|213780759 26106|EUM|EUM|74347R396|US74347R3966|ProShares Trust|ProShares Short MSCI Emerging Markets|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ProShares Advisors |Pundion LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN1-2|TXN3-5|TXN1-4|TXN4-5|1650000|||Quarterly|||||2008-11-12||EUM.NV|EUM.SO|EUM.EU|EUM.TC|EUM.IV| | | | | | | | | |-1x|ProShares Short MSCI Emerging Markets seeks daily investment results, before fees and expenses, that correspond to the inverse (opposite) of the daily performance of the MSCI Emerging Markets Index. Because the value of the Index is not computed as of the close of the U.S. securities markets due to differences in trading hours between U.S. and foreign markets, correlation to the Index will be measured by comparing the daily change in the Funds net asset value per share to the performance of one or more U.S. exchange traded securities or instruments that reflect the values of the securities underlying the Index as of the close of the U.S. securities markets. This ETF seeks a return of -100% of the return of an index (target) for a single day. Due to the compounding of daily returns, returns over periods other than one day will likely differ in amount and possibly direction from the target return for the same period. Investors should monitor their ProShares holdings consistent with their strategies, as frequently as daily. For more on correlation, leverage and other risks, please read the prospectus. The MSCI Emerging Markets Index adjusts the market capitalization of index constituents for free float and targets for index inclusion 85% of free float-adjusted market capitalization in each industry group, in global emerging markets countries. As of June 2007, the MSCI Emerging Markets Index consisted of the following 25 emerging market country indexes: Argentina, Brazil, Chile, China, Colombia, Czech Republic, Egypt, Hungary, India, Indonesia, Israel, Jordan, Korea, Malaysia, Mexico, Morocco, Pakistan, Peru, Philippines, Poland, Russia, South Africa, Taiwan, Thailand, and Turkey.|N|0|N|N|416A|USA|US|EQUITY|INVERSE|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|14.985|0.0|0.0|0.0|14.965|14.9637|14.835|0.0|0.0|14.97|14.97|14.985|14.97|0.0|14.97|0.0|14.97|0.0|14.97|14.94|14.98|14.89|15.03|14.94|14.98|14.89|15.66|14.89|15.04|14.94|14.98|16.0598|13.65|65421|15303643 29579|EUO|EUO|74347W882|US74347W8828|ProShares Trust II|ProShares UltraShort Euro|Trust|ETV|N|N|P|Y|Y|Y|Y|Y||||||||ProShares Advisors |Pundion LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN1-3|TXN4-4|TXN3-1|TXN2-5|1350000|||NotApplicable|||||2008-11-25|2099-05-31|EUO.NV|EUO.SO|EUO.EU|EUO.TC|EUO.IV| | | | | | | | | |-2x|ProShares UltraShort Euro seeks daily investment results, before fees and expenses, that correspond to twice (200%) the inverse (opposite) of the daily performance of the U.S. Dollar price of the Euro. ProShares UltraShort Euro is not an investment company registered under the Investment Company Act of 1940. Please read the prospectus carefully before investing. This ETF seeks a return of -200% of the return of a benchmark (target) for a single day. Due to the compounding of daily returns, returns over periods other than one day will likely differ in amount and possibly direction from the target return for the same period. Investors should monitor their ProShares holdings consistent with their strategies, as frequent as daily. For more on correlation, leverage and other risks, please read the prospectus. The Euro benchmark is the 4 pm ET Euro in U.S. Dollar terms (EUR/USD cross rate) as published in The Wall Street Journal and will be tracked to 4 decimal places. The EUR/USD cross rate is expressed as a rate that reflects the number of U.S. dollars that can be exchanged for one Euro. The EUR/USD cross rate is published daily in the Money & Investing section of The Wall Street Journal currencies chart.|N|0|N|N|416A|USA|US|CURRENCY|INVERSE|30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||Y|0|Y||Y|2|||29.98|30.2|0.0|0.0|30.26|30.2|30.19|30.205|0.0|0.0|30.2|0.0|30.27|30.18|0.0|0.0|0.0|30.21|0.0|30.21|29.93|30.43|29.93|30.43|30.17|30.2|29.93|30.43|0.0|0.0|30.16|30.19|32.16|27.44|43189|12725235 43410|EURL|EURL|25459Y280|US25459Y2809|Direxion Shares ETF Trust|Direxion Daily FTSE Europe Bull 3x Shares|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Direxion Shares|IMC Chicago, LLC, DBA IMC Financial Markets|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-6|TXN2-5|TXN4-6|TXN1-4|TXN4-7|1100001|||Quarterly|||||2014-01-22||EURL.NV|EURL.SO|EURL.EU|EURL.TC|EURL.IV| | | | | | | | | |3x|The FTSE Developed Europe All Cap Index is a market-capitalization weighted index representingthe performance of large, mid and small cap companies in Developed European markets,including the UK. The index is comprised of approximately 1250 securities from 16 countries,and derived from the FTSE Global Equity Index Series (GEIS), which covers over 7,600 securitiesin 47 different countries and captures 98% of the worlds investable market capitalization. |N|0|N|N|416A|USA|US|EQUITY|LEVERAGED|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|20.91|0.0|0.0|0.0|20.85|20.978|20.725|0.0|0.0|0.0|0.0|20.9|0.0|0.0|20.891|0.0|21.0449|0.0|21.0449|19.8|22.05|20.64|21.6|20.8|21.23|20.8|21.29|20.8|21.29|20.8|21.23|24.7029|15.046|7517|5879361 48914|EURN|EURN|B38564108|BE0003816338|Euronav NV|Ordinary Shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|5|A|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-7|TXN2-8|TXN2-5|TXN4-4|TXN2-7|201780000|||Quarterly|||||2015-01-23||||||| | | | | | | | | |||N|0|N|Y|208A|BEL|BE|||50|5020|502060|50206030|Industrials|Industrial Goods and Services|Industrial Transportation|Marine Transportation|N||N||||||Y|0|Y||Y|2|||17.99|17.99|0.0|0.0|17.99|17.995|17.98|17.995|0.0|0.0|17.98|17.99|17.98|17.995|17.99|17.97|17.995|17.98|17.99|17.97|17.98|17.99|13.95|22.05|17.97|17.99|17.97|18.92|17.61|18.34|17.98|17.99|21.0|12.94|2000288|429863515 32665|EUSA|EUSA|464286681|US4642866812|iShares Inc.|iShares MSCI USA Equal Weighted ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-3|TXN3-7|TXN2-5|TXN4-4|TXN4-8|7400000|||Quarterly|||||2010-05-07||EUSA.NV|EUSA.SO|EUSA.EU|EUSA.TC|EUSA.IV| | | | | | | | | |1x|iShares MSCI USA EQUAL WEIGHTED ETF seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the MSCI USA Index. The Underlying Index is a market capitalization-weighted index designed to measure the performance of equity securities in the top 85% by market capitalization of equity securities listed on stock exchanges in the United States. Components primarily include consumer discretionary, financial, healthcare and information technology companies. The components of the Underlying Index, and the degree to which these components represent certain industries, may change over time.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||80.3|80.32|0.0|0.0|80.32|80.2|80.32|80.04|0.0|0.0|80.21|0.0|80.31|80.3|80.3|80.2|0.0|80.32|0.0|80.32|80.27|80.47|80.1|80.47|80.27|80.32|80.09|80.47|80.1|80.47|80.27|80.32|82.37|70.53|74439|11207632 66833|EUSB|EUSB|46436E619|US46436E6196|iShares Trust|iShares ESG Advanced Total USD Bond Market ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-6|TXN2-8|TXN4-8|TXN4-2|TXN4-1|13300000|||Monthly|||||2020-06-25||EUSB.NV|EUSB.SO|EUSB.EU|EUSB.TC|EUSB.IV| | | | | | | | | |1x|The iShares ESG Advanced Total USD Bond Market ETF seeks to track the investment results of an index composed of U.S. dollar-denominated bonds that are rated either investment-grade or high-yield from issuers with a favorableenvironmental, social and governance rating as identified by the index provider, while applying extensive screens for involvement in controversial activities.|N|0|N|N|412C|USA|US|FIXED_INCOME|INDEX|||||||||N||N||||||N|0|Y||Y|1|||0.0|42.0|0.0|0.0|0.0|42.1|42.0813|42.14|0.0|0.0|0.0|0.0|0.0|42.0|0.0|0.0|0.0|42.08|0.0|42.08|39.91|44.26|39.39|44.79|41.98|42.09|39.91|44.26|0.0|0.0|41.98|42.09|43.89|39.79|15324|18367672 49440|EUSC|EUSC|97717X552|US97717X5529|WisdomTree Trust|WisdomTree Europe Hedged SmallCap Equity Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||WisdomTree|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-6|TXN3-6|TXN5-8|TXN3-8|TXN1-5|1150000|||Quarterly|||||2015-03-04||EUSC.NV|EUSC.SO|EUSC.EU|EUSC.TC|EUSC.IV| | | | | | | | | |1x|The WisdomTree Europe Hedged SmallCap Equity Fund (EUSC) seeks to track the price and yield performance, before fees and expenses, of the WisdomTree Europe Hedged SmallCap Equity Index.|N|0|N|N|406C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|34.9491|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|34.9341|0.0|34.9341|27.78|42.04|0.0|0.0|34.92|34.95|34.85|34.99|34.85|34.99|34.92|34.95|35.4914|30.91|673|2513849 49723|EVA|EVA|29415B103|US29415B1035|Enviva Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|A|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-7|TXN1-6|TXN8-6|TXN2-4|TXN1-3|74500000|||Quarterly|||||2015-04-29||||||| | | | | | | | | |||N|0|N|Y|180A|USA|US|||60|6010|601020|60102010|Energy|Energy|Alternative Energy|Alternative Fuels |N||N||||||Y|0|Y|C|Y|2|||1.22|1.24|0.0|1.35|1.24|1.23|1.24|1.23|0.0|0.0|1.23|1.23|1.24|1.24|1.22|1.24|1.23|1.24|1.24|1.24|1.23|1.24|0.968|1.51|1.22|1.25|1.21|1.26|1.2|1.27|1.23|1.24|61.62|0.606|1424721|328976840 74417|EVAV|EVAV|25460G146|US25460G1461|Direxion Shares ETF Trust|Direxion Daily Electric and Autonomous Vehicles Bull 2X Shares|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Direxion Shares|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-4|TXN1-4|TXN9-8|TXN1-7|TXN4-3|124948.1|||Quarterly|||||2022-08-11||EVAV.NV|EVAV.SO|EVAV.EU|EVAV.TC|EVAV.IV| | | | | | | | | |1x|The Fund seeks daily investment results, before fees and expenses, of 200% of the daily performance of the Indxx US Electric and Autonomous Vehicles Index. The Fund does not seek to achieve its stated investment objective for a period of time different than a trading day.|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||40.57|40.57|0.0|0.0|0.0|40.6|40.0188|39.76|0.0|0.0|0.0|0.0|40.57|0.0|0.0|40.54|0.0|40.1698|0.0|40.1698|0.0|0.0|0.0|0.0|39.89|40.38|39.68|40.64|39.69|40.64|29.07|40.38|107.72|4.29|3552|5600392 69056|EVAX|EVAX|29970R105|US29970R1059|Evaxion Biotech A/S|ADR||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-6|TXN6-1|TXN12-2|TXN6-6|TXN6-4|27640000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||DNK||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||0.79|0.7968|0.0|0.0|0.79|0.815|0.8199|0.801|0.0|0.0|0.82|0.0|0.819|0.0|0.0|0.81|0.0|0.8199|0.0|0.8199|0.6241|0.912|0.6241|0.984|0.7352|0.8745|0.6241|0.912|0.0|0.0|0.7875|0.819|2.44|0.4701|46607|63441049 53923|EVBG|EVBG|29978A104|US29978A1043|Everbridge Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN5-4|TXN14-8|TXN5-2|TXN6-1|41070000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||||||21.04|21.045|0.0|20.98|21.02|21.04|21.02|21.06|0.0|0.0|21.05|21.03|21.04|20.89|21.04|21.02|20.76|21.02|20.98|21.04|20.9|21.17|16.27|25.67|20.93|21.17|16.75|21.08|0.0|0.0|21.02|21.04|36.41|18.5|379166|104040244 1398|EVBN|EVBN|29911Q208|US29911Q2084|Evans Bancorp Inc.|Common stock|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-4|TXN4-5|TXN6-8|TXN1-6|TXN3-1|5480000|||BiAnnually|||||2010-12-27||||||| | | | | | | | | |||N|0|N|N|416A|USA|US|||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||Y|2|||27.19|28.66|0.0|24.04|27.73|28.355|28.67|28.11|0.0|0.0|28.21|28.36|28.86|27.36|24.88|27.75|28.73|29.1|27.66|28.73|27.83|29.83|28.83|29.1|28.26|29.77|0.0|0.0|0.0|0.0|28.83|29.1|40.57|23.2|27142|3943393 6163|EVC|EVC|29382R107|US29382R1077|Entravision Communications Corporation|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN3-5|TXN7-7|TXN1-1|TXN1-5|78640000|||Quarterly|||||2000-08-02||||||| | | | | | | | | |||N|0|N|Y|306A|USA|US|||40|4030|403010|40301035|Consumer Discretionary|Media|Media|Radio and TV Broadcasters|N||N||||||Y|0|Y||Y|2|||4.33|4.33|0.0|4.2|4.33|4.325|4.325|4.325|0.0|0.0|4.33|4.32|4.325|4.33|4.26|4.34|4.305|4.33|4.31|4.34|4.32|4.33|3.28|5.29|4.32|4.36|4.29|4.36|4.32|4.36|4.32|4.33|7.325|3.35|341320|81636004 71051|EVCM|EVCM|29977X105|US29977X1054|EverCommerce Inc|COM USD.00001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN6-8|TXN14-2|TXN5-5|TXN5-3|188660000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||||||9.57|9.64|0.0|9.59|9.64|9.6|9.64|9.62|0.0|0.0|9.63|9.58|9.63|9.57|9.76|9.58|9.6|9.64|0.0|9.63|9.53|9.73|7.51|11.91|9.54|9.72|9.6|9.66|9.6|9.66|9.62|9.64|13.47|5.87|193140|38612187 73399|EVE|EVE|G3218G109|KYG3218G1091|EVe Mobility Acquisition Corp|Class A Ordinary Shares|Special purpose acquisition company|A|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN1-6|TXN3-8|TXN4-2|TXN3-2|15600000|||NotApplicable|||||2023-06-12||||||| | | | | | | | | |||N|0|N|N|408A|USA|KY|||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|10.78|0.0|0.0|0.0|10.79|10.79|0.0|0.0|0.0|0.0|0.0|10.79|0.0|0.0|0.0|10.79|10.79|0.0|10.79|10.78|10.8|10.78|10.81|10.05|11.46|0.0|0.0|0.0|0.0|10.79|10.8|11.4|10.19|24723|37669971 73400|EVE WS|EVE.WS|G3218G117|KYG3218G1174|EVe Mobility Acquisition Corp|Redeemable Warrants, each whole warrant exercisable for one Class A ordinary share at an exercise price of $11.50|Special purpose acquisition company|C|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN10-4|TXN1-3|TXN9-8|TXN4-4|TXN1-2|0|||NotApplicable|||||2023-06-12||||||| | | | | | | | | |||N|0|N|N|408A|USA|KY|||||||||||N||N||||||N|0|Y||N||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.035|0.0667|0.0|0.0|0.0|0.0|0.0|0.0|0.035|0.0667|0.328|0.0251|0|3834777 72915|EVE U|EVE.U|G3218G125|KYG3218G1257|EVe Mobility Acquisition Corp|Units, each consisting of one Class A ordinary share and one-half of one redeemable warrant|Special purpose acquisition company|R|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-8|TXN3-2|TXN8-8|TXN3-6|TXN3-6|0|||NotApplicable|||||2023-06-12||||||| | | | | | | | | |||N|0|N|N|408A|USA|KY|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.76|11.84|10.79|11.84|10.74|11.84|0.0|0.0|0.0|0.0|10.79|11.84|11.49|10.0|0|536547 61203|EVER|EVER|30041R108|US30041R1086|EverQuote Inc|COM Cl A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN6-3|TXN10-5|TXN5-5|TXN5-4|28110000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101010|10101020|Technology|Technology|Software and Computer Services|Consumer Digital Services |N||N||||||Y|0|Y||||||10.33|10.17|0.0|10.26|10.16|10.25|10.18|10.18|0.0|0.0|10.17|10.31|10.19|10.53|10.15|10.16|10.62|10.18|10.24|10.19|10.07|10.42|7.93|12.62|10.07|10.37|10.15|10.21|10.15|10.22|10.17|10.19|18.86|5.36|472519|90106887 68677|EVEX|EVEX|29970N104|US29970N1046|Eve Holding, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|M|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN3-4|TXN4-8|TXN4-4|TXN2-1|269360000|||NotApplicable|||||2022-05-10||||||| | | | | | | | | |||N|0|N|Y|102A|USA|US|||50|5020|502010|50201010|Industrials|Industrial Goods and Services|Aerospace and Defense|Aerospace|N||N||||||Y|0|Y||Y|2|||7.01|6.93|0.0|0.0|6.91|6.92|6.96|6.985|0.0|0.0|6.97|6.99|6.9|0.0|0.0|6.92|0.0|6.92|6.93|6.92|6.92|6.93|5.34|8.5|6.77|7.06|5.51|8.5|6.84|6.99|6.92|6.93|11.05|5.1|30099|15145041 68678|EVEX WS|EVEX.WS|29970N112|US29970N1129|Eve Holding, Inc.|Warrants, each exercisable for one share of Common Stock at an exercise price of $11.50 per share|Operating company|C|N|N|N|Y|Y|Y|Y|Y|6|M|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN5-8|TXN4-1|TXN8-8|TXN2-8|TXN2-2|269210000|||NotApplicable|||||2022-05-10|2027-05-09|||||| | | | | | | | | |||N|0|N|N|102A|USA|US|||||||||||N||N||||||N|0|Y|C|N||||0.5075|0.5175|0.0|0.0|0.0|0.4|0.4|0.0|0.0|0.0|0.0|0.484|0.0|0.0|0.0|0.5075|0.0|0.5075|0.0|0.5075|0.3801|0.52|0.32|0.624|0.38|0.5175|0.32|0.624|0.0|0.0|0.3801|0.52|1.28|0.1777|2977|2333875 6164|EVF|EVF|27826S103|US27826S1033|Eaton Vance Senior Income Trust|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN4-3|TXN9-8|TXN3-6|TXN1-1|17540000|||Monthly|||||1998-10-28||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||5.95|5.95|0.0|0.0|5.95|5.97|5.95|5.96|0.0|0.0|5.97|0.0|5.98|6.02|0.0|5.97|5.96|5.95|6.02|5.97|5.95|5.98|4.69|7.44|5.59|6.19|5.94|6.0|0.0|0.0|5.95|5.98|6.25|5.2|294724|17452152 6165|EVG|EVG|27828V104|US27828V1044|Eaton Vance Short Duration Diversified Income Fund|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN2-7|TXN7-8|TXN3-2|TXN1-4|13440000|||Monthly|||||2005-02-24||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||10.15|10.18|0.0|0.0|10.19|10.17|10.17|0.0|0.0|0.0|10.17|10.17|10.18|10.15|0.0|10.18|0.0|10.18|10.15|10.18|10.18|10.19|7.86|12.44|9.46|10.84|7.86|12.44|0.0|0.0|10.18|10.19|10.9969|9.13|42405|7851660 43158|EVGN|EVGN|M4119S104|IL0011050551|Evogene Ltd|ORD NIS .02||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-7|TXN6-8|TXN12-7|TXN5-2|TXN6-2|50260000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||ISR||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||0.726|0.758|0.0|0.7611|0.726|0.758|0.7275|0.7275|0.0|0.0|0.73|0.7399|0.73|0.726|0.75|0.73|0.0|0.73|0.726|0.73|0.5633|0.852|0.5633|0.8914|0.7076|0.76|0.7029|0.7477|0.7038|0.7512|0.725|0.73|1.44|0.4502|155060|39579286 68212|EVGO|EVGO|30052F100|US30052F1003|EVgo Inc|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN5-8|TXN10-2|TXN6-2|TXN5-2|103550000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||60|6010|601020|60102010|Energy|Energy|Alternative Energy|Alternative Fuels |N||N||||||Y|0|Y||||||3.33|3.335|0.0|0.0|3.33|3.33|3.34|3.33|0.0|0.0|3.335|3.33|3.34|3.33|3.32|3.33|3.33|3.34|3.34|3.34|3.3|3.36|2.64|4.16|3.3|3.36|3.3|3.37|3.29|3.38|3.33|3.34|8.1599|1.88|2430687|753924256 68213|EVGOW|EVGOW|30052F118|US30052F1185|EVgo Inc|WT EXP 091525||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-5|TXN5-6|TXN11-5|TXN6-6|TXN6-5|102720000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y|D|||||0.0|0.0|0.0|0.0|0.0|0.2223|0.2425|0.0|0.0|0.0|0.0|0.0|0.2201|0.0|0.0|0.0|0.0|0.2425|0.0|0.2425|0.0|0.0|0.0|0.0|0.2101|0.2655|0.0|0.0|0.0|0.0|0.225|0.249|1.34|0.1499|11992|9213870 73815|EVGR|EVGR|G3312W109|KYG3312W1096|Evergreen Corporation|CL A ORD||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN6-6|TXN12-2|TXN6-2|TXN5-4|8030000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||MYS||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|11.1|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|11.09|11.1|0.0|0.0|0.0|0.0|11.09|11.1|11.4742|10.21|120|10251854 73417|EVGRU|EVGRU|G3312W125|KYG3312W1252|Evergreen Corporation|UNITS||R|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN6-6|TXN11-7|TXN6-7|TXN5-7|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||MYS||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|11.03|11.85|0.0|0.0|0.0|0.0|11.06|11.85|12.545|9.975|0|139762 73816|EVGRW|EVGRW|G3312W117||Evergreen Corporation Warrant|||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-3|TXN5-1|TXN10-2|TXN6-6|TXN5-5|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||50|5020|502040|50204000|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Industrial|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.01|0.04|0.5916|0.0101|0|3973981 50045|EVH|EVH|30050B101|US30050B1017|Evolent Health, Inc|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|T|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-6|TXN3-3|TXN3-8|TXN2-5|TXN4-7|114960000|||NotApplicable|||||2015-06-05||||||| | | | | | | | | |||N|0|N|Y|122A|USA|US|||20|2010|201010|20101025|Health Care |Health Care |Health Care Providers|Health Care Services|N||N||||||Y|0|Y||Y|2|||29.3|29.3|0.0|28.9|29.3|29.3|29.3|29.3|0.0|0.0|29.31|29.23|29.34|29.29|29.22|29.34|28.94|29.36|29.29|29.34|29.34|29.36|22.43|35.61|29.19|29.41|27.75|30.49|0.0|0.0|29.34|29.36|36.7|23.33|746988|239662337 76492|EVHY|EVHY|61774R809|US61774R8097|Morgan Stanley ETF Trust|Eaton Vance High Yield ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Morgan Stanley|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-8|TXN4-5|TXN2-8|TXN1-5|TXN3-2|400000|||Monthly|||||2023-10-19||EVHY.NV|EVHY.SO|EVHY.EU|EVHY.TC|EVHY.IV| | | | | | | | | ||Eaton Vance High Yield ETF (the Fund) seeks to provide a high level of current income. 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L.L.C.|JSCO|3856|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-5|TXN2-6|TXN3-8|TXN3-1|TXN1-7|13970000|||Yearly|||||1999-11-10||||||| | | | | | | | | |||N|0|N|N|146G|USA|US|||50|5020|502040|50204000|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Industrial|N||N||||||N|0|Y||Y|2|||26.09|26.38|0.0|0.0|25.7|26.0|26.15|26.05|0.0|0.0|26.0|25.5|26.1|25.87|0.0|26.07|26.15|26.15|26.15|26.15|24.73|26.93|25.79|26.0|25.02|26.0|0.0|0.0|0.0|0.0|25.79|26.0|28.65|17.0|16784|5419450 76494|EVIM|EVIM|61774R882|US61774R8824|Morgan Stanley ETF Trust|Eaton Vance Intermediate Municipal Income ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Morgan Stanley|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-7|TXN2-3|TXN4-8|TXN2-3|TXN3-2|400000|||Monthly|||||2023-10-19||EVIM.NV|EVIM.SO|EVIM.EU|EVIM.TC|EVIM.IV| | | | | | | | | ||Eaton Vance Intermediate Municipal Income ETF (the Fund) seeks to provide current income exempt from regular federal income tax.|N|0|N|N|416A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|52.0547|0.0|52.0547|0.0|0.0|0.0|0.0|52.02|52.1|0.0|0.0|0.0|0.0|51.96|52.1|52.16|49.95|0|717 60967|EVLO|EVLO|299734202|US2997342025|Evelo Biosciences Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-6|TXN5-3|TXN11-2|TXN5-6|TXN6-5|18930000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y|C|||||0.3902|0.397|0.0|0.0|0.408|0.408|0.3994|0.3962|0.0|0.0|0.408|0.3949|0.4|0.0|0.0|0.3902|0.0|0.3994|0.0|0.4|0.3994|0.4284|0.3241|0.4742|0.3994|0.4092|0.3241|0.4742|0.0|0.0|0.3994|0.4081|13.93|0.0243|307152|781189777 67593|EVLV|EVLV|30049H102|US30049H1023|Evolv Technologies Holdings Inc|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN6-8|TXN11-7|TXN6-4|TXN6-2|151140000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502050|50205040|Industrials|Industrial Goods and Services|Industrial Support Services|Security Services|N||N||||||Y|0|Y||||||4.43|4.46|0.0|0.0|4.45|4.455|4.46|4.445|0.0|0.0|4.45|4.45|4.45|4.45|4.435|4.46|4.42|4.46|4.3|4.45|4.39|4.51|3.34|5.45|4.44|4.47|4.42|4.49|4.45|4.5|4.45|4.46|8.3|1.98|960491|275696604 67594|EVLVW|EVLVW|30049H110|US30049H1106|Evolv Technologies Holdings Inc|WT EXP 031025||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-1|TXN5-2|TXN13-5|TXN5-5|TXN5-5|150660000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.66|0.644501|0.645|0.0|0.0|0.66|0.66|0.64|0.0|0.0|0.0|0.0|0.64|0.0|0.64|0.0|0.0|0.0|0.0|0.5975|0.7038|0.0|0.0|0.0|0.0|0.64|0.66|2.29|0.36|37186|8441133 6168|EVM|EVM|27828A100|US27828A1007|Eaton Vance California Municipal Bond Fund|Common Shares of Beneficial Interest Par Value $.01|Closed end fund|P|N|N|A|Y|Y|Y|Y|Y|||Brendan E. Cryan and Company, L.L.C.|CRYN|0235|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-8|TXN2-3|TXN5-8|TXN1-7|TXN1-3|24670000|||Monthly|||||2002-08-28||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||8.85|8.85|0.0|8.87|8.86|8.86|8.85|8.86|0.0|0.0|8.86|8.86|8.85|8.85|0.0|8.86|8.86|8.86|8.85|8.86|8.64|8.99|8.85|8.88|8.26|8.86|8.82|8.89|8.84|8.87|8.85|8.88|9.36|7.67|97907|16283340 73950|EVMT|EVMT|46090F209|US46090F2092|Invesco Electric Vehicle Metals Commodity Strategy No K-1 ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN6-4|TXN14-7|TXN6-5|TXN5-6|550000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|17.5185|0.0|0.0|0.0|0.0|0.0|17.52|0.0|0.0|0.0|0.0|17.5185|0.0|17.52|0.0|0.0|17.4|17.57|17.4|17.57|17.4|17.57|17.4|17.57|17.45|17.52|26.09|17.4|597|618691 6169|EVN|EVN|27826U108|US27826U1088|Eaton Vance Municipal Income Trust|Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN4-6|TXN8-8|TXN4-6|TXN4-4|39670000|||Monthly|||||1999-01-27||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||9.68|9.68|0.0|9.69|9.66|9.69|9.69|9.69|0.0|0.0|9.69|9.7|9.69|9.68|0.0|9.69|9.69|9.68|0.0|9.69|9.68|9.7|7.49|11.89|9.68|10.37|9.66|9.72|9.67|9.7|9.68|9.7|10.84|8.64|150725|23005787 71732|EVNT|EVNT|02210T207|US02210T2078|AltShares Trust|AltShares Event-Driven ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Water Island Capital|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-5|TXN2-2|TXN7-8|TXN3-1|TXN3-2|309320|||Yearly|||||2021-09-20||EVNT.NV|EVNT.SO|EVNT.EU|EVNT.TC|EVNT.IV| | | | | | | | | |1x|AltShares Event-Driven ETF (the Fund) seeks to achieve capital appreciation over a full market cycle with lower volatility than the broad equity market. The Fund employs a long/short event-driven strategy, which seeks to profit by investing, long and/or short, in the equity and debt securities of companies whose prices the Water Island Capital, LLC (the Adviser) believes are or will be impacted by a publicly announced or anticipated corporate event. The strategy may invest both long and short across industries/sectors, market capitalizations, and credit qualities, and it will invest internationally, seeking what the Adviser believes are the most favorable event opportunities across the globe. By focusing on event opportunities, the Adviser aims to generate a return profile that is more correlated to the outcomes of each idiosyncratic event rather than the overall direction of broader equity and credit markets.|N|0|N|N|416A|USA|US|HYBRID|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|9.98|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.04|0.0|10.04|10.01|10.06|0.0|0.0|10.02|10.06|0.0|0.0|0.0|0.0|10.02|10.06|10.42|8.85|9|132062 27852|EVO|EVO|30050E105|US30050E1055|Evotec SE|ADR||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN5-5|TXN12-2|TXN6-3|TXN5-2|177190000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||DEU||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||9.84|9.83|0.0|0.0|9.81|9.83|9.83|9.82|0.0|0.0|0.0|0.0|9.85|0.0|0.0|0.0|0.0|9.83|0.0|9.83|9.83|10.12|0.0|0.0|9.82|10.12|0.0|0.0|0.0|0.0|9.83|10.12|13.4924|7.8|22260|6240119 42729|EVOK|EVOK|30049G203|US30049G2030|Evoke Pharma Inc|COM USD.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN5-7|TXN14-2|TXN5-6|TXN6-1|3340000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103015|Health Care |Health Care |Pharmaceuticals and Biotechnology|Pharmaceuticals |N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|1.395|1.395|1.39|0.0|0.0|0.0|0.0|1.37|0.0|0.0|0.0|0.0|1.39|0.0|1.39|1.26|1.47|0.0|0.0|1.28|1.43|1.26|1.47|0.0|0.0|1.3|1.4|5.96|0.918646|9795|5494725 16988|EVR|EVR|29977A105|US29977A1051|Evercore Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|A|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN3-5|TXN4-8|TXN1-5|TXN3-8|37670000|||Quarterly|||||2006-08-11||||||| | | | | | | | | |||N|0|Y|Y|416A|USA|US|||30|3020|302020|30202010|Financials|Financial Services |Investment Banking and Brokerage Services |Asset Managers and Custodians|N||N||||||Y|0|Y||Y|1|||152.63|152.72|0.0|152.63|152.54|152.76|152.61|152.67|0.0|0.0|152.83|152.83|152.615|152.43|151.56|152.56|152.99|152.56|151.61|152.56|152.56|152.57|141.82|161.89|151.67|154.09|152.39|152.8|152.51|152.91|152.56|152.57|153.31|104.36|283145|87878237 61086|EVRG|EVRG|30034W106|US30034W1062|Evergy Inc|COM USD5||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN6-7|TXN12-2|TXN6-7|TXN6-1|229720000|||NotApplicable|||||||||||| | | | | | | | | |||N|5|Y|N||USA||||65|6510|651010|65101015|Utilities|Utilities|Electricity|Conventional Electricity|N||N||||||Y|0|Y||||||50.45|50.45|0.0|50.44|50.45|50.45|50.45|50.45|0.0|51.08|50.45|50.47|50.45|50.45|50.48|50.43|50.48|50.45|50.45|50.45|50.41|50.48|47.8|54.19|50.24|50.5|50.4|53.03|50.4|50.49|50.44|50.47|65.39|46.9175|9573696|373475224 6467|EVRI|EVRI|30034T103|US30034T1034|Everi Holdings Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-4|TXN3-2|TXN8-7|TXN1-5|TXN4-2|85570000|||NotApplicable|||||2005-09-23||||||| | | | | | | | | |||N|0|N|Y|408A|USA|US|||40|4050|405010|40501020|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Casinos and Gambling|N||N||||||Y|0|Y||Y|2|||10.87|10.87|0.0|0.0|10.88|10.87|10.87|10.88|0.0|0.0|10.87|10.87|10.875|10.87|10.865|10.88|10.87|10.87|10.87|10.88|10.87|10.88|8.34|13.38|10.85|10.89|10.84|10.9|10.84|10.88|10.87|10.88|19.85|10.33|1626672|194175410 76493|EVSB|EVSB|61774R700|US61774R7008|Morgan Stanley ETF Trust|Eaton Vance Ultra-Short Income ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Morgan Stanley|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-8|TXN3-5|TXN7-8|TXN4-7|TXN3-2|400000|||Monthly|||||2023-10-19||EVSB.NV|EVSB.SO|EVSB.EU|EVSB.TC|EVSB.IV| | | | | | | | | ||Eaton Vance Ultra-Short Income ETF (the Fund) seeks to maximize income, to the extent consistent with preservation of capital.|N|0|N|N|416A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|50.245|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|50.245|0.0|50.245|0.0|0.0|0.0|0.0|50.2|50.29|0.0|0.0|0.0|0.0|50.2|50.32|50.88|50.02|484|40551 6172|EVT|EVT|27828G107|US27828G1076|Eaton Vance Tax-Advantaged Dividend Income Fund|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN3-2|TXN3-8|TXN4-1|TXN2-2|74540000|||Monthly|||||2003-09-26||||||| | | | | | | | | |||N|0|N|N|406B|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||21.11|21.12|0.0|21.11|21.12|21.11|21.11|21.15|0.0|0.0|21.13|0.0|21.125|21.11|0.0|21.12|21.17|21.12|0.0|21.12|21.12|21.13|16.22|25.83|21.08|21.19|21.1|21.15|21.11|21.14|21.12|21.13|24.84|18.7|147170|26525513 41825|EVTC|EVTC|30040P103|PR30040P1032|EVERTEC, Inc.|Common stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|T|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN2-6|TXN7-5|TXN1-1|TXN2-7|64630000|||Quarterly|||||2013-04-12||||||| | | | | | | | | |||N|0|N|Y|108B|USA|PR|||50|5020|502050|50205015|Industrials|Industrial Goods and Services|Industrial Support Services|Transaction Processing Services|N||N||||||Y|0|Y||Y|2|||38.15|38.17|0.0|38.15|38.18|38.17|38.16|38.19|0.0|0.0|38.175|38.2|38.17|38.19|38.19|38.18|38.16|38.18|38.18|38.18|38.18|38.2|29.16|46.77|38.09|38.25|38.09|38.22|38.1|38.22|38.18|38.2|42.03|30.17|475805|67857404 72946|EVTL|EVTL|G9471C107|KYG9471C1078|Vertical Aerospace Ltd.|Ordinary Shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|6|O|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN6-8|TXN4-8|TXN2-8|TXN4-4|TXN4-2|214210000|||NotApplicable|||||2021-12-16||||||| | | | | | | | | |||N|0|N|Y|102A|GBR|KY|||50|5020|502010|50201010|Industrials|Industrial Goods and Services|Aerospace and Defense|Aerospace|N||N||||||Y|0|Y||Y|2|||0.665|0.6681|0.0|0.677|0.675|0.6665|0.674459|0.668|0.0|0.0|0.6665|0.6665|0.668|0.7043|0.0|0.6799|0.0|0.674459|0.0|0.6799|0.665|0.677|0.5447|0.7946|0.6644|0.6871|0.6486|0.6967|0.6495|0.7002|0.665|0.677|4.4899|0.601|334415|102396133 72947|EVTL WS|EVTL.WS|G9471C115|KYG9471C1151|Vertical Aerospace Ltd.|Warrants, each whole warrant exercisable for one ordinary share at an exercise price of $11.50 per share|Operating company|C|N|Y|N|Y|Y|Y|Y|Y|6|O|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN1-8|TXN2-8|TXN6-8|TXN3-1|TXN4-6|221210000|||NotApplicable|||||2021-12-16|2026-12-15|||||| | | | | | | | | |||N|0|N|N|102A|GBR|KY|||||||||||N||N||||||N|0|Y||N||||0.0|0.0|0.0|0.0|0.0|0.039|0.042|0.042|0.0|0.0|0.042|0.0373|0.0|0.0|0.0|0.039|0.0|0.039|0.0|0.039|0.036|0.049|0.0|0.0|0.0365|0.046|0.0|0.0|0.0|0.0|0.036|0.0518|0.4608|0.03|35396|4733843 74242|EVTV|EVTV|29414V209|US29414V2097|Envirotech Vehicles Inc|COM USD0.00001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN5-8|TXN13-1|TXN5-6|TXN5-8|15110000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4010|401010|40101025|Consumer Discretionary|Automobiles and Parts|Automobiles and Parts|Auto Parts|N||N||||||Y|0|Y||||||0.0|1.26|0.0|0.0|1.33|0.0|1.3144|1.3|0.0|0.0|0.0|0.0|1.28|1.308|0.0|0.0|0.0|1.29|0.0|1.28|0.984|1.58|0.984|1.58|1.21|1.35|0.984|1.58|0.0|0.0|1.24|1.29|4.09|0.9191|17813|5114880 75192|EVUS|EVUS|46436E221|US46436E2211|iShares ESG Aware MSCI USA Value ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-6|TXN2-7|TXN8-8|TXN2-3|TXN3-3|160000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|24.7845|0.0|0.0|0.0|0.0|24.13|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|24.7845|0.0|24.7845|24.74|24.84|0.0|0.0|24.77|24.78|24.36|24.91|0.0|0.0|24.77|24.78|25.51|22.4018|49|73832 6173|EVV|EVV|27828H105|US27828H1059|Eaton Vance Limited Duration Income Fund|Common Shares of Beneficial Interest Par Value $.01|Closed end fund|P|N|N|A|Y|Y|Y|Y|Y|||Brendan E. Cryan and Company, L.L.C.|CRYN|0235|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-6|TXN4-5|TXN3-6|TXN3-2|TXN4-6|116200000|||Monthly|||||2003-05-28||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||9.26|9.28|0.0|0.0|9.28|9.28|9.27|9.275|0.0|0.0|9.28|9.28|9.28|9.28|9.27|9.28|9.26|9.26|9.32|9.26|9.26|9.31|9.28|9.29|9.23|9.31|9.26|9.31|9.26|9.3|9.28|9.29|10.569|8.52|420352|75191008 17374|EVX|EVX|92189F304|US92189F3047|VanEck ETF Trust|VanEck Environmental Services ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||VanEck Vectors|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-7|TXN1-5|TXN1-5|TXN2-4|TXN1-1|490000|||Yearly|||||2008-11-21||EVX.NV|EVX.SO|EVX.EU|EVX.TC|EVX.IV| | | | | | | | | |1x|The Environmental Services ETF seeks to replicate as closely as possible, before fees and expenses, the price and yield performance of the NYSE Arca Environmental Services Index. The Index provides exposure to publicly traded companies that engage in business activities that may benefit from the global increase in demand for consumer waste disposal, removal and storage of industrial by-products, and the management of associated resources. As such, the Fund is subject to the risks of investing in this sector. AXENV is a modified equal dollar-weighted index comprised of publicly traded companies involved in management, removal and storage of consumer waste and industrial byproducts and related environmental services.|N|0|N|N|406C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||0.0|148.53|0.0|0.0|0.0|0.0|148.4198|134.11|0.0|0.0|0.0|0.0|148.53|0.0|131.2812|0.0|0.0|148.4458|0.0|148.4458|0.0|0.0|0.0|0.0|148.33|148.57|139.95|154.54|0.0|0.0|148.33|148.57|164.94|132.6902|1069|501477 75852|EVXX|EVXX|26922B626|US26922B6267|ETF Series Solutions|Defiance Pure Electric Vehicle Daily ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Defiance ETFs|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-3|TXN3-1|TXN5-8|TXN3-4|TXN3-3|95000|||Quarterly|||||2023-06-13||EVXX.NV|EVXX.SO|EVXX.EU|EVXX.TC|EVXX.IV| | | | | | | | | ||The Defiance Pure Electric Vehicle Daily ETF seeks to provide daily investment results, before fees and expenses, thattrack the performance of an equally weighted basket of common shares of the five largest (by market capitalization) electric vehiclemanufacturers, included in the Solactive Pure US Electric Vehicle Index (the Pure EV Index).|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|22.32|22.3501|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|22.2977|0.0|22.2977|22.1|22.56|0.0|0.0|22.27|22.35|22.27|22.35|0.0|0.0|22.27|22.35|32.406|19.935|3246|912938 6175|EW|EW|28176E108|US28176E1082|Edwards Lifesciences Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|J|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-4|TXN1-1|TXN2-7|TXN3-1|TXN2-4|606500000|||Adhoc|||||2000-03-27||||||| | | | | | | | | |||N|5|Y|Y|122A|USA|US|||20|2010|201020|20102015|Health Care |Health Care |Medical Equipment and Services|Medical Supplies|N||N||||||Y|0|Y||Y|1|||69.18|69.17|0.0|69.18|69.17|69.2|69.185|69.16|0.0|0.0|69.19|69.21|69.18|69.16|69.36|69.18|69.2|69.18|69.16|69.18|69.17|69.18|64.96|73.59|69.14|69.21|69.14|69.22|69.09|69.27|69.17|69.18|94.87|60.57|4426968|804472571 6176|EWA|EWA|464286103|US4642861037|iShares Inc.|iShares MSCI Australia ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-6|TXN3-1|TXN1-3|TXN1-4|TXN1-1|89200000|||BiAnnually|||||2006-10-20||EWA.NV|EWA.SO|EWA.EU|EWA.TC|EWA.IV| | | | | | | | | |1x|The iShares MSCI Australia Index Fund seeks to provide investment results that correspond generally to the price and yield performance, before fees and expenses, of publicly traded securities in the Australian market, as represented by the MSCI Australia Index. The Underlying Index consists of stocks traded primarily on the Australian Stock Exchange. Components primarily include consumer staples, financial and materials companies. The components of the Underlying Index, and the degree to which these components represent certain industries, may change over time.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||22.54|22.55|0.0|0.0|22.55|22.55|22.545|22.55|0.0|0.0|22.56|22.55|22.55|22.56|22.545|22.545|22.545|22.55|22.55|22.55|22.55|22.56|21.15|24.01|22.55|22.56|21.56|23.7|22.45|22.67|22.55|22.56|25.22|20.46|2620272|450630212 1409|EWBC|EWBC|27579R104|US27579R1041|East West Bancorp Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN6-8|TXN11-2|TXN6-8|TXN5-8|140930000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||||||66.9|66.99|0.0|66.87|66.99|66.97|66.93|66.92|0.0|0.0|66.98|66.98|66.95|66.92|65.91|66.93|66.97|66.94|66.97|66.95|66.64|67.29|62.62|70.62|66.9|67.26|66.89|67.03|66.9|66.96|66.91|66.94|80.98|33.86|1102052|284128222 6177|EWC|EWC|464286509|US4642865095|iShares Inc.|iShares MSCI Canada ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN2-6|TXN8-4|TXN4-3|TXN3-8|85800000|||BiAnnually|||||2006-10-20||EWC.NV|EWC.SO|EWC.EU|EWC.TC|EWC.IV| | | | | | | | | |1x|The iShares MSCI Canada Index Fund seeks to provide investment results that correspond generally to the price and yield performance, before fees and expenses, of publicly traded securities in the Canadian market, as measured by the MSCI Canada Index. The Underlying Index consists of stocks traded primarily on the Toronto Stock Exchange. Components primarily include energy, financial and materials companies. The components of the Underlying Index, and the degree to which these components represent certain industries, may change over time.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||35.29|35.3|0.0|35.36|35.29|35.29|35.3|35.29|0.0|0.0|35.29|35.29|35.3|35.29|35.3|35.29|35.3|35.31|35.29|35.31|35.3|35.33|33.16|37.67|35.3|35.31|33.63|37.12|35.18|35.38|35.3|35.31|36.24|31.41|1375018|423638575 71348|EWCZ|EWCZ|29882P106|US29882P1066|European Wax Center Inc|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN5-4|TXN10-7|TXN6-5|TXN5-6|50140000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4040|404010|40401030|Consumer Discretionary|Retail |Retailers |Specialty Retailers |N||N||||||Y|0|Y||||||15.325|15.32|0.0|15.29|15.31|15.315|15.32|15.325|0.0|0.0|15.33|15.4|15.31|15.335|15.41|15.31|15.33|15.32|15.24|15.31|15.17|15.47|11.7|18.8|15.17|15.46|15.28|15.34|15.29|15.34|15.31|15.34|20.7|11.97|916553|91588363 6178|EWD|EWD|464286756|US4642867562|iShares Inc.|iShares MSCI Sweden ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Pundion LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-5|TXN3-1|TXN4-2|TXN1-7|TXN3-2|8850000|||BiAnnually|||||2007-12-06||EWD.NV|EWD.SO|EWD.EU|EWD.TC|EWD.IV| | | | | | | | | |1x|EWD seeks to provide investment results that correspond generally to the price and yield performance, before fees and expenses, of publicly traded securities in the Swedish market, as measured by the MSCI Sweden Index. The Underlying Index consists of stocks traded primarily on the Stockholm Stock Exchange. Components primarily include consumer discretionary, financial and industrials companies. The components of the Underlying Index, and the degree to which these components represent certain industries, may change over time.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||36.55|36.54|0.0|0.0|36.55|36.545|36.545|36.535|0.0|0.0|36.54|36.54|36.54|36.54|36.54|36.545|0.0|36.53|0.0|36.53|36.41|36.6|36.41|36.65|36.51|36.54|36.41|36.65|36.41|36.65|36.51|36.54|37.33|30.685|157230|63429305 6180|EWG|EWG|464286806|US4642868065|iShares Inc.|iShares MSCI Germany ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN3-8|TXN9-5|TXN4-8|TXN1-8|35400000|||BiAnnually|||||2006-10-20||EWG.NV|EWG.SO|EWG.EU|EWG.TC|EWG.IV| | | | | | | | | |1x|The iShares MSCI Germany Index Fund seeks to provide investment results that correspond generally to the price and yield performance, before fees and expenses, of publicly traded securities in the German market, as measured by the MSCI Germany Index. The Underlying Index consists of stocks traded primarily on the Frankfurt Stock Exchange. Components primarily include consumer discretionary, financial and materials companies. The components of the Underlying Index, and the degree to which these components represent certain industries, may change over time.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||28.63|28.63|0.0|0.0|28.625|28.63|28.63|28.63|0.0|0.0|28.63|28.625|28.63|28.63|28.53|28.63|28.615|28.64|28.63|28.64|28.62|28.66|26.7|30.27|28.62|28.63|28.55|28.69|28.55|28.69|28.62|28.63|29.56|24.435|1327704|537623304 6181|EWH|EWH|464286871|US4642868719|iShares Inc.|iShares MSCI Hong Kong ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-7|TXN1-5|TXN8-3|TXN2-5|TXN3-3|34575000|||BiAnnually|||||2007-12-06||EWH.NV|EWH.SO|EWH.EU|EWH.TC|EWH.IV| | | | | | | | | |1x|The iShares MSCI Hong Kong Index Fund seeks to provide investment results that correspond generally to the price and yield performance, before fees and expenses, of publicly traded securities in the Hong Kong market, as measured by the MSCI Hong Kong Index. The Underlying Index consists of stocks traded primarily on the Stock Exchange of Hong Kong Limited (SEHK). Components primarily include consumer discretionary, financial and utilities companies. The components of the Underlying Index, and the degree to which these components represent certain industries, may change over time.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||16.7|16.695|0.0|0.0|16.69|16.695|16.69|16.695|0.0|0.0|16.68|16.695|16.695|16.7|16.67|16.7|16.7|16.7|16.69|16.7|16.66|16.7|15.61|17.73|16.68|16.7|15.9|17.53|16.6|16.79|16.68|16.7|22.65|16.615|1903446|612749833 6182|EWI|EWI|46434G830|US46434G8309|iShares Inc.|iShares MSCI Italy ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-4|TXN2-1|TXN6-3|TXN4-6|TXN3-5|8100000|||BiAnnually|||||2007-12-06||EWI.NV|EWI.SO|EWI.EU|EWI.TC|EWI.IV| | | | | | | | | |1x|The iShares MSCI Italy Index Fund seeks to provide investment results that correspond generally to the price and yield performance, before fees and expenses, of publicly traded securities in the Italian market, as measured by the MSCI Italy Index. The Underlying Index consists of stocks traded primarily on the Milan Stock Exchange. The Underlying Index is a free-float adjusted market capitalization weighted index with a capping methodology applied to issuer weights so that no single issuer of a component exceeds 25% of the Underlying Index weight and all issuers with weight above 5% do not exceed 50% of the Underlying Index weight. Components primarily include energy, financial and utilities companies. The components of the Underlying Index, and the degree to which these components represent certain industries, may change over time.|N|0|N|N|412C|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|1|||33.05|33.05|0.0|0.0|33.05|33.05|33.05|33.04|0.0|0.0|33.025|33.05|33.05|33.05|33.025|33.05|33.025|33.03|32.915|33.03|32.95|33.05|30.83|33.11|33.04|33.05|32.95|33.1|32.95|33.1|33.04|33.05|33.675|26.46|195613|100164922 10186|EWJ|EWJ|46434G822|US46434G8226|iShares Inc.|iShares MSCI Japan ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN4-5|TXN4-4|TXN3-3|TXN1-4|210300000|||BiAnnually|||||2007-12-06||EWJ.NV|EWJ.SO|EWJ.EU|EWJ.TC|EWJ.IV| | | | | | | | | |1x|The iShares MSCI Japan Index Fund seeks to provide investment results that correspond generally to the price and yield performance, before fees and expenses, of publicly traded securities in the Japanese market, as measured by the MSCI Japan Index. The Underlying Index consists of stocks traded primarily on the Tokyo Stock Exchange. Components primarily include consumer discretionary, financial and industrials companies. The components of the Underlying Index, and the degree to which these components represent certain industries, may change over time.|N|0|N|N|412C|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|1|||62.23|62.24|0.0|0.0|62.23|62.24|62.25|62.235|0.0|0.0|62.24|62.24|62.24|62.25|62.23|62.24|62.235|62.25|62.24|62.25|62.21|62.28|58.55|66.27|62.24|62.25|60.0|65.43|61.8|62.68|62.24|62.25|64.11|53.27|4531336|1404816192 63145|EWJV|EWJV|46435U374|US46435U3749|iShares Trust - iShares MSCI Japan Value ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN5-7|TXN12-4|TXN5-7|TXN6-5|8100000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||28.89|28.89|0.0|0.0|28.93|28.91|28.94|0.0|0.0|0.0|28.92|0.0|28.96|0.0|0.0|0.0|0.0|28.94|0.0|28.96|23.2|34.86|22.48|35.4|28.84|28.96|28.74|29.06|28.74|29.06|28.9|28.96|30.34|23.815|62326|18431147 6183|EWK|EWK|464286301|US4642863017|iShares Inc.|iShares MSCI Belgium ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Pundion LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-6|TXN3-6|TXN9-8|TXN3-8|TXN2-4|960000|||BiAnnually|||||2007-12-31||EWK.NV|EWK.SO|EWK.EU|EWK.TC|EWK.IV| | | | | | | | | |1x|The iShares MSCI Belgium Investable Market Index Fund seeks to provide investment results that correspond generally to the price and yield performance, before fees and expenses, of publicly traded securities in the Belgian market, as measured by the MSCI Belgium Investable Market Index. The Underlying Index is designed to measure broad-based equity market performance in Belgium. A capping methodology is applied that limits the weight of any single component to a maximum of 25% of the Underlying Index. Additionally, the sum of the components that individually constitute more than 5% of the weight of the Underlying Index cannot exceed a maximum of 50% of the weight of the Underlying Index in the aggregate. The Underlying Index consists of stocks traded primarily on the Brussels Stock Exchange. The Underlying Index may include large-, mid- or small-capitalization companies, and components primarily include consumer staples, financial and materials companies. The components of the Underlying Index, and the degree to which these components represent certain industries, may change over time.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|18.31|18.325|0.0|0.0|0.0|0.0|0.0|18.28|0.0|0.0|0.0|18.3044|0.0|18.3044|14.56|21.93|0.0|0.0|18.29|18.35|17.2|18.34|0.0|0.0|18.29|18.33|19.39|16.17|845|2242244 6184|EWL|EWL|464286749|US4642867497|iShares Inc.|iShares MSCI Switzerland ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-4|TXN3-3|TXN1-6|TXN2-8|TXN4-8|26875000|||BiAnnually|||||2007-12-06||EWL.NV|EWL.SO|EWL.EU|EWL.TC|EWL.IV| | | | | | | | | |1x|The iShares MSCI Switzerland Index Fund seeks to provide investment results that correspond generally to the price and yield performance, before fees and expenses, of publicly traded securities in the Swiss market, as measured by the MSCI Switzerland Index. The Underlying Index consists of stocks traded primarily on the Zurich Stock Exchange. The Underlying Index is a free-float adjusted market capitalization weighted index with a capping methodology applied to issuer weights so that no single issuer of a component exceeds 25% of the Underlying Index weight and all issuers with weight above 5% do not exceed 50% of the Underlying Index weight. Components primarily include consumer staples, financial and healthcare companies. The components of the Underlying Index, and the degree to which these components represent certain industries, may change over time.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||45.8|45.81|0.0|0.0|45.805|45.815|45.815|45.81|0.0|0.0|45.81|45.81|45.82|45.8|45.81|45.815|45.81|45.81|45.805|45.81|45.81|45.92|45.66|45.95|45.81|45.82|45.66|45.96|45.66|45.96|45.81|45.82|48.935|41.55|387924|174640446 6185|EWM|EWM|46434G814|US46434G8143|iShares Inc.|iShares MSCI Malaysia ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-3|TXN4-3|TXN9-8|TXN4-2|TXN4-1|11100000|||BiAnnually|||||2007-12-06||EWM.NV|EWM.SO|EWM.EU|EWM.TC|EWM.IV| | | | | | | | | |1x|The iShares MSCI Malaysia Index Fund seeks to provide investment results that correspond generally to the price and yield performance, before fees and expenses, of publicly traded securities in the Malaysian market, as measured by the MSCI Malaysia Index. The Underlying Index consists of stocks traded primarily on the Kuala Lumpur Stock Exchange. Components primarily include consumer staples, financial, industrials and telecommunications services companies. The components of the Underlying Index, and the degree to which these components represent certain industries, may change over time.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||21.2|21.19|0.0|0.0|21.19|21.2|21.2|21.2|0.0|0.0|21.195|21.2|21.2|21.17|21.18|21.19|21.2|21.2|21.17|21.2|21.18|21.23|19.84|22.71|21.18|21.2|20.15|22.28|21.11|21.23|21.18|21.2|24.1192|19.84|218495|72293316 6186|EWN|EWN|464286814|US4642868149|iShares Inc.|iShares MSCI Netherlands ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Pundion LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN4-8|TXN6-7|TXN3-5|TXN1-6|5150000|||BiAnnually|||||2007-12-06||EWN.NV|EWN.SO|EWN.EU|EWN.TC|EWN.IV| | | | | | | | | |1x|The iShares MSCI Netherlands Investable Market Index Fund seeks to provide investment results that correspond generally to the price and yield performance, before fees and expenses, of publicly traded securities in the Dutch market, as measured by the MSCI Netherlands Investable Market Index. The Underlying Index consists of stocks traded primarily on the Amsterdam Stock Exchange. Components primarily include consumer staples, financial and industrials companies. The components of the Underlying Index, and the degree to which these components represent certain industries, may change over time.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||42.33|42.315|0.0|42.19|42.33|42.33|42.32|42.33|0.0|0.0|42.33|42.18|42.32|42.33|42.33|42.29|0.0|42.3|42.18|42.3|42.3|42.35|42.21|42.41|42.3|42.34|42.21|42.41|42.21|42.41|42.3|42.34|45.61|36.29|156241|33252557 6187|EWO|EWO|464286202|US4642862027|iShares Inc.|iShares MSCI Austria ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-4|TXN4-3|TXN5-8|TXN3-2|TXN1-1|2500000|||BiAnnually|||||2006-10-20||EWO.NV|EWO.SO|EWO.EU|EWO.TC|EWO.IV| | | | | | | | | |1x|The iShares MSCI Austria Investable Market Index Fund seeks to provide investment results that correspond generally to the price and yield performance, before fees and expenses, of publicly traded securities in the Austrian market, as represented by the MSCI Austria Investable Market Index. The Underlying Index consists of stocks traded primarily on the Vienna Stock Exchange. The Underlying Index is a free-float adjusted market capitalization weighted index with a capping methodology applied to issuer weights so that no single issuer of a component exceeds 25% of the Underlying Index weight and all issuers with weight above 5% do not exceed 50% of the Underlying Index weight. Components primarily include energy, financial, industrials and materials companies. The components of the Underlying Index, and the degree to which these components represent certain industries, may change over time.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||21.21|21.17|0.0|0.0|21.21|21.16|21.1499|21.33|0.0|0.0|0.0|0.0|21.17|21.21|0.0|0.0|0.0|21.1753|0.0|21.1753|19.79|22.58|0.0|0.0|21.17|21.2|19.95|22.37|0.0|0.0|21.17|21.2|21.7999|18.49|9866|4773269 6188|EWP|EWP|464286764|US4642867646|iShares Inc.|iShares MSCI Spain ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-5|TXN2-7|TXN4-2|TXN3-4|TXN1-2|27000000|||BiAnnually|||||2007-12-06||EWP.NV|EWP.SO|EWP.EU|EWP.TC|EWP.IV| | | | | | | | | |1x|The iShares MSCI Spain Index Fund seeks to provide investment results that correspond generally to the price and yield performance, before fees and expenses, of publicly traded securities in the Spanish market, as measured by the MSCI Spain Index. The Underlying Index consists of stocks traded primarily on the Madrid Stock Exchange. The Underlying Index is a free-float adjusted market capitalization weighted index with a capping methodology applied to issuer weights so that no single issuer of a component exceeds 25% of the Underlying Index weight and all issuers with weight above 5% do not exceed 50% of the Underlying Index weight. Components primarily include financial, telecommunications and utilities companies. The components of the Underlying Index, and the degree to which these components represent certain industries, may change over time.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||30.71|30.705|0.0|0.0|30.71|30.71|30.72|30.71|0.0|0.0|30.715|30.71|30.72|30.71|30.71|30.71|30.71|30.71|30.69|30.71|30.7|30.81|28.63|32.54|30.72|30.73|30.7|30.81|30.68|30.81|30.72|30.73|30.8395|23.615|281137|88705609 6189|EWQ|EWQ|464286707|US4642867075|iShares Inc.|iShares MSCI France ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Pundion LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-1|TXN4-8|TXN1-4|TXN3-3|TXN3-7|22400000|||BiAnnually|||||2007-12-06||EWQ.NV|EWQ.SO|EWQ.EU|EWQ.TC|EWQ.IV| | | | | | | | | |1x|The iShares MSCI France Index Fund seeks to provide investment results that correspond generally to the price and yield performance, before fees and expenses, of publicly traded securities in the French market, as measured by the MSCI France Index. The Underlying Index consists of stocks traded primarily on the Paris Stock Exchange. Components primarily include consumer discretionary, energy, financial, healthcare and industrials companies. The components of the Underlying Index, and the degree to which these components represent certain industries, may change over time.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||37.555|37.56|0.0|0.0|37.555|37.555|37.56|37.57|0.0|0.0|37.56|37.56|37.56|37.53|37.56|37.56|37.77|37.55|37.56|37.55|37.54|37.57|35.01|39.78|37.54|37.57|37.5|37.72|37.5|37.72|37.54|37.57|39.95|32.625|342836|154704550 6190|EWS|EWS|46434G780|US46434G7806|iShares Inc.|iShares MSCI Singapore ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-6|TXN1-4|TXN7-3|TXN4-2|TXN2-3|26050000|||BiAnnually|||||2007-12-06||EWS.NV|EWS.SO|EWS.EU|EWS.TC|EWS.IV| | | | | | | | | |1x|EWS seeks to provide investment results that correspond generally to the price and yield performance, before fees and expenses, of publicly traded securities in the Singaporean equity market, as measured by the MSCI Singapore Index. The Underlying Index consists of stocks traded primarily on the Singapore Stock Exchange. Components primarily include financial, industrials and telecommunications companies. The components of the Underlying Index, and the degree to which these components represent certain industries, may change over time.|N|0|N|N|412C|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|1|||18.0|18.025|0.0|0.0|18.02|18.02|18.025|17.995|0.0|0.0|17.99|18.02|18.02|18.02|17.97|18.025|17.995|18.03|18.025|18.03|17.98|18.03|16.78|19.16|18.02|18.03|17.13|18.86|17.96|18.06|18.02|18.03|20.54|17.22|232732|99969900 6191|EWT|EWT|46434G772|US46434G7723|iShares Inc.|iShares MSCI Taiwan ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-4|TXN1-8|TXN4-3|TXN3-7|TXN3-8|73900000|||Yearly|||||2007-12-06||EWT.NV|EWT.SO|EWT.EU|EWT.TC|EWT.IV| | | | | | | | | |1x|EWT seeks to provide investment results that correspond generally to the price and yield performance, before fees and expenses, of publicly traded securities in the Taiwanese market, as measured by the MSCI Taiwan Index. The Underlying Index consists of stocks traded primarily on the Taiwan Stock Exchange. Components primarily include financial, information technology and materials companies. The components of the Underlying Index, and the degree to which these components represent certain industries, may change over time.|N|0|N|N|412C|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|1|||48.255|48.26|0.0|0.0|48.26|48.255|48.26|48.255|0.0|0.0|48.255|48.26|48.26|48.255|48.255|48.27|48.26|48.26|48.26|48.26|48.24|48.31|45.11|51.65|48.27|48.28|46.05|50.88|48.18|48.44|48.27|48.28|50.685|39.75|1860817|628308936 69980|EWTX|EWTX|28036F105|US28036F1057|Edgewise Therapeutics Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN5-6|TXN12-2|TXN5-8|TXN5-5|63460000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||6.5|6.48|0.0|6.44|6.5|6.495|6.5|6.495|0.0|0.0|6.44|6.48|6.5|6.5|6.4|6.49|0.0|6.5|6.35|6.5|6.4|6.56|4.94|7.84|6.41|6.55|6.46|6.53|6.45|6.52|6.49|6.5|11.48|5.12|537817|47168777 6192|EWU|EWU|46435G334|US46435G3341|iShares Trust|iShares MSCI United Kingdom ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-7|TXN3-6|TXN1-4|TXN4-1|TXN2-3|81700000|||BiAnnually|||||2014-09-29||EWU.NV|EWU.SO|EWU.EU|EWU.TC|EWU.IV| | | | | | | | | |1x|The iShares MSCI United Kingdom Index Fund seeks to provide investment results that correspond generally to the price and yield performance, before fees and expenses, of publicly traded securities in the British market, as measured by the MSCI United Kingdom Index. The Underlying Index consists of stocks traded primarily on the London Stock Exchange. Components primarily include consumer staples, energy and financial companies. The components of the Underlying Index, and the degree to which these components represent certain industries, may change over time.|N|0|N|N|412C|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|1|||32.61|32.61|0.0|32.56|32.61|32.61|32.61|32.61|0.0|0.0|32.61|32.61|32.605|32.605|32.61|32.61|32.585|32.61|32.61|32.61|32.6|32.63|32.5|32.7|32.6|32.61|32.5|32.7|32.5|32.7|32.6|32.61|34.045|30.0|1593457|475036104 39464|EWUS|EWUS|46429B416|US46429B4169|iShares MSCI United Kingdom Small-Cap ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-7|TXN1-6|TXN6-8|TXN2-1|TXN2-4|1350000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||32.54|32.56|0.0|0.0|0.0|32.53|32.51|32.53|0.0|0.0|0.0|0.0|32.53|0.0|32.53|0.0|0.0|32.56|0.0|32.56|30.31|34.66|0.0|0.0|32.19|32.85|30.31|34.66|0.0|0.0|32.46|32.55|34.72|28.1936|13027|1342842 26169|EWV|EWV|74348A459|US74348A4590|ProShares Trust|ProShares UltraShort MSCI Japan|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ProShares Advisors |Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-4|TXN1-2|TXN5-8|TXN4-1|TXN1-8|319913|||Quarterly|||||2008-11-12||EWV.NV|EWV.SO|EWV.EU|EWV.TC|EWV.IV| | | | | | | | | |-2x|ProShares UltraShort MSCI Japan seeks daily investment results, before fees and expenses, that correspond to twice (200%) the inverse (opposite) of the daily performance of the MSCI Japan Index. Because the value of the Index is not computed as of the close of the U.S. securities markets due to differences in trading hours between U.S. and foreign markets, correlation to the Index will be measured by comparing the daily change in the Funds net asset value per share to the performance of one or more U.S. exchange traded securities or instruments that reflect the values of the securities underlying the Index as of the close of the U.S. securities markets. This ETF seeks a return of -200% of the return of an index (target) for a single day. Due to the compounding of daily returns, returns over periods other than one day will likely differ in amount and possibly direction from the target return for the same period. Investors should monitor their ProShares holdings consistent with their strategies, as frequently as daily. For more on correlation, leverage and other risks, please read the prospectus. The MSCI Japan Index adjusts the market capitalization of index constituents for free float and targets for index inclusion 85% of free float-adjusted market capitalization in each industry group, in Japan.|N|0|N|N|416A|USA|US|EQUITY|INVERSE|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|14.1|0.0|0.0|0.0|13.35|13.34|0.0|0.0|0.0|13.34|0.0|13.37|12.991|0.0|13.389|0.0|13.3591|0.0|13.3591|13.11|13.63|0.0|0.0|13.34|13.39|13.26|13.49|13.16|13.57|13.34|13.39|18.5|12.5874|10064|2206748 6193|EWW|EWW|464286822|US4642868222|iShares Inc.|iShares MSCI Mexico ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN3-8|TXN3-2|TXN3-8|TXN1-6|26100000|||BiAnnually|||||2006-10-19||EWW.NV|EWW.SO|EWW.EU|EWW.TC|EWW.IV| | | | | | | | | |1x|The iShares MSCI Mexico Investable Market Index Fund seeks to provide investment results that correspond generally to the price and yield performance, before fees and expenses, of publicly traded securities in the Mexican market, as measured by the MSCI Mexico Investable Market Index. The Underlying Index consists of stocks traded primarily on the Mexican Stock Exchange. The Underlying Index is a free-float adjusted market capitalization weighted index with a capping methodology applied to issuer weights so that no single issuer of a component exceeds 25% of the Underlying Index weight and all issuers with weight above 5% do not exceed 50% of the Underlying Index weight. Components primarily include consumer staples, materials and telecommunications companies. The components of the Underlying Index, and the degree to which these components represent certain industries, may change over time.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||62.945|62.96|0.0|63.71|62.95|62.94|62.93|62.95|0.0|0.0|62.94|62.96|62.93|62.91|62.98|62.9|63.01|62.92|62.975|62.92|62.9|63.0|58.87|66.98|62.95|62.96|59.93|66.18|62.84|63.13|62.95|62.96|65.73|49.19|2341693|499214983 27968|EWX|EWX|78463X756|US78463X7562|SPDR Index Shares Funds|SPDR S&P Emerging Markets Small Cap ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-7|TXN4-1|TXN9-8|TXN3-8|TXN4-2|14800000|||BiAnnually|||||2008-11-07||EWX.NV|EWX.SO|EWX.EU|EWX.TC|EWX.IV| | | | | | | | | |1x|The SPDR S&P Emerging Markets small cap ETF seeks to provide investment results that, before fees and expenses, correspond generally to the total return performance of the S&P Emerging Markets Under USD2 Billion Index (ticker: SPBMKSUP). The S&P Emerging Markets Under USD2 Billion Index is a float adjusted market cap weighted index that represents the small capitalization segment of emerging countries included in the S&P Global BMI Index. The Global BMI Index captures the full universe of institutionally investable stocks in developed and emerging markets with float-adjusted market capitalizations of at least $100 million.|N|0|N|N|406C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||55.97|55.94|0.0|0.0|56.32|55.81|55.95|55.88|0.0|0.0|56.3|0.0|55.86|55.88|56.3|0.0|0.0|55.86|0.0|55.86|53.21|58.81|52.47|59.45|55.82|55.95|53.21|58.81|0.0|0.0|55.82|55.95|56.33|48.2921|31387|11326101 6194|EWY|EWY|464286772|US4642867729|iShares Inc.|iShares MSCI South Korea ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-3|TXN1-8|TXN3-5|TXN2-7|TXN3-3|60700000|||Yearly|||||2007-12-06||EWY.NV|EWY.SO|EWY.EU|EWY.TC|EWY.IV| | | | | | | | | |1x|The iShares MSCI South Korea Index Fund seeks to provide investment results that correspond generally to the price and yield performance, before fees and expenses, of publicly traded securities in the South Korean market, as measured by the MSCI Korea Index. The Underlying Index consists of stocks traded primarily on the Stock Market Division of the Korean Exchange. The Underlying Index is a free-float adjusted market capitalization weighted index with a capping methodology applied to issuer weights so that no single issuer of a component exceeds 25% of the Underlying Index weight and all issuers with weight above 5% do not exceed 50% of the Underlying Index weight. Components primarily include consumer discretionary, financial, industrials and information technology companies. The components of the Underlying Index, and the degree to which these components represent certain industries, may change over time.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||62.03|62.03|0.0|0.0|62.03|62.03|62.069|62.03|0.0|0.0|62.04|62.04|62.04|62.05|62.02|62.03|62.09|62.05|62.03|62.05|61.99|62.08|58.45|65.72|62.06|62.07|59.16|65.07|61.88|62.24|62.06|62.07|67.95|54.49|3128895|816719583 6195|EWZ|EWZ|464286400|US4642864007|iShares Inc.|iShares MSCI Brazil ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-5|TXN4-4|TXN1-3|TXN4-1|TXN2-6|165950000|||BiAnnually|||||2007-12-06||EWZ.NV|EWZ.SO|EWZ.EU|EWZ.TC|EWZ.IV| | | | | | | | | |1x|The iShares MSCI Brazil Capped Index Fund seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the MSCI Brazil 25/50 Index. The Underlying Index consists of stocks traded primarily on the BM&FBOVESPA (the Brazilian exchange). The Underlying Index is a free-float adjusted market capitalization weighted index with a capping methodology applied to issuer weights so that no single issuer of a component exceeds 25% of the Underlying Index weight and all issuers with weight above 5% do not exceed 50% of the Underlying Index weight. Components primarily include energy, financial and materials companies. The components of the Underlying Index, and the degree to which these components represent certain industries, may change over time.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||33.66|33.65|0.0|33.63|33.65|33.655|33.66|33.65|0.0|0.0|33.66|33.66|33.65|33.67|33.66|33.66|33.68|33.65|33.66|33.65|33.63|33.66|31.47|35.74|33.65|33.66|32.37|35.74|33.52|33.8|33.65|33.66|34.515|25.0|18826299|5744988679 35788|EWZS|EWZS|464289131|US4642891315|iShares MSCI Brazil Small-Cap ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN5-4|TXN12-5|TXN5-7|TXN5-4|17700000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||14.38|14.32|0.0|14.39|14.33|14.32|14.301|14.33|0.0|0.0|14.31|14.32|14.32|0.0|14.32|14.32|14.32|14.301|14.33|14.32|14.27|14.35|11.03|14.35|14.29|14.35|14.21|14.35|0.0|14.35|14.3|14.35|15.62|10.63|1385711|67094641 71895|EXAI|EXAI|30223G102|US30223G1022|EXSCIENTIA PLC|ADS||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN6-7|TXN11-7|TXN6-1|TXN5-4|122960000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||GBR||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||6.17|6.18|0.0|6.19|6.24|6.17|6.17|6.17|0.0|0.0|6.17|6.2|6.18|6.17|6.21|6.18|6.19|6.17|6.175|6.18|6.11|6.25|4.84|7.59|6.12|6.24|6.14|6.21|6.14|6.19|6.16|6.18|11.52|4.09|413227|100384136 1414|EXAS|EXAS|30063P105|US30063P1057|Exact Sciences Corporation|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN6-1|TXN14-7|TXN6-3|TXN6-2|180850000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||65.74|65.63|0.0|65.51|65.64|65.69|65.62|65.63|0.0|0.0|65.64|65.61|65.66|65.62|65.62|65.67|65.66|65.65|65.67|65.66|65.57|66.36|61.37|69.28|65.54|66.36|65.55|65.74|65.6|65.72|65.63|65.66|100.77|43.9018|1350927|426136412 6196|EXC|EXC|30161N101|US30161N1019|Exelon Corp|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN5-1|TXN13-3|TXN5-5|TXN5-2|995440000|||NotApplicable|||||||||||| | | | | | | | | |||N|1|Y|N||USA||||65|6510|651010|65101015|Utilities|Utilities|Electricity|Conventional Electricity|N||N||||||Y|0|Y||||||38.74|38.73|0.0|38.73|38.74|38.73|38.729|38.72|0.0|0.0|38.73|38.73|38.73|38.73|38.74|38.725|38.735|38.73|38.73|38.73|38.72|38.75|36.34|41.32|38.72|38.75|38.7|40.59|38.71|0.0|38.72|38.73|44.365|35.71|8158328|1458937879 1420|EXEL|EXEL|30161Q104|US30161Q1040|Exelixis Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN6-6|TXN11-1|TXN5-6|TXN5-8|310970000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||22.41|22.43|0.0|22.0|22.41|22.415|22.44|22.43|0.0|0.0|22.43|22.42|22.43|22.36|22.41|22.43|22.425|22.43|22.41|22.43|22.41|22.44|20.91|23.81|22.41|22.44|22.39|22.46|22.4|22.47|22.41|22.43|22.795|15.32|2032287|610684033 72331|EXFY|EXFY|30219Q106|US30219Q1067|Expensify Inc|COM CL A USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN6-1|TXN13-4|TXN5-6|TXN5-3|69200000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||||||2.55|2.555|0.0|2.62|2.555|2.555|2.555|2.55|0.0|0.0|2.555|2.54|2.56|2.55|2.57|2.555|2.57|2.555|2.54|2.56|2.55|2.57|1.95|3.14|2.55|2.57|2.52|2.59|2.54|2.57|2.55|2.56|11.65|1.52|461099|129482437 19096|EXG|EXG|27829F108|US27829F1084|Eaton Vance Tax-Managed Global Diversified Equity Income Fund|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN4-5|TXN5-6|TXN3-3|TXN3-6|305550000|||Monthly|||||2007-02-23||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||7.69|7.69|0.0|7.69|7.7|7.695|7.695|7.69|0.0|0.0|7.69|7.69|7.69|0.0|7.69|7.69|7.69|7.69|7.75|7.69|7.69|7.7|5.93|9.48|7.23|7.7|7.66|7.73|7.68|7.7|7.69|7.7|8.15|6.78|402224|132214760 17179|EXI|EXI|464288729|US4642887297|iShares Trust|iShares Global Industrials ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-6|TXN4-5|TXN9-5|TXN4-5|TXN4-8|4500000|||BiAnnually|||||2007-12-06||EXI.NV|EXI.SO|EXI.EU|EXI.TC|EXI.IV| | | | | | | | | |1x|The iShares S&P Global Industrials Index Fund seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the S&P Global Industrials Index. THE UNDERLYING INDEX MEASURES THE PERFORMANCE OF COMPANIES THAT S&P DEEMS TO BE PART OF THE INDUSTRIALS SECTOR OF THE ECONOMY AND THAT S&P BELIEVES ARE IMPORTANT TO GLOBAL MARKETS. IT IS A SUBSET OF THE S&P GLOBAL 1200 INDEX. COMPONENT COMPANIES INCLUDE MANUFACTURERS AND DISTRIBUTORS OF CAPITAL GOODS, PROVIDERS OF COMMERCIAL SERVICES AND SUPPLIES AND TRANSPORTATION SERVICE PROVIDERS. AS OF MAY 29, 2009, THE UNDERLYING INDEX WAS COMPRISED OF STOCKS OF COMPANIES IN THE FOLLOWING MARKETS: AUSTRALIA, BRAZIL, CANADA, CHIL, DENMARK, FINLAND, FRANCE, GERMANY, HONG KONG, IRELAND, ITALY, JAPAN, MEXICO, THE NETHERLANDS, NORWAY, PORTUGAL, SINGAPORE, SOUTH KOREA, SPAIN, SWEDEN, SWITZERLAND, THE UNITED KINGDOM AND THE UNITED STATES.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||0.0|121.1|0.0|0.0|0.0|120.89|121.06|121.2|0.0|0.0|121.17|0.0|121.1|120.73|0.0|121.17|0.0|120.98|118.9|120.98|114.8|126.5|112.7|128.67|120.92|121.11|114.8|126.5|0.0|0.0|120.92|121.11|123.6686|105.14|19966|6598194 18885|EXK|EXK|29258Y103|CA29258Y1034|Endeavour Silver Corp.|Common Shares, no par value|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|6|O|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-5|TXN4-2|TXN7-3|TXN1-4|TXN3-7|206530000|||NotApplicable|||||2011-03-14||||||| | | | | | | | | |||N|0|N|Y|130C|CAN|CA|||55|5510|551030|55103030|Basic Materials|Basic Resources|Precious Metals and Mining|Platinum and Precious Metals|N||N||||||Y|0|Y||Y|2|||2.09|2.09|0.0|2.22|2.09|2.095|2.095|2.095|0.0|0.0|2.095|2.1|2.09|2.1|2.09|2.1|2.095|2.095|2.09|2.1|2.09|2.1|1.62|2.58|2.08|2.1|2.07|2.13|2.08|2.11|2.09|2.1|4.55|1.83|5402704|565104327 17406|EXLS|EXLS|302081104|US3020811044|ExlService Holdings Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN6-3|TXN14-2|TXN6-8|TXN6-1|164920000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502050|50205020|Industrials|Industrial Goods and Services|Industrial Support Services|Professional Business Support Services|N||N||||||Y|0|Y||||||29.23|29.24|0.0|0.0|29.24|29.23|29.24|29.24|0.0|0.0|29.23|29.15|29.23|29.25|29.24|29.225|29.24|29.24|29.21|29.23|29.19|29.27|22.45|35.21|29.18|29.27|29.2|29.26|0.0|0.0|29.23|29.24|184.06|25.17|859702|125870572 6200|EXP|EXP|26969P108|US26969P1084|Eagle Materials Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|M|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN1-5|TXN3-8|TXN3-8|TXN2-5|34890000|||Quarterly|||||2006-04-12||||||| | | | | | | | | |||N|0|Y|Y|110E|USA|US|||50|5010|501010|50101030|Industrials|Construction and Materials|Construction and Materials |Cement|N||N||||||Y|0|Y||Y|1|||185.35|185.39|0.0|185.3|185.23|185.35|185.2875|185.25|0.0|0.0|185.355|181.5|185.24|185.35|184.06|185.29|181.7|185.3|181.125|185.29|185.3|185.41|173.4|196.82|183.93|186.84|184.94|185.51|185.2|185.57|185.3|185.41|195.96|129.25|207283|69758361 1424|EXPD|EXPD|302130109|US3021301094|Expeditors International of Washington, Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-6|TXN3-3|TXN1-8|TXN1-4|TXN2-2|145390000|||BiAnnually|||||2023-11-21||||||| | | | | | | | | |||N|5|Y|N|208A|USA|US|||50|5020|502060|50206060|Industrials|Industrial Goods and Services|Industrial Transportation|Transportation Services|N||N||||||Y|0|Y||Y|1|||121.97|121.86|0.0|121.8|121.96|121.86|121.81|121.87|0.0|0.0|121.855|121.87|121.76|121.79|121.87|121.81|121.82|121.76|121.87|121.81|121.82|121.83|114.15|128.86|121.75|121.87|121.71|125.84|121.73|121.85|121.82|121.83|128.045|102.75|2194705|288841659 1425|EXPE|EXPE|30212P303|US30212P3038|Expedia Group Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN5-5|TXN11-8|TXN6-4|TXN6-3|133330000|||NotApplicable|||||||||||| | | | | | | | | |||N|5|Y|N||USA||||40|4050|405010|40501015|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Travel and Tourism|N||N||||||Y|0|Y||||||139.89|139.88|0.0|139.76|139.76|139.75|139.88|139.82|0.0|0.0|139.8|139.91|139.82|139.75|139.79|139.82|139.45|139.82|139.46|139.82|139.67|139.93|131.99|148.75|139.76|139.87|139.69|140.01|139.78|140.02|139.78|139.83|141.16|82.39|1685551|594168946 61013|EXPI|EXPI|30212W100|US30212W1009|eXp World Holdings Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN5-1|TXN11-5|TXN6-3|TXN5-1|153800000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||35|3510|351010|35101015|Real Estate|Real Estate |Real Estate Investment and Services Development|Real Estate Services|N||N||||||Y|0|Y||||||13.13|13.135|0.0|13.09|13.13|13.13|13.14|13.13|0.0|0.0|13.12|13.12|13.14|13.14|13.15|13.13|13.06|13.14|0.0|13.14|13.1|13.16|10.27|16.25|13.08|13.18|13.12|13.17|13.12|13.18|13.13|13.15|25.39|9.96|776792|245587790 1430|EXPO|EXPO|30214U102|US30214U1025|Exponent Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN6-6|TXN14-7|TXN5-4|TXN6-7|50620000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5010|501010|50101015|Industrials|Construction and Materials|Construction and Materials |Engineering and Contracting Services|N||N||||||Y|0|Y||||||80.371|81.06|0.0|80.97|81.02|80.97|81.05|81.015|0.0|0.0|80.83|80.77|81.03|80.91|80.8|80.98|81.14|81.03|81.03|81.03|80.25|81.83|61.05|99.18|80.33|81.74|80.78|81.24|80.97|0.0|80.97|81.03|112.749|64.612|196642|64146258 32696|EXPR|EXPR|30219E202|US30219E2028|Express, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|R|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN2-3|TXN5-8|TXN4-2|TXN4-8|3750000|||NotApplicable|||||2010-05-13||||||| | | | | | | | | |||N|0|N|Y|146F|USA|US|||40|4040|404010|40401020|Consumer Discretionary|Retail |Retailers |Apparel Retailers|N||N||||||N|0|Y||Y|2|||8.46|8.25|0.0|0.0|8.27|8.36|8.355|8.32|0.0|0.0|8.41|8.55|8.35|8.54|0.0|8.37|0.0|8.355|0.0|8.37|8.35|8.42|6.46|10.43|8.17|8.41|8.27|8.47|8.26|8.48|8.35|8.42|10.89|0.4853|113522|251567156 6202|EXR|EXR|30225T102|US30225T1025|Extra Space Storage Inc.|Common Stock|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|8|O|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-5|TXN1-6|TXN1-8|TXN2-6|TXN4-6|211280000|||Quarterly|||||2004-08-12||||||| | | | | | | | | |||N|5|Y|Y|412A|USA|US|||35|3510|351020|35102070|Real Estate|Real Estate |Real Estate Investment Trusts|Other Specialty REITs|N||N||||||Y|0|Y||Y|1|||137.18|137.14|0.0|137.15|137.14|137.16|137.14|137.14|0.0|0.0|137.16|137.13|137.12|137.18|136.67|137.07|136.45|137.07|137.175|137.07|137.06|137.07|128.25|144.47|136.96|137.33|136.93|137.31|136.91|137.31|137.06|137.07|170.3|101.19|1226013|341901024 76201|EXTO|EXTO|02028M105|US02028M1053|Almacenes Éxito S.A.|American Depositary Share, each representing eight (8) Common Shares|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN1-7|TXN5-7|TXN2-1|TXN2-6|1297860000|||NotApplicable|||||2023-08-23||||||| | | | | | | | | |||N|0|N|Y|146D|COL|CO|||45|4520|452010|45201010|Consumer Staples |Personal Care, Drug and Grocery Stores |Personal Care, Drug and Grocery Stores |Food Retailers and Wholesalers |N||N||||||N|0|Y||Y|2|||7.04|7.04|0.0|7.0|6.99|7.0|7.02|6.985|0.0|0.0|7.04|6.99|7.02|6.99|7.04|7.01|6.98|7.04|6.98|7.01|7.0|7.04|6.97|7.05|6.99|7.08|6.97|7.05|7.01|7.06|7.01|7.04|7.18|4.8|910328|53483328 1431|EXTR|EXTR|30226D106|US30226D1063|Extreme Networks Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN5-8|TXN11-5|TXN6-3|TXN5-4|129610000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||15|1510|151010|15101010|Telecommunications|Telecommunications|Telecommunications Equipment|Telecommunications Equipment|N||N||||||Y|0|Y||||||16.31|16.31|0.0|0.0|16.31|16.3|16.3|16.3|0.0|0.0|16.31|16.3|16.3|16.23|16.31|16.305|16.31|16.3|16.32|16.3|16.29|16.31|12.61|20.01|16.29|16.32|16.27|16.34|16.27|16.32|16.3|16.31|32.73|14.6308|1409017|452171583 59960|EYE|EYE|63845R107|US63845R1077|National Vision Holdings 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NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN6-8|TXN11-6|TXN6-2|TXN5-7|35310000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103015|Health Care |Health Care |Pharmaceuticals and Biotechnology|Pharmaceuticals |N||N||||||Y|0|Y||||||18.34|18.26|0.0|18.29|18.27|18.27|18.3399|18.26|0.0|0.0|18.29|18.28|18.34|18.336|20.08|18.28|18.26|18.33|18.27|18.34|18.23|19.36|14.49|22.47|18.01|18.35|17.36|19.36|0.0|18.34|18.33|18.34|22.44|2.19|20827293|159324116 6209|EZA|EZA|464286780|US4642867802|iShares Inc.|iShares MSCI South Africa ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-1|TXN2-7|TXN8-7|TXN3-4|TXN2-2|7900000|||BiAnnually|||||2007-12-06||EZA.NV|EZA.SO|EZA.EU|EZA.TC|EZA.IV| | | | | | | | | |1x|The iShares MSCI South Africa ETF (the Fund) seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the MSCI South Africa Index (the Underlying Index). The Underlying Index consists of stocks traded primarily on the Johannesburg Stock Exchange. Components primarily include consumer discretionary, financial and materials companies. 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Because the value of the Index is not computed as of the close of the U.S. securities markets due to differences in trading hours between U.S. and foreign markets, correlation to the Index will be measured by comparing the daily change in the Funds net asset value per share to the performance of one or more U.S. exchange traded securities or instruments that reflect the values of the securities underlying the Index as of the close of the U.S. securities markets. This ETF seeks a return of 200% of the return of an index (target) for a single day. Due to the compounding of daily returns, returns over periods other than one day will likely differ in amount and possibly direction from the target return for the same period. Investors should monitor their ProShares holdings consistent with their strategies, as frequently as daily. For more on correlation, leverage and other risks, please read the prospectus. The MSCI Japan Index adjusts the market capitalization of index constituents for free float and targets for index inclusion 85% of free float-adjusted market capitalization in each industry group, in Japan.|N|0|N|N|416A|USA|US|EQUITY|LEVERAGED|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|32.06|0.0|0.0|0.0|33.79|34.85|0.0|0.0|0.0|0.0|0.0|0.0|34.739|0.0|0.0|0.0|33.803|0.0|33.803|33.12|34.52|0.0|0.0|33.66|34.19|31.43|36.24|0.0|0.0|33.66|34.19|37.7512|26.9|787|1726390 19094|EZM|EZM|97717W570|US97717W5702|WisdomTree Trust|WisdomTree U.S. MidCap Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||WisdomTree|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-6|TXN1-6|TXN2-6|TXN2-8|TXN2-8|13850000|||Quarterly|||||2008-11-20||EZM.NV|EZM.SO|EZM.EU|EZM.TC|EZM.IV| | | | | | | | | |1x|The WisdomTree U.S. MidCap Fund seeks to track the price and yield performance, before fees and expenses, of the WisdomTree U.S. MidCap Index. The Index is a fundamentally weighted index that is comprised of earnings-generating companies within the mid-capitalization segment of the U.S. stock market. The Index is comprised of the companies in the top 75% of the market capitalization of the WisdomTree U.S. Total Market Index, which defines the earnings-generating universe of companies in the U.S. stock market, after the 500 largest companies have been removed. Companies in the Index are incorporated, domiciled and listed in the U.S. and have generated positive cumulative earnings over their most recent four fiscal quarters prior to the annual Index screening date. The Index is earnings-weighted annually to reflect the proportionate share of the aggregate earnings each component company has generated. Companies with greater earnings generally have larger weights in the Index. WisdomTree Investments uses Core Earnings, computed by Standard & Poors, as the weighting metric. WisdomTree Investments, Inc. (WisdomTree Investments), as Index provider, currently uses Standard & Poors Global Industry Classification Standards (S&P GICS) to define companies within a sector. 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NVTG||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN5-8|TXN13-6|TXN5-7|TXN6-6|51750000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302010|30201020|Financials|Financial Services |Finance and Credit Services|Consumer Lending|N||N||||||Y|0|Y||||||8.75|8.76|0.0|0.0|8.76|8.75|8.755|8.755|0.0|0.0|8.76|8.76|8.76|8.72|8.64|8.76|8.755|8.755|8.72|8.76|8.75|8.78|6.62|10.63|8.75|8.77|8.72|8.78|8.72|8.77|8.75|8.76|10.675|7.695|607740|126116612 6210|EZU|EZU|464286608|US4642866085|iShares MSCI Eurozone ETF|MSCI EMU INDEX||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-7|TXN1-3|TXN9-6|TXN3-6|TXN4-3|142600000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||45.8|45.81|0.0|45.75|45.8|45.81|45.8|45.795|0.0|0.0|45.795|45.8|45.81|45.805|45.795|45.81|45.795|45.81|45.8|45.81|45.81|45.83|45.66|45.93|45.81|45.82|45.65|45.93|45.65|45.93|45.81|45.82|47.28|39.12|1716000|719111832 6212|F|F|345370860|US3453708600|Ford Motor Company|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|M|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-6|TXN4-3|TXN4-8|TXN3-6|TXN4-2|3932100000|||Quarterly|||||1956-03-07||||||| | | | | | | | | |||N|1|Y|Y|132A|USA|US|||40|4010|401010|40101020|Consumer Discretionary|Automobiles and Parts|Automobiles and Parts|Automobiles|N||N||||||Y|0|Y||Y|1|||10.7|10.71|0.0|10.71|10.7|10.705|10.705|10.705|0.0|0.0|10.7|10.71|10.7|10.7|10.71|10.7|10.71|10.71|10.71|10.7|10.7|10.71|10.02|10.79|10.7|10.71|10.67|10.73|10.7|10.73|10.7|10.71|15.42|9.63|54196099|13626391534 63863|F PRB|FpB|345370845|US3453708451|Ford Motor Company|6.20% Notes due June 1, 2059|Operating company|G|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN1-7|TXN6-8|TXN1-2|TXN3-5|30000000|||Quarterly|||||2019-06-18|2059-06-01|||||| | | | | | | | | |||N|0|N|N|132A||US|||||||||||N||N||||||N|0|Y||Y|2|||24.43|24.45|0.0|22.65|24.49|24.49|24.42|24.44|0.0|0.0|24.45|24.45|24.47|0.0|0.0|24.44|24.45|24.43|0.0|24.44|24.44|24.49|18.92|29.98|24.02|24.52|18.92|29.98|24.3|24.65|24.44|24.49|25.23|20.07|60073|12052392 65275|F PRC|FpC|345370837|US3453708378|Ford Motor Company|6.000% Notes due December 1, 2059|Operating company|G|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN1-3|TXN7-8|TXN1-4|TXN2-7|32000000|||Quarterly|||||2019-12-23|2059-12-01|||||| | | | | | | | | |||N|0|N|N|132A||US|||||||||||N||N||||||N|0|Y||Y|2|||23.77|23.75|0.0|23.81|0.0|23.77|23.77|23.79|0.0|0.0|0.0|0.0|23.79|23.75|22.435|23.78|0.0|23.77|0.0|23.78|23.73|23.83|18.27|29.33|23.5|23.96|18.27|29.33|0.0|0.0|23.73|23.83|24.8996|19.8|53580|11332843 74531|F PRD|FpD|345370811|US3453708113|Ford Motor Company|6.500% Notes due August 15, 2062|Operating company|G|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN1-5|TXN9-8|TXN1-5|TXN2-4|24000000|||Quarterly|||||2022-08-26|2062-08-08|||||| | | | | | | | | |||N|0|N|N|132A||US|||||||||||N||N||||||N|0|Y||Y|2|||23.77|23.7|0.0|23.58|23.75|23.79|23.81|23.67|0.0|0.0|23.85|0.0|23.84|23.7|23.67|23.77|23.7|23.77|23.23|23.77|23.76|23.86|18.41|29.25|23.63|24.34|18.41|29.25|0.0|0.0|23.76|28.63|24.75|20.1|83743|16598135 70950|FA|FA|31846B108|US31846B1089|First Advantage Corp|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN6-3|TXN13-5|TXN5-5|TXN5-7|145120000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502050|50205020|Industrials|Industrial Goods and Services|Industrial Support Services|Professional Business Support Services|N||N||||||Y|0|Y||||||0.0|15.87|0.0|15.87|15.85|15.85|15.88|15.865|0.0|0.0|15.83|15.86|15.88|15.86|15.91|15.86|15.84|15.86|15.77|15.88|15.7|16.0|12.2|19.47|15.83|15.9|15.85|15.89|15.83|15.9|15.85|15.88|16.1|11.9|249630|73360789 53130|FAAR|FAAR|33740Y101|US33740Y1010|First Trust Alternative Absolute Return Strategy ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN6-8|TXN14-1|TXN5-3|TXN6-6|5800002|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|27.71|0.0|0.0|0.0|0.0|27.77|27.7|0.0|0.0|0.0|0.0|27.78|0.0|0.0|0.0|0.0|27.71|0.0|27.78|0.0|0.0|27.69|27.78|27.63|27.78|27.69|27.78|27.69|27.78|27.69|27.78|31.13|25.8501|13489|7719592 24507|FAB|FAB|33733C108|US33733C1080|First Trust Multi Cap Value AlphaDEX Fund|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN5-3|TXN10-8|TXN6-2|TXN5-4|2200002|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||73.78|0.0|0.0|0.0|0.0|0.0|73.99|0.0|0.0|0.0|0.0|0.0|74.08|0.0|0.0|74.1|0.0|73.99|0.0|74.08|0.0|0.0|73.99|74.28|74.08|74.23|73.99|74.33|73.95|74.33|74.08|74.23|79.5508|64.89|1750|3737310 24506|FAD|FAD|33733F101|US33733F1012|First Trust Multi Cap Growth AlphaDEX Fund|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN6-5|TXN14-1|TXN5-7|TXN5-3|1550002|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||0.0|0.0|0.0|0.0|106.06|0.0|106.475|106.06|0.0|0.0|0.0|0.0|106.6|106.06|0.0|0.0|0.0|106.63|0.0|106.6|0.0|0.0|106.43|106.93|106.43|106.87|106.39|106.93|106.39|106.88|106.59|106.82|109.74|92.035|2819|880431 6219|FAF|FAF|31847R102|US31847R1023|First American Financial Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|T|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-7|TXN3-4|TXN2-8|TXN2-1|TXN2-1|103180000|||Quarterly|||||2010-05-24||||||| | | | | | | | | |||N|0|Y|Y|408A|USA|US|||30|3030|303020|30302025|Financials|Insurance|Non-life Insurance|Property and Casualty Insurance|N||N||||||Y|0|Y||Y|1|||61.78|61.78|0.0|61.48|61.76|61.76|61.745|61.755|0.0|0.0|61.71|61.75|61.77|61.77|61.78|61.77|61.78|61.77|61.39|61.77|61.76|61.77|57.17|64.94|61.66|61.82|61.7|64.69|61.74|61.81|61.76|61.77|64.66|49.55|538533|140838753 52528|FAIL|FAIL|132061805|US1320618051|Cambria Global Tail Risk ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN4-4|TXN1-5|TXN3-3|TXN1-5|150000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|17.87|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|17.87|0.0|17.87|0.0|0.0|0.0|0.0|17.43|18.05|0.0|0.0|0.0|0.0|17.69|18.05|20.64|17.61|156|135062 53358|FALN|FALN|46435G474|US46435G4745|iShares Fallen Angels USD Bond ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN6-3|TXN12-5|TXN5-6|TXN6-2|57300000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||25.895|25.9|0.0|0.0|25.895|25.895|25.891|25.895|0.0|0.0|25.895|25.895|25.9|25.895|25.87|25.895|25.895|25.891|25.865|25.9|25.89|25.94|25.8|26.12|25.89|25.9|25.8|26.12|25.85|26.12|25.89|25.9|25.95|24.12|754606|262229836 6221|FAM|FAM|337319107|US3373191077|First Trust/abrdn Global Opportunity Income Fund|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN2-7|TXN9-8|TXN1-1|TXN2-6|10140000|||Monthly|||||2004-11-24||||||| | | | | | | | | |||N|0|N|N|406B|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||5.74|6.0|0.0|0.0|6.01|6.01|6.02|6.03|0.0|0.0|6.0|0.0|5.99|6.03|0.0|5.99|6.05|5.99|0.0|5.99|5.97|5.99|4.66|7.42|5.58|6.39|4.66|7.27|0.0|0.0|5.97|5.99|6.56|5.375|37952|7837108 60678|FAMI|FAMI|G33277131|KYG332771313|Farmmi Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN5-4|TXN12-8|TXN6-3|TXN6-2|5930000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||45|4510|451020|45102010|Consumer Staples |Food, Beverage and Tobacco |Food Producers|Farming, Fishing, Ranching and Plantations|N||N||||||N|0|Y||||||0.0|1.24|0.0|0.0|0.0|0.0|1.22|0.0|0.0|0.0|1.23|0.0|1.22|0.0|0.0|0.0|0.0|1.22|0.0|1.22|1.15|1.3|0.968|1.5|1.15|1.3|0.976|1.5|0.0|0.0|1.21|1.23|1.8999|0.21|12266|60643621 28248|FAN|FAN|33736G106|US33736G1067|First Trust Exchange-Traded Fund II|First Trust Global Wind Energy ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||First Trust|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-4|TXN3-3|TXN9-8|TXN4-7|TXN4-6|13300002|||Quarterly|||||2008-06-18||FAN.NV|FAN.SO|FAN.EU|FAN.TC|FAN.IV| | | | | | | | | |1x|First Trust ISE Global Wind Energy Index Fund is an exchange-traded fund. The investment objective of the Fund is to seek investment results that correspond generally to the price and yield, before the Funds fees and expenses, of an equity index called the ISE Global Wind Energy Index. This exchange-traded fund seeks investment results that correspond generally to the price and yield (before the Funds fees and expenses) of the ISE Global Wind Energy Index. The index is constructed as follows: Companies in the index universe that are identified as providing goods and services exclusively to the wind energy industry are given an aggregate weight of 66.67% of the index. Those companies determined to be significant participants in the wind energy industry despite not being exclusive to such industry are given an aggregate weight of 33.33% of the index. This weighting is done to ensure that companies that are exclusive to the wind energy industry, which generally have smaller market capitalizations relative to their multi-industry counterparts, are adequately represented in the index. The index uses a modified market capitalization weighted methodology for each group of companies. The methodology organizes the companies into quintiles based upon their market capitalization. The quintiles containing larger market capitalization companies receive a higher weight than those quintiles containing small market capitalization companies. The resulting weight distribution prevents a few large companies from dominating the index while allowing smaller companies to adequately influence index performance. The companies are equally-weighted within each quintile. The component security must be actively engaged in some aspect of the wind energy industry such as the development or management of a wind farm, the production or distribution of electricity generated by wind power, involvement in the design, manufacture or distribution of machinery or materials designed specifically for the wind energy industry. Each component security must have a market capitalization of at least $100 million and meet certain investability requirements. The index is reconstituted and rebalanced semi-annually.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||15.2|15.17|0.0|0.0|15.18|15.2|15.23|15.18|0.0|0.0|15.2|15.16|15.22|15.168|0.0|15.2|15.2|15.23|0.0|15.23|11.85|18.92|11.85|18.92|15.18|15.23|11.85|15.26|15.11|15.26|15.18|15.23|18.7699|13.21|67229|15010722 40843|FANG|FANG|25278X109|US25278X1090|Diamondback Energy Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN6-3|TXN10-7|TXN5-3|TXN6-4|178990000|||NotApplicable|||||||||||| | | | | | | | | |||N|5|Y|N||USA||||60|6010|601010|60101010|Energy|Energy|Oil, Gas and Coal|Oil: Crude Producers|N||N||||||Y|0|Y||||||153.84|153.9|0.0|153.91|153.91|153.85|153.862|153.84|0.0|0.0|153.9|153.9|153.86|153.83|153.84|153.855|153.9|153.87|153.84|153.86|153.72|153.98|143.12|163.2|153.78|153.97|153.75|153.94|0.0|0.0|153.86|153.87|171.395|119.01|1372976|473522958 26093|FANH|FANH|30712A103|US30712A1034|Fanhua Inc|ADR||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN6-8|TXN13-7|TXN6-4|TXN5-6|1158910000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||30|3030|303010|30301010|Financials|Insurance|Life Insurance|Life Insurance|N||N||||||Y|0|Y||||||0.0|6.55|0.0|0.0|0.0|6.44|6.4628|6.44|0.0|0.0|0.0|0.0|6.44|0.0|0.0|0.0|0.0|6.4628|0.0|6.4628|6.24|7.0|0.0|0.0|6.44|6.76|5.29|7.98|0.0|0.0|6.44|6.66|9.54|5.645|8810|8233060 70282|FAPR|FAPR|33740U885|US33740U8852|FT Cboe Vest U.S. Equity Buffer ETF - April|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-5|TXN1-2|TXN6-8|TXN4-6|TXN1-3|12100000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|33.9152|0.0|0.0|0.0|0.0|33.8896|0.0|0.0|0.0|0.0|0.0|33.9|0.0|0.0|0.0|0.0|33.9152|33.81|33.9152|33.88|35.59|31.69|34.01|33.88|33.97|33.86|34.01|33.86|34.01|33.88|33.97|34.1|28.85|2297|11676882 1442|FARM|FARM|307675108|US3076751086|Farmer Bros Co|COM USD1||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN5-5|TXN10-4|TXN6-5|TXN6-5|20750000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||45|4510|451010|45101020|Consumer Staples |Food, Beverage and Tobacco |Beverages|Soft Drinks|N||N||||||Y|0|Y||||||3.32|3.29|0.0|0.0|3.3|3.3|3.28|3.1|0.0|0.0|3.27|3.14|3.27|3.25|3.26|3.21|0.0|3.28|3.1|3.27|3.16|3.43|2.55|4.1|3.2|3.34|3.25|3.35|3.24|3.31|3.27|3.31|5.445|1.75|169183|142039244 1443|FARO|FARO|311642102|US3116421021|FARO Technologies Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN6-1|TXN11-3|TXN6-7|TXN5-6|18950000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502020|50202025|Industrials|Industrial Goods and Services|Electronic and Electrical Equipment|Electronic Equipment: Gauges and Meters|N||N||||||Y|0|Y||||||19.3|19.25|0.0|19.28|19.2|19.23|19.27|19.24|0.0|0.0|19.25|19.24|19.24|19.12|19.13|19.28|19.17|19.25|19.3|19.24|19.04|19.42|14.85|23.49|19.06|19.42|19.18|19.32|19.17|19.33|19.24|19.27|36.74|10.3|113701|57680770 29277|FAS|FAS|25459Y694|US25459Y6941|Direxion Shares ETF Trust|Direxion Daily Financial Bull 3X Shares|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Direxion Shares|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-6|TXN1-6|TXN7-7|TXN4-8|TXN4-4|24949289|||Quarterly|||||2009-07-08||FAS.NV|FAS.SO|FAS.EU|FAS.TC|FAS.IV| | | | | | | | | |3x|The Financial Bull 3X Shares seeks daily investment results, before fees and expenses, of 300% of the price performance of the Russell 1000 Financial Services Index (Financial Index). There is no guarantee the fund will meet its stated investment objective.The Russell 1000 Financial Services Index is a capitalization-weighted index of companies that provide financial services. As of April 30, 2008, the Index had 227 components, derived from the Russell 1000 Index with an average market capitalization of over $11 billion dollars and a median market capitalization of $4.4 billion dollars.|N|0|N|N|416A|USA|US|EQUITY|LEVERAGED|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||73.35|73.28|0.0|0.0|73.37|73.3|73.25|73.34|0.0|0.0|73.35|73.4|73.25|72.33|73.38|73.36|73.25|73.25|71.5|73.25|72.83|73.75|55.96|90.47|73.23|73.37|68.89|76.22|73.0|73.6|73.26|73.59|92.29|48.73|586044|286322751 1444|FAST|FAST|311900104|US3119001044|Fastenal Co|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN5-4|TXN14-3|TXN6-5|TXN6-2|571410000|||NotApplicable|||||||||||| | | | | | | | | |||N|5|Y|N||USA||||55|5510|551020|55102015|Basic Materials|Basic Resources|Industrial Metals and Mining|Metal Fabricating|N|Y|N||||||Y|0|Y||||||60.97|60.97|0.0|60.91|60.96|60.985|60.97|60.97|0.0|0.0|60.97|60.97|60.97|60.98|60.86|60.97|60.86|60.97|60.87|60.97|60.93|61.0|57.02|64.46|60.95|60.97|60.92|61.01|60.92|61.02|60.96|60.97|61.25|45.7|2763225|750434277 59932|FAT|FAT|30258N105|US30258N1054|Fat Brands Inc|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN6-2|TXN12-4|TXN5-1|TXN5-7|15520000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4050|405010|40501040|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Restaurants and Bars|N||N||||||N|0|Y||||||5.96|5.95|0.0|0.0|0.0|5.95|5.93|6.0|0.0|0.0|5.98|0.0|6.09|0.0|0.0|6.0|0.0|5.95|0.0|5.95|0.0|0.0|0.0|0.0|5.72|6.25|0.0|0.0|0.0|0.0|5.95|6.1|7.9715|4.73|31704|4052301 71502|FATBB|FATBB|30258N600|US30258N6004|Fat Brands Inc|COM CL B||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN6-6|TXN10-7|TXN5-8|TXN6-5|1270000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4050|405010|40501040|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Restaurants and Bars|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|5.26|0.0|5.73|0.0|0.0|0.0|0.0|5.31|5.73|0.0|0.0|0.0|5.26|0.0|5.26|4.06|6.9|0.0|0.0|4.99|5.98|4.06|6.9|0.0|0.0|5.25|5.75|8.9599|5.0|798|611264 66977|FATBP|FATBP|30258N501|US30258N5014|Fat Brands Inc|PFD 8.25||B|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN5-1|TXN13-5|TXN6-4|TXN5-5|7380000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4050|405010|40501040|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Restaurants and Bars|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|15.5|0.0|0.0|0.0|15.69|0.0|15.54|0.0|0.0|0.0|0.0|15.41|0.0|15.41|0.0|0.0|0.0|0.0|15.41|15.85|0.0|0.0|0.0|0.0|15.41|15.54|19.0|13.96|4440|2189284 66978|FATBW|FATBW|30258N121|US30258N1211|Fat Brands Inc|WT EXP 063025||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN6-5|TXN13-5|TXN5-6|TXN5-2|16770000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|3.02|0.0|0.0|0.0|0.0|3.02|0.0|3.02|0.0|0.0|0.0|0.0|2.82|0.0|0.0|0.0|0.0|0.0|2.82|4.25|5.6|2.03|309|415282 42685|FATE|FATE|31189P102|US31189P1021|Fate Therapeutics Inc|COM USD0.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN5-3|TXN10-6|TXN6-8|TXN6-6|98600000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||2.55|2.54|0.0|2.54|2.55|2.545|2.545|2.545|0.0|0.0|2.545|2.55|2.54|2.54|2.55|2.545|2.545|2.54|2.54|2.54|2.51|2.55|1.98|3.14|2.51|2.55|2.51|2.58|2.5|2.56|2.54|2.55|21.1|1.63|968358|613888741 69995|FATH|FATH|31189Y202|US31189Y2028|Fathom Digital Manufacturing Corporation|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|Q|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN4-4|TXN2-8|TXN1-4|TXN1-8|3510000|||NotApplicable|||||2021-03-29||||||| | | | | | | | | |||N|0|N|Y|408A|USA|KY|||50|5020|502050|50205020|Industrials|Industrial Goods and Services|Industrial Support Services|Professional Business Support Services|N||N||||||N|2|Y||Y|2|||4.61|4.95|0.0|0.0|0.0|5.25|5.301|4.44|0.0|0.0|5.19|4.55|5.3|4.15|0.0|5.19|0.0|5.301|0.0|5.19|4.9|5.19|0.0|0.0|4.8|5.3|0.0|0.0|0.0|0.0|4.9|5.19|7.92|0.26|19548|20086390 64970|FAUG|FAUG|33740F862|US33740F8620|FT Cboe Vest U.S. Equity Buffer ETF - Aug|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN4-1|TXN7-7|TXN4-8|TXN4-8|15380000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||39.39|39.38|0.0|0.0|0.0|39.29|39.38|0.0|0.0|0.0|0.0|0.0|39.29|39.29|39.29|0.0|0.0|39.38|39.28|39.38|36.66|42.1|36.66|39.45|39.29|39.39|39.28|39.45|39.31|39.39|39.31|39.39|39.8|34.22|11140|17023296 6222|FAX|FAX|003009107|US0030091070|abrdn Asia-Pacific Income Fund, Inc.|Common Stock|Closed end fund|P|N|N|A|Y|Y|Y|Y|Y|||J. Streicher & Co. L.L.C.|JSCO|3856|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-3|TXN1-1|TXN2-6|TXN2-5|TXN3-3|247700000|||Monthly|||||1986-04-16||||||| | | | | | | | | |||N|0|N|N|406C|SGP|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||2.75|2.75|0.0|2.75|2.74|2.745|2.7497|2.745|0.0|0.0|2.745|2.73|2.75|2.74|2.75|2.745|2.74|2.74|2.74|2.74|2.74|2.81|2.73|2.75|2.74|2.79|2.72|2.76|2.74|2.75|2.74|2.79|2.92|2.33|1389232|172150074 29278|FAZ|FAZ|25460E240|US25460E2404|Direxion Shares ETF Trust|Direxion Daily Financial Bear 3X Shares|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Direxion Shares|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-4|TXN1-7|TXN4-3|TXN2-2|TXN1-8|9203350.01|||Quarterly|||||2011-02-23||FAZ.NV|FAZ.SO|FAZ.EU|FAZ.TC|FAZ.IV| | | | | | | | | |-3x|The Financial Bear 3X Shares seeks daily investment results, before fees and expenses, of 300% of the inverse (or opposite) of the price performance of the Russell 1000 Financial Services Index (Financial Index). There is no guarantee the fund will meet its stated investment objective.The Russell 1000 Financial Services Index is a capitalization-weighted index of companies that provide financial services. 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A||B|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN5-2|TXN10-4|TXN5-4|TXN6-2|3430000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|12.75|12.7499|0.0|0.0|0.0|12.75|12.75|13.29|12.42|0.0|0.0|0.0|12.95|0.0|12.95|0.0|0.0|0.0|0.0|11.89|14.58|0.0|0.0|0.0|0.0|12.73|13.68|20.8906|6.4|19503|3685322 1454|FBIZ|FBIZ|319390100|US3193901002|First Business Financial Services Inc|COM 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NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN6-6|TXN13-4|TXN5-5|TXN6-6|41090000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||||||33.4|33.57|0.0|33.57|33.55|33.42|33.57|33.57|0.0|0.0|33.61|33.54|33.55|0.0|33.09|33.43|33.47|33.55|33.43|33.55|33.29|33.93|25.57|41.27|33.3|33.91|33.46|33.61|33.45|33.62|33.53|33.55|48.54|26.0|192579|44135913 46126|FBND|FBND|316188309|US3161883091|Fidelity Merrimack Street Trust|Fidelity Total Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Fidelity SelectCo|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN1-4|TXN4-6|TXN3-8|TXN2-1|138352000|||Monthly|||||2014-10-09||FBND.NV|FBND.SO|FBND.EU|FBND.TC|FBND.IV| | | | | | | | | ||The fund seeks a high level of current income, normally investing at least 80% of assets in debt securities of all types and repurchase agreements for those securities.|N|0|N|N|416A|HKG|US|FIXED_INCOME|ACTIVE|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||44.7|44.71|0.0|44.74|44.69|44.71|44.715|44.73|0.0|0.0|44.72|44.68|44.71|44.69|44.86|44.72|0.0|44.71|44.67|44.71|42.5|47.09|41.9|47.62|44.7|44.71|41.9|47.62|43.79|45.59|44.7|44.71|46.9599|42.4499|886451|185440570 75841|FBOT|FBOT|316092170|US3160921702|Fidelity Disruptive Automation ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN5-5|TXN11-4|TXN6-7|TXN6-8|4310000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||0.0|0.0|0.0|0.0|0.0|23.65|23.64|0.0|0.0|0.0|23.65|0.0|23.63|0.0|0.0|0.0|0.0|23.65|0.0|23.63|0.0|0.0|0.0|0.0|23.53|23.85|0.0|0.0|0.0|0.0|23.64|23.72|26.5|20.72|19391|1984083 6233|FBP|FBP|318672706|PR3186727065|First BanCorp.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-6|TXN4-3|TXN8-1|TXN3-7|TXN3-7|172550000|||Quarterly|||||2011-01-07||||||| | | | | | | | | |||N|0|N|Y|402B|USA|PR|||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||Y|2|||15.89|15.91|0.0|15.8|15.9|15.895|15.908|15.895|0.0|0.0|15.905|15.905|15.91|15.9|15.895|15.91|15.85|15.91|15.87|15.91|15.9|15.91|11.93|19.41|15.9|15.92|15.88|15.93|15.87|15.93|15.9|15.91|15.91|10.1799|1308088|298737724 72069|FBRT|FBRT|35243J101|US35243J1016|Franklin BSP Realty Trust, Inc.|Common Stock|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-6|TXN1-3|TXN7-4|TXN1-3|TXN3-2|82070000|||Quarterly|||||2021-10-19||||||| | | | | | | | | |||N|0|N|Y|414A|USA|US|||30|3020|302030|30203020|Financials|Financial Services |Mortgage Real Estate Investment Trusts|Mortgage REITs: Residential|N||N||||||Y|0|Y||Y|2|||13.54|13.68|0.0|13.57|13.68|13.675|13.69|13.68|0.0|0.0|13.68|13.65|13.69|13.41|13.37|13.69|13.37|13.69|13.64|13.69|13.68|13.69|10.32|16.51|13.65|13.72|13.66|13.71|13.65|13.72|13.68|13.69|14.92|11.08|204055|68642044 72070|FBRT PRE|FBRTpE|35243J200|US35243J2006|Franklin BSP Realty Trust, Inc.|7.50% Series E Cumulative Redeemable Preferred Stock|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN3-7|TXN1-5|TXN1-1|TXN4-1|10330000|||Quarterly|||||2021-10-19||||||| | | | | | | | | |||N|0|N|N|414A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|19.45|0.0|0.0|0.0|19.97|19.97|19.55|0.0|0.0|19.89|19.38|19.94|0.0|0.0|19.93|19.89|19.93|0.0|19.93|19.87|19.97|19.9|19.97|19.47|20.29|0.0|0.0|0.0|0.0|19.87|19.97|21.5827|17.76|24750|4967577 57029|FBRX|FBRX|34962G109|US34962G1094|Forte Biosciences Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-1|TXN6-3|TXN12-6|TXN5-3|TXN6-5|36340000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||0.5|0.0|0.0|0.0|0.0|0.5|0.5|0.4951|0.0|0.0|0.5|0.0|0.491|0.0|0.0|0.0|0.0|0.5|0.0|0.5|0.4655|0.5229|0.3748|0.5976|0.4803|0.5098|0.4655|0.5229|0.0|0.0|0.49|0.5|1.2899|0.38|16505|13511635 16734|FBT|FBT|33733E203|US33733E2037|First Trust Exchange-Traded Fund|First Trust NYSE Arca Biotechnology Index Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||First Trust|RBC Capital Markets, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN2-1|TXN8-8|TXN2-1|TXN1-2|8200002|||Quarterly|||||2008-11-06||FBT.NV|FBT.SO|FBT.EU|FBT.TC|FBT.IV| | | | | | | | | |1x|The First Trust NYSE Arca Biotechnology Index Fund is and exchange-traded index fund. The investment objective of the fund is to replicate as closely as possible, before fees and expenses, the price and yield of the NYSE Arca Biotechnology Index. The NYSE Arca Biotechnology Index is an equal dollar weighted index designed to measure the performance of a cross section of companies in the biotechnology industry that are primarily involved in the use of biological processes to develop products or provide services. Such processes include, but are not limited to, recombinant DNA technology, molecular biology, genetic engineering, monoclonal antibody-based technology, lipid/liposome technology, and genomics. 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031626||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-5|TXN5-3|TXN11-2|TXN5-8|TXN5-2|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y|D|||||0.0|0.61|0.0|0.0|0.0|0.62|0.0|0.0|0.0|0.0|0.63|0.63|0.0|0.0|0.0|0.0|0.0|0.61|0.0|0.61|0.0|0.0|0.0|0.0|0.46|0.0|0.0|0.0|0.0|0.0|0.46|0.7|0.9975|0.32|3000|785169 37784|FBZ|FBZ|33737J133|US33737J1337|First Trust Brazil AlphaDEX Fund|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN5-3|TXN10-5|TXN6-7|TXN6-1|550002|||NotApplicable|||||||||||| | | | | | 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Streicher & Co. L.L.C.|JSCO|3856|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN4-1|TXN4-8|TXN1-6|TXN1-5|12540000|||Monthly|||||2004-11-04||||||| | | | | | | | | |||N|0|N|N|406C|GBR|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||6.1|6.18|0.0|0.0|6.17|6.15|6.17|6.18|0.0|0.0|6.17|6.13|6.095|6.11|0.0|0.0|6.17|6.17|0.0|6.17|4.72|7.48|6.1|6.17|6.13|6.3|4.72|7.48|0.0|0.0|6.13|6.3|6.49|4.53|39237|13018874 42942|FCOM|FCOM|316092873|US3160928731|Fidelity Covington Trust|Fidelity MSCI Communication Services Index ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Fidelity SelectCo|Latour Trading, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-5|TXN1-1|TXN4-7|TXN4-4|TXN4-1|20000000|||Quarterly|||||2013-10-24||FCOM.NV|FCOM.SO|FCOM.EU|FCOM.TC|FCOM.IV| | | | | | | | | |1x|The Fidelity MSCI Communications Services Index ETF seeks to provide investment returns that correspond, before fees and expenses, generally to the performance of the MSCI USA IMI Communication Services 25/50 Index.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||42.17|42.16|0.0|0.0|42.14|42.15|42.145|42.15|0.0|0.0|42.17|42.15|42.14|42.17|42.17|42.14|41.99|42.16|0.0|42.16|42.14|42.23|42.07|42.21|42.14|42.16|42.07|42.22|42.07|42.21|42.14|42.16|43.19|30.1521|143594|25704893 46124|FCOR|FCOR|316188101|US3161881012|Fidelity Merrimack Street Trust|Fidelity Corporate Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Fidelity SelectCo|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN4-4|TXN8-8|TXN2-6|TXN3-5|4300000|||Monthly|||||2014-10-09||FCOR.NV|FCOR.SO|FCOR.EU|FCOR.TC|FCOR.IV| | | | | | | | | ||The fund seeks a high level of current income, normally investing at least 80% of assets in investment-grade corporate bonds and other corporate debt securities and repurchase agreements for those securities.|N|0|N|N|416A|HKG|US|FIXED_INCOME|ACTIVE|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||45.57|45.41|0.0|0.0|45.43|45.405|45.41|45.43|0.0|0.0|45.37|0.0|45.37|45.52|0.0|0.0|0.0|45.41|45.56|45.41|44.91|45.92|34.88|56.26|45.4|45.45|42.25|48.63|0.0|0.0|45.39|45.45|47.4132|42.57|62144|7252624 64971|FCPI|FCPI|316092386|US3160923864|Fidelity Stocks for Inflation ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-8|TXN1-4|TXN6-7|TXN4-5|TXN1-7|3900000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||33.89|33.89|0.0|0.0|33.74|33.885|33.88|33.89|0.0|0.0|33.87|0.0|33.87|33.87|0.0|33.89|0.0|33.89|0.0|33.89|33.88|33.94|33.83|34.0|33.89|33.95|33.82|34.01|33.83|34.0|33.89|33.95|34.11|29.7|61245|6333685 51795|FCPT|FCPT|35086T109|US35086T1097|Four Corners Property Trust, Inc.|Common Stock|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-2|TXN2-4|TXN6-7|TXN2-3|TXN2-2|90570000|||Quarterly|||||2015-10-29||||||| | | | | | | | | |||N|0|N|Y|412A|USA|US|||35|3510|351020|35102070|Real Estate|Real Estate |Real Estate Investment Trusts|Other Specialty REITs|N||N||||||Y|0|Y||Y|2|||24.4|24.42|0.0|24.4|24.42|24.425|24.41|24.425|0.0|0.0|24.42|24.46|24.415|24.43|24.4|24.42|24.46|24.43|24.4|24.42|24.42|24.43|18.93|29.92|24.39|24.47|24.39|24.44|24.38|24.44|24.42|24.43|29.3|20.51|862353|114989726 70746|FCRX|FCRX|225655208|US2256552082|Crescent Capital BDC, Inc.|5.00% Notes due 2026|Operating company|G|N|N|N|Y|Y|Y|Y|Y|6|H|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN3-2|TXN3-8|TXN4-1|TXN1-7|4460000|||Quarterly|||||2023-03-10|2026-12-31|||||| | | | | | | | | |||N|0|N|N|408A||US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|24.0|0.0|0.0|0.0|23.59|0.0|0.0|0.0|0.0|0.0|0.0|23.5|0.0|0.0|23.6|0.0|23.6|0.0|23.6|23.5|23.73|23.5|23.73|23.03|24.2|0.0|0.0|0.0|0.0|23.5|23.73|24.4|22.0|373|1313180 72958|FCSH|FCSH|31423L107|US31423L1070|Federated Hermes ETF Trust|Federated Hermes Short Duration Corporate ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Federated Hermes|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-6|TXN2-1|TXN1-5|TXN1-4|TXN3-3|1130004|||Monthly|||||2021-12-16||FCSH.NV|FCSH.SO|FCSH.EU|FCSH.TC| | | | | | | | | | |1x|The index is composed of investment grade bonds with maturities of one to five years. The fund will generally maintain duration between 1.5 and 3.5 years and may invest up to 10% of assets in non-investment grade bonds|N|0|N|N|408A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|23.0788|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|23.6392|0.0|23.6392|0.0|0.0|0.0|0.0|23.61|23.67|0.0|0.0|0.0|0.0|23.61|23.67|23.685|23.0893|102|44625 6257|FCT|FCT|33733U108|US33733U1088|First Trust Senior Floating Rate Income Fund II|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN3-1|TXN8-8|TXN4-8|TXN1-8|25980000|||Monthly|||||2004-05-26||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||0.0|9.76|0.0|9.75|9.73|9.745|9.74|9.72|0.0|0.0|9.74|9.8|9.74|9.75|9.76|9.73|9.75|9.73|0.0|9.73|9.73|9.74|7.57|12.01|9.72|10.46|9.71|9.76|9.71|9.76|9.73|9.74|10.33|9.32|94588|19304285 61293|FCTR|FCTR|33733E872|US33733E8729|First Trust Lunt U.S. Factor Rotation ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-7|TXN3-8|TXN4-6|TXN1-6|TXN3-3|3400000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||26.06|26.11|0.0|0.0|0.0|26.01|26.11|0.0|0.0|0.0|26.01|0.0|26.01|26.06|0.0|26.01|0.0|26.11|0.0|26.11|26.06|26.08|26.03|26.14|26.02|26.14|26.03|26.15|26.03|26.15|26.03|26.08|29.73|22.62|15761|9793734 75059|FCUS|FCUS|88634T519|US88634T5193|Tidal Trust II|Pinnacle Focused Opportunities ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Tidal ETF Services |Old Mission Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-4|TXN1-6|TXN3-8|TXN2-4|TXN3-3|800000|||Yearly|||||2022-12-30||FCUS.NV|FCUS.SO|FCUS.EU|FCUS.TC| | | | | | | | | | ||The Fund is an exchange-traded fund (ETF) that is actively managed by Pinnacle Family Advisors, LLC (Pinnacle or the Sub-Adviser), the Funds sub-adviser. Although the Fund is actively managed, it seeks uses a passive management (or indexing) approach to track the performance, before fees and expenses, of the Index. The Index follows a rules-based methodology (described below) that seeks to track the performance of the thirty top stocks during bull markets and seeks to mitigate risk during bear markets by including U.S. Treasury securities, cash, cash equivalents, or bond index ETFs in the Index.|N|0|N|N|416A|USA|US|HYBRID|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|23.17|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|23.23|0.0|23.23|0.0|0.0|0.0|0.0|23.16|23.23|11.55|34.63|0.0|0.0|23.16|23.23|23.29|19.7106|1961|998482 57718|FCUV|FCUV|34417J104|US34417J1043|Focus Universal Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN5-7|TXN12-8|TXN6-4|TXN6-7|64820000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4030|403010|40301020|Consumer Discretionary|Media|Media|Media Agencies|N||N||||||Y|0|Y||||||0.0|1.46|0.0|0.0|0.0|1.49|1.48|1.425|0.0|0.0|1.44|0.0|1.48|0.0|0.0|0.0|0.0|1.48|1.48|1.48|1.19|1.78|0.0|0.0|1.43|1.51|1.19|1.78|0.0|0.0|1.43|1.48|11.49|1.35|34025|16751468 51860|FCVT|FCVT|33739Q507|US33739Q5071|First Trust SSI Strategic Convertible Securities ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN6-5|TXN10-2|TXN6-8|TXN5-1|2750000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||31.78|31.78|0.0|31.78|31.78|31.86|31.85|31.97|0.0|0.0|31.78|31.78|31.89|31.96|31.78|31.85|0.0|31.89|31.78|31.89|31.81|31.92|0.0|0.0|31.81|31.92|31.8|31.92|31.75|0.0|31.89|31.92|33.45|29.25|22935|5069596 6258|FCX|FCX|35671D857|US35671D8570|Freeport-McMoRan Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|N|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-2|TXN4-6|TXN8-8|TXN4-1|TXN3-7|1433980000|||Quarterly|||||1988-05-05||||||| | | | | | | | | |||N|5|Y|Y|130E|USA|US|||55|5510|551020|55102040|Basic Materials|Basic Resources|Industrial Metals and Mining|Copper|N||N||||||Y|0|Y||Y|1|||37.62|37.61|0.0|37.65|37.62|37.61|37.61|37.61|0.0|0.0|37.61|37.625|37.615|37.62|37.625|37.61|37.68|37.61|37.625|37.61|37.61|37.62|35.23|40.15|37.61|37.64|37.58|37.65|37.61|37.65|37.61|37.62|46.73|32.825|15675122|2712071940 75626|FDAT|FDAT|88636J402|US88636J4022|Tidal Trust II|Tactical Advantage ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Tidal ETF Services |GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-5|TXN3-3|TXN8-8|TXN3-1|TXN1-6|1110000|||Yearly|||||2023-04-20||FDAT.NV|FDAT.SO|FDAT.EU|FDAT.TC| | | | | | | | | | ||The Fund is an actively managed fund-of ETFs. Family Dynasty Advisors LLC, the Funds sub-adviser (the Sub-Adviser), invests the Funds assets in ETFs that are listed on U.S. stock exchanges (the Underlying ETFs). The Fund will invest in Underlying ETFs that primarily invest in U.S. equity securities or high-yield bonds. Additionally, the Fund will hold cash and cash equivalents. When the Sub-Advisers proprietary analysis (described below) forecasts a market uptrend (i.e., a rising equity market), the Fund will increase its holdings in Underlying ETFs and reduce its cash position. When the Sub-Advisers proprietary analysis forecasts a market that is flat or is in a market downtrend (i.e., a flat or falling market), the Fund will decrease its holdings in Underlying ETFs and will increase its holdings in cash or cash equivalents.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|19.9501|0.0|0.0|0.0|20.05|0.0|0.0|0.0|0.0|0.0|0.0|20.0185|0.0|20.0185|0.0|0.0|0.0|0.0|19.97|20.05|10.02|30.03|0.0|0.0|19.97|20.05|20.94|19.285|3739|2059183 12040|FDBC|FDBC|31609R100|US31609R1005|Fidelity D & D Bancorp Inc|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN5-3|TXN10-6|TXN5-5|TXN5-4|5700000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|53.05|0.0|0.0|0.0|0.0|0.0|54.0|0.0|0.0|0.0|0.0|53.05|0.0|54.0|51.99|55.97|0.0|0.0|52.19|55.59|0.0|0.0|0.0|0.0|53.31|54.49|54.0|35.51|10005|2489602 76428|FDCE|FDCE|90214Q550|US90214Q5505|Foundations Dynamic Core ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-6|TXN4-2|TXN7-8|TXN3-5|TXN3-3|80000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|10.632|0.0|0.0|0.0|0.0|10.4099|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.632|0.0|10.632|10.52|10.74|0.0|0.0|10.62|10.65|10.62|10.65|0.0|0.0|10.62|10.65|10.632|9.6|13|55115 75842|FDCF|FDCF|316092162|US3160921629|Fidelity Disruptive Communications ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN5-8|TXN10-3|TXN5-7|TXN5-3|1410000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|27.67|0.0|0.0|0.0|0.0|0.0|27.6836|0.0|0.0|0.0|0.0|27.67|0.0|27.6836|0.0|0.0|0.0|0.0|27.49|27.83|0.0|0.0|0.0|0.0|27.66|27.7|27.91|23.661|747|303891 25452|FDD|FDD|33735T109|US33735T1097|First Trust Exchange-Traded Fund II|First Trust STOXX European Select Dividend Index Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||First Trust|RBC Capital Markets, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN3-3|TXN9-8|TXN2-6|TXN2-8|15603334|||Quarterly|||||2008-11-06||FDD.NV|FDD.SO|FDD.EU|FDD.TC|FDD.IV| | | | | | | | | |1x|The First Trust STOXX European Select Dividend Index Fund (the Fund) seeks investment results that correspond generally to the price and yield (before the Funds fees and expenses) of an equity index called the STOXX Europe Select Dividend 30 Index (the Index). The Index consists of 30 high dividend-yielding securities selected from the STOXX Europe 600 Index, including secondary lines of those companies (where there are multiple lines of equity capital in a company). The STOXX Europe 600 Index covers 18 European countries: Austria, Belgium, Denmark, Finland, France, Germany, Greece, Iceland, Ireland, Italy, Luxembourg, the Netherlands, Norway, Portugal, Spain, Sweden, Switzerland and the United Kingdom. The Index is compiled and maintained by STOXX Limited (STOXX or the Index Provider). Only dividend-paying companies in the STOXX Europe 600 Index (including secondary lines of those companies) are considered for inclusion in the Index. In addition, a company must have a non-negative five-year dividend-per-share growth rate and a dividend-to-earnings ratio of 60% or less. The Index is rebalanced and reconstituted annually in March. The Fund will make changes to its portfolio holdings when changes are made by the Index Provider in the composition of the Index. |N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||11.5|0.0|0.0|0.0|0.0|11.54|11.5462|0.0|0.0|0.0|11.53|0.0|11.52|11.54|0.0|11.54|0.0|11.53|0.0|11.53|11.53|11.56|11.5|11.59|11.53|11.55|11.52|11.56|11.53|11.56|11.53|11.55|12.75|10.2283|51232|15895088 68559|FDEC|FDEC|33740U505|US33740U5056|Ft Cboe Vest U.S. Equity Buffer ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-6|TXN2-5|TXN7-8|TXN4-3|TXN4-2|9280000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|37.4363|0.0|0.0|37.4|37.37|37.44|37.64|0.0|0.0|37.39|0.0|0.0|37.39|0.0|37.21|0.0|37.4363|0.0|37.4363|29.83|44.86|37.33|37.4|37.38|37.47|37.34|37.53|37.33|37.53|37.4|37.48|37.64|31.2557|6536|6002311 63076|FDEM|FDEM|316092543|US3160925430|Fidelity Emerging Markets Multifactor ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-5|TXN2-7|TXN3-8|TXN4-6|TXN3-4|1200000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|23.055|0.0|0.0|0.0|23.0|23.1099|23.04|0.0|0.0|23.11|0.0|23.0|0.0|0.0|0.0|0.0|23.055|0.0|23.055|18.4|27.78|0.0|0.0|23.0|23.18|18.4|27.78|0.0|0.0|23.0|23.11|23.8|21.06|6135|1551909 63077|FDEV|FDEV|316092535|US3160925356|Fidelity International Multifactor ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-7|TXN1-6|TXN2-8|TXN2-4|TXN3-1|1500000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||25.88|25.88|0.0|0.0|0.0|25.85|25.86|25.73|0.0|0.0|25.88|0.0|0.0|25.85|25.75|0.0|0.0|25.88|0.0|25.88|20.62|31.92|0.0|0.0|25.86|25.99|20.62|31.92|0.0|0.0|25.81|25.98|27.21|23.5916|8034|1967946 75843|FDFF|FDFF|316092154|US3160921546|Fidelity Disruptive Finance ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN5-4|TXN10-2|TXN6-2|TXN5-4|1550000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|27.2|27.2338|0.0|0.0|0.0|0.0|0.0|27.235|0.0|0.0|0.0|0.0|27.2338|0.0|27.235|0.0|0.0|0.0|0.0|27.07|27.4|0.0|0.0|0.0|0.0|27.21|27.26|27.35|23.39|1053|357631 66024|FDG|FDG|025072810|US0250728104|American Century ETF Trust|American Century Focused Dynamic Growth ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y|||||||||Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-8|TXN2-4|TXN1-8|TXN2-5|TXN3-3|2725000|||Quarterly|||||2023-10-23||||||| | | | | | | | | |||N|0|N|N|406B|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||66.625|66.49|0.0|0.0|0.0|66.57|66.3517|0.0|0.0|0.0|66.31|0.0|66.44|0.0|0.0|0.0|0.0|66.49|0.0|66.49|52.98|80.34|0.0|0.0|66.49|66.59|52.97|80.34|0.0|0.0|66.49|66.58|70.09|50.76|36386|2835782 76429|FDGR|FDGR|90214Q543|US90214Q5430|Foundations Dynamic Growth ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-1|TXN3-3|TXN9-8|TXN1-8|TXN3-3|100000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|10.655|0.0|0.0|0.0|0.0|10.6102|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.655|0.0|10.655|10.54|10.77|10.62|10.64|10.64|10.68|10.64|10.68|0.0|0.0|10.64|10.68|10.7247|9.5606|4|53522 71963|FDHT|FDHT|316092238|US3160922387|Fidelity Digital Health ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-4|TXN3-7|TXN7-8|TXN3-4|TXN3-3|500000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||0.0|17.6794|0.0|0.0|0.0|0.0|17.6201|0.0|0.0|0.0|0.0|0.0|17.59|0.0|0.0|0.0|0.0|17.6794|0.0|17.6794|13.86|21.7|0.0|0.0|17.66|17.7|13.86|21.3|0.0|0.0|17.66|17.74|20.78|15.11|2240|345338 61122|FDHY|FDHY|316092618|US3160926180|Fidelity Covington Trust|Fidelity High Yield Factor ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Fidelity SelectCo|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-8|TXN3-5|TXN1-5|TXN4-5|TXN1-2|5500000|||Monthly|||||2018-06-14||FDHY.NV|FDHY.SO|FDHY.EU|FDHY.TC|FDHY.IV| | | | | | | | | ||The fund seeks a high level of income. The fund may also seek capital appreciation. Normally invests at least 80% of the funds assets in debt securities rated below investment grade (also referred to as high yield debt securities or junk bonds). The Adviser uses the ICE BofAML BB-B US High Yield Constrained IndexSM as a guide in structuring the fund and selecting its investments.|N|0|N|N|416A|HKG|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|46.99|0.0|0.0|0.0|47.005|47.01|47.005|0.0|0.0|47.01|0.0|0.0|47.1|0.0|0.0|47.0|47.01|0.0|47.01|46.38|47.47|35.79|58.13|46.98|47.04|43.77|50.37|0.0|0.0|46.98|47.04|48.11|44.64|317439|6919364 75899|FDIF|FDIF|316092121|US3160921215|Fidelity Disruptors ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN6-7|TXN10-7|TXN5-4|TXN5-3|3530000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|24.57|0.0|0.0|0.0|24.67|24.59|24.58|0.0|0.0|0.0|0.0|24.65|0.0|0.0|0.0|0.0|24.59|0.0|24.65|0.0|0.0|0.0|0.0|24.53|24.84|0.0|0.0|0.0|0.0|24.66|24.71|26.09|21.33|6984|1201641 73917|FDIG|FDIG|316092196|US3160921967|Fidelity Crypto Industry and Digital Payments ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN6-2|TXN11-1|TXN5-8|TXN6-6|2500000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||22.82|22.81|0.0|0.0|22.82|22.85|22.7501|22.76|0.0|0.0|22.65|0.0|22.81|22.82|0.0|0.0|0.0|22.7501|0.0|22.81|17.92|27.69|0.0|0.0|22.37|22.94|17.92|27.69|0.0|0.0|22.75|22.82|26.85|9.9|89835|9269888 42933|FDIS|FDIS|316092204|US3160922049|Fidelity Covington Trust|Fidelity MSCI Consumer Discretionary Index ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Fidelity SelectCo|Latour Trading, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-5|TXN4-8|TXN8-2|TXN4-7|TXN1-8|16750000|||Quarterly|||||2013-10-24||FDIS.NV|FDIS.SO|FDIS.EU|FDIS.TC|FDIS.IV| | | | | | | | | |1x|The Fidelity MSCI Consumer Discretionary Index ETF seeks to provide investment returns that correspond, before fees and expenses, generally to the performance of the MSCI USA IMI Consumer Discretionary Index.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||74.98|74.91|0.0|0.0|74.98|74.99|74.94|75.02|0.0|0.0|74.98|75.06|74.915|74.98|74.98|74.98|74.98|74.91|0.0|74.91|74.92|75.09|74.8|75.04|74.92|74.94|74.79|75.05|74.79|75.04|74.92|74.94|77.03|55.35|130749|16580006 76336|FDIV|FDIV|02072L417|US02072L4178|MarketDesk Focused U.S. Dividend ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN5-8|TXN13-6|TXN5-1|TXN6-1|2680000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||25.77|25.66|0.0|0.0|25.78|25.63|25.6499|25.63|0.0|0.0|25.63|0.0|25.6435|25.76|0.0|0.0|25.63|25.64|0.0|25.6435|0.0|0.0|0.0|0.0|25.58|25.7|0.0|0.0|0.0|0.0|25.58|25.7|25.79|22.8503|117084|3430775 16220|FDL|FDL|336917109|US3369171091|First Trust Exchange-Traded Fund|First Trust Morningstar Dividend Leaders Index Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||First Trust|RBC Capital Markets, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-1|TXN2-4|TXN4-5|TXN3-5|TXN2-5|113150002|||Quarterly|||||2008-11-06||FDL.NV|FDL.SO|FDL.EU|FDL.TC|FDL.IV| | | | | | | | | |1x|The First Trust Morningstar Dividend Leaders Index Fund is an exchange-traded index fund. The investment objective of the fund is to replicate as closely as possible, before fees and expenses, the price and yield of the Morningstar Dividend Leaders Index. The index consists of stocks listed on one of the three major exchanges, NYSE, NYSE Amex or the NASDAQ, that have shown dividend consistency and dividend sustainability. Real Estate Investment Trusts (REITs) are not included. Through the application of Morningstars proprietary multi-step screening process, a universe is identified. The top 100 stocks, based on dividend yield, are selected for the index. The individual holdings are weighted based on each securitys shares outstanding, free float factor, and annual indicated dividend per share. The weighting of each holding is capped to enhance portfolio diversification. The index is reconstituted once annually each June and rebalanced four times annually in March, June, September and December.|N|0|N|N|406C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||34.98|34.98|0.0|0.0|34.985|34.985|34.985|34.99|0.0|0.0|34.98|34.97|34.98|34.96|35.05|34.985|35.01|34.99|34.99|34.99|34.97|35.06|34.95|35.04|34.97|34.99|34.96|35.0|34.92|35.04|34.97|35.0|38.315|31.47|988416|222826873 53894|FDLO|FDLO|316092824|US3160928244|Fidelity Covington Trust|Fidelity Low Volatility Factor ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Fidelity SelectCo|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-6|TXN4-4|TXN7-8|TXN1-4|TXN2-4|13850000|||Quarterly|||||2016-09-15||FDLO.NV|FDLO.SO|FDLO.EU|FDLO.TC|FDLO.IV| | | | | | | | | |1x|The fund seeks to provide investment returns that correspond, before fees and expenses, generally to the performance of the Fidelity U.S. Low Volatility Factor Index. The Fidelity U.S. Low Volatility Factor Index is designed to reflect the performance of stocks of large- and mid-cap U.S. companies with lower volatility than the broader market.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||52.01|52.14|0.0|0.0|52.06|52.15|52.11|51.95|0.0|0.0|52.05|0.0|52.05|52.05|51.69|0.0|0.0|52.14|0.0|52.14|52.11|52.15|52.02|52.23|52.11|52.15|52.02|52.23|52.02|52.23|52.11|52.15|52.2|44.59|105260|12679873 74517|FDLS|FDLS|66538H187|US66538H1876|Northern Lights Fund Trust IV|Inspire Fidelis Multi Factor ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Ultimus Fund Solutions (Inspire)|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-1|TXN2-1|TXN6-8|TXN3-7|TXN4-3|2650000|||Quarterly|||||2022-08-24||FDLS.NV|FDLS.SO|FDLS.EU|FDLS.TC| | | | | | | | | | |1x|The Inspire Fidelis Multi Factor ESG ETF (the Fund) seeks to replicate investment results that generally correspond, before fees and expenses, to the performance of the WI Fidelis Multi-Cap, Multi-Factor ESG Index (the Index).|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|27.63|0.0|0.0|0.0|27.64|27.6299|0.0|0.0|0.0|0.0|0.0|27.63|0.0|0.0|0.0|25.84|27.6299|0.0|27.6299|0.0|0.0|27.53|27.58|27.58|27.62|25.37|29.8|0.0|0.0|27.58|28.77|28.4913|23.85|11030|2405162 6267|FDM|FDM|33718M105|US33718M1053|First Trust Exchange-Traded Fund|First Trust Dow Jones Select MicroCap Index Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||First Trust|RBC Capital Markets, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-5|TXN2-6|TXN4-5|TXN1-4|TXN2-2|2855000|||Quarterly|||||2008-11-06||FDM.NV|FDM.SO|FDM.EU|FDM.TC|FDM.IV| | | | | | | | | |1x|The First Trust Dow MicroCap Index Fund is an exchange-traded index fund. The investment objective of the Fund is to replicate as closely as possible, before fees and expenses, the price and yield of the Dow Jones Select Microcap Index. This index is designed to represent microcap stocks trading on the New York Stock Exchange (NYSE), NYSE Amex and Nasdaq that are comparatively liquid and have strong fundamentals relative to the microcap segment as a whole. Covers securities whose market capitalizations fall within a range defined by the bottom two deciles of NYSE stocks. Stocks are screened based on market capitalization, trading volume, and financial indicators that include trailing price/earnings ratio, trailing price/sales ratio, per-share profit change for the previous quarter, operating profit margin and six-month total return.|N|0|N|N|406C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||57.25|57.3|0.0|0.0|57.25|57.35|57.375|57.25|0.0|0.0|0.0|0.0|57.34|57.39|0.0|0.0|0.0|57.4299|0.0|57.4299|57.34|57.41|57.24|57.69|57.39|57.55|57.23|57.7|57.23|57.7|57.39|57.55|61.5414|49.38|10541|2166812 53895|FDMO|FDMO|316092816|US3160928160|Fidelity Covington Trust|Fidelity Momentum Factor ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Fidelity SelectCo|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-7|TXN3-1|TXN9-6|TXN2-1|TXN1-5|3050000|||Quarterly|||||2016-09-15||FDMO.NV|FDMO.SO|FDMO.EU|FDMO.TC|FDMO.IV| | | | | | | | | |1x|The fund seeks to provide investment returns that correspond, before fees and expenses, generally to the performance of the Fidelity U.S. Momentum Factor Index. The Fidelity U.S. Momentum Factor Index is designed to reflect the performance of stocks of large- and mid-cap U.S. companies exhibiting positive momentum signals. |N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||0.0|50.47|0.0|0.0|0.0|50.41|50.61|51.01|0.0|0.0|50.48|0.0|50.59|50.5|0.0|0.0|0.0|50.6069|0.0|50.6069|50.06|51.09|0.0|0.0|50.51|50.59|46.94|54.1|0.0|0.0|50.35|50.72|51.05|42.1043|9222|3449815 68463|FDMT|FDMT|35104E100|US35104E1001|4d Molecular Therapeutics Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN6-6|TXN14-4|TXN6-6|TXN6-2|42750000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||13.31|13.29|0.0|13.19|13.3|13.3|13.29|13.32|0.0|0.0|13.3|13.33|13.3|13.32|13.25|13.32|13.29|13.28|0.0|13.3|13.13|13.42|10.09|16.29|13.15|13.4|13.25|13.34|13.25|13.37|13.28|13.3|26.49|9.44|399025|95148659 16735|FDN|FDN|33733E302|US33733E3027|First Trust Exchange-Traded Fund|First Trust Dow Jones Internet Index Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||First Trust|RBC Capital Markets, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-4|TXN3-3|TXN4-1|TXN2-6|TXN4-4|31550002|||Quarterly|||||2008-11-06||FDN.NV|FDN.SO|FDN.EU|FDN.TC|FDN.IV| | | | | | | | | |1x|The First Trust Dow Jones Internet Index Fund is an exchange-traded index fund. The investment objective of the fund is to replicate as closely as possible, before fees and expenses, the price and yield of the Dow Jones Internet Index. For a stock to be included in the selection universe for the index, a company must generate at least 50% of its annual sales/revenues from the Internet. To be eligible for the Dow Jones Internet Index, a stock issued through an initial public offering must have a minimum of three months trading history. Spinoffs will require this history only if the parent stock has itself been trading for less than three months. An index-eligible stock also must have: a three-month average market capitalization of at least $100 million, a three-month average closing price above $10 if it is not currently in the index, and a sufficient trading activity to pass liquidity tests. Index components are selected from the eligible universe using a combination of three-month average float-adjusted market capitalization and three-month average share volume with a goal of capturing 80% of the float-adjusted selection universe. The index composition is reviewed each quarter. Rebalancing takes effect after the close of trading on the third Friday of March, June, September and December.|N|0|N|N|406C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||173.36|173.41|0.0|173.5|173.42|173.42|173.39|173.38|0.0|0.0|173.39|173.41|173.4|173.36|173.36|173.36|173.4|173.41|172.89|173.41|173.05|173.72|161.0|182.67|173.38|173.41|164.31|181.38|173.12|173.64|173.38|173.41|176.62|118.57|2235538|139871819 62243|FDNI|FDNI|33734X770|US33734X7701|First Trust Exchange-Traded Fund II - Dow Jones International Internet ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN6-5|TXN12-5|TXN5-7|TXN5-3|1200000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|22.0324|0.0|0.0|0.0|0.0|0.0|22.05|0.0|0.0|0.0|0.0|22.0324|0.0|22.05|0.0|0.0|0.0|0.0|21.84|22.44|0.0|0.0|0.0|0.0|22.05|22.24|27.28|19.115|4580|1300901 6269|FDP|FDP|G36738105|KYG367381053|Fresh Del Monte Produce Inc.|Ordinary Shares|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN2-8|TXN7-7|TXN4-1|TXN3-5|48130000|||Quarterly|||||1997-10-24||||||| | | | | | | | | |||N|0|N|Y|118C|CYM|KY|||45|4510|451020|45102010|Consumer Staples |Food, Beverage and Tobacco |Food Producers|Farming, Fishing, Ranching and Plantations|N||N||||||Y|0|Y||Y|2|||23.82|23.82|0.0|23.68|23.8|23.795|23.81|23.8|0.0|0.0|23.8|23.75|23.82|23.8|23.74|23.83|23.68|23.83|23.8|23.83|23.8|23.83|17.93|29.08|23.74|23.86|23.76|23.85|23.8|23.85|23.8|23.83|32.49|21.41|390283|46818363 53893|FDRR|FDRR|316092832|US3160928327|Fidelity Covington Trust|Fidelity Dividend ETF for Rising Rates|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Fidelity SelectCo|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-7|TXN3-7|TXN9-8|TXN4-7|TXN3-3|12200000|||Quarterly|||||2016-09-15||FDRR.NV|FDRR.SO|FDRR.EU|FDRR.TC|FDRR.IV| | | | | | | | | |1x|The fund seeks to provide investment returns that correspond, before fees and expenses, generally to the performance of the Fidelity Dividend Index for Rising Rates. The Fidelity Dividend Index for Rising Rates is designed to reflect the performance of stocks of large and mid-capitalization dividend-paying companies that are expected to continue to pay and grow their dividends and have a positive correlation of returns to increasing 10-year U.S. Treasury yields.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||42.29|42.34|0.0|0.0|42.3|42.3|42.28|42.2|0.0|0.0|0.0|0.0|42.23|42.23|0.0|0.0|0.0|42.34|0.0|42.34|39.81|44.55|42.07|42.64|42.24|42.35|42.06|42.64|42.06|42.64|42.24|42.35|43.31|38.1359|22672|6567529 71964|FDRV|FDRV|316092220|US3160922205|Fidelity Electric Vehicles and Future Transportation ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-8|TXN3-7|TXN6-8|TXN1-7|TXN4-6|2900000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||0.0|15.76|0.0|0.0|0.0|15.75|15.7603|0.0|0.0|0.0|0.0|0.0|15.76|15.59|0.0|0.0|0.0|15.76|0.0|15.76|12.44|19.15|0.0|0.0|15.75|15.83|12.44|19.15|0.0|0.0|15.75|15.82|21.2|14.17|10045|3244408 6270|FDS|FDS|303075105|US3030751057|FactSet Research Systems Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|M|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-6|TXN1-3|TXN1-8|TXN2-3|TXN3-4|37990000|||Quarterly|||||1996-06-28||||||| | | | | | | | | |||N|5|Y|Y|108A|USA|US|||30|3020|302010|30201030|Financials|Financial Services |Finance and Credit Services|Financial Data Providers|N||N||||||Y|0|Y||Y|1|||455.61|454.03|0.0|454.18|454.8|454.09|454.21|454.0|0.0|0.0|455.41|454.61|454.16|455.62|454.11|454.3|455.33|454.1|455.01|454.3|454.41|454.42|424.71|483.18|451.78|454.51|453.66|454.59|453.68|454.42|454.41|454.42|467.53|377.89|250998|60075623 6271|FDT|FDT|33737J174|US33737J1741|First Trust Developed Markets ex-US AlphaDEX Fund|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN5-3|TXN14-1|TXN5-2|TXN6-8|7986412|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||51.34|51.17|0.0|0.0|51.23|51.16|51.15|51.16|0.0|0.0|51.16|0.0|51.17|51.22|0.0|51.16|0.0|51.17|0.0|51.17|51.09|53.99|0.0|0.0|51.13|51.53|48.74|53.99|0.0|0.0|51.13|51.27|54.92|46.9|48998|11902936 76430|FDTB|FDTB|90214Q527|US90214Q5273|Foundations Dynamic Income ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN3-4|TXN4-8|TXN4-8|TXN3-3|80000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|10.13|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.13|0.0|10.13|0.0|0.0|0.0|0.0|9.4|10.86|0.0|0.0|0.0|0.0|10.11|10.15|10.13|10.02|20|463 39611|FDTS|FDTS|33737J406|US33737J4067|First Trust Developed Markets ex-US Small Cap AlphaDEX Fund|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN5-7|TXN11-7|TXN6-8|TXN6-4|200002|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|39.3835|0.0|0.0|0.0|0.0|0.0|0.0|39.3835|0.0|0.0|0.0|0.0|39.21|39.41|0.0|0.0|0.0|0.0|39.35|39.41|41.17|36.0157|65|155081 75844|FDTX|FDTX|316092139|US3160921397|Fidelity Disruptive Technology ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN6-6|TXN14-6|TXN5-6|TXN5-5|3790000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|26.75|26.77|26.73|0.0|0.0|0.0|0.0|26.8|0.0|0.0|0.0|0.0|26.77|0.0|26.8|0.0|0.0|0.0|0.0|26.6|26.98|0.0|0.0|0.0|0.0|26.75|26.8|27.85|22.25|15298|1572272 38389|FDUS|FDUS|316500107|US3165001070|Fidus Investment Corp|COM USD0.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN5-6|TXN12-7|TXN6-3|TXN5-2|28450000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||||||19.55|19.565|0.0|19.56|19.56|19.53|19.55|19.55|0.0|0.0|19.55|19.56|19.56|19.53|19.55|19.56|19.54|19.55|19.53|19.56|19.55|19.73|15.16|24.36|19.55|19.71|19.53|19.59|19.52|19.59|19.55|19.57|21.255|17.63|144704|32032505 74920|FDV|FDV|31423L305|US31423L3050|Federated Hermes ETF Trust|Federated Hermes U.S. Strategic Dividend ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Federated Hermes|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-5|TXN4-6|TXN6-8|TXN2-6|TXN3-2|3125000|||Monthly|||||2022-11-16||FDV.NV|FDV.SO|FDV.EU|FDV.TC| | | | | | | | | | ||The Funds investment objective is to seek income and long-term capital appreciation.|N|0|N|N|408A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||22.98|23.46|0.0|0.0|0.0|23.46|23.42|0.0|0.0|0.0|23.46|0.0|23.44|23.47|0.0|0.0|0.0|23.469|23.47|23.469|23.2|23.67|17.85|28.6|23.41|23.46|23.41|23.46|0.0|0.0|23.41|23.46|26.59|21.3188|27087|4323059 76431|FDVL|FDVL|90214Q535|US90214Q5356|Foundations Dynamic Value ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-6|TXN4-7|TXN1-5|TXN3-8|TXN3-3|100000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|10.5584|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.5584|0.0|10.5584|10.45|10.67|0.0|0.0|10.54|10.57|10.54|10.57|0.0|0.0|10.54|10.57|10.5584|9.6696|21|52359 53892|FDVV|FDVV|316092840|US3160928400|Fidelity Covington Trust|Fidelity High Dividend ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Fidelity SelectCo|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-4|TXN3-5|TXN9-7|TXN1-1|TXN4-1|46750000|||Quarterly|||||2016-09-15||FDVV.NV|FDVV.SO|FDVV.EU|FDVV.TC|FDVV.IV| | | | | | | | | |1x|The fund seeks to provide investment returns that correspond, before fees and expenses, generally to the performance of the Fidelity Core Dividend Index. The Fidelity Core Dividend Index is designed to reflect the performance of stocks of large and mid-capitalization dividend-paying companies that are expected to continue to pay and grow their dividends|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||40.83|0.0|0.0|0.0|40.8|40.84|40.8395|40.83|0.0|0.0|40.76|40.86|40.8|0.0|0.0|40.8|0.0|40.84|0.0|40.84|37.82|40.87|40.67|41.01|40.83|40.84|40.67|41.02|40.67|41.02|40.83|40.84|41.749|36.08|163390|41494694 70886|FDWM|FDWM|316092287|US3160922874|Fidelity Covington Trust|Fidelity Womens Leadership ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Fidelity SelectCo|RBC Capital Markets, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-5|TXN3-8|TXN4-8|TXN3-5|TXN3-3|175000|||Quarterly|||||2021-06-17||FDWM.NV|FDWM.SO|FDWM.EU|FDWM.TC|FDWM.IV| | | | | | | | | |1x|Fidelity Womens Leadership ETF is an exchange-traded fund incorporated in the USA. The ETF will invest primarily in equity securities of companies that prioritize and advance womens leadership and development.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|19.44|19.4792|18.892|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|19.4727|0.0|19.4727|0.0|0.0|0.0|0.0|19.46|19.48|15.71|25.93|0.0|0.0|19.47|19.48|19.63|16.5973|278|218603 6272|FDX|FDX|31428X106|US31428X1063|FedEx Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|J|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-6|TXN3-6|TXN2-7|TXN2-5|TXN1-4|251420000|||Quarterly|||||1978-12-28||||||| | | | | | | | | |||N|1|Y|Y|202B|USA|US|||50|5020|502060|50206040|Industrials|Industrial Goods and Services|Industrial Transportation|Delivery 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EXP||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-3|TXN5-7|TXN14-6|TXN5-5|TXN5-8|32560000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y|C|||||0.0|0.0|0.0|0.0|0.0|0.0196|0.0|0.0|0.0|0.0|0.0204|0.019|0.0163|0.0|0.0|0.0|0.0|0.019|0.0|0.019|0.0|0.0|0.0|0.0|0.005|0.0306|0.0|0.0|0.0|0.0|0.0171|0.019|0.2675|0.015|12525|22600202 1511|FFIN|FFIN|32020R109|US32020R1095|First Financial Bankshares Inc|COM USD10||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN5-8|TXN10-6|TXN5-1|TXN5-3|142710000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||||||28.215|28.22|0.0|28.15|28.23|28.22|28.23|28.22|0.0|0.0|28.21|0.0|28.21|28.23|28.11|28.21|28.22|28.23|27.15|28.21|28.18|28.25|21.24|34.31|28.19|28.27|28.19|28.25|28.19|28.25|28.22|28.23|38.24|22.84|400037|129910037 59414|FFIU|FFIU|84858T202|US84858T2024|Spinnaker ETF Series|UVA Unconstrained Medium-Term Fixed Income ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Nottingham|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-8|TXN4-2|TXN7-8|TXN4-6|TXN2-4|2100000|||Monthly|||||2017-08-21||FFIU.NV|FFIU.SO|FFIU.EU|FFIU.TC|FFIU.IV| | | | | | | | | ||The Fund seeks to achieve its investment objective of current income by investing principally in fixed income securities of any kind, and, under normal circumstances, the Fund intends to invest at least 80% of its net assets (plus the amount of borrowings for investment purposes) in such securities. Fixed income securities include bonds, debt securities and income-producing instruments of any kind issued by governmental or private-sector entities. The Sub-Adviser interprets the term fixed income security broadly as any instrument or security evidencing what is commonly referred to as an IOU rather than evidencing the corporate ownership of equity unless that equity represents an indirect or derivative interest in one or more debt securities.|N|0|N|N|406B|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||20.35|21.61|0.0|0.0|20.3|21.6|21.5832|21.56|0.0|0.0|21.6|0.0|21.6|20.35|20.72|0.0|0.0|21.62|0.0|21.62|0.0|0.0|0.0|0.0|21.56|21.68|0.0|0.0|0.0|0.0|21.56|21.68|22.62|20.14|3594|1921725 1512|FFIV|FFIV|315616102|US3156161024|F5 Inc|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN6-1|TXN14-2|TXN5-5|TXN5-2|59710000|||NotApplicable|||||||||||| | | | | | | | | |||N|5|Y|N||USA||||10|1010|101010|10101010|Technology|Technology|Software and Computer Services|Computer Services|N||N||||||Y|0|Y||||||172.23|173.19|0.0|173.21|173.18|173.25|173.19|173.235|0.0|0.0|173.24|173.25|173.15|173.25|172.15|173.18|173.3|173.18|173.18|173.15|172.29|174.32|161.52|183.81|173.08|173.27|173.03|173.28|173.15|173.23|173.15|173.2|173.375|127.05|430116|125546010 75902|FFLS|FFLS|66538F165|US66538F1654|Northern Lights Fund Trust II|The Future Fund Long/Short ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Ultimus Fund Solutions (Future Fund)|Wolverine Trading, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-8|TXN1-2|TXN6-8|TXN2-6|TXN3-3|100000|||Yearly|||||2023-06-21||FFLS.NV|FFLS.SO|FFLS.EU|FFLS.TC| | | | | | | | | | ||The investment objective of the Future Fund Long/Short ETF (FFLS) is to seek to provide capital appreciation. Please refer to the prospectus previously provided in the SLAP.|N|0|N|N|408A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|18.99|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|19.6295|0.0|19.6295|19.61|19.67|19.56|19.61|19.61|19.65|18.64|20.93|0.0|0.0|19.61|19.65|20.4277|18.3165|62|246494 71514|FFND|FFND|66538F231|US66538F2314|Northern Lights Fund Trust II|The Future Fund Active ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Ultimus Fund Solutions (Future Fund)|Wolverine Trading, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-6|TXN3-4|TXN7-8|TXN1-2|TXN1-1|440000|||Yearly|||||2021-08-24||FFND.NV|FFND.SO|FFND.EU|FFND.TC| | | | | | | | | | |1x|Under normal market conditions, the Fund, which is an actively managed exchange traded fund or ETF, will primarily invest in the equity securities of companies that the Adviser believes to be best positioned to take advantage of or profit from emerging technological or social trends or developments. As part of the investment process, the Adviser seeks to identify potential opportunities created by changes in technology, consumer preferences, demographics, regulatory, environmental and supply/demand dynamics that unfold over long periods of time (secular trends) and the companies that can significantly benefit and profit from such trends. Through a proprietary research driven process, the Adviser then analyzes those companies across sectors and secular trends or themes (e.g., green energy, online shopping or cybersecurity) to try to identify for investment those companies it believes to be thematic winners (companies that the Adviser believes can benefit from positive secular trends or themes) with reasonable valuations. The Adviser may also seek to short the securities of companies it believes to be thematic losers (companies that the Adviser believes will be negatively affected by emerging secular trends or themes) or that have a combination of weakening fundamentals and excessive valuation.|N|0|N|N|408A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||19.23|18.28|0.0|0.0|0.0|19.24|19.2542|17.775|0.0|0.0|18.17|0.0|19.29|0.0|0.0|0.0|0.0|19.2685|0.0|19.2685|0.0|0.0|19.21|19.24|19.25|19.28|0.0|0.0|0.0|0.0|19.25|19.28|20.25|14.28|2992|657845 25818|FFNW|FFNW|32022K102|US32022K1025|First Financial Northwest Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN5-8|TXN11-7|TXN5-5|TXN5-3|9180000|||NotApplicable|||||||||||| | | | | | | | | 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50 ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Innovator Capital Management |Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-4|TXN3-5|TXN5-6|TXN2-2|TXN2-8|3600000|||Yearly|||||2015-04-08||FFTY.NV|FFTY.SO|FFTY.EU|FFTY.TC|FFTY.IV| | | | | | | | | |1x|Actively Managed ETF- Invests in IBD 50 as published by Investors Business Daily|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||23.66|23.65|0.0|0.0|23.64|23.59|23.6527|23.5|0.0|0.0|23.64|23.6|23.67|23.56|23.65|23.58|23.56|23.65|0.0|23.65|23.6|23.69|18.23|28.95|23.64|23.65|23.55|23.7|23.58|23.73|23.63|23.65|26.97|20.55|174501|19511535 48665|FFWM|FFWM|32026V104|US32026V1044|First Foundation Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-6|TXN1-1|TXN4-4|TXN3-2|TXN1-3|56440000|||Quarterly|||||2023-08-22||||||| | | | | | | | | |||N|0|N|Y|402B|USA|US|||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||Y|2|||6.68|6.67|0.0|6.66|6.64|6.67|6.68|6.655|0.0|0.0|6.68|6.68|6.7|6.66|6.66|6.67|6.65|6.7|6.66|6.67|6.66|6.69|5.21|8.2|6.59|6.73|6.62|6.7|6.66|6.7|6.66|6.69|16.7|3.69|508100|206750854 74939|FG|FG|30190A104|US30190A1043|F&G Annuities & Life, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN3-7|TXN8-8|TXN2-2|TXN2-7|125500000|||Quarterly|||||2022-11-21||||||| | | | | | | | | |||N|0|N|Y|408A|USA|US|||30|3030|303010|30301010|Financials|Insurance|Life Insurance|Life Insurance|N||N||||||Y|0|Y||Y|2|||42.15|42.145|0.0|42.1|42.17|42.2|42.23|42.255|0.0|0.0|42.2|42.46|42.17|42.17|42.39|42.34|41.24|42.29|42.13|42.34|42.22|42.3|32.51|52.3|42.03|42.4|42.07|42.39|42.22|42.38|42.22|42.3|43.59|14.76|113753|39564016 24642|FGB|FGB|33733G109|US33733G1094|First Trust Specialty Finance and Financial Opportunities Fund|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN3-7|TXN8-8|TXN1-4|TXN2-8|14370000|||Quarterly|||||2007-05-25||||||| | | | | | | | | |||N|0|N|N|406B|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||3.27|3.26|0.0|0.0|3.27|3.26|3.2798|3.27|0.0|0.0|3.26|0.0|3.26|3.31|3.28|3.27|3.27|3.27|0.0|3.27|3.27|3.29|2.56|4.06|3.27|3.49|2.56|4.06|0.0|0.0|3.27|3.29|3.49|2.76|113076|10681484 48687|FGBI|FGBI|32043P106|US32043P1066|First Guaranty Bancshares Inc|COM USD1.||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN6-5|TXN10-2|TXN5-3|TXN5-3|11430000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|10.16|10.015|0.0|0.0|0.0|9.6|0.0|10.13|0.0|0.0|0.0|0.0|10.015|0.0|10.015|0.0|0.0|0.0|0.0|9.8|10.37|0.0|0.0|0.0|0.0|10.0|10.16|25.07|9.2401|9775|4290735 70457|FGBIP|FGBIP|32043P205|US32043P2056|First Guaranty Bancshares Inc|6.75% DEP PFD A||B|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN5-4|TXN13-5|TXN6-4|TXN5-4|1380000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|16.8|17.2|17.22|0.0|0.0|0.0|16.81|16.8|17.2|16.8|0.0|16.8|0.0|17.2|0.0|17.2|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|17.2|17.48|25.35|15.5701|7810|403569 26357|FGD|FGD|33734X200|US33734X2009|First Trust Exchange-Traded Fund II|First Trust Dow Jones Global Select Dividend Index Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||First Trust|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-7|TXN3-6|TXN9-5|TXN4-3|TXN3-8|29350002|||Quarterly|||||2008-11-06||FGD.NV|FGD.SO|FGD.EU|FGD.TC|FGD.IV| | | | | | | | | |1x|The First Trust Dow Jones Global Select Dividend Index Fund is an exchange-traded fund. The investment objective of the Fund is to seek investment results that correspond generally to the price and yield, before fees and expenses, of an equity index called the Dow Jones Global Select Dividend Index. The Index is defined as all component companies of the 24 developed-market country indexes in the Dow Jones Global Indexes (DJGI) family. To be considered for the Index, companies in the Index universe must pass eligibility screens for dividend quality and liquidity. The company must: pay a current dividend, have a current-year dividend-per-share ratio that is greater than or equal to its five-year average annual dividend-per-share ratio, have a five-year average payout ratio of less than or equal to 60% for U.S. and European companies; or less than or equal to 80% for all other countries, and have a minimum three-month daily average trading volume of $3 million. Stocks meeting all eligibility requirements are ranked by dividend yield. The top 100 highest-yielding stocks are selected for inclusion in the Index, subject to buffers designed to limit turnover by favoring current Index components: stocks in the Index universe are ranked in descending order by indicated annual dividend yield, defined as a stocks unadjusted indicated annual dividend (not including any special dividends) divided by its unadjusted price, all current Index component stocks that are among the top 150 stocks are included in the Index, non-component stocks are added to the Index based on their rankings until the component count reaches 100, AND component weightings are assigned based on dividend yield. Weights of individual component stocks are capped at 10%. |N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||21.49|21.5|0.0|0.0|21.5|21.5|21.51|21.49|0.0|0.0|21.49|0.0|21.5|21.47|0.0|21.47|0.0|21.5|0.0|21.5|21.49|21.51|21.38|21.64|21.49|21.51|21.37|21.65|21.39|21.64|21.49|21.51|24.02|19.77|178038|38218818 74227|FGDL|FGDL|35473M105|US35473M1053|Franklin Templeton Holdings Trust|Franklin Responsibly Sourced Gold ETF|Trust|ETV|N|N|P|Y|Y|Y|Y|Y||||||||Franklin Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-8|TXN4-5|TXN8-8|TXN1-3|TXN1-8|1100000|||NotApplicable|||||2022-06-30||FGLD.NV|FGLD.SO|FGLD.EU|FGLD.TC|FGLD.IV| | | | | | | | | |1x|FGLD seeks to reflect the performance of the price of gold bullion, less the Funds expenses.|N|0|N|N|416A|USA|US|COMMODITIES_AND_FUTURES|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|27.3351|0.0|0.0|0.0|27.07|0.0|0.0|26.769|0.0|0.0|0.0|27.0634|0.0|27.0634|27.01|27.15|27.01|27.15|27.06|27.07|27.0|27.15|27.01|27.15|27.06|27.07|28.8|24.27|514|2277830 48870|FGEN|FGEN|31572Q808|US31572Q8087|FibroGen Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-3|TXN5-1|TXN11-1|TXN5-1|TXN5-8|98340000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||0.6585|0.652|0.0|0.6485|0.6517|0.6585|0.6485|0.6586|0.0|0.0|0.6543|0.6308|0.6526|0.6517|0.6484|0.652|0.6356|0.6485|0.6476|0.6526|0.6309|0.6757|0.5072|0.78|0.6371|0.6665|0.6294|0.6822|0.6485|0.6867|0.6485|0.6534|25.69|0.3333|2102161|574528725 43821|FGF|FGF|30329Y106|US30329Y1064|FG Financial Group Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN6-2|TXN14-3|TXN5-1|TXN5-8|10560000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302020|30202000|Financials|Financial Services |Investment Banking and Brokerage Services |Diversified Financial Services |N||N||||||N|0|Y|C|||||0.0|0.0|0.0|0.0|0.0|1.285|1.335|0.0|0.0|0.0|1.27|0.0|1.29|0.0|0.0|0.0|0.0|1.335|0.0|1.29|0.0|0.0|0.0|0.0|1.24|1.43|0.0|0.0|0.0|0.0|1.29|1.38|3.18|1.0|4640|2255686 60805|FGFPP|FGFPP|30329Y205|US30329Y2054|FG Financial Group Inc|PFD SER 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LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-4|TXN1-7|TXN9-8|TXN2-8|TXN3-4|19710000|||NotApplicable|||||2004-09-24||||||| | | | | | | | | |||N|0|N|N|310A|USA|US|||50|5020|502020|50202040|Industrials|Industrial Goods and Services|Electronic and Electrical Equipment|Electronic Equipment: Other|N||N||||||N|0|Y|C|Y|2|||1.53|1.51|0.0|0.0|0.0|1.48|1.49|1.45|0.0|0.0|1.47|0.0|1.53|0.0|0.0|0.0|1.35|1.35|0.0|1.35|1.34|1.62|1.42|1.53|1.34|1.53|0.0|0.0|0.0|0.0|1.42|1.53|2.71|1.1|4034|2962145 73315|FGI|FGI|G3302D103|KYG3302D1034|FGI Industries Ltd|ORD SHS 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6300|FHI|FHI|314211103|US3142111034|Federated Hermes, Inc.|Class B Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|R|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-6|TXN3-3|TXN7-4|TXN1-7|TXN4-1|86250000|||Quarterly|||||1998-05-14||||||| | | | | | | | | |||N|0|N|Y|408A|USA|US|||30|3020|302020|30202010|Financials|Financial Services |Investment Banking and Brokerage Services |Asset Managers and Custodians|N||N||||||Y|0|Y||Y|2|||32.15|32.15|0.0|32.36|32.14|32.135|32.12|32.13|0.0|0.0|32.17|32.15|32.13|32.15|32.15|32.13|32.21|32.12|32.16|32.13|32.12|32.14|24.8|39.54|31.97|32.31|32.09|32.18|32.07|32.19|32.12|32.14|45.55|30.23|453562|214983997 42937|FHLC|FHLC|316092600|US3160926008|Fidelity Covington Trust|Fidelity MSCI Health Care Index 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Corp|WRTTS||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-6|TXN6-8|TXN11-7|TXN6-4|TXN5-1|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.067|0.0|0.0|0.0|0.0|0.0151|0.04|0.089|0.015|0|1780782 6292|FHN|FHN|320517105|US3205171057|First Horizon Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|A|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-6|TXN1-2|TXN4-2|TXN3-6|TXN2-5|558770000|||Quarterly|||||1999-07-28||||||| | | | | | | | | |||N|0|Y|Y|402C|USA|US|||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||Y|1|||13.47|13.48|0.0|13.44|13.47|13.48|13.485|13.48|0.0|0.0|13.48|13.48|13.49|13.47|13.48|13.49|13.48|13.49|13.47|13.49|13.48|13.49|12.53|14.23|13.47|13.49|13.42|13.51|13.42|13.52|13.48|13.49|24.9|8.99|14804589|2105669552 66895|FHN PRB|FHNpB|320517501|US3205175017|First Horizon Corporation|Depositary Shares, each representing a 1/400th interest in a share of Non-Cumulative Perpetual Preferred Stock, Series B|Operating company|B|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN3-2|TXN3-8|TXN3-6|TXN1-7|3200000|||BiAnnually|||||2020-07-02||||||| | | | | | | | | |||N|0|N|N|402C|USA|US|||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|22.45|22.57|0.0|0.0|0.0|0.0|0.0|22.45|0.0|0.0|22.57|22.6|22.57|21.65|22.57|22.21|22.64|22.6|22.85|20.74|24.36|22.3|22.7|0.0|0.0|22.21|22.64|26.6071|13.58|3066|2946008 66896|FHN PRC|FHNpC|320517600|US3205176007|First Horizon Corporation|Depositary Shares, each representing a 1/400th interest in a share of Non-Cumulative Perpetual Preferred Stock, Series C|Operating company|B|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN3-3|TXN3-8|TXN2-7|TXN1-7|2300000|||Quarterly|||||2020-07-02||||||| | | | | | | | | |||N|0|N|N|402C|USA|US|||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|22.15|22.3263|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|22.3263|0.0|22.3263|0.0|22.3263|22.0|22.37|0.0|0.0|22.1|22.85|0.0|0.0|0.0|0.0|22.0|22.37|26.0|14.26|267|1837404 66897|FHN PRD|FHNpD|320517808|US3205178086|First Horizon Corporation|Depositary Shares, each representing a 1/400th interest in a share of Non-Cumulative Perpetual Preferred Stock, Series D|Operating company|B|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN2-2|TXN7-8|TXN3-1|TXN4-1|4000000|||BiAnnually|||||2020-07-02||||||| | | | | | | | | |||N|0|N|N|402C|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|23.55|0.0|0.0|23.42|23.8|23.6531|23.7|0.0|0.0|23.75|0.0|23.71|0.0|0.0|23.82|0.0|23.82|0.0|23.82|23.84|23.89|23.8|23.89|23.28|24.1|0.0|0.0|0.0|0.0|23.84|23.89|25.25|14.3301|1797|4870132 66727|FHN PRE|FHNpE|320517402|US3205174028|First Horizon Corporation|Depositary Shares, each representing a 1/4,000th interest in a share of Non-Cumulative Perpetual Preferred Stock, Series E|Operating company|B|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities 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LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN4-2|TXN7-8|TXN4-8|TXN3-5|6000000|||Quarterly|||||2021-05-13||||||| | | | | | | | | |||N|0|N|N|402C|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||15.75|15.62|0.0|0.0|15.62|15.65|15.62|15.75|0.0|0.0|15.75|0.0|15.62|15.61|0.0|15.79|15.65|15.79|15.75|15.79|15.6|15.82|15.65|15.83|15.29|16.15|0.0|0.0|0.0|0.0|15.61|15.82|22.3757|10.04|33641|8182692 67970|FHTX|FHTX|344174107|US3441741077|Foghorn Therapeutics Inc|COM 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6297|FICO|FICO|303250104|US3032501047|Fair Isaac Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|4|0.01|0.01|5000000|1|100|TXN6-8|TXN2-5|TXN9-7|TXN3-5|TXN4-4|24710000|||NotApplicable|||||1996-05-06||||||| | | | | | | | | |||N|5|Y|Y|108B|USA|US|||50|5020|502050|50205020|Industrials|Industrial Goods and Services|Industrial Support Services|Professional Business Support Services|N||N||||||Y|0|Y||Y|1|||1122.18|1121.84|0.0|1122.17|1122.18|1122.45|1122.125|1123.025|0.0|0.0|1119.305|1126.67|1122.94|1122.73|1126.02|1122.43|1129.8|1122.43|1083.6|1122.43|1122.42|1122.43|1059.91|1194.15|1121.21|1123.61|1119.22|1124.83|1119.53|1125.54|1122.42|1122.43|1151.49|575.39|191052|49622659 68512|FICS|FICS|33738R662|US33738R6624|First Trust International Developed Capital Strength ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN5-8|TXN12-8|TXN6-8|TXN5-1|2250000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|31.9701|0.0|0.0|0.0|31.96|0.0|31.97|0.0|0.0|0.0|0.0|31.9701|0.0|31.97|0.0|0.0|0.0|0.0|31.82|32.15|0.0|0.0|0.0|0.0|31.97|32.01|33.07|28.74|3767|3570797 71503|FICV|FICV|G36816109|KYG368161090|Frontier Investment Corp|ORD SHS CL 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062926||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-8|TXN6-8|TXN13-1|TXN5-1|TXN6-7|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.03|0.03|0.0|0.0|0.0|0.0275|0.0|0.0|0.0|0.0|0.0|0.0275|0.0275|0.0|0.0|0.0|0.0|0.0275|0.0|0.0275|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0274|0.029|0.5217|0.0201|8453|1763555 42583|FID|FID|33738R688|US33738R6889|First Trust S&P International Dividend Aristocrats ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN5-5|TXN13-1|TXN5-8|TXN6-7|4900000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|15.4738|0.0|0.0|0.0|0.0|0.0|15.5|0.0|0.0|0.0|0.0|15.4738|0.0|15.5|14.61|16.25|0.0|0.0|15.46|15.61|0.0|0.0|0.0|0.0|15.46|15.53|16.4799|14.0201|7581|8549530 60425|FIDI|FIDI|316092725|US3160927253|Fidelity Covington Trust|Fidelity International High Dividend ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Fidelity SelectCo|RBC Capital Markets, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-4|TXN4-4|TXN6-6|TXN2-8|TXN2-2|4600000|||Quarterly|||||2018-01-18||FIDI.NV|FIDI.SO|FIDI.EU|FIDI.TC|FIDI.IV| | | | | | | | | |1x|The fund seeks to provide investment returns that correspond, before fees and expenses, generally to the performance of the Fidelity International High Dividend Index.|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||19.57|19.57|0.0|0.0|19.57|19.57|19.6367|19.57|0.0|0.0|19.64|0.0|19.64|19.57|19.62|0.0|0.0|19.6384|0.0|19.6384|19.62|19.67|0.0|0.0|19.6|19.65|19.6|19.65|19.6|19.64|14.07|25.15|20.16|17.7|21005|3483892 42938|FIDU|FIDU|316092709|US3160927097|Fidelity Covington Trust|Fidelity MSCI Industrials Index ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Fidelity SelectCo|RBC Capital Markets, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-6|TXN2-2|TXN1-8|TXN3-2|TXN1-1|14450000|||Quarterly|||||2013-10-24||FIDU.NV|FIDU.SO|FIDU.EU|FIDU.TC|FIDU.IV| | | | | | | | | |1x|The Fidelity MSCI Industrials Index ETF seeks to provide investment returns that correspond, before fees and expenses, generally to the performance of the MSCI USA IMI Industrials Index.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||0.0|58.31|0.0|0.0|58.31|58.3|58.2917|58.305|0.0|0.0|58.0|58.03|58.31|57.9|58.0|58.0|0.0|58.3|0.0|58.3|58.19|58.41|58.17|61.49|58.28|58.29|58.18|61.49|58.16|58.33|58.27|58.3|59.0|49.71|84924|16268298 38872|FIF|FIF|33738C103|US33738C1036|First Trust Energy Infrastructure Fund|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN1-8|TXN5-8|TXN3-1|TXN1-8|16510000|||Monthly|||||2011-09-28||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||16.53|16.4|0.0|0.0|16.42|16.41|16.49|16.46|0.0|0.0|16.53|0.0|16.48|16.4|0.0|16.45|0.0|16.48|16.54|16.45|16.45|16.49|12.56|20.16|16.3|17.53|12.67|20.01|0.0|0.0|16.45|16.49|16.56|13.17|41706|7315937 74040|FIG|FIG|82889N715|US82889N7158|Simplify Exchange Traded Funds|Simplify Macro Strategy ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Simplify|Wolverine Trading, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN3-4|TXN8-8|TXN2-8|TXN2-1|1400001|||Monthly|||||2022-05-17||FIG.NV|FIG.SO|FIG.EU|FIG.TC|FIG.IV| | | | | | | | | |1x|Simplify Macro Strategy ETF (the Fund) seeks to provide absolute returns by creating a long bias, cross-asset portfolio by investing in equity, fixed income, and alternative ETFs and derivatives.|N|0|N|N|416A|USA|US|HYBRID|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||22.67|0.0|0.0|0.0|0.0|22.8|22.74|0.0|0.0|0.0|22.68|0.0|22.65|0.0|0.0|0.0|0.0|22.7508|0.0|22.7508|0.0|0.0|22.67|22.81|22.54|22.97|0.0|0.0|0.0|0.0|22.54|22.97|26.31|22.07|4433|3578646 69476|FIGB|FIGB|316188606|US3161886060|Fidelity Merrimack Street Trust|Fidelity Investment Grade Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Fidelity SelectCo|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-3|TXN4-7|TXN6-8|TXN4-6|TXN1-8|800000|||Monthly|||||2021-03-04||FIGB.NV|FIGB.SO|FIGB.EU|FIGB.TC|FIGB.IV| | | | | | | | | |1x|The fund seeks a high level of current income, normally investing at least 80% of assets in investment-grade debt securities and repurchase agreements for those securities. 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The Underlying Index has been developed by MSCI Inc. (MSCI) to measure the combined performance of equity securities of companies primarily engaged in the business of energy exploration and production in both developed and emerging markets. MSCI begins with the MSCI All Country World Investable Market Index, and then selects securities of companies that are primarily focused on oil and gas exploration and production, and coal and consumable fuels production and mining.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|24.7|24.425|24.52|0.0|0.0|0.0|0.0|24.36|24.41|0.0|0.0|0.0|24.46|0.0|24.46|22.73|26.17|0.0|0.0|24.34|24.46|22.73|26.17|0.0|0.0|24.34|24.46|26.33|21.15|7667|3907393 63720|FINS|FINS|03464A100|US03464A1007|Angel Oak Financial Strategies Income Term Trust|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN4-3|TXN6-8|TXN4-2|TXN2-3|25060000|||Monthly|||||2019-05-29|2030-05-24|||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|12.065|0.0|0.0|12.1|12.13|12.1099|0.0|0.0|0.0|12.13|12.2|12.11|12.13|0.0|12.1|0.0|12.1|12.11|12.1|12.1|12.13|12.09|12.15|11.32|12.83|12.03|12.19|0.0|0.0|12.1|12.13|13.5225|11.61|43419|13763923 60077|FINV|FINV|31810T101|US31810T1016|FinVolution Group|American depositary shares, each representing five Class A ordinary shares|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|8|A|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-5|TXN4-4|TXN1-8|TXN3-1|TXN4-6|831390000|||Adhoc|||||2017-11-10||||||| | | | | | | | | |||N|0|N|Y|180B|CHN|KY|||30|3020|302010|30201020|Financials|Financial Services |Finance and Credit Services|Consumer Lending|N||N||||||Y|0|Y||Y|2|||4.48|4.485|0.0|4.44|4.48|4.485|4.481|4.485|0.0|0.0|4.48|4.485|4.485|4.49|4.49|4.48|4.49|4.48|4.49|4.48|4.48|4.5|3.51|5.46|4.48|4.5|4.45|4.52|4.44|4.51|4.48|4.5|6.05|3.55|861824|207199919 71398|FINW|FINW|31813A109|US31813A1097|Finwise Bancorp|COM 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ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN5-8|TXN14-7|TXN5-2|TXN5-2|15710000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||23.03|23.14|0.0|0.0|23.08|23.1|23.16|22.95|0.0|0.0|23.12|0.0|23.16|23.11|0.0|23.14|0.0|23.16|23.18|23.16|21.55|24.71|23.08|23.24|23.07|23.25|23.1|23.24|23.1|23.24|23.16|23.18|24.78|18.17|69349|19987634 74301|FIP|FIP|35953C106|US35953C1062|FTAI Infrastructure Inc|COM 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LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-7|TXN3-5|TXN8-4|TXN1-4|TXN3-2|592480000|||Quarterly|||||2001-06-20||||||| | | | | | | | | |||N|5|Y|Y|104C|USA|US|||50|5020|502050|50205015|Industrials|Industrial Goods and Services|Industrial Support Services|Transaction Processing Services|N||N||||||Y|0|Y||Y|1|||59.94|59.93|0.0|59.93|59.92|59.93|59.93|59.93|0.0|0.0|59.91|59.92|59.93|59.92|59.9|59.93|59.92|59.925|59.92|59.93|59.92|59.93|56.42|63.6|59.84|59.96|59.88|59.97|59.88|59.97|59.92|59.93|79.32|46.911|6297905|1252830336 1532|FISI|FISI|317585404|US3175854047|Financial Institutions Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN5-6|TXN11-4|TXN6-1|TXN6-2|15400000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||||||18.73|18.92|0.0|0.0|18.73|18.86|18.76|18.74|0.0|0.0|18.75|0.0|18.8|18.95|0.0|0.0|0.0|18.78|0.0|18.8|18.44|19.17|0.0|0.0|18.5|19.11|0.0|0.0|0.0|0.0|18.75|18.8|25.85|13.835|41435|12518821 42806|FISK|FISK|292102308|US2921023089|Empire State Realty OP, L.P.|Series 250 Operating Partnership Units Representing Limited Partnership Interests|Limited partnership|R|N|N|P|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-7|TXN3-7|TXN2-8|TXN1-8|TXN2-8|2650000|||Quarterly|||||2013-10-11||||||| | | | | | | | | |||N|0|N|N|412A|USA|US|||35|3510|351010|35101015|Real Estate|Real Estate |Real Estate Investment and Services Development|Real Estate Services|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|8.87|9.68|0.0|0.0|0.0|0.0|8.41|9.88|10.505|4.73|0|185230 63368|FISR|FISR|78470P507|US78470P5070|SSGA Active Trust|SPDR SSGA Fixed Income Sector Rotation ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN4-3|TXN3-6|TXN3-5|TXN2-3|7000000|||Monthly|||||2019-04-03||FISR.NV|FISR.SO|FISR.EU|FISR.TC|FISR.IV| | | | | | | | | ||The SPDR SSGA Fixed Income Sector Rotation ETF (the Fund) seeks to provide total return by focusingon investments in income and yield-generating assets.|N|0|N|N|416A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||25.32|0.0|0.0|0.0|0.0|25.32|25.32|0.0|0.0|0.0|25.32|0.0|25.315|25.33|0.0|25.3|0.0|25.32|0.0|25.32|25.06|25.59|0.0|0.0|25.31|25.35|25.24|25.37|25.24|25.39|25.31|25.35|26.79|24.08|38829|12430441 1534|FITB|FITB|316773100|US3167731005|Fifth Third Bancorp|COM USD6.67||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN6-6|TXN13-7|TXN6-6|TXN6-2|681020000|||NotApplicable|||||||||||| | | | | | | | | |||N|5|Y|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||||||30.65|30.65|0.0|30.46|30.65|30.65|30.65|30.655|0.0|0.0|30.66|30.65|30.66|30.67|30.655|30.65|30.635|30.65|30.66|30.66|30.64|30.67|28.39|32.3|30.64|30.66|30.61|30.7|30.63|0.0|30.65|30.66|38.055|22.11|6002874|1549148064 43299|FITBI|FITBI|316773605|US3167736053|Fifth Third Bancorp|DEP 1/1000 PFD||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN5-6|TXN14-8|TXN5-2|TXN5-2|18000000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|25.52|0.0|0.0|25.55|25.58|25.5462|25.41|0.0|0.0|25.58|0.0|25.6|25.42|0.0|0.0|25.57|25.65|0.0|25.6|0.0|0.0|0.0|0.0|25.04|26.09|0.0|0.0|0.0|0.0|25.6|25.68|25.93|21.08|105803|13899815 64737|FITBO|FITBO|316773860|US3167738604|Fifth Third Bancorp|DP SHS PFD K||U|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN5-5|TXN11-6|TXN5-6|TXN5-6|10000000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||22.96|23.01|0.0|0.0|0.0|22.95|22.79|0.0|0.0|0.0|22.98|0.0|22.9|0.0|0.0|0.0|0.0|22.79|0.0|22.9|0.0|0.0|0.0|0.0|22.27|23.51|0.0|0.0|0.0|0.0|22.75|23.05|24.0098|17.58|19383|5281577 64375|FITBP|FITBP|316773886|US3167738869|Fifth Third Bancorp|6% NCUM PFD B||B|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN6-2|TXN10-4|TXN6-6|TXN6-7|8000000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|24.1|24.12|0.0|0.0|24.21|0.0|24.06|0.0|0.0|0.0|0.0|24.25|0.0|24.25|0.0|0.0|0.0|0.0|23.55|24.94|0.0|0.0|0.0|0.0|24.06|24.44|25.18|20.87|13913|3880461 60354|FITE|FITE|78468R671|US78468R6716|SPDR Series Trust|SPDR S&P Kensho Future Security ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-5|TXN1-7|TXN5-8|TXN1-3|TXN3-7|720000|||Quarterly|||||2017-12-27||FITE.NV|FITE.SO|FITE.EU|FITE.TC|FITE.IV| | | | | | | | | |1x|The SPDR S&P Kensho Future Security ETF (the Fund) seeks to provide investment results that, before fees and expenses, correspond generally to the total return performance of the Kensho Future Security Index.|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||52.06|52.06|0.0|0.0|0.0|51.78|52.1|50.35|0.0|0.0|0.0|0.0|52.1|52.06|0.0|52.06|0.0|52.36|52.36|52.36|48.25|55.52|0.0|0.0|52.29|52.36|52.29|52.37|0.0|0.0|52.29|52.37|52.36|41.884|4889|691534 60426|FIVA|FIVA|316092717|US3160927170|Fidelity Covington Trust|Fidelity International Value Factor ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Fidelity SelectCo|RBC Capital Markets, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-4|TXN4-7|TXN2-8|TXN3-4|TXN4-6|3700000|||Quarterly|||||2018-01-18||FIVA.NV|FIVA.SO|FIVA.EU|FIVA.TC|FIVA.IV| | | | | | | | | |1x|The fund seeks to provide investment returns that correspond, before fees and expenses, generally to the performance of the Fidelity International Value Factor Index.|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||23.62|0.0|0.0|0.0|23.6|23.59|23.61|23.57|0.0|0.0|23.6|0.0|23.6|23.62|0.0|23.6|0.0|23.61|0.0|23.61|23.56|23.59|0.0|0.0|23.6|23.63|23.6|23.63|23.6|23.63|23.6|23.63|24.18|20.72|36961|4924118 40366|FIVE|FIVE|33829M101|US33829M1018|Five Below Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN6-8|TXN14-5|TXN6-1|TXN6-3|55190000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||USA||||40|4040|404010|40401030|Consumer Discretionary|Retail |Retailers |Specialty Retailers |N||N||||||Y|0|Y||||||201.37|201.37|0.0|201.36|201.27|201.38|201.24|201.305|0.0|0.0|201.37|201.95|201.44|201.46|201.07|201.36|201.93|201.24|201.87|201.44|200.35|202.93|188.88|215.08|200.35|202.73|200.97|201.65|201.24|201.44|201.24|201.44|220.19|144.57|761870|181265147 63107|FIVG|FIVG|26922A289|US26922A2895|ETF Series Solutions|Defiance Next Gen Connectivity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Defiance ETFs|Latour Trading, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-6|TXN1-4|TXN7-3|TXN4-5|TXN1-2|16700000|||Quarterly|||||2019-03-05||FIVG.NV|FIVG.SO|FIVG.EU|FIVG.TC|FIVG.IV| | | | | | | | | |1x|The Defiance 5G Next Gen Connectivity ETF (the Fund) seeks to track the total return performance, before fees and expenses, of the Bluestar 5G Next Gen Communication IndexBlueStar Global 5G Communications Index (the Index). The Index is a rules-based index that consists of a tiered-modified market cap modified equal-weighted portfolio of the stock of companies whose products or services are predominantly tied to the development of 5G networking and communication technologies (collectively, 5G Companies). 5G Companies consist primarily of those whose primary products or services are focused on broadband communications, satellite development and deployment, cell towers, software defined networks, and base stations.|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|1|||33.22|33.18|0.0|0.0|33.22|33.14|33.2184|33.13|0.0|0.0|33.12|0.0|33.205|33.12|0.0|33.2|0.0|33.2|0.0|33.2|33.2|33.27|31.0|35.15|33.2|33.21|33.16|33.3|33.12|33.3|33.2|33.21|34.49|28.75|38532|13535603 43881|FIVN|FIVN|338307101|US3383071012|Five9 Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN5-4|TXN12-5|TXN5-3|TXN6-5|72700000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||USA||||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||||||85.55|85.53|0.0|85.5|85.58|85.49|85.5|85.49|0.0|0.0|85.54|85.43|85.47|85.42|85.42|85.47|85.36|85.53|85.48|85.47|84.42|88.1|79.58|88.5|84.51|85.67|85.33|85.7|85.47|85.74|85.47|85.49|92.3999|51.005|7383935|297703859 24515|FIW|FIW|33733B100|US33733B1008|First Trust Exchange-Traded Fund|First Trust Water ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||First Trust|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-7|TXN1-7|TXN1-8|TXN3-1|TXN3-8|16050002|||Quarterly|||||2007-05-11||FIW.NV|FIW.SO|FIW.EU|FIW.TC|FIW.IV| | | | | | | | | |1x|The First Trust ISE Water Index Fund is an exchange-traded fund. 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Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-8|TXN5-5|TXN11-2|TXN5-1|TXN6-8|57930000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||0.56|0.5536|0.0|0.555|0.56|0.5555|0.5514|0.5582|0.0|0.0|0.5573|0.5558|0.5599|0.549|0.0|0.55|0.55|0.554|0.549|0.5599|0.5351|0.5811|0.4481|0.6583|0.5404|0.5768|0.533|0.578|0.5339|0.5771|0.5514|0.565|1.76|0.458|301654|55494437 6303|FIZZ|FIZZ|635017106|US6350171061|National Beverage Corp|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN5-1|TXN14-7|TXN5-4|TXN6-8|93350000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||45|4510|451010|45101020|Consumer Staples |Food, Beverage and Tobacco |Beverages|Soft Drinks|N||N||||||Y|0|Y||||||48.56|48.53|0.0|48.55|48.55|48.505|48.56|48.54|0.0|0.0|48.56|48.38|48.55|48.54|48.55|48.47|0.0|48.54|0.0|48.55|48.04|48.99|36.93|59.81|48.07|48.63|36.96|48.67|48.49|48.58|48.49|48.56|55.12|42.09|167042|35042119 68813|FJAN|FJAN|33740F623|US33740F6236|FT Cboe Vest US Equity Buffer ETF - January|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-6|TXN2-1|TXN2-7|TXN1-5|TXN1-6|10050000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||38.49|38.5919|0.0|38.49|38.55|38.49|38.54|38.54|0.0|0.0|38.49|0.0|38.56|38.49|38.49|38.49|38.49|38.5919|38.51|38.5919|36.61|40.48|38.54|38.69|38.55|38.63|38.5|38.69|38.5|38.64|38.55|38.63|38.76|32.34|57381|10498720 37787|FJP|FJP|33737J158|US33737J1584|First Trust Japan AlphaDEX Fund|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN5-3|TXN11-8|TXN6-4|TXN5-3|3600002|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||0.0|0.0|0.0|0.0|0.0|50.02|50.0581|0.0|0.0|0.0|0.0|0.0|49.98|0.0|0.0|0.0|0.0|50.0581|0.0|49.98|0.0|0.0|0.0|0.0|49.64|50.54|0.0|0.0|0.0|0.0|49.91|50.26|53.25|40.7956|6153|4954026 67019|FJUL|FJUL|33740U208|US33740U2087|Ft Cboe Vest U.S. Equity Buffer ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-8|TXN2-3|TXN2-8|TXN2-6|TXN4-1|14130000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||40.18|40.3|0.0|0.0|40.3|0.0|40.3099|40.28|0.0|0.0|0.0|0.0|40.29|40.26|0.0|0.0|0.0|40.3|40.26|40.3|31.1|49.2|31.1|49.2|40.22|40.31|40.18|49.2|40.19|40.3|40.22|40.31|40.87|33.8|25628|15993726 66796|FJUN|FJUN|33740F722|US33740F7226|First Trust Exchange-Traded Fund VIII - FT Cboe Vest U.S. Equity Buffer ETF - June|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-6|TXN3-6|TXN3-7|TXN2-5|TXN3-4|14750000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|42.68|0.0|0.0|0.0|0.0|42.568|42.67|0.0|0.0|0.0|0.0|42.59|0.0|0.0|0.0|0.0|42.68|0.0|42.68|32.43|52.84|32.43|42.74|42.6|42.69|42.56|42.73|42.56|42.74|42.6|42.69|42.85|35.612|9815|14723967 39597|FKU|FKU|33737J224|US33737J2244|First Trust United Kingdom AlphaDEX Fund|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN6-5|TXN12-2|TXN6-8|TXN6-1|550002|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|35.4|0.0|0.0|0.0|0.0|35.32|0.0|35.4|0.0|0.0|0.0|0.0|35.18|35.5|0.0|0.0|0.0|0.0|35.28|35.4|35.82|30.015|587|1064504 26868|FKWL|FKWL|355184102|US3551841022|Franklin Wireless Corp|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN5-3|TXN14-4|TXN5-1|TXN5-7|11780000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||15|1510|151010|15101010|Telecommunications|Telecommunications|Telecommunications Equipment|Telecommunications Equipment|N||N||||||Y|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|3.03|0.0|0.0|0.0|0.0|0.0|2.95|0.0|0.0|0.0|0.0|3.03|0.0|3.03|0.0|0.0|0.0|0.0|2.87|3.14|0.0|0.0|0.0|0.0|2.95|3.0|5.44|2.78|3890|1774026 6307|FL|FL|344849104|US3448491049|Foot Locker, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|C|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-4|TXN4-1|TXN4-6|TXN1-1|TXN2-5|94160000|||Quarterly|||||1912-06-26||||||| | | | | | | | | |||N|0|N|Y|146F|USA|US|||40|4040|404010|40401020|Consumer Discretionary|Retail |Retailers |Apparel Retailers|N||N||||||Y|0|Y||Y|2|||29.905|29.88|0.0|30.02|29.86|29.92|29.87|29.92|0.0|0.0|29.88|29.89|29.86|29.9|29.905|29.87|29.91|29.87|29.915|29.87|29.86|29.87|22.8|36.89|29.82|29.88|29.82|29.92|29.86|29.93|29.86|29.87|47.22|14.84|4108049|893510348 60015|FLAU|FLAU|35473P843|US35473P8436|Franklin Templeton ETF Trust|Franklin FTSE Australia ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Franklin Advisors|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-5|TXN1-3|TXN1-5|TXN3-5|TXN4-7|1100000|||BiAnnually|||||2017-11-06||FLAU.NV|FLAU.SO|FLAU.EC|FLAU.TC|FLAU.IV| | | | | | | | | |1x|To seek to provide investment results that closely correspond, before fees and expenses, to the performance of the FTSE Australia RIC Capped Index (the Australia Underlying Index).|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|26.5242|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|26.4031|0.0|26.4031|0.0|0.0|0.0|0.0|26.38|26.42|0.0|0.0|0.0|0.0|26.38|26.42|29.57|23.99|1433|872414 60662|FLAX|FLAX|35473P660|US35473P6604|Franklin Templeton ETF Trust|Franklin FTSE Asia ex-Japan ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Franklin Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-8|TXN4-8|TXN1-5|TXN3-8|TXN3-4|1600000|||BiAnnually|||||2018-02-07||FLAX.NV|FLAX.SO|FLAX.EC|FLAS.TC|FLAX.IV| | | | | | | | | |1x|To seek to provide investment results that closely correspond, before fees and expenses, to the performance of the FTSE Asia Pacific ex Japan, Australia, New Zealand Index (the Asia Pacific ex Japan, Australia, New Zealand Underlying Index).|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|20.68|20.68|0.0|0.0|20.76|0.0|0.0|0.0|0.0|0.0|0.0|20.7841|0.0|20.7841|0.0|0.0|0.0|0.0|20.76|20.81|0.0|0.0|0.0|0.0|20.76|20.81|22.95|19.64|5141|1687310 61076|FLBL|FLBL|35473P595|US35473P5952|Franklin Senior Loan ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-6|TXN1-7|TXN1-5|TXN3-8|TXN3-7|11850000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||24.0|24.0|0.0|0.0|24.0|23.99|24.0|24.0|0.0|0.0|24.0|24.0|23.995|24.0|0.0|23.99|23.995|24.0|24.0|24.0|23.97|24.0|18.59|29.58|23.98|24.0|23.97|24.01|0.0|0.0|23.99|24.0|24.3|22.91|94003|19870039 60016|FLBR|FLBR|35473P835|US35473P8352|Franklin Templeton ETF Trust|Franklin FTSE Brazil ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Franklin Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-8|TXN3-3|TXN1-8|TXN4-8|TXN3-5|7700000|||BiAnnually|||||2017-11-06||FLBR.NV|FLBR.SO|FLBR.EC|FLBR.TC|FLBR.IV| | | | | | | | | |1x|To seek to provide investment results that closely correspond, before fees and expenses, to the performance of the FTSE Brazil RIC Capped Index (the Brazil Underlying Index).|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|1|||0.0|0.0|0.0|0.0|0.0|20.14|20.19|20.28|0.0|0.0|20.4|0.0|20.17|20.141|0.0|20.269|0.0|20.14|0.0|20.14|0.0|0.0|0.0|0.0|20.15|20.18|20.08|20.26|20.08|20.26|20.15|20.18|20.67|15.35|22003|18795536 6311|FLC|FLC|338479108|US3384791089|Flaherty & Crumrine Total Return Fund Incorporated|Common Stock|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN4-2|TXN9-8|TXN4-7|TXN4-8|10410000|||Monthly|||||2003-08-27||||||| | | | | | | | | |||N|0|N|N|406B|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||14.36|14.36|0.0|0.0|14.43|14.36|14.3826|14.38|0.0|0.0|14.36|0.0|14.36|14.43|0.0|14.41|14.45|14.43|0.0|14.41|14.38|14.43|11.03|17.7|13.41|15.43|11.03|17.7|0.0|0.0|14.38|14.43|18.07|12.6249|65495|6851482 60017|FLCA|FLCA|35473P827|US35473P8279|Franklin Templeton ETF Trust|Franklin FTSE Canada ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Franklin Advisors|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN2-2|TXN2-5|TXN2-6|TXN4-1|11500000|||BiAnnually|||||2017-11-06||FLCA.NV|FLCA.SO|FLCA.EC|FLCA.TC|FLCA.IV| | | | | | | | | |1x|To seek to provide investment results that closely correspond, before fees and expenses, to the performance of the FTSE Canada RIC Capped Index (the Canada Underlying Index).|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||31.2|31.64|0.0|0.0|31.91|31.94|31.925|31.93|0.0|0.0|31.91|0.0|31.9|0.0|0.0|0.0|0.0|31.95|0.0|31.95|31.91|31.95|0.0|0.0|31.91|31.95|31.79|32.08|31.79|32.08|31.91|31.95|32.57|28.3201|54522|11117112 64619|FLCB|FLCB|35473P553|US35473P5531|Franklin Templeton ETF Trust|Franklin U.S. Core Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Franklin Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-4|TXN4-5|TXN9-8|TXN3-7|TXN1-2|83500000|||Monthly|||||2019-09-19||FLCB.NV|FLCB.SO|FLCB.EU|FLCB.TC|FLCB.IV| | | | | | | | | ||The Funds investment goal is to seek to provide total return. |N|0|N|N|416A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|1|||21.02|21.03|0.0|0.0|0.0|21.03|21.0307|21.005|0.0|0.0|21.03|0.0|21.02|20.99|21.04|21.03|0.0|21.02|0.0|21.02|19.58|22.49|19.58|22.49|21.02|21.05|19.58|22.49|0.0|0.0|21.02|21.05|22.0105|19.97|111340|48020991 60018|FLCH|FLCH|35473P819|US35473P8196|Franklin Templeton ETF Trust|Franklin FTSE China ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Franklin Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-6|TXN4-8|TXN6-8|TXN2-6|TXN4-7|6200000|||BiAnnually|||||2017-11-06||FLCH.NV|FLCH.SO|FLCH.EC|FLCH.TC|FLCH.IV| | | | | | | | | |1x|To seek to provide investment results that closely correspond, before fees and expenses, to the performance of the FTSE China RIC Capped Index (the China Underlying Index).|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||16.549|16.42|0.0|0.0|16.42|16.35|16.37|16.63|0.0|0.0|16.35|0.0|16.41|16.629|0.0|0.0|0.0|16.3817|0.0|16.3817|0.0|0.0|0.0|0.0|16.37|16.39|0.0|0.0|0.0|0.0|16.37|16.39|22.18|16.01|38967|7553422 54075|FLCO|FLCO|35473P603|US35473P6034|Franklin Templeton ETF Trust|Franklin Investment Grade Corporate ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Franklin Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-3|TXN4-5|TXN7-8|TXN2-1|TXN2-2|29900000|||Monthly|||||2016-10-05||FLCO.NV|FLCO.SO|FLCO.EU|FLCO.TC|FLCO.IV| | | | | | | | | ||The Funds investment goal is to seek to provide a high level of current income as is consistent with prudent investing, while seeking preservation of capital. The Funds investment goal is non-fundamental, which means it may be changed by the Board of Trustees without shareholder approval. Shareholders will be given at least 60 days advance notice of any change to the Funds investment goal.In choosing investments, the Funds investment manager selects securities in various market sectors based on the investment managers assessment of changing economic, market, industry and issuer conditions. The investment manager uses a top-down analysis of macroeconomic trends, combined with a bottom-up fundamental analysis of market sectors, industries and issuers, to try to take advantage of varying sector reactions to economic events. The Funds portfolio is constructed by taking into account the investment managers desired duration and yield curve exposure, total return potential, as well as the appropriate diversification and risk profile at the issue, company and industry level.|N|0|N|N|416A|USA|US|FIXED_INCOME|ACTIVE|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|20.99|0.0|0.0|21.02|20.965|20.98|20.96|0.0|0.0|20.95|0.0|20.975|21.01|0.0|20.97|20.975|20.9895|20.532547|20.9895|20.97|21.04|0.0|0.0|20.96|21.0|0.0|0.0|0.0|0.0|20.96|21.0|22.04|19.68|27966|12749764 61125|FLDR|FLDR|316188408|US3161884081|Fidelity Merrimack Street Trust - Low Duration bond factor ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN1-3|TXN6-8|TXN2-7|TXN1-5|5580000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||GBR||||||||||||N||N||||||N|0|Y||||||49.71|49.705|0.0|0.0|49.7|49.705|49.7068|49.71|0.0|0.0|49.66|0.0|49.69|49.7|0.0|49.71|0.0|49.705|49.61|49.705|49.14|50.18|0.0|0.0|49.43|49.95|46.22|53.18|0.0|0.0|49.67|49.72|50.39|49.3|51745|6967250 73099|FLDZ|FLDZ|53656F227|US53656F2276|RiverNorth Patriot ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-8|TXN1-6|TXN1-5|TXN2-8|TXN3-2|140000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|23.3643|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|23.3643|0.0|23.3643|0.0|0.0|0.0|0.0|22.97|23.69|21.95|24.39|0.0|0.0|23.34|23.38|23.757|20.5792|0|14863 60029|FLEE|FLEE|35473P652|US35473P6521|Franklin Templeton ETF Trust|Franklin FTSE Europe ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Franklin Advisors|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-8|TXN3-3|TXN9-8|TXN3-6|TXN4-6|4800000|||BiAnnually|||||2017-11-06||FLEE.NV|FLEE.SO|FLEE.EC|FLEE.TC|FLEE.IV| | | | | | | | | |1x|To seek to provide investment results that closely correspond, before fees and expenses, to the performance of the FTSE Developed Europe RIC Capped Index (the Developed Europe Underlying Index).|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|27.14|27.171|0.0|0.0|0.0|0.0|0.0|27.14|25.65|0.0|0.0|0.0|27.1893|0.0|27.1893|27.17|27.22|0.0|0.0|27.17|27.22|0.0|0.0|0.0|0.0|27.17|27.22|28.8799|23.76|2363|5741296 60030|FLEU|FLEU|35473P645|US35473P6455|Franklin Templeton ETF Trust|Franklin FTSE Eurozone ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Franklin Advisors|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-7|TXN1-8|TXN5-8|TXN4-6|TXN4-2|800000|||BiAnnually|||||2017-11-06||FLEH.NV|FLEH.SO|FLEH.EC|FLEH.TC|FLEH.IV| | | | | | | | | |1x|To seek to provide investment results that closely correspond, before fees and expenses, to the performance of the FTSE Developed Europe RIC Capped Hedged to USD Index (the Developed Europe Hedged Underlying Index).|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|23.81|23.5401|23.58|0.0|0.0|0.0|0.0|23.63|0.0|0.0|0.0|0.0|23.6682|0.0|23.6682|0.0|0.0|0.0|0.0|23.6|23.73|0.0|0.0|0.0|0.0|23.6|23.73|24.11|20.01|1861|481755 1542|FLEX|FLEX|Y2573F102|SG9999000020|Flex Ltd|ORD USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN5-5|TXN10-3|TXN6-1|TXN5-7|433400000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||SGP||||10|1010|101020|10102015|Technology|Technology|Technology Hardware and Equipment|Electronic Components|N||N||||||Y|0|Y||||||25.43|25.425|0.0|25.44|25.43|25.44|25.415|25.43|0.0|0.0|25.43|25.44|25.42|25.42|25.45|25.42|25.455|25.42|25.43|25.42|25.42|25.44|19.74|31.55|25.42|25.43|25.4|25.45|25.41|25.44|25.42|25.43|28.9|19.4401|3932780|978547505 74352|FLFV|FLFV|31561T102|US31561T1025|Feutune Light Acquisition Corporation|CL A COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN5-1|TXN14-7|TXN6-4|TXN5-8|5540000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|10.84|10.78|0.0|0.0|0.0|0.0|0.0|10.79|0.0|0.0|10.821|0.0|10.78|0.0|10.78|0.0|0.0|0.0|0.0|10.15|11.53|0.0|0.0|0.0|0.0|10.76|10.79|11.99|10.07|19440|7604578 74353|FLFVR|FLFVR|31561T128||Feutune Light Acquisition Corporation Right|||D|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-7|TXN5-4|TXN10-8|TXN6-4|TXN5-5|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||50|5020|502040|50204000|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Industrial|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.05|0.14|0.5283|0.0124|0|3044833 74165|FLFVU|FLFVU|31561T201|US31561T2015|Feutune Light Acquisition Corporation|UNITS||R|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN5-7|TXN14-2|TXN5-6|TXN5-3|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.75|11.1|11.61|10.08|0|70044 74354|FLFVW|FLFVW|31561T110|US31561T1108|Feutune Light Acquisition Corporation|WT EXP 060129||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-5|TXN5-7|TXN10-4|TXN6-5|TXN5-1|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.012|0.0299|0.3569|0.0099|0|4087881 60028|FLGB|FLGB|35473P678|US35473P6786|Franklin Templeton ETF Trust|Franklin FTSE United Kingdom ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Franklin Advisors|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-4|TXN1-8|TXN7-8|TXN3-3|TXN3-8|24950000|||BiAnnually|||||2017-11-06||FLGB.NV|FLGB.SO|FLGB.EC|FLGB.TC|FLGB.IV| | | | | | | | | |1x|To seek to provide investment results that closely correspond, before fees and expenses, to the performance of the FTSE UK RIC Capped Index (the United Kingdom Underlying Index).|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|1|||0.0|24.67|0.0|0.0|0.0|24.67|24.68|24.675|0.0|0.0|24.68|0.0|24.69|24.66|24.65|24.68|24.65|24.68|23.93|24.68|24.68|24.7|24.64|24.69|24.68|24.7|24.56|24.85|24.58|24.8|24.68|24.7|25.55|22.5001|868046|38388999 70554|FLGC|FLGC|339764201|CA3397642016|Flora Growth Corp|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN5-6|TXN10-2|TXN6-7|TXN6-1|8210000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103020|Health Care |Health Care |Pharmaceuticals and Biotechnology|Cannabis Producers|N||N||||||N|0|Y|D|||||1.39|1.375|0.0|0.0|0.0|1.375|1.3799|1.39|0.0|0.0|1.39|1.4|1.39|0.0|0.0|0.0|0.0|1.38|0.0|1.39|1.31|1.43|1.11|1.68|1.32|1.42|1.32|1.43|1.31|1.44|1.37|1.39|5.48|0.171|108555|179585132 60020|FLGR|FLGR|35473P785|US35473P7859|Franklin Templeton ETF Trust|Franklin FTSE Germany ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Franklin Advisors|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN2-6|TXN5-8|TXN3-2|TXN1-4|700000|||BiAnnually|||||2017-11-06||FLGR.NV|FLGR.SO|FLGR.EC|FLGR.TC|FLGR.IV| | | | | | | | | |1x|To seek to provide investment results that closely correspond, before fees and expenses, to the performance of the FTSE Germany RIC Capped Index (the Germany Underlying Index).|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|22.2558|0.0|0.0|0.0|0.0|0.0|22.3|22.3|0.0|22.33|0.0|22.3496|0.0|22.3496|22.33|22.38|0.0|0.0|22.31|22.36|22.16|22.48|22.17|22.48|22.31|22.36|23.2|18.96|1334|791704 54010|FLGT|FLGT|359664109|US3596641098|Fulgent Genetics Inc|COM USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN5-4|TXN13-1|TXN6-2|TXN5-5|29630000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201020|20102020|Health Care |Health Care |Medical Equipment and Services|Medical Services|N||N||||||Y|0|Y||||||27.48|27.54|0.0|27.59|27.45|27.53|27.49|27.5|0.0|0.0|27.51|27.55|27.47|27.63|0.0|27.52|0.0|27.44|27.555|27.47|27.23|27.77|21.51|33.87|27.26|27.73|27.4|27.52|27.42|27.54|27.45|27.49|44.09|23.09|160445|51099784 66693|FLGV|FLGV|35473P488|US35473P4880|Franklin Templeton ETF Trust|Franklin U.S. Treasury Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Franklin Advisors|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-8|TXN1-2|TXN7-5|TXN3-6|TXN3-8|22550000|||Monthly|||||2020-06-11||FLGV.NV|FLGV.SO|FLGV.EU|FLGV.TC|FLGV.IV| | | | | | | | | ||The Funds investment goal is income.|N|0|N|N|416A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|20.118041|0.0|0.0|0.0|20.31|20.331|20.228041|0.0|0.0|20.31|0.0|0.0|20.34|20.31|0.0|0.0|20.331|0.0|20.331|20.33|20.35|20.33|24.95|20.33|20.34|20.32|20.35|20.3|20.36|20.33|20.35|21.44|19.59|223503|14443312 60021|FLHK|FLHK|35473P777|US35473P7776|Franklin Templeton ETF Trust|Franklin FTSE Hong Kong ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Franklin Advisors|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-4|TXN2-8|TXN4-8|TXN2-2|TXN3-6|600000|||BiAnnually|||||2017-11-06||FLHK.NV|FLHK.SO|FLHK.EC|FLHK.TC|FLHK.IV| | | | | | | | | |1x|To seek to provide investment results that closely correspond, before fees and expenses, to the performance of FTSE Hong Kong RIC Capped Index (the Hong Kong Underlying Index).|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||17.61|0.0|0.0|0.0|0.0|17.7|17.6103|17.76|0.0|0.0|0.0|0.0|17.65|0.0|0.0|17.65|0.0|17.6548|0.0|17.6548|17.61|17.7|0.0|0.0|17.6|17.72|0.0|0.0|0.0|0.0|17.6|17.72|23.4|17.0|3323|721347 61077|FLHY|FLHY|35473P629|US35473P6299|Franklin High Yield Corporate ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-4|TXN4-5|TXN1-5|TXN4-6|TXN2-8|10000000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||23.04|23.05|0.0|0.0|23.04|23.03|23.04|22.99|0.0|0.0|23.01|0.0|23.04|23.04|0.0|23.03|0.0|23.05|0.0|23.05|0.0|0.0|0.0|0.0|23.02|23.06|0.0|0.0|0.0|0.0|23.04|23.06|23.36|21.74|59965|8345256 61078|FLIA|FLIA|35473P611|US35473P6117|Franklin International Aggregate Bond ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-4|TXN3-8|TXN8-8|TXN2-1|TXN1-6|21550000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||GBR||||||||||||N||N||||||N|0|Y||||||0.0|20.01|0.0|0.0|0.0|20.0|20.005|20.005|0.0|0.0|19.98|0.0|20.005|19.97|0.0|0.0|0.0|20.01|0.0|20.01|15.4|24.59|15.4|24.59|20.0|20.01|15.4|24.59|0.0|0.0|19.98|20.01|22.52|19.1801|67088|21163662 1543|FLIC|FLIC|320734106|US3207341062|First of Long Island Corp (The)|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN5-3|TXN13-8|TXN5-7|TXN6-3|22590000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||||||0.0|12.11|0.0|0.0|12.1|12.1|12.1|12.02|0.0|0.0|12.1|12.04|12.1|12.11|0.0|0.0|12.03|12.1|0.0|12.1|11.99|12.23|9.11|14.81|12.0|12.22|12.03|12.13|12.05|12.12|12.07|12.09|19.47|8.79|89315|26008746 60659|FLIN|FLIN|35473P769|US35473P7693|Franklin Templeton ETF Trust|Franklin FTSE India ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Franklin Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-8|TXN3-8|TXN6-8|TXN1-3|TXN1-2|14800000|||BiAnnually|||||2018-02-08||FLIN.NV|FLIN.SO|FLIN.EC|FLIN.TC|FLIN.IV| | | | | | | | | |1x|To seek to provide investment results that closely correspond, before fees and expenses, to the performance of the FTSE India RIC Capped Index (the India Underlying Index).|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||33.54|33.54|0.0|0.0|33.61|33.57|33.51|33.61|0.0|0.0|33.54|0.0|33.61|33.51|33.51|33.61|0.0|33.51|0.0|33.51|33.51|33.56|0.0|0.0|33.5|33.56|33.43|33.88|0.0|0.0|33.5|33.56|33.68|26.82|56740|19714500 64959|FLJ|FLJ|74738J201|US74738J2015|FLJ Group Ltd|ADS||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-8|TXN6-8|TXN11-5|TXN5-5|TXN6-5|2587892040000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||35|3510|351010|35101015|Real Estate|Real Estate |Real Estate Investment and Services Development|Real Estate Services|N||N||||||N|0|Y||||||0.1181|0.1173|0.0|0.121|0.1181|0.117|0.1199|0.1171|0.0|0.0|0.12|0.12|0.12|0.115|0.0|0.1186|0.119|0.1186|0.121|0.12|0.0959|0.1436|0.0959|0.1424|0.112|0.122|0.0959|0.1424|0.0|0.0|0.1186|0.12|4.06|0.0972|5401390|279732935 60024|FLJH|FLJH|35473P637|US35473P6372|Franklin Templeton ETF Trust|Franklin FTSE Japan Hedged ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Franklin Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-7|TXN4-2|TXN6-8|TXN1-6|TXN4-1|1100000|||BiAnnually|||||2017-11-06||FLJH.NV|FLJH.SO|FLJH.EC|FLJH.TC|FLJH.IV| | | | | | | | | |1x|To seek to provide investment results that closely correspond, before fees and expenses, to the performance of the FTSE Japan RIC Capped Hedged to USD Index (the Japan Hedged Underlying Index).|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|32.5|32.54|32.93|0.0|0.0|32.95|0.0|0.0|0.0|0.0|0.0|0.0|32.5546|0.0|32.5546|32.36|32.56|0.0|0.0|32.55|32.56|0.0|0.0|0.0|0.0|32.55|32.56|33.13|24.0|16928|18186248 60023|FLJP|FLJP|35473P744|US35473P7446|Franklin Templeton ETF Trust|Franklin FTSE Japan ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Franklin Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-5|TXN2-1|TXN7-8|TXN4-7|TXN4-1|61800000|||BiAnnually|||||2017-11-06||FLJP.NV|FLJP.SO|FLJP.EC|FLJP.TC|FLJP.IV| | | | | | | | | |1x|To seek to provide investment results that closely correspond, before fees and expenses, to the performance of the FTSE Japan RIC Capped Index (the Japan Underlying Index).|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|1|||27.66|27.27|0.0|0.0|27.27|27.29|27.275|27.66|0.0|0.0|27.28|27.29|27.275|27.24|27.27|27.29|27.27|27.29|0.0|27.29|27.27|29.11|27.2|27.35|27.27|27.28|27.19|27.36|27.2|27.36|27.27|27.28|28.3375|23.47|176398|88335169 60026|FLKR|FLKR|35473P710|US35473P7107|Franklin Templeton ETF Trust|Franklin FTSE South Korea ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Franklin Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-7|TXN4-4|TXN4-8|TXN1-7|TXN4-4|13300000|||BiAnnually|||||2017-11-06||FLKR.NV|FLKR.SO|FLKR.EC|FLKR.TC|FLKR.IV| | | | | | | | | |1x|To seek to provide investment results that closely correspond, before fees and expenses, to the performance of the FTSE South Korea RIC Capped Index (the South Korea Underlying Index).|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|1|||21.41|0.0|0.0|0.0|21.22|21.26|21.26|21.32|0.0|0.0|0.0|0.0|0.0|21.22|0.0|21.57|0.0|21.3031|0.0|21.3031|21.23|21.29|0.0|0.0|21.27|21.33|0.0|0.0|0.0|0.0|21.27|21.33|23.31|18.6353|17086|21002111 6314|FLL|FLL|359678109|US3596781092|Full House Resorts Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN5-5|TXN10-5|TXN5-7|TXN5-8|34590000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4050|405010|40501020|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Casinos and Gambling|N||N||||||Y|0|Y||||||5.36|5.35|0.0|5.23|5.35|5.34|5.35|5.34|0.0|0.0|5.35|5.27|5.35|5.34|5.24|0.0|0.0|5.32|0.0|5.35|5.23|5.45|4.08|6.48|5.24|5.44|5.0|5.37|5.3|5.38|5.34|5.35|10.13|3.4001|142664|30114903 61936|FLLA|FLLA|35473P561|US35473P5614|Franklin Templeton ETF Trust|Franklin FTSE Latin America ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Franklin Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-4|TXN2-3|TXN3-8|TXN1-3|TXN3-2|2800000|||BiAnnually|||||2018-10-11||FLLA.NV|FLLA.SO|FLLA.EU|FLLA.TC|FLLA.IV| | | | | | | | | |1x|To seek to provide investment results that closely correspond, before fees andexpenses, to the performance of the FTSE Latin America RIC Capped Index (theFTSE Latin America Capped Index).|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|23.52|23.55|23.52|0.0|0.0|0.0|0.0|23.61|0.0|0.0|0.0|0.0|23.55|0.0|23.55|23.58|23.66|0.0|0.0|23.54|23.56|0.0|0.0|0.0|0.0|23.54|23.56|24.08|18.7538|10314|3256663 53969|FLLV|FLLV|35473P504|US35473P5044|Franklin Templeton ETF Trust|Franklin U.S. Low Volatility ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Franklin Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-5|TXN1-4|TXN6-8|TXN4-5|TXN4-4|2700000|||Quarterly|||||2016-09-22||FLLV.NV|FLLV.SO|FLLV.EU|FLLV.TC|FLLV.IV| | | | | | | | | ||The Funds investment goal is to seek capital appreciation with an emphasis on lower volatility. The Fund seeks capital appreciation while providing a lower level of volatility than the broader equity market as measured by the Russell 1000 Index. Volatility is a statistical measurement of the frequency and level of up and down fluctuations of a funds returns over time. Therefore, in this context, seeking to provide a lower level of volatility than the broader equity market means that the Fund seeks returns that fluctuate less than the returns of the Russell 1000 Index. |N|0|N|N|416A|USA|US|EQUITY|ACTIVE|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||50.36|50.3|0.0|0.0|0.0|0.0|50.4321|0.0|0.0|0.0|0.0|0.0|50.43|50.27|0.0|50.3|0.0|50.4291|50.36|50.4291|50.4|50.93|0.0|0.0|50.4|50.44|50.4|50.44|0.0|0.0|50.4|50.44|50.81|44.73|5997|3680017 59504|FLMB|FLMB|35473P850|US35473P8501|Franklin Templeton ETF Trust|Franklin Municipal Green Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Franklin Advisors|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN1-1|TXN3-8|TXN3-1|TXN3-6|4600000|||Monthly|||||2017-09-05||FLMB.NV|FLMB.SO|FLMB.EU|FLMB.TC|FLMB.IV| | | | | | | | | ||The Funds investment goal is to provide a high level of current income that is exempt from federal income taxes.The investment manager selects securities that it believes will provide the best balance between risk and return within the Funds range of allowable investments and typically uses a buy and hold strategy. This means it generally holds securities in the Funds portfolio for income purposes, rather than trading securities for capital gains, although the investment manager may sell a security at any time if it believes it could help the Fund meet its goal.The Fund is an actively managed exchange-traded fund (ETF) that does not seek to replicate the performance of a specified index. The Fund may have a higher degree of portfolio turnover than funds that seek to replicate the performance of an index.|N|0|N|N|416A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|23.55|23.51|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|23.545|0.0|23.545|0.0|0.0|0.0|0.0|23.5|23.6|0.0|0.0|0.0|0.0|23.5|23.59|24.295|21.9201|67|1764699 70278|FLME|FLME|33850F108|US33850F1084|Flame Acquisition Corp.|Class A Common Stock|Special purpose acquisition company|A|N|N|N|Y|Y|Y|Y|Y|6|S|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN4-3|TXN6-8|TXN1-1|TXN2-8|13290000|||NotApplicable|||||2021-04-19||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||10.59|10.58|0.0|0.0|10.6|10.55|10.54|0.0|0.0|0.0|10.58|0.0|10.58|10.58|10.58|10.6|0.0|10.6|10.58|10.6|9.76|10.6|10.48|10.6|9.85|11.23|0.0|0.0|0.0|0.0|10.48|10.6|10.66|9.91|15328|18976749 70279|FLME WS|FLME.WS|33850F116|US33850F1167|Flame Acquisition Corp.|Warrants, each whole warrant exercisable for one share of Class A Common Stock at an exercise price of $11.50|Special purpose acquisition company|C|N|N|N|Y|Y|Y|Y|Y|6|S|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN3-8|TXN4-7|TXN2-8|TXN3-5|TXN3-5|0|||NotApplicable|||||2021-04-19||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||||||||||N||N||||||N|0|Y||N||||0.0|0.0|0.0|0.0|0.0|0.0|0.56|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.585|0.0|0.585|0.0|0.585|0.57|0.5785|0.0|0.0|0.5321|0.6|0.0|0.0|0.0|0.0|0.57|0.5785|0.94|0.2424|70114|9365792 69320|FLME U|FLME.U|33850F207|US33850F2074|Flame Acquisition Corp.|Units, each consisting of one share of Class A Common Stock, and one-half of one Warrant|Special purpose acquisition company|R|N|N|N|Y|Y|Y|Y|Y|6|T|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN4-4|TXN5-8|TXN3-8|TXN3-7|0|||NotApplicable|||||2021-02-25||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.47|11.0|0.0|0.0|10.47|11.49|8.38|13.2|0.0|0.0|10.47|11.0|11.22|9.7117|0|806134 59503|FLMI|FLMI|35473P868|US35473P8683|Franklin Templeton ETF Trust|Franklin Dynamic Municipal Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Franklin Advisors|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-6|TXN1-6|TXN1-5|TXN1-4|TXN1-7|6300000|||Monthly|||||2017-09-05||FLMI.NV|FLMI.SO|FLMI.EU|FLMI.TC|FLMI.IV| | | | | | | | | ||The Funds investment goal is to provide a high level of current income that is exempt from federal income taxes.The investment manager selects securities that it believes will provide the best balance between risk and return within the Funds range of allowable investments and typically uses a buy and hold strategy. This means it generally holds securities in the Funds portfolio for income purposes, rather than trading securities for capital gains, although the investment manager may sell a security at any time if it believes it could help the Fund meet its goal.The Fund is an actively managed exchange-traded fund (ETF) that does not seek to replicate the performance of a specified index. The Fund may have a higher degree of portfolio turnover than funds that seek to replicate the performance of an index.|N|0|N|N|416A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|23.695|0.0|0.0|23.71|23.69|23.68|23.69|0.0|0.0|0.0|23.463443|23.68|23.7|0.0|0.0|0.0|23.71|0.0|23.71|18.31|29.08|18.31|29.08|23.67|23.71|18.31|29.08|0.0|0.0|23.68|23.71|25.94|22.5|54701|5705578 60025|FLMX|FLMX|35473P736|US35473P7362|Franklin Templeton ETF Trust|Franklin FTSE Mexico ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Franklin Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN4-3|TXN9-8|TXN4-3|TXN4-8|1150000|||BiAnnually|||||2017-11-06||FLMX.NV|FLMX.SO|FLMX.EC|FLMX.TC|FLMX.IV| | | | | | | | | |1x|To seek to provide investment results that closely correspond, before fees and expenses, to the performance of the FTSE Mexico RIC Capped Index (the Mexico Underlying Index).|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|30.89|0.0|30.89|0.0|30.85|30.855|0.0|0.0|0.0|30.935|30.9|30.9|30.94|30.94|0.0|0.0|31.0161|30.89|31.0161|0.0|0.0|0.0|0.0|30.97|31.02|0.0|0.0|0.0|0.0|30.97|31.02|32.37|24.43|22892|2774864 37782|FLN|FLN|33737J125|US33737J1253|First Trust Latin America AlphaDEX Fund|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN5-4|TXN14-4|TXN6-4|TXN5-2|3400002|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|19.52|0.0|0.0|0.0|19.49|19.465|0.0|0.0|0.0|19.52|19.62|19.465|19.61|19.52|19.52|0.0|19.465|0.0|19.465|0.0|0.0|0.0|0.0|19.24|19.71|0.0|0.0|0.0|0.0|19.41|19.52|20.14|15.9238|54186|3752394 72166|FLNC|FLNC|34379V103|US34379V1035|Fluence Energy Inc|COM CL A USD0.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN6-2|TXN14-2|TXN5-5|TXN5-6|119310000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||60|6010|601020|60102010|Energy|Energy|Alternative Energy|Alternative Fuels |N||N||||||Y|0|Y||||||26.91|26.9|0.0|27.11|26.9|26.92|26.95|26.93|0.0|0.0|26.93|26.93|26.94|26.95|26.95|26.92|27.0|26.95|26.91|26.94|26.72|27.18|20.89|33.09|26.73|27.18|20.89|31.8|0.0|0.0|26.9|26.94|31.32|14.02|2344099|301576641 63854|FLNG|FLNG|G35947202|BMG359472021|FLEX LNG Ltd.|Ordinary Shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|5|A|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-7|TXN3-4|TXN7-6|TXN2-2|TXN4-2|53680000|||Quarterly|||||2019-06-17||||||| | | | | | | | | |||N|0|N|Y|134F|BMU|BM|||50|5020|502060|50206030|Industrials|Industrial Goods and Services|Industrial Transportation|Marine Transportation|N||N||||||Y|0|Y||Y|2|||29.31|28.97|0.0|28.97|28.98|28.97|28.96|28.955|0.0|0.0|28.98|29.04|28.97|28.96|29.09|28.98|29.27|28.96|29.32|28.98|28.96|28.98|22.5|35.53|28.8|29.12|28.94|29.0|28.94|29.0|28.96|28.98|37.385|27.7626|283126|80108279 26636|FLNT|FLNT|34380C102|US34380C1027|Fluent Inc|COM USD.0005||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-4|TXN5-4|TXN14-8|TXN6-1|TXN6-3|81240000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4030|403010|40301020|Consumer Discretionary|Media|Media|Media Agencies|N||N||||||N|0|Y||||||0.5118|0.5135|0.0|0.0|0.5106|0.515|0.515|0.5149|0.0|0.0|0.5149|0.5149|0.515|0.0|0.0|0.0|0.0|0.515|0.5172|0.515|0.4953|0.5311|0.416|0.612|0.4998|0.5253|0.485|0.5479|0.0|0.0|0.51|0.515|1.81|0.391|140441|36379030 6315|FLO|FLO|343498101|US3434981011|Flowers Foods, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|M|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-3|TXN2-5|TXN1-4|TXN4-8|TXN1-8|211120000|||Quarterly|||||2001-03-22||||||| | | | | | | | | |||N|0|Y|Y|118B|USA|US|||45|4510|451020|45102020|Consumer Staples |Food, Beverage and Tobacco |Food Producers|Food Products|N||N||||||Y|0|Y||Y|1|||21.62|21.61|0.0|21.56|21.62|21.615|21.615|21.61|0.0|0.0|21.615|21.63|21.61|21.625|21.62|21.61|21.6|21.62|21.615|21.61|21.61|21.62|20.34|23.08|21.61|21.63|21.6|21.64|21.59|21.62|21.61|21.62|30.14|19.64|1076099|422147838 38379|FLOT|FLOT|46429B655|US46429B6552|iShares Floating Rate Bond ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-1|TXN1-3|TXN9-8|TXN3-4|TXN2-2|148100000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||50.62|50.62|0.0|0.0|50.62|50.625|50.63|50.63|0.0|0.0|50.625|50.63|50.625|50.62|50.63|50.625|50.63|50.62|0.0|50.62|50.62|50.64|47.5|53.84|50.62|50.63|48.11|53.17|49.59|51.67|50.62|50.63|50.97|49.1|973935|343523530 75997|FLOW|FLOW|37960A578|US37960A5781|Global X Funds|Global X U.S. Cash Flow Kings 100 ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Global X|Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-6|TXN4-7|TXN8-8|TXN1-4|TXN3-3|140000|||Monthly|||||2023-07-12||FLOW.NV|FLOW.SO|FLOW.EU|FLOW.TC|FLOW.IV| | | | | | | | | |1x|The Global X U.S. Cash Flow Kings 100 ETF (Fund) seeks to provide investment results that correspond generally to the price and yield performance, before fees and expenses, of the Global X U.S. Cash Flow Kings 100 Index (Underlying Index).|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|27.005|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|27.3186|0.0|27.3186|0.0|0.0|27.27|27.34|27.27|27.35|0.0|0.0|0.0|0.0|27.27|27.35|27.5299|24.995|358|92303 57195|FLQL|FLQL|35473P801|US35473P8014|Franklin US Large Cap Multifactor Index ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-2|TXN4-8|TXN3-5|TXN2-2|TXN1-8|23950000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||45.91|45.89|0.0|0.0|45.86|45.79|45.93|45.86|0.0|0.0|0.0|0.0|45.91|45.83|45.92|45.79|45.85|45.89|0.0|45.89|45.87|48.82|45.84|45.95|45.87|45.95|45.84|45.95|45.84|45.95|45.87|45.96|46.22|38.63|100070|17067123 57200|FLQM|FLQM|35473P884|US35473P8840|Franklin U.S. Mid Cap Multifactor Index ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-3|TXN1-8|TXN7-4|TXN3-4|TXN1-1|7450000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||46.09|46.1|0.0|0.0|46.16|46.07|46.13|45.94|0.0|0.0|46.07|0.0|46.13|46.03|46.07|46.07|46.07|46.1|46.16|46.1|46.11|46.14|46.01|46.2|46.01|46.2|46.01|46.2|46.01|46.2|46.09|46.2|46.72|40.6757|61027|10832206 57201|FLQS|FLQS|35473P876|US35473P8766|Franklin US Small Cap Multifactor Index ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-7|TXN2-5|TXN7-8|TXN1-6|TXN3-8|900000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|36.748|0.0|0.0|36.23|36.24|36.682|36.71|0.0|0.0|0.0|0.0|0.0|36.23|0.0|0.0|0.0|36.748|0.0|36.748|0.0|0.0|36.61|36.83|36.62|36.82|36.61|36.83|36.61|36.83|36.72|36.77|36.94|32.2|1744|857875 6316|FLR|FLR|343412102|US3434121022|Fluor Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|D|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-7|TXN2-5|TXN8-7|TXN2-7|TXN2-3|170380000|||Quarterly|||||2000-12-01||||||| | | | | | | | | |||N|0|N|Y|110E|USA|US|||50|5010|501010|50101015|Industrials|Construction and Materials|Construction and Materials |Engineering and Contracting Services|N||N||||||Y|0|Y||Y|2|||39.07|39.11|0.0|39.07|39.13|39.09|39.09|39.08|0.0|0.0|39.11|39.07|39.11|39.13|39.13|39.08|39.11|39.06|39.11|39.08|39.09|39.13|30.0|47.77|39.03|39.16|39.02|39.14|39.03|39.13|39.09|39.13|39.45|25.69|1679699|410562827 67539|FLRG|FLRG|316092378|US3160923781|Fidelity Covington Trust|Fidelity U.S. Multifactor ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Fidelity SelectCo|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-1|TXN4-4|TXN3-8|TXN3-4|TXN3-4|1700000|||Quarterly|||||2020-09-17||FLRG.NV|FLRG.SO|FLRG.EU|FLRG.TC|FLRG.IV| | | | | | | | | |1x|Fidelity U.S. Multifactor ETF seeks to provide returns that correspond, before fees and expenses, generally to the p[erformance of the Fidelity U.S. Multifactor Index. |N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|26.92|0.0|0.0|0.0|26.88|26.8501|0.0|0.0|0.0|26.89|0.0|26.86|0.0|0.0|0.0|0.0|26.92|0.0|26.92|21.41|32.29|26.84|26.87|26.89|26.91|21.34|32.34|0.0|0.0|26.89|26.91|26.98|23.4|22168|2400786 39252|FLRN|FLRN|78468R200|US78468R2004|SPDR Series Trust|SPDR Bloomberg Investment Grade Floating Rate ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-3|TXN3-7|TXN4-8|TXN4-6|TXN3-2|79700000|||Monthly|||||2011-12-01||FLRN.NV|FLRN.SO|FLRN.EU|FLRN.TC|FLRN.IV| | | | | | | | | |1x|The SPDR Barclays Investment Grade Floating Rate ETF (the Fund) seeks to provide investment results that, before fees and expenses, correspond generally to the price and yield performance of an index that tracks the market for U.S. dollar-denominated, investment grade floating rate notes with maturities greater than or equal to one month and less than five years.|N|0|N|N|416A|USA|US|FIXED_INCOME|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||30.57|30.57|0.0|0.0|30.57|30.575|30.57|30.575|0.0|0.0|30.58|30.58|30.57|30.57|30.58|30.575|30.575|30.57|30.59|30.57|30.55|30.58|28.59|32.5|30.57|30.58|29.06|32.11|29.96|31.21|30.57|30.58|30.73|29.675|1113163|237020411 49373|FLRT|FLRT|69374H428|US69374H4285|Pacer Funds Trust|Pacer Pacific Asset Floating Rate High Income ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Pacer Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-6|TXN3-5|TXN1-5|TXN4-4|TXN1-6|3330000|||Monthly|||||2021-10-25||FLRT.NV|FLRT.SO|FLRT.EU|FLRT.TC|FLRT.IV| | | | | | | | | |1x|A portfolio comprised primarily of income producing floating rate loans and floating rate debt securities. Under normal circumstances, the Fund will generally invest in floating rate loans and other floating rate debt securities or in debt securities, derivatives or other instruments that have economic characteristics similar to such securities.|N|0|N|N|416A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|46.83|0.0|0.0|0.0|46.82|46.8173|46.815|0.0|0.0|46.83|0.0|46.81|46.82|0.0|0.0|0.0|46.815|0.0|46.815|36.04|57.35|36.04|57.35|46.8|46.82|36.04|57.35|0.0|0.0|46.8|46.82|47.14|44.63|21800|6057793 6317|FLS|FLS|34354P105|US34354P1057|Flowserve Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-4|TXN1-7|TXN9-4|TXN4-2|TXN4-4|131210000|||Quarterly|||||1997-07-23||||||| | | | | | | | | |||N|0|Y|Y|126C|USA|US|||50|5020|502020|50202020|Industrials|Industrial Goods and Services|Electronic and Electrical Equipment|Electronic Equipment: Control and Filter|N||N||||||Y|0|Y||Y|1|||39.08|39.08|0.0|39.09|39.09|39.095|39.1|39.075|0.0|0.0|39.085|39.1|39.095|39.11|39.11|39.1|39.08|39.1|39.09|39.1|39.09|39.1|36.4|41.38|39.07|39.15|39.05|39.14|39.09|39.15|39.09|39.1|41.015|28.89|494463|213294552 61935|FLSA|FLSA|35473P587|US35473P5879|Franklin Templeton ETF Trust|Franklin FTSE Saudi Arabia ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Franklin Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN1-5|TXN6-8|TXN2-3|TXN3-2|500000|||BiAnnually|||||2018-10-11||FLSA.NV|FLSA.SO|FLSA.EU|FLSA.TC|FLSA.IV| | | | | | | | | |1x|To seek to provide investment results that closely correspond, before fees andexpenses, to the performance of the FTSE Saudi Arabia RIC Capped Index (theFTSE Saudi Arabia Capped Index).|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|34.65|34.68|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|34.64|0.0|34.64|34.61|34.69|0.0|0.0|34.6|34.68|0.0|0.0|0.0|0.0|34.6|34.68|37.4367|31.414|795|971174 65265|FLSP|FLSP|35473P546|US35473P5465|Franklin Templeton ETF Trust|Franklin Systematic Style Premia ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Franklin Advisors|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-3|TXN2-1|TXN5-8|TXN2-6|TXN2-8|6400000|||BiAnnually|||||2019-12-23||FLSP.NV|FLSP.SO|FLSP.EU|FLSP.TC|FLSP.IV| | | | | | | | | ||The Funds investment goal is to seek to provide absolute return. |N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|22.5|22.7|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|22.395|0.0|22.395|0.0|0.0|0.0|0.0|22.29|22.5|0.0|0.0|0.0|0.0|22.29|22.5|25.91|18.99|3624|3566463 60661|FLSW|FLSW|35473P694|US35473P6943|Franklin Templeton ETF Trust|Franklin FTSE Switzerland ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Franklin Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-1|TXN4-7|TXN1-5|TXN1-6|TXN1-4|1400000|||BiAnnually|||||2018-02-08||FLSW.NV|FLSW.SO|FLSW.EC|FLSW.TC|FLSW.IV| | | | | | | | | |1x|To seek to provide investment results that closely correspond, before fees and expenses, to the performance of the FTSE Switzerland RIC Capped Index (the Switzerland Underlying Index).|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|31.43|31.3575|0.0|0.0|0.0|0.0|0.0|31.435|0.0|0.0|0.0|0.0|31.4479|0.0|31.4479|0.0|0.0|0.0|0.0|31.44|31.45|31.23|31.53|31.23|31.63|31.44|31.45|33.6102|28.505|4969|2274863 36269|FLT|FLT|339041105|US3390411052|FleetCor Technologies, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|N|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-5|TXN4-4|TXN1-8|TXN1-5|TXN4-4|72200000|||NotApplicable|||||2010-12-15||||||| | | | | | | | | |||N|5|Y|Y|408A|USA|US|||50|5020|502050|50205015|Industrials|Industrial Goods and Services|Industrial Support Services|Transaction Processing Services|N||N||||||Y|0|Y||Y|1|||251.61|251.64|0.0|251.51|251.61|251.61|251.57|251.65|0.0|0.0|251.93|252.03|251.55|251.54|252.06|251.6|251.75|251.57|251.34|251.6|251.58|251.64|236.25|266.29|251.44|251.75|251.33|251.83|251.28|251.72|251.58|251.64|278.35|175.08|737209|118917448 46125|FLTB|FLTB|316188200|US3161882002|Fidelity Merrimack Street Trust|Fidelity Limited Term Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Fidelity SelectCo|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-8|TXN4-8|TXN6-8|TXN2-4|TXN4-5|3300000|||Monthly|||||2014-10-09||FLTB.NV|FLTB.SO|FLTB.EU|FLTB.TC|FLTB.IV| | | | | | | | | ||The fund seeks to provide a high rate of income, normally investing at least 80% of assets in investment-grade debt securities (those of medium and high quality) of all types and repurchase agreements for those securities. |N|0|N|N|416A|HKG|US|FIXED_INCOME|ACTIVE|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|48.62|0.0|0.0|0.0|0.0|48.63|48.62|0.0|0.0|0.0|0.0|48.62|48.51|0.0|0.0|0.0|48.59|0.0|48.59|47.87|49.31|0.0|0.0|48.55|48.63|45.66|51.59|0.0|0.0|48.55|48.63|49.0|47.46|14351|6586701 73123|FLTN|FLTN|19423L532|US19423L5324|Rareview Inflation/Deflation ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-5|TXN3-8|TXN8-8|TXN1-7|TXN3-3|1040000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||0.0|20.1805|0.0|0.0|0.0|0.0|20.1302|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|20.1805|0.0|20.1805|0.0|0.0|0.0|0.0|19.98|20.36|0.0|0.0|0.0|0.0|20.11|20.24|23.3|19.5712|2228|817438 37863|FLTR|FLTR|92189F486|US92189F4862|VanEck ETF Trust|VanEck IG Floating Rate ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||VanEck Vectors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-5|TXN3-4|TXN7-7|TXN2-5|TXN4-7|51200000|||Monthly|||||2011-04-26||FLTR.NV|FLTR.SO|FLTR.EU|FLTR.TC|FLTR.IV| | | | | | | | | |1x|The Market Vectors Investment Grade Floating Rate ETF (FLTR) seeks to replicate as closely as possible, before fees and expenses, the price and yield performance of the Market Vectors Investment Grade Floating Rate Index (MVFLTR). 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Equity Buffer ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-8|TXN1-1|TXN9-8|TXN2-2|TXN2-6|9980000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||36.93|36.9598|0.0|0.0|0.0|0.0|36.93|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|36.88|36.9598|0.0|36.9598|29.49|44.35|36.91|36.96|36.93|37.02|36.9|44.35|36.9|37.04|36.93|37.02|37.09|30.89|1088|6533664 42940|FMAT|FMAT|316092881|US3160928814|Fidelity Covington Trust|Fidelity MSCI Materials Index ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Fidelity SelectCo|Latour Trading, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-7|TXN4-6|TXN4-5|TXN2-5|TXN4-3|9800000|||Quarterly|||||2013-10-24||FMAT.NV|FMAT.SO|FMAT.EU|FMAT.TC|FMAT.IV| | | | | | | | | |1x|The Fidelity MSCI Materials Index ETF seeks to provide investment returns that correspond, before fees and expenses, generally to the performance of the MSCI USA IMI Materials Index.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||46.46|46.44|0.0|0.0|46.46|46.43|46.4707|46.52|0.0|0.0|46.75|0.0|46.5|46.43|46.44|46.51|0.0|46.43|0.0|46.43|46.43|46.54|46.39|46.57|46.43|46.45|46.34|46.52|46.34|46.52|46.43|46.45|48.58|41.62|82150|13309675 66468|FMAY|FMAY|33740F748|US33740F7481|Ft Cboe Vest U.S. Equity Buffer ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN4-1|TXN1-8|TXN1-4|TXN2-5|14680000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||40.07|40.2|0.0|0.0|40.07|40.26|40.2|0.0|0.0|0.0|40.2|0.0|40.26|40.07|0.0|40.22|40.2|40.2|40.07|40.2|40.16|40.24|40.14|40.21|40.17|40.26|40.14|40.32|40.14|40.32|40.17|40.26|40.41|34.66|19458|17744368 44214|FMB|FMB|33739N108|US33739N1081|First Trust Managed Municipal ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN5-1|TXN14-8|TXN5-3|TXN6-7|37500000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||50.64|50.6|0.0|0.0|50.64|50.64|50.6275|50.595|0.0|0.0|50.64|0.0|50.66|50.63|50.56|50.62|50.64|50.6275|50.595|50.66|50.6|50.67|47.47|54.0|50.59|50.76|47.47|54.0|0.0|0.0|50.6|50.67|51.6273|48.08|325583|50553785 12103|FMBH|FMBH|320866106|US3208661062|First Mid Bancshares Inc|COM USD4.||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN5-8|TXN14-2|TXN6-6|TXN5-4|23840000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||||||32.27|32.3|0.0|32.23|32.24|32.31|32.25|32.275|0.0|0.0|32.22|32.24|32.27|0.0|32.35|0.0|0.0|32.23|0.0|32.27|31.86|32.66|24.39|39.66|31.89|32.65|32.1|32.41|32.21|32.41|32.24|32.28|34.32|21.77|110986|11804146 6321|FMC|FMC|302491303|US3024913036|FMC Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN4-8|TXN4-3|TXN1-8|TXN2-2|124760000|||Quarterly|||||1948-09-10||||||| | | | | | | | | |||N|5|Y|Y|170A|USA|US|||55|5520|552010|55201015|Basic Materials|Chemicals|Chemicals|Fertilizers|N||N||||||Y|0|Y||Y|1|||55.42|55.39|0.0|55.4|55.4|55.425|55.395|55.41|0.0|0.0|55.37|55.43|55.425|55.43|55.38|55.42|55.34|55.37|55.43|55.42|55.37|55.38|51.96|58.79|55.35|55.48|55.29|55.49|55.37|55.42|55.37|55.38|134.29|49.49|1866115|302777371 73934|FMCX|FMCX|66538H211|US66538H2114|Northern Lights Fund Trust IV|FMC Excelsior Focus Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Ultimus Fund Solutions (First Manhattan)|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-4|TXN1-1|TXN7-8|TXN3-2|TXN3-2|3190000|||BiAnnually|||||2022-04-25||FMCX.NV|FMCX.SO|FMCX.EU|FMCX.TC|FMCX.IV| | | | | | | | | ||The Fund is an actively managed exchange-traded fund (ETF) that, during normal market conditions, seeks to invest in approximately 25-30 U.S. exchange-traded common stocks of companies that are listed on U.S. national securities exchanges and trade contemporaneously with the shares of the Fund (the Shares). From time to time, the Fund may hold a greater number of common stocks. At inception of the Fund, the Fund expects to hold significantly more than the usual 25-30 U.S. exchange-traded stocks.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|23.922|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|26.0141|0.0|26.0141|0.0|0.0|0.0|0.0|25.97|26.05|23.41|28.63|0.0|0.0|25.97|26.05|26.0194|21.75|451|69062 76652|FMDE|FMDE|31609A503|US31609A5039|Fidelity Covington Trust|Fidelity Enhanced Mid Cap ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Fidelity SelectCo|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-3|TXN1-3|TXN9-5|TXN4-8|TXN3-3|54616761|||Quarterly|||||2023-11-20||FMDE.NV|FMDE.SO|FMDE.EU|FMDE.TC|FMDE.IV| | | | | | | | | ||Normally investing at least 80% of assets in common stocks included in the Russell Midcap Index, which is a market capitalization-weighted index designed to measure the performance of the mid-cap segment of the U.S. equity market. 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|||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|21.95|21.9461|0.0|0.0|0.0|0.0|0.0|21.94|0.0|0.0|0.0|0.0|21.95|0.0|21.94|0.0|0.0|0.0|0.0|21.8|22.13|0.0|0.0|0.0|0.0|21.95|22.0|25.73|19.88|14697|1138234 73918|FMET|FMET|316092188|US3160921884|Fidelity Metaverse ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN6-7|TXN11-8|TXN5-2|TXN5-3|850000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||0.0|0.0|0.0|0.0|0.0|26.67|26.59|0.0|0.0|0.0|26.55|0.0|26.65|0.0|0.0|0.0|0.0|26.67|0.0|26.65|19.48|32.28|0.0|0.0|26.6|26.7|19.48|32.28|0.0|0.0|26.6|26.7|28.0|19.425|8861|1156953 42453|FMF|FMF|33739G103|US33739G1031|First Trust Exchange-Traded Fund V|First Trust Managed Futures Strategy Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||First Trust|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-3|TXN2-5|TXN4-8|TXN2-1|TXN2-6|3202000|||Quarterly|||||2013-08-02||FMF.NV|FMF.SO|FMF.EU|FMF.TC|FMF.IV| | | | | | | | | ||The First Trust Managed Futures Strategy Fund is an actively managed exchange-traded fund that seeks to achieve positive returns that are not directly correlated to broad market equity or fixed income returns.|N|0|N|N|416A|USA|US|COMMODITIES_AND_FUTURES|ACTIVE|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||48.15|47.32|0.0|47.48|47.32|47.365|47.5|47.5|0.0|0.0|0.0|48.06|47.39|47.33|0.0|0.0|0.0|47.28|47.32|47.28|46.99|47.56|46.99|47.55|47.33|47.55|46.98|47.55|46.98|47.43|47.33|47.55|50.04|45.56|21347|7484387 60001|FMHI|FMHI|33739P301|US33739P3010|First Trust Exchange-Traded Fund III - First Trust Municipal High Income ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN5-3|TXN11-5|TXN5-7|TXN6-1|10650000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||46.45|46.49|0.0|0.0|46.47|46.47|46.47|46.48|0.0|46.5|46.44|0.0|46.52|46.5|46.5|46.5|46.46|46.47|0.0|46.52|43.69|49.61|43.69|49.61|46.34|46.59|43.69|49.61|0.0|0.0|46.47|46.52|48.075|43.88|137311|20074727 66628|FMIL|FMIL|316092360|US3160923609|Fidelity New Millennium ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-6|TXN3-4|TXN9-8|TXN3-7|TXN3-4|4580000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||34.68|34.67|0.0|0.0|34.63|34.7|34.6781|34.67|0.0|0.0|34.63|0.0|34.635|34.68|0.0|34.64|0.0|34.67|0.0|34.67|34.67|34.7|34.6|34.63|34.67|34.88|0.0|0.0|0.0|0.0|34.67|34.7|35.0|28.41|60029|4930441 6326|FMN|FMN|31423P108|US31423P1084|Federated Hermes Premier Municipal Income Fund|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN1-5|TXN1-5|TXN3-3|TXN3-3|11500000|||Monthly|||||2002-12-20||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||10.56|10.52|0.0|0.0|10.56|10.55|10.56|10.57|0.0|0.0|10.56|0.0|10.57|10.53|10.53|10.55|10.55|10.56|0.0|10.55|10.54|10.56|8.14|13.08|10.28|11.27|8.14|13.08|0.0|0.0|10.54|10.56|11.39|9.085|58535|7458610 38779|FMNB|FMNB|309627107|US3096271073|Farmers National Banc Corp/OH|COM USD2.5||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN6-6|TXN14-4|TXN6-7|TXN6-7|37490000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||||||0.0|13.06|0.0|0.0|13.06|13.1|13.1|13.02|0.0|0.0|0.0|0.0|13.09|0.0|0.0|13.02|0.0|13.06|0.0|13.09|12.96|13.22|10.03|15.86|12.98|13.21|10.03|15.86|0.0|0.0|13.08|13.1|15.46|10.3833|56715|24955046 70584|FMNY|FMNY|33739P822|US33739P8225|First Trust Exchange-Traded Fund III|First Trust New York Municipal High Income ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||First Trust|Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-1|TXN3-7|TXN2-8|TXN3-8|TXN4-5|550002|||Monthly|||||2021-05-13||FMNY.NV|FMNY.SO|FMNY.EU|FMNY.TC| | | | | | | | | | |1x|The First Trust New York Municipal High Income ETFs (the Fund) primary investment objective is to seek to provide current income that is exempt from regular federal income taxes and New York income taxes, and its secondary objective is long-term capital appreciation.|N|0|N|N|416A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|26.615|0.0|26.615|0.0|0.0|0.0|0.0|26.52|26.72|0.0|0.0|0.0|0.0|26.52|26.71|27.29|25.0|4|362475 71818|FMQQ|FMQQ|301505590|US3015055904|Exchange Traded Concepts Trust|FMQQ The Next Frontier Internet & Ecommerce 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Ltd|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN5-7|TXN11-6|TXN6-6|TXN6-3|4830000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CAN||||55|5510|551030|55103025|Basic Materials|Basic Resources|Precious Metals and Mining|Gold Mining|N||N||||||N|0|Y||||||4.25|4.15|0.0|0.0|0.0|4.25|4.11|0.0|0.0|0.0|4.2|4.2|4.2|0.0|0.0|0.0|0.0|4.11|4.25|4.11|0.0|0.0|0.0|0.0|4.1|4.28|0.0|0.0|0.0|0.0|4.1|4.2|4.9|1.77|18784|1687237 76196|FMSTW|FMSTW|345510119|CA3455101194|Foremost Lithium Resource & Technology Ltd|WT EXP 08/24/28||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-4|TXN5-5|TXN14-1|TXN6-5|TXN6-6|4830000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CAN||||||||||||N||N||||||N|0|Y|C|||||0.0|0.0|0.0|0.0|0.0|0.0|0.5|0.0|0.0|0.0|0.0|0.0|0.6|0.0|0.0|0.0|0.0|0.5|0.0|0.5|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.5|0.75|1.99|0.2|11697|694903 6333|FMX|FMX|344419106|US3444191064|Fomento Económico Mexicano, S.A.B. de C.V.|American Depositary Shares (Each rep 10 Units consisting of 10 ser B sh, 20 ser D-B sh and 20 Ser D-L sh|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-7|TXN2-1|TXN3-5|TXN4-8|TXN4-5|2161180000|||Yearly|||||1998-05-11||||||| | | | | | | | | |||N|0|N|Y|118A|MEX|MX|||45|4510|451010|45101020|Consumer Staples |Food, Beverage and Tobacco |Beverages|Soft Drinks|N||N||||||Y|0|Y||Y|2|||125.94|126.01|0.0|125.59|125.91|126.13|126.025|126.025|0.0|0.0|125.88|126.2|126.14|126.14|125.6|126.04|126.01|126.15|125.99|126.04|126.04|126.06|98.04|155.72|125.97|126.2|120.56|132.48|126.05|126.19|126.04|126.06|128.63|74.9|419855|130980764 6334|FMY|FMY|33734E103|US33734E1038|First Trust Mortgage Income Fund|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN2-3|TXN6-8|TXN1-5|TXN2-2|4210000|||Monthly|||||2005-05-26||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||11.37|0.0|0.0|0.0|11.37|11.2|11.1944|0.0|0.0|0.0|11.2|11.2|11.19|11.37|0.0|11.2|0.0|11.2|0.0|11.2|11.19|11.31|0.0|0.0|10.46|11.98|0.0|0.0|0.0|0.0|11.2|11.31|12.07|10.71|16740|920464 32905|FN|FN|G3323L100|KYG3323L1005|Fabrinet|Ordinary Shares|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|O|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN4-7|TXN7-8|TXN3-7|TXN1-2|36330000|||NotApplicable|||||2010-06-25||||||| | | | | | | | | |||N|0|N|Y|180A|CYM|KY|||10|1010|101020|10102015|Technology|Technology|Technology Hardware and Equipment|Electronic Components|N||N||||||Y|0|Y||Y|2|||165.97|166.84|0.0|166.85|166.305|166.73|166.9|166.89|0.0|0.0|165.95|166.92|166.96|166.95|165.85|166.98|165.71|166.98|166.885|166.98|166.95|166.98|126.35|204.4|166.39|167.35|166.74|167.17|166.79|166.97|166.95|166.98|183.74|90.19|268656|75303955 72026|FNA|FNA|69913P105|US69913P1057|Paragon 28, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|T|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-7|TXN1-4|TXN4-6|TXN1-1|TXN2-1|82700000|||NotApplicable|||||2021-10-15||||||| | | | | | | | | |||N|0|N|Y|122A|USA|US|||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||N|0|Y||Y|2|||11.5|11.48|0.0|11.61|11.5|11.48|11.49|11.48|0.0|0.0|11.48|11.46|11.47|11.38|11.68|11.49|11.45|11.49|11.78|11.49|11.48|11.49|8.89|14.11|11.36|11.52|11.46|11.54|11.43|11.54|11.48|11.49|21.49|7.95|381855|78631729 6335|FNB|FNB|302520101|US3025201019|F.N.B. Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|A|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-7|TXN3-7|TXN7-1|TXN1-2|TXN4-1|358830000|||Quarterly|||||2003-12-17||||||| | | | | | | | | |||N|0|Y|Y|402B|USA|US|||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||Y|1|||12.63|12.64|0.0|12.64|12.63|12.635|12.635|12.64|0.0|0.0|12.64|12.635|12.635|12.63|12.63|12.64|12.64|12.64|12.63|12.64|12.63|12.64|11.78|13.43|12.63|12.64|12.6|12.66|12.6|12.66|12.63|12.64|14.68|10.09|1724682|531567424 43083|FNB PRE|FNBpE|30255P103|US30255P1030|F.N.B. Corporation|Depositary Shares, each Representing a 1/40th Interest in a Share of Fixed-to-Floating Rate Non-Cumulative Perpetual Preferred Stock, Series E|Operating company|B|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN2-2|TXN6-8|TXN1-5|TXN1-1|4440000|||Quarterly|||||2013-11-11||||||| | | | | | | | | |||N|0|N|N|402B|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|24.15|0.0|0.0|0.0|24.22|24.4601|24.56|0.0|0.0|24.56|0.0|0.0|0.0|0.0|24.57|0.0|24.57|0.0|24.57|24.4|24.58|24.46|24.6|23.97|25.08|0.0|0.0|0.0|0.0|24.52|24.58|27.91|20.57|7528|2499055 60738|FNCB|FNCB|302578109|US3025781093|FNCB Bancorp Inc|COM USD1.25||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN6-7|TXN11-6|TXN6-6|TXN5-1|19780000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||||||6.27|6.28|0.0|0.0|6.29|6.31|6.31|6.26|0.0|0.0|0.0|0.0|6.32|6.29|0.0|0.0|0.0|6.31|0.0|6.32|0.0|0.0|0.0|0.0|6.01|6.64|0.0|0.0|0.0|0.0|6.27|6.34|9.0|5.45|23934|5010404 69811|FNCH|FNCH|31773D200|US31773D2009|Finch Therapeutics Group Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN5-2|TXN10-8|TXN6-6|TXN6-7|1610000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y|C|||||4.16|4.16|0.0|0.0|4.47|4.45|3.9801|4.01|0.0|0.0|4.15|0.0|4.2|4.16|0.0|0.0|0.0|4.01|0.0|4.01|3.55|5.04|0.0|0.0|3.83|4.68|3.55|5.04|0.0|0.0|4.0|4.49|16.74|0.2505|19569|28892008 42936|FNCL|FNCL|316092501|US3160925018|Fidelity Covington Trust|Fidelity MSCI Financials Index ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Fidelity SelectCo|Latour Trading, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-7|TXN2-4|TXN2-5|TXN2-4|TXN3-5|27500000|||Quarterly|||||2013-10-24||FNCL.NV|FNCL.SO|FNCL.EU|FNCL.TC|FNCL.IV| | | | | | | | | |1x|The Fidelity MSCI Financials Index ETF seeks to provide investment returns that correspond, before fees and expenses, generally to the performance of the MSCI USA IMI Financials Index.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||51.03|50.97|0.0|0.0|50.99|51.01|51.0601|51.0|0.0|0.0|51.05|0.0|51.05|51.0|51.0|51.06|51.06|51.05|50.96|51.05|50.95|51.15|50.86|51.21|51.03|51.05|51.02|51.07|50.95|51.21|51.03|51.05|52.66|42.42|165281|29165136 57171|FND|FND|339750101|US3397501012|Floor & Decor Holdings, Inc.|Class A Common Stock, $0.001 par value per share|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-4|TXN2-6|TXN9-3|TXN1-1|TXN1-6|106570000|||NotApplicable|||||2017-04-27||||||| | | | | | | | | |||N|0|Y|Y|146E|USA|US|||40|4040|404010|40401025|Consumer Discretionary|Retail |Retailers |Home Improvement Retailers|N||N||||||Y|0|Y||Y|1|||98.86|98.97|0.0|98.35|98.97|98.97|98.98|98.95|0.0|0.0|98.97|98.94|98.95|98.95|98.95|98.92|97.83|98.93|98.94|98.92|98.91|98.92|92.4|104.82|98.75|98.98|98.81|99.11|98.79|99.12|98.91|98.92|116.03|68.29|1750112|362550289 42536|FNDA|FNDA|808524763|US8085247638|Schwab Strategic Trust|Schwab Fundamental U.S. Small Company Index ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Charles Schwab|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-7|TXN3-4|TXN2-3|TXN3-6|TXN2-5|137250000|||Quarterly|||||2013-08-15||FNDA.NV|FNDA.SO|FNDA.EU|FNDA.TC|FNDA.IV| | | | | | | | | |1x|The funds goal is to track as closely as possible, before fees and expenses, the total return of the Russell Fundamental U.S. Small Company Index. To pursue its goal, the fund generally invests in stocks that are included in the Russell Fundamental U.S. Small Company Index1 (the Index). The Index selects, ranks, and weights securities by fundamental measures of company size adjusted sales, operating cash flow, and dividends plus buybacks rather than market capitalization. The Index measures the performance of the small company size segment by fundamental overall company scores (scores), which are created using as the universe the companies included in the Russell 3000 Index (the Russell Index). Securities are grouped in order of decreasing score and each company receives a weight based on the total weights of the companies within the Russell Index. Companies with weights below the 87.5% mark make up the Index. The weights of the companies included in the Index are determined annually and are implemented using a quarterly reconstitution methodology in which the Index is split into four equal segments and each segment is rebalanced on a rolling quarterly basis. The Index is compiled and calculated by Russell Investments in conjunction with Research Affiliates LLC, and the method of calculating the components of the Index is subject to change.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||51.95|51.95|0.0|49.98|51.96|51.95|51.96|51.95|0.0|0.0|51.9|51.9|51.95|51.96|51.95|51.95|0.0|51.95|51.96|51.95|51.92|51.98|51.85|52.01|51.92|51.95|51.84|52.01|51.84|52.01|51.92|51.97|53.845|44.85|602699|62338062 42534|FNDB|FNDB|808524789|US8085247893|Schwab Strategic Trust|Schwab Fundamental U.S. Broad Market Index ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Charles Schwab|Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-7|TXN2-5|TXN3-5|TXN3-6|TXN3-7|10300000|||Quarterly|||||2013-08-15||FNDB.NV|FNDB.SO|FNDB.EU|FNDB.TC|FNDB.IV| | | | | | | | | |1x|The funds goal is to track as closely as possible, before fees and expenses, the total return of the Russell Fundamental U.S. Index.To pursue its goal, the fund generally invests in stocks that are included in the Russell Fundamental U.S. Index1 (the Index). The Index selects, ranks, and weights securities by fundamental measures of company size adjusted sales, operating cash flow, and dividends plus buyback rather than market capitalization. The Index measures the performance of the constituent companies by the fundamental overall company scores (scores), which are created using as the universe the companies included in the Russell 3000 Index (the Russell Index). Securities are grouped in order of decreasing score and each company receives a weight based on the total weights of the companies within the Russell Index. The weights of the companies included in the Index are determined annually and are implemented using a partial quarterly reconstitution methodology in which the Index is split into four equal segments and each segment is rebalanced on a rolling quarterly basis. The Index is compiled and calculated by Russell Investments in conjunction with Research Affiliates LLC, and the method of calculating the components of the Index is subject to change.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||58.47|58.55|0.0|0.0|58.53|58.32|58.53|58.32|0.0|0.0|58.32|0.0|58.43|58.46|58.54|57.77|0.0|58.53|0.0|58.53|58.41|58.63|58.3|58.7|58.5|58.51|58.29|58.71|58.29|58.71|58.5|58.51|59.0952|51.2416|29368|6989648 42538|FNDC|FNDC|808524748|US8085247489|Schwab Strategic Trust|Schwab Fundamental International Small Company Index ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Charles Schwab|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-8|TXN2-6|TXN2-8|TXN4-2|TXN3-7|91100000|||BiAnnually|||||2013-08-15||FNDC.NV|FNDC.SO|FNDC.EU|FNDC.TC|FNDC.IV| | | | | | | | | |1x|The funds goal is to track as closely as possible, before fees and expenses, the total return of the Russell Fundamental Developed ex-U.S. Small Company Index.To pursue its goal, the fund generally invests in stocks that are included in the Russell Fundamental Developed ex-U.S. Small Company Index1 (the Index). The Index selects, ranks, and weights securities by fundamental measures of company size adjusted sales, operating cash flow, and dividends plus buybacks rather than market capitalization. The Index measures the performance of the small company size segment by fundamental overall company scores (scores), which are created using as the universe the companies included in the Russell Developed ex-U.S. Index (the Russell Index). Securities are grouped in order of decreasing score and each company receives a weight based on the total weights of the companies within the Russell Index. Companies with weights below the 87.5% mark make up the Index. The weights of the companies included in the Index are determined annually and are implemented using a partial quarterly reconstitution methodology in which the Index is split into four equal segments and each segment is rebalanced on a rolling quarterly basis. The Index is compiled and calculated by Russell Investments in conjunction with Research Affiliates LLC, and the method of calculating the components of the Index is subject to change.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||33.559|33.53|0.0|0.0|33.57|33.55|33.531|33.53|0.0|0.0|33.555|33.56|33.57|33.57|0.0|33.555|0.0|33.57|0.0|33.57|31.97|35.35|31.3|35.98|33.55|33.56|31.97|35.35|0.0|0.0|33.55|33.56|34.89|30.11|152055|41119789 42539|FNDE|FNDE|808524730|US8085247307|Schwab Strategic Trust|Schwab Fundamental Emerging Markets Large Company Index ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Charles Schwab|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-8|TXN1-6|TXN1-7|TXN3-2|TXN4-1|192600000|||BiAnnually|||||2013-08-15||FNDE.NV|FNDE.SO|FNDE.EU|FNDE.TC|FNDE.IV| | | | | | | | | |1x|The funds goal is to track as closely as possible, before fees and expenses, the total return of the Russell Fundamental Emerging Markets Large Company Index.To pursue its goal, the fund generally invests in stocks that are included in the Russell Fundamental Emerging Markets Large Company Index1 (the Index). The Index selects, ranks, and weights securities by fundamental measures of company size adjusted sales, operating cash flow, and dividends plus buybacks rather than market capitalization. The Index measures the performance of the large company size segment by fundamental overall company scores (scores), which are created using as the universe the companies included in the Russell Emerging Markets Index (the Russell Index). Securities are grouped in order of decreasing score and each company receives a weight based on the total weights of the companies within the Russell Index. Companies with weights above 87.5% make up the Index. The weights of the companies included in the Index are determined annually and are implemented using a partial quarterly reconstitution methodology in which the Index is split into four equal segments and each segment is rebalanced on a rolling quarterly basis. The Index is compiled and calculated by Russell Investments in conjunction with Research Affiliates LLC, and the method of calculating the components of the Index is subject to change.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||26.87|26.87|0.0|26.86|26.87|26.875|26.8741|26.86|0.0|0.0|26.88|26.88|26.87|26.845|26.885|26.88|0.0|26.87|26.88|26.87|26.82|26.88|25.31|26.94|26.86|26.88|25.67|26.94|26.77|26.94|26.86|26.88|28.37|24.3815|365429|126088884 42537|FNDF|FNDF|808524755|US8085247554|Schwab Strategic Trust|Schwab Fundamental International Large Company Index ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Charles Schwab|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-7|TXN2-3|TXN9-4|TXN2-1|TXN4-3|342800000|||BiAnnually|||||2013-08-15||FNDF.NV|FNDF.SO|FNDF.EU|FNDF.TC|FNDF.IV| | | | | | | | | |1x|The funds goal is to track as closely as possible, before fees and expenses, the total return of the Russell Fundamental Developed ex-U.S. Large Company Index.To pursue its goal, the fund generally invests in stocks that are included in the Russell Fundamental Developed ex-U.S. Large Company Index1 (the Index). The Index selects, ranks, and weights securities by fundamental measures of company size adjusted sales, operating cash flow, and dividends plus buybacks rather than market capitalization. The Index measures the performance of the large company size segment by fundamental overall company scores (scores), which are created using as the universe the companies included in the Russell Developed ex-U.S. Index (the Russell Index). Securities are grouped in order of decreasing score and each company receives a weight based on the total weights of the companies within the Russell Index. Companies with weights above 87.5% make up the Index. The weights of the companies included in the Index are determined annually and are implemented using a partial quarterly reconstitution methodology in which the Index is split into four equal segments and each segment is rebalanced on a rolling quarterly basis. The Index is compiled and calculated by Russell Investments in conjunction with Research Affiliates LLC, and the method of calculating the components of the Index is subject to change.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||32.97|32.98|0.0|0.0|32.97|32.98|32.96|32.98|0.0|0.0|32.975|32.98|32.975|32.94|32.975|32.975|32.975|32.98|32.97|32.98|32.96|34.58|30.71|35.27|32.96|32.98|31.4|34.58|32.88|33.05|32.96|32.98|33.62|28.63|888459|224320657 42535|FNDX|FNDX|808524771|US8085247711|Schwab Strategic Trust|Schwab Fundamental U.S. Large Company Index ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Charles Schwab|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-5|TXN3-3|TXN6-6|TXN1-1|TXN2-2|212000000|||Quarterly|||||2013-08-15||FNDX.NV|FNDX.SO|FNDX.EU|FNDX.TC|FNDX.IV| | | | | | | | | |1x|The funds goal is to track as closely as possible, before fees and expenses, the total return of the Russell Fundamental U.S. Large Company Index. To pursue its goal, the fund generally invests in stocks that are included in the Russell Fundamental U.S. Large Company Index1 (the Index). The Index selects, ranks, and weights securities by fundamental measures of company size adjusted sales, operating cash flow, and dividends plus buybacks rather than market capitalization. The Index measures the performance of the large company size segment by fundamental overall company scores (scores), which are created using as the universe the companies included in the Russell 3000 Index (the Russell Index). Securities are grouped in order of decreasing score and each company receives a weight based on the total weights of the companies within the Russell Index. Companies with weights above 87.5% make up the Index. The weights of the companies included in the Index are determined annually and are implemented using a partial quarterly reconstitution methodology in which the Index is split into four equal segments and each segment is rebalanced on a rolling quarterly basis. The Index is compiled and calculated by Russell Investments in conjunction with Research Affiliates LLC, and the method of calculating the components of the Index is subject to change.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||59.44|59.43|0.0|0.0|59.44|59.44|59.4402|59.44|0.0|0.0|59.43|0.0|59.44|59.37|59.25|59.44|0.0|59.44|0.0|59.44|59.38|59.47|59.38|59.47|59.42|59.44|59.36|59.48|59.36|59.47|59.42|59.43|59.97|51.9|390194|93716355 6348|FNF|FNF|31620R303|US31620R3030|Fidelity National Financial, Inc.|FNF Group Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|D|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-7|TXN2-5|TXN3-7|TXN1-7|TXN3-5|272160000|||Quarterly|||||2014-06-23||||||| | | | | | | | | |||N|0|Y|Y|410B|USA|US|||30|3030|303020|30302025|Financials|Insurance|Non-life Insurance|Property and Casualty Insurance|N||N||||||Y|0|Y||Y|1|||45.53|45.52|0.0|45.53|45.53|45.56|45.52|45.52|0.0|0.0|45.56|45.55|45.52|45.52|45.52|45.53|45.58|45.53|45.52|45.53|45.52|45.53|42.35|48.34|45.49|45.57|45.49|47.76|45.48|45.55|45.52|45.53|45.745|31.84|1572032|398065123 60542|FNGD|FNGD|06367V204|US06367V2043|Bank of Montreal|MicroSectors FANG+ Index -3X Inverse Leveraged ETNs due January 8, 2038|Operating company|ETN|N|N|P|Y|Y|Y|Y|Y||||||||Bank of Montreal|Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-1|TXN2-2|TXN6-3|TXN4-8|TXN4-7|25000000|||NotApplicable|||||2018-01-22|2038-01-08| |FNGD.SO| | |FNGD.IV| | | | | | | | | |-3x|The NYSE FANGTM Index, an equal-dollar weighted index, was created by NYSE in 2017 to provide exposure to a select group of highly-traded growth stocks of next generation technology and tech-enabled companies.|N|0|N|N|416A||CA|EQUITY|INVERSE|||||||||N||N||||||N|0|Y||Y|2|||7.25|7.26|0.0|0.0|7.26|7.26|7.26|7.255|0.0|0.0|7.25|7.25|7.255|7.32|7.26|7.25|7.255|7.25|7.25|7.25|7.25|7.27|7.23|7.29|7.25|7.26|7.23|7.29|0.0|0.0|7.25|7.26|68.87|6.52|10716724|1602607190 71856|FNGG|FNGG|25460G161|US25460G1610|Direxion Shares ETF Trust|Direxion Daily NYSE FANG+ Bull 2X Shares|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Direxion Shares|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-4|TXN2-8|TXN2-8|TXN1-7|TXN1-5|379852.1|||Quarterly|||||2021-09-30||FNGG.NV|FNGG.SO|FNGG.EU|FNGG.TC|FNGG.IV| | | | | | | | | |2x|The Fund seeks daily investment results, before fees and expenses, of 200% of the daily performance of the ICE FANG 20 Index. The Fund does not seek to achieve its stated investment objective for a period of time different than a trading day.|N|0|N|N|416A|USA|US|EQUITY|LEVERAGED|||||||||N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|79.59|80.2|79.7|79.7|0.0|0.0|0.0|65.5|79.49|79.59|79.58|0.0|0.0|79.7|79.58|79.7|0.0|0.0|0.0|0.0|79.68|80.1|79.9|80.39|0.0|0.0|79.68|80.1|88.1799|2.6|13831|6490186 61356|FNGO|FNGO|063679856|US0636798565|Bank of Montreal|MicroSectors FANG+ Index 2X Leveraged ETNs due January 8, 2038|Operating company|ETN|N|N|P|Y|Y|Y|Y|Y||||||||Bank of Montreal|Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-7|TXN1-1|TXN1-7|TXN1-8|TXN3-7|5000000|||NotApplicable|||||2018-08-02|2038-01-08| |FNGO.SO| | |FNGO.IV| | | | | | | | | |2x|The NYSE FANGTM Index, an equal-dollar weighted index, was created by NYSE in 2017 to provide exposure to a select group of highly-traded growth stocks of next generation technology and tech-enabled companies.|N|0|N|N|416A||CA|EQUITY|LEVERAGED|||||||||N||N||||||N|0|Y||Y|2|||39.93|39.94|0.0|0.0|39.94|39.64|39.95|39.86|0.0|0.0|39.64|39.64|39.94|39.28|39.48|0.0|0.0|39.93|39.91|39.93|30.86|49.13|30.86|49.13|39.88|40.23|30.86|49.13|0.0|0.0|39.88|40.23|43.82|12.6|47817|6030321 55972|FNGR|FNGR|31788K108|US31788K1088|Fingermotion Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN5-6|TXN12-5|TXN6-8|TXN6-1|52550000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||SGP||||35|3510|351010|35101015|Real Estate|Real Estate |Real Estate Investment and Services Development|Real Estate Services|N||N||||||Y|0|Y||||||4.37|4.35|0.0|4.25|4.3|4.33|4.31|4.34|0.0|0.0|4.31|4.4|4.32|0.0|0.0|4.3|4.21|4.35|4.37|4.32|4.24|4.38|3.9|5.3|4.25|4.39|3.32|5.3|0.0|0.0|4.32|4.36|7.97|1.01|347245|140150095 65028|FNGS|FNGS|06368B504|US06368B5049|Bank of Montreal|MicroSectors FANG+ ETN|Operating company|ETN|N|N|P|Y|Y|Y|Y|Y||||||||Bank of Montreal|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN1-8|TXN2-7|TXN4-8|TXN1-2|4500000|||NotApplicable|||||2019-11-13|2038-01-08|FNGS.NV|FNGS.SO|FNGS.EU|FNGS.TC|FNGS.IV| | | | | | | | | |1x|The NYSE FANGTM Index, an equal-dollar weighted index, was created by NYSE in 2017 to provide exposure to a select group of highly-traded growth stocks of next generation technology and tech-enabled companies.|N|0|N|N|416A||CA|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|1|||35.091|35.09|0.0|0.0|35.12|35.13|35.11|35.02|0.0|0.0|35.15|0.0|35.1|35.091|34.93|35.091|34.93|35.12|0.0|35.12|32.94|37.34|32.94|37.34|35.1|35.12|34.97|35.27|34.97|35.27|35.1|35.12|36.32|18.39|205561|31207482 60541|FNGU|FNGU|063679534|US0636795348|Bank of Montreal|MicroSectors FANG+TM Index 3X Leveraged ETNs due January 8, 2038|Operating company|ETN|N|N|P|Y|Y|Y|Y|Y||||||||Bank of Montreal|Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-5|TXN2-1|TXN4-5|TXN3-4|TXN1-2|13000000|||NotApplicable|||||2018-01-22|2038-01-08| |FNGU.SO| | |FNGU.IV| | | | | | | | | |3x|The NYSE FANGTM Index, an equal-dollar weighted index, was created by NYSE in 2017 to provide exposure to a select group of highly-traded 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Fund|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN5-1|TXN10-2|TXN6-7|TXN6-7|10600002|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||97.99|97.99|0.0|97.99|97.49|97.99|98.1577|0.0|0.0|0.0|97.63|0.0|98.08|97.9|0.0|97.99|97.99|98.1577|98.0|98.08|97.99|98.21|97.71|98.48|98.01|98.21|97.71|98.49|97.71|98.48|98.01|98.18|101.07|83.855|46013|8830418 37777|FNY|FNY|33737M102|US33737M1027|First Trust Mid Cap Growth AlphaDEX Fund|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN6-3|TXN12-4|TXN6-6|TXN5-5|4350002|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||63.96|0.0|0.0|0.0|63.96|64.03|64.17|63.96|0.0|0.0|63.96|63.76|64.16|63.96|64.17|63.96|0.0|64.17|0.0|64.16|64.12|64.29|64.02|64.32|64.12|64.17|64.01|64.33|64.01|64.32|64.12|64.17|67.2031|55.13|15250|4271097 70139|FOA|FOA|31738L107|US31738L1070|Finance of America Companies Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN5-8|TXN3-8|TXN7-8|TXN2-4|TXN4-5|87940000|||NotApplicable|||||2021-04-05||||||| | | | | | | | | |||N|0|N|Y|408A|USA|US|||30|3020|302010|30201025|Financials|Financial Services |Finance and Credit Services|Mortgage Finance|N||N||||||Y|0|Y||Y|2|||0.9013|0.9014|0.0|0.0|0.93|0.9383|0.9386|0.8925|0.0|0.0|0.9014|0.9014|0.9108|0.9003|0.0|0.93|0.935|0.93|0.94|0.93|0.89|0.93|0.7202|1.08|0.8722|0.9486|0.8528|0.977|0.0|0.0|0.89|0.93|2.2502|0.681|74119|54178930 70140|FOA WS|FOA.WS|31738L115|US31738L1153|Finance of America Companies Inc.|Warrants, each whole warrant exercisable for one Class A Common Stock at an exercise price of $11.50|Operating company|C|N|N|N|Y|Y|Y|Y|Y|5|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN5-8|TXN4-3|TXN9-8|TXN1-4|TXN1-6|87780000|||NotApplicable|||||2021-04-05||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||||||||||N||N||||||N|0|Y|C|N||||0.0|0.0|0.0|0.0|0.0|0.094|0.071364|0.0|0.0|0.0|0.0606|0.0|0.0|0.0|0.0|0.094|0.0|0.094|0.0|0.094|0.0501|0.09|0.0|0.0|0.0325|0.09|0.0|0.0|0.0|0.0|0.0325|0.09|0.24|0.05|760|1302410 67920|FOCT|FOCT|33740F664|US33740F6640|FT Cboe Vest U.S. Equity Buffer ETF - October|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-6|TXN2-5|TXN5-8|TXN2-1|TXN2-4|11400000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|37.96|0.0|0.0|37.96|0.0|37.9897|37.95|0.0|0.0|0.0|0.0|0.0|37.94|0.0|0.0|37.95|37.96|38.01|37.96|29.21|46.73|29.21|38.07|37.93|38.02|37.91|38.07|37.91|38.07|37.94|38.02|38.75|32.5313|9590|12141607 18299|FOF|FOF|19248P106|US19248P1066|Cohen & Steers Closed-End Opportunity Fund, Inc.|Common Stock|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN4-4|TXN9-8|TXN4-6|TXN1-6|27370000|||Monthly|||||2006-11-21||||||| | | | | | | | | |||N|0|N|N|406B|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||0.0|11.16|0.0|0.0|11.15|11.175|11.165|0.0|0.0|0.0|11.15|11.19|11.15|0.0|0.0|11.13|0.0|11.16|10.853|11.13|11.13|11.16|8.65|13.78|10.44|11.99|11.11|11.2|11.15|11.18|11.13|11.16|12.0148|9.59|54643|13872195 24676|FOLD|FOLD|03152W109|US03152W1099|Amicus Therapeutics Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN6-6|TXN11-4|TXN6-5|TXN5-7|293250000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||11.09|11.085|0.0|11.24|11.09|11.085|11.085|11.09|0.0|0.0|11.085|11.09|11.1|11.09|11.08|11.09|11.09|11.085|11.08|11.1|11.06|11.1|8.66|13.68|11.07|11.11|11.05|11.11|11.05|11.11|11.08|11.09|14.1|9.7|2842557|555278950 1581|FONR|FONR|344437405|US3444374058|Fonar Corp|COM USD.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN5-6|TXN10-6|TXN5-2|TXN5-2|6450000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|19.33|19.3|19.3|0.0|0.0|19.19|19.09|19.18|0.0|0.0|0.0|0.0|19.3|0.0|19.18|18.88|19.67|0.0|0.0|18.86|19.62|19.03|19.44|19.16|19.47|19.16|19.34|20.18|12.1301|20078|3057154 26520|FOR|FOR|346232101|US3462321015|Forestar Group Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|R|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN1-1|TXN8-8|TXN4-8|TXN4-5|49910000|||NotApplicable|||||2017-10-06||||||| | | | | | | | | |||N|0|N|Y|400A|USA|US|||35|3510|351010|35101010|Real Estate|Real Estate |Real Estate Investment and Services Development|Real Estate Holding and Development |N||N||||||Y|0|Y||Y|2|||31.6|31.29|0.0|31.57|31.29|31.26|31.275|31.29|0.0|0.0|31.29|31.36|31.25|31.29|30.68|31.3|31.24|31.3|31.47|31.3|31.25|31.3|31.22|31.33|30.99|31.52|31.21|31.33|31.2|31.34|31.25|31.3|32.72|13.715|138838|35308476 69456|FORA|FORA|34630N106|US34630N1063|Forian Inc|COM USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN5-3|TXN14-1|TXN6-4|TXN6-6|30980000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201010|20101025|Health Care |Health Care |Health Care Providers|Health Care Services|N||N||||||Y|0|Y||||||0.0|0.0|0.0|0.0|0.0|2.6|2.6|0.0|0.0|0.0|2.64|0.0|2.58|2.61|0.0|0.0|0.0|2.62|0.0|2.62|0.0|0.0|0.0|0.0|2.51|2.65|0.0|0.0|0.0|0.0|2.55|2.6|5.445|1.846|5810|3914455 1583|FORD|FORD|349862300|US3498623004|Forward Industries Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-7|TXN6-6|TXN11-2|TXN5-2|TXN6-2|10060000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4020|402020|40202025|Consumer Discretionary|Consumer Products and Services|Household Goods and Home Construction|Household Equipment and Products|N||N||||||N|0|Y||||||0.79|0.79|0.0|0.0|0.79|0.79|0.785049|0.7899|0.0|0.0|0.0|0.0|0.79|0.0|0.0|0.7806|0.0|0.79|0.0|0.79|0.624|0.96|0.616|0.96|0.7287|0.8425|0.624|0.96|0.0|0.0|0.78|0.79|1.36|0.685|60018|5092599 70434|FORH|FORH|26923N306|US26923N3061|ETF Opportunities Trust|Formidable ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Formidable Asset Management|GTS Securities 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USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN5-5|TXN11-6|TXN5-7|TXN6-6|42380000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4020|402030|40203050|Consumer Discretionary|Consumer Products and Services|Leisure Goods|Recreational Products|N||N||||||Y|0|Y||||||64.21|64.25|0.0|64.21|64.22|64.3|64.16|64.21|0.0|0.0|64.25|64.32|64.21|64.21|64.25|64.32|0.0|64.21|64.15|64.21|63.62|64.97|49.43|78.69|63.67|64.83|64.03|64.38|64.06|64.25|64.19|64.23|127.5399|49.12|296860|61858607 74637|FOXO|FOXO|351471305|US3514713052|FOXO Technologies Inc.|Class A Common Stock|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN11-5|TXN4-7|TXN9-7|TXN1-4|TXN3-4|6400000|||NotApplicable|||||2022-09-16||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||20|2010|201020|20102020|Health Care |Health Care |Medical Equipment and Services|Medical Services|N||N||||||N|4|Y|C|Y|2|||0.3419|0.3437|0.0|0.0|0.34|0.3429|0.3453|0.3401|0.0|0.0|0.3437|0.342|0.342|0.3501|0.0|0.342|0.3453|0.3453|0.3438|0.3453|0.2827|0.4077|0.342|0.3487|0.335|0.36|0.2827|0.4077|0.337|0.361|0.342|0.3487|1.65|0.0552|973601|884000855 37783|FPA|FPA|33737J109|US33737J1097|First Trust Asia Pacific ex-Japan AlphaDEX Fund|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN5-5|TXN13-2|TXN5-1|TXN5-2|650002|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||25.31|25.31|0.0|0.0|25.31|25.41|25.31|25.31|0.0|0.0|25.31|0.0|25.41|25.31|25.31|25.31|0.0|25.41|0.0|25.41|0.0|0.0|0.0|0.0|25.18|25.92|0.0|0.0|0.0|0.0|25.35|25.71|29.61|23.3052|72544|665575 72963|FPAG|FPAG|66538R631|US66538R6311|FPA Global Equity ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-5|TXN4-8|TXN4-8|TXN4-7|TXN3-3|1780000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||25.21|25.2275|0.0|0.0|0.0|25.21|25.165|0.0|0.0|0.0|0.0|0.0|25.37|25.21|0.0|0.0|0.0|25.2275|25.21|25.2275|23.54|26.85|0.0|0.0|25.19|25.28|25.19|25.28|0.0|0.0|25.19|25.26|25.86|20.08|8671|862622 54443|FPAY|FPAY|33939J303|US33939J3032|FlexShopper Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN6-6|TXN12-7|TXN6-8|TXN5-8|21650000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4020|402010|40201040|Consumer Discretionary|Consumer Products and Services|Consumer Services |Rental and Leasing Services: Consumer|N||N||||||N|0|Y||||||1.6|1.56|0.0|0.0|1.61|1.6|1.64|1.58|0.0|0.0|1.59|1.7|1.67|1.61|0.0|1.609|1.58|1.66|0.0|1.67|1.54|1.75|1.29|1.99|1.56|1.74|1.61|1.7|1.59|1.71|1.63|1.67|2.47|0.5939|312535|10135257 41481|FPE|FPE|33739E108|US33739E1082|First Trust Exchange-Traded Fund III|First Trust Preferred Securities and Income ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||First Trust|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN4-5|TXN7-8|TXN1-5|TXN2-4|318805000|||Monthly|||||2013-02-12||FPE.NV|FPE.SO|FPE.EU|FPE.TC|FPE.IV| | | | | | | | | ||The First Trust Preferred Securities and Income ETF is an actively managed exchange-traded fund. The funds investment objective is to seek total return and to provide current income. Under normal market conditions, the fund invests at least 80% of its net assets (including investment borrowings) in preferred securities and income-producing debt securities including corporate bonds, high yield securities and convertible securities.|N|0|N|N|416A|USA|US|FIXED_INCOME|ACTIVE|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||16.47|16.47|0.0|0.0|16.47|16.45|16.47|16.47|0.0|0.0|16.465|16.47|16.46|16.47|16.47|16.465|16.47|16.46|16.465|16.46|15.64|16.47|15.34|17.65|16.45|16.46|15.64|17.27|16.14|16.88|16.45|16.46|18.29|15.23|1978171|459281379 59420|FPEI|FPEI|33739P855|US33739P8555|First Trust Exchange-Traded Fund III|First Trust Institutional Preferred Securities and Income ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||First Trust|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-5|TXN3-4|TXN4-8|TXN2-2|TXN3-8|64900002|||Monthly|||||2017-08-23||FPEI.NV|FPEI.SO|FPEI.EU|FPEI.TC|FPEI.IV| | | | | | | | | ||Under normal market conditions, the Fund invests at least 80% of its net assets (including investment borrowings) in institutional preferred securities and income-producing debt securities (Income Securities). Institutional preferred securities are preferred securities that are targeted to institutional, rather than retail, investors. Institutional preferred securities are generally priced at a par value of $1,000 and are typically traded in increments of at least $500,000. In contrast, retail or traditional preferred securities are generally exchange-traded, priced at a par value of $25, $50 or $100 and are typically traded in increments of $25.|N|0|N|N|416A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|1|||17.345|17.33|0.0|0.0|17.33|17.34|17.34|17.345|0.0|0.0|17.33|17.34|17.33|17.345|17.34|17.34|0.0|17.38|17.34|17.38|16.16|18.53|16.16|18.53|17.33|17.36|16.16|18.53|16.99|17.72|17.33|17.36|18.9|16.1|405446|102354151 42095|FPF|FPF|33718W103|US33718W1036|First Trust Intermediate Duration Preferred & Income Fund|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN4-4|TXN9-7|TXN1-6|TXN4-4|60850000|||Monthly|||||2013-05-24||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||15.7|15.76|0.0|0.0|15.72|15.765|15.765|15.76|0.0|0.0|15.73|15.75|15.78|15.76|15.77|15.78|15.77|15.78|0.0|15.78|15.76|15.78|12.36|19.6|14.71|16.84|15.75|15.81|15.75|15.8|15.76|18.9|19.5|13.91|242796|36171661 70884|FPFD|FPFD|316092261|US3160922619|Fidelity Preferred Securities & Income ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-4|TXN3-2|TXN1-8|TXN1-1|TXN3-3|1600000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|20.37|0.0|0.0|0.0|0.0|20.37|0.0|0.0|0.0|20.34|0.0|20.35|20.34|0.0|0.0|0.0|20.37|0.0|20.37|0.0|0.0|0.0|0.0|20.35|20.38|0.0|0.0|0.0|0.0|20.35|20.38|21.6406|19.22|7445|1259744 57293|FPH|FPH|33833Q106|US33833Q1067|Five Point Holdings, LLC|Class A Common Shares|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|O|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN3-7|TXN4-8|TXN4-1|TXN4-4|69200000|||NotApplicable|||||2017-05-10||||||| | | | | | | | | |||N|0|N|Y|414A|USA|US|||35|3510|351010|35101010|Real Estate|Real Estate |Real Estate Investment and Services Development|Real Estate Holding and Development |N||N||||||Y|0|Y||Y|2|||2.57|2.53|0.0|2.55|2.55|2.54|2.55|2.55|0.0|0.0|2.57|2.6|2.53|2.55|2.55|2.53|2.58|2.53|2.55|2.53|2.52|2.53|1.96|3.16|2.47|2.57|2.5|2.59|2.55|2.62|2.52|2.53|3.74|1.88|183642|17704381 43909|FPI|FPI|31154R109|US31154R1095|Farmland Partners Inc.|Common Stock|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-5|TXN1-5|TXN7-6|TXN4-3|TXN1-5|48190000|||Quarterly|||||2015-09-08||||||| | | | | | | | | |||N|0|N|Y|400A|USA|US|||35|3510|351020|35102070|Real Estate|Real Estate |Real Estate Investment Trusts|Other Specialty REITs|N||N||||||Y|0|Y||Y|2|||12.68|12.69|0.0|12.55|12.69|12.685|12.69|12.68|0.0|0.0|12.69|12.68|12.69|12.67|12.67|12.7|12.68|12.69|12.61|12.7|12.68|12.7|9.73|15.45|12.65|12.71|12.65|12.72|12.68|12.72|12.68|12.7|13.655|9.44|346764|96413168 43811|FPL|FPL|33739M100|US33739M1009|First Trust New Opportunities MLP & Energy Fund|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN4-2|TXN1-5|TXN3-7|TXN4-5|24650000|||Monthly|||||2014-03-27||||||| | | | | | | | | |||N|0|N|N|406B|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||6.8425|7.03|0.0|0.0|7.02|7.03|7.03|7.04|0.0|0.0|7.03|6.99|7.05|0.0|0.0|7.03|7.03|7.03|6.8225|7.03|7.03|7.05|5.38|8.62|6.54|7.5|7.03|8.44|0.0|0.0|7.03|7.05|7.16|5.16|44999|12465701 69034|FPRO|FPRO|316092311|US3160923112|Fidelity Real Estate Investment ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-1|TXN3-2|TXN4-8|TXN4-8|TXN3-3|700000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|20.8477|0.0|0.0|0.0|20.75|20.75|0.0|0.0|0.0|0.0|0.0|20.75|0.0|0.0|0.0|0.0|20.8477|0.0|20.8477|16.38|24.87|0.0|0.0|20.82|20.88|16.38|24.87|0.0|0.0|20.84|20.86|23.1056|17.6046|6169|610751 16357|FPX|FPX|336920103|US3369201039|First Trust Exchange-Traded Fund|First Trust US Equity Opportunities ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||First Trust|RBC Capital Markets, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-8|TXN2-8|TXN4-8|TXN3-6|TXN2-2|7950002|||Quarterly|||||2008-11-06||FPX.NV|FPX.SO|FPX.EU|FPX.TC|FPX.IV| | | | | | | | | |1x|The First Trust US IPO Index Fund is an exchange-traded index fund. The investment objective of the fund is to replicate as closely as possible, before fees and expenses, the price and yield of the IPOX-100 U.S. Index. The IPOX-100 U.S. Index is a modified value-weighted price index measuring the performance of the top 100 companies ranked quarterly by market capitalization in the IPOX Global Composite Index. The index utilizes a 10% capping on all constituents and includes the 100 largest, typically best performing and most liquid U.S. public offerings (IPOs) in the IPOX Global Composite Index. The index is a rules based value-weighted index measuring the average performance of U.S. IPOs during the first 1000 trading days. Index constituents are selected based on quantitative initial screens. 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Streicher & Co. 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USD0.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN6-7|TXN10-8|TXN5-5|TXN5-2|48240000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||USA||||45|4510|451020|45102020|Consumer Staples |Food, Beverage and Tobacco |Food Producers|Food Products|N||N||||||Y|0|Y||||||72.3|72.15|0.0|72.66|72.18|72.16|72.195|72.18|0.0|0.0|72.22|72.75|72.19|72.81|72.7|72.15|0.0|72.15|72.4|72.19|71.6|72.15|67.8|77.36|71.59|72.91|72.04|72.24|72.02|72.26|72.13|72.15|84.7|45.13|869398|158880382 71771|FRSH|FRSH|358054104|US3580541049|Freshworks Inc|COM CL A USD0.00001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN5-2|TXN11-5|TXN5-8|TXN5-6|202140000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||||||20.63|20.63|0.0|20.5|20.63|20.625|20.63|20.625|0.0|0.0|20.63|20.64|20.63|20.66|20.62|20.625|20.625|20.64|20.63|20.63|20.59|20.65|15.84|25.16|20.55|20.68|20.59|20.67|20.59|20.66|20.63|20.65|23.8|12.22|2398208|523633638 17465|FRST|FRST|74167B109|US74167B1098|Primis Financial Corp|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN5-3|TXN14-6|TXN6-2|TXN5-6|24680000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||||||10.57|10.57|0.0|0.0|10.57|10.57|10.565|10.635|0.0|0.0|10.59|0.0|10.56|10.59|0.0|10.64|0.0|10.565|10.53|10.56|10.46|10.7|0.0|0.0|10.56|10.61|10.53|0.0|10.52|0.0|10.56|10.6|12.42|7.01|83553|14422936 58705|FRSX|FRSX|345523203|US3455232039|Foresight Autonomous Holdings Ltd|ADR||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN5-2|TXN10-4|TXN5-1|TXN5-4|324780000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||ISR||||30|3020|302020|30202000|Financials|Financial Services |Investment Banking and Brokerage Services |Diversified Financial Services |N||N||||||Y|0|Y||||||0.0|0.0|0.0|0.0|1.93|1.94|1.97|0.0|0.0|0.0|1.94|2.0|1.94|0.0|0.0|1.9|0.0|1.97|0.0|1.97|1.83|2.1|1.49|2.45|1.83|2.01|1.54|2.28|0.0|0.0|1.92|1.97|3.29|0.291|26899|20333047 6399|FRT|FRT|313745101|US3137451015|Federal Realty Investment Trust|Common Shares of Beneficial Interest|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-7|TXN3-2|TXN2-5|TXN4-6|TXN3-5|81620000|||Quarterly|||||1984-12-17||||||| | | | | | | | | |||N|5|Y|Y|412A|USA|US|||35|3510|351020|35102045|Real Estate|Real Estate |Real Estate Investment Trusts|Retail REITs|N||N||||||Y|0|Y||Y|1|||99.91|99.91|0.0|99.95|99.96|99.98|99.91|99.93|0.0|0.0|100.0|99.94|99.87|99.92|98.49|99.9|99.21|99.9|99.96|99.9|99.89|99.9|93.44|105.37|99.83|100.16|99.78|104.75|99.86|99.93|99.89|99.9|115.08|85.27|662424|133976910 59698|FRT PRC|FRTpC|313745200|US3137452005|Federal Realty Investment Trust|Depository Shares, each representing a 1/1000th interest in a 5.000% Series C Cumulative Redeemable Preferred Share, par value $0.01 per share|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN3-4|TXN3-8|TXN4-3|TXN3-4|6000000|||Quarterly|||||2017-10-04||||||| | | | | | | | | |||N|0|N|N|412A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|22.65|0.0|0.0|0.0|22.41|22.44|22.37|0.0|0.0|22.35|0.0|22.42|21.1|0.0|22.37|21.94|22.44|0.0|22.37|22.37|22.44|22.29|22.45|21.9|22.73|0.0|0.0|0.0|0.0|22.37|22.44|23.25|18.5701|11026|1961534 4275|FRTX|FRTX|10802T204|US10802T2042|Fresh Tracks Therapeutics Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-3|TXN6-2|TXN11-3|TXN6-6|TXN6-7|5970000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||0.85|0.8555|0.0|0.0|0.85|0.84|0.8763|0.8675|0.0|0.0|0.8699|0.8763|0.8763|0.0|0.0|0.0|0.0|0.8763|0.0|0.8763|0.8252|0.9135|0.7011|1.04|0.8201|0.9385|0.7011|1.0|0.0|0.0|0.86|0.8763|3.14|0.4495|38362|131320096 69411|FRTY|FRTY|015564107|US0155641071|The Alger ETF Trust|Alger Mid Cap 40 ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Fred Alger Management|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-2|TXN1-2|TXN2-8|TXN2-2|TXN4-6|2137500|||Yearly|||||2021-03-01||FRTY.NV|FRTY.SO|FRTY.EU|FRTY.TC|FRTY.IV| | | | | | | | | |1x|Under normal circumstances, the Fund invests at least 80% of its net assets in equity securities of mid-cap companies. For these purposes, mid-cap companies are those companies that, at the time of purchase of the securities, have total market capitalization within the range of (i) companies included in the Russell MidCap Growth Index or the S&P MidCap 400 Index, as reported by the index at the most recent quarter end, or (ii) $1 billion to $30 billion. Both indexes are designed to track the performance of medium-capitalization stocks. At December 31, 2020, the companies in the Russell MidCap Growth Index ranged from $623 million to $ 59.7 billion and the companies in the S&P MidCap 400 Index ranged from $ 1.47 billion to $ 22.2 billion. Because of the Funds long-term approach to investing, it could have a significant portion of its assets invested in securities of issuers that have appreciated beyond the market capitalization thresholds noted. Equity securities include common or preferred stocks that are listed on U.S. exchanges.The Fund may invest a significant portion of its assets in the securities of companies conducting business in the information technology and healthcare sectors. The Fund will not invest more than 25% of its total assets in any one industry comprising the information technology and healthcare sectors.As a focus fund, the Fund intends to invest a substantial portion of its assets in a smaller number of issuers. Generally the Fund will own approximately 40 holdings. Fund holdings may occasionally differ from this number for a variety of reasons, including, among others, because of extreme market volatility, such as when the Fund has entered a temporary defensive position. Additionally, the Fund may temporarily exceed the stated number of holdings when it acquires a new holding and determines that it is in the best interests of shareholders to sell an existing holding over a period of time, instead of immediately selling the entire holding.The Fund is a non-diversified and non-transparent, actively managed exchange-traded fund (ETF) that does not seek to replicate the performance of a specified index.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||13.17|13.17|0.0|0.0|0.0|13.17|13.11|13.05|0.0|0.0|13.17|0.0|13.17|13.17|0.0|13.17|0.0|13.101|13.17|13.101|12.93|13.2|0.0|0.0|12.99|13.08|12.12|13.17|0.0|0.0|12.99|13.08|13.5311|11.25|10460|1836614 70426|FRXB|FRXB|34619V103|US34619V1035|Forest Road Acquisition Corp. II|Class A Common Stock|Special purpose acquisition company|A|N|N|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN1-1|TXN5-8|TXN2-4|TXN1-8|4480000|||NotApplicable|||||2021-04-30||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||10.42|10.42|0.0|0.0|10.42|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.43|10.38|10.12|10.43|0.0|10.43|10.42|10.43|10.42|10.58|0.0|0.0|10.21|10.64|10.42|10.44|0.0|0.0|10.42|10.44|10.67|9.85|5884|31084995 70427|FRXB WS|FRXB.WS|34619V111|US34619V1118|Forest Road Acquisition Corp. II|Redeemable Warrants, each whole warrant exercisable for one share of Class A Common Stock at an exercise price of $11.50|Special purpose acquisition company|C|N|N|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN4-8|TXN3-3|TXN4-8|TXN4-8|TXN1-4|0|||NotApplicable|||||2021-04-30||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||||||||||N||N||||||N|0|Y||N||X|D|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.4601|0.015|0|1524161 69611|FRXB U|FRXB.U|34619V202|US34619V2025|Forest Road Acquisition Corp. II|Units, each consisting of one share of Class A Common Stock and one-fifth of one Redeemable Warrant|Special purpose acquisition company|R|N|N|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN2-1|TXN6-8|TXN1-4|TXN1-8|0|||NotApplicable|||||2021-03-10||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|10.3|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.5|0.0|10.5|0.0|10.5|10.4|11.32|0.0|0.0|9.71|12.07|10.4|13.58|0.0|0.0|10.4|11.32|10.584|9.92|250|453976 74419|FRZA|FRZA|34988N104|US34988N1046|Forza X1 Inc|COM USD0.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-4|TXN5-7|TXN13-4|TXN6-7|TXN6-6|15760000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4020|402030|40203055|Consumer Discretionary|Consumer Products and Services|Leisure Goods|Recreational Vehicles and Boats|N||N||||||N|0|Y||||||0.6292|0.6201|0.0|0.0|0.0|0.61|0.6292|0.6292|0.0|0.0|0.628|0.0|0.601|0.0|0.0|0.0|0.0|0.6292|0.0|0.6292|0.4883|0.7617|0.4883|0.7617|0.6|0.645|0.4883|0.7617|0.0|0.0|0.6003|0.6292|3.98|0.5344|23679|186910813 70486|FSBC|FSBC|33830T103|US33830T1034|Five Star Bancorp|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN5-6|TXN10-8|TXN6-7|TXN6-4|17260000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||||||23.7|23.64|0.0|0.0|0.0|0.0|23.69|23.72|0.0|0.0|0.0|0.0|23.78|0.0|0.0|0.0|0.0|23.76|0.0|23.78|22.99|24.51|0.0|0.0|23.65|24.56|0.0|0.0|0.0|0.0|23.68|23.77|29.0|17.74|17203|6236102 73914|FSBD|FSBD|316188887|US3161888876|Fidelity Merrimack Street Trust|Fidelity Sustainable Core Plus Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Fidelity SelectCo|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-3|TXN1-6|TXN9-7|TXN4-6|TXN3-3|250000|||Monthly|||||2022-04-21||FSBD.NV|FSBD.SO|FSBD.EU|FSBD.TC|FSBD.IV| | | | | | | | | |1x|The fund seeks a high level of current income. Normally investing at least 80% of assets in debt securities of all types that Fidelity Management & Research Company LLC (FMR) (the Adviser) believes have positive environmental, social and governance (ESG) benefits and repurchase agreements for those securities.|N|0|N|N|416A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|45.2741|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|45.99|0.0|45.99|45.21|46.52|0.0|0.0|45.86|46.04|42.88|49.34|0.0|0.0|45.86|46.04|48.1524|43.6|235|137210 40321|FSBW|FSBW|30263Y104|US30263Y1047|FS Bancorp Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN6-3|TXN13-6|TXN5-8|TXN6-1|7800000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|32.12|32.305|31.925|0.0|0.0|0.0|0.0|32.49|0.0|32.09|31.97|0.0|32.42|0.0|32.49|30.7|33.49|0.0|0.0|31.43|32.51|0.0|0.0|0.0|0.0|32.13|32.49|37.39|26.08|19526|5162371 74901|FSCO|FSCO|30290Y101|US30290Y1010|FS Credit Opportunities Corp.|Common Stock|Closed end fund|A|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN3-2|TXN5-3|TXN2-5|TXN3-5|198360000|||Monthly|||||2022-11-14||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||5.75|5.75|0.0|5.78|5.74|5.745|5.745|5.8|0.0|0.0|5.75|5.75|5.745|5.75|5.79|5.75|5.81|5.75|5.72|5.75|5.74|5.75|4.48|7.06|5.73|5.76|5.72|5.78|5.73|5.76|5.74|5.75|6.0|4.08|604656|161699101 35786|FSD|FSD|33738E109|US33738E1091|First Trust High Income Long/Short Fund|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN2-4|TXN4-8|TXN1-1|TXN1-8|33290000|||Monthly|||||2010-09-28||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||11.26|11.19|0.0|0.0|11.19|11.185|11.18|11.18|0.0|0.0|11.17|0.0|11.185|0.0|0.0|11.19|0.0|11.18|0.0|11.19|11.18|11.19|8.72|13.78|10.51|11.92|8.96|13.58|0.0|0.0|11.18|11.19|12.3|10.2|116386|20249400 64079|FSEA|FSEA|33631F104|US33631F1049|First Seacoast Bancorp Inc|COM USD0.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN5-1|TXN13-1|TXN6-2|TXN6-6|5080000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||||||0.0|6.86|0.0|0.0|0.0|6.8|6.875|0.0|0.0|0.0|6.84|0.0|6.9|0.0|0.0|6.86|6.85|6.9|0.0|6.9|0.0|0.0|0.0|0.0|6.54|7.21|0.0|0.0|0.0|0.0|6.84|6.92|10.59|6.25|52620|3676015 69477|FSEC|FSEC|316188705|US3161887050|Fidelity Merrimack Street Trust|Fidelity Investment Grade Securitized ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Fidelity SelectCo|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-8|TXN2-4|TXN6-2|TXN4-6|TXN2-8|75000|||Monthly|||||2021-03-04||FSEC.NV|FSEC.SO|FSEC.EU|FSEC.TC|FSEC.IV| | | | | | | | | |1x|The fund seeks a high level of current income, normally investing at least 80% of assets in investment-grade securitized debt securities and repurchase agreements for those securities. It is benchmarked to the Bloomberg Barclays U.S. Securitized Index.|N|0|N|N|416A|USA|US|FIXED_INCOME|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|41.555|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|41.637|0.0|41.637|38.81|44.67|0.0|0.0|41.52|41.82|38.81|44.67|0.0|0.0|41.52|41.82|43.87|38.785|1235|161465 67572|FSEP|FSEP|33740U307|US33740U3077|FT Cboe Vest U.S. Equity Buffer ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-6|TXN3-1|TXN8-5|TXN3-8|TXN1-5|11600000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||38.97|39.02|0.0|0.0|0.0|0.0|38.95|38.87|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|39.02|0.0|39.02|30.1|47.75|30.1|47.75|38.95|39.02|38.91|47.75|38.95|39.02|27.98|39.08|39.1694|32.9421|6851|11746520 28989|FSFG|FSFG|33621E109|US33621E1091|First Savings Financial Group Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN6-7|TXN11-5|TXN6-1|TXN5-1|6870000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y|D|||||0.0|0.0|0.0|0.0|0.0|0.0|14.805|14.7|0.0|0.0|0.0|0.0|14.79|0.0|0.0|0.0|0.0|14.805|0.0|14.805|0.0|0.0|0.0|0.0|14.48|15.53|0.0|0.0|0.0|0.0|14.79|15.23|22.5|11.74|2907|1289991 6408|FSI|FSI|33938T104|CA33938T1049|Flexible Solutions International, Inc.|Common Stock|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||J. Streicher & Co. L.L.C.|JSCO|3856|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-8|TXN1-3|TXN7-8|TXN3-3|TXN1-6|12440000|||BiAnnually|||||2002-11-18||||||| | | | | | | | | |||N|0|N|N|116A|CAN|US|||55|5520|552010|55201020|Basic Materials|Chemicals|Chemicals|Specialty Chemicals|N||N||||||N|0|Y||Y|2|||1.6|1.6|0.0|0.0|0.0|1.61|1.62|1.595|0.0|0.0|1.62|0.0|1.61|0.0|0.0|0.0|1.61|1.61|0.0|1.61|1.29|1.88|1.61|1.63|1.57|1.63|1.29|1.88|0.0|0.0|1.53|1.63|3.7|1.36|28693|4455121 72419|FSIG|FSIG|33738D804|US33738D8048|First Trust Exchange-Traded Fund IV|First Trust Limited Duration Investment Grade Corporate ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||First Trust|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-6|TXN4-1|TXN6-8|TXN1-2|TXN2-3|44150002|||Monthly|||||2021-11-18||FSIG.NV|FSIG.SO|FSIG.EU|FSIG.TC| | | | | | | | | | |1x|The First Trust Limited Duration Investment Grade Corporate ETFs (the Fund) primary investment objective is to deliver current income.|N|0|N|N|416A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|1|||18.73|18.73|0.0|0.0|18.73|18.725|18.73|18.73|0.0|0.0|18.725|18.75|18.725|18.725|18.725|18.73|18.725|18.74|18.725|18.74|18.69|18.75|18.67|18.77|18.72|18.73|18.67|18.77|18.67|18.77|18.72|18.73|18.98|18.21|449043|79738071 43974|FSK|FSK|302635206|US3026352068|FS KKR Capital Corp.|Common Stock|Business development company|A|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-1|TXN1-6|TXN5-2|TXN1-6|TXN2-4|280070000|||Quarterly|||||2014-04-16||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||Y|0|Y||Y|2|||20.01|19.98|0.0|0.0|20.0|20.0|19.98|19.99|0.0|0.0|19.99|19.985|20.005|20.0|19.99|20.0|20.0|20.01|20.0|20.0|20.0|20.01|15.44|24.45|19.97|20.02|18.91|20.04|19.96|20.04|20.0|20.01|20.8|17.06|1787959|247826124 73915|FSLD|FSLD|316188804|US3161888041|Fidelity Merrimack Street Trust|Fidelity Sustainable Low Duration Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Fidelity SelectCo|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-6|TXN1-7|TXN4-8|TXN1-2|TXN3-3|125000|||Monthly|||||2022-04-21||FSLD.NV|FSLD.SO|FSLD.EU|FSLD.TC|FSLD.IV| | | | | | | | | |1x|The fund seeks to obtain a high level of current income consistent with preservation of capital. Normally investing at least 80% of assets in investment-grade debt securities (those of medium and high quality) of all types that Fidelity Management & Research Company LLC (FMR) (the Adviser) believes have positive environmental, social and governance (ESG) benefits and repurchase agreements for those securities.|N|0|N|N|416A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|50.0649|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|50.07|0.0|50.07|49.54|50.7|0.0|0.0|50.04|50.1|46.56|53.58|0.0|0.0|50.04|50.1|50.74|49.77|90|203097 18275|FSLR|FSLR|336433107|US3364331070|First Solar Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN5-1|TXN12-3|TXN6-8|TXN5-6|106840000|||NotApplicable|||||||||||| | | | | | | | | |||N|5|Y|N||USA||||60|6010|601020|60102020|Energy|Energy|Alternative Energy|Renewable Energy Equipment |N||N||||||Y|0|Y||||||159.56|159.61|0.0|159.91|159.57|159.61|159.595|159.57|0.0|0.0|159.57|159.53|159.54|159.57|159.53|159.63|159.59|159.545|159.6|159.54|158.75|159.78|150.47|171.16|159.48|159.67|159.22|159.84|159.49|159.7|159.53|159.56|232.0|129.215|1933424|535672070 63637|FSLY|FSLY|31188V100|US31188V1008|Fastly, Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-3|TXN3-1|TXN5-4|TXN3-8|TXN1-3|130800000|||NotApplicable|||||2019-05-17||||||| | | | | | | | | |||N|0|N|Y|180B|USA|US|||10|1010|101010|10101010|Technology|Technology|Software and Computer Services|Computer Services|N||N||||||Y|0|Y||Y|2|||17.95|17.94|0.0|17.87|17.95|17.98|17.945|17.955|0.0|0.0|17.955|17.955|17.94|17.95|17.97|17.94|17.99|17.945|18.0|17.94|17.94|17.95|13.82|22.01|17.9|17.99|17.89|18.0|17.9|18.01|17.94|17.95|24.31|7.15|2150658|793291484 32614|FSM|FSM|349915108|CA3499151080|Fortuna Silver Mines Inc.|Common shares, no par value|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|6|M|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-4|TXN4-4|TXN1-3|TXN2-1|TXN1-4|306460000|||NotApplicable|||||2011-09-19||||||| | | | | | | | | |||N|0|N|Y|130C|CAN|CA|||55|5510|551030|55103030|Basic Materials|Basic Resources|Precious Metals and Mining|Platinum and Precious Metals|N||N||||||Y|0|Y||Y|2|||3.93|3.92|0.0|0.0|3.925|3.92|3.925|3.925|0.0|0.0|3.92|3.92|3.92|3.925|3.93|3.92|3.92|3.92|3.925|3.92|3.92|3.93|3.07|4.75|3.92|3.93|3.9|3.96|3.89|3.94|3.92|3.93|4.2|2.58|7625987|797167793 62196|FSMB|FSMB|33739P830|US33739P8308|First Trust Exchange-Traded Fund III|First Trust Short Duration Managed Municipal ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||First Trust|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-5|TXN2-1|TXN9-8|TXN2-8|TXN2-8|20400002|||Monthly|||||2018-11-02||FSMB.NV|FSMB.SO|FSMB.EU|FSMB.TC|FSMB.IV| | | | | | | | | ||The First Trust Short Duration Managed Municipal ETF (the Fund) seeks to provide federally tax-exempt income consistent with capital preservation. Under normal market conditions, the Fund seeks to achieve its investment objective by investing at least 80% of its netassets (including investment borrowings) in municipal debt securities that pay interest that is exempt from regular federalincome taxes (collectively, Municipal Securities).|N|0|N|N|416A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||Y|0|Y||Y|1|||0.0|19.79|0.0|0.0|0.0|19.785|19.785|19.78|0.0|0.0|19.78|0.0|19.785|19.76|0.0|19.785|19.765|19.79|0.0|19.79|18.44|21.14|18.44|21.14|19.76|19.79|18.44|21.14|0.0|0.0|19.76|19.79|20.05|19.31|110648|30201929 63078|FSMD|FSMD|316092527|US3160925273|Fidelity Covington Trust|Fidelity Small-Mid Multifactor ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Fidelity SelectCo|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-8|TXN2-7|TXN5-8|TXN1-7|TXN3-2|3800000|||Quarterly|||||2019-02-28||FSMD.NV|FSMD.SO|FSMD.EU|FSMD.TC|FSMD.IV| | | | | | | | | |1x|The fund seeks to provide investment returns that correspond, before fees and expenses, generally to the performance of the Fidelity Small-Mid Factor Index. The Fidelity Small-Mid Factor Index is designed to reflect the performance of stocks of small- and mid-capitalization U.S. companies with attractive valuations, high quality profiles, positive momentum signals, and lower volatilitythan the broader market, as represented by the Fidelity U.S. Extended Investable Market Index|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||0.0|34.33|0.0|0.0|0.0|34.31|34.3|0.0|0.0|0.0|0.0|0.0|34.32|0.0|0.0|0.0|0.0|34.33|0.0|34.33|27.11|40.92|0.0|0.0|34.26|34.33|26.77|40.92|0.0|0.0|34.26|34.33|34.76|30.3|37097|3524394 69035|FSMO|FSMO|316092295|US3160922957|Fidelity Small Mid Cap Opportunities ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-6|TXN1-5|TXN7-8|TXN1-3|TXN2-3|1750000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||22.31|22.31|0.0|0.0|22.28|22.24|22.1801|0.0|0.0|0.0|22.165|0.0|22.25|22.28|22.18|0.0|0.0|22.31|0.0|22.31|0.0|0.0|0.0|0.0|22.29|22.31|17.89|29.5|0.0|0.0|22.29|22.31|22.78|19.59|4706|1730351 6414|FSP|FSP|35471R106|US35471R1068|Franklin Street Properties Corp|Common Stock|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Brendan E. Cryan and Company, L.L.C.|CRYN|0235|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-2|TXN2-7|TXN7-5|TXN3-6|TXN1-4|103430000|||Quarterly|||||2005-06-02||||||| | | | | | | | | |||N|0|N|N|412A|USA|US|||35|3510|351020|35102030|Real Estate|Real Estate |Real Estate Investment Trusts|Office REITs|N||N||||||Y|0|Y||Y|2|||2.61|2.61|0.0|2.59|2.6|2.61|2.61|2.605|0.0|0.0|2.61|2.61|2.61|2.61|2.59|2.605|2.59|2.59|2.62|2.59|2.59|2.64|2.6|2.61|2.59|2.63|2.57|2.64|2.6|2.65|2.6|2.61|3.19|1.13|487488|249887340 61880|FSR|FSR|33813J106|US33813J1060|Fisker Inc.|Class A common stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|N|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-5|TXN3-4|TXN6-2|TXN3-8|TXN3-3|218200000|||NotApplicable|||||2018-10-01||||||| | | | | | | | | |||N|0|N|Y|408A|USA|US|||40|4010|401010|40101020|Consumer Discretionary|Automobiles and Parts|Automobiles and Parts|Automobiles|N||N||||||Y|0|Y|C|Y|2|||1.61|1.605|0.0|1.61|1.61|1.605|1.6|1.605|0.0|1.6|1.605|1.61|1.605|1.61|1.605|1.61|1.605|1.6|1.61|1.61|1.6|1.61|1.32|1.95|1.6|1.61|1.32|1.95|1.59|1.62|1.6|1.61|8.665|1.52|21657974|2186349791 70190|FSRX|FSRX|31809Y103|US31809Y1038|FinServ Acquisition Corp II|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN5-6|TXN12-8|TXN6-3|TXN5-4|9340000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.34|0.0|0.0|10.34|0.0|10.34|0.0|0.0|0.0|0.0|10.1|10.55|10.32|10.35|0.0|0.0|10.32|10.34|11.5|9.9|218|12894423 69239|FSRXU|FSRXU|31809Y202|US31809Y2028|FinServ Acquisition Corp II|UNITS||R|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN6-8|TXN13-7|TXN6-1|TXN6-3|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.32|0.0|0.0|0.0|0.0|10.32|0.0|10.32|8.24|13.08|0.0|0.0|9.62|11.19|10.31|13.08|0.0|0.0|10.32|10.5|10.95|9.95|100|551440 70191|FSRXW|FSRXW|31809Y111|US31809Y1111|FinServ Acquisition Corp II|WT EXP 021726||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-7|TXN6-3|TXN10-4|TXN5-4|TXN5-1|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0012|0.0013|0.36|0.0011|0|1427035 6415|FSS|FSS|313855108|US3138551086|Federal Signal Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|P|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN2-6|TXN7-8|TXN2-5|TXN3-1|60930000|||Quarterly|||||1969-02-11||||||| | | | | | | | | |||N|0|N|Y|112A|USA|US|||50|5020|502060|50206015|Industrials|Industrial Goods and Services|Industrial Transportation|Commercial Vehicles and Parts|N||N||||||Y|0|Y||Y|2|||70.24|70.33|0.0|70.25|70.29|70.25|70.22|70.35|0.0|0.0|70.33|70.29|70.23|70.29|70.35|70.29|70.27|70.27|70.34|70.29|70.26|70.29|53.78|85.68|70.13|70.45|55.53|70.36|70.26|70.35|70.26|70.29|70.66|43.44|294633|71476000 70885|FSST|FSST|316092279|US3160922791|Fidelity Covington Trust|Fidelity Sustainable U.S. Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Fidelity SelectCo|RBC Capital Markets, 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C||B|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN6-5|TXN10-2|TXN6-5|TXN6-5|4200000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|23.65|23.6899|23.68|0.0|0.0|23.65|23.65|23.67|0.0|0.0|0.0|0.0|23.65|0.0|23.65|0.0|0.0|0.0|0.0|22.98|24.17|0.0|0.0|0.0|0.0|23.45|23.69|24.7872|18.61|6385|1319059 65153|FTAIO|FTAIO|G3730V121|KYG3730V1216|FTAI Aviation Ltd|CUM PFD SER B||B|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN5-5|TXN12-5|TXN6-4|TXN6-2|4940000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|24.7|0.0|0.0|0.0|24.18|24.7|0.0|0.0|0.0|0.0|0.0|24.6|0.0|0.0|0.0|0.0|24.7|0.0|24.7|0.0|0.0|0.0|0.0|23.75|25.25|0.0|0.0|0.0|0.0|24.23|24.75|25.0|18.235|7911|1357815 64553|FTAIP|FTAIP|G3730V113|KYG3730V1133|FTAI Aviation Ltd|PFD 8.25||B|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN5-2|TXN12-1|TXN5-8|TXN5-6|4180000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|24.45|0.0|0.0|0.0|0.0|0.0|24.5|0.0|0.0|0.0|0.0|24.5|0.0|24.5|0.0|0.0|0.0|0.0|23.99|25.02|0.0|0.0|0.0|0.0|24.47|24.5|24.85|19.51|3867|2537432 75154|FTBD|FTBD|316188879|US3161888793|Fidelity Merrimack Street Trust|Fidelity Tactical Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Fidelity SelectCo|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-8|TXN4-7|TXN9-8|TXN4-6|TXN1-4|300000|||Monthly|||||2023-01-26||FTBD.NV|FTBD.SO|FTBD.EU|FTBD.TC|FTBD.IV| | | | | | | | | ||The fund seeks a high level of current income. Growth of capital may also be considered. 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Retailers|N||N||||||Y|0|Y||Y|2|||1.29|1.295|0.0|1.32|1.295|1.295|1.295|1.295|0.0|0.0|1.295|1.295|1.295|1.29|1.29|1.29|1.295|1.295|1.29|1.29|1.29|1.3|1.0|1.57|1.29|1.3|1.22|1.38|1.28|1.3|1.29|1.3|8.015|0.92|26591878|3407596875 70410|FTCI|FTCI|30320C103|US30320C1036|FTC Solar Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-1|TXN6-4|TXN11-4|TXN6-4|TXN5-8|125010000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||60|6010|601020|60102020|Energy|Energy|Alternative Energy|Renewable Energy Equipment |N||N||||||Y|0|Y||||||0.7001|0.6987|0.0|0.7063|0.7003|0.7018|0.7088|0.7046|0.0|0.0|0.7063|0.7018|0.7088|0.7006|0.6948|0.7063|0.6901|0.7088|0.7001|0.7088|0.6804|0.7273|0.6823|0.7311|0.6833|0.7227|0.6823|0.7347|0.697|0.7119|0.7046|0.7088|3.87|0.2821|731828|414174212 16823|FTCS|FTCS|33733E104|US33733E1047|First Trust Exchange Traded Fund First Trust Capital Strength ETF|DB STRAT VAL INDX||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN6-7|TXN14-4|TXN6-8|TXN6-3|110350000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment 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Misc.|N||N||||||Y|0|Y||||||34.79|34.8|0.0|34.81|34.79|34.8|34.79|34.79|0.0|0.0|34.79|34.69|34.81|34.81|34.84|34.79|34.64|34.81|0.0|34.81|34.74|34.85|26.66|42.54|34.72|34.87|34.77|34.84|34.77|34.86|34.79|34.81|38.97|19.06|1138144|191271487 6432|FTDS|FTDS|33733E708|US33733E7085|First Trust Dividend Strength ETF|EQ ALLCTN IDX||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN6-2|TXN10-2|TXN5-7|TXN5-3|450002|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|44.95|0.0|0.0|0.0|0.0|0.0|0.0|44.95|0.0|0.0|44.64|45.08|44.77|44.99|44.64|45.08|44.64|45.08|44.77|44.95|47.13|39.06|37|485163 42939|FTEC|FTEC|316092808|US3160928087|Fidelity Covington Trust|Fidelity MSCI Information Technology Index ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Fidelity SelectCo|RBC Capital Markets, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-7|TXN2-2|TXN7-3|TXN2-5|TXN3-7|57150000|||Quarterly|||||2013-10-24||FTEC.NV|FTEC.SO|FTEC.EU|FTEC.TC|FTEC.IV| | | | | | | | | |1x|The Fidelity MSCI Information Technology Index ETF seeks to provide investment returns that correspond, before fees and expenses, generally to the performance of the MSCI USA IMI Information Technology Index.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||136.77|136.69|0.0|0.0|136.77|136.55|136.775|136.75|0.0|0.0|136.75|137.5|136.71|135.19|136.44|136.76|136.74|136.76|0.0|136.76|136.73|137.05|127.55|144.47|136.73|136.76|136.62|137.06|136.62|136.85|136.73|136.77|138.8|91.74|268743|50115731 1625|FTEK|FTEK|359523107|US3595231073|Fuel Tech Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN5-6|TXN13-6|TXN6-4|TXN5-7|30390000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502020|50202030|Industrials|Industrial Goods and Services|Electronic and Electrical Equipment|Electronic Equipment: Pollution Control|N||N||||||N|0|Y||||||1.05|1.08|0.0|0.0|0.0|1.05|1.045|1.05|0.0|0.0|1.07|0.0|1.04|0.0|0.0|0.0|1.05|1.045|0.0|1.04|0.832|1.26|0.0|0.0|0.9938|1.11|0.832|1.26|0.0|0.0|1.04|1.05|1.83|0.9569|66036|25920542 76122|FTEL|FTEL|G35150104|KYG351501047|Fitell Corp|ORD||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN5-2|TXN11-4|TXN5-8|TXN6-8|11120000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||AUS||||40|4020|402030|40203050|Consumer Discretionary|Consumer Products and Services|Leisure Goods|Recreational Products|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|1.7719|0.0|0.0|0.0|0.0|0.0|1.71|0.0|0.0|0.0|0.0|1.71|0.0|1.71|1.2|2.34|1.2|2.34|1.4|2.07|1.2|2.34|0.0|0.0|1.5|1.95|5.26|0.9313|2361|9845474 6420|FTF|FTF|35472T101|US35472T1016|Franklin Limited Duration Income Trust|Common Shares of Beneficial Interest|Closed end fund|P|N|N|A|Y|Y|Y|Y|Y|||Brendan E. Cryan and Company, L.L.C.|CRYN|0235|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-7|TXN1-3|TXN5-7|TXN1-4|TXN4-5|40410000|||Monthly|||||2003-08-27||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||6.305|6.305|0.0|6.31|6.305|6.305|6.305|6.315|0.0|0.0|6.305|6.3|6.31|6.27|0.0|6.305|6.29|6.29|6.3|6.29|4.81|7.71|6.3|6.32|6.2|6.7|6.27|6.34|6.29|6.34|6.3|6.32|6.59|5.76|133067|34056023 28154|FTFT|FTFT|36117V204|US36117V2043|Future FinTech Group Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-4|TXN6-8|TXN13-7|TXN6-1|TXN5-2|14950000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302020|30202000|Financials|Financial Services |Investment Banking and Brokerage Services |Diversified Financial Services |N||N||||||Y|0|Y||||||0.8799|0.85|0.0|0.0|0.8799|0.8799|0.87269|0.88|0.0|0.0|0.8679|0.8679|0.8799|0.88|0.0|0.86|0.0|0.8708|0.0|0.8708|0.8272|0.9239|0.6666|1.05|0.8272|0.9239|0.8272|0.9239|0.0|0.0|0.8708|0.8799|2.19|0.331|135301|17303543 42929|FTGC|FTGC|33739H101|US33739H1014|First Trust Exchange-Traded Fund VII - First Trust Global Tactical Commodity Strategy Fund|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN5-8|TXN10-2|TXN5-2|TXN5-4|116503334|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||23.01|22.99|0.0|0.0|22.99|23.01|23.02|23.01|0.0|0.0|22.99|23.0|23.02|23.02|23.01|23.01|23.01|23.02|23.1|23.02|22.99|23.03|22.99|23.04|22.99|23.03|22.99|23.05|22.99|23.05|22.99|23.02|26.75|21.79|725676|203872154 74793|FTGS|FTGS|33733E823|US33733E8232|First Trust Growth Strength 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Services|N||N||||||Y|0|Y|D|||||2.37|2.45|0.0|0.0|2.38|2.37|2.3993|2.375|0.0|0.0|2.38|2.37|2.36|0.0|0.0|2.43|0.0|2.3993|0.0|2.36|0.0|0.0|0.0|0.0|2.36|2.4|0.0|0.0|0.0|0.0|2.36|2.4|8.2|2.1|23037|7638700 66840|FTHY|FTHY|33741Q107|US33741Q1076|First Trust High Yield Opportunities 2027 Term Fund|Common Stock|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN2-3|TXN8-8|TXN4-5|TXN2-7|36770000|||Monthly|||||2020-06-26|2027-08-01|||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||13.5|13.5|0.0|13.5|0.0|13.535|13.5377|13.51|0.0|0.0|13.51|13.51|13.53|13.54|0.0|13.53|13.51|13.53|13.49|13.53|13.53|13.54|10.42|16.75|12.62|14.41|13.5|13.57|13.51|13.56|13.53|13.54|14.875|12.6601|172223|20394114 6422|FTI|FTI|G87110105|GB00BDSFG982|TechnipFMC plc|Ordinary Shares|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|R|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-5|TXN2-1|TXN3-8|TXN2-6|TXN2-3|435460000|||Quarterly|||||2017-01-17||||||| | | | | | | | | |||N|0|Y|Y|170A|GBR|US|||60|6010|601010|60101030|Energy|Energy|Oil, Gas and Coal|Oil Equipment and Services|N||N||||||Y|0|Y||Y|1|||20.46|20.45|0.0|20.46|20.45|20.45|20.455|20.455|0.0|0.0|20.455|20.455|20.45|20.46|20.455|20.46|20.465|20.45|20.46|20.46|20.45|20.46|19.12|21.73|20.44|20.47|20.43|21.32|20.43|20.46|20.45|20.46|22.78|11.09|4005254|1349155526 75430|FTIF|FTIF|33733E815|US33733E8158|First Trust Exchange-Traded Fund|First Trust Bloomberg Inflation Sensitive Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||First Trust|Old Mission Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-8|TXN3-1|TXN1-8|TXN1-3|TXN3-2|50002|||Quarterly|||||2023-03-14||FTIF.NV|FTIF.SO|FTIF.EU|FTIF.TC| | | | | | | | | | |1x|The First Trust Bloomberg Inflation Sensitive Equity ETF (the Fund) seeks investment results that correspond generally to the price and yield, before fees and expenses, of an equity index called the Bloomberg Inflation Sensitive Equity Index (the Index).|N|0|N|N|406C|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|21.2031|0.0|21.2031|0.0|0.0|0.0|0.0|21.18|21.21|10.66|31.96|0.0|0.0|21.18|21.21|22.112|18.5129|2|22074 73870|FTII|FTII|36119D103|US36119D1037|FutureTech II Acquisition Corp|CL A COM 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Corp|UNITS||R|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN5-2|TXN12-2|TXN6-1|TXN5-7|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.09|0.0|0.0|0.0|0.0|0.0|10.09|10.95|11.08|9.98|0|164777 73871|FTIIW|FTIIW|36119D111|US36119D1110|FutureTech II Acquisition Corp|WT EXP 122322||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-3|TXN6-1|TXN14-8|TXN6-8|TXN6-6|0|||NotApplicable|||||||||||| | | | | 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Services|N||N||||||Y|0|Y||Y|2|||3.23|3.17|0.0|0.0|3.17|3.1|3.17|3.17|0.0|0.0|3.2|3.38|3.17|3.1|3.145|3.18|0.0|3.17|0.0|3.18|3.16|3.23|2.45|3.9|3.03|3.32|3.01|3.39|0.0|0.0|3.16|3.23|4.68|0.57|166427|52084223 26755|FTLF|FTLF|33817P306|US33817P3064|FitLife Brands Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN6-3|TXN10-4|TXN6-5|TXN5-2|4590000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||45|4510|451020|45102020|Consumer Staples |Food, Beverage and Tobacco |Food Producers|Food Products|N||N||||||N|0|Y||||||19.45|0.0|0.0|0.0|0.0|19.36|19.5568|0.0|0.0|0.0|0.0|0.0|19.37|0.0|0.0|0.0|0.0|19.16|0.0|19.16|0.0|0.0|0.0|0.0|17.71|21.06|18.85|0.0|0.0|0.0|18.86|19.78|22.74|15.05|10937|477700 44872|FTLS|FTLS|33739P103|US33739P1030|First Trust Exchange-Traded Fund III|First Trust Long/Short Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||First Trust|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN2-2|TXN7-8|TXN1-1|TXN4-7|14800002|||Quarterly|||||2014-09-09||FTLS.NV|FTLS.SO|FTLS.EU|FTLS.TC|FTLS.IV| | | | | | | | | ||The Funds investment objective is to seek to provide investors with long-term total return. 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USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN5-7|TXN11-7|TXN5-6|TXN6-8|767910000|||NotApplicable|||||||||||| | | | | | | | | |||N|5|Y|N||USA||||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||||||52.24|52.27|0.0|52.24|52.24|52.26|52.269|52.28|0.0|0.0|52.26|52.26|52.25|52.27|52.26|52.27|52.26|52.269|52.19|52.25|52.25|52.3|48.78|55.67|52.24|52.3|52.2|52.32|52.26|0.0|52.26|52.28|81.24|44.12|4726168|1356101406 43345|FTQI|FTQI|33738R407|US33738R4074|First Trust Nasdaq BuyWrite Income ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN5-3|TXN10-8|TXN5-3|TXN5-1|6200000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||19.525|19.57|0.0|0.0|19.6|19.57|19.6|19.6|0.0|0.0|19.57|0.0|19.6|19.6|19.6|19.58|0.0|19.61|19.61|19.6|0.0|0.0|0.0|0.0|19.55|19.61|0.0|0.0|0.0|0.0|19.55|19.6|20.15|17.57|40064|8834756 75878|FTRE|FTRE|34965K107|US34965K1079|Fortrea Holdings Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN5-8|TXN11-3|TXN5-4|TXN6-5|88800000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||31.6|31.6|0.0|31.68|31.62|31.66|31.625|31.62|0.0|0.0|31.6|31.61|31.64|31.64|31.6|31.66|31.69|31.61|31.67|31.64|31.59|31.7|29.72|33.68|31.57|31.66|31.58|31.68|31.57|31.66|31.61|31.63|37.3|24.925|961603|199111103 32401|FTRI|FTRI|33734X838|US33734X8386|First Trust Indxx Global Natural Resources Income ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN5-2|TXN13-7|TXN6-3|TXN5-4|17450000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||12.67|12.67|0.0|0.0|12.67|12.67|12.68|12.68|0.0|0.0|12.67|0.0|12.67|12.67|12.67|12.67|0.0|12.68|0.0|12.67|12.67|12.69|11.95|13.51|12.67|12.69|11.95|13.51|0.0|0.0|12.67|12.69|14.92|11.77|114075|31678401 54136|FTS|FTS|349553107|CA3495531079|Fortis Inc.|Common Shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|5|A|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN3-1|TXN7-4|TXN2-4|TXN3-3|488500000|||Quarterly|||||2016-10-14||||||| | | | | | | | | |||N|0|N|Y|302A|CAN|CA|||65|6510|651010|65101015|Utilities|Utilities|Electricity|Conventional Electricity|N||N||||||Y|0|Y||Y|2|||40.64|40.65|0.0|40.64|40.65|40.64|40.66|40.64|0.0|0.0|40.65|40.65|40.66|40.65|40.67|40.66|40.76|40.66|40.71|40.66|40.65|40.67|31.3|49.8|40.62|40.68|40.62|40.68|40.64|40.66|40.65|40.67|46.28|36.3|831528|151316330 43047|FTSD|FTSD|353506108|US3535061085|Franklin ETF Trust|Franklin Short Duration U.S. Government ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Franklin Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-7|TXN1-1|TXN3-8|TXN1-3|TXN2-6|1901000|||Monthly|||||2013-11-05||FTSD.NV|FTSD.SO|FTSD.EU|FTSD.TC|FTSD.IV| | | | | | | | | ||The Funds investment goal is to provide a high level of current income as is consistent with prudent investing, while seeking preservation of capital. |N|0|N|N|416A|USA|US|FIXED_INCOME|ACTIVE|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|89.7211|89.89|0.0|0.0|0.0|0.0|0.0|89.64|0.0|0.0|0.0|89.685|0.0|89.685|84.37|94.45|68.84|110.18|89.61|89.76|83.33|95.88|0.0|0.0|89.61|89.76|91.0|87.28|32642|3693044 41934|FTSL|FTSL|33738D309|US33738D3098|First Trust Senior Loan Fund ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN5-7|TXN13-1|TXN6-8|TXN5-1|48400002|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||45.79|45.81|0.0|0.0|45.81|45.805|45.81|45.805|0.0|0.0|45.8|45.81|45.8|45.79|45.79|45.81|0.0|45.81|45.8|45.8|45.8|45.82|42.47|48.71|45.8|45.81|45.78|45.82|0.0|0.0|45.8|45.81|46.19|44.36|314196|86833885 44736|FTSM|FTSM|33739Q408|US33739Q4082|First Trust Exchange Traded Fund IV - First Trust Enhanced Short Maturity ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN5-3|TXN13-4|TXN5-6|TXN5-7|125300000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||59.61|59.605|0.0|0.0|59.61|59.6|59.6|59.605|0.0|0.0|59.6|59.6|59.61|59.6|59.6|59.6|59.6|59.6|59.61|59.61|56.63|59.61|59.54|59.68|59.59|59.61|59.54|59.68|59.54|59.68|59.59|59.61|59.8|59.38|1552777|334482230 53323|FTV|FTV|34959J108|US34959J1088|Fortive Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|O|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-4|TXN4-3|TXN6-1|TXN1-5|TXN4-2|351430000|||Quarterly|||||2016-06-13||||||| | | | | | | | | |||N|5|Y|Y|126C|USA|US|||50|5020|502030|50203000|Industrials|Industrial Goods and Services|General Industrials|Diversified Industrials|N||N||||||Y|0|Y||Y|1|||69.54|69.53|0.0|69.42|69.535|69.52|69.513|69.52|0.0|0.0|69.53|69.53|69.52|69.54|69.37|69.53|69.32|69.52|69.54|69.53|69.51|69.52|64.35|73.31|69.48|69.56|69.47|69.56|69.51|69.6|69.51|69.52|79.9|62.7|1444835|465824368 76228|FTWO|FTWO|02072L557|US02072L5571|EA Series Trust|Strive FAANG 2.0 ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Alpha Architect|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-1|TXN4-7|TXN8-8|TXN4-3|TXN3-3|120000|||Quarterly|||||2023-08-31||FTWO.NV|FTWO.SO|FTWO.EU|FTWO.TC|FTWO.IV| | | | | | | | | |1x|The Fund seeks to track the investment results of the Bloomberg FAANG 2.0 Select Index (the Index), which measures the performance of companies that are engaged in national security and natural resource security as defined by Bloomberg (the Index Provider or Bloomberg). The Index includes large- and mid-capitalization companies.|N|0|N|N|408A|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|24.4399|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|24.6047|0.0|24.6047|0.0|0.0|0.0|0.0|24.57|24.63|0.0|0.0|0.0|0.0|24.57|24.63|25.48|23.05|428|142368 53956|FTXG|FTXG|33738R852|US33738R8521|First Trust Nasdaq Food & Beverage ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN6-7|TXN12-6|TXN5-5|TXN5-2|3500002|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||24.02|0.0|0.0|0.0|0.0|24.0|23.9975|0.0|0.0|0.0|0.0|0.0|24.01|23.98|0.0|0.0|0.0|23.98|0.0|24.01|23.97|24.01|22.44|25.52|23.97|24.01|22.44|25.52|0.0|0.0|23.97|24.01|28.14|21.55|21772|90092122 53958|FTXH|FTXH|33738R837|US33738R8372|First Trust Nasdaq Pharmaceuticals ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN5-8|TXN11-7|TXN5-1|TXN5-1|800002|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|25.3279|0.0|0.0|0.0|0.0|0.0|25.33|0.0|0.0|0.0|0.0|25.3279|0.0|25.33|0.0|0.0|0.0|0.0|25.28|25.4|0.0|0.0|0.0|0.0|25.32|25.37|28.59|23.85|1970|2591601 53959|FTXL|FTXL|33738R811|US33738R8117|First Trust Nasdaq Semiconductor ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN6-2|TXN10-8|TXN6-6|TXN5-6|15100002|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||72.07|72.32|0.0|0.0|72.37|72.08|72.315|72.18|0.0|0.0|72.08|0.0|72.42|72.0|72.08|72.37|0.0|72.32|0.0|72.42|67.17|76.08|72.01|72.61|72.22|72.48|72.01|72.62|72.11|72.62|72.29|72.41|75.72|51.44|72082|34718891 31363|FTXN|FTXN|33738R845|US33738R8455|First Trust Nasdaq Oil & Gas ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN6-3|TXN14-5|TXN6-1|TXN5-4|9050002|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||0.0|0.0|0.0|0.0|28.46|0.0|28.42|28.44|0.0|0.0|28.62|0.0|28.47|0.0|0.0|28.47|28.47|28.46|0.0|28.47|28.39|28.5|26.58|30.34|28.44|28.46|28.42|28.47|28.34|28.55|28.44|28.46|31.18|24.37|37209|81168050 53963|FTXO|FTXO|33738R860|US33738R8604|First Trust Nasdaq Bank ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN6-8|TXN12-4|TXN6-1|TXN5-7|5950002|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||23.41|23.395|0.0|0.0|0.0|0.0|23.4302|0.0|0.0|0.0|0.0|23.44|23.4426|23.37|23.26|0.0|23.4|23.445|0.0|23.4426|23.39|23.48|23.38|23.5|23.43|23.45|23.42|23.46|23.38|23.5|23.43|23.45|29.62|18.66|20609|13701680 53964|FTXR|FTXR|33738R795|US33738R7952|First Trust Nasdaq Transportation ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN5-2|TXN13-7|TXN5-2|TXN6-2|1350002|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment 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Services|N||N||||||Y|0|Y||Y|2|||3.46|3.455|0.0|3.45|3.455|3.455|3.455|3.45|0.0|0.0|3.455|3.45|3.455|3.45|3.45|3.45|3.455|3.45|3.45|3.45|3.45|3.46|2.66|4.21|3.45|3.46|3.43|3.48|3.44|3.46|3.45|3.46|3.87|0.96|13838213|3283798885 6426|FUL|FUL|359694106|US3596941068|H.B. 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Streicher & Co. L.L.C.|JSCO|3856|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN10-4|TXN3-2|TXN1-5|TXN3-6|TXN2-3|145550000|||NotApplicable|||||2017-07-17||||||| | | | | | | | | |||N|0|N|N|130E|CAN|CA|||55|5510|551020|55102000|Basic Materials|Basic Resources|Industrial Metals and Mining|General Mining|N||N||||||N|0|Y||Y|2|||0.5241|0.5241|0.0|0.0|0.52|0.5284|0.5284|0.544|0.0|0.0|0.5269|0.52|0.5269|0.4932|0.4932|0.5241|0.53|0.53|0.5269|0.53|0.494|0.5669|0.5299|0.53|0.4947|0.5619|0.494|0.5669|0.0|0.0|0.5299|0.53|0.745|0.31|555666|26428431 4224|FUSB|FUSB|33744V103|US33744V1035|First US Bancshares Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN6-4|TXN12-8|TXN5-7|TXN6-7|5880000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|9.15|0.0|0.0|0.0|0.0|0.0|9.18|0.0|0.0|0.0|0.0|9.15|0.0|9.15|0.0|0.0|0.0|0.0|8.79|9.79|0.0|0.0|0.0|0.0|9.15|9.42|10.0|6.39|3496|1304405 75441|FUSI|FUSI|025072224|US0250722248|American Century ETF Trust|American Century Multisector Floating Income ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||American Century Investments|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN3-6|TXN9-8|TXN2-2|TXN3-6|400000|||Monthly|||||2023-03-16||FUSI.NV|FUSI.SO|FUSI.EU|FUSI.TC|FUSI.IV| | | | | | | | | ||The fund invests principally in securitized credit instruments, including collateralized loan obligations, credit risk transfer securities, floating rate commercial mortgage securities, and mortgage- or asset-backed securities. The fund may also invest in bank loans, including loan participations, and other corporate and U.S. government related floating rate debt. The funds average duration will be less than one year. Duration is an indication of the relative sensitivity of a securitys market value to changes in interest rates.|N|0|N|N|406B|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|50.45|0.0|0.0|0.0|0.0|0.0|0.0|50.3473|0.0|0.0|0.0|50.525|0.0|50.525|0.0|0.0|0.0|0.0|50.45|50.6|0.0|0.0|0.0|0.0|50.25|50.6|50.86|50.14|190|214263 66853|FUSN|FUSN|36118A100|CA36118A1003|Fusion Pharmaceuticals Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN6-1|TXN14-6|TXN5-7|TXN6-3|72410000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CAN||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||5.24|5.16|0.0|0.0|5.24|5.17|5.14|5.16|0.0|0.0|5.34|5.35|5.24|5.17|5.17|5.17|0.0|5.14|5.17|5.24|5.02|5.39|4.09|6.4|5.05|5.36|5.08|5.36|5.02|5.36|5.14|5.25|5.7|2.15|164252|41694533 63161|FUTU|FUTU|36118L106|US36118L1061|Futu Holdings Limited|ADS||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN6-7|TXN10-3|TXN5-3|TXN5-7|736690000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||HKG||||30|3020|302020|30202015|Financials|Financial Services |Investment Banking and Brokerage Services |Investment Services|N||N||||||Y|0|Y||||||52.76|52.71|0.0|52.38|52.76|52.72|52.715|52.695|0.0|0.0|52.74|52.47|52.72|52.69|52.29|52.745|52.32|52.72|52.61|52.72|52.64|52.77|51.18|64.03|52.63|52.78|52.47|52.93|52.69|52.94|52.71|52.73|72.2|35.91|1663719|527498385 42943|FUTY|FUTY|316092865|US3160928657|Fidelity Covington Trust|Fidelity MSCI Utilities Index ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Fidelity SelectCo|RBC Capital Markets, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-2|TXN3-3|TXN9-6|TXN2-1|TXN3-7|33450000|||Quarterly|||||2013-10-24||FUTY.NV|FUTY.SO|FUTY.EU|FUTY.TC|FUTY.IV| | | | | | | | | |1x|The Fidelity MSCI Utilities Index ETF seeks to provide investment returns that correspond, before fees and expenses, generally to the performance of the MSCI USA IMI Utilities Index.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||40.63|40.64|0.0|0.0|40.64|40.65|40.645|40.61|0.0|0.0|40.65|40.63|40.64|40.62|40.72|40.61|40.65|40.62|0.0|40.62|40.59|40.66|40.57|40.69|40.63|40.64|40.57|40.67|40.57|40.69|40.63|40.64|47.6865|35.32|320612|74323252 59602|FUV|FUV|039587209|US0395872098|Arcimoto Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-6|TXN5-2|TXN12-7|TXN6-8|TXN6-8|8810000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4010|401010|40101020|Consumer Discretionary|Automobiles and Parts|Automobiles and Parts|Automobiles|N||N||||||N|0|Y|C|||||0.835|0.827|0.0|0.85|0.832|0.82|0.841|0.819|0.0|0.0|0.8311|0.0|0.84|0.83|0.884|0.8543|0.81|0.841|0.8658|0.84|0.7723|0.8768|0.6804|1.01|0.7814|0.8661|0.7946|0.8683|0.7932|0.8728|0.814|0.8458|9.45|0.519949|316666|51353274 43494|FV|FV|33738R605|US33738R6053|First Trust Exchange-Traded Trust VI Dorsey Wright Focus 5 ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN5-8|TXN13-7|TXN6-5|TXN6-1|66550000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||47.81|47.83|0.0|0.0|47.8|47.79|47.825|47.81|0.0|0.0|47.48|0.0|47.8|47.8|0.0|47.8|47.44|47.83|0.0|47.8|45.39|50.1|44.61|47.88|47.8|47.85|47.74|47.88|47.74|47.88|47.8|47.85|49.11|41.05|141402|51829930 53896|FVAL|FVAL|316092782|US3160927824|Fidelity Covington Trust|Fidelity Value Factor ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Fidelity SelectCo|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-1|TXN2-6|TXN2-6|TXN4-5|TXN1-8|11800000|||Quarterly|||||2016-09-15||FVAL.NV|FVAL.SO|FVAL.EU|FVAL.TC|FVAL.IV| | | | | | | | | |1x|The fund seeks to provide investment returns that correspond, before fees and expenses, generally to the performance of the Fidelity U.S. Value Factor Index. The Fidelity U.S. Value Factor Index is designed to reflect the performance of stocks of large- and mid-cap U.S. companies that have attractive valuations. |N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||50.83|50.82|0.0|0.0|50.83|50.71|50.83|50.83|0.0|0.0|50.72|49.54|50.75|50.759|50.77|50.759|0.0|50.82|50.72|50.82|47.59|54.32|50.71|50.91|50.78|50.86|50.71|50.91|50.71|50.91|50.78|50.91|51.1625|42.995|72144|14185695 52716|FVC|FVC|33738R878|US33738R8786|First Trust Exchange-Traded Trust VI Dorsey Wright Dynamic Focus 5 ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN6-4|TXN12-4|TXN5-6|TXN5-4|5750000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|31.75|0.0|0.0|31.73|0.0|31.76|31.75|0.0|0.0|0.0|0.0|31.77|31.67|0.0|0.0|0.0|31.75|31.72|31.77|0.0|0.0|31.72|0.0|31.71|31.92|31.72|31.9|0.0|31.9|31.77|31.86|36.19|29.7|31291|7909695 61760|FVCB|FVCB|36120Q101|US36120Q1013|FVCBankcorp Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN5-4|TXN12-3|TXN5-6|TXN5-1|17800000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||||||12.17|0.0|0.0|0.0|12.17|12.25|12.05|12.25|0.0|0.0|12.25|0.0|12.25|0.0|12.24|0.0|0.0|12.05|0.0|12.25|11.59|12.59|0.0|0.0|11.81|12.48|0.0|0.0|0.0|0.0|12.05|12.25|19.84|8.3|29091|9487862 6430|FVD|FVD|33734H106|US33734H1068|First Trust Exchange-Traded Fund|First Trust Value Line Dividend Index Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||First Trust|RBC Capital Markets, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-4|TXN1-2|TXN5-8|TXN4-7|TXN2-3|271390884|||Quarterly|||||2008-11-06||FVD.NV|FVD.SO|FVD.EU|FVD.TC|FVD.IV| | | | | | | | | |1x|The First Trust Value Line Dividend Index Fund is an exchange-traded index fund. The objective of the fund is to seek investment results that correspond generally to the price and yield, before fees and expenses, of the Value Line Dividend Index. The index begins with the universe of stocks that Value Line gives a Safety Ranking of #1 or #2 using the Value Line Safety Ranking System. All registered investment companies, limited partnerships and foreign securities not listed in the U.S. are removed from this universe. From those stocks, Value Line selects those companies with a higher than average dividend yield, as compared to the indicated dividend yield of the Standard & Poors 500 Composite Stock Price Index. Value Line then eliminates those companies with an equity market capitalization of less than $1 billion. The index seeks to be equally weighted in each of the securities in the index. The index is rebalanced on the application of the above model on a monthly basis. |N|0|N|N|406C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||39.63|39.63|0.0|0.0|39.63|39.635|39.635|39.63|0.0|0.0|39.63|39.64|39.63|39.59|39.58|39.65|39.58|39.63|39.64|39.63|39.63|39.73|39.6|39.7|39.63|39.65|39.57|39.7|39.57|39.7|39.63|39.65|41.93|36.0137|1662880|252383671 63811|FVRR|FVRR|M4R82T106|IL0011582033|Fiverr International Ltd.|Ordinary shares, no par value|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|5|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-5|TXN2-6|TXN7-6|TXN2-8|TXN3-8|38380000|||NotApplicable|||||2019-06-13||||||| | | | | | | | | |||N|0|N|Y|180B|ISR|IL|||10|1010|101010|10101020|Technology|Technology|Software and Computer Services|Consumer Digital Services |N||N||||||Y|0|Y||Y|2|||27.21|27.2|0.0|27.16|27.19|27.185|27.19|27.185|0.0|0.0|27.185|27.31|27.175|27.16|27.23|27.16|27.21|27.16|27.24|27.16|27.16|27.19|21.08|33.47|26.99|27.42|27.12|27.24|27.14|27.24|27.16|27.19|47.66|20.04|866583|170529108 53665|FWBI|FWBI|33749P309|US33749P3091|First Wave BioPharma Inc|COM USD.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-7|TXN6-2|TXN13-5|TXN6-4|TXN6-4|13500000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||0.3194|0.3237|0.0|0.0|0.322|0.33|0.33|0.3189|0.0|0.0|0.3237|0.3233|0.33|0.315|0.0|0.3299|0.3233|0.3299|0.0|0.33|0.2983|0.3399|0.2535|0.384|0.3141|0.34|0.2712|0.384|0.0|0.0|0.3194|0.33|7.49|0.222|598375|406126279 75475|FWD|FWD|00039J509|US00039J5092|AB Active ETFs, Inc.|AB Disruptors ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||AllianceBernstein|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN2-2|TXN7-8|TXN1-6|TXN3-3|3090020|||Yearly|||||2023-03-22||FWD.NV|FWD.SO|FWD.EU|FWD.TC|FWD.IV| | | | | | | | | ||The Funds investment objective is long-term growth of capital.In pursuing the Funds investment objective, the Adviser will invest the Funds assets in the securities of companies that it considers to offer good prospects for attractive returns relative to general equity market|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|57.42|0.0|0.0|0.0|0.0|57.7|0.0|0.0|0.0|0.0|0.0|57.87|0.0|0.0|0.0|0.0|57.89|0.0|57.89|0.0|0.0|0.0|0.0|57.81|57.87|0.0|0.0|0.0|0.0|57.81|57.87|59.34|48.81|11418|3190825 41282|FWONA|FWONA|531229771|US5312297717|Formula One Group - The Liberty Media Group|MEDIA COM SER A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN6-8|TXN12-6|TXN5-1|TXN5-7|23980000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||USA||||40|4030|403010|40301035|Consumer Discretionary|Media|Media|Radio and TV Broadcasters|N||N||||||Y|0|Y||||||0.0|56.22|0.0|56.94|56.63|56.23|56.38|56.42|0.0|0.0|56.22|56.92|56.44|56.9|0.0|56.16|0.0|56.38|0.0|56.44|56.31|56.59|53.14|59.98|56.27|56.63|56.25|56.6|56.23|56.69|56.38|56.45|72.09|51.39|126021|37604090 44579|FWONK|FWONK|531229755|US5312297550|Formula One Group - The Liberty Media Group|MEDIA COM SER C||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN5-7|TXN10-8|TXN6-2|TXN5-8|208150000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||USA||||40|4030|403010|40301035|Consumer Discretionary|Media|Media|Radio and TV Broadcasters|N||N||||||Y|0|Y||||||62.86|62.83|0.0|62.55|62.82|62.82|62.8|62.82|0.0|0.0|62.83|62.62|62.82|62.83|62.67|62.83|62.7|62.79|62.57|62.82|62.7|62.91|58.77|66.66|62.68|62.93|60.33|62.91|0.0|0.0|62.76|62.82|80.13|56.64|742032|200772466 1646|FWRD|FWRD|349853101|US3498531017|Forward Air Corp|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN6-7|TXN12-1|TXN6-4|TXN5-2|25660000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502060|50206010|Industrials|Industrial Goods and Services|Industrial Transportation|Trucking|N||N||||||Y|0|Y||||||66.08|66.23|0.0|66.17|66.23|66.24|66.22|66.24|0.0|0.0|66.02|66.23|66.2|66.23|0.0|66.18|66.27|66.25|0.0|66.2|65.6|66.84|50.7|81.09|65.7|66.76|66.08|66.35|66.2|66.39|66.2|66.25|121.38|60.09|203926|77196067 71896|FWRG|FWRG|33748L101|US33748L1017|First Watch Restaurant Group Inc|COM USD0.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN6-2|TXN14-4|TXN6-6|TXN5-8|59820000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4050|405010|40501040|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Restaurants and Bars|N||N||||||N|0|Y||||||18.56|18.56|0.0|0.0|18.56|18.575|18.58|18.57|0.0|0.0|18.57|18.51|18.56|18.56|18.41|18.575|18.57|18.58|18.55|18.56|18.36|18.74|14.37|22.84|18.39|18.74|18.54|18.61|18.54|18.61|18.55|18.58|20.31|13.3|346384|64056345 16737|FXA|FXA|46090N103|US46090N1037|Invesco CurrencyShares Australian Dollar Trust|Invesco CurrencyShares Australian Dollar Trust|Trust|ETV|N|N|P|Y|Y|Y|Y|Y||||||||Invesco|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-5|TXN3-6|TXN1-8|TXN4-7|TXN3-1|1150000|||Monthly|||||2007-10-30||FXA.NV|FXA.SO|FXA.EU|FXA.TC| | | | | | | | | | |1x|CurrencyShares Australian Dollar Trust is designed to track the price of the Australian Dollar net of Trust expenses, which are expected to be paid from interest earned on the deposited Australian Dollars. The Shares are intended to provide institutional and retail investors with a simple, cost-effective means of gaining investment benefits similar to those of holding Australian Dollars. The costs of purchasing Shares should not exceed the costs associated with purchasing any other publicly-traded equity securities.|N|0|N|N|406C|USA|US|CURRENCY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||0.0|66.02058|0.0|0.0|0.0|65.48|65.475|65.475|0.0|0.0|65.46058|0.0|65.49|65.673|0.0|66.04|0.0|65.52|0.0|65.52|65.17|66.75|65.17|66.75|65.44|65.51|65.17|66.75|0.0|0.0|65.44|65.57|70.72|62.28|4802|1711434 16738|FXB|FXB|46138M109|US46138M1099|Invesco CurrencyShares British Pound Sterling Trust|Invesco CurrencyShares British Pound Sterling Trust|Trust|ETV|N|N|P|Y|Y|Y|Y|Y||||||||Invesco|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-6|TXN1-4|TXN2-7|TXN2-4|TXN2-6|750000|||Monthly|||||2007-10-30||FXB.NV|FXB.SO|FXB.EU|FXB.TC| | | | | | | | | | |1x|CurrencyShares British Pound Sterling Trust is designed to track the price of the British Pound Sterling net of Trust expenses, which are expected to be paid from interest earned on the deposited British Pound Sterlings. The investment objective of the Trust is for the Shares to reflect the price in USD of the British Pound Sterling. Earning income for Shareholders is not the objective of the Trust. Whether investors earn income primarily depends on the relative value of the British Pound Sterling and the USD. If the British Pound Sterling appreciates relative to the USD and a Shareholder sells Shares, the Shareholder will earn income. If the British Pound Sterling depreciates relative to the USD and a Shareholder sells Shares, the Shareholder will incur a loss.|N|0|N|N|406C|USA|US|CURRENCY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||121.191|121.22|0.0|0.0|0.0|121.44549|121.23|121.09549|0.0|0.0|121.24|0.0|121.36|122.01|0.0|122.12|0.0|121.38|0.0|121.38|120.88|121.87|120.88|121.87|121.26|121.38|120.88|121.87|0.0|0.0|121.26|121.38|126.35|113.5048|4017|3278329 16739|FXC|FXC|46138T104|US46138T1043|Invesco CurrencyShares Canadian Dollar Trust|Invesco CurrencyShares Canadian Dollar Trust|Trust|ETV|N|N|P|Y|Y|Y|Y|Y||||||||Invesco|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-6|TXN4-4|TXN9-6|TXN1-8|TXN2-5|1000000|||Monthly|||||2007-10-30||FXC.NV|FXC.SO|FXC.EU|FXC.TC| | | | | | | | | | |1x|CurrencyShares Canadian Dollar Trust is designed to track the price of the Canadian Dollar net of Trust expenses, which are expected to be paid from interest earned on the deposited Canadian Dollars. The investment objective of the Trust is for the Shares to reflect the price in USD of the Canadian Dollar. Earning income for Shareholders is not the objective of the Trust. Whether investors earn income primarily depends on the relative value of the Canadian Dollar and the USD. If the Canadian Dollar appreciates relative to the USD and a Shareholder sells Shares, the Shareholder will earn income. If the Canadian Dollar depreciates relative to the USD and a Shareholder sells Shares, the Shareholder will incur a loss.|N|0|N|N|406C|USA|US|CURRENCY|INDEX|||||||||N||N||||||Y|0|Y||Y|1|||72.21|72.23|0.0|0.0|0.0|72.24|72.23|72.26|0.0|0.0|72.46|72.17|72.2|72.44|0.0|72.46|0.0|72.23|0.0|72.23|71.86|72.45|71.86|72.45|72.2|72.24|71.86|72.45|0.0|0.0|72.2|72.45|74.6364|70.35|14392|7528506 24493|FXD|FXD|33734X101|US33734X1019|First Trust Exchange-Traded AlphaDEX Fund|First Trust Consumer Discretionary AlphaDEX Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||First Trust|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-7|TXN2-2|TXN2-4|TXN1-7|TXN4-2|24150002|||Quarterly|||||2008-11-06||FXD.NV|FXD.SO|FXD.EU|FXD.TC|FXD.IV| | | | | | | | | |1x|The First Trust Consumer Discretionary AlphaDEX Fund is an exchange-traded fund. The investment objective of the Fund is to seek investment results that correspond generally to the price and yield, before fees and expenses, of an equity index called the StrataQuant Consumer Discretionary Index. The StrataQuant Consumer Discretionary Index is an enhanced index developed, maintained and sponsored by the NYSE Euronext or its affiliates (NYSE Euronext) which employs the AlphaDEX stock selection methodology to select stocks from the Russell 1000 Index. Prior to the acquisition of the American Stock Exchange LLC (AMEX) by NYSE Euronext, the index was developed, maintained and sponsored by the AMEX. The NYSE Euronext constructs the StrataQuant Consumer Discretionary Index by ranking the stocks which are members of the Russell 1000 Index on growth factors including three, six and 12-month price appreciation, sales to price and one year sales growth, and, separately, on value factors including book value to price, cash flow to price and return on assets. Stocks which Russell has classified solely as growth or value, receive their score using the above growth or value factors respectively. Stocks which Russell allocates between both growth and value receive their best score between the growth and value factors. The NYSE Euronext then ranks those stocks contained in the consumer discretionary sector (the members of the Russell 1000 Consumer Discretionary and Services Index) according to their score. The bottom 25% is eliminated and the top 75% is selected for the StrataQuant Consumer Discretionary Index. The selected stocks are divided into quintiles based on their rankings and the top ranked quintiles receive a higher weight within the index. The stocks are equally-weighted within each quintile. The index is reconstituted and rebalanced quarterly.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||55.19|55.25|0.0|0.0|55.33|55.2|55.3115|55.2|0.0|0.0|52.97|0.0|55.3|55.2|53.18|55.48|52.82|55.3|0.0|55.3|55.2|55.42|55.2|55.42|55.3|55.33|55.23|55.41|55.2|55.41|55.3|55.33|58.17|46.74|107850|52087997 16105|FXE|FXE|46138K103|US46138K1034|Invesco CurrencyShares Euro Currency Trust|Invesco CurrencyShares Euro Trust|Trust|ETV|N|N|P|Y|Y|Y|Y|Y||||||||Invesco|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN1-6|TXN2-6|TXN3-4|TXN3-2|2150000|||Monthly|||||2007-10-29||FXE.NV|FXE.SO|FXE.EU|FXE.TC| | | | | | | | | | |1x|CurrencyShares Euro Trust is designed to track the price of the euro net of Trust expenses, which are expected to be paid from interest earned on the deposited euros. The investment objective of the Trust is for the Shares to reflect the price in USD of the euro. Earning income for Shareholders is not the objective of the Trust. Whether investors earn income primarily depends on the relative value of the euro and the USD. If the euro appreciates relative to the USD and a Shareholder sells Shares, the Shareholder will earn income. If the euro depreciates relative to the USD and a Shareholder sells Shares, the Shareholder will incur a loss.|N|0|N|N|406C|USA|US|CURRENCY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||99.993|99.87|0.0|0.0|100.31|99.84|99.98|99.885|0.0|0.0|99.87|100.33|99.975|99.84|0.0|99.75|0.0|99.98|0.0|99.98|99.47|101.88|99.47|101.88|99.97|99.98|99.47|101.88|0.0|0.0|99.97|99.98|103.84|96.42|31799|17789488 68626|FXED|FXED|886364819|US8863648197|Tidal ETF Trust|Sound Enhanced Fixed Income ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Tidal ETF Services |Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-5|TXN1-5|TXN2-8|TXN1-1|TXN2-6|1700000|||Bi_Monthly|||||2020-12-31||SDEF.NV|SDEF.SO|SDEF.EU|SDEF.TC| | | | | | | | | | |1x|The Fund is an actively-managed exchange-traded fund that seeks to achieve its investment objective by investing in fixed income securities. Investment decisions for the Fund are made by Sound Income Strategies, LLC, the Funds sub-adviser. The Fund will invest in a combination of investment grade and below investment grade (often referred to as high yield or junk bonds) debt securities.|N|0|N|N|416A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|17.99|18.03|17.98|0.0|0.0|17.96|0.0|0.0|17.96|0.0|0.0|0.0|17.91|0.0|17.91|0.0|0.0|0.0|0.0|17.91|18.06|0.0|0.0|0.0|0.0|17.91|18.06|18.03|16.4|10530|851777 16740|FXF|FXF|46138R108|US46138R1086|Invesco CurrencyShares Swiss Franc Trust|Invesco CurrencyShares Swiss Franc Trust|Trust|ETV|N|N|P|Y|Y|Y|Y|Y||||||||Invesco|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-5|TXN1-7|TXN5-3|TXN1-8|TXN4-5|1850000|||Monthly|||||2007-10-30||FXF.NV|FXF.SO|FXF.EU|FXF.TC| | | | | | | | | | |1x|CurrencyShares Swiss Franc Trust is designed to track the price of the Swiss Franc net of Trust expenses, which are expected to be paid from interest earned on the deposited Swiss Francs. The investment objective of the Trust is for the Shares to reflect the price in USD of the Swiss Franc. Earning income for Shareholders is not the objective of the Trust. Whether investors earn income primarily depends on the relative value of the Swiss Franc and the USD. If the Swiss Franc appreciates relative to the USD and a Shareholder sells Shares, the Shareholder will earn income. If the Swiss Franc depreciates relative to the USD and a Shareholder sells Shares, the Shareholder will incur a loss.|N|0|N|N|406C|USA|US|CURRENCY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||101.85|0.0|0.0|0.0|101.85|101.86|101.87|0.0|0.0|0.0|101.9|0.0|102.17|101.91|0.0|0.0|0.0|101.92|0.0|101.92|101.46|102.3|101.46|102.3|101.83|101.89|101.46|102.3|0.0|0.0|101.83|101.89|103.84|94.4752|10398|4529940 24499|FXG|FXG|33734X119|US33734X1191|First Trust Exchange-Traded AlphaDEX Fund|First Trust Consumer Staples AlphaDEX Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||First Trust|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-7|TXN3-2|TXN5-8|TXN1-2|TXN4-1|8300002|||Quarterly|||||2008-11-06||FXG.NV|FXG.SO|FXG.EU|FXG.TC|FXG.IV| | | | | | | | | |1x|The First Trust Consumer Staples AlphaDEX Fund is an exchange-traded Fund. The investment objective of the Fund is to seek investment results that correspond generally to the price and yield, before fees and expenses, of an equity index called the StrataQuant Consumer Staples Index. The StrataQuant Consumer Staples Index is an enhanced index developed, maintained and sponsored by the NYSE Euronext or its affiliates (NYSE Euronext) which employs the AlphaDEX stock selection methodology to select stocks from the Russell 1000 Index. Prior to the acquisition of the American Stock Exchange LLC (AMEX) by NYSE Euronext, the index was developed, maintained and sponsored by the AMEX. The NYSE Euronext constructs the StrataQuant Consumer Staples Index by ranking the stocks which are members of the Russell 1000 Index on growth factors including three, six and 12-month price appreciation, sales to price and one year sales growth, and, separately, on value factors including book value to price, cash flow to price and return on assets. Stocks which Russell has classified solely as growth or value, receive their score using the above growth or value factors respectively. Stocks which Russell allocates between both growth and value receive their best score between the growth and value factors. The NYSE Euronext then ranks those stocks contained in the consumer staples sector (the members of the Russell 1000 Consumer Staples Index) according to their score. The bottom 25% is eliminated and the top 75% is selected for the StrataQuant Consumer Staples Index. The selected stocks are divided into quintiles based on their rankings and the top ranked quintiles receive a higher weight within the index. The stocks are equally-weighted within each quintile. The index is reconstituted and rebalanced quarterly. |N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||61.73|61.56|0.0|0.0|61.57|61.57|61.58|0.0|0.0|0.0|60.83|0.0|61.57|61.24|60.83|0.0|0.0|61.56|0.0|61.56|61.55|61.63|61.44|61.71|61.56|61.59|61.44|61.72|61.44|61.71|61.56|61.59|65.48|56.82|19420|19740457 24496|FXH|FXH|33734X143|US33734X1431|First Trust Exchange-Traded AlphaDEX Fund|First Trust Health Care AlphaDEX Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||First Trust|RBC Capital Markets, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-2|TXN1-5|TXN8-7|TXN3-2|TXN2-6|12650002|||Quarterly|||||2008-11-06||FXH.NV|FXH.SO|FXH.EU|FXH.TC|FXH.IV| | | | | | | | | |1x|The First Trust Health Care AlphaDEX Fund is an exchange-traded fund. The investment objective of the Fund is to seek investment results that correspond generally to the price and yield, before fees and expenses, of an equity index called the StrataQuant Health Care Index. The StrataQuant Health Care Index is an enhanced index developed, maintained and sponsored by the NYSE Euronext or its affiliates (NYSE Euronext) which employs the AlphaDEX stock selection methodology to select stocks from the Russell 1000 Index. Prior to the acquisition of the American Stock Exchange LLC (AMEX) by NYSE Euronext, the index was developed, maintained and sponsored by the AMEX. The NYSE Euronext constructs the StrataQuant Health Care Index by ranking the stocks which are members of the Russell 1000 Index on growth factors including three, six and 12-month price appreciation, sales to price and one year sales growth, and, separately, on value factors including book value to price, cash flow to price and return on assets. Stocks which Russell has classified solely as growth or value, receive their score using the above growth or value factors respectively. Stocks which Russell allocates between both growth and value receive their best score between the growth and value factors. The NYSE Euronext then ranks those stocks contained in the health care sector (the members of the Russell 1000 Health Care Index) according to their score. The bottom 25% is eliminated and the top 75% is selected for the StrataQuant Health Care Index. The selected stocks are divided into quintiles based on their rankings and the top ranked quintiles receive a higher weight within the index. The stocks are equally-weighted within each quintile. The index is reconstituted and rebalanced quarterly.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||97.94|97.82|0.0|93.03|97.79|97.94|98.04|97.22|0.0|0.0|0.0|93.94|97.95|97.72|97.86|95.83|93.67|97.94|97.73|97.94|92.69|102.15|97.85|98.11|97.85|98.04|97.85|98.11|97.85|98.11|97.85|98.04|114.4385|89.32|31995|14802005 6438|FXI|FXI|464287184|US4642871846|iShares Trust|iShares China Large-Cap ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-4|TXN2-3|TXN8-8|TXN3-2|TXN3-8|185850000|||BiAnnually|||||2007-12-06||FXI.NV|FXI.SO|FXI.EU|FXI.TC|FXI.IV| | | | | | | | | |1x|The iShares China Large-Cap ETF seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the FTSE China 50 Index. The Underlying Index is designed to track the performance of the largest companies in the Chinese equity market that are available to international investors. The Underlying Index consists of 50 of the largest and most liquid Chinese companies. Securities in the Underlying Index are weighted based on the total market value of their shares, so that securities with higher total market values generally have a higher representation in the Underlying Index. Each security in the Underlying Index is a current constituent of the FTSE All-World Index and all of the securities in the Underlying Index currently trade on the Hong Kong Stock Exchange. Components primarily include financial, oil and gas, and telecommunications companies. The components of the Underlying Index, and the degree to which these components represent certain industries, may change over time.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||24.32|24.32|0.0|24.31|24.32|24.32|24.32|24.32|0.0|0.0|24.32|24.32|24.33|24.33|24.325|24.325|24.325|24.31|24.325|24.31|24.31|24.33|22.93|24.33|24.32|24.33|24.31|24.34|24.24|24.4|24.32|24.33|33.375|24.29|39855858|7702411641 24498|FXL|FXL|33734X176|US33734X1761|First Trust Exchange-Traded AlphaDEX Fund|First Trust Technology AlphaDEX Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||First Trust|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-5|TXN4-8|TXN9-4|TXN1-3|TXN1-4|10505000|||Quarterly|||||2008-11-06||FXL.NV|FXL.SO|FXL.EU|FXL.TC|FXL.IV| | | | | | | | | |1x|The First Trust Technology AlphaDEX Fund is an exchange-traded fund. The investment objective of the Fund is to seek investment results that correspond generally to the price and yield, before fees and expenses, of an equity index called the StrataQuant Technology Index. The StrataQuant Technology Index is an enhanced index developed, maintained and sponsored by the NYSE Euronext or its affiliates (NYSE Euronext) which employs the AlphaDEX stock selection methodology to select stocks from the Russell 1000 Index. Prior to the acquisition of the American Stock Exchange LLC (AMEX) by NYSE Euronext, the index was developed, maintained and sponsored by the AMEX. The NYSE Euronext constructs the StrataQuant Technology Index by ranking the stocks which are members of the Russell 1000 Index on growth factors including three, six and 12-month price appreciation, sales to price and one year sales growth, and, separately, on value factors including book value to price, cash flow to price and return on assets. Stocks which Russell has classified solely as growth or value, receive their score using the above growth or value factors respectively. Stocks which Russell allocates between both growth and value receive their best score between the growth and value factors. The NYSE Euronext then ranks those stocks contained in the the technology sector (the members of the Russell 1000 Technology Index) according to their score. The bottom 25% is eliminated and the top 75% is selected for the StrataQuant Technology Index. The selected stocks are divided into quintiles based on their rankings and the top ranked quintiles receive a higher weight within the index. The stocks are equally-weighted within each quintile. The index is reconstituted and rebalanced quarterly.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||121.6|121.05|0.0|0.0|0.0|121.08|121.8499|121.05|0.0|0.0|0.0|0.0|121.72|120.68|121.07|0.0|0.0|121.7079|0.0|121.7079|114.28|127.59|120.49|129.17|121.56|121.81|120.49|121.81|120.51|121.81|121.56|121.81|121.8499|88.9|22122|9911148 24494|FXN|FXN|33734X127|US33734X1274|First Trust Exchange-Traded AlphaDEX Fund|First Trust Energy AlphaDEX Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||First Trust|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-4|TXN3-7|TXN3-1|TXN1-6|TXN2-7|36850002|||Quarterly|||||2008-11-06||FXN.NV|FXN.SO|FXN.EU|FXN.TC|FXN.IV| | | | | | | | | |1x|The First Trust Energy AlphaDEX Fund is an exchange-traded fund. The investment objective of the Fund is to seek investment results that correspond generally to the price and yield, before fees and expenses, of an equity index called the StrataQuant Energy Index. The StrataQuant Energy Index is an enhanced index developed, maintained and sponsored by the NYSE Euronext or its affiliates (NYSE Euronext) which employs the AlphaDEX stock selection methodology to select stocks from the Russell 1000 Index. Prior to the acquisition of the American Stock Exchange LLC (AMEX) by NYSE Euronext, the index was developed, maintained and sponsored by the AMEX. The NYSE Euronext constructs the StrataQuant Energy Index by ranking the stocks which are members of the Russell 1000 Index on growth factors including three, six and 12-month price appreciation, sales to price and one year sales growth, and, separately, on value factors including book value to price, cash flow to price and return on assets. Stocks which Russell has classified solely as growth or value, receive their score using the above growth or value factors respectively. Stocks which Russell allocates between both growth and value receive their best score between the growth and value factors. The NYSE Euronext then ranks those stocks contained in the energy sector (the members of the Russell 1000 Integrated Oils Index and Russell 1000 Other Energy Index) according to their score. The bottom 25% is eliminated and the top 75% is selected for the StrataQuant Energy Index. The selected stocks are divided into quintiles based on their rankings and the top ranked quintiles receive a higher weight within the index. The stocks are equally-weighted within each quintile. The index is reconstituted and rebalanced quarterly.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||16.845|16.84|0.0|0.0|16.84|16.84|16.85|16.85|0.0|0.0|16.84|16.84|16.84|16.85|16.83|16.84|16.84|16.84|16.83|16.84|16.79|16.88|16.78|16.88|16.83|16.84|16.82|16.85|16.79|16.87|16.83|16.84|18.83|14.19|3186796|475697850 12206|FXNC|FXNC|32106V107|US32106V1070|First National Corp/VA|COM USD5.||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN5-7|TXN10-8|TXN5-4|TXN5-2|6260000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|18.87|0.0|0.0|0.0|0.0|18.79|0.0|18.79|0.0|0.0|0.0|0.0|18.27|19.64|0.0|0.0|0.0|0.0|18.27|18.88|19.255|13.13|871|1362940 24495|FXO|FXO|33734X135|US33734X1357|First Trust Exchange-Traded AlphaDEX Fund|First Trust Financials AlphaDEX Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||First Trust|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN4-5|TXN9-7|TXN3-5|TXN2-6|18750002|||Quarterly|||||2008-11-06||FXO.NV|FXO.SO|FXO.EU|FXO.TC|FXO.IV| | | | | | | | | |1x|The First Trust Financials AlphaDEX Fund is an exchange-traded fund. The investment objective of the Fund is to seek investment results that correspond generally to the price and yield, before fees and expenses, of an equity index called the StrataQuant Financials Index. The StrataQuant Financials Index is an enhanced index developed, maintained and sponsored by the NYSE Euronext or its affiliates (NYSE Euronext) which employs the AlphaDEX stock selection methodology to select stocks from the Russell 1000 Index. Prior to the acquisition of the American Stock Exchange LLC (AMEX) by NYSE Euronext, the index was developed, maintained and sponsored by the AMEX. The NYSE Euronext constructs the StrataQuant Financials Index by ranking the stocks which are members of the Russell 1000 Index on growth factors including three, six and 12-month price appreciation, sales to price and one year sales growth, and, separately, on value factors including book value to price, cash flow to price and return on assets. Stocks which Russell has classified solely as growth or value, receive their score using the above growth or value factors respectively. Stocks which Russell allocates between both growth and value receive their best score between the growth and value factors. The NYSE Euronext then ranks those stocks contained in the financials sector (the members of the Russell 1000 Financial Services Index) according to their score. The bottom 25% is eliminated and the top 75% is selected for the StrataQuant Financials Index. The selected stocks are divided into quintiles based on their rankings and the top ranked quintiles receive a higher weight within the index. The stocks are equally-weighted within each quintile. The index is reconstituted and rebalanced quarterly.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||41.14|41.11|0.0|0.0|41.12|41.11|41.13|0.0|0.0|0.0|41.11|0.0|41.11|41.06|41.12|40.97|41.11|41.11|40.9|41.11|41.03|41.21|40.99|41.26|41.11|41.13|41.09|41.14|41.03|41.19|41.11|41.13|46.83|32.92|52575|123368420 26168|FXP|FXP|74347B227|US74347B2271|ProShares Trust|ProShares UltraShort FTSE China 50|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ProShares Advisors |Pundion LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-8|TXN4-5|TXN3-7|TXN3-1|TXN4-7|551947|||Quarterly|||||2010-04-14||FXP.NV|FXP.SO|FXP.EU|FXP.TC|FXP.IV| | | | | | | | | |-2x|ProShares UltraShort FTSE China 50 seeks daily investment results, before fees and expenses, that correspond to twice (200%) the inverse (opposite) of the daily performance of the FTSE China 50 Index. The FTSE China 50 Index is comprised of 50 of the largest and most liquid Chinese stocks listed on the Hong Kong Stock Exchange (HKEX). This free float-adjusted index caps the weight of any of constituent stock at 10% to ensure broad representation of the Chinese economy.|N|0|N|N|416A|USA|US|EQUITY|INVERSE|||||||||N||N||||||Y|0|Y||Y|2|||0.0|35.51|0.0|0.0|0.0|40.4|40.7074|38.28|0.0|0.0|0.0|0.0|40.78|40.8|0.0|40.709|0.0|40.7074|0.0|40.7074|38.21|42.3|0.0|0.0|40.56|40.83|38.21|41.01|40.56|40.84|40.56|40.83|40.8|25.09|6168|3184263 24497|FXR|FXR|33734X150|US33734X1506|First Trust Exchange-Traded AlphaDEX Fund|First Trust Industrials/Producer Durables AlphaDEX Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||First Trust|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-2|TXN1-2|TXN3-6|TXN4-2|TXN4-8|26650002|||Quarterly|||||2008-11-06||FXR.NV|FXR.SO|FXR.EU|FXR.TC|FXR.IV| | | | | | | | | |1x|The First Trust Industrials/Producer Durables AlphaDEX Fund is an exchange-traded fund. The investment objective of the Fund is to seek investment results that correspond generally to the price and yield, before fees and expenses, of an equity index called the StrataQuant Industrials Index. The StrataQuant Industrials Index is an enhanced index developed, maintained and sponsored by the NYSE Euronext or its affiliates (NYSE Euronext) which employs the AlphaDEX stock selection methodology to select stocks from the Russell 1000 Index. Prior to the acquisition of the American Stock Exchange LLC (AMEX) by NYSE Euronext, the index was developed, maintained and sponsored by the AMEX. The NYSE Euronext constructs the StrataQuant Industrials Index by ranking the stocks which are members of the Russell 1000 Index on growth factors including three, six and 12-month price appreciation, sales to price and one year sales growth, and, separately, on value factors including book value to price, cash flow to price and return on assets. Stocks which Russell has classified solely as growth or value, receive their score using the above growth or value factors respectively. Stocks which Russell allocates between both growth and value receive their best score between the growth and value factors. The NYSE Euronext then ranks those stocks contained in the the industrials/producer durables sector (the members of the Russell 1000 Producer Durables Index) according to their score. The bottom 25% is eliminated and the top 75% is selected for the StrataQuant Industrials Index. The selected stocks are divided into quintiles based on their rankings and the top ranked quintiles receive a higher weight within the index. The stocks are equally-weighted within each quintile. The index is reconstituted and rebalanced quarterly.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||60.95|60.91|0.0|61.1|60.92|60.85|61.0423|60.835|0.0|0.0|60.99|0.0|61.055|60.93|60.85|60.85|0.0|61.0449|60.8|61.0449|60.93|61.15|60.88|61.19|61.02|61.05|61.01|61.07|60.96|61.15|61.02|61.05|62.11|50.585|82316|35147239 24501|FXU|FXU|33734X184|US33734X1845|First Trust Exchange-Traded AlphaDEX Fund|First Trust Utilities AlphaDEX Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||First Trust|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-6|TXN4-8|TXN2-8|TXN4-3|TXN4-5|7600002|||Quarterly|||||2008-11-06||FXU.NV|FXU.SO|FXU.EU|FXU.TC|FXU.IV| | | | | | | | | |1x|The First Trust Utilities AlphaDEX Fund is an exchange-traded fund. The investment objective of the Fund is to seek investment results that correspond generally to the price and yield, before fees and expenses, of an equity index called the StrataQuant Utilities Index. The StrataQuant Utilities Index is an enhanced index developed, maintained and sponsored by the NYSE Euronext or its affiliates (NYSE Euronext) which employs the AlphaDEX stock selection methodology to select stocks from the Russell 1000 Index. Prior to the acquisition of the American Stock Exchange LLC (AMEX) by NYSE Euronext, the index was developed, maintained and sponsored by the AMEX. The NYSE Euronext constructs the StrataQuant Utilities Index by ranking the stocks which are members of the Russell 1000 Index on growth factors including three, six and 12-month price appreciation, sales to price and one year sales growth, and, separately, on value factors including book value to price, cash flow to price and return on assets. Stocks which Russell has classified solely as growth or value, receive their score using the above growth or value factors respectively. Stocks which Russell allocates between both growth and value receive their best score between the growth and value factors. The NYSE Euronext then ranks those stocks contained in the the utilities sector (the members of the Russell 1000 Utilities Index) according to their score. The bottom 25% is eliminated and the top 75% is selected for the StrataQuant Utilities Index. The selected stocks are divided into quintiles based on their rankings and the top ranked quintiles receive a higher weight within the index. The stocks are equally-weighted within each quintile. The index is reconstituted and rebalanced quarterly.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||31.07|31.09|0.0|0.0|0.0|31.08|31.0203|30.345|0.0|0.0|0.0|0.0|31.03|30.99|0.0|0.0|31.11|31.0301|31.18|31.0301|30.97|31.05|30.96|31.19|31.01|31.03|31.0|31.03|30.97|31.07|31.0|31.02|34.9799|26.78|83005|25703346 19085|FXY|FXY|46138W107|US46138W1071|Invesco CurrencyShares Japanese Yen Trust|Invesco CurrencyShares Japanese Yen Trust|Trust|ETV|N|N|P|Y|Y|Y|Y|Y||||||||Invesco|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN3-7|TXN1-8|TXN1-8|TXN3-3|4250000|||Monthly|||||2007-10-30||FXY.NV|FXY.SO|FXY.EU|FXY.TC| | | | | | | | | | |1x|CurrencyShares Japanese Yen Trust is designed to track the price of the Japanese Yen net of Trust expenses, which are expected to be paid from interest earned on the deposited Japanese Yen. The Shares are intended to provide institutional and retail investors with a simple, cost-effective means of gaining investment benefits similar to those of holding Japanese Yen. The costs of purchasing Shares should not exceed the costs associated with purchasing any other publicly-traded equity securities.|N|0|N|N|406C|USA|US|CURRENCY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||63.109|63.01|0.0|0.0|63.21|63.01|63.0101|63.01|0.0|0.0|63.0|63.1|63.01|63.33|63.21|63.06|63.03|63.02|0.0|63.02|61.8|63.32|61.8|63.32|62.99|63.01|61.8|63.32|61.72|64.29|62.99|63.01|73.19|61.091|76037|21746945 24500|FXZ|FXZ|33734X168|US33734X1688|First Trust Exchange-Traded AlphaDEX Fund|First Trust Materials AlphaDEX Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||First Trust|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-1|TXN3-2|TXN7-8|TXN4-3|TXN4-6|7050002|||Quarterly|||||2008-11-06||FXZ.NV|FXZ.SO|FXZ.EU|FXZ.TC|FXZ.IV| | | | | | | | | |1x|The First Trust Materials AlphaDEX Fund is an exchange-traded fund. The investment objective of the Fund is to seek investment results that correspond generally to the price and yield, before fees and expenses, of an equity index called the StrataQuant Materials Index. The StrataQuant Materials Index is an enhanced index developed, maintained and sponsored by the NYSE Euronext or its affiliates (NYSE Euronext) which employs the AlphaDEX stock selection methodology to select stocks from the Russell 1000 Index. Prior to the acquisition of the American Stock Exchange LLC (AMEX) by NYSE Euronext, the index was developed, maintained and sponsored by the AMEX. The NYSE Euronext constructs the StrataQuant Materials Index by ranking the stocks which are members of the Russell 1000 Index on growth factors including three, six and 12-month price appreciation, sales to price and one year sales growth, and, separately, on value factors including book value to price, cash flow to price and return on assets. Stocks which Russell has classified solely as growth or value, receive their score using the above growth or value factors respectively. Stocks which Russell allocates between both growth and value receive their best score between the growth and value factors. The NYSE Euronext then ranks those stocks contained in the the materials sector (the members of the Russell 1000 Materials and Processing Index) according to their score. The bottom 25% is eliminated and the top 75% is selected for the StrataQuant Materials Index. The selected stocks are divided into quintiles based on their rankings and the top ranked quintiles receive a higher weight within the index. The stocks are equally-weighted within each quintile. The index is reconstituted and rebalanced quarterly.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||64.93|64.93|0.0|0.0|64.91|64.89|64.985|0.0|0.0|0.0|64.89|65.53|64.98|64.93|64.92|65.16|0.0|64.93|65.54|64.93|64.89|64.99|64.76|65.08|64.91|64.95|64.76|65.09|64.81|65.05|64.91|64.95|72.6|57.46|54525|57465653 70481|FYBR|FYBR|35909D109|US35909D1090|Frontier Communications Parent Inc|COM USD0.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN6-4|TXN13-1|TXN6-3|TXN6-5|245790000|||NotApplicable|||||||||||| | | | | | | | | 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Vehicles|N||N||||||Y|0|Y||||||0.0|59.22|0.0|0.0|0.0|0.0|59.28|0.0|0.0|0.0|0.0|0.0|59.26|0.0|0.0|0.0|0.0|59.28|0.0|59.26|59.2|59.43|44.78|72.69|59.28|59.36|59.09|59.58|59.09|59.57|59.28|59.36|63.88|51.3899|40764|5053863 43223|FYLD|FYLD|132061300|US1320613003|Cambria Foreign Shareholder Yield ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-6|TXN3-1|TXN2-8|TXN2-2|TXN3-4|8350000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||24.93|24.95|0.0|0.0|24.93|24.92|24.92|24.97|0.0|0.0|24.92|0.0|24.92|24.93|24.92|24.92|0.0|24.95|0.0|24.95|23.31|26.6|19.02|30.87|24.76|24.92|23.31|26.6|0.0|0.0|23.31|26.6|26.68|22.87|517489|14587626 74946|FYLG|FYLG|37960A768|US37960A7688|Global X Funds|Global X Financials Covered Call & Growth ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Global X|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-4|TXN1-7|TXN6-8|TXN1-1|TXN3-3|100000|||Monthly|||||2022-11-22||FYLG.NV|FYLG.SO|FYLG.EU|FYLG.TC| | | | | | | | | | |1x|The Global X Financials Covered Call & Growth ETF (Fund) seeks to provide investment results that correspond generally to the price and yield performance, before fees and expenses, of the Cboe Financial Select Sector Half BuyWrite Index (Underlying Index).|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|23.96|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|23.9901|0.0|23.9901|23.93|24.06|23.95|24.06|23.93|24.08|12.0|35.98|0.0|0.0|23.93|24.08|25.7794|21.7221|565|77279 37778|FYT|FYT|33737M409|US33737M4096|First Trust Small Cap Value AlphaDEX Fund|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN5-2|TXN10-2|TXN6-1|TXN5-3|3250002|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|50.5095|0.0|0.0|0.0|0.0|0.0|50.5963|0.0|0.0|0.0|0.0|50.5095|0.0|50.5963|50.5|50.69|0.0|0.0|50.55|50.62|50.24|51.0|50.24|51.0|50.56|50.62|53.23|41.3704|13691|6222911 24503|FYX|FYX|33734Y109|US33734Y1091|First Trust Small Cap Core AlphaDEX Fund|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN6-3|TXN13-4|TXN6-7|TXN6-3|9500002|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||0.0|85.62|0.0|0.0|85.54|85.54|85.634|85.54|0.0|0.0|85.54|0.0|85.82|85.32|85.54|85.54|0.0|85.62|0.0|85.82|80.71|89.34|0.0|0.0|85.4|85.92|80.71|89.3|0.0|0.0|85.49|85.83|90.42|74.07|49886|8468447 25236|G|G|G3922B107|BMG3922B1072|Genpact Limited|Common Share|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-2|TXN4-4|TXN8-4|TXN3-2|TXN3-7|181410000|||Adhoc|||||2007-08-02||||||| | | | | | | | | |||N|0|Y|Y|104C|BMU|BM|||50|5020|502050|50205020|Industrials|Industrial Goods and Services|Industrial Support Services|Professional Business Support Services|N||N||||||Y|0|Y||Y|1|||34.72|34.725|0.0|34.83|34.765|34.725|34.725|34.755|0.0|0.0|34.73|34.765|34.725|34.72|34.765|34.73|34.76|34.72|34.77|34.73|34.72|34.73|32.4|37.09|34.69|34.73|34.7|34.74|34.7|34.78|34.72|34.73|48.58|29.4101|1212052|270209809 49062|GAA|GAA|132061607|US1320616071|Cambria Global Asset Allocation ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-6|TXN4-5|TXN8-8|TXN4-2|TXN1-8|1900000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||26.95|27.1047|0.0|0.0|0.0|0.0|27.175|26.64|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|26.72|27.1047|0.0|27.1047|26.87|27.67|27.07|27.42|26.87|27.29|25.31|28.9|0.0|0.0|27.02|27.15|29.24|25.41|1678|1628217 6443|GAB|GAB|362397101|US3623971013|The Gabelli Equity Trust Inc.|Common Stock|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-6|TXN1-1|TXN3-4|TXN2-8|TXN3-8|291800000|||Quarterly|||||1986-08-14||||||| | | | | | | | | |||N|0|N|N|406B|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||5.14|5.15|0.0|0.0|5.14|5.14|5.15|5.14|0.0|0.0|5.14|5.14|5.145|5.14|5.11|5.15|5.13|5.145|0.0|5.15|5.14|5.15|3.97|6.3|5.14|5.16|5.11|5.17|5.13|5.16|5.14|5.15|6.12|4.5593|519588|105632108 40441|GAB PRG|GABpG|362397176|US3623971765|The Gabelli Equity Trust Inc.|Series G Cumulative Preferred Stock|Closed end fund|B|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN4-7|TXN1-5|TXN3-1|TXN3-6|2580000|||Quarterly|||||2012-08-03||||||| | | | | | | | | |||N|0|N|N|406B|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||21.28|21.48|0.0|0.0|0.0|21.25|21.2501|0.0|0.0|0.0|0.0|0.0|0.0|21.28|0.0|21.32|0.0|21.25|0.0|21.32|21.12|21.32|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|21.12|21.32|23.87|20.67|11631|834116 40806|GAB PRH|GABpH|362397861|US3623978612|The Gabelli Equity Trust Inc.|5.00% Series H Cumulative Preferred Stock|Closed end fund|B|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN4-2|TXN8-8|TXN2-6|TXN2-5|4120000|||Quarterly|||||2012-10-03||||||| | | | | | | | | |||N|0|N|N|406B|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|21.21|21.2101|0.0|0.0|0.0|21.2|0.0|21.3|0.0|0.0|21.18|0.0|21.2|0.0|21.18|21.08|21.54|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|21.08|21.29|23.44|20.64|4838|858739 65255|GAB PRK|GABpK|362397846|US3623978463|The Gabelli Equity Trust Inc.|5.00% Series K Cumulative Preferred Stock|Closed end fund|B|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN4-5|TXN6-8|TXN1-1|TXN2-1|3900000|||Quarterly|||||2019-12-18||||||| | | | | | | | | |||N|0|N|N|406B|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||21.35|0.0|0.0|0.0|0.0|21.21|21.1603|21.17|0.0|0.0|21.25|0.0|21.15|0.0|0.0|21.16|21.25|21.1603|0.0|21.16|21.11|21.2|21.15|21.24|19.69|22.73|0.0|0.0|0.0|0.0|21.11|21.2|23.58|20.89|13496|1029615 1648|GABC|GABC|373865104|US3738651047|German American Bancorp Inc|COM USD10||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN5-1|TXN12-6|TXN6-6|TXN6-8|29580000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||||||30.18|30.3|0.0|30.04|30.14|30.05|30.19|30.12|0.0|0.0|30.18|0.0|30.19|0.0|0.0|0.0|0.0|30.19|0.0|30.19|29.83|30.44|22.99|37.53|30.14|30.45|30.07|30.27|30.15|30.28|30.15|30.19|40.7|24.85|60931|16236234 74016|GABF|GABF|36261K400|US36261K4004|Gabelli ETFs Trust|Gabelli Financial Services Opportunities ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Gabelli Funds|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-8|TXN4-7|TXN3-8|TXN3-7|TXN3-3|275000|||Yearly|||||2022-05-10||GAST.NV|GAST.SO|GAST.EU|GAST.TC|GAST.IV| | | | | | | | | |1x|The Fund will primarily invest in U.S. exchange-listed common stock and preferred stock. The Fund may also invest in foreign securities by investing in American Depositary Receipts. The Fund focuses on companies which appear underpriced relative to their private market value (PMV). PMV is the value the Adviser believes informed investors would be willing to pay for a company.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|31.893|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|31.9193|0.0|31.9193|0.0|0.0|31.83|31.94|31.86|31.98|29.4|34.52|0.0|0.0|31.86|31.98|34.91|24.2368|2027|157830 1651|GAIA|GAIA|36269P104|US36269P1049|Gaia Inc|CL A COM USD.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN5-8|TXN13-8|TXN5-5|TXN6-1|17610000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4040|404010|40401010|Consumer Discretionary|Retail |Retailers |Diversified Retailers|N||N||||||Y|0|Y||||||0.0|2.85|0.0|0.0|2.78|2.85|2.922|2.8|0.0|0.0|2.9|0.0|2.91|0.0|0.0|2.85|2.85|2.922|0.0|2.922|2.73|3.08|0.0|0.0|2.83|2.94|0.0|0.0|0.0|0.0|2.89|2.93|4.03|2.05|163733|8737546 1652|GAIN|GAIN|376546107|US3765461070|Gladstone Investment Corporation|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN5-7|TXN12-8|TXN5-4|TXN5-3|33900000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||Y|0|Y||||||13.79|13.845|0.0|0.0|13.85|13.865|13.83|13.865|0.0|0.0|13.86|13.75|13.83|13.86|13.86|13.85|13.86|13.83|0.0|13.83|13.81|13.87|10.51|16.75|13.75|13.96|13.81|13.87|13.81|13.86|13.83|13.84|14.92|12.11|253950|28669591 75809|GAINL|GAINL|376546875|US3765468752|Gladstone Investment Corp 8.00 Notes due 2028|STRUCT PRODUCT||U|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN5-2|TXN11-6|TXN6-8|TXN6-2|2990000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|25.34|25.335|0.0|0.0|0.0|0.0|0.0|25.35|0.0|0.0|0.0|0.0|25.335|0.0|25.335|0.0|0.0|0.0|0.0|23.63|27.0|0.0|0.0|0.0|0.0|25.32|25.35|26.35|24.55|7497|2101981 69484|GAINN|GAINN|376546800||Gladstone Investment Corporation 5.00% Notes Due 2026|||U|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN6-4|TXN10-2|TXN6-7|TXN5-6|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||50|5020|502040|50204000|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Industrial|N||N||||||N|0|Y||||||23.75|23.875|0.0|0.0|0.0|23.88|23.8494|0.0|0.0|0.0|23.85|0.0|23.85|23.76|0.0|23.85|23.85|23.85|0.0|23.85|0.0|0.0|0.0|0.0|23.23|24.43|0.0|0.0|0.0|0.0|23.7|23.85|24.43|22.51|6130|1507534 71480|GAINZ|GAINZ|376546883|US3765468836|Gladstone Investment Corp 4.875 Notes due 2028|STRUCT PROD||U|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN6-5|TXN14-1|TXN6-6|TXN5-8|5380000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||||||||||N||N||||||N|0|Y||||||23.68|23.8|0.0|0.0|0.0|0.0|23.72|23.55|0.0|0.0|0.0|0.0|23.96|0.0|0.0|23.85|23.42|23.96|0.0|23.96|0.0|0.0|0.0|0.0|22.93|24.48|0.0|0.0|0.0|0.0|23.4|24.0|24.76|20.8605|5709|799090 39935|GAL|GAL|78467V400|US78467V4005|SSGA Active Trust|SPDR SSgA Global Allocation ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-4|TXN3-7|TXN4-8|TXN4-4|TXN4-2|5730000|||Quarterly|||||2012-04-26||GAL.NV|GAL.SO|GAL.EU|GAL.TC|GAL.IV| | | | | | | | | ||The SPDR SSgA Global Allocation ETF seeks to provide capital appreciation. SSgA Funds Management, Inc. (the Adviser or SSgA FM) invests the assets of the Portfolio among exchange traded products (ETPs) that provide balanced exposure to domestic and international debt and equity securities. The Portfolio typically allocates approximately 60% of its assets to equity securities, though this percentage can vary based on the Advisers tactical decisions.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||39.93|39.95|0.0|0.0|39.98|0.0|39.99|39.98|0.0|0.0|0.0|0.0|39.9|0.0|0.0|39.98|0.0|39.98|40.09|39.98|0.0|0.0|39.9|40.0|39.89|40.01|39.91|40.0|39.92|39.98|28.69|51.16|41.1|37.04|13493|3904552 38374|GALT|GALT|363225202|US3632252025|Galectin Therapeutics Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN5-2|TXN10-6|TXN5-3|TXN5-7|61850000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||2.06|2.07|0.0|0.0|2.05|2.05|2.03|2.03|0.0|0.0|2.02|2.05|2.02|2.06|2.06|2.06|2.03|2.03|2.06|2.02|1.98|2.08|1.56|2.53|1.99|2.08|1.91|2.15|2.0|2.06|2.02|2.04|2.47|1.02|61564|15636531 6451|GAM|GAM|368802104|US3688021043|General American Investors Company, Inc.|Common Stock|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN1-1|TXN3-8|TXN1-6|TXN1-3|23520000|||Yearly|||||1930-01-23||||||| | | | | | | | | |||N|0|N|N|406B|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||41.82|41.82|0.0|41.81|41.74|41.83|41.78|41.825|0.0|0.0|41.75|0.0|41.77|0.0|0.0|41.83|0.0|41.83|0.0|41.83|41.74|41.81|32.04|51.56|41.74|44.85|33.08|50.7|41.7|41.88|41.74|41.81|43.0|35.365|29840|5340879 6452|GAM PRB|GAMpB|368802401|US3688024013|General American Investors Company, Inc.|5.95% Cumulative Preferred Stock, Series B|Closed end fund|B|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN1-7|TXN8-8|TXN4-1|TXN1-1|7610000|||Quarterly|||||2003-10-17|2008-09-24|||||| | | | | | | | | 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70523|GAMC|GAMC|380799106|US3807991068|Golden Arrow Merger Corp|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN5-8|TXN10-2|TXN5-2|TXN5-5|9150000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.58|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|9.88|10.7|0.0|0.0|0.0|0.0|10.58|10.6|12.09|9.6838|9|4702357 69746|GAMCU|GAMCU|380799205|US3807992058|Golden Arrow Merger Corp|UNITS||R|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN6-6|TXN12-1|TXN5-5|TXN6-5|28750000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.1|0.0|0.0|0.0|0.0|0.0|0.0|0.0|7.89|13.34|0.0|0.0|9.86|11.0|7.89|13.34|0.0|0.0|9.86|11.0|10.85|9.64|10|60267 70524|GAMCW|GAMCW|380799114|US3807991142|Golden Arrow Merger Corp|Wrrt||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-5|TXN5-8|TXN11-5|TXN6-6|TXN5-6|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.1|0.1488|0.1991|0.002|0|5359226 62645|GAME|GAME|364934109|CA3649341094|GameSquare Holdings Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN5-7|TXN14-7|TXN5-2|TXN6-8|12930000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4050|405010|40501030|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Recreational Services|N||N||||||N|0|Y||||||0.0|1.56|0.0|0.0|1.58|1.585|1.5603|1.57|0.0|0.0|0.0|0.0|1.6|0.0|0.0|0.0|0.0|1.56|0.0|1.56|1.51|1.67|1.28|1.95|1.51|1.67|1.52|1.64|1.53|1.65|1.56|1.6|7.7288|0.5111|27750|23191106 52651|GAMR|GAMR|26924G706|US26924G7060|ETF Managers Trust|Wedbush ETFMG Video Game Tech ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ETF Managers Group|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-6|TXN1-8|TXN3-8|TXN4-6|TXN4-1|750000|||Quarterly|||||2016-03-09||GAMR.NV|GAMR.SO|GAMR.EU|GAMR.TC|GAMR.IV| | | | | | | | | |1x|The EEFund Video Game Tech Index has been created to provide investors with a product allowing them to quickly take advantage of both event-driven news and long term economic trends as the market for video game technology continues to evolve.The Index uses a market capitalization weighted allocation across the pure play and non-pure play sectors and a set weight for the conglomerate sector as well as an equal weighted allocation methodology for all components within each sector allocation. Index components are reviewed semi-annually for eligibility, and the weights are re-set accordingly.Companies may not apply, and may not be nominated, for inclusion in the Index. Companies are added or removed by the ISE based on the methodology described herein.The Index is calculated and maintained by Solactive LLC based on a methodology developed by the International Securities Exchange. The EEFund Video Game Tech Index is calculated on a price and total return basis. The price Index and the total return Index are calculated in real-time and disseminated via the Options Price Reporting Authority (OPRA) and market data vendors every day the U.S. equity markets are open. Both sets of end of day values are freely available on ISEs website, www.ise.com and/or through data vendors.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||0.0|56.75|0.0|0.0|0.0|56.5|56.8099|56.17|0.0|0.0|0.0|0.0|56.75|57.1|0.0|0.0|0.0|56.85|0.0|56.85|53.75|59.75|43.13|70.49|56.78|57.08|52.69|60.72|0.0|0.0|56.78|57.08|63.12|50.04|1558|713772 66306|GAN|GAN|G3728V109|BMG3728V1090|GAN Ltd|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN6-2|TXN12-8|TXN6-1|TXN6-4|44700000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||||||1.5|1.5|0.0|0.0|1.5|1.5|1.505|1.5|0.0|0.0|1.5|1.5|1.5|1.51|1.51|1.5|1.51|1.5|1.5|1.5|1.47|1.53|1.19|1.81|1.5|1.52|1.47|1.54|1.46|1.55|1.5|1.51|2.489|0.83|387409|96308880 69780|GANX|GANX|36269B105|US36269B1052|Gain Therapeutics Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN6-5|TXN12-1|TXN6-8|TXN5-1|15120000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||0.0|2.35|0.0|0.0|2.33|2.35|2.33|2.31|0.0|0.0|2.35|2.35|2.35|0.0|0.0|0.0|0.0|2.33|2.36|2.35|2.24|2.47|2.08|0.0|2.26|2.45|2.31|2.37|2.3|2.38|2.33|2.36|6.19|2.0|120806|13025781 75635|GAPR|GAPR|33740F458|US33740F4587|FT Cboe Vest U.S. Equity Moderate Buffer ETF - April|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-3|TXN4-4|TXN3-8|TXN3-8|TXN2-3|4430000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|32.02|0.0|0.0|0.0|32.08|32.02|0.0|0.0|0.0|32.1|0.0|0.0|31.99|32.1|0.0|0.0|32.02|0.0|32.02|31.89|32.08|31.98|32.03|31.99|32.08|31.99|32.13|31.99|32.13|31.99|32.08|32.1261|29.3817|1396|11733422 73676|GAQ|GAQ|G38258102|KYG382581026|Generation Asia I Acquisition Limited|Class A Ordinary Shares|Special purpose acquisition company|A|N|N|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN2-6|TXN4-8|TXN3-3|TXN4-8|7700000|||NotApplicable|||||2022-03-14||||||| | | | | | | | | |||N|0|N|N|408A|CYM|KY|||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|2|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.8|10.97|0.0|0.0|10.15|11.5|0.0|0.0|0.0|0.0|10.8|10.97|11.2|10.01|0|12672662 73677|GAQ WS|GAQ.WS|G38258128||Generation Asia I Acquisition Limited|Redeemable Warrants included as part of the units, each whole warrant exercisable for one Class A ordinary share at an exercise price of $11.50|Special purpose acquisition company|C|N|N|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN2-8|TXN4-3|TXN3-8|TXN3-2|TXN3-4|0|||NotApplicable|||||2022-03-14||||||| | | | | | | | | |||N|0|N|N|408A||KY|||50|5020|502040|50204000|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Industrial|N||N||||||N|2|Y||N||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0159|0.04|0.0|0.0|0.015|0.06|0.0|0.0|0.0|0.0|0.0159|0.04|0.3534|0.0151|0|1686373 73257|GAQ U|GAQ.U|G38258110|KYG382581109|Generation Asia I Acquisition Limited|Units, each consisting of one Class A ordinary share and one-half of one redeemable warrant|Special purpose acquisition company|R|N|N|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN1-1|TXN8-8|TXN1-6|TXN3-2|0|||NotApplicable|||||2022-01-20||||||| | | | | | | | | |||N|0|N|N|408A|CYM|KY|||||||||||N||N||||||N|2|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.8|11.5|0.0|0.0|10.8|11.5|0.0|0.0|0.0|0.0|10.8|11.5|11.0774|9.78|0|67478 1655|GASS|GASS|Y81669106|MHY816691064|StealthGas Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN6-4|TXN14-3|TXN6-1|TXN5-2|35310000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||GRC||||50|5020|502060|50206030|Industrials|Industrial Goods and Services|Industrial Transportation|Marine Transportation|N||N||||||Y|0|Y||||||6.625|6.62|0.0|6.56|6.63|6.63|6.62|6.63|0.0|0.0|6.62|6.72|6.63|6.635|6.63|6.63|6.66|6.625|0.0|6.63|5.45|8.08|5.12|8.08|6.18|6.69|6.6|6.66|6.61|6.64|6.62|6.63|7.12|2.51|279165|50661627 73114|GAST|GAST|36261K301|US36261K3014|Gabelli ETFs Trust|Gabelli Automation ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Gabelli Funds|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-6|TXN3-1|TXN5-8|TXN2-8|TXN2-4|190000|||Yearly|||||2022-01-05||GAST.NV|GAST.SO|GAST.EU|GAST.TC|GAST.IV| | | | | | | | | |1x|The Fund will primarily invest in U.S. exchange-listed common stock and preferred stock. The Fund may also invest in foreign securities by investing in American Depositary Receipts. The Fund focuses on companies which appear underpriced relative to their private market value (PMV).|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|21.9604|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|23.3596|0.0|23.3596|0.0|0.0|0.0|0.0|23.32|23.4|0.0|0.0|0.0|0.0|23.32|23.4|26.91|19.92|10|11760 72544|GATE|GATE|56608A105|US56608A1051|Marblegate Acquisition Corp|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN5-4|TXN13-3|TXN6-5|TXN6-4|5680000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.48|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|9.77|10.5|0.0|0.0|0.0|0.0|10.44|10.48|11.01|9.96|1|1511631 71897|GATEU|GATEU|56608A204|US56608A2042|Marblegate Acquisition Corp|UNITS||R|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN6-1|TXN12-3|TXN6-4|TXN5-1|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|8.14|15.07|0.0|0.0|10.17|12.56|8.14|15.07|0.0|0.0|10.17|11.91|10.83|9.87|0|89889 72546|GATEW|GATEW|56608A113|US56608A1135|Marblegate Acquisition Corp|WT EXP 083128||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-1|TXN6-2|TXN12-4|TXN5-7|TXN6-1|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.025|0.0|0.0|0.0|0.0|0.0115|0.0|0.0217|0.0|0.0|0.0|0.0|0.0115|0.0226|0.0115|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0082|0.025|0.2|0.01|1746|3814212 67985|GATO|GATO|368036109|US3680361090|Gatos Silver, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|P|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-5|TXN4-2|TXN5-6|TXN4-5|TXN3-5|69160000|||NotApplicable|||||2020-10-28||||||| | | | | | | | | |||N|0|N|Y|100A|CAN|US|||55|5510|551030|55103030|Basic Materials|Basic Resources|Precious Metals and Mining|Platinum and Precious Metals|N||N||||||Y|0|Y||Y|2|||6.09|6.1|0.0|0.0|6.09|6.095|6.095|6.09|0.0|0.0|6.1|6.1|6.095|6.08|6.07|6.09|6.09|6.095|6.285|6.09|6.08|6.1|4.73|7.43|6.05|6.12|6.06|6.12|6.06|6.12|6.08|6.1|7.49|3.51|308210|94502188 6579|GATX|GATX|361448103|US3614481030|GATX Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|O|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN2-6|TXN4-8|TXN2-5|TXN3-1|35500000|||Quarterly|||||1920-05-13||||||| | | | | | | | | |||N|0|N|Y|208A|USA|US|||50|5020|502060|50206050|Industrials|Industrial Goods and Services|Industrial Transportation|Commercial Vehicle-Equipment Leasing|N||N||||||Y|0|Y||Y|2|||113.74|113.23|0.0|113.25|113.19|113.23|113.29|113.3|0.0|0.0|113.19|113.15|113.28|113.04|108.74|113.34|113.2|113.34|108.82|113.34|113.26|113.34|85.67|137.87|112.93|113.55|113.11|113.44|113.26|113.41|113.26|113.34|133.015|97.21|154054|33061831 26693|GAU|GAU|36352H100|CA36352H1001|Galiano Gold Inc.|Common Stock|Operating company|A|N|Y|A|Y|Y|Y|Y|Y|||J. Streicher & Co. L.L.C.|JSCO|3856|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN12-4|TXN2-8|TXN9-8|TXN2-5|TXN1-7|224960000|||NotApplicable|||||2008-01-02||||||| | | | | | | | | |||N|0|N|N|130E|CAN|CA|||55|5510|551030|55103025|Basic Materials|Basic Resources|Precious Metals and Mining|Gold Mining|N||N||||||Y|0|Y||Y|2|||0.66|0.6685|0.0|0.0|0.66|0.669|0.6671|0.6553|0.0|0.0|0.6685|0.6575|0.6695|0.68|0.0|0.0|0.6713|0.6713|0.67|0.6713|0.6365|0.7035|0.6654|0.678|0.6365|0.7|0.6412|0.6934|0.6423|0.7017|0.6629|0.68|0.7398|0.42|204913|59046099 76179|GAUG|GAUG|33740U653|US33740U6534|FT Cboe Vest US Equity Moderate Buffer ETF - August|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN1-3|TXN7-8|TXN1-7|TXN1-5|3680000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||30.74|30.7997|0.0|30.74|30.74|30.74|30.7906|30.74|0.0|0.0|30.74|30.74|0.0|30.74|30.74|30.74|30.74|30.7997|30.74|30.7997|23.77|37.81|23.77|30.86|30.76|30.87|30.72|30.87|30.72|30.86|30.77|30.87|30.93|28.78|22620|4716855 61184|GB|GB|H33700107|CH0562152865|Global Blue Group Holding AG|Ordinary Shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|5|M|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN2-2|TXN8-8|TXN2-2|TXN3-4|201230000|||NotApplicable|||||2020-08-31||||||| | | | | | | | | |||N|0|N|Y|408A|CHE|CH|||50|5020|502050|50205015|Industrials|Industrial Goods and Services|Industrial Support Services|Transaction Processing Services|N||N||||||N|0|Y||Y|2|||0.0|4.61|0.0|0.0|0.0|4.715|4.625|4.38|0.0|0.0|4.55|4.6|4.67|0.0|0.0|4.7|4.62|4.68|0.0|4.7|4.56|4.68|0.0|0.0|4.26|4.72|0.0|0.0|0.0|0.0|4.56|4.68|7.6|3.49|35341|8245934 61185|GB WS|GB.WS|H33700115|CH0562311404|Global Blue Group Holding AG|Warrants exercisable for one Ordinary Share of Global Blue Group Holding AG at a price of $11.50 per share|Operating company|C|N|Y|N|Y|Y|Y|Y|Y|5|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN8-8|TXN1-7|TXN6-8|TXN4-5|TXN1-7|230190000|||NotApplicable|||||2020-08-31|2025-08-28|||||| | | | | | | | | |||N|0|N|N|408A|CHE|CH|||||||||||N||N||||||N|0|Y|D|N||||0.0|0.0|0.0|0.0|0.0|0.0|0.1|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.1|0.0|0.1|0.0|0.1|0.072|0.1|0.0|0.0|0.0719|0.1066|0.0|0.0|0.0|0.0|0.0731|0.1045|0.67|0.0625|6000|8202808 35922|GBAB|GBAB|401664107|US4016641072|Guggenheim Taxable Municipal Bond & Investment Grade Debt Trust|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN3-8|TXN6-8|TXN2-1|TXN1-8|21690000|||Monthly|||||2010-10-27||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||15.84|15.9|0.0|15.77|15.85|15.86|15.85|15.88|0.0|0.0|16.0|15.9|15.85|15.93|15.84|15.86|15.87|15.86|0.0|15.86|15.84|15.88|12.22|19.44|14.81|16.91|15.81|15.92|15.84|15.89|15.84|15.88|17.85|14.22|109311|13997228 74169|GBBK|GBBK|37961B104|US37961B1044|Global Blockchain Acquisition Corp|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN6-7|TXN14-4|TXN6-1|TXN6-6|7190000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.55|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|9.85|10.56|0.0|0.0|0.0|0.0|10.54|10.56|11.5242|9.93|30|6527253 74170|GBBKR|GBBKR|37961B112||Global Blockchain Acquisition Corp. Right|||D|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-2|TXN5-1|TXN13-7|TXN5-1|TXN5-7|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||50|5020|502040|50204000|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Industrial|N||N||||||N|0|Y|C|||||0.0|0.0|0.0|0.0|0.0|0.0|0.05169|0.0855|0.0|0.0|0.0|0.0|0.0875|0.0|0.0|0.0|0.0|0.05169|0.0|0.0875|0.0|0.0|0.0|0.0|0.051|0.0|0.0|0.0|0.0|0.0|0.055|0.12|0.5479|0.04|500|3760756 74171|GBBKW|GBBKW|37961B120|US37961B1200|Global Blockchain Acquisition Corp|WT EXP 050927||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-8|TXN5-3|TXN10-7|TXN5-7|TXN5-3|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.04|0.0|0.0|0.0|0.0|0.015|0.02|0.06|0.0089|0|3889875 1659|GBCI|GBCI|37637Q105|US37637Q1058|Glacier Bancorp, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-2|TXN2-2|TXN2-4|TXN4-8|TXN3-4|110880000|||Quarterly|||||2021-12-17||||||| | | | | | | | | |||N|0|N|Y|402B|USA|US|||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||Y|2|||36.74|36.75|0.0|36.71|36.76|36.74|36.76|36.77|0.0|35.51|36.76|36.71|36.77|36.73|36.74|36.78|36.75|36.78|36.73|36.78|36.77|36.78|28.41|44.77|36.68|36.83|36.71|36.83|36.77|36.84|36.77|36.78|58.0543|26.77|491067|159244321 32570|GBDC|GBDC|38173M102|US38173M1027|Golub Capital BDC Inc|COM USD0.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN6-5|TXN13-7|TXN5-7|TXN5-3|169600000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302020|30202010|Financials|Financial Services |Investment Banking and Brokerage Services |Asset Managers and Custodians|N||N||||||N|0|Y||||||14.95|14.95|0.0|14.96|14.95|14.955|14.965|14.96|0.0|0.0|14.96|14.96|14.96|14.95|14.96|14.955|14.96|14.95|14.96|14.96|14.94|14.98|11.59|18.31|14.94|14.97|14.94|14.98|14.94|14.97|14.95|14.96|15.38|12.265|473816|149822793 18780|GBF|GBF|464288596|US4642885960|iShares Trust|iShares Government/Credit Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN4-6|TXN8-8|TXN1-8|TXN3-4|3200000|||Monthly|||||2007-12-04||GBF.NV|GBF.SO|GBF.EU|GBF.TC|GBF.IV| | | | | | | | | |1x|The iShares Barclays Government/Credit Bond Fund seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the U.S. government and investment grade U.S corporate securities of the U.S. bond market as defined by the Barclays Capital U.S. Government/Credit Bond Index. THE UNDERLYING INDEX MEASURES THE PERFORMANCE OF DOLLAR-DENOMINATED U.S. TREASURIES, GOVERNMENT-RELATED (I.E. 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Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN6-8|TXN11-3|TXN5-6|TXN5-1|2240000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|8.3806|0.0|0.0|0.0|8.35|0.0|8.35|0.0|0.0|0.0|0.0|8.35|0.0|8.35|0.0|0.0|0.0|0.0|7.9|8.4|0.0|0.0|0.0|0.0|8.35|8.37|11.0499|8.04|2215|499163 6465|GBR|GBR|643611106|US6436111065|New Concept Energy Inc.|Common Stock|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Brendan E. 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|||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.3|0.3|0.0|0.0|0.0|0.3|0.27|0.0|0.0|0.0|0.0|0.0|0.3199|0.0|0.0|0.0|0.0|0.3199|0.0|0.3199|0.0|0.0|0.0|0.0|0.2725|0.31|0.0|0.0|0.0|0.0|0.2725|0.3098|1.28|0.2|52548|12007571 6471|GCO|GCO|371532102|US3715321028|GENESCO Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN1-3|TXN5-8|TXN1-7|TXN2-6|11510000|||NotApplicable|||||1939-07-15||||||| | | | | | | | | |||N|0|N|Y|146F|USA|US|||40|4040|404010|40401020|Consumer Discretionary|Retail |Retailers |Apparel 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Vehicles|N||N||||||N|0|Y||||||33.37|33.38|0.0|0.0|33.38|33.35|33.38|33.38|0.0|0.0|33.36|33.39|33.38|33.61|33.39|33.37|33.36|33.38|0.0|33.38|33.36|33.38|33.21|33.46|33.36|33.38|33.21|33.47|33.21|33.46|33.36|33.38|34.98|31.15|255093|88731977 74486|GCT|GCT|G38644103|KYG386441037|GigaCloud Technology Inc|CL A ORD NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN5-4|TXN11-8|TXN6-5|TXN6-1|31420000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4040|404010|40401010|Consumer Discretionary|Retail |Retailers |Diversified Retailers|N||N||||||Y|0|Y||||||12.325|12.32|0.0|12.68|12.29|12.355|12.26|12.25|0.0|0.0|12.25|12.18|12.28|12.17|12.36|12.26|12.53|12.26|12.68|12.28|9.76|13.94|12.01|15.0|11.64|12.35|9.76|13.94|0.0|0.0|12.25|12.28|18.6|4.79|1771070|144879754 49181|GCTK|GCTK|45824Q507|US45824Q5071|GlucoTrack Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-7|TXN6-8|TXN12-1|TXN5-7|TXN5-1|20890000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||N|0|Y||||||0.291|0.291|0.0|0.0|0.29|0.29|0.2895|0.28|0.0|0.0|0.2864|0.28|0.285|0.291|0.0|0.0|0.0|0.2895|0.0|0.2895|0.224|0.348|0.224|0.348|0.2661|0.3|0.224|0.348|0.0|0.0|0.285|0.2895|3.75|0.1328|314207|210345665 6474|GCV|GCV|36240B109|US36240B1098|The Gabelli Convertible and Income Securities Fund, Inc.|Common Stock|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN1-2|TXN8-8|TXN2-6|TXN1-6|18910000|||Quarterly|||||1995-03-31||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||3.48|3.47|0.0|0.0|3.43|3.46|3.46|3.48|0.0|0.0|3.44|0.0|3.46|0.0|0.0|3.47|0.0|3.47|0.0|3.47|3.46|3.47|2.71|4.28|3.23|3.47|3.43|3.49|0.0|0.0|3.46|3.47|5.45|3.15|133933|6804271 6476|GD|GD|369550108|US3695501086|General Dynamics Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|P|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-5|TXN1-2|TXN4-4|TXN1-2|TXN4-1|272900000|||Quarterly|||||1952-04-25||||||| | | | | | | | | |||N|1|Y|Y|102A|USA|US|||50|5020|502010|50201020|Industrials|Industrial Goods and Services|Aerospace and Defense|Defense|N||N||||||Y|0|Y||Y|1|||252.14|252.19|0.0|252.21|252.17|252.21|252.22|252.25|0.0|0.0|251.91|252.17|252.21|252.18|252.17|252.21|250.31|252.21|252.17|252.21|252.2|252.21|236.19|265.09|252.11|252.3|252.05|252.41|252.03|252.42|252.2|252.21|254.11|202.35|1618211|273944373 50619|GDC|GDC|19200A204|US19200A2042|GD Culture Group Ltd|COM USD 0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN5-2|TXN12-7|TXN6-6|TXN5-7|4490000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||HKG||||60|6010|601010|60101040|Energy|Energy|Oil, Gas and Coal|Coal|N||N||||||N|0|Y|C|||||2.85|2.92|0.0|2.86|0.0|2.86|2.9|2.85|0.0|0.0|2.84|2.85|2.95|2.83|0.0|2.87|0.0|2.9|0.0|2.95|2.25|3.61|2.25|3.61|2.8|3.04|2.25|3.61|0.0|0.0|2.9|2.92|44.0|2.21|279016|207021565 49602|GDDY|GDDY|380237107|US3802371076|GoDaddy Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|A|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-3|TXN2-1|TXN6-8|TXN2-3|TXN1-5|140830000|||NotApplicable|||||2015-04-01||||||| | | | | | | | | |||N|0|Y|Y|108B|USA|US|||10|1010|101010|10101020|Technology|Technology|Software and Computer Services|Consumer Digital Services |N||N||||||Y|0|Y||Y|1|||103.21|103.21|0.0|103.2|103.31|103.31|103.19|103.195|0.0|0.0|103.22|103.31|103.21|103.23|103.21|103.2|103.31|103.19|103.2|103.2|103.22|103.23|103.1|103.3|103.12|103.3|103.11|106.97|103.15|103.26|103.22|103.23|103.44|67.435|1949865|328443087 73709|GDE|GDE|97717Y568|US97717Y5684|WisdomTree Efficient Gold Plus Equity Strategy Fund|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-7|TXN2-4|TXN6-8|TXN2-8|TXN4-7|500000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||26.07|25.9917|0.0|0.0|26.08|0.0|26.07|25.92|0.0|0.0|0.0|0.0|25.91|0.0|0.0|0.0|0.0|25.9917|0.0|25.9917|0.0|0.0|0.0|0.0|25.61|26.37|0.0|0.0|0.0|0.0|25.87|26.08|26.79|20.43|2538|802867 75137|GDEF|GDEF|38149W655|US38149W6553|Goldman Sachs ETF Trust|Goldman Sachs Defensive Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Goldman Sachs Asset Management|Susquehanna Securities, 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USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN6-5|TXN14-6|TXN6-2|TXN6-6|28620000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4050|405010|40501020|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Casinos and Gambling|N||N||||||Y|0|Y||||||37.75|37.575|0.0|37.69|37.6|37.6|37.62|37.58|0.0|0.0|37.62|0.0|37.61|37.52|0.0|37.08|37.02|37.65|0.0|37.61|37.22|37.95|29.14|45.69|37.26|37.67|37.51|37.73|37.49|37.74|37.61|37.64|47.495|30.38|183080|41496843 67761|GDEV|GDEV|G6529J100|VGG6529J1003|GDEV Inc|ORD||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN5-2|TXN12-4|TXN6-7|TXN5-8|197390000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CYP||||40|4020|402030|40203040|Consumer Discretionary|Consumer Products and Services|Leisure Goods|Electronic Entertainment|N||N||||||N|0|Y||||||2.19|0.0|0.0|0.0|0.0|0.0|2.23|0.0|0.0|0.0|0.0|0.0|2.5|2.19|0.0|0.0|0.0|2.19|0.0|2.19|2.07|2.56|1.69|3.01|2.14|2.59|1.69|2.49|0.0|0.0|2.18|2.43|8.5|2.0|1202|2876206 67762|GDEVW|GDEVW|G6529J118|VGG6529J1185|GDEV Inc|WT EXP 082626||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-1|TXN5-5|TXN13-8|TXN6-5|TXN6-8|197390000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CYP||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.1475|0.0|0.0|0.0|0.0|0.12|0.1474|0.58|0.02|0|7971834 75552|GDHG|GDHG|G3959D109|KYG3959D1097|Golden Heaven Group Holdings Ltd|CL A ORD NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN6-7|TXN11-3|TXN5-1|TXN5-4|51750000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||40|4050|405010|40501030|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Recreational Services|N||N||||||N|0|Y||||||20.16|20.2|0.0|0.0|20.1|20.2|20.1594|20.32|0.0|0.0|20.33|20.3|20.14|20.1|19.23|20.11|20.02|20.08|20.41|20.14|19.49|20.87|0.0|0.0|19.58|20.7|0.0|0.0|0.0|0.0|20.07|20.18|24.99|2.94|290682|31479490 74072|GDIV|GDIV|41151J703|US41151J7037|Harbor ETF Trust|Harbor Dividend Growth Leaders ETF|Trust|ETF|N|N|N|Y|Y|Y|Y|Y|8|P|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN2-5|TXN4-8|TXN3-7|TXN1-6|17252033|||Quarterly|||||2023-01-03||||||| | | | | | | | | |||N|0|N|N|416A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|12.99|0.0|0.0|0.0|12.97|13.03|0.0|0.0|0.0|13.01|11.9|13.0|0.0|0.0|13.03|13.01|13.03|0.0|13.03|13.02|13.03|12.99|13.01|13.0|13.03|11.81|15.65|0.0|0.0|13.02|13.03|15.2|11.37|32888|11300837 18876|GDL|GDL|361570104|US3615701048|GDL Fund, The|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities 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LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN2-3|TXN8-8|TXN2-7|TXN1-5|690000|||Quarterly|||||2018-03-26|2025-03-26|||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|49.54|49.67|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|49.54|49.67|49.86|48.33|0|153333 62332|GDMA|GDMA|02072L870|US02072L8708|EA Series Trust - Gadsden Dynamic Multi-Asset 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Income Trust|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN1-1|TXN8-8|TXN3-8|TXN4-3|90390000|||Monthly|||||2003-11-25||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||20.41|20.54|0.0|20.51|20.5|20.54|20.54|20.45|0.0|0.0|20.46|20.51|20.55|20.5|20.42|20.57|20.49|20.56|20.54|20.57|20.53|20.56|15.85|25.27|20.09|20.92|20.5|20.58|20.51|20.6|20.53|20.56|22.39|18.04|176914|35346438 63809|GDV PRH|GDVpH|36242H880|US36242H8806|The Gabelli Dividend & Income Trust|5.375% Series H Cumulative Preferred Shares|Closed end fund|B|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN1-2|TXN2-8|TXN4-4|TXN4-6|1990000|||Quarterly|||||2019-06-12||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|23.69|23.685|0.0|0.0|0.0|0.0|0.0|0.0|0.0|23.685|23.82|23.685|0.0|23.685|23.36|23.78|23.82|24.01|21.81|25.36|0.0|0.0|0.0|0.0|23.36|23.78|25.86|22.0|1266|968578 71990|GDV PRK|GDVpK|36242H864|US36242H8640|The Gabelli Dividend & Income Trust|4.250% Series K Cumulative Preferred Shares|Closed end fund|B|N|N|N|Y|Y|Y|Y|Y|6|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN3-2|TXN5-8|TXN4-1|TXN1-5|5830000|||Quarterly|||||2021-10-11||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|18.82|18.95|18.99|0.0|0.0|18.9|0.0|18.73|18.99|0.0|18.71|19.01|18.71|0.0|18.71|18.72|19.02|19.01|19.17|17.6|20.26|0.0|0.0|0.0|0.0|18.72|19.02|20.6499|16.96|11115|3315747 73799|GDVD|GDVD|66538H195|US66538H1959|Northern Lights Fund Trust IV|R3 Global Dividend Growth ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Ultimus Fund Solutions (R3 Global)|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-8|TXN4-6|TXN1-5|TXN2-5|TXN4-7|1260000|||Monthly|||||2022-03-31||GDVD.NV|GDVD.SO|GDVD.EU|GDVD.TC| | | | | | | | | | ||The Fund is an actively managed exchange-traded fund (ETF) that, under normal circumstances, invests at least 80% of its net assets, plus any borrowings for investment purposes, in dividend-paying equity securities at the time of purchase. The Adviser uses quantitative screens (such as dividend yield, return on invested capital, free cash flow and revenue growth metrics), followed by qualitative, bottom-up research on an industry level and on a company level to identify companies it believes have the commitment and capacity to pay dividends and whose potential growth of capital is expected to be above average. Through this process, the Fund seeks an investment portfolio for investors that achieves capital appreciation, a growing dividend and a meaningful yield. Examples of securities in which the Fund invests include common stock, preferred stock, convertible stocks, rights, warrants and depositary receipts such as American Depositary Receipts (ADRs), and European Depositary Receipts (EDRs) and Global Depositary Receipts (GDRs), and real estate investment trusts (REITs).|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|22.5278|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|22.5312|0.0|22.5312|0.0|0.0|0.0|0.0|22.5|22.56|0.0|0.0|0.0|0.0|22.5|22.56|23.724|20.32|3394|1662419 6485|GDX|GDX|92189F106|US92189F1066|VanEck ETF Trust|VanEck Gold Miners ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||VanEck Vectors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-7|TXN4-5|TXN6-3|TXN1-5|TXN3-2|421550000|||Yearly|||||2008-11-21||GDX.NV|GDX.SO|GDX.EU|GDX.TC|GDX.IV| | | | | | | | | |1x|The Gold Miners ETF seeks to replicate as closely as possible, before fees and expenses, the price and yield performance of the NYSE Arca Gold Miners Index. The Index provides exposure to publicly traded companies worldwide involved primarily in the mining for gold, representing a diversified blend of small-, mid-, and large-capitalization stocks. As such, the Fund is subject to the risks of investing in this sector. The Fund normally invests at least 80% of its total assets in common stocks and American depositary receipts (ADRs) of companies involved in the gold mining industry. Such companies may include medium-capitalization companies and foreign issuers.|N|0|N|N|406C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||31.01|31.01|0.0|30.97|31.01|31.0|31.01|31.005|0.0|0.0|31.0|31.0|31.01|31.01|31.02|31.0|31.02|31.02|31.0|31.02|31.0|31.01|30.94|31.05|31.0|31.01|30.93|31.04|30.94|31.05|31.0|31.01|36.255|25.62|45796134|5083592193 68269|GDXD|GDXD|063679641|US0636796411|Bank of Montreal|MicroSectors Gold Miners -3X Inverse Leveraged ETNs|Operating company|ETN|N|N|P|Y|Y|Y|Y|Y||||||||Bank of Montreal|IMC Chicago, LLC, DBA IMC Financial Markets|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-4|TXN2-4|TXN8-5|TXN3-3|TXN4-2|10000000|||NotApplicable|||||2020-12-03|2040-06-29|GDXD.NV|GDXD.SO|GDXD.EU|GDXD.TC|GDXD.IV| | | | | | | | | |3x|The S-Network MicroSectors Gold Miners Index tracks the performance of two largest gold mining exchange traded funds, the VanEck Vectors Gold Miners ETF (the GDX) and the VanEck Vectors Junior Gold Miners ETF (the GDXJ). The indexs underlying composition is modified market capitalization weighted cross both ETFs.|N|0|N|N|416A||CA|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||4.4|4.395|0.0|0.0|4.39|4.395|4.395|4.37|0.0|0.0|4.39|4.39|4.39|4.38|4.39|4.39|4.435|4.4|4.39|4.4|4.3|4.47|4.39|4.42|4.39|4.4|4.38|4.43|4.38|4.43|4.39|4.4|9.915|3.59|3688103|303019388 31822|GDXJ|GDXJ|92189F791|US92189F7915|VanEck ETF Trust|VanEck Junior Gold Miners ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||VanEck Vectors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN2-8|TXN9-4|TXN4-7|TXN4-5|115187446|||Yearly|||||2009-11-11||GDXJ.NV|GDXJ.SO|GDXJ.EU|GDXJ.TC|GDXJ.IV| | | | | | | | | |1x|Market Vectors Junior Gold Miners ETF (the Fund) seeks to replicate as closely as possible, before fees and expenses, the price and yield performance of the Market Vectors Global Junior Gold Miners Index (the Junior Gold Miners Index). The Fund normally invests at least 80% of its total assets in securities that comprise the Funds benchmark index. The Fund will normally invest at least 80% of its total assets in companies that are involved in the gold mining industry (the 80% policy). The Junior Gold Miners Index includes companies that generate at least 50% of their revenues from (or, in certain circumstances, haveat least 50% of their assets related to) gold mining and/or silver mining or have mining projects with the potential to generate at least 50% of their revenues from gold and/or silver when developed. Such companies may include micro-, small- and medium capitalization companies and foreign issuers.|N|0|N|N|406C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||38.21|38.22|0.0|38.24|38.225|38.23|38.21|38.2|0.0|0.0|38.21|38.2|38.22|38.215|38.22|38.22|38.215|38.23|38.21|38.23|38.18|38.24|38.11|38.55|38.22|38.23|38.11|38.56|38.12|38.32|38.22|38.23|43.89|30.461|12075988|1458092098 68268|GDXU|GDXU|063679542|US0636795421|Bank of Montreal|MicroSectors Gold Miners 3X Leveraged ETNs due June 29, 2040|Operating company|ETN|N|N|P|Y|Y|Y|Y|Y||||||||Bank of Montreal|IMC Chicago, LLC, DBA IMC Financial Markets|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-6|TXN4-4|TXN5-1|TXN4-1|TXN2-2|5500000|||NotApplicable|||||2020-12-03|2040-06-29|GDXU.NV|GDXU.SO|GDXU.EU|GDXU.TC|GDXU.IV| | | | | | | | | |3x|The S-Network MicroSectors Gold Miners Index tracks the performance of two largest gold mining exchange traded funds, the VanEck Vectors Gold Miners ETF (the GDX) and the VanEck Vectors Junior Gold Miners ETF (the GDXJ). The indexs underlying composition is modified market capitalization weighted cross both ETFs.|N|0|N|N|416A||CA|EQUITY|INDEX|||||||||N||N||||||N|0|Y|C|Y|2|||33.77|33.77|0.0|0.0|33.4|33.8|33.5801|33.75|0.0|0.0|33.78|33.31|33.59|33.42|33.41|33.77|33.68|33.49|33.41|33.49|27.34|41.02|33.47|33.74|33.6|33.74|33.47|33.75|33.47|33.74|33.6|33.74|71.243|20.15|1880372|126234544 62150|GDYN|GDYN|39813G109|US39813G1094|Grid Dynamics Holdings Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN6-2|TXN11-4|TXN6-2|TXN5-1|75590000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101010|10101010|Technology|Technology|Software and Computer Services|Computer Services|N||N||||||Y|0|Y||||||0.0|12.57|0.0|12.57|12.56|12.56|12.56|12.55|0.0|0.0|12.57|12.56|12.55|12.57|12.58|12.56|12.58|12.55|12.56|12.55|12.45|12.6|9.73|15.48|12.46|12.68|12.52|12.6|12.52|12.6|12.55|12.57|14.16|8.0001|482244|98968274 6487|GE|GE|369604301|US3696043013|General Electric Company|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|P|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN3-2|TXN1-6|TXN3-4|TXN1-2|1088390000|||Quarterly|||||1892-06-23||||||| | | | | | | | | |||N|1|Y|Y|112A|USA|US|||50|5020|502030|50203000|Industrials|Industrial Goods and Services|General Industrials|Diversified Industrials|N||N||||||Y|0|Y||Y|1|||121.51|121.51|0.0|121.52|121.51|121.51|121.5201|121.5|0.0|0.0|121.49|121.56|121.5|121.51|121.47|121.53|121.49|121.53|121.515|121.53|121.53|121.54|114.19|129.45|121.46|121.55|121.5|121.6|121.39|121.63|121.53|121.54|123.25|66.75|3788738|1348215523 54287|GECC|GECC|390320703|US3903207039|Great Elm Capital Corp|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN5-5|TXN14-6|TXN5-4|TXN5-3|7600000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||||||0.0|10.24|0.0|0.0|10.15|10.26|10.2501|0.0|0.0|0.0|10.25|0.0|10.27|0.0|0.0|0.0|0.0|10.26|0.0|10.26|0.0|0.0|0.0|0.0|9.48|10.91|0.0|0.0|0.0|0.0|10.21|10.3|10.2857|7.51|22261|6628729 60601|GECCM|GECCM|390320406|US3903204069|Great Elm Capital Corp 6.75 Notes due 2025|STRUCT PROD||U|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN6-5|TXN12-1|TXN6-8|TXN5-2|1820000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|25.22|0.0|0.0|0.0|0.0|25.22|0.0|25.22|23.89|26.78|0.0|0.0|23.48|27.14|0.0|0.0|0.0|0.0|25.15|25.45|26.5189|22.25|100|415067 70957|GECCO|GECCO|390320604|US3903206049|Great Elm Capital Corp 5.875 NT 26|ETN||U|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN5-2|TXN11-7|TXN6-4|TXN5-7|2300000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|24.5|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|24.0|24.63|24.98|22.67|1|656135 76168|GECCZ|GECCZ|390320802|US3903208029|Great Elm Capital Corp 8.75 Notes due 2028|STRUCT PROD||U|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN5-3|TXN12-4|TXN5-6|TXN6-8|1600000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|24.9325|0.0|0.0|0.0|0.0|0.0|24.93|0.0|0.0|0.0|0.0|25.0|0.0|25.0|0.0|0.0|0.0|0.0|24.85|25.03|0.0|0.0|0.0|0.0|24.9|25.0|26.0|24.4|2703|412887 6492|GEF|GEF|397624107|US3976241071|Greif, Inc.|Class A common stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN4-2|TXN9-8|TXN1-4|TXN2-8|25470000|||Quarterly|||||2002-10-07||||||| | | | | | | | | |||N|0|N|Y|180A|USA|US|||50|5020|502030|50203030|Industrials|Industrial Goods and Services|General Industrials|Containers and Packaging|N||N||||||Y|0|Y||Y|2|||69.64|70.24|0.0|70.35|70.41|70.41|70.29|70.36|0.0|0.0|70.21|70.3|70.35|71.05|70.3|70.35|69.82|70.37|70.37|70.35|70.29|70.38|53.5|85.51|70.17|70.53|70.13|70.52|70.23|70.38|70.29|70.38|76.0|57.38|195901|33800721 6493|GEF B|GEF.B|397624206|US3976242061|Greif, Inc.|Class B Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|J|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN3-8|TXN5-8|TXN4-8|TXN2-4|21330000|||Quarterly|||||2002-10-07||||||| | | | | | | | | |||N|0|N|Y|180A|USA|US|||50|5020|502030|50203030|Industrials|Industrial Goods and Services|General Industrials|Containers and Packaging|N||N||||||N|0|Y||Y|2|||0.0|70.12|0.0|0.0|0.0|70.73|70.72|69.79|0.0|0.0|70.42|0.0|70.63|68.23|0.0|70.72|0.0|70.73|69.83|70.72|70.54|70.72|0.0|0.0|69.17|72.1|0.0|0.0|0.0|0.0|70.54|70.72|84.87|62.52|5183|4172140 2982|GEG|GEG|39037G109|US39037G1094|GREAT ELM GROUP INC|COM USD0.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN6-3|TXN10-5|TXN6-3|TXN5-4|31180000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302020|30202000|Financials|Financial Services |Investment Banking and Brokerage Services |Diversified Financial Services |N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|2.09|2.0703|0.0|0.0|0.0|2.09|0.0|2.07|2.071|0.0|0.0|0.0|2.0703|0.0|2.0703|1.95|2.21|1.6|2.57|1.98|2.18|1.65|2.57|0.0|0.0|2.06|2.09|2.49|1.59|9840|9003922 74174|GEGGL|GEGGL|39037G208||Great Elm Group, Inc. 7.25% Notes due 2027|||U|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN6-2|TXN12-4|TXN6-6|TXN6-8|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||50|5020|502040|50204000|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Industrial|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|21.405|0.0|0.0|0.0|0.0|0.0|21.62|0.0|0.0|0.0|0.0|21.405|0.0|21.405|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|21.02|22.0|24.29|14.01|257|644514 75025|GEHC|GEHC|36266G107|US36266G1076|GE HealthCare Technologies Inc|COM USD0.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN5-4|TXN10-7|TXN6-6|TXN6-6|455240000|||NotApplicable|||||||||||| | | | | | | | | |||N|5|Y|N||USA||||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||Y|0|Y||||||69.37|69.37|0.0|69.43|69.37|69.37|69.365|69.36|0.0|0.0|69.37|69.37|69.37|69.37|69.39|69.37|69.38|69.36|69.38|69.37|69.3|69.42|64.56|73.7|69.34|69.44|69.34|69.42|69.34|69.39|69.36|69.37|87.83|53.5|1478766|696103231 59654|GEHI|GEHI|74979W200|US74979W2008|Gravitas Education Holdings, Inc.|American Depositary Shares, each representing ten (10) Class A Ordinary Shares|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN3-8|TXN3-8|TXN1-3|TXN2-4|21450000|||Adhoc|||||2017-09-27||||||| | | | | | | | | |||N|0|N|Y|180B|CHN|KY|||40|4020|402010|40201010|Consumer Discretionary|Consumer Products and Services|Consumer Services |Education Services|N||N||||||N|2|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|10.46|10.49|0.0|0.0|0.0|0.0|0.0|10.15|0.0|0.0|10.49|0.0|0.0|0.0|10.49|10.45|10.55|0.0|0.0|9.76|11.3|7.79|12.72|0.0|0.0|10.45|10.55|24.1|9.14|401|502262 6495|GEL|GEL|371927104|US3719271047|Genesis Energy, L.P.|Common Units representing limited partner interests|Limited partnership|A|N|N|N|Y|Y|Y|Y|Y|5|A|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-6|TXN4-8|TXN8-5|TXN1-3|TXN3-6|122540000|||Quarterly|||||2010-09-15||||||| | | | | | | | | |||N|0|N|N|134A|USA|US|||60|6010|601010|60101035|Energy|Energy|Oil, Gas and Coal|Pipelines|N||N||||||Y|0|Y||Y|2|||12.7|12.57|0.0|12.65|12.57|12.58|12.572|12.58|0.0|0.0|12.6|12.57|12.57|12.64|12.58|12.56|12.6|12.57|12.58|12.56|12.56|12.58|9.7|15.55|12.14|13.38|12.54|12.61|12.53|12.62|12.56|12.58|12.78|8.05|545836|109890650 51425|GEM|GEM|381430206|US3814302069|Goldman Sachs ETF Trust|Goldman Sachs ActiveBeta Emerging Markets Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Goldman Sachs Asset Management|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-7|TXN1-4|TXN7-8|TXN3-8|TXN1-8|31850000|||Quarterly|||||2015-09-29||GEM.NV|GEM.SO|GEM.EU|GEM.TC|GEM.IV| | | | | | | | | |1x|The ActiveBeta Emerging Markets Equity Index is designed to provide a diversified capture of common factorsvalue, momentum, volatility and qualityacross emerging markets stocks.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||0.0|29.79|0.0|0.0|29.66|29.96|29.66|0.0|0.0|0.0|29.94|29.93|0.0|0.0|29.67|29.68|29.68|29.66|0.0|29.66|28.11|31.43|27.6|31.56|29.66|29.69|27.6|31.56|0.0|0.0|29.66|29.69|31.59|27.54|100599|31832275 73501|GEMD|GEMD|381430388|US3814303885|Goldman Sachs Access Emerging Markets USD Bond ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-6|TXN2-2|TXN9-8|TXN1-5|TXN3-3|1350000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|39.4998|0.0|0.0|0.0|0.0|39.48|0.0|0.0|0.0|39.49|0.0|0.0|39.48|0.0|0.0|0.0|39.4998|0.0|39.4998|39.48|39.62|0.0|0.0|39.47|39.53|0.0|0.0|0.0|0.0|39.48|39.53|42.23|36.94|6334|1166237 3913|GEN|GEN|668771108|US6687711084|Gen Digital Inc|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN5-5|TXN14-1|TXN6-2|TXN5-1|640720000|||NotApplicable|||||||||||| | | | | | | | | |||N|5|Y|N||USA||||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||||||22.5|22.49|0.0|22.6|22.48|22.49|22.5|22.485|0.0|0.0|22.49|22.49|22.48|22.495|22.495|22.49|22.495|22.5|22.49|22.48|22.49|22.51|21.02|23.68|22.49|22.51|22.46|22.52|22.49|22.52|22.49|22.5|23.74|15.45|4201145|948151821 12332|GENC|GENC|368678108|US3686781085|Gencor Industries, Inc.|Common Stock|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-5|TXN4-3|TXN5-8|TXN4-4|TXN4-5|12340000|||NotApplicable|||||2022-08-01||||||| | | | | | | | | |||N|0|N|N|126A|USA|US|||50|5020|502040|50204000|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Industrial|N||N||||||Y|0|Y||Y|2|||15.18|15.21|0.0|0.0|14.76|15.41|15.16|15.19|0.0|0.0|15.3|0.0|15.12|15.15|0.0|14.31|15.05|15.05|15.19|15.05|14.55|15.94|15.06|15.24|14.76|15.36|0.0|0.0|0.0|0.0|15.06|15.24|15.89|9.8|20748|7278868 1681|GENE|GENE|37185R307|US37185R3075|Genetic Technologies Ltd|SPONSORED ADR||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-1|TXN6-8|TXN10-2|TXN5-6|TXN5-6|11541660000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||AUS||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y|D|||||0.675|0.6725|0.0|0.0|0.675|0.6803|0.6803|0.0|0.0|0.0|0.6831|0.6803|0.6831|0.0|0.0|0.0|0.0|0.6831|0.0|0.6831|0.6412|0.7245|0.532|0.8174|0.67|0.6952|0.568|0.7992|0.0|0.0|0.683|0.6832|2.4|0.625|63065|157312601 70306|GENI|GENI|G3934V109|GG00BMF1JR16|Genius Sports Limited|Ordinary Shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|5|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-5|TXN2-2|TXN6-8|TXN3-1|TXN2-1|216630000|||NotApplicable|||||2021-04-21||||||| | | | | | | | | |||N|0|N|Y|180B|GBR|GG|||40|4050|405010|40501020|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Casinos and Gambling|N||N||||||Y|0|Y||Y|2|||5.56|5.555|0.0|5.55|5.555|5.555|5.555|5.555|0.0|0.0|5.56|5.56|5.55|5.555|5.54|5.56|5.55|5.56|5.55|5.56|5.55|5.56|4.32|6.78|5.54|5.58|5.52|5.59|5.52|5.59|5.55|5.56|8.45|3.12|1653433|353063993 75940|GENK|GENK|36870C104|US36870C1045|GEN Restaurant Group Inc|CL A COM USD0.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN6-1|TXN11-8|TXN5-4|TXN5-8|4140000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4050|405010|40501040|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Restaurants and Bars|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|7.23|7.25|7.36|7.19|0.0|0.0|7.31|0.0|7.2|0.0|0.0|7.25|0.0|7.36|0.0|7.2|6.96|7.37|5.7|9.16|6.97|7.54|5.7|9.16|0.0|0.0|7.2|7.36|20.5|6.604|32549|14944295 6516|GEO|GEO|36162J106|US36162J1060|The GEO Group, Inc.|Common Stock, par value $0.01 per share|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-4|TXN1-4|TXN7-4|TXN4-2|TXN4-1|126100000|||NotApplicable|||||2014-06-30||||||| | | | | | | | | |||N|0|N|Y|180B|USA|US|||35|3510|351020|35102070|Real Estate|Real Estate |Real Estate Investment Trusts|Other Specialty REITs|N||N||||||Y|0|Y||Y|2|||9.94|9.93|0.0|10.0|9.94|9.935|9.94|9.93|0.0|0.0|9.93|9.93|9.935|9.93|9.92|9.93|9.94|9.94|9.93|9.93|9.93|9.94|7.66|12.29|9.92|9.95|9.9|9.96|9.92|9.95|9.93|9.94|12.42|6.94|2260930|517635968 3022|GEOS|GEOS|37364X109|US37364X1090|Geospace Technologies Corp|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN5-3|TXN14-3|TXN6-6|TXN6-4|13200000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||60|6010|601010|60101030|Energy|Energy|Oil, Gas and Coal|Oil Equipment and Services|N||N||||||Y|0|Y||||||12.1|12.05|0.0|12.22|12.21|12.16|12.05|12.06|0.0|0.0|12.09|0.0|12.12|12.2|12.2|12.15|12.15|12.1|0.0|12.12|11.84|12.54|9.27|14.94|11.92|12.38|11.97|12.19|11.95|12.17|12.05|12.13|14.59|3.76|59676|10840245 66708|GERM|GERM|26924G763|US26924G7631|ETF Managers Trust|ETFMG Treatments Testing and Advancements ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ETF Managers Group|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-8|TXN1-2|TXN1-5|TXN4-7|TXN2-8|700000|||Quarterly|||||2020-06-18||GERM.NV|GERM.SO|GERM.EU|GERM.TC|GERM.IV| | | | | | | | | |1x|Prime Vaccines and Advancements IndexThe Index tracks the performance of the exchange-listed equity securities (or corresponding ADRs or GDRs) of U.S.-listed companies that are engaged in Vaccine Development and/or Diagnostics Focused Business, which is defined as: i) performing research, development, and commercialization of treatments or vaccines for infectious diseases, or ii) the research, development and manufacturing of biological testing technologies for infectious diseases. The companies engaged in Vaccine Development and/or Diagnostics Focused Business are known collectively as Vaccine Development and Diagnostics Companies.Vaccine Development and Diagnostics Companies are identified by Prime Indexes (the Index Provider), an independent index provider that is not affiliated with the Funds investment adviser. The Index Provider determines whether a company is a Vaccine Development and Diagnostics Company based on the assessment of: (i) descriptions of a companys primary business activities in its regulatory filings (e.g., annual reports, financial statements and other public filings), and investor presentations, as well as third-party industry research, reports, and analyses, or (ii) if a company derives more than 50% of its revenue from research, development and manufacturing of biological testing technologies for infectious diseases. The Index Provider uses this information to identify Vaccine Development and Diagnostics Companies that meet the Indexs criteria for inclusion. To qualify for inclusion in the Index, Vaccine Development and Diagnostics Companies are screened for a minimum market capitalization of $100 million, and must be determined to have an operating company structure (as opposed to being a pass-through security).|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||0.0|17.98|0.0|0.0|0.0|16.85|17.98|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|17.98|0.0|17.98|17.82|18.22|0.0|0.0|17.9|18.03|16.63|19.17|0.0|0.0|17.9|18.03|25.065|15.6701|3851|554576 1686|GERN|GERN|374163103|US3741631036|Geron Corp|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN6-4|TXN12-7|TXN5-6|TXN6-7|543060000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||1.85|1.85|0.0|1.86|1.86|1.855|1.86|1.855|0.0|0.0|1.855|1.86|1.86|1.855|1.855|1.855|1.855|1.85|1.85|1.86|1.84|1.87|1.52|2.26|1.84|1.87|1.82|1.89|1.81|1.87|1.85|1.86|3.84|1.68|13194392|1528046826 6498|GES|GES|401617105|US4016171054|Guess ?, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|M|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-1|TXN2-3|TXN5-5|TXN1-1|TXN1-1|53590000|||Quarterly|||||1996-08-08||||||| | | | | | | | | |||N|0|N|Y|148B|USA|US|||40|4040|404010|40401020|Consumer Discretionary|Retail |Retailers |Apparel Retailers|N||N||||||Y|0|Y||Y|2|||22.44|22.41|0.0|22.45|22.41|22.42|22.411|22.425|0.0|0.0|22.43|22.44|22.41|22.39|22.39|22.42|22.46|22.41|22.41|22.42|22.41|22.43|17.53|27.95|22.38|22.46|22.38|22.43|22.38|22.43|22.41|22.43|24.84|17.21|1113472|210495101 70381|GETR|GETR|37427G101|US37427G1013|Getaround, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|M|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN2-8|TXN1-6|TXN4-8|TXN4-8|TXN3-7|92940000|||NotApplicable|||||2021-04-26||||||| | | | | | | | | |||N|0|N|Y|408A|USA|US|||40|4020|402010|40201070|Consumer Discretionary|Consumer Products and Services|Consumer Services |Consumer Services: Misc.|N||N||||||N|6|Y||Y|2|||0.172|0.163|0.0|0.0|0.163|0.163|0.1676|0.163|0.0|0.0|0.163|0.1729|0.163|0.1725|0.0|0.1725|0.163|0.1725|0.163|0.1725|0.1627|0.1725|0.136|0.1995|0.1627|0.1785|0.136|0.1995|0.166|0.179|0.1627|0.1725|3.29|0.138|468460|421128071 74309|GETY|GETY|374275105|US3742751056|Getty Images Holdings, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN3-6|TXN1-5|TXN4-1|TXN4-5|402980000|||NotApplicable|||||2022-07-25||||||| | | | | | | | | |||N|0|N|Y|180B|USA|US|||10|1010|101010|10101020|Technology|Technology|Software and Computer Services|Consumer Digital Services |N||N||||||Y|0|Y||Y|2|||5.3|5.2|0.0|5.34|5.21|5.255|5.255|5.24|0.0|0.0|5.25|5.23|5.25|5.26|4.89|5.25|4.81|5.27|5.28|5.25|5.24|5.27|4.04|6.49|5.2|5.31|5.23|5.29|5.24|5.3|5.24|5.27|8.22|3.42|265592|136017661 36531|GEVO|GEVO|374396406|US3743964062|Gevo Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN5-5|TXN12-2|TXN5-3|TXN5-1|240310000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||60|6010|601020|60102010|Energy|Energy|Alternative Energy|Alternative Fuels |N||N||||||Y|0|Y||||||1.23|1.225|0.0|1.19|1.22|1.225|1.2299|1.225|0.0|0.0|1.225|1.225|1.22|1.23|1.23|1.225|1.23|1.2299|1.23|1.22|1.22|1.25|0.928|1.46|1.22|1.24|1.2|1.25|1.22|1.24|1.22|1.23|2.3|0.97|4221846|1189026614 6501|GF|GF|644465106|US6444651060|The New Germany Fund, Inc.|Common Stock|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN3-1|TXN4-8|TXN3-1|TXN4-3|17140000|||BiAnnually|||||1990-01-25||||||| | | | | | | | | |||N|0|N|N|406B|DEU|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||8.5|0.0|0.0|0.0|8.41|8.445|8.48|8.45|0.0|0.0|8.47|8.41|8.48|0.0|0.0|8.44|0.0|8.44|0.0|8.44|8.44|8.48|8.45|8.49|7.85|8.49|0.0|0.0|0.0|0.0|8.44|8.48|9.7|7.38|20391|4093344 71845|GFAI|GFAI|G4236L138|KYG4236L1389|Guardforce AI Co Ltd|ORD||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN5-7|TXN14-3|TXN5-2|TXN5-5|6500000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||SGP||||50|5020|502050|50205040|Industrials|Industrial Goods and Services|Industrial Support Services|Security Services|N||N||||||N|0|Y||||||3.86|3.85|0.0|0.0|3.85|3.87|3.85|3.97|0.0|0.0|3.86|3.9|3.89|3.94|0.0|3.94|0.0|3.85|3.97|3.89|3.01|4.63|3.01|4.75|3.78|4.08|3.8|3.94|3.79|3.94|3.84|3.88|36.8999|0.1176|133533|880392835 71846|GFAIW|GFAIW|G4236L120|KYG4236L1207|Guardforce AI Co Ltd|WT EXP 090126||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-3|TXN5-3|TXN12-6|TXN6-3|TXN6-2|6880000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||SGP||||||||||||N||N||||||N|0|Y|D|||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.2|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.45|0.0|0.0|0.0|0.0|0.1501|0.22|1.7|0.0175|50|4404279 75287|GFEB|GFEB|33740U737|US33740U7375|FT Cboe Vest US Equity Moderate Buffer ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-5|TXN4-4|TXN1-8|TXN1-4|TXN1-6|5180000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|32.2736|0.0|0.0|0.0|0.0|32.26|32.21|0.0|0.0|32.22|0.0|0.0|0.0|0.0|0.0|0.0|32.2736|0.0|32.2736|32.24|32.3|32.18|32.3|32.21|32.31|32.21|32.37|32.21|32.37|32.21|32.3|32.365|28.33|38052|11097117 6503|GFF|GFF|398433102|US3984331021|Griffon Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|O|Citadel Securities 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LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-5|TXN1-7|TXN6-5|TXN3-5|TXN2-6|1156540000|||Quarterly|||||1999-03-10||||||| | | | | | | | | |||N|0|N|Y|130D|BRA|BR|||55|5510|551020|55102010|Basic Materials|Basic Resources|Industrial Metals and Mining|Iron and Steel|N||N||||||Y|0|Y||Y|2|||4.48|4.47|0.0|4.46|4.48|4.475|4.475|4.475|0.0|0.0|4.475|4.47|4.475|4.475|4.475|4.47|4.47|4.475|4.48|4.47|4.47|4.48|3.49|5.52|4.47|4.48|4.44|4.51|4.44|4.51|4.47|4.48|6.655|4.2|12862653|1669194053 31916|GGE|GGE|16948W209|US16948W2098|Green Giant Inc|COM 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LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-6|TXN1-1|TXN1-5|TXN4-7|TXN1-3|360000|||Yearly|||||2023-09-26||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|25.5853|0.0|0.0|0.0|25.62|0.0|0.0|0.0|0.0|25.62|25.62|25.6125|0.0|25.6125|25.57|25.62|25.57|25.62|25.58|25.62|12.81|38.42|0.0|0.0|25.58|25.62|26.45|23.67|10850|502162 8398|GGME|GGME|46137V696|US46137V6965|Invesco Exchange-Traded Fund Trust|Invesco Next Gen Media and Gaming ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Invesco|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-3|TXN3-4|TXN7-8|TXN4-8|TXN3-3|870000|||Quarterly|||||2008-11-03||PBS.NV|PBS.SO|PBS.EU|PBS.TC|PBS.IV| | | | | | | | | |1x|The PowerShares Dynamic Media Portfolio (Fund) is based on the Dynamic Media Intellidex Index (Index). The Fund will normally invest at least 90% of its total assets in common stocks that comprise the Index. The Index is designed to provide capital appreciation by thoroughly evaluating companies based on a variety of investment merit criteria, including fundamental growth, stock valuation, investment timeliness and risk factors.|N|0|N|N|406C|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||36.1|37.03|0.0|0.0|36.1|36.38|36.37|36.1|0.0|0.0|36.38|36.38|0.0|36.39|0.0|0.0|0.0|36.39|0.0|36.39|34.67|38.64|28.29|44.82|36.38|36.53|29.2|43.77|0.0|0.0|36.38|36.53|40.83|29.3|26831|300112 6517|GGN|GGN|36465A109|US36465A1097|GAMCO Global Gold, Natural Resources & Income Trust|Common Shares of Beneficial Interest|Closed end fund|P|N|N|A|Y|Y|Y|Y|Y|||Brendan E. Cryan and Company, L.L.C.|CRYN|0235|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-8|TXN1-8|TXN9-8|TXN4-2|TXN2-4|154160000|||Monthly|||||2005-03-29||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||3.73|3.71|0.0|3.72|3.71|3.715|3.71|3.71|0.0|0.0|3.71|3.72|3.71|3.71|0.0|3.715|3.71|3.71|3.72|3.71|3.7|3.8|3.71|3.72|3.7|3.75|3.68|3.75|3.7|3.72|3.71|3.72|3.91|3.43|608296|111004719 41998|GGN PRB|GGNpB|36465A307|US36465A3077|GAMCO Global Gold, Natural Resources & Income Trust|5.00% Series B Cumulative Preferred Shares (Liquidation Preference $25.00 per share)|Closed end fund|B|N|N|A|Y|Y|Y|Y|Y|||Brendan E. Cryan and Company, L.L.C.|CRYN|0235|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-5|TXN1-2|TXN3-8|TXN3-2|TXN4-1|3380000|||Quarterly|||||2013-05-13||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|21.5001|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|21.41|21.5001|21.5001|0.0|21.5001|0.0|0.0|21.45|21.59|21.45|21.6|0.0|0.0|0.0|0.0|21.45|21.59|23.55|21.04|1599|674621 69369|GGR|GGR|G9491K105|KYG9491K1058|Gogoro Inc|ORD SHS||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN6-4|TXN10-6|TXN5-3|TXN6-3|244200000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||TWN||||40|4020|402030|40203055|Consumer Discretionary|Consumer Products and Services|Leisure Goods|Recreational Vehicles and Boats|N||N||||||Y|0|Y||||||2.44|2.43|0.0|0.0|2.43|2.45|2.43|2.435|0.0|0.0|2.44|2.45|2.42|2.46|2.52|2.45|2.5|2.425|2.46|2.42|2.38|2.47|1.9|2.98|2.39|2.47|2.4|2.45|2.39|2.46|2.42|2.43|5.09|2.33|270562|48143909 69370|GGROW|GGROW|G9491K113|KYG9491K1132|Gogoro Inc|WT EX 040427||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-8|TXN6-7|TXN13-3|TXN5-3|TXN5-5|244210000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||TWN||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.1509|0.162499|0.0|0.0|0.0|0.16|0.1509|0.155|0.0|0.0|0.0|0.0|0.155|0.0|0.155|0.0|0.0|0.0|0.0|0.1449|0.18|0.0|0.0|0.0|0.0|0.155|0.17|0.7995|0.1505|12944|6097512 69218|GGRW|GGRW|36261K202|US36261K2024|Gabelli ETFs Trust|Gabelli Growth Innovators ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Gabelli Funds|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-4|TXN2-4|TXN8-8|TXN3-2|TXN1-2|150000|||Yearly|||||2021-02-16||GGRW.NV|GGRW.SO|GGRW.EU|GGRW.TC|GGRW.IV| | | | | | | | | |1x|Growth Innovators is an actively managed ETF seeking businesses both enabling and benefitting from the digital economy. Digital transformation is accelerating as organizations invest to become more agile, more secure and more data-driven. These concepts are becoming table stakes across all industries. Meanwhile, consumer behavior is more aligned with digital technologies than ever before. The improved cost and access of advanced technologies is driving mass adoption of cloud, 5G, internet-of-things, data science and artificial intelligence. The democratization of these technologies have the potential to fundamentally shift the balance of power in the corporate landscape, while also contributing to global productivity growth. The Gabelli Growth Innovators ETF seeks to surface the portfolio management teams best risk-reward ideas exposed to these secular tailwinds.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|20.4297|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|20.2845|0.0|20.2845|0.0|0.0|0.0|0.0|20.23|20.34|18.39|22.49|0.0|0.0|20.23|20.34|20.71|14.471|1|61674 6520|GGT|GGT|36239Q109|US36239Q1094|The Gabelli Multimedia Trust Inc.|Common Stock|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN1-5|TXN5-8|TXN3-1|TXN4-3|27430000|||Quarterly|||||1994-10-11||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||6.02|6.03|0.0|0.0|5.99|6.02|6.04|5.98|0.0|0.0|5.88|0.0|6.04|0.0|0.0|5.97|5.88|5.98|4.71|5.97|5.97|6.04|4.54|7.28|5.56|6.42|5.91|6.1|0.0|0.0|5.97|6.04|7.0|4.32|65167|12921004 59673|GGT PRE|GGTpE|36239Q505|US36239Q5053|The Gabelli Multimedia Trust Inc.|5.125% Series E Cumulative Preferred Stock|Closed end fund|B|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN1-1|TXN9-8|TXN4-1|TXN1-7|2000000|||Quarterly|||||2017-09-29||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|23.25|0.0|0.0|0.0|23.25|23.15|23.9|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|23.15|23.9|24.4|22.3|50|224244 65278|GGT PRG|GGTpG|36239Q604|US36239Q6044|The Gabelli Multimedia Trust Inc.|5.125% Series G Cumulative Preferred Shares|Closed end fund|B|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN2-8|TXN1-5|TXN1-5|TXN1-3|1550000|||Quarterly|||||2019-12-24||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|22.38|23.2421|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|23.2421|0.0|23.2421|0.0|23.2421|23.15|24.1|0.0|0.0|21.62|25.7|0.0|0.0|0.0|0.0|23.15|24.1|24.62|22.25|289|430823 76699|GGUS|GGUS|38149W598|US38149W5985|Goldman Sachs ETF Trust|Goldman Sachs MarketBeta Russell 1000 Growth Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y|||||||||Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-7|TXN2-3|TXN3-8|TXN4-3|TXN3-3|200000|||Yearly|||||2023-11-30||||||| | | | | | | | | |||N|0|N|N|416A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|40.0175|0.0|40.0175|30.91|49.12|30.91|49.12|40.0|40.03|30.91|49.12|0.0|0.0|40.0|40.03|40.3332|40.0175|3|6 44416|GGZ|GGZ|36249W104|US36249W1045|The Gabelli Global Small and Mid Cap Value Trust|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN1-2|TXN9-8|TXN2-8|TXN1-6|8910000|||Quarterly|||||2014-06-12||||||| | | | | | | | | |||N|0|N|N|412C|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||0.0|11.0|0.0|0.0|10.59|10.925|10.9241|10.96|0.0|0.0|10.94|0.0|10.94|0.0|10.92|10.925|0.0|10.925|0.0|10.925|10.92|10.97|11.0|11.08|10.91|11.67|0.0|0.0|0.0|0.0|10.92|10.97|13.02|9.43|14736|2925343 61906|GH|GH|40131M109|US40131M1099|Guardant Health Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN6-5|TXN13-1|TXN5-5|TXN5-4|117990000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||26.92|26.91|0.0|27.03|26.91|26.91|26.92|26.915|0.0|0.0|26.92|27.0|26.93|26.92|26.97|27.0|27.48|26.92|26.96|26.93|26.87|26.99|20.86|33.5|26.86|27.0|26.83|26.99|26.89|27.0|26.91|26.93|53.58|20.67|1035968|433885998 10030|GHC|GHC|384637104|US3846371041|Graham Holdings Company|Class B Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|4|0.01|0.01|5000000|1|100|TXN1-8|TXN1-2|TXN9-8|TXN3-2|TXN2-6|3580000|||Quarterly|||||1990-01-31||||||| | | | | | | | | |||N|0|N|Y|142A|USA|US|||40|4020|402010|40201010|Consumer Discretionary|Consumer Products and Services|Consumer Services |Education Services|N||N||||||N|0|Y||Y|2|||568.51|645.8|0.0|615.61|576.37|619.35|645.97|646.625|0.0|0.0|610.0|575.26|645.53|609.15|635.01|647.67|559.92|645.43|568.5|647.67|645.43|647.12|639.1|655.71|632.67|662.21|504.33|771.88|0.0|0.0|645.43|647.12|681.7|545.0|14127|3830252 76654|GHEE|GHEE|19423L482|US19423L4822|Goose Hollow Enhanced Equity ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-6|TXN4-4|TXN2-8|TXN3-4|TXN3-3|50000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|25.26|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|25.32|0.0|0.0|0.0|0.0|25.26|0.0|25.26|19.19|31.09|19.19|31.09|23.89|26.64|19.19|31.09|0.0|0.0|25.14|25.38|25.88|25.02|350|54902 60832|GHG|GHG|39579V100|US39579V1008|GreenTree Hospitality Group Ltd.|American depositary shares, each representing one Class A ordinary share|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|8|A|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN2-7|TXN1-5|TXN2-4|TXN4-6|67420000|||Adhoc|||||2018-03-27||||||| | | | | | | | | |||N|0|N|Y|400A|CHN|KY|||40|4050|405010|40501025|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Hotels and Motels |N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|3.6351|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|3.6351|0.0|3.6351|0.0|3.6351|3.62|3.78|3.62|3.73|3.62|4.01|0.0|0.0|0.0|0.0|3.62|3.78|6.78|3.3717|1280|4079484 363|GHI|GHI|02364V206|US02364V2060|Greystone Housing Impact Investors LP|Beneficial Unit Certificates representing assignments of limited partnership interests|Limited partnership|R|N|N|N|Y|Y|Y|Y|Y|8|Q|GTS Securities 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NEW||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN5-3|TXN14-2|TXN6-6|TXN5-6|1280000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||45|4510|451020|45102020|Consumer Staples |Food, Beverage and Tobacco |Food Producers|Food Products|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|6.19|0.0|0.0|0.0|0.0|5.98|0.0|5.98|5.68|6.84|0.0|0.0|5.75|6.77|5.68|6.84|0.0|0.0|5.98|6.5|8.33|0.116|1034|9852167 72404|GHTA|GHTA|19423L573|US19423L5738|Goose Hollow Tactical Allocation 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Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||42.916261|42.885|0.0|0.0|42.88|42.87|42.885|42.84|0.0|0.0|42.81|42.82|42.86|42.95|42.78|0.0|0.0|42.885|42.916261|42.885|42.88|42.94|0.0|0.0|42.88|42.94|42.88|42.95|0.0|0.0|42.88|42.89|43.76|40.54|56842|7041886 75640|GIA|GIA|37519U109|US37519U1097|GigCapital5 Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN6-2|TXN13-8|TXN6-4|TXN6-4|8660000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.93|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.18|10.95|0.0|0.0|0.0|0.0|10.9|10.95|11.8|10.16|91|5398106 6527|GIB|GIB|12532H104|CA12532H1047|CGI Inc.|Class A Subordinated Shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|8|S|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-1|TXN4-8|TXN7-4|TXN4-3|TXN1-3|205870000|||NotApplicable|||||1998-10-07||||||| | | | | | | | | |||N|0|N|Y|306A|CAN|CA|||10|1010|101010|10101010|Technology|Technology|Software and Computer Services|Computer Services|N||N||||||N|0|Y||Y|2|||102.98|103.39|0.0|103.39|103.48|103.48|103.415|103.425|0.0|0.0|103.1|103.11|103.36|103.12|103.15|103.36|103.14|103.36|102.98|103.36|103.43|103.44|78.9|125.56|103.19|103.52|103.26|103.55|103.27|103.44|103.43|103.44|107.6588|83.35|138265|32510899 9407|GIC|GIC|37892E102|US37892E1029|Global Industrial Company|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN1-4|TXN1-5|TXN1-7|TXN3-8|38060000|||Quarterly|||||1995-06-27||||||| | | | | | | | | |||N|0|N|Y|104B|USA|US|||40|4040|404010|40401010|Consumer Discretionary|Retail |Retailers |Diversified 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58648|GIGB|GIGB|381430479|US3814304792|Goldman Sachs ETF Trust|Goldman Sachs Access Investment Grade Corporate Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Goldman Sachs Asset Management|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-8|TXN1-8|TXN4-8|TXN2-7|TXN3-7|14150000|||Monthly|||||2017-06-08||GIGB.NV|GIGB.SO|GIGB.EU|GIGB.TC|GIGB.IV| | | | | | | | | |1x|The Goldman Sachs Access Investment Grade Corporate Bond ETF (the Fund) seeks to provide investment results that closely correspond, before fees and expenses, to the performance of the Citi Goldman Sachs Investment Grade Corporate Bond Index (the Index).|N|0|N|N|416A|USA|US|FIXED_INCOME|INDEX|||||||||N||N||||||N|0|Y||Y|1|||45.06|44.91|0.0|0.0|44.55652|44.88|44.91|44.88|0.0|0.0|44.88|0.0|44.94|44.86|0.0|44.88|0.0|44.91|0.0|44.91|41.8|48.01|41.8|48.01|44.88|44.95|44.86|48.01|44.87|44.97|44.86|44.94|46.72|41.92|20021|13743473 1702|GIGM|GIGM|Y2711Y112|SG9999014831|GigaMedia Ltd|ORD NT10||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN6-6|TXN13-7|TXN5-6|TXN6-5|11050000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||TWN||||40|4020|402030|40203040|Consumer Discretionary|Consumer Products and Services|Leisure Goods|Electronic Entertainment|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|1.42|1.41|0.0|0.0|0.0|0.0|0.0|1.41|0.0|0.0|0.0|0.0|1.41|0.0|1.41|1.1|1.75|0.0|0.0|1.32|1.51|1.1|1.75|0.0|0.0|1.41|1.42|1.89|1.15|2156|4286870 19495|GII|GII|78463X855|US78463X8552|SPDR Index Shares Funds|SPDR S&P Global Infrastructure ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-7|TXN2-8|TXN9-8|TXN3-5|TXN3-5|8100000|||BiAnnually|||||2008-11-07||GII.NV|GII.SO|GII.EU|GII.TC|GII.IV| | | | | | | | | |1x|The SPDR FTSE/Macquarie Global Infrastructure 100 ETF, before expenses, seeks to closely match the returns and characteristics of the total return performance of the Macquarie Global Infrastructure 100 Index (ticker: MCGIGIDT) an equity index based upon the global infrastructure industry market. The Macquarie Global Infrastructure 100 Index (MGI 100 Index) calculated by FTSE is designed to reflect the stock performance of companies within the infrastructure industry, principally those engaged in management, ownership and operation of infrastructure and utility assets. The MGI 100 Index is a composite of the broader Macquarie Global Infrastructure Index (MGII) which is based on 255 stocks currently in the FTSE Global Equity Index Series. The MGI 100 Index is based on the universe of the MGII with a further country screen allowing only constituents in the FTSE developed and FTSE Advanced Emerging regions. 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Discretionary|Consumer Products and Services|Personal Goods|Clothing and Accessories|N||N||||||Y|0|Y||||||29.62|29.63|0.0|29.64|29.61|29.64|29.65|29.65|0.0|0.0|29.64|29.65|29.635|29.66|29.59|29.619|29.62|29.65|29.63|29.635|29.42|29.79|23.07|36.26|29.47|29.78|29.59|29.68|29.62|29.69|29.62|29.65|29.934|12.13|762750|128634269 6529|GIL|GIL|375916103|CA3759161035|Gildan Activewear Inc.|Common Shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|5|C|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-3|TXN1-8|TXN3-8|TXN3-4|TXN4-4|172200000|||Quarterly|||||1999-09-01||||||| | | | | | | | | |||N|0|N|Y|148B|CAN|CA|||40|4020|402040|40204020|Consumer Discretionary|Consumer Products and Services|Personal Goods|Clothing and Accessories|N||N||||||Y|0|Y||Y|2|||37.29|37.27|0.0|37.28|37.29|37.27|37.275|37.265|0.0|0.0|37.28|37.28|37.265|37.27|37.22|37.28|37.23|37.29|37.28|37.28|37.27|37.29|28.46|45.48|37.15|37.35|37.25|39.2|37.27|37.33|37.27|37.29|37.31|26.3|634137|127027050 1704|GILD|GILD|375558103|US3755581036|Gilead Sciences Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN5-5|TXN11-4|TXN6-3|TXN5-1|1246040000|||NotApplicable|||||||||||| | | | | | | | | |||N|1|Y|N||USA||||20|2010|201030|20103015|Health Care |Health Care |Pharmaceuticals and Biotechnology|Pharmaceuticals |N||N||||||Y|0|Y||||||78.32|78.325|0.0|77.71|78.32|78.325|78.33|78.32|0.0|0.0|78.33|78.34|78.34|78.38|78.34|78.315|78.34|78.33|78.35|78.34|78.31|78.39|72.87|82.63|78.32|78.41|78.28|81.76|78.31|0.0|78.33|78.34|89.74|72.8659|8194691|1340253731 1705|GILT|GILT|M51474118|IL0010825102|Gilat Satellite Networks Ltd|ORD NIS.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN6-7|TXN12-2|TXN5-3|TXN6-2|56610000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||ISR||||15|1510|151010|15101010|Telecommunications|Telecommunications|Telecommunications Equipment|Telecommunications Equipment|N||N||||||Y|0|Y||||||6.34|6.31|0.0|0.0|6.31|6.34|6.34|6.34|0.0|0.0|6.31|6.28|6.31|6.33|6.38|6.31|0.0|6.34|6.32|6.31|5.9|6.61|4.95|7.69|6.23|6.35|6.28|6.37|6.27|6.38|6.31|6.34|7.16|4.51|123711|25690183 6530|GIM|GIM|880198106|US8801981064|Templeton Global Income Fund|Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN3-6|TXN3-8|TXN2-3|TXN3-3|56510000|||Monthly|||||1988-03-17||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||3.92|3.92|0.0|0.0|3.93|3.925|3.93|3.935|0.0|0.0|3.93|3.93|3.925|3.97|3.935|3.92|3.935|3.92|0.0|3.92|3.92|3.93|3.07|4.85|3.92|3.94|3.89|3.96|3.92|3.94|3.92|3.93|4.56|3.7692|258969|62001410 68093|GINN|GINN|38149W820|US38149W8203|Goldman Sachs ETF Trust|Goldman Sachs Innovate Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Goldman Sachs Asset Management|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-1|TXN3-3|TXN2-8|TXN4-3|TXN2-2|6800000|||Yearly|||||2020-11-09||GINN.NV|GINN.SO|GINN.EU|GINN.TC|GINN.IV| | | | | | | | | |1x|The Goldman Sachs Innovate Equity ETF (the Fund) seeks to provide investment results that closely correspond, before fees and expenses, to the performance of the Solactive Innovative Global Equity Index. The Index is designed to deliver exposure to companies that may benefit from technological innovation and the resulting changes in the economy across five key Themes that are potential drivers of changes in the economy: - Data-Driven World ThemeCompanies that are positioned to potentially benefit from the unprecedented proliferation of data, capitalizing on data storage, security and analysis, as well as artificial intelligence and machine learning. - Finance Reimagined ThemeCompanies that are positioned to potentially benefit from the evolving financial landscape, from the digitization of traditional financial services to the development of blockchain technology. - Human Evolution ThemeCompanies that are positioned to potentially benefit from advances in medical treatment and technology, from robotic surgery and precision medicine to gene therapy and care for an older population. - Manufacturing Revolution ThemeCompanies that are positioned to potentially benefit from the 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Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN5-2|TXN13-2|TXN6-1|TXN5-4|2620000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||35|3510|351020|35102000|Real Estate|Real Estate |Real Estate Investment Trusts|Diversified REITs|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|4.03|4.035|0.0|0.0|0.0|0.0|4.03|4.05|0.0|0.0|0.0|0.0|4.035|0.0|4.035|0.0|0.0|0.0|0.0|3.87|4.21|0.0|0.0|0.0|0.0|4.02|4.05|6.19|3.51|6384|2671153 71931|GIPRW|GIPRW|37149D113|US37149D1138|Generation Income Properties Inc|WRTTS||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-6|TXN5-6|TXN10-6|TXN6-1|TXN5-4|2620000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.3|0.5|1.43|0.2775|0|413096 6531|GIS|GIS|370334104|US3703341046|General Mills, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|C|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-1|TXN1-3|TXN5-6|TXN2-3|TXN4-1|581280000|||Quarterly|||||1928-11-30||||||| | | | | | | | | |||N|5|Y|Y|118B|USA|US|||45|4510|451020|45102020|Consumer Staples |Food, Beverage and Tobacco |Food Producers|Food Products|N||N||||||Y|0|Y||Y|1|||64.97|64.965|0.0|64.95|64.95|64.95|64.945|64.96|0.0|0.0|64.96|64.96|64.95|64.97|64.98|64.95|64.92|64.95|64.915|64.95|64.95|64.96|60.82|68.91|64.93|64.97|64.9|65.02|64.93|65.03|64.95|64.96|90.89|60.33|3381841|879718402 75138|GJAN|GJAN|33740F516|US33740F5162|FT Cboe Vest U.S. Equity Moderate Buffer ETF - January|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-4|TXN1-2|TXN4-8|TXN2-7|TXN2-3|3930000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||33.79|33.8643|0.0|33.47|33.79|33.73|33.8|33.8|0.0|0.0|33.8|33.47|33.8|33.79|0.0|0.0|33.76|33.8643|33.79|33.8643|0.0|0.0|33.8|33.85|33.79|33.92|33.82|33.91|33.82|33.94|33.82|33.88|33.9264|29.63|65730|10145125 6541|GJH|GJH|86311Q204|US86311Q2049|Synthetic Fixed-Income Securities, Inc.|6.375% Structured Repackaged Asset-Backed Trust Securities (STRATS) Certificates, Series 2004-6, Class A-1 (Trust for United States Cellular Corporation)|Trust|G|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN4-2|TXN1-5|TXN1-2|TXN4-5|1250000|||BiAnnually|||||2004-05-04|2033-12-15|||||| | | | | | | | | |||N|0|N|N|412C|USA|US|||30|3020|302020|30202015|Financials|Financial Services |Investment Banking and Brokerage Services |Investment Services|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|8.55|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|8.55|0.0|0.0|0.0|8.55|8.58|8.74|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|8.58|8.74|9.25|7.17|12|222833 17101|GJO|GJO|86312E200|US86312E2000|Synthetic Fixed-Income Securities, Inc.|4.65% Floating Rate STRATS Certificates, Series 2005-4|Trust|G|N|N|N|Y|Y|Y|Y|Y|6|H|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN2-5|TXN1-5|TXN1-8|TXN1-2|550000|||Monthly|||||2005-11-02|2030-02-15|||||| | | | | | | | | |||N|0|N|N|412C|USA|US|||30|3020|302020|30202015|Financials|Financial Services |Investment Banking and Brokerage Services |Investment Services|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|25.0|25.07|0.0|0.0|24.47|25.07|0.0|0.0|0.0|0.0|25.0|25.07|25.4|23.52|0|204890 17102|GJP|GJP|78478P889|US78478P8894|Synthetic Fixed-Income Securities, Inc.|Floating Rate Structured Repackaged Asset-Backed Trust Securities (STRATS) Certificates, Series 2005-6|Trust|G|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN3-5|TXN6-8|TXN2-1|TXN1-7|380000|||Monthly|||||2005-12-09|2035-06-15|||||| | | | | | | | | |||N|0|N|N|412C||US|||30|3020|302020|30202015|Financials|Financial Services |Investment Banking and Brokerage Services |Investment Services|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|24.25|25.11|0.0|0.0|24.25|25.11|0.0|0.0|0.0|0.0|24.25|25.11|26.88|23.08|0|94727 17103|GJR|GJR|863121208|US8631212086|Synthetic Fixed-Income Securities, Inc.|Floating Rate Structured Repackaged Asset-Backed Trust Securities (STRATS) Certificates, Series 2006-1 (STRATS Trust for Proctor & Gamble Securities, Series 2006-1)|Trust|G|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN1-2|TXN7-8|TXN1-1|TXN1-2|550000|||Monthly|||||2006-03-24|2034-08-15|||||| | | | | | | | | |||N|0|N|N|412C||US|||30|3020|302020|30202015|Financials|Financial Services |Investment Banking and Brokerage Services |Investment Services|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|24.9|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|24.63|24.63|25.4|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|23.92|25.5|25.4|22.73|2|102896 17104|GJS|GJS|86311R301|US86311R3012|Synthetic Fixed-Income Securities, Inc.|Floating Rate Structured Repackaged Asset-Backed Trust Securities (STRATS) Certificates, Series 2006-2 (STRATS Trust for Goldman Sachs Group Securities, Series 2006-2)|Trust|G|N|N|N|Y|Y|Y|Y|Y|6|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN4-3|TXN9-8|TXN3-8|TXN4-7|1090000|||Monthly|||||2006-04-28|2033-02-15|||||| | | | | | | | | |||N|0|N|N|412C|USA|US|||30|3020|302020|30202015|Financials|Financial Services |Investment Banking and Brokerage Services |Investment Services|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|21.98|22.48|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|21.98|22.48|22.8|20.65|0|448066 17105|GJT|GJT|86310N202|US86310N2027|Synthetic Fixed-Income Securities, Inc.|Floating Rate Structured Repackaged Asset-Backed Trust Securities (STRATS) Certificates, Series 2006-3 (STRATS Trust for Allstate Corporation Securities, Series 2006-3)|Trust|G|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN2-6|TXN8-8|TXN2-5|TXN2-6|730000|||Monthly|||||2006-05-30|2036-04-01|||||| | | | | | | | | |||N|0|N|N|412C|USA|US|||30|3020|302020|30202015|Financials|Financial Services |Investment Banking and Brokerage Services |Investment Services|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|21.9901|0.0|0.0|0.0|21.9901|21.99|22.5|0.0|0.0|21.91|22.7|0.0|0.0|0.0|0.0|21.99|22.5|22.5|19.15|1|344024 76038|GJUL|GJUL|33740U661|US33740U6617|FT Cboe Vest U.S. Equity Moderate Buffer ETF - July|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-1|TXN4-3|TXN6-8|TXN3-3|TXN2-2|7730000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|31.26|0.0|0.0|31.26|31.22|31.2799|0.0|0.0|0.0|0.0|0.0|0.0|31.36|0.0|0.0|0.0|31.26|0.0|31.26|24.16|38.28|24.16|31.28|31.17|31.31|31.15|31.28|31.15|31.28|31.17|31.28|31.38|29.24|13207|11479644 75898|GJUN|GJUN|33740F433|US33740F4330|FT Cboe Vest U.S. Equity Moderate Buffer ETF - June|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN1-5|TXN3-8|TXN4-8|TXN4-7|10450000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|30.9302|0.0|0.0|0.0|0.0|30.935|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|30.9302|0.0|30.9302|28.89|32.84|28.89|32.84|30.87|30.96|30.87|31.0|30.87|31.0|30.91|30.96|31.06|28.91|5532|17567064 71061|GK|GK|00768Y370|US00768Y3707|AdvisorShares Trust|AdvisorShares Gerber Kawasaki ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||AdvisorShares|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-4|TXN2-8|TXN1-5|TXN2-8|TXN2-1|1025000|||Yearly|||||2021-07-02||GK.NV|GK.SO|GK.EU|GK.TC| | | | | | | | | | |1x|The Fund is an actively managed exchange-traded fund (ETF) that seeks to achieve its investment objective by investing in a focused portfolio of growth stocks. The Fund allocates its portfolio investments based on Gerber Kawasaki Inc.s (the Sub-Advisor) proprietary research methods, which seek to identify top companies within the fastest growing current or future global macroeconomic trends (i.e., the economic trends that affect the performance, structure, and behavior of the economy as a whole). This multi-thematic approach allows for investment diversification but also capitalizes on various newly evolving, or disruptive, investment themes|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||Y|0|Y||Y|2|||17.18|17.24|0.0|0.0|0.0|17.2|17.06|17.14|0.0|0.0|17.12|0.0|17.06|0.0|0.0|0.0|0.0|17.0804|17.09|17.0804|16.91|17.27|17.02|17.06|17.06|17.1|17.06|17.11|0.0|0.0|17.06|17.1|19.0|14.4801|824|1288502 50204|GKOS|GKOS|377322102|US3773221029|Glaukos Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|O|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN3-2|TXN1-8|TXN4-5|TXN2-2|48800000|||NotApplicable|||||2015-06-25||||||| | | | | | | | | |||N|0|N|Y|122B|USA|US|||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||Y|0|Y||Y|2|||64.02|64.03|0.0|63.6|63.97|63.905|64.03|63.97|0.0|0.0|63.9|63.97|64.04|63.73|63.85|64.01|63.9|64.03|63.37|64.01|64.0|64.04|49.74|78.58|63.45|64.39|63.84|64.15|64.0|64.16|64.0|64.04|80.28|40.45|511643|107614522 9557|GL|GL|37959E102|US37959E1029|Globe Life Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|N|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN1-7|TXN9-7|TXN2-7|TXN2-8|94120000|||Quarterly|||||1980-12-31||||||| | | | | | | | | |||N|5|Y|Y|410B|USA|US|||30|3030|303010|30301010|Financials|Insurance|Life Insurance|Life Insurance|N||N||||||Y|0|Y||Y|1|||124.91|124.515|0.0|124.71|124.53|124.53|124.54|124.55|0.0|0.0|124.555|124.55|124.54|124.57|124.73|124.57|124.5|124.55|124.66|124.57|124.55|124.57|116.4|131.47|124.28|124.62|124.45|129.93|124.42|124.69|124.55|124.57|125.0189|102.23|508239|121333304 70923|GL PRD|GLpD|37959E300|US37959E3009|Globe Life Inc.|4.25% Junior Subordinated Debentures due 2061|Operating company|G|N|N|N|Y|Y|Y|Y|Y|6|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN2-1|TXN7-8|TXN1-1|TXN1-3|13000000|||Quarterly|||||2021-06-21|2061-06-15|||||| | | | | | | | | |||N|0|N|N|410B|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||18.74|18.634375|0.0|0.0|18.454375|18.66|18.67|18.85|0.0|0.0|18.7|0.0|18.7|18.74|0.0|18.67|0.0|18.67|0.0|18.67|18.67|18.87|0.0|0.0|18.28|19.25|0.0|0.0|0.0|0.0|18.67|18.87|20.19|16.3166|17100|3706446 76715|GLAC|GLAC|G3937F101|KYG3937F1019|Global Lights Acquisition Corp|ORD USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN6-7|TXN13-6|TXN6-8|TXN5-3|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||||||||||N||N||||||N|0|Y||||||0.0|10.05|0.0|0.0|10.05|10.05|10.06|0.0|0.0|0.0|10.05|10.05|10.05|10.05|0.0|10.04|0.0|10.05|0.0|10.05|10.03|12.33|7.76|12.33|10.05|10.73|7.76|12.33|0.0|0.0|10.05|10.06|10.07|10.04|1246454|1246454 76716|GLACR|GLACR|G3937F119||Global Lights Acquisition Corp Rights|||D|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-5|TXN5-3|TXN11-7|TXN5-3|TXN5-3|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||50|5020|502040|50204000|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Industrial|N||N||||||N|0|Y||||||0.175|0.175|0.0|0.0|0.0|0.175|0.17989|0.0|0.0|0.0|0.18|0.18|0.18|0.175|0.0|0.0|0.0|0.18|0.0|0.18|0.0|0.0|0.0|0.0|0.16|0.0|0.0|0.0|0.0|0.0|0.175|0.18|0.19|0.17|1726100|1726100 76622|GLACU|GLACU|G3937F127|KYG3937F1274|Global Lights Acquisition Corp|UNIT (1 ORD 1/6 RT)||R|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN6-4|TXN13-5|TXN5-7|TXN5-3|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||||||||||N||N||||||N|0|Y||||||0.0|10.23|0.0|0.0|10.23|0.0|10.2177|10.23|0.0|0.0|10.23|0.0|10.21|10.23|0.0|10.23|0.0|10.23|0.0|10.23|0.0|0.0|0.0|0.0|10.2|10.23|0.0|0.0|0.0|0.0|10.21|10.23|10.23|10.16|227801|9019022 1710|GLAD|GLAD|376535100|US3765351008|Gladstone Capital Corp|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN6-1|TXN10-7|TXN6-5|TXN6-2|43510000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||Y|0|Y||||||10.28|10.28|0.0|0.0|10.28|10.285|10.285|10.28|0.0|0.0|10.28|10.28|10.27|0.0|10.3|10.285|10.28|10.28|0.0|10.27|10.26|10.3|7.97|12.61|10.27|10.31|10.25|10.31|10.26|10.3|10.27|10.29|11.28|8.87|238454|55142581 76178|GLADZ|GLADZ|376535886|US3765358862|Gladstone Capital Corp 7.75 Notes due 2028|ETN||U|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN5-3|TXN14-3|TXN5-5|TXN5-4|2280000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|24.86|24.881|0.0|0.0|0.0|0.0|0.0|24.9|0.0|0.0|0.0|0.0|24.9|0.0|24.9|0.0|0.0|0.0|0.0|0.0|27.69|0.0|0.0|0.0|0.0|24.86|24.9|25.15|24.45|9947|930065 70571|GLBE|GLBE|M5216V106|IL0011741688|Global-E Online Ltd|ORD SHS||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN6-4|TXN12-4|TXN6-3|TXN5-6|163470000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||ISR||||10|1010|101010|10101020|Technology|Technology|Software and Computer Services|Consumer Digital Services |N||N||||||Y|0|Y||||||36.46|36.46|0.0|36.46|36.48|36.46|36.46|36.48|0.0|36.35|36.48|36.44|36.47|36.46|36.42|36.53|36.43|36.46|36.49|36.47|36.43|36.52|28.55|44.41|36.41|36.53|36.44|36.56|36.44|36.57|36.47|36.48|45.72|18.14|1933425|315203527 36149|GLBS|GLBS|Y27265126|MHY272651263|Globus Maritime Ltd|COM USD0.004||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN5-1|TXN14-7|TXN6-6|TXN5-7|20580000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||GRC||||50|5020|502060|50206030|Industrials|Industrial Goods and Services|Industrial Transportation|Marine Transportation|N||N||||||Y|0|Y||||||2.57|2.63|0.0|0.0|2.63|2.615|2.6|2.6|0.0|0.0|2.62|2.6|2.62|2.57|2.53|2.51|2.59|2.63|2.58|2.62|2.47|2.72|2.0|3.2|2.47|2.72|2.58|2.66|2.58|2.66|2.6|2.63|2.64|0.68|492770|26736124 1714|GLBZ|GLBZ|377407101|US3774071019|Glen Burnie Bancorp|COM USD1.0||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN6-7|TXN12-6|TXN6-3|TXN5-7|2880000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|5.4565|0.0|0.0|0.0|0.0|0.0|5.35|0.0|0.0|0.0|0.0|5.31|0.0|5.31|0.0|0.0|0.0|0.0|5.04|5.57|0.0|0.0|0.0|0.0|5.35|5.39|9.82|4.9001|1165|745435 6553|GLD|GLD|78463V107|US78463V1070|SPDR Gold Trust|SPDR Gold Shares|Trust|ETV|N|N|P|Y|Y|Y|Y|Y||||||||World Gold Trust Services  |Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-6|TXN2-4|TXN6-2|TXN2-5|TXN2-7|305500000|||NotApplicable|||||2007-12-13||GLD.NV|GLD.SO|GLD.EU|GLD.TC|GLD.IV| | | | | | | | | |1x|The objective of the SPDR Gold Trust is for the Shares to reflect the performance of the price of gold bullion, less the Trusts expenses. The investment objective of the Trust is for the Shares to reflect the performance of the price of gold bullion, less the expenses of the Trusts operations. The Shares are designed for investors who want a cost-effective and convenient way to invest in gold.|N|0|N|N|406C|USA|US|COMMODITIES_AND_FUTURES|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||187.83|187.835|0.0|188.05|187.84|187.84|187.85|187.86|0.0|0.0|187.85|187.86|187.86|187.83|187.85|187.84|187.89|187.86|187.83|187.86|187.2|188.22|187.71|188.0|187.84|187.85|187.68|188.01|187.74|187.95|187.84|187.85|192.395|164.3201|18460544|1707084858 70655|GLDB|GLDB|86280R878|US86280R8786|Strategy Shares Gold-Hedged Bond ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN2-8|TXN1-5|TXN4-4|TXN3-3|500000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||18.895487|20.0256|0.0|0.0|0.0|19.72|19.9701|18.885487|0.0|0.0|0.0|0.0|0.0|19.93|0.0|0.0|0.0|20.0256|0.0|20.0256|0.0|0.0|0.0|0.0|19.8|20.09|0.0|0.0|0.0|0.0|19.95|20.16|22.5|17.12|8579|711914 18531|GLDD|GLDD|390607109|US3906071093|Great Lakes Dredge & Dock Corp|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN5-7|TXN14-5|TXN6-4|TXN6-5|66610000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5010|501010|50101010|Industrials|Construction and Materials|Construction and Materials |Construction|N||N||||||Y|0|Y||||||7.18|7.165|0.0|0.0|7.17|7.17|7.165|7.165|0.0|0.0|7.17|7.16|7.16|7.16|7.17|7.17|7.17|7.165|7.06|7.16|7.16|7.2|5.52|8.88|7.16|7.2|7.13|7.2|7.15|7.21|7.16|7.17|9.67|4.745|310199|111633800 67781|GLDG|GLDG|38149E101|CA38149E1016|GoldMining Inc.|Common Shares|Operating company|A|N|Y|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-8|TXN3-3|TXN4-8|TXN2-1|TXN4-5|176840000|||NotApplicable|||||2020-10-06||||||| | | | | | | | | |||N|0|N|N|130C|CAN|CA|||55|5510|551020|55102000|Basic Materials|Basic Resources|Industrial Metals and Mining|General Mining|N||N||||||N|0|Y||Y|2|||1.02|1.015|0.0|0.9958|1.015|1.015|1.01|1.015|0.0|0.0|1.01|1.01|1.01|1.015|0.9958|1.015|1.0|1.0|1.01|1.0|0.9443|1.08|1.01|1.02|1.0|1.03|0.9824|1.05|1.0|1.05|1.01|1.02|1.601|0.7601|2466602|139684428 41362|GLDI|GLDI|22542D233|US22542D2339|Credit Suisse X-Links Gold Shares Covered Call ETNs due February 2 2033|STRUCT PRODUCT||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN5-2|TXN12-5|TXN5-8|TXN5-4|220000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||BHS||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|142.375|0.0|0.0|0.0|0.0|0.0|142.7|0.0|0.0|0.0|0.0|142.375|0.0|142.7|0.0|0.0|0.0|142.86|141.87|142.87|142.11|142.86|142.11|142.86|142.58|142.86|152.0|131.47|2462|942314 61171|GLDM|GLDM|98149E303|US98149E3036|World Gold Trust|SPDR Gold MiniShares|Trust|ETV|N|N|P|Y|Y|Y|Y|Y||||||||WGC USA Asset Management Company |Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-3|TXN2-3|TXN2-1|TXN2-6|TXN3-3|151550000|||NotApplicable|||||2018-06-26||GLDM.NV|GLDM.SO|GLDM.EU|GLDM.TC|GLDM.IV| | | | | | | | | |1x|The investment objective of GLDM is for the shares of GLDM (the Shares) to reflect the performance of the price of gold bullion, less GLDMs expenses. The Shares are designed for investors who want a relatively cost-effective and convenient way to obtain gold exposure.|N|0|N|N|416A|USA|US|COMMODITIES_AND_FUTURES|INDEX|||||||||N||N||||||N|0|Y||Y|1|||40.2|40.2|0.0|0.0|40.205|40.21|40.18|40.195|0.0|0.0|40.23|40.22|40.2|40.195|40.24|40.23|40.21|40.19|40.2|40.19|40.19|40.2|40.18|40.2|40.19|40.2|40.18|40.2|40.18|40.24|40.19|40.2|41.17|35.0501|5997590|325169386 72220|GLDX|GLDX|90290T866|US90290T8669|USCF ETF Trust|USCF Gold Strategy Plus Income Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||United States Commodity Funds |GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-8|TXN3-7|TXN2-8|TXN1-2|TXN2-5|150000|||Quarterly|||||2021-11-03||GLDX.NV|GLDX.SO|GLDX.EU|GLDX.TC|GLDX.IV| | | | | | | | | |1x|GLDX seeks investment results that generally correspond over the long term to the performance of the price of gold, while generating dividend income through selling gold call options and through collateral interest income.|N|0|N|N|416A|USA|US|COMMODITIES_AND_FUTURES|ACTIVE|||||||||N||N||||||Y|0|Y||Y|2|||0.0|25.99|0.0|0.0|0.0|0.0|25.7681|0.0|0.0|0.0|25.21|0.0|0.0|0.0|0.0|0.0|0.0|25.6696|0.0|25.6696|25.5|26.03|25.5|26.03|25.68|25.73|25.49|26.03|25.5|26.03|25.68|25.73|29.58|22.935|480|352112 63681|GLIF|GLIF|00110G606|US00110G6061|AGF Investments Trust|AGF Global Infrastructure ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||AGF Investments |Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-5|TXN4-4|TXN4-8|TXN2-2|TXN1-8|150001|||Quarterly|||||2019-05-23||GLIF.NV|GLIF.SO|GLIF.EU|GLIF.TC|GLIF.IV| | | | | | | | | ||The Fund, under normal circumstances, invests at least 80% of its net assets (plus the amount of any borrowings for investment purposes) in securities of infrastructure-related companies located throughout the world, including the U.S., and infrastructure-related investments. The Fund is an actively managed exchange-traded fund (ETF) that seeks to achieve its investment objective by using a proprietary, multi-factor quantitative model to evaluate securities of issuers in the infrastructure group of industries by evaluating and ranking equity securities based on factors that identify growth, value, quality and risk characteristics. The Adviser also incorporates constraints/controls (in relation to country, industry, group, sector and individual security concentrations) that are designed to foster portfolio diversification, liquidity and risk mitigation. |N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|25.21|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|25.2|0.0|25.2|23.53|27.14|0.0|0.0|25.18|25.44|23.53|27.14|0.0|0.0|25.18|25.44|26.89|22.4064|1862|197352 35661|GLIN|GLIN|92189F767|US92189F7675|VanEck ETF Trust|VanEck India Growth Leaders ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||VanEck Vectors|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-5|TXN1-7|TXN6-8|TXN2-4|TXN3-2|1824967|||Yearly|||||2010-08-25||SCIF.NV|GLIN.SO|GLIN.EU|GLIN.TC|GLIN.IV| | | | | | | | | |1x|The Fund seeks to replicate as closely as possible, before fees and expenses, the price and yield performance of the MarketGrader India All-Cap Growth Leaders Index (the India Index). The Fund currently intends to achieve its investment objective by investing substantially all of its assets in the Subsidiary, a wholly-owned subsidiary located in the Republic of Mauritius (Mauritius). The Subsidiary in turn will normally invest at least 80% of its total assets in securities that comprise the Funds benchmark index, and depositary receipts based on the securities in the Funds benchmark index.|N|0|N|N|406C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||42.09|42.2|0.0|0.0|0.0|42.35|42.1999|42.35|0.0|0.0|40.97|0.0|42.36|42.353|0.0|0.0|0.0|42.1929|0.0|42.1929|39.9|44.92|0.0|0.0|42.01|42.2|39.9|44.92|0.0|0.0|42.01|42.2|42.38|30.63|31589|2439377 29624|GLL|GLL|74347W395|US74347W3951|ProShares Trust II|ProShares UltraShort Gold|Trust|ETV|N|N|P|Y|Y|Y|Y|Y||||||||ProShares Advisors |Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-6|TXN2-1|TXN7-3|TXN4-2|TXN2-5|396977|||NotApplicable|||||2010-04-15||GLL.NV|GLL.SO|GLL.EU|GLL.TC|GLL.IV| | | | | | | | | |-2x|ProShares UltraShort Gold seeks daily investment results, before fees and expenses, that correspond to twice (200%) the inverse (opposite) of the daily performance of gold bullion as measured by the U.S. Dollar fixing price for delivery in London. ProShares UltraShort Gold is not an investment company registered under the Investment Company Act of 1940. Please read the prospectus carefully before investing. This ETF seeks a return of -200% of the return of a benchmark (target) for a single day. Due to the compounding of daily returns, returns over periods other than one day will likely differ in amount and possibly direction from the target return for the same period. Investors should monitor their ProShares holdings consistent with their strategies, as frequent as daily. For more on correlation, leverage and other risks, please read the prospectus. he London Gold Price Fixing is the procedure by which the price of Gold is set on the London market by five members of the London Gold Pool. It is designed to fix a price for settling contracts between members of the London bullion market, but informally the Gold Fixing provides a recognized rate that is used as a benchmark for pricing the majority of gold products and derivatives throughout the worlds markets. Gold is priced in US dollars per ounce. The London Bullion Market Associations (LMBA) Gold Pool sets or fixes the price of Gold twice a day, at 10:30 GMT and 15:00 GMT (10:00 a.m. ET). The ProShares Gold ETFs will be benchmarked to the 15:00 GMT, or the London Gold PM price. Daily price quotes can be viewed at London Bullion Market Association.|N|0|N|N|416A|USA|US|COMMODITIES_AND_FUTURES|INVERSE|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||27.2|27.14|0.0|0.0|27.07|27.1|27.12|27.28|0.0|0.0|27.13|26.74|27.14|27.089|0.0|27.099|27.23|27.15|27.12|27.15|25.46|27.17|27.08|27.15|27.12|27.14|27.12|27.15|27.07|27.18|27.1|27.14|33.4999|24.721|137434|18056072 73023|GLLI|GLLI|37892F109|US37892F1093|Globalink Investment Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN6-5|TXN14-7|TXN6-6|TXN5-2|8190000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.2|11.55|0.0|0.0|0.0|0.0|10.86|10.89|11.67|10.03|37|4636549 73024|GLLIR|GLLIR|37892F117||Globalink Investment Inc. 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70962|GLUE|GLUE|61225M102|US61225M1027|Monte Rosa Therapeutics Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN5-1|TXN13-6|TXN5-5|TXN6-7|50080000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||3.01|3.05|0.0|3.05|3.08|3.05|3.075|3.05|0.0|0.0|3.04|3.05|3.08|3.12|3.03|3.05|3.05|3.075|3.02|3.08|2.98|3.13|2.35|3.72|3.01|3.12|3.03|3.1|3.02|3.11|3.07|3.08|9.72|2.44|214851|45093139 6565|GLV|GLV|18913Y103|US18913Y1038|Clough Global Dividend and Income Fund|Common Shares of beneficial interest|Closed end fund|P|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN4-7|TXN4-8|TXN2-4|TXN4-7|12550000|||Monthly|||||2004-07-28||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||5.04|5.07|0.0|0.0|0.0|5.075|5.07|5.07|0.0|0.0|5.07|0.0|5.07|0.0|0.0|0.0|5.07|5.07|0.0|5.07|3.88|6.29|5.07|5.08|5.06|5.11|5.04|5.11|0.0|0.0|5.07|5.08|7.72|4.7|29309|11497934 6566|GLW|GLW|219350105|US2193501051|Corning Incorporated|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|N|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-6|TXN1-7|TXN4-6|TXN3-1|TXN2-3|853180000|||Quarterly|||||1945-05-21||||||| | | | | | | | | |||N|5|Y|Y|114B|USA|US|||10|1010|101020|10102015|Technology|Technology|Technology Hardware and Equipment|Electronic Components|N||N||||||Y|0|Y||Y|1|||28.85|28.85|0.0|28.98|28.84|28.85|28.85|28.86|0.0|0.0|28.85|28.865|28.85|28.85|28.87|28.86|28.87|28.85|28.875|28.86|28.85|28.86|27.08|30.36|28.84|28.87|28.81|28.88|28.84|28.89|28.85|28.86|37.1|25.26|3449872|978279378 43079|GLYC|GLYC|38000Q102|US38000Q1022|GlycoMimetics Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN5-6|TXN11-4|TXN5-7|TXN6-4|64390000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y|C|||||1.56|1.61|0.0|0.0|1.6|1.59|1.5954|1.595|0.0|0.0|1.6|1.58|1.61|1.6|1.62|1.6|1.58|1.61|1.54|1.61|1.55|1.65|1.29|1.95|1.55|1.65|1.56|1.64|1.55|1.65|1.59|1.61|4.16|1.11|285423|118055480 36125|GM|GM|37045V100|US37045V1008|General Motors Company|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-4|TXN2-3|TXN8-7|TXN3-4|TXN1-4|1369480000|||Quarterly|||||2010-11-18||||||| | | | | | | | | |||N|1|Y|Y|132A|USA|US|||40|4010|401010|40101020|Consumer Discretionary|Automobiles and Parts|Automobiles and Parts|Automobiles|N||N||||||Y|0|Y||Y|1|||33.08|33.075|0.0|33.13|33.05|33.075|33.079|33.08|0.0|0.0|33.08|33.07|33.075|33.09|33.08|33.07|33.055|33.079|33.05|33.07|33.07|33.08|30.99|35.09|33.07|33.08|33.03|33.12|33.07|33.12|33.07|33.08|43.63|26.3|29590142|3529494071 44781|GMAB|GMAB|372303206|US3723032062|Genmab A/S|SPONSORED ADR||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN6-8|TXN13-7|TXN5-5|TXN6-2|66070000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||DNK||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||32.28|32.26|0.0|32.19|32.28|32.26|32.28|32.28|0.0|0.0|32.29|32.26|32.27|32.27|32.26|32.26|32.25|32.28|32.1|32.27|32.27|32.43|24.49|39.54|32.27|32.41|32.27|32.32|32.23|32.32|32.27|32.29|47.122|27.74|673867|131999826 75458|GMAR|GMAR|33740F482|US33740F4827|FT Cboe Vest U.S. Equity Moderate Buffer ETF - March|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN4-3|TXN3-8|TXN4-5|TXN4-6|2630000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||32.87|32.92|0.0|0.0|32.94|0.0|32.92|32.87|0.0|0.0|32.88|0.0|0.0|32.88|32.88|32.88|32.88|32.92|0.0|32.92|32.89|32.96|32.87|32.94|32.87|32.97|32.9|33.0|32.86|33.0|32.87|32.97|33.05|29.66|17984|8316728 75764|GMAY|GMAY|33740F441|US33740F4413|FT Cboe Vest U.S. Equity Moderate Buffer ETF - May|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN1-4|TXN8-8|TXN1-1|TXN4-5|3500000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||32.16|32.1948|0.0|32.16|32.16|32.16|32.16|0.0|0.0|0.0|0.0|0.0|0.0|32.16|0.0|0.0|32.15|32.1948|32.16|32.1948|0.0|0.0|32.13|32.2|32.13|32.25|32.15|32.24|32.13|32.24|32.16|32.23|32.3|29.8001|14015|6660138 58937|GMBL|GMBL|29667K504|US29667K5048|eSports Entertainment Group Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-3|TXN6-3|TXN14-3|TXN5-8|TXN5-2|128410000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||MLT||||40|4050|405010|40501020|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Casinos and Gambling|N||N||||||N|0|Y||||||0.0185|0.0185|0.0|0.0194|0.0188|0.0185|0.0185|0.0185|0.0|0.0|0.0185|0.0185|0.0186|0.0183|0.0183|0.0185|0.0186|0.0185|0.01805|0.0186|0.0182|0.0186|0.0144|0.0186|0.0182|0.0188|0.0157|0.0218|0.0|0.0|0.0185|0.0186|5.09|0.0171|427721232|3862027220 72408|GMBLP|GMBLP|29667K405|US29667K4058|eSports Entertainment Group Inc|10% CONV PFD A||B|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN6-1|TXN10-2|TXN6-5|TXN5-4|840000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||MLT||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|4.93|5.032|5.04|0.0|0.0|0.0|0.0|4.95|0.0|0.0|0.0|0.0|4.95|0.0|4.95|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|4.93|5.1|6.35|2.395|7575|1057439 66048|GMBLW|GMBLW|29667K116|US29667K1161|eSports Entertainment Group Inc|*W EXP 99/99/9999||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-7|TXN6-7|TXN11-6|TXN6-1|TXN6-7|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||MLT||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.01|0.0|0.0|0.0|0.0|0.01|0.0|0.01|0.0|0.0|0.0|0.0|0.0101|0.0|0.0|0.0|0.0|0.0|0.0101|0.0224|0.15|0.01|127|714542 73684|GMBLZ|GMBLZ|29667K132|US29667K1328|eSports Entertainment Group Inc|WT EXP 030227||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-8|TXN6-2|TXN10-5|TXN5-1|TXN5-3|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||MLT||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0045|0.0|0.0|0.0|0.0|0.0045|0.0|0.0045|0.0029|0.0056|0.0029|0.0056|0.0029|0.0056|0.0029|0.0056|0.0|0.0|0.0035|0.0048|0.05|0.0014|2500|1136236 62074|GMDA|GMDA|M47364100|IL0011552663|Gamida Cell Ltd|ORD||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-4|TXN6-4|TXN11-4|TXN6-8|TXN6-1|132640000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||ISR||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||0.329|0.329|0.0|0.3294|0.324|0.329|0.3287|0.327|0.0|0.0|0.329|0.3279|0.3336|0.3241|0.0|0.3285|0.0|0.3287|0.3278|0.3336|0.2648|0.396|0.2648|0.3978|0.3262|0.3307|0.2648|0.3285|0.3265|0.3297|0.328|0.3285|2.51|0.2184|1367779|575448211 6571|GME|GME|36467W109|US36467W1099|GameStop Corp.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-7|TXN4-1|TXN4-7|TXN1-2|TXN3-1|305240000|||NotApplicable|||||2005-10-10||||||| | | | | | | | | |||N|0|Y|Y|144D|USA|US|||40|4040|404010|40401030|Consumer Discretionary|Retail |Retailers |Specialty Retailers |N||N||||||Y|0|Y||Y|1|||16.97|16.98|0.0|17.12|16.97|17.0|17.0|16.98|0.0|0.0|16.97|16.985|16.99|17.0|16.99|16.98|16.97|17.0|16.98|16.98|16.99|17.0|16.09|18.03|16.97|17.02|16.93|17.08|16.93|17.08|16.99|17.0|27.65|11.825|20098656|1034174195 40426|GMED|GMED|379577208|US3795772082|Globus Medical, Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|C|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-5|TXN1-8|TXN5-4|TXN2-7|TXN1-7|115360000|||NotApplicable|||||2012-08-03||||||| | | | | | | | | |||N|0|Y|Y|122A|USA|US|||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||Y|0|Y||Y|1|||46.32|46.33|0.0|46.19|46.34|46.38|46.31|46.31|0.0|0.0|46.32|46.38|46.33|46.4|46.36|46.31|46.23|46.31|46.32|46.31|46.31|46.34|43.22|49.17|46.27|46.4|46.28|46.37|46.31|46.34|46.31|46.34|80.04|43.385|1211597|331674867 72338|GMET|GMET|92189Y204|US92189Y2046|VanEck ETF Trust|VanEck Green Metals ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||VanEck Vectors|Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-6|TXN3-7|TXN8-8|TXN2-6|TXN2-6|1100000|||Yearly|||||2021-11-11||GMET.NV|GMET.SO|GMET.EU|GMET.TC|GMET.IV| | | | | | | | | |1x|VanEck Green Metals ETF (GMET) seeks to track as closely as possible, before fees and expenses, the price and yield performance of the MVIS Global Clean-Tech Metals Index (MVGMETTR), which is intended to track the performance of companies involved in the production, refining, processing and recycling of green metals. 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The S&P Asia Pacific Emerging BMI Index is a market capitalization weighted index that defines and measures the investable universe of publicly traded companies domiciled in emerging Asian Pacific markets. 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Corp|UNITS||R|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN5-7|TXN12-5|TXN5-5|TXN5-8|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.71|11.28|0.0|0.0|0.0|0.0|10.71|11.28|11.206|9.41|0|133124 73528|GMFIW|GMFIW|00809J119|US00809J1198|Aetherium Acquisition Corp|WT EXP 122126||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-4|TXN5-2|TXN13-8|TXN5-4|TXN5-3|0|||NotApplicable|||||||||||| | | | | 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76458|GMM|GMM|G3937M106|KYG3937M1069|Global Mofy Metaverse Ltd|ORD USD0.000002||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN5-5|TXN14-2|TXN6-6|TXN6-5|27130000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||10|1010|101010|10101010|Technology|Technology|Software and Computer Services|Computer Services|N||N||||||N|0|Y||||||13.08|13.3|0.0|0.0|13.07|13.09|13.415|13.1|0.0|12.95|13.15|13.3|13.17|13.5|0.0|13.05|0.0|13.1|13.34|13.17|0.0|0.0|0.0|0.0|12.25|14.25|0.0|0.0|0.0|0.0|13.05|13.35|15.47|4.55|201864|12140184 48668|GMOM|GMOM|132061508|US1320615081|Cambria Global Momentum ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-8|TXN3-2|TXN7-8|TXN1-6|TXN1-2|5350000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|26.9879|0.0|0.0|0.0|0.0|26.9879|26.72|0.0|0.0|0.0|0.0|27.04|27.18|0.0|0.0|0.0|26.9879|0.0|26.9879|26.78|27.44|20.79|33.63|26.85|27.17|26.85|27.17|0.0|0.0|26.93|27.07|29.49|25.96|7778|4346588 53397|GMRE|GMRE|37954A204|US37954A2042|Global Medical REIT Inc.|Common Stock|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|11|Q|Virtu Americas LLC|NITC|295|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN4-4|TXN3-3|TXN4-7|TXN4-3|65570000|||Quarterly|||||2016-06-29||||||| | | | | | | | | |||N|0|N|Y|414A|USA|US|||35|3510|351020|35102010|Real Estate|Real Estate |Real Estate Investment Trusts|Health Care REITs|N||N||||||Y|0|Y||Y|2|||10.41|10.4|0.0|10.01|10.41|10.4|10.405|10.4|0.0|0.0|10.41|10.42|10.405|10.4|10.4|10.4|10.42|10.4|10.41|10.4|10.4|10.41|7.96|12.62|10.39|10.42|10.38|10.43|10.39|10.44|10.4|10.41|11.79|8.04|418136|84799979 59600|GMRE PRA|GMREpA|37957W203|US37957W2035|Global Medical REIT Inc.|Series A Cumulative Redeemable Preferred Stock|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|11|Q|Virtu Americas LLC|NITC|295|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN1-2|TXN4-8|TXN2-2|TXN4-8|3110000|||Quarterly|||||2017-09-21||||||| | | | | | | | | |||N|0|N|N|414A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|24.83|24.75|0.0|0.0|0.0|24.5|0.0|24.58|0.0|23.89375|24.78|24.6|24.83|0.0|24.78|24.62|24.95|24.61|24.75|23.2|26.66|0.0|0.0|0.0|0.0|24.62|24.95|25.79|23.32|6537|1599151 6578|GMS|GMS|36251C103|US36251C1036|GMS Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|P|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN2-4|TXN6-6|TXN1-2|TXN4-6|40590000|||NotApplicable|||||2016-05-26||||||| | | | | | | | | |||N|0|N|Y|100A|USA|US|||50|5010|501010|50101020|Industrials|Construction and Materials|Construction and Materials |Building, Roofing/Wallboard and Plumbing|N||N||||||Y|0|Y||Y|2|||71.81|71.82|0.0|70.5|71.75|71.81|71.809|71.815|0.0|0.0|71.53|71.34|71.78|70.82|71.73|71.8|70.15|71.8|71.02|71.8|71.8|71.81|53.88|87.99|71.62|71.95|71.68|71.89|71.65|71.91|71.8|71.81|76.14|47.42|266651|66832977 75404|GMUN|GMUN|38149W663|US38149W6637|Goldman Sachs ETF Trust|Goldman Sachs Community Municipal Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Goldman Sachs Asset Management|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-1|TXN4-3|TXN3-8|TXN1-5|TXN3-3|400000|||Monthly|||||2023-03-09||GMUN.NV|GMUN.SO|GMUN.EU|GMUN.TC|GMUN.IV| | | | | | | | | |1x|The Goldman Sachs Community Municipal Bond ETF (the Fund) seeks to provide investment results that closely correspond, before fees and expenses, to the performance of the Bloomberg Goldman Sachs Community Municipal Index (the Index).|N|0|N|N|416A|USA|US|FIXED_INCOME|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|50.0|0.0|50.0|0.0|0.0|0.0|0.0|49.96|50.05|0.0|0.0|0.0|0.0|49.96|50.05|51.16|48.27|0|168071 38965|GNE|GNE|372284208|US3722842081|Genie Energy Ltd.|Class B Common Stock, $0.01par value|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN1-7|TXN2-8|TXN2-1|TXN4-5|25840000|||Quarterly|||||2011-10-26||||||| | | | | | | | | |||N|0|N|Y|134A|USA|US|||65|6510|651020|65102000|Utilities|Utilities|Gas, Water and Multi-utilities |Multi-Utilities|N||N||||||Y|0|Y||Y|2|||23.89|23.69|0.0|23.75|23.69|23.78|23.72|23.845|0.0|0.0|23.765|23.86|23.73|23.74|23.7|23.7|23.89|23.69|23.9|23.7|23.69|23.7|18.06|29.2|23.64|23.83|23.63|23.78|23.62|23.78|23.69|23.7|26.29|8.28|179724|31190219 63318|GNFT|GNFT|372279109|US3722791098|Genfit SA|ADS||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN6-6|TXN13-2|TXN5-5|TXN5-2|49840000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||FRA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|3.25|0.0|0.0|0.0|0.0|3.18|0.0|0.0|0.0|3.26|3.26|0.0|3.26|0.0|0.0|0.0|0.0|2.98|3.25|0.0|0.0|0.0|0.0|3.05|3.2|4.75|2.8935|37487|9022383 48681|GNK|GNK|Y2685T131|MHY2685T1313|Genco Shipping & Trading Limited|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|O|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-5|TXN3-6|TXN7-2|TXN2-8|TXN3-6|42540000|||Quarterly|||||2016-07-08||||||| | | | | | | | | |||N|0|N|Y|200A|USA|US|||50|5020|502060|50206030|Industrials|Industrial Goods and Services|Industrial Transportation|Marine Transportation|N||N||||||Y|0|Y||Y|2|||15.64|15.645|0.0|15.94|15.65|15.645|15.66|15.66|0.0|0.0|15.65|15.645|15.64|15.64|15.65|15.65|15.63|15.65|15.65|15.65|15.64|15.65|12.06|19.31|15.62|15.67|15.61|15.69|15.61|15.69|15.64|15.65|19.8421|12.39|935787|186438418 49934|GNL|GNL|379378201|US3793782018|Global Net Lease, Inc.|Common Stock|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-7|TXN1-7|TXN4-6|TXN2-7|TXN1-4|230340000|||Quarterly|||||2017-03-01||||||| | | | | | | | | |||N|0|N|Y|412A|USA|US|||35|3510|351020|35102030|Real Estate|Real Estate |Real Estate Investment Trusts|Office REITs|N||N||||||Y|0|Y||Y|2|||9.69|9.69|0.0|9.54|9.69|9.685|9.69|9.68|0.0|0.0|9.685|9.68|9.685|9.64|9.68|9.68|9.69|9.69|9.68|9.68|9.68|9.69|7.41|11.66|9.67|9.7|9.66|9.71|9.65|9.72|9.68|9.69|15.28|7.56|3231603|310620774 59547|GNL PRA|GNLpA|379378300|US3793783008|Global Net Lease, Inc.|7.25% Series A Cumulative Redeemable Preferred Stock, $0.01 par value per share|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN4-2|TXN2-8|TXN2-2|TXN3-2|6800000|||Quarterly|||||2017-09-13||||||| | | | | | | | | |||N|0|N|N|412A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|18.68|0.0|0.0|17.51|19.12|18.91|18.75|0.0|0.0|19.09|19.0|19.01|0.0|0.0|19.18|0.0|19.09|0.0|19.18|18.95|19.19|0.0|0.0|19.0|19.59|0.0|0.0|0.0|0.0|19.02|19.19|25.23|16.42|22518|2996258 65146|GNL PRB|GNLpB|379378409|US3793784097|Global Net Lease, Inc.|6.875% Series B Cumulative Redeemable Perpetual Preferred Stock|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN3-7|TXN1-5|TXN1-1|TXN3-1|4700000|||Quarterly|||||2019-11-29||||||| | | | | | | | | |||N|0|N|N|412A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|17.9|18.3419|17.76|0.0|0.0|17.75|0.0|18.28|0.0|0.0|18.31|0.0|18.31|0.0|18.31|18.03|18.34|0.0|0.0|17.67|18.71|0.0|0.0|0.0|0.0|18.03|18.34|24.93|15.61|8534|2908436 76275|GNL PRD|GNLpD|379378508|US3793785086|Global Net Lease, Inc.|7.50% Series D Cumulative Redeemable Perpetual Preferred Stock|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|6|H|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN3-7|TXN7-8|TXN4-7|TXN1-3|7930000|||Quarterly|||||2023-09-12||||||| | | | | | | | | |||N|0|N|N|412A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||19.13|19.7|0.0|0.0|0.0|19.5|19.79|19.52|0.0|0.0|19.5|19.0|19.78|0.0|0.0|19.79|0.0|19.79|0.0|19.79|19.58|19.8|0.0|0.0|19.19|20.13|0.0|0.0|0.0|0.0|19.58|19.8|20.4122|16.44|16575|1034738 76276|GNL PRE|GNLpE|379378607|US3793786076|Global Net Lease, Inc.|7.375% Series E Cumulative Redeemable Perpetual Preferred Stock|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|6|H|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN2-8|TXN8-8|TXN2-4|TXN4-3|4600000|||Quarterly|||||2023-09-12||||||| | | | | | | | | |||N|0|N|N|412A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|19.58|19.5782|0.0|0.0|0.0|19.5|0.0|19.6|18.03|0.0|19.6|0.0|19.6|0.0|19.6|19.38|19.75|0.0|0.0|19.2|19.75|0.0|0.0|0.0|0.0|19.38|19.75|20.89|16.1|8981|692824 63464|GNLN|GNLN|395330301|US3953303019|Greenlane Holdings Inc|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-6|TXN6-3|TXN11-2|TXN5-2|TXN6-7|2660000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||45|4510|451030|45103010|Consumer Staples |Food, Beverage and Tobacco |Tobacco|Tobacco|N||N||||||N|0|Y||||||0.59|0.0|0.0|0.0|0.6|0.5995|0.59|0.589|0.0|0.0|0.59|0.0|0.6|0.0|0.0|0.0|0.0|0.5995|0.0|0.5995|0.5225|0.63|0.0|0.0|0.528|0.624|0.4796|0.72|0.0|0.0|0.55|0.6|3.4|0.27|23038|45234832 75158|GNLX|GNLX|36870H103|US36870H1032|Genelux Corp|COM USD0.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN5-4|TXN14-8|TXN5-4|TXN6-4|26720000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||13.77|13.6|0.0|13.72|14.06|13.85|13.53|13.56|0.0|0.0|14.07|13.94|13.6|14.04|13.56|13.58|13.53|13.58|14.03|13.6|13.19|14.13|10.53|16.92|13.29|14.08|13.36|13.85|13.31|13.87|13.58|13.6|40.98|5.35|127873|29049209 39613|GNMA|GNMA|46429B333|US46429B3336|iShares GNMA Bond ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN6-6|TXN13-3|TXN5-8|TXN5-2|7550000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|42.94|0.0|0.0|0.0|42.95|42.9727|42.91|0.0|0.0|42.97|42.97|42.99|42.91|42.9|0.0|0.0|42.97|0.0|42.99|42.94|43.0|39.9|45.75|42.94|43.0|42.93|42.99|0.0|0.0|42.95|42.98|45.38|40.33|44030|20024637 63405|GNOM|GNOM|37954Y434|US37954Y4347|Global X Funds - Global X Genomics & Biotechnology ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN5-4|TXN14-7|TXN5-2|TXN5-3|8940000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||10.77|10.81|0.0|0.0|0.0|10.82|10.8117|10.74|0.0|0.0|10.8|10.78|10.81|10.809|10.72|10.79|10.77|10.82|0.0|10.81|10.81|10.83|10.77|10.83|10.81|10.83|10.77|10.85|10.77|10.83|10.81|10.83|14.36|8.63|158290|34418287 76655|GNOV|GNOV|33740U687|US33740U6872|FT Cboe Vest U.S. Equity Moderate Buffer ETF - November|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-5|TXN1-1|TXN3-8|TXN1-4|TXN1-5|3530000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||30.97|30.97|0.0|0.0|30.97|30.92|30.96|30.96|0.0|0.0|30.96|0.0|30.97|30.93|0.0|30.96|0.0|30.97|30.97|30.97|23.77|38.06|23.77|38.06|30.88|31.01|30.87|38.06|30.89|31.0|30.88|31.01|31.09|30.67|245548|4626727 60846|GNPX|GNPX|372446104|US3724461047|Genprex Inc|COM 0.001 USD||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-8|TXN6-3|TXN12-7|TXN5-4|TXN5-3|59440000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||0.2425|0.25|0.0|0.0|0.245|0.2488|0.2408|0.2475|0.0|0.0|0.2499|0.2499|0.2409|0.2479|0.0|0.0|0.0|0.2408|0.0|0.2409|0.228|0.2599|0.1967|0.288|0.2304|0.26|0.198|0.288|0.0|0.0|0.2409|0.2491|1.94|0.1903|367459|112964817 35718|GNR|GNR|78463X541|US78463X5418|SPDR Index Shares Funds|SPDR S&P Global Natural Resources ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-5|TXN2-7|TXN2-7|TXN3-8|TXN3-8|69000000|||BiAnnually|||||2010-09-14||GNR.NV|GNR.SO|GNR.EU|GNR.TC|GNR.IV| | | | | | | | | |1x|The SPDR S&P Global Natural Resources ETF seeks to provide investment results that, before fees and expenses, correspond generally to the total return performance of an index that tracks publicly traded companies in natural resources and/or commodities businesses. The S&P Global Natural Resources Index is comprised of 90 of the largest publicly traded companies, based on market capitalization, in global natural resources and commodities businesses that meet certain investability requirements. The Index component securities represent a combination of the component securities included in each of the following three sub-indices: the S&P Global Natural ResourcesAgriculture Index, the S&P Global Natural ResourcesEnergy Index and the S&P Global Natural ResourcesMetals and Mining Index. The maximum weight of each sub-index is capped at one-third of the total weight of the Index. Membership in the Index is based on industry sector according to the Global Industry Classification Standard. Companies in natural resources and commodities businesses include those significantly engaged, directly or indirectly, in the following industries: agricultural, forest and paper products; fertilizers and agricultural chemicals; paper packaging; timber real estate investment trusts; integrated oil and gas; oil and gas drilling; oil and gas exploration and production; oil and gas refining and marketing; coal and consumable fuels; diversified metals and mining; steel; aluminum; gold; and precious metals and minerals.|N|0|N|N|406C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||55.57|55.56|0.0|0.0|55.57|55.58|55.58|55.58|0.0|0.0|55.71|55.7|55.585|55.67|55.68|55.59|56.76|55.53|55.48|55.53|53.14|58.6|52.04|55.7|55.53|55.61|53.14|55.7|55.42|55.69|55.53|55.61|62.08|50.8538|395677|60525434 32275|GNRC|GNRC|368736104|US3687361044|Generac Holdings Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|P|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-4|TXN1-4|TXN7-3|TXN3-7|TXN1-4|61430000|||NotApplicable|||||2010-02-11||||||| | | | | | | | | |||N|5|Y|Y|126E|USA|US|||50|5020|502040|50204030|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Engines|N||N||||||Y|0|Y||Y|1|||122.83|122.92|0.0|122.12|122.66|122.96|122.89|122.98|0.0|0.0|122.95|122.76|122.86|122.97|122.5|122.87|122.47|122.86|122.66|122.87|122.85|122.86|114.54|130.68|122.8|123.16|122.71|123.0|122.7|123.01|122.85|122.86|156.95|79.86|963886|308470311 73877|GNS|GNS|Y3005A109|SGXZ34583559|Genius Group Limited|Ordinary Shares|Operating company|A|N|Y|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN11-8|TXN3-8|TXN5-8|TXN4-1|TXN1-6|27710000|||Adhoc|||||2022-04-12||||||| | | | | | | | | |||N|0|N|N|180B|SGP|SG|||40|4020|402010|40201010|Consumer Discretionary|Consumer Products and Services|Consumer Services |Education Services|N||N||||||N|0|Y||Y|2|||0.5817|0.5862|0.0|0.0|0.5817|0.583|0.584|0.586|0.0|0.0|0.5811|0.585|0.584|0.594|0.5695|0.59|0.584|0.584|0.594|0.584|0.462|0.6902|0.584|0.588|0.5816|0.5879|0.462|0.6902|0.573|0.623|0.5816|0.5879|7.99|0.301|1697339|2177644116 365|GNSS|GNSS|36872P103|US36872P1030|Genasys Inc|COM USD.00001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN6-2|TXN14-2|TXN6-1|TXN5-2|42210000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||15|1510|151010|15101010|Telecommunications|Telecommunications|Telecommunications Equipment|Telecommunications Equipment|N||N||||||Y|0|Y||||||0.0|1.67|0.0|1.67|1.68|1.69|1.67|1.69|0.0|0.0|1.67|1.67|1.69|1.69|0.0|1.69|1.64|1.67|0.0|1.69|1.64|1.73|1.3|2.05|1.64|1.7|1.3|2.05|0.0|0.0|1.67|1.69|4.2329|1.59|101226|13133746 36440|GNT|GNT|36465E101|US36465E1010|GAMCO Natural Resources, Gold & Income Trust|Common Stock, $0.001 par value|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN1-1|TXN3-8|TXN4-5|TXN3-4|18960000|||Monthly|||||2011-01-27||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||5.06|5.07|0.0|0.0|5.06|5.05|5.0601|0.0|0.0|0.0|5.05|0.0|5.05|5.06|0.0|5.04|0.0|5.04|0.0|5.04|5.04|5.06|3.89|6.22|4.71|5.38|4.01|6.14|0.0|0.0|5.04|5.06|5.4|4.59|25799|10560833 59976|GNT PRA|GNTpA|36465E200|US36465E2000|GAMCO Natural Resources, Gold & Income Trust|5.20% Series A Cumulative Preferred Shares, par value $0.001 per share|Closed end fund|B|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN3-7|TXN5-8|TXN1-7|TXN1-7|1160000|||Quarterly|||||2017-10-30||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|22.2003|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|22.2|0.0|22.2|0.0|22.2|22.15|22.22|0.0|0.0|21.15|22.44|0.0|0.0|0.0|0.0|21.21|23.21|23.88|21.178|1598|350825 72920|GNTA|GNTA|36870W100|US36870W1009|Genenta Science S.p.A.|ADS||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN6-6|TXN13-3|TXN6-6|TXN6-1|18220000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||ITA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|5.03|0.0|0.0|0.0|0.0|5.15|0.0|5.15|0.0|0.0|0.0|0.0|5.01|5.58|0.0|0.0|0.0|0.0|5.01|5.24|7.08|4.29|148|568269 1745|GNTX|GNTX|371901109|US3719011096|Gentex Corporation|COM USD.06||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN6-2|TXN14-1|TXN6-4|TXN6-7|233250000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||USA||||40|4010|401010|40101025|Consumer Discretionary|Automobiles and Parts|Automobiles and Parts|Auto Parts|N||N||||||Y|0|Y||||||30.94|30.93|0.0|30.76|30.93|30.925|30.93|30.93|0.0|0.0|30.93|30.93|30.94|30.94|30.94|30.93|30.94|30.94|30.94|30.94|30.92|30.94|29.06|32.98|30.92|30.94|30.9|32.51|30.91|30.96|30.92|30.94|34.33|25.77|1230001|301853640 1746|GNTY|GNTY|400764106|US4007641065|Guaranty Bancshares, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN4-6|TXN2-8|TXN4-2|TXN4-4|11530000|||Quarterly|||||2023-03-07||||||| | | | | | | | | |||N|0|N|Y|402B|USA|US|||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||Y|2|||30.89|30.29|0.0|0.0|0.0|30.01|30.69|30.51|0.0|0.0|30.35|30.2|30.85|30.24|0.0|30.78|0.0|30.24|29.27|30.78|30.38|30.78|0.0|0.0|29.73|31.4|0.0|0.0|0.0|0.0|30.38|30.78|35.99|22.12|3947|5222385 6587|GNW|GNW|37247D106|US37247D1063|Genworth Financial, Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-7|TXN4-3|TXN4-4|TXN1-8|TXN2-1|451010000|||NotApplicable|||||2004-05-25||||||| | | | | | | | | |||N|0|N|Y|408A|USA|US|||30|3030|303010|30301010|Financials|Insurance|Life Insurance|Life Insurance|N||N||||||Y|0|Y||Y|2|||6.2|6.195|0.0|6.18|6.19|6.2|6.2|6.19|0.0|0.0|6.195|6.19|6.195|6.2|6.19|6.2|6.195|6.2|6.19|6.2|6.19|6.2|4.77|7.5|6.19|6.2|6.16|6.23|6.15|6.24|6.19|6.2|6.4|4.51|5435625|754017037 63886|GO|GO|39874R101|US39874R1014|Grocery Outlet Inc|COM USD0.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN6-2|TXN13-8|TXN5-7|TXN6-4|99270000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||USA||||45|4520|452010|45201010|Consumer Staples |Personal Care, Drug and Grocery Stores |Personal Care, Drug and Grocery Stores |Food Retailers and Wholesalers |N||N||||||Y|0|Y||||||29.17|29.17|0.0|29.32|29.17|29.155|29.16|29.16|0.0|0.0|29.16|29.24|29.16|29.17|29.16|29.155|29.16|29.17|29.17|29.16|29.14|29.17|27.3|31.18|29.14|29.19|29.12|29.2|29.12|29.18|29.16|29.17|36.54|25.71|767243|226594518 58895|GOAU|GOAU|26922A719|US26922A7191|ETF Series Solutions|US Global GO GOLD and Precious Metal Miners ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||U.S. Global Investors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-4|TXN2-2|TXN7-8|TXN2-2|TXN3-8|5500000|||Yearly|||||2017-06-27||GOAU.NV|GOAU.SO|GOAU.EU|GOAU.TC|GOAU.IV| | | | | | | | | |1x|The Fund uses a passive management (or indexing) approach to track the performance, before fees and expenses, of the Index. The Index is composed of the exchange-listed common stock (or American Depositary Receipts (ADRs)) of U.S. and international (including emerging markets) companies that earn at least 50 percent of their aggregate revenue from precious metals (Precious Metals Companies). The Index may include small-, mid-, and large-capitalization companies. Precious metals consist of gold, silver, platinum, and palladium. |N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||0.0|16.98|0.0|0.0|0.0|17.19|16.83|16.83|0.0|0.0|16.78|17.2|16.83|17.19|0.0|0.0|0.0|16.83|0.0|16.83|16.03|17.71|0.0|0.0|16.82|16.93|15.74|17.96|0.0|0.0|16.82|16.93|20.88|14.0|28969|7688886 66987|GOCO|GOCO|38046W204|US38046W2044|GoHealth Inc|COM CL A USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN5-3|TXN14-1|TXN6-3|TXN6-1|9550000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3030|303020|30302015|Financials|Insurance|Non-life Insurance|Insurance Brokers|N||N||||||N|0|Y||||||0.0|14.14|0.0|0.0|13.85|0.0|14.03|0.0|0.0|0.0|0.0|0.0|14.01|14.2|0.0|0.0|0.0|14.03|0.0|14.01|13.34|14.6|0.0|0.0|13.61|14.3|10.68|17.23|0.0|0.0|13.89|14.01|22.85|7.05|17728|10594625 76503|GOCT|GOCT|33740U695|US33740U6955|FT Cboe Vest U.S. Equity Moderate Buffer ETF - October|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-7|TXN3-5|TXN8-8|TXN3-4|TXN3-7|6030000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||31.78|31.74|0.0|0.0|0.0|0.0|31.76|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|31.74|0.0|31.74|24.53|39.05|24.53|39.05|31.7|31.85|31.67|31.81|31.69|31.83|31.7|31.81|31.8562|29.8901|4925|6380904 75944|GODN|GODN|G4023C101|KYG4023C1015|Golden Star Acquisition Corp|ORD USD0.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN5-6|TXN13-5|TXN5-4|TXN6-4|8930000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|9.69|10.45|0.0|0.0|0.0|0.0|10.38|10.39|10.45|10.14|153|4232808 75945|GODNR|GODNR|G4023C119||Golden Star Acquisition Corporation Rights|||D|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-6|TXN5-1|TXN11-2|TXN5-4|TXN6-7|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||50|5020|502040|50204000|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Industrial|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.2385|0.0|0.2365|0.0|0.0|0.0|0.0|0.23|0.0|0.0|0.0|0.0|0.23|0.0|0.23|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.14|0.24|0.9984|0.1384|1227|4277432 75654|GODNU|GODNU|G4023C127|KYG4023C1270|Golden Star Acquisition Corp|UNITS||R|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN6-4|TXN14-3|TXN6-2|TXN5-3|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.57|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|9.87|11.34|0.0|0.0|0.0|0.0|10.57|10.64|11.26|10.15|9|7604882 63440|GOEV|GOEV|13803R102|US13803R1023|Canoo Inc|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-3|TXN6-7|TXN10-3|TXN6-3|TXN5-8|726310000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4010|401010|40101020|Consumer Discretionary|Automobiles and Parts|Automobiles and Parts|Automobiles|N||N||||||Y|0|Y||||||0.2713|0.2713|0.0|0.2705|0.2702|0.2713|0.2712|0.2712|0.0|0.0|0.2713|0.2712|0.27|0.2709|0.2713|0.2713|0.2732|0.2713|0.2712|0.27|0.269|0.2771|0.2228|0.327|0.2713|0.2714|0.2712|0.327|0.0|0.0|0.2713|0.2714|1.47|0.2201|35278727|5903462155 63441|GOEVW|GOEVW|13803R110|US13803R1106|Canoo Inc|WT EXP 122125||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-6|TXN5-5|TXN11-6|TXN6-7|TXN6-3|650950000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y|C|||||0.0|0.0|0.0|0.0|0.0|0.0|0.0604|0.0|0.0|0.0|0.06|0.0603|0.0604|0.0|0.0|0.0|0.0|0.0604|0.0|0.0604|0.0518|0.0689|0.0|0.0|0.0563|0.0644|0.0|0.0|0.0|0.0|0.0603|0.0604|0.3299|0.04|68340|23495845 35950|GOEX|GOEX|37954Y863|US37954Y8637|Global X Funds|Global X Gold Explorers ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Global X|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-3|TXN3-4|TXN2-8|TXN1-2|TXN3-3|1422054|||BiAnnually|||||2010-11-04||GLDX.NV|GLDX.SO|GLDX.EU|GLDX.TC|GLDX.IV| | | | | | | | | |1x|The Global X Gold Explorers ETF (Fund) seeks to provide investment results that correspond generally to the price and yield performance, before fees and expenses, of the Solactive Global Gold Explorers Index (Underlying Index). The Underlying Index is free float adjusted, liquidity tested and market capitalization-weighted index that is designed to measure broad based equity market performance of global companies involved in gold exploration, as defined by Structured Solutions AG. As of January 1, 2013, the Underlying Index had 20 constituents, 18 of which are foreign companies. The Funds investment objective and Underlying Index may be changed without shareholder approval.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||26.22|26.22|0.0|0.0|0.0|25.54|25.4821|25.82|0.0|0.0|22.79|0.0|25.4|0.0|0.0|0.0|0.0|25.5041|0.0|25.5041|23.72|27.15|0.0|0.0|25.4|25.8|23.76|26.86|0.0|0.0|25.4|25.8|30.44|20.71|16383|1285430 25186|GOF|GOF|40167F101|US40167F1012|Guggenheim Strategic Opportunities Fund|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-7|TXN3-1|TXN7-4|TXN4-3|TXN2-2|112170000|||Monthly|||||2007-07-27||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||13.42|13.43|0.0|0.0|13.41|13.44|13.431|13.435|0.0|0.0|13.43|13.43|13.435|13.43|13.38|13.43|13.35|13.435|0.0|13.43|13.43|13.44|10.36|16.42|13.43|13.45|13.41|13.46|13.42|13.45|13.43|13.44|17.39|10.96|684031|135590048 4294|GOGL|GOGL|G39637205|BMG396372051|Golden Ocean Group Ltd|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN6-6|TXN14-8|TXN5-1|TXN6-1|199500000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||BMU||||50|5020|502060|50206030|Industrials|Industrial Goods and Services|Industrial Transportation|Marine Transportation|N|Y|N||||||Y|0|Y||||||9.425|9.42|0.0|9.395|9.425|9.42|9.412|9.425|0.0|0.0|9.42|9.42|9.41|9.425|9.42|9.415|9.42|9.415|9.43|9.41|9.37|9.5|7.38|11.66|9.37|9.48|9.39|9.45|9.38|9.46|9.41|9.42|10.58|6.89|2504868|359533874 42256|GOGO|GOGO|38046C109|US38046C1099|Gogo Inc|COM USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN6-3|TXN10-2|TXN6-1|TXN5-1|128840000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||15|1510|151020|15102015|Telecommunications|Telecommunications|Telecommunications Service Providers |Telecommunications Services|N||N||||||Y|0|Y||||||10.57|10.575|0.0|10.37|10.57|10.58|10.59|10.59|0.0|0.0|10.57|10.59|10.58|10.52|10.58|10.57|10.5|10.575|10.51|10.58|10.56|10.59|8.17|12.99|10.56|10.62|10.55|10.6|10.55|10.61|10.57|10.58|17.94|9.53|748373|136114637 6589|GOL|GOL|38045R206|US38045R2067|Gol Linhas Aéreas Inteligentes S.A.|American Depositary Share (each representing two (2) preferred shares)|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-3|TXN4-6|TXN2-8|TXN4-5|TXN3-5|336920000|||Adhoc|||||2016-02-26||||||| | | | | | | | | |||N|0|N|Y|202A|BRA|BR|||40|4050|405010|40501010|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Airlines|N||N||||||Y|0|Y|C|Y|2|||3.29|3.28|0.0|3.46|3.285|3.285|3.2875|3.28|0.0|0.0|3.29|3.29|3.285|3.285|3.285|3.29|3.325|3.2875|3.46|3.29|3.28|3.29|2.57|4.06|3.27|3.29|3.25|3.32|3.25|3.32|3.28|3.29|5.5867|1.995|1743053|298636983 4574|GOLD|GOLD|067901108|CA0679011084|Barrick Gold Corporation|Common Shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|8|L|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN1-1|TXN6-7|TXN2-7|TXN2-4|1756000000|||Quarterly|||||1987-02-25||||||| | | | | | | | | |||N|0|N|Y|130C|CAN|CA|||55|5510|551030|55103025|Basic Materials|Basic Resources|Precious Metals and Mining|Gold Mining|N||N||||||Y|0|Y||Y|2|||17.52|17.525|0.0|17.54|17.52|17.52|17.525|17.53|0.0|0.0|17.53|17.52|17.53|17.52|17.54|17.53|17.535|17.53|17.52|17.53|17.52|17.53|13.63|21.53|17.52|17.53|17.49|17.56|17.49|17.56|17.52|17.53|20.75|13.82|20875479|3764648874 54210|GOLF|GOLF|005098108|US0050981085|Acushnet Holdings Corp.|Common Stock, par value $0.001 per share|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|O|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN2-3|TXN3-8|TXN1-2|TXN4-7|65380000|||Quarterly|||||2016-10-28||||||| | | | | | | | | |||N|0|N|Y|146G|USA|US|||40|4020|402030|40203050|Consumer Discretionary|Consumer Products and Services|Leisure Goods|Recreational Products|N||N||||||N|0|Y||Y|2|||58.75|58.74|0.0|58.49|58.67|58.74|58.77|58.74|0.0|0.0|58.75|58.59|58.75|58.87|58.74|58.78|58.8|58.79|58.6|58.78|58.75|58.76|44.69|71.61|58.25|59.16|58.66|58.86|58.64|58.88|58.75|58.76|61.98|42.06|276863|78104225 1752|GOOD|GOOD|376536108|US3765361080|Gladstone Commercial Corp|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN5-6|TXN10-5|TXN5-2|TXN6-3|39950000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||35|3510|351020|35102000|Real Estate|Real Estate |Real Estate Investment Trusts|Diversified REITs|N||N||||||N|0|Y||||||0.0|13.37|0.0|13.29|13.39|13.38|13.36|13.37|0.0|0.0|13.36|13.38|13.37|0.0|13.31|13.38|13.39|13.36|0.0|13.37|13.25|13.5|10.31|16.25|13.26|13.49|13.32|13.41|0.0|0.0|13.35|13.36|20.12|10.84|354951|59782857 64781|GOODN|GOODN|376536702|US3765367020|Gladstone Commercial Corp|PFD SER E||B|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN5-4|TXN13-7|TXN5-7|TXN6-5|3060000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|20.3|0.0|0.0|0.0|0.0|0.0|20.49|0.0|0.0|0.0|0.0|20.3|0.0|20.3|0.0|0.0|0.0|0.0|18.86|20.35|0.0|0.0|0.0|0.0|20.25|20.35|24.138|16.51|3302|2056185 70982|GOODO|GOODO|376536884|US3765368846|Gladstone Commercial Corp|PFD SER 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USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN5-4|TXN10-3|TXN5-1|TXN6-5|5918000000|||NotApplicable|||||||||||| | | | | | | | | |||N|1|Y|N||USA||||10|1010|101010|10101020|Technology|Technology|Software and Computer Services|Consumer Digital Services |N||N||||||Y|0|Y||||||129.25|129.255|0.0|129.3|129.24|129.27|129.24|129.25|0.0|0.0|129.27|129.29|129.27|129.24|129.27|129.27|129.3|129.25|129.27|129.27|129.19|129.28|120.3|136.56|129.25|129.27|129.16|129.31|129.16|129.33|129.25|129.26|141.22|84.86|36669876|7629733579 76530|GOOP|GOOP|78433H717|US78433H7171|Kurv Yield Premium Strategy Google (GOOGL) 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Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||65.06|64.17|0.0|65.06|64.09|64.2|64.23|64.145|0.0|0.0|64.15|64.17|64.17|65.15|64.95|64.21|65.68|64.22|62.57|64.17|62.99|65.29|50.75|78.74|63.28|65.24|63.91|64.66|63.85|64.74|64.15|64.22|75.0167|20.8001|1128895|91972542 6600|GPI|GPI|398905109|US3989051095|Group 1 Automotive, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN1-8|TXN3-8|TXN3-6|TXN1-6|13820000|||Quarterly|||||1997-10-30||||||| | | | | | | | | |||N|0|N|Y|146G|USA|US|||40|4040|404010|40401030|Consumer Discretionary|Retail |Retailers |Specialty Retailers |N||N||||||Y|0|Y||Y|2|||285.12|286.55|0.0|285.15|284.9|287.25|287.305|284.975|0.0|0.0|292.63|287.27|287.49|280.77|290.88|287.58|280.53|287.38|282.58|287.58|287.38|287.39|222.07|350.06|286.77|287.97|286.42|288.11|287.38|288.29|287.38|287.39|293.765|159.87|158713|34938650 76516|GPIQ|GPIQ|38149W630|US38149W6306|Goldman Sachs Nasdaq-100 Core Premium Income ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN5-5|TXN14-6|TXN6-8|TXN5-3|280000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||42.315|42.31|0.0|0.0|42.315|42.315|42.3101|0.0|0.0|0.0|0.0|0.0|42.32|42.315|0.0|0.0|0.0|42.3101|0.0|42.32|0.0|0.0|0.0|0.0|42.28|42.32|0.0|0.0|0.0|0.0|42.31|42.32|43.2594|38.6557|146240|383784 76517|GPIX|GPIX|38149W622|US38149W6223|Goldman Sachs S&P 500 Core Premium Income ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN6-3|TXN13-6|TXN6-5|TXN5-3|250000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||42.585|42.585|0.0|0.0|42.585|42.585|42.5801|0.0|0.0|0.0|0.0|0.0|42.5875|42.57|42.585|0.0|0.0|42.5801|0.0|42.5875|0.0|0.0|0.0|0.0|42.55|42.59|0.0|0.0|0.0|0.0|42.58|42.59|42.9699|39.0253|130705|355903 59646|GPJA|GPJA|373334440|US3733344408|Georgia Power Company|Series 2017A 5.00% Junior Subordinated Notes due October 1, 2077|Operating company|G|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN4-5|TXN2-8|TXN4-2|TXN1-8|10800000|||Quarterly|||||2017-09-25|2077-10-01|||||| | | | | | | | | |||N|0|N|N|302A||US|||||||||||N||N||||||N|0|Y||Y|2|||23.12|0.0|0.0|0.0|22.98|23.0|22.96|22.67|0.0|0.0|23.24|0.0|23.18|23.12|0.0|22.96|0.0|22.96|0.0|22.96|22.93|23.22|0.0|0.0|22.46|23.68|0.0|0.0|0.0|0.0|22.93|23.22|25.24|20.58|28540|3032082 6602|GPK|GPK|388689101|US3886891015|Graphic Packaging Holding Company|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|D|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-2|TXN4-3|TXN5-4|TXN1-6|TXN1-1|306050000|||Quarterly|||||2008-03-11||||||| | | | | | | | | |||N|0|Y|Y|136D|USA|US|||50|5020|502030|50203030|Industrials|Industrial Goods and Services|General Industrials|Containers and Packaging|N||N||||||Y|0|Y||Y|1|||23.18|23.2|0.0|23.05|23.19|23.2|23.18|23.195|0.0|0.0|23.2|23.2|23.185|23.2|23.2|23.18|23.2|23.18|23.21|23.18|23.18|23.19|21.74|24.44|23.16|23.2|23.15|23.22|23.14|23.23|23.18|23.19|27.56|20.07|1873013|819740855 58782|GPMT|GPMT|38741L107|US38741L1070|Granite Point Mortgage Trust Inc.|Common Stock|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|6|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-6|TXN4-2|TXN4-5|TXN1-3|TXN3-7|51580000|||Quarterly|||||2017-06-23||||||| | | | | | | | | |||N|0|N|Y|414A|USA|US|||30|3020|302030|30203010|Financials|Financial Services |Mortgage Real Estate Investment Trusts|Mortgage REITs: Commercial|N||N||||||Y|0|Y||Y|2|||5.61|5.62|0.0|5.45|5.62|5.615|5.615|5.62|0.0|0.0|5.62|5.6|5.62|5.61|5.62|5.61|5.62|5.615|5.62|5.61|5.61|5.62|4.31|6.86|5.6|5.63|5.58|5.65|5.58|5.65|5.61|5.62|7.07|3.97|275576|150593601 72719|GPMT PRA|GPMTpA|38741L305|US38741L3050|Granite Point Mortgage Trust Inc.|7.00% Series A Fixed-to-Floating Rate Cumulative Redeemable Preferred Stock|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN1-7|TXN3-8|TXN3-8|TXN4-5|8230000|||Quarterly|||||2021-12-02||||||| | | | | | | | | |||N|0|N|N|414A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|16.6|0.0|0.0|0.0|16.66|16.7341|16.68|0.0|0.0|16.66|16.66|16.74|0.0|0.0|16.72|16.7|16.74|0.0|16.72|16.6|16.75|16.6|16.7|16.27|17.09|0.0|0.0|0.0|0.0|16.6|16.75|19.0219|15.62|5576|3129375 6604|GPN|GPN|37940X102|US37940X1028|Global Payments Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|M|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-7|TXN1-8|TXN6-8|TXN4-5|TXN3-4|260390000|||Quarterly|||||2001-01-12||||||| | | | | | | | | |||N|5|Y|Y|180B|USA|US|||50|5020|502050|50205015|Industrials|Industrial Goods and Services|Industrial Support Services|Transaction Processing Services|N||N||||||Y|0|Y||Y|1|||119.84|119.81|0.0|119.78|119.87|119.88|119.82|119.88|0.0|0.0|119.89|119.8|119.86|119.86|119.86|119.81|119.86|119.81|119.67|119.81|119.78|119.81|111.59|127.05|119.77|119.86|119.73|119.9|119.78|119.89|119.78|119.81|129.695|92.27|1389530|449890614 70653|GPOR|GPOR|402635502|US4026355028|Gulfport Energy Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|D|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN4-2|TXN6-8|TXN3-1|TXN4-1|18630000|||NotApplicable|||||2021-05-18||||||| | | | | | | | | |||N|0|N|Y|134B|USA|US|||60|6010|601010|60101010|Energy|Energy|Oil, Gas and Coal|Oil: Crude Producers|N||N||||||Y|0|Y||Y|2|||138.24|138.22|0.0|138.67|138.21|138.3|138.02|138.25|0.0|0.0|138.33|138.26|138.1|137.74|137.5|138.05|138.13|138.02|140.405|138.05|138.05|138.14|107.58|169.56|137.85|138.67|137.63|138.57|137.59|138.14|138.05|138.14|140.83|60.15|220671|36333793 76001|GPOW|GPOW|38149W648|US38149W6488|Goldman Sachs North American Pipelines & Power Equity ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-3|TXN2-4|TXN9-8|TXN4-4|TXN3-3|300000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||42.24|42.5292|0.0|0.0|42.24|42.24|42.47|0.0|0.0|0.0|0.0|0.0|42.23|42.24|42.24|42.24|0.0|42.5292|0.0|42.5292|39.7|45.69|0.0|0.0|41.96|43.05|39.7|45.69|0.0|0.0|42.47|42.58|42.7107|37.51|62675|367583 50213|GPP|GPP|393221106|US3932211069|Green Plains Partners LP|COM LP UNIT NPV||R|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN5-7|TXN10-2|TXN5-2|TXN6-8|23270000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||60|6010|601010|60101035|Energy|Energy|Oil, Gas and Coal|Pipelines|N||N||||||Y|0|Y||||||12.8|12.63|0.0|0.0|12.7|12.7|12.63|12.64|0.0|0.0|12.65|0.0|12.65|12.97|13.0|12.881|0.0|12.63|0.0|12.65|12.25|13.51|10.0|15.7|11.87|13.54|12.59|12.7|12.61|12.66|12.63|12.66|16.25|11.7213|74767|18483976 16222|GPRE|GPRE|393222104|US3932221043|Green Plains Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN5-5|TXN12-2|TXN6-8|TXN6-1|59510000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||60|6010|601020|60102010|Energy|Energy|Alternative Energy|Alternative Fuels |N||N||||||Y|0|Y||||||24.89|24.89|0.0|25.3|24.9|24.88|24.9|24.89|0.0|0.0|24.9|25.13|24.88|24.9|25.48|24.9|24.89|24.89|24.92|24.88|24.76|25.05|19.37|30.52|24.77|25.05|24.85|24.94|24.87|24.94|24.89|24.9|37.49|23.15|837340|208555452 43509|GPRK|GPRK|G38327105|BMG383271050|GeoPark Limited|Common shares, par value US$0.001 per share|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|11|Q|Virtu Americas LLC|NITC|295|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-6|TXN3-2|TXN5-6|TXN2-5|TXN3-7|58100000|||Quarterly|||||2014-02-07||||||| | | | | | | | | |||N|0|N|Y|134F|CHL|AR|||60|6010|601010|60101010|Energy|Energy|Oil, Gas and Coal|Oil: Crude Producers|N||N||||||N|0|Y||Y|2|||8.9|8.9|0.0|9.0|8.89|8.905|8.9|8.905|0.0|0.0|8.92|8.91|8.89|9.27|9.28|8.89|9.29|8.89|9.27|8.89|8.89|8.9|7.08|10.91|8.82|8.98|8.87|8.92|8.87|8.93|8.89|8.9|16.1743|8.44|183409|51163984 1758|GPRO|GPRO|38268T103|US38268T1034|GoPro Inc|CL A COM USD.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN6-3|TXN12-1|TXN5-4|TXN5-5|125780000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4020|402030|40203060|Consumer Discretionary|Consumer Products and Services|Leisure Goods|Photography|N||N||||||Y|0|Y||||||3.63|3.625|0.0|3.63|3.62|3.625|3.62|3.625|0.0|0.0|3.63|3.625|3.62|3.62|3.59|3.625|3.625|3.62|3.625|3.62|3.6|3.65|2.87|4.49|3.62|3.65|3.6|3.66|3.59|3.64|3.62|3.63|6.57|2.41|1302241|332359880 6605|GPS|GPS|364760108|US3647601083|Gap, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|A|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-4|TXN2-1|TXN7-8|TXN1-8|TXN3-4|370830000|||Quarterly|||||1976-07-30||||||| | | | | | | | | |||N|0|Y|Y|146F|USA|US|||40|4040|404010|40401020|Consumer Discretionary|Retail |Retailers |Apparel Retailers|N||N||||||Y|0|Y||Y|1|||20.84|20.825|0.0|20.87|20.83|20.84|20.84|20.83|0.0|0.0|20.86|20.83|20.86|20.83|20.86|20.84|20.825|20.86|20.83|20.84|20.85|20.86|19.69|22.32|20.85|20.87|20.79|22.05|20.79|20.87|20.79|20.87|21.13|7.22|9172731|2023971956 43060|GQRE|GQRE|33939L787|US33939L7872|FlexShares Trust|FlexShares Global Quality Real Estate Index Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Northern Trust Investments|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-1|TXN4-6|TXN6-8|TXN3-7|TXN1-5|5650001|||Quarterly|||||2013-11-06||GQRE.NV|GQRE.SO|GQRE.EU|GQRE.TC|GQRE.IV| | | | | | | | | |1x|The Fund seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the Northern Trust Global Quality Real Estate IndexSM (the Underlying Index). The Underlying Index is designed to measure the performance of companies that exhibit certain quality, valuation and momentum characteristics within a universe of publicly-traded equity securities of U.S. and non-U.S. real estate investment trusts (REITs) and real estate companies. |N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|52.64|52.81|0.0|0.0|0.0|0.0|0.0|52.65|0.0|0.0|0.0|52.9726|0.0|52.9726|0.0|0.0|0.0|0.0|52.93|53.02|0.0|0.0|0.0|0.0|52.93|53.02|59.09|45.8557|2792|4232619 68341|GRAB|GRAB|G4124C109|KYG4124C1096|Grab Holdings Limited|CL A ORD||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN5-5|TXN12-4|TXN5-1|TXN5-4|3747120000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||SGP||||40|4020|402010|40201070|Consumer Discretionary|Consumer Products and Services|Consumer Services |Consumer Services: Misc.|N||N||||||Y|0|Y||||||3.16|3.15|0.0|3.15|3.15|3.155|3.155|3.16|0.0|0.0|3.155|3.15|3.15|3.15|3.145|3.15|3.145|3.155|3.145|3.15|3.14|3.16|2.47|3.85|3.14|3.16|3.13|3.18|3.12|3.18|3.15|3.16|4.03|2.65|25401814|4143900695 68342|GRABW|GRABW|G4124C117|KYG4124C1179|Grab Holdings Limited|WT EXP 120126||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-8|TXN5-3|TXN14-8|TXN5-6|TXN5-6|3912000000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||SGP||||||||||||N||N||||||N|0|Y|D|||||0.0|0.1962|0.0|0.0|0.0|0.1626|0.1657|0.0|0.0|0.0|0.161|0.161|0.17|0.0|0.0|0.0|0.0|0.1657|0.0|0.1657|0.0|0.0|0.0|0.0|0.1494|0.2133|0.0|0.0|0.0|0.0|0.161|0.1999|0.85|0.1126|17550|4915455 24816|GRBK|GRBK|392709101|US3927091013|Green Brick Partners, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|Q|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN1-3|TXN5-8|TXN2-2|TXN2-3|45380000|||NotApplicable|||||2021-12-13||||||| | | | | | | | | |||N|0|N|Y|124B|USA|US|||40|4020|402020|40202010|Consumer Discretionary|Consumer Products and Services|Household Goods and Home Construction|Home Construction|N||N||||||N|0|Y||Y|2|||49.44|49.45|0.0|49.72|49.43|49.45|49.45|49.455|0.0|0.0|49.43|49.49|49.49|49.51|49.3|49.5|47.1|49.5|49.49|49.5|49.51|49.52|38.47|60.5|49.38|49.56|38.47|49.56|49.51|49.57|49.51|49.52|59.3|22.98|405467|89277356 73060|GRBK PRA|GRBKpA|392709200|US3927092003|Green Brick Partners, Inc.|Depositary Shares (each representing a 1/1000th fractional interest in a share of 5.75% Series A Cumulative Perpetual Preferred Stock)|Operating company|B|N|N|N|Y|Y|Y|Y|Y|6|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN4-4|TXN8-8|TXN1-5|TXN3-2|2000000|||Quarterly|||||2021-12-29||||||| | | | | | | | | |||N|0|N|N|124B|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|17.69|0.0|0.0|0.0|17.56|17.6233|17.69|0.0|0.0|17.6|0.0|17.59|0.0|0.0|17.69|17.6|17.6233|0.0|17.69|17.54|17.7|17.6|17.7|17.0|18.87|0.0|0.0|0.0|0.0|17.54|17.7|21.2104|17.15|6426|1306456 6616|GRC|GRC|383082104|US3830821043|The Gorman-Rupp Company|Common Shares, without par value|Operating company|A|N|N|N|Y|Y|Y|Y|Y|11|Q|Virtu Americas LLC|NITC|295|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN1-2|TXN3-8|TXN2-2|TXN2-7|26190000|||Quarterly|||||2017-05-16||||||| | | | | | | | | |||N|0|N|Y|126E|USA|US|||50|5020|502020|50202020|Industrials|Industrial Goods and Services|Electronic and Electrical Equipment|Electronic Equipment: Control and Filter|N||N||||||N|0|Y||Y|2|||32.34|33.0|0.0|33.09|33.1|33.1|33.09|32.97|0.0|0.0|32.48|33.1|33.14|31.74|31.88|33.09|32.96|33.09|0.0|33.09|33.06|33.14|25.3|40.36|32.75|33.51|25.3|40.36|33.06|33.28|33.06|33.14|33.745|22.92|81116|13179246 68692|GRCL|GRCL|38406L103|US38406L1035|Gracell Biotechhnologies Inc|ADR||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN6-6|TXN10-7|TXN5-8|TXN6-6|479630000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||5.25|5.19|0.0|5.39|5.2|5.24|5.19|5.24|0.0|0.0|5.38|5.39|5.26|5.2|5.2|5.2|5.45|5.19|5.2|5.26|5.12|5.42|4.01|6.51|5.13|5.39|4.36|6.48|0.0|0.0|5.18|5.27|6.99|1.4|332198|81883580 71688|GREE|GREE|39531G308|US39531G3083|Greenidge Generation Holdings Inc|COM CL A USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN5-1|TXN11-2|TXN6-6|TXN5-7|4510000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101020|10102030|Technology|Technology|Technology Hardware and Equipment|Computer Hardware|N||N||||||N|0|Y||||||5.63|5.54|0.0|5.57|5.64|5.65|5.6212|5.625|0.0|0.0|5.69|5.58|5.67|5.53|5.6|5.53|5.59|5.63|5.54|5.67|5.42|5.82|4.4|6.89|5.46|5.79|4.68|5.72|5.57|5.73|5.61|5.67|8.99|0.2202|375930|220163142 72031|GREEL|GREEL|39531G209|US39531G2093|Greenidge Generation Holdings Inc 8.50 Senior Notes due 2026|ETN||U|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN5-4|TXN12-4|TXN6-7|TXN6-7|2890000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||||||||||N||N||||||N|0|Y||||||0.0|7.71|0.0|0.0|0.0|7.5|7.25|0.0|0.0|0.0|7.71|7.71|7.7|0.0|0.0|0.0|0.0|7.475|0.0|7.475|0.0|0.0|0.0|0.0|6.77|8.22|0.0|0.0|0.0|0.0|7.25|7.7|8.35|0.5501|6813|2634300 72341|GREI|GREI|38149W762|US38149W7627|Goldman Sachs ETF Trust|Goldman Sachs Future Real Estate and Infrastructure Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Goldman Sachs Asset Management|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN1-7|TXN2-8|TXN3-5|TXN1-1|700000|||BiAnnually|||||2021-11-11||GREI.NV|GREI.SO|GREI.EU|GREI.TC|GREI.IV| | | | | | | | | |1x|The Goldman Sachs Future Real Estate and Infrastructure Equity ETF is an actively managed, transparent exchange-traded fund that seeks long-term growth of capital. The Fund seeks to invest in global real estate and infrastructure equity securities that Goldman Sachs Asset Management believes are benefitting from secular growth driven by the increased adoption of technology or changing demographics.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||33.13|0.0|0.0|0.0|33.13|0.0|33.2797|33.14|0.0|0.0|33.15|0.0|0.0|0.0|0.0|0.0|0.0|33.13|0.0|33.13|0.0|0.0|0.0|0.0|33.12|33.21|0.0|0.0|0.0|0.0|33.12|33.21|37.2|28.76|10632|267226 39327|GREK|GREK|37954Y319|US37954Y3190|Global X Funds|Global X MSCI Greece ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Global X|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-3|TXN2-2|TXN7-8|TXN2-4|TXN4-5|4585644|||BiAnnually|||||2011-12-08||GREK.NV|GREK.SO|GREK.EU|GREK.TC|GREK.IV| | | | | | | | | |1x|The Global X MSCI Greece ETF (Fund) seeks to provide investment results that correspond generally to the price and yield performance, before fees and expenses, of the MSCI All Greece Select 25/50 Index (Underlying Index). The Underlying Index applies market capitalization and liquidity screenings on the MSCI All Greece Index (the Parent Index) and reflects 25/50 constraints, i.e. no issuer should have a weight above 25%, and the sum of weights of all issuers with weights above 5% should not exceed 50%. The Parent Index is weighted and rebalanced according to the MSCI All Market Index Methodology. The Underlying Index aims to represent the larger liquid segment of securities in the Parent Index above the defined size and liquidity thresholds.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||37.46|36.83|0.0|0.0|37.33|36.88|36.8935|36.78|0.0|0.0|37.08|0.0|36.925|36.81|36.96|36.55|0.0|36.97|0.0|36.97|34.98|38.86|34.8|39.31|36.97|37.03|36.7|37.16|36.7|37.16|36.97|37.03|39.99|25.89|25345|17494141 31740|GRES|GRES|45409B883|US45409B8836|IndexIQ ETF Trust|IQ Global Resources ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||IndexIQ |Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN3-6|TXN4-7|TXN4-1|TXN4-7|1150000|||Quarterly|||||2009-10-26||GRES.NV|GRES.SO|GRES.EU|GRES.TC|GRES.IV| | | | | | | | | |1x|IQ ARB Global Resources ETF (GRES) seeks investment results that correspond (before fees and expenses) generally to the price and yield performance of its Underlying Index, the IQ ARB Global Resources Index, developed by IndexIQ. The Underlying Indexs objective is to employ a systematic investment process designed to identify opportunities in markets exhibiting trending or momentum characteristics across commodity asset classes, represented by companies that operate in commodity-specific market segments and whose equity securities trade in developed markets, including the U.S.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|33.1263|33.19|0.0|0.0|0.0|0.0|33.12|32.94|0.0|0.0|0.0|33.1836|0.0|33.1836|30.8|35.46|0.0|0.0|33.17|33.21|30.8|35.46|0.0|0.0|33.17|33.21|36.69|31.2|3188|1787015 25865|GRF|GRF|269451100|US2694511005|Eagle Capital Growth Fund Inc|Common Stock|Closed end fund|P|N|N|A|Y|Y|Y|Y|Y|||Brendan E. Cryan and Company, L.L.C.|CRYN|0235|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-6|TXN2-8|TXN4-8|TXN3-1|TXN1-5|4010000|||Yearly|||||2007-10-15||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|8.65|8.65|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|8.65|8.65|0.0|8.65|0.0|0.0|8.5|8.85|8.5|8.65|0.0|0.0|0.0|0.0|8.5|8.65|11.0|7.93|1288|825203 38299|GRFS|GRFS|398438408|US3984384087|Grifols S A|SPON ADR RP .5 CL B||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN6-5|TXN10-8|TXN6-3|TXN5-7|261430000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||ESP||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||9.705|9.695|0.0|9.69|9.71|9.705|9.695|9.69|0.0|0.0|9.7|9.7|9.71|9.72|9.71|9.695|9.71|9.69|9.7|9.71|9.67|9.71|7.59|12.04|9.67|9.77|9.67|9.73|9.66|9.74|9.69|9.7|10.965|6.5|890535|181261751 74480|GRFX|GRFX|38867H104|US38867H1041|Graphex Group Limited|American Depositary Shares, each American Depositary Share representing 20 Ordinary Shares|Operating company|H|N|Y|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-5|TXN1-5|TXN9-8|TXN2-6|TXN4-4|788580000|||NotApplicable|||||2022-08-17||||||| | | | | | | | | |||N|0|N|N|408A|HKG|KY|||55|5520|552010|55201020|Basic Materials|Chemicals|Chemicals|Specialty Chemicals|N||N||||||N|0|Y||Y|2|||1.055|1.05|0.0|0.0|1.055|0.975|1.05|1.05|0.0|0.0|1.05|0.9798|1.05|1.05|0.0|1.05|1.06|1.06|0.0|1.06|0.0|0.0|1.01|1.06|1.0|1.06|0.0|0.0|0.0|0.0|1.01|1.06|1.99|0.97|278137|15226227 69142|GRI|GRI|3622AW106|US3622AW1069|GRI Bio Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-4|TXN6-4|TXN11-7|TXN6-6|TXN5-5|3250000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y|C|||||0.74|0.74|0.0|0.0|0.722|0.74|0.7373|0.7386|0.0|0.0|0.766|0.74|0.7372|0.766|0.83|0.7638|0.7544|0.7373|0.8199|0.7372|0.6245|0.8659|0.584|0.921|0.7371|0.75|0.7121|0.768|0.7065|0.7736|0.7372|0.74|13.33|0.4749|3552156|29793513 31856|GRID|GRID|33737A108|US33737A1088|First Trust NASDAQ Clean Edge Smart Grid Infrastructure Index Fund|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN6-8|TXN10-3|TXN6-2|TXN6-4|8000000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||97.28|97.3|0.0|0.0|97.3|0.0|97.32|97.24|0.0|0.0|0.0|0.0|97.3|97.31|0.0|0.0|0.0|97.3|0.0|97.3|90.84|103.44|90.84|103.44|97.22|97.31|90.84|103.44|0.0|0.0|97.23|97.31|107.86|85.1|101080|18353195 61135|GRIN|GRIN|Y28895103|SG9999019087|Grindrod Shipping Holdings Ltd|COM USD1||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN6-5|TXN10-7|TXN6-5|TXN5-5|19470000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||SGP||||50|5020|502060|50206030|Industrials|Industrial Goods and Services|Industrial Transportation|Marine Transportation|N||N||||||Y|0|Y||||||10.08|0.0|0.0|0.0|10.33|10.14|9.97|10.14|0.0|0.0|10.3|10.3|10.12|10.09|0.0|0.0|0.0|9.97|0.0|10.12|8.32|12.48|7.79|12.48|9.77|10.33|8.32|12.48|0.0|0.0|9.97|10.12|21.09|6.8|11075|13534733 1768|GRMN|GRMN|H2906T109|CH0114405324|Garmin Ltd.|Registered Shares|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-5|TXN3-4|TXN3-4|TXN4-5|TXN4-7|191330000|||Quarterly|||||2021-12-07||||||| | | | | | | | | |||N|5|Y|Y|114B|CHE|CH|||40|4020|402030|40203010|Consumer Discretionary|Consumer Products and Services|Leisure Goods|Consumer Electronics|N||N||||||Y|0|Y||Y|1|||124.19|124.2|0.0|124.25|124.22|124.18|124.18|124.2|0.0|0.0|124.2|123.84|124.13|124.14|124.23|124.18|124.21|124.18|124.2|124.18|124.18|124.19|115.21|132.3|124.08|124.25|124.06|124.3|124.05|124.33|124.18|124.19|124.525|89.25|1106191|187159424 64459|GRN|GRN|06747C322|US06747C3227|Barclays Bank PLC|iPath Series B Carbon Exchange-Traded Notes|Operating company|ETN|N|N|P|Y|Y|Y|Y|Y||||||||Barclays Bank Plc|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN3-7|TXN2-8|TXN3-3|TXN4-7|1513133|||NotApplicable|||||2019-09-10|2049-09-08| |GRN.SO| | |GRN.IV| | | | | | | | | |1x|iPath Series B Global Carbon ETN is an exchange-traded note issued in the USA. The Note will provide investors with a cash payment at the scheduled maturity or early redemption dated on the performance of the underlying index, the Barclays Capital Carbon Total Return Index.|N|0|N|N|402A||US|COMMODITIES_AND_FUTURES|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||28.0|28.28|0.0|0.0|0.0|28.28|28.31|28.0|0.0|0.0|30.1|28.31|27.98|28.021|0.0|0.0|0.0|28.18|0.0|28.18|27.85|28.46|27.85|28.46|28.05|28.31|27.85|28.46|27.85|28.46|28.05|28.31|39.02|27.98|3105|1462743 56757|GRNB|GRNB|92189F171|US92189F1710|VanEck ETF Trust|VanEck Green Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||VanEck Vectors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-4|TXN3-4|TXN1-5|TXN4-1|TXN1-8|3700000|||Monthly|||||2017-03-06||GRNB.NV|GRNB.SO|GRNB.EU|GRNB.TC|GRNB.IV| | | | | | | | | |1x|The VanEck Vectors Green Bond ETF seeks to replicate as closely as possible, before fees and expenses, the price and yield performance of the S&P Green Bond Select Index which is comprised of labelled green bonds that are issued to finance environmentally friendly projects, and includes bonds issued by supranational, government and corporate issuers globally in multiple currencies.|N|0|N|N|406C|USA|US|FIXED_INCOME|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|23.25|0.0|0.0|0.0|0.0|23.2691|0.0|0.0|0.0|23.25|0.0|23.25|23.28|0.0|0.0|0.0|23.27|0.0|23.27|0.0|0.0|0.0|0.0|23.25|23.28|0.0|0.0|0.0|0.0|23.25|23.28|23.76|22.22|7739|3426751 68766|GRND|GRND|39854F101|US39854F1012|Grindr Inc.|Class A Ordinary Shares|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN3-3|TXN9-8|TXN4-2|TXN4-7|174770000|||NotApplicable|||||2021-01-14||||||| | | | | | | | | |||N|0|N|Y|408A|USA|KY|||10|1010|101010|10101020|Technology|Technology|Software and Computer Services|Consumer Digital Services |N||N||||||N|0|Y||Y|2|||7.13|7.13|0.0|7.13|7.13|7.135|7.14|7.13|0.0|0.0|7.13|7.13|7.135|7.13|7.13|7.13|7.11|7.14|7.14|7.13|7.13|7.15|5.6|8.74|7.08|7.18|7.1|7.16|7.1|7.16|7.13|7.15|7.42|4.49|543728|69331021 68768|GRND WS|GRND.WS|39854F119|US39854F1194|Grindr Inc.|Warrants, each exercisable for one share of Common Stock at an exercise price of $11.50 per share|Operating company|C|N|N|N|Y|Y|Y|Y|Y|5|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN4-3|TXN3-8|TXN1-8|TXN1-3|174210000|||NotApplicable|||||2021-01-14||||||| | | | | | | | | |||N|0|N|N|408A|USA|KY|||||||||||N||N||||||N|0|Y|C|N||||1.11|1.19|0.0|0.0|1.2|1.19|1.2802|0.0|0.0|0.0|0.0|0.0|1.25|1.2|0.0|1.25|0.0|1.25|0.0|1.25|1.06|1.32|0.0|0.0|1.11|1.38|0.0|0.0|0.0|0.0|1.06|1.32|1.35|0.44|1895|7244599 61116|GRNQ|GRNQ|39540F309|US39540F3091|Greenpro Capital Corp|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-6|TXN5-4|TXN10-6|TXN6-2|TXN6-5|7580000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||MYS||||50|5020|502050|50205020|Industrials|Industrial Goods and Services|Industrial Support Services|Professional Business Support Services|N||N||||||N|0|Y||||||0.92|0.0|0.0|0.0|0.92|0.92|0.91|0.979|0.0|0.0|0.0|0.0|0.91|0.0|0.0|0.0|0.0|0.91|0.0|0.91|0.855|1.03|0.0|0.0|0.855|1.03|0.8|1.11|0.0|0.0|0.91|0.98|2.7499|0.7201|26277|15022872 73885|GRNR|GRNR|37960A842|US37960A8421|Global X Green Building ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN6-1|TXN11-8|TXN6-8|TXN5-4|100000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|22.01|0.0|0.0|0.0|0.0|21.98|0.0|22.01|0.0|0.0|0.0|0.0|21.85|22.28|0.0|0.0|0.0|0.0|22.01|22.11|24.26|18.665|601|38430 74786|GRNT|GRNT|387432107|US3874321074|Granite Ridge Resources, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-5|TXN1-5|TXN5-6|TXN4-2|TXN1-6|133000000|||Quarterly|||||2022-10-25||||||| | | | | | | | | |||N|0|N|N|134B|USA|US|||60|6010|601010|60101000|Energy|Energy|Oil, Gas and Coal|Integrated Oil and Gas|N||N||||||Y|0|Y||Y|2|||5.88|5.875|0.0|6.02|5.87|5.87|5.88|5.87|0.0|0.0|5.87|5.87|5.88|5.87|5.89|5.88|5.92|5.87|5.88|5.88|5.87|5.88|4.48|7.2|5.86|5.88|5.85|5.91|5.86|5.92|5.87|5.88|9.62|4.815|688341|63795439 63220|GROM|GROM|39878L506|US39878L5066|Grom Social Enterprises Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN6-5|TXN12-4|TXN5-1|TXN5-5|1970000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4020|402020|40202025|Consumer Discretionary|Consumer Products and Services|Household Goods and Home Construction|Household Equipment and Products|N||N||||||N|0|Y|D|||||0.0|1.08|0.0|0.0|0.0|1.08|1.08|0.0|0.0|0.0|1.08|1.08|1.08|1.055|0.0|1.07|1.06|1.08|0.0|1.08|0.848|1.32|0.848|1.32|1.04|1.13|1.04|1.11|1.03|1.12|1.07|1.08|9.0|0.1|61181|277896056 70888|GROMW|GROMW|39878L126|US39878L1263|Grom Social Enterprises Inc|WT EXP 061726||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN6-5|TXN11-6|TXN6-1|TXN5-3|1490000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|2.9|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|1.9|8.2|8.25|0.0506|17|400462 70587|GROV|GROV|39957D201|US39957D2018|Grove Collaborative Holdings, Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|O|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN1-3|TXN8-8|TXN4-7|TXN3-6|31410000|||NotApplicable|||||2021-05-13||||||| | | | | | | | | |||N|0|N|Y|408A|USA|KY|||40|4040|404010|40401030|Consumer Discretionary|Retail |Retailers |Specialty Retailers |N||N||||||Y|0|Y||Y|2|||1.99|1.97|0.0|0.0|1.98|1.98|1.985|1.99|0.0|0.0|1.96|0.0|1.99|1.99|0.0|1.96|0.0|1.97|1.96|1.96|1.97|2.0|1.52|2.45|1.92|2.0|1.94|2.04|1.93|2.04|1.97|2.0|3.81|0.1815|45796|125621085 1769|GROW|GROW|902952100|US9029521005|U.S. Global Investors Inc|CL A COM USD.05||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN6-3|TXN11-8|TXN5-5|TXN5-7|12240000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302020|30202010|Financials|Financial Services |Investment Banking and Brokerage Services |Asset Managers and Custodians|N||N||||||Y|0|Y||||||0.0|3.0|0.0|0.0|2.98|3.03|3.0301|3.0|0.0|0.0|0.0|0.0|3.02|0.0|0.0|3.0|0.0|3.02|0.0|3.02|2.85|3.19|2.35|3.69|2.88|3.14|2.35|3.69|0.0|0.0|3.02|3.05|3.3|2.41|19695|6661232 69527|GROY|GROY|38071H106|CA38071H1064|Gold Royalty Corp.|Common Shares|Operating company|A|N|Y|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-1|TXN1-4|TXN9-8|TXN1-1|TXN2-3|144970000|||Quarterly|||||2021-03-09||||||| | | | | | | | | |||N|0|N|N|130C|CAN|CA|||55|5510|551030|55103025|Basic Materials|Basic Resources|Precious Metals and Mining|Gold Mining|N||N||||||Y|0|Y||Y|2|||1.55|1.555|0.0|0.0|1.55|1.555|1.55|1.55|0.0|0.0|1.55|1.56|1.555|1.56|1.555|1.54|1.56|1.56|1.57|1.56|1.54|1.59|1.55|1.56|1.55|1.59|1.52|1.59|1.52|1.57|1.55|1.56|2.85|1.18|538851|104158032 69531|GROY WS|GROY.WS|38071H114||Gold Royalty Corp.|Warrants, each warrant exercisable for one common share at an exercise price of $7.50|Operating company|C|N|Y|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN11-2|TXN2-6|TXN4-8|TXN2-8|TXN3-6|0|||NotApplicable|||||2021-03-09|2024-03-09|||||| | | | | | | | | |||N|0|N|N|130C||CA|||50|5020|502040|50204000|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Industrial|N||N||||||N|0|Y|D|N||||0.0|0.0|0.0|0.0|0.0|0.0278|0.0276|0.0|0.0|0.0|0.028|0.0278|0.0276|0.0|0.0|0.0|0.0276|0.0276|0.0|0.0276|0.0221|0.034|0.0276|0.028|0.0258|0.0299|0.0221|0.034|0.0|0.0|0.0276|0.028|0.49|0.025|39197|4860381 41263|GRP U|GRP.U|387437114|CA3874371147|Granite Real Estate Investment Trust|Stapled Units, each consisting of one unit of Granite Real Estate Investment Trust and one common share of Granite REIT Inc.|Real estate investment trust|R|N|Y|N|Y|Y|Y|Y|Y|6|O|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN1-5|TXN8-8|TXN1-1|TXN4-4|63740000|||Monthly|||||2013-01-04||||||| | | | | | | | | |||N|0|N|N|132B|CAN|CA|||35|3510|351020|35102020|Real Estate|Real Estate |Real Estate Investment Trusts|Industrial REITs|N||N||||||N|0|Y||Y|2|||0.0|52.85|0.0|0.0|52.7|0.0|52.885|52.87|0.0|0.0|0.0|0.0|52.84|0.0|0.0|52.87|0.0|52.87|52.37|52.87|49.09|53.47|0.0|0.0|52.45|52.8|52.55|52.69|0.0|0.0|52.45|52.8|66.543|45.355|1769|549335 70976|GRPH|GRPH|38870X104|US38870X1046|Graphite Bio Inc|COM USD.00001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN6-1|TXN10-8|TXN6-2|TXN6-6|58000000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||2.3|2.28|0.0|0.0|2.28|2.275|2.28|2.275|0.0|0.0|2.28|2.28|2.28|0.0|2.27|2.265|2.27|2.28|2.275|2.28|2.23|2.32|1.76|2.78|2.23|2.32|2.24|2.31|2.23|2.32|2.27|2.28|3.64|1.59|157052|41430162 36216|GRPM|GRPM|46137V225|US46137V2253|Invesco Exchange-Traded Fund Trust|Invesco S&P MidCap 400 GARP ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Invesco|GTS Securities 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LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN2-2|TXN5-8|TXN2-5|TXN4-3|17160000|||Quarterly|||||2007-06-19||||||| | | | | | | | | |||N|0|N|N|406B|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||8.93|8.93|0.0|0.0|8.81|8.93|8.94|8.935|0.0|0.0|8.93|8.94|8.93|8.95|0.0|8.93|8.96|8.92|0.0|8.93|8.92|8.94|8.93|8.95|8.91|9.55|0.0|0.0|0.0|0.0|8.92|8.94|10.67|7.73|60800|8832734 6633|GS|GS|38141G104|US38141G1040|Goldman Sachs Group, Inc., The|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN2-2|TXN8-5|TXN3-8|TXN1-8|326110000|||Quarterly|||||1999-05-04||||||| | | | | | | | | |||Y|1|Y|Y|404A|USA|US|||30|3020|302020|30202015|Financials|Financial Services |Investment Banking and Brokerage Services |Investment Services|N||N||||||Y|0|Y||Y|1|||349.52|349.46|0.0|349.41|349.46|349.425|349.34|349.41|0.0|0.0|349.4|349.48|349.36|349.46|349.32|349.39|349.02|349.4|349.14|349.39|349.35|349.37|324.43|368.85|349.22|349.6|349.19|349.57|349.36|349.62|349.35|349.37|379.68|289.3568|2178216|547579812 6634|GS PRA|GSpA|38143Y665|US38143Y6656|Goldman Sachs Group, Inc., The|Depositary Shares (Representing 1/1000th Share of Floating Rate Non-Cumulative Preferrred Stock, Series A, Liquidation preference $25)|Operating company|B|N|N|N|Y|Y|Y|Y|Y|6|O|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN4-8|TXN1-5|TXN4-5|TXN1-8|30000000|||Quarterly|||||2005-04-25|2010-04-25|||||| | | | | | | | | |||N|0|N|N|404A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||21.39|21.46|0.0|0.0|21.4|21.44|21.6899|21.36|0.0|0.0|21.42|0.0|21.45|21.67|0.0|21.45|21.43|21.6899|0.0|21.45|21.42|21.65|21.09|21.47|21.09|22.05|0.0|0.0|0.0|0.0|21.42|21.65|22.25|17.91|66123|11416903 6636|GS PRC|GSpC|38144X609|US38144X6094|Goldman Sachs Group, Inc., The|Depositary Shares (Representing 1/1000th Share of Floating Rate Non-Cumulative Preferred Stock, Series C, Par Value $0.01)|Operating company|B|N|N|N|Y|Y|Y|Y|Y|6|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN3-8|TXN7-8|TXN3-6|TXN3-8|8000000|||Quarterly|||||2005-11-04||||||| | | | | | | | | |||N|0|N|N|404A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||21.58|21.58|0.0|0.0|21.58|21.59|21.59|21.68|0.0|0.0|21.64|0.0|21.58|0.0|0.0|21.59|21.6|21.59|21.59|21.59|21.49|21.67|21.53|21.58|21.06|22.01|0.0|0.0|0.0|0.0|21.49|21.67|22.6|18.79|13168|3439253 16625|GS PRD|GSpD|38144G804|US38144G8042|Goldman Sachs Group, Inc., The|Depositary Shares (Representing 1/1,000th Share of Floating Rate Non-Cumulative Preferred Stock, Series D)|Operating company|B|N|N|N|Y|Y|Y|Y|Y|6|O|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN3-5|TXN7-8|TXN3-6|TXN4-3|54000000|||Quarterly|||||2006-06-07|2011-05-24|||||| | | | | | | | | |||N|0|N|N|404A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||21.17|21.4|0.0|0.0|21.15|21.18|21.163|21.2|0.0|0.0|21.25|21.18|21.19|0.0|0.0|21.21|21.17|21.21|0.0|21.21|21.15|21.21|16.46|26.03|20.7|21.65|16.46|26.03|0.0|0.0|21.15|21.21|22.25|18.44|59838|18289466 44094|GS PRK|GSpK|38148B108|US38148B1089|Goldman Sachs Group, Inc., The|Depositary Shares, Each Representing 1/1,000th Interest in a Share of 6.375% Fixed-to-Floating Rate Non-Cumulative Preferred Stock, Series K|Operating company|B|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN2-1|TXN3-8|TXN4-5|TXN1-7|28000000|||Quarterly|||||2014-04-21||||||| | | | | | | | | |||N|0|N|N|404A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|25.29|0.0|0.0|25.28|25.27|25.2703|25.265|0.0|0.0|25.28|0.0|25.26|25.4|0.0|25.27|25.31|25.2703|0.0|25.27|25.27|25.29|25.31|25.34|24.77|25.91|0.0|0.0|0.0|0.0|25.27|25.29|26.38|24.13|49862|18161401 17474|GSAT|GSAT|378973408|US3789734080|Globalstar Inc.|Voting Common Stock par value $0.0001 per share|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-7|TXN1-1|TXN5-7|TXN3-3|TXN1-8|1876120000|||NotApplicable|||||2014-04-21||||||| | | | | | | | | |||N|0|N|N|306A|USA|US|||15|1510|151020|15102015|Telecommunications|Telecommunications|Telecommunications Service Providers |Telecommunications Services|N||N||||||Y|0|Y|D|Y|2|||1.51|1.5|0.0|1.51|1.5|1.5|1.5|1.5|0.0|0.0|1.5|1.5|1.505|1.5|1.505|1.505|1.51|1.51|1.505|1.51|1.49|1.52|1.5|1.51|1.5|1.52|1.48|1.53|1.47|1.52|1.5|1.51|1.86|0.8538|3942831|1002962589 1772|GSBC|GSBC|390905107|US3909051076|Great Southern Bancorp Inc|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN5-6|TXN14-8|TXN6-1|TXN5-5|11800000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||||||54.34|54.235|0.0|0.0|54.32|54.21|54.49|54.16|0.0|0.0|54.07|0.0|54.35|0.0|0.0|54.02|0.0|54.49|0.0|54.35|53.09|55.31|0.0|0.0|53.3|54.37|41.49|64.86|54.16|54.43|54.22|54.37|62.57|45.385|19786|6028710 49549|GSBD|GSBD|38147U107|US38147U1079|Goldman Sachs BDC, Inc.|Common Stock|Business development company|A|N|N|N|Y|Y|Y|Y|Y|5|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-6|TXN2-4|TXN4-8|TXN3-4|TXN3-6|109560000|||Quarterly|||||2015-03-18||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||Y|0|Y||Y|2|||14.86|14.87|0.0|14.85|14.87|14.87|14.87|14.87|0.0|0.0|14.87|14.87|14.87|14.969|14.86|14.86|14.87|14.86|14.7|14.86|14.86|14.88|11.5|18.24|14.84|14.9|14.85|14.89|14.84|14.9|14.86|14.88|16.52|12.75|400591|120920003 76440|GSC|GSC|38149W614|US38149W6140|Goldman Sachs ETF Trust|Goldman Sachs Small Cap Core Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Goldman Sachs Asset Management|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-8|TXN1-5|TXN5-8|TXN3-7|TXN3-3|225000|||Quarterly|||||2023-10-05||GSC.NV|GSC.SO|GSC.EU|GSC.TC|GSC.IV| | | | | | | | | ||The Funds fundamental equity investment process involves evaluating potential investments based on specific characteristics believed to indicate a high-quality business with sustainable growth, including strong business franchises, favorable long-term prospects, and excellent management. 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September|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN4-8|TXN3-8|TXN3-2|TXN2-8|4230000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|30.8571|0.0|0.0|0.0|0.0|30.85|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|30.8571|0.0|30.8571|23.88|37.86|23.88|30.91|30.81|30.96|30.78|30.93|30.78|30.92|30.84|30.87|30.9748|28.89|4655|5716432 52619|GSEU|GSEU|381430305|US3814303059|Goldman Sachs ETF Trust|Goldman Sachs ActiveBeta Europe Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Goldman Sachs Asset Management|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-1|TXN1-7|TXN2-8|TXN3-3|TXN2-1|350000|||BiAnnually|||||2016-03-04||GSEU.NV|GSEU.SO|GSEU.EU|GSEU.TC|GSEU.IV| | | | | | | | | |1x|The ActiveBeta Europe Equity Index is designed to provide a diversified capture of common factorsvalue, momentum, volatility and qualityacross European stocks.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|33.56|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|33.5951|0.0|33.5951|0.0|0.0|0.0|0.0|33.58|33.61|0.0|0.0|0.0|0.0|33.58|33.61|34.59|29.5874|1694|229350 59557|GSEW|GSEW|381430438|US3814304388|Goldman Sachs Equal Weight U.S. Large Cap Equity ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-4|TXN3-6|TXN5-8|TXN2-3|TXN3-4|7550000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|64.12|0.0|0.0|0.0|0.0|64.12|0.0|0.0|0.0|0.0|0.0|0.0|64.01|0.0|64.06|0.0|64.12|0.0|64.12|64.08|64.25|63.82|64.4|64.08|64.12|63.81|64.41|63.81|64.4|64.08|64.12|65.03|56.45|15090|7163134 71154|GSFP|GSFP|38149W796|US38149W7965|Goldman Sachs ETF Trust|Goldman Sachs Future Planet Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Goldman Sachs Asset Management|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-8|TXN2-5|TXN2-7|TXN4-1|TXN1-4|1575000|||Yearly|||||2021-07-15||GSFP.NV|GSFP.SO|GSFP.EU|GSFP.TC|GSFP.IV| | | | | | | | | |1x|The Goldman Sachs Future Planet Equity ETF is an actively managed, transparent exchange-traded fund that seeks long-term growth of capital. The Fund seeks to achieve this investment objective by investing in global equity securities that GSAM believes are aligned with the key themes associated with seeking to solve environmental problems, which include, but are not limited to, clean energy, resource efficiency, sustainable consumption, the circular economy, and water sustainability.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|28.93|27.69|0.0|0.0|28.9|0.0|0.0|0.0|0.0|28.9|0.0|28.928|0.0|28.928|26.97|31.04|0.0|0.0|28.9|28.95|28.88|28.95|0.0|0.0|28.9|28.95|33.07|25.13|2557|950726 16884|GSG|GSG|46428R107|US46428R1077|iShares S&P GSCI Commodity-Indexed Trust|Shares (Units of Beneficial Interest)|Trust|ETV|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-4|TXN3-6|TXN3-5|TXN2-4|TXN2-1|51400000|||NotApplicable|||||2007-12-27||GSG.NV|GSG.SO|GSG.EU|GSG.TC|GSG.IV| | | | | | | | | |1x|The investment objective of the iShares S&P GSCI Commodity-Indexed Trust (the Trust) is to seek investment results, through the Trusts investment in the iShares S&P GSCI Commodity-Indexed Investing Pool (Investing Pool), that correspond generally to the performance of the S&P GSCI Total Return Index before payment of the Trusts and the Investing Pools expenses and liabilities. The Index is intended to reflect the performance of a diversified group of commodities. The S&P GSCI itself is an index on a production-weighted basket of principal physical commodities that satisfy specified criteria. The S&P GSCI reflects the level of commodity prices at a given time and is designed to be a measure of the performance over time of the markets for these commodities. The commodities represented in the S&P GSCI are those physical commodities on which active and liquid contracts are traded on trading facilities in major industrialized countries. The commodities included in the S&P GSCI are weighted, on a production basis, to reflect the relative significance (in the view of the Index Sponsor) of those commodities to the world economy. The fluctuations in the level of the S&P GSCI are intended generally to correlate with changes in the prices of those physical commodities in global markets. The value of the S&P GSCI has been normalized such that its hypothetical level on January 2, 1970 was 100.|N|0|N|N|406C|USA|US|COMMODITIES_AND_FUTURES|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||20.34|20.335|0.0|20.33|20.34|20.335|20.34|20.34|0.0|0.0|20.34|20.34|20.34|20.34|20.34|20.34|20.34|20.33|20.34|20.33|20.34|20.35|20.32|20.37|20.34|20.35|20.32|20.37|20.32|20.37|20.34|20.35|22.9505|18.645|1763085|149645580 60933|GSHD|GSHD|38267D109|US38267D1090|Goosehead Insurance Inc|COM Cl A USD0.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN6-3|TXN12-1|TXN6-3|TXN6-4|24450000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3030|303020|30302015|Financials|Insurance|Non-life Insurance|Insurance Brokers|N||N||||||Y|0|Y||||||74.6|74.66|0.0|74.5|74.67|74.58|74.53|74.56|0.0|0.0|74.6|74.58|74.56|74.6|74.76|74.63|0.0|74.55|73.87|74.56|73.92|75.28|57.27|91.4|73.94|74.7|74.37|74.68|74.45|74.71|74.49|74.56|79.3999|31.2117|247930|61118397 66444|GSID|GSID|381430180|US3814301806|Goldman Sachs MarketBeta International Equity|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-3|TXN4-8|TXN7-8|TXN3-4|TXN2-2|14000000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|51.33|0.0|0.0|0.0|0.0|51.33|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|51.33|0.0|51.33|39.12|61.75|0.0|0.0|51.29|51.46|39.12|61.75|0.0|0.0|51.29|51.46|53.0799|46.55|158404|7395482 51882|GSIE|GSIE|381430107|US3814301079|Goldman Sachs ETF Trust|Goldman Sachs ActiveBeta International Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Goldman Sachs Asset Management|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-7|TXN1-1|TXN7-6|TXN4-2|TXN3-2|104900000|||Quarterly|||||2015-11-10||GSIE.NV|GSIE.SO|GSIE.EU|GSIE.TC|GSIE.IV| | | | | | | | | |1x|The ActiveBeta International Equity Index is designed to provide a diversified capture of common factorsvalue, momentum, volatility and qualityacross world ex. United States stocks.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||0.0|31.38|0.0|0.0|31.39|31.385|31.385|31.37|0.0|0.0|31.395|31.36|31.39|31.37|31.395|31.39|31.395|31.39|31.37|31.39|31.35|33.04|29.45|33.57|31.38|31.4|29.66|33.04|31.31|31.45|31.38|31.4|32.36|28.51|281371|91258487 66933|GSIG|GSIG|38149W507|US38149W5076|Goldman Sachs ETF Trust|Goldman Sachs Access Investment Grade Corporate 1-5 Year Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Goldman Sachs Asset Management|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-6|TXN4-6|TXN9-8|TXN3-8|TXN2-8|300000|||Monthly|||||2020-07-09||GSIG.NV|GSIG.SO|GSIG.EU|GSIG.TC|GSIG.IV| | | | | | | | | |1x|The Goldman Sachs Access Investment Grade Corporate 1-5 Year Bond ETF seeks to provide investment results that closely correspond, before fees and expenses, to the performance of the FTSE Goldman Sachs US Investment-Grade Corporate Bond 1-5 Years Index. The FTSE Goldman Sachs US Investment-Grade Corporate Bond 1-5 Years Index tracks the performance of US Dollar denominated investment-grade corporate debt. The index provides a broad representation of the US investment grade corporate bond market while excluding issuers with the lowest operating margin and highest leverage.|N|0|N|N|416A|USA|US|FIXED_INCOME|INDEX|||||||||N||N||||||N|0|Y||Y|2|||46.27|46.27|0.0|0.0|46.27|0.0|46.23|0.0|0.0|0.0|46.27|0.0|46.27|46.27|0.0|0.0|0.0|46.2664|0.0|46.2664|0.0|0.0|0.0|0.0|46.24|46.3|0.0|0.0|0.0|0.0|46.24|46.5|46.66|44.9|3902|364035 19319|GSIT|GSIT|36241U106|US36241U1060|GSI Technology Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN6-3|TXN10-8|TXN5-1|TXN5-5|25220000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101020|10102010|Technology|Technology|Technology Hardware and Equipment|Semiconductors|N||N||||||Y|0|Y||||||2.68|2.69|0.0|2.7|2.69|2.65|2.685|2.705|0.0|0.0|2.67|2.63|2.71|2.68|0.0|2.685|0.0|2.69|2.73|2.71|2.59|2.8|2.06|3.3|2.61|2.76|2.62|2.75|2.62|2.78|2.67|2.72|9.8|1.45|111675|348800490 76709|GSIW|GSIW|G3730L107|KYG3730L1077|Garden Stage Ltd|ORD||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN6-1|TXN14-3|TXN5-5|TXN5-4|12750000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||HKG||||||||||||N||N||||||N|0|Y|C|||||7.73|7.0|0.0|0.0|7.73|7.73|7.5115|7.725|0.0|0.0|7.1|8.0|7.28|7.144|7.0|7.73|6.99|7.5115|8.52|7.28|5.82|9.73|5.82|9.73|7.1|8.15|5.82|9.73|0.0|0.0|7.5|7.95|11.7|4.2|545976|5607624 52620|GSJY|GSJY|381430404|US3814304040|Goldman Sachs ETF Trust|Goldman Sachs ActiveBeta Japan Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Goldman Sachs Asset Management|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-8|TXN4-5|TXN4-8|TXN1-3|TXN3-5|400000|||BiAnnually|||||2016-03-04||GSJY.NV|GSJY.SO|GSJY.EU|GSJY.YC|GSJY.IV| | | | | | | | | |1x|The ActiveBeta Japan Equity Index is designed to provide a diversified capture of common factorsvalue, momentum, volatility and qualityacross Japanese stocks.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|34.4001|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|34.3883|0.0|34.3883|0.0|0.0|0.0|0.0|34.36|34.39|0.0|0.0|0.0|0.0|34.36|34.39|35.49|29.45|218|431417 74291|GSK|GSK|37733W204|US37733W2044|GSK plc|American Depositary Shares (Each representing two Ordinary Shares)|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|6|T|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN3-8|TXN2-2|TXN1-8|TXN3-2|4095030000|||Quarterly|||||2022-07-19||||||| | | | | | | | | |||N|0|N|Y|122A|GBR|GB|||20|2010|201030|20103015|Health Care |Health Care |Pharmaceuticals and Biotechnology|Pharmaceuticals |N||N||||||Y|0|Y||Y|2|||36.63|36.63|0.0|0.0|36.63|36.63|36.635|36.635|0.0|0.0|36.63|36.65|36.63|36.64|36.66|36.63|36.665|36.635|36.665|36.63|36.63|36.64|28.23|44.62|36.62|36.64|36.6|36.67|36.6|36.67|36.63|36.64|39.74|33.2|3358901|788232934 26257|GSL|GSL|Y27183600|MHY271836006|Global Ship Lease, Inc.|Class A Common Shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|5|A|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-7|TXN2-1|TXN3-5|TXN4-7|TXN4-7|35190000|||Quarterly|||||2019-03-25||||||| | | | | | | | | |||N|0|N|Y|200A|GBR|MH|||50|5020|502060|50206030|Industrials|Industrial Goods and Services|Industrial Transportation|Marine Transportation|N||N||||||Y|0|Y||Y|2|||18.83|18.845|0.0|18.78|18.84|18.84|18.845|18.85|0.0|0.0|18.84|18.83|18.85|18.83|18.8|18.84|18.84|18.85|18.9|18.84|18.83|18.86|14.69|23.22|18.7|18.98|18.82|18.86|18.82|18.87|18.84|22.57|21.83|15.82|535604|132438633 44826|GSL PRB|GSLpB|Y27183121|MHY271831213|Global Ship Lease, Inc.|Depositary Shares, each of which represents a 1/100th interest in a share of 8.75% Series B Cumulative Redeemable Perpetual Preferred Shares|Operating company|B|N|Y|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN2-2|TXN2-8|TXN4-3|TXN2-7|4360000|||Quarterly|||||2014-08-25||||||| | | | | | | | | |||N|0|N|N|200A|GBR|MH|||50|5020|502060|50206030|Industrials|Industrial Goods and Services|Industrial Transportation|Marine Transportation|N||N||||||N|0|Y||Y|2|||0.0|26.4|0.0|0.0|0.0|25.55|25.53|25.88|0.0|0.0|25.78|0.0|25.55|0.0|0.0|25.53|25.85|25.53|0.0|25.53|25.52|25.72|25.55|25.72|25.08|26.06|0.0|0.0|0.0|0.0|25.52|25.72|26.55|23.5|9647|2161958 50699|GSLC|GSLC|381430503|US3814305039|Goldman Sachs ETF Trust|Goldman Sachs ActiveBeta U.S. Large Cap Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Goldman Sachs Asset Management|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-5|TXN1-2|TXN2-2|TXN1-2|TXN2-5|122952500|||Quarterly|||||2015-09-21||GSLC.NV|GSLC.SO|GSLC.EU|GSLC.TC|GSLC.IV| | | | | | | | | |1x|The ActiveBeta U.S. Large Cap Equity Index is designed to provide a diversified capture of common factorsvalue, momentum, volatility and qualityacross United States large capitalization stocks.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||90.18|90.19|0.0|0.0|90.18|90.11|90.185|90.51|0.0|0.0|90.08|90.45|90.165|90.0|89.82|90.19|90.51|90.13|0.0|90.13|90.08|90.29|90.02|90.29|90.15|90.18|90.08|90.29|90.02|90.29|90.15|90.18|90.59|75.09|213628|70774364 31273|GSM|GSM|G33856108|GB00BYW6GV68|Ferroglobe PLC|ORD USD7.5||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN5-8|TXN10-6|TXN5-4|TXN6-2|187430000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||GBR||||55|5510|551020|55102050|Basic Materials|Basic Resources|Industrial Metals and Mining|Nonferrous Metals|N||N||||||Y|0|Y||||||6.1|6.11|0.0|5.93|6.1|6.115|6.12|6.11|0.0|0.0|6.115|6.115|6.12|6.03|6.12|6.11|6.095|6.1|6.11|6.12|6.04|6.17|4.75|7.46|6.06|6.17|6.07|6.14|6.09|6.12|6.1|6.11|6.235|3.64|2798138|265496349 61729|GSMGW|GSMGW|G39973113|KYG399731135|Cheer Holding Inc|WT exp 021325||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-8|TXN5-6|TXN10-7|TXN5-3|TXN6-3|92320000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.008|0.0|0.0|0.0|0.0|0.006|0.008|0.1156|0.0022|48|17985755 68610|GSPY|GSPY|886364835|US8863648353|Tidal ETF Trust|Gotham Enhanced 500 ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Tidal ETF Services |Latour Trading, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-6|TXN1-1|TXN4-8|TXN3-5|TXN3-3|13900000|||Yearly|||||2020-12-29||GSPY.NV|GSPY.SO|GSPY.EU|GSPY.TC| | | | | | | | | | |1x|The Fund is an actively-managed exchange-traded fund (ETF) that seeks to achieve its investment objective by generally investing in securities of issuers included in the S&P 500 Index (the Index). 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Cryan and Company, L.L.C.|CRYN|0235|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-1|TXN4-6|TXN6-3|TXN3-4|TXN1-7|33290000|||NotApplicable|||||2008-04-08||||||| | | | | | | | | |||N|0|N|N|134A|CAN|US|||60|6010|601010|60101010|Energy|Energy|Oil, Gas and Coal|Oil: Crude Producers|N||N||||||Y|0|Y||Y|2|||6.21|6.21|0.0|0.0|6.21|6.2|6.2|6.215|0.0|0.0|6.2|6.21|6.2|6.2|6.21|6.22|6.18|6.18|6.25|6.18|6.19|6.22|6.19|6.22|6.19|6.22|5.89|6.24|6.19|6.22|6.2|6.22|7.25|0.6|318791|297899861 61374|GTEC|GTEC|G4095T107|VGG4095T1075|Greenland Technologies Holding Corp|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN6-7|TXN14-7|TXN5-7|TXN5-8|13600000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4010|401010|40101025|Consumer Discretionary|Automobiles and Parts|Automobiles and Parts|Auto Parts|N||N||||||N|0|Y||||||2.55|2.51|0.0|0.0|2.55|2.53|2.54|0.0|0.0|0.0|2.6|2.56|2.52|0.0|0.0|0.0|0.0|2.54|0.0|2.54|2.01|3.06|2.0|3.17|2.35|2.76|2.0|3.06|0.0|0.0|2.51|2.57|5.25|1.13|65918|30864264 71694|GTEK|GTEK|38149W812|US38149W8120|Goldman Sachs ETF Trust|Goldman Sachs Future Tech Leaders Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Goldman Sachs Asset Management|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-3|TXN4-6|TXN1-5|TXN1-4|TXN4-8|6175000|||Yearly|||||2021-09-16||GTEK.NV|GTEK.SO|GTEK.EU|GTEK.TC|GTEK.IV| | | | | | | | | |1x|The Goldman Sachs Future Tech Leaders Equity ETF is an actively managed, transparent exchange-traded fund that seeks long-term growth of capital. 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LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN1-7|TXN8-8|TXN2-7|TXN4-8|87260000|||Quarterly|||||1996-09-24||||||| | | | | | | | | |||N|0|N|Y|144A|USA|US|||40|4030|403010|40301035|Consumer Discretionary|Media|Media|Radio and TV Broadcasters|N||N||||||Y|0|Y||Y|2|||8.25|8.225|0.0|8.2|8.23|8.225|8.22|8.225|0.0|0.0|8.225|8.25|8.225|8.23|8.25|8.22|8.255|8.22|8.23|8.22|8.22|8.23|6.45|10.04|8.2|8.26|8.2|8.26|8.19|8.27|8.22|8.23|14.4|5.97|752905|240536509 6660|GTN A|GTN.A|389375205|US3893752051|Gray Television, Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|C|Citadel Securities 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Fund|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN6-3|TXN11-2|TXN6-2|TXN6-7|2780000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|22.38|0.0|0.0|22.38|0.0|0.0|0.0|0.0|22.48|0.0|0.0|0.0|0.0|22.38|0.0|22.48|0.0|0.0|0.0|0.0|22.45|22.52|0.0|0.0|0.0|0.0|22.45|22.52|22.96|20.5218|293|1398349 61774|GTX|GTX|366505105|US3665051054|Garrett Motion Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN6-4|TXN14-2|TXN5-2|TXN6-7|242420000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHE||||40|4010|401010|40101025|Consumer Discretionary|Automobiles and Parts|Automobiles and Parts|Auto Parts|N||N||||||Y|0|Y||||||7.71|7.715|0.0|7.72|7.71|7.715|7.715|7.715|0.0|0.0|7.72|7.72|7.72|7.72|7.7|7.715|7.72|7.715|7.72|7.72|7.69|7.72|5.98|9.31|7.69|7.72|7.68|7.75|7.67|7.76|7.71|7.72|8.68|6.43|777047|171831026 6662|GTY|GTY|374297109|US3742971092|Getty Realty Corp.|Common Stock|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-6|TXN2-1|TXN8-6|TXN4-3|TXN1-1|52700000|||Quarterly|||||1985-08-12||||||| | | | | | | | | |||N|0|N|Y|154A|USA|US|||35|3510|351020|35102045|Real Estate|Real Estate |Real Estate Investment Trusts|Retail REITs|N||N||||||Y|0|Y||Y|2|||30.28|30.52|0.0|30.08|30.47|30.49|30.48|30.46|0.0|0.0|30.48|30.52|30.46|30.1|30.4|30.48|30.49|30.46|30.03|30.48|30.46|30.48|23.25|37.06|30.43|30.53|30.44|30.51|30.44|30.51|30.46|30.48|36.49|25.95|382585|74827171 72584|GUG|GUG|40170T106|US40170T1060|Guggenheim Active Allocation Fund|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN1-4|TXN5-8|TXN2-2|TXN3-3|32750000|||Monthly|||||2021-11-24||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||13.92|13.87|0.0|13.94|13.89|13.895|13.89|13.9|0.0|0.0|13.88|0.0|13.91|13.89|0.0|13.89|0.0|13.89|0.0|13.89|13.88|13.9|10.82|17.22|12.94|14.87|13.84|13.95|13.87|13.93|13.88|13.9|15.33|12.71|60122|19761231 38839|GUNR|GUNR|33939L407|US33939L4077|FlexShares Trust|FlexShares Morningstar Global Upstream Natural Resources Index Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Northern Trust Investments|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-8|TXN4-1|TXN8-1|TXN4-5|TXN2-6|179300001|||Quarterly|||||2011-09-22||GUNR.NV|GUNR.SO|GUNR.EU|GUNR.TC|GUNR.IV| | | | | | | | | |1x|The fund seeks to provide investment results that, before fees and expenses, correspond generally to the price and yield performance of the Morningstar Global Upstream Natural Resources Index(the Undlerying Index). The Underlying Index reflects the performance of a selection of equity securities that are traded in or are issued by companies domiciled in global developed or emerging markets (including the U.S.), as determined by the Index Provider pursuant to its index methodology. The companies included in the Underlying Index have significant business operations in the ownership, management and/or production of natural resources in energy, agriculture, precious or industrial metals, timber and water resources sectors, as determined by the Index Provider pursuant to its index methodology. In addition to tracking the performance of the Underlying Index, the Investment Adviser seeks to minimize portfolio turnover and tax inefficiencie|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||40.01|39.99|0.0|0.0|40.0|39.97|39.985|39.98|0.0|0.0|40.0|39.98|39.985|39.95|40.02|39.98|39.99|40.0|39.95|40.0|38.24|42.19|39.83|40.19|39.98|39.99|39.96|40.09|39.96|40.09|39.98|39.99|46.625|38.19|458263|161210201 31673|GURE|GURE|40251W408|US40251W4087|Gulf Resources Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN5-5|TXN14-1|TXN6-1|TXN6-4|10430000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||55|5520|552010|55201020|Basic Materials|Chemicals|Chemicals|Specialty Chemicals|N||N||||||Y|0|Y||||||0.0|0.0|0.0|0.0|0.0|1.54|1.54|1.54|0.0|0.0|0.0|0.0|1.54|0.0|0.0|0.0|0.0|1.54|0.0|1.54|1.16|1.84|0.0|0.0|1.42|1.61|1.16|1.84|0.0|0.0|1.52|1.54|3.79|1.35|8165|4303974 40157|GURU|GURU|37950E341|US37950E3412|Global X Funds|Global X Guru Index ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Global X|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-6|TXN1-3|TXN4-5|TXN4-5|TXN1-1|1350000|||BiAnnually|||||2012-06-05||GURU.NV|GURU.SO|GURU.EU|GURU.TC|GURU.IV| | | | | | | | | |1x|Global X Top Guru Holdings Index ETF seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the Solactive Top Hedge Fund Equity Holdings Index (Underlying Index). The Underlying Index is comprised of the top U.S. listed equity positions held by select group of the worlds largest hedge funds, as defined by Structured Solutions AG (the Index Provider) and based on the quarterly regulatory filings from these investors with the SEC. Hedge funds are selected based on their size and the efficacy of replicating their publicly disclosed positions. The stocks are screened for liquidity, equal weighted, and rebalanced quarterly. |N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|37.865|37.7|0.0|0.0|0.0|0.0|0.0|0.0|37.85|0.0|0.0|37.9146|0.0|37.9146|30.06|45.4|37.8|38.03|37.8|38.0|37.8|38.04|37.8|38.04|37.8|38.0|38.858|33.065|1374|510908 73882|GUSA|GUSA|38150W107|US38150W1071|Goldman Sachs ETF Trust II|Goldman Sachs MarketBeta U.S. 1000 Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Goldman Sachs Asset Management|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-5|TXN3-5|TXN6-8|TXN2-4|TXN3-3|35807538|||Quarterly|||||2022-04-12||GUSA.NV|GUSA.SO|GUSA.EU|GUSA.TC|GUSA.IV| | | | | | | | | ||The Solactive GBS United States 1000 Index intends to track the performance of the largest 1000 companies from the US stock market and is based on the Solactive Global Benchmark Series. Constituents are selected based on company market capitalization and weighted by free float market capitalization. The index is calculated as a total return index in USD and is reconstituted quarterly.|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|39.63|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|39.6798|0.0|39.6798|39.31|40.11|0.0|0.0|39.61|39.74|39.49|39.74|0.0|0.0|39.49|39.74|39.855|32.6423|130|9731 49993|GUSH|GUSH|25460G500|US25460G5009|Direxion Shares ETF Trust|Direxion Daily S&P Oil & Gas Exp. & Prod. Bull 2X Shares|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Direxion Shares|IMC Chicago, LLC, DBA IMC Financial Markets|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-6|TXN1-7|TXN6-5|TXN2-5|TXN4-4|15963688|||Quarterly|||||2015-05-28||GUSH.NV|GUSH.SO|GUSH.EU|GUSH.TC|GUSH.IV| | | | | | | | | |2x|The Fund seeks daily investment results, before fees and expenses, of 200% of the performance of the S&P Oil & Gas Exploration & Production Select Industry Index. The Fund seeks daily leveraged investment results and does not seek to achieve its stated investment objective over a period of time greater than one day. The Fund is different and much riskier than most exchange-traded funds.|N|0|N|N|416A|USA|US|EQUITY|LEVERAGED|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||32.99|33.02|0.0|32.92|33.36|33.03|33.0006|33.0|0.0|0.0|33.03|33.0|32.99|33.15|33.03|33.03|33.02|33.01|33.19|33.01|32.83|33.12|25.82|40.19|32.97|32.99|32.96|33.34|32.75|33.34|32.97|32.99|178.7|31.65|1641189|142487749 6668|GUT|GUT|36240A101|US36240A1016|The Gabelli Utility Trust|Common Stock|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN4-8|TXN2-8|TXN3-6|TXN2-8|63940000|||Monthly|||||1999-06-29||||||| | | | | | | | | |||N|0|N|N|406B|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||6.03|6.05|0.0|0.0|6.04|6.06|6.05|6.075|0.0|0.0|6.08|0.0|6.08|6.03|0.0|6.04|0.0|6.04|0.0|6.04|6.04|6.08|4.73|7.53|5.63|6.45|6.0|6.12|6.03|6.08|6.04|6.08|7.97|4.6|110141|32932140 53214|GUT PRC|GUTpC|36240A408|US36240A4085|The Gabelli Utility Trust|5.375% Series C Cumulative Preferred Shares|Closed end fund|B|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN1-2|TXN1-5|TXN3-1|TXN4-1|1990000|||Quarterly|||||2016-06-02||||||| | | | | | | | | |||N|0|N|N|406B|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||23.22|0.0|0.0|0.0|0.0|23.22|23.4126|23.41|0.0|0.0|0.0|0.0|0.0|23.22|0.0|23.4126|0.0|23.4126|0.0|23.4126|23.16|23.65|0.0|0.0|22.01|23.8|0.0|0.0|0.0|0.0|23.16|23.65|25.11|22.39|2800|468721 74045|GV|GV|92838F101|CA92838F1018|Visionary Education Technology Holdings Group Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-3|TXN6-7|TXN12-8|TXN5-2|TXN6-1|51660000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CAN||||40|4020|402010|40201010|Consumer Discretionary|Consumer Products and Services|Consumer Services |Education Services|N||N||||||N|0|Y||||||0.1363|0.0|0.0|0.0|0.1363|0.1363|0.1375|0.0|0.0|0.0|0.1374|0.1375|0.1374|0.0|0.0|0.0|0.0|0.1374|0.0|0.1374|0.112|0.1635|0.112|0.1635|0.1352|0.1466|0.112|0.1635|0.0|0.0|0.1374|0.1375|0.2149|0.123|66276|15433160 6672|GVA|GVA|387328107|US3873281071|Granite Construction Incorporated|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|C|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN2-7|TXN7-8|TXN4-3|TXN3-4|43930000|||Quarterly|||||1997-04-25||||||| | | | | | | | | |||N|0|N|Y|110B|USA|US|||50|5010|501010|50101010|Industrials|Construction and Materials|Construction and Materials |Construction|N||N||||||Y|0|Y||Y|2|||47.38|47.49|0.0|47.4|47.38|47.47|47.43|47.48|0.0|0.0|47.49|46.8|47.45|47.38|45.9|47.44|46.86|47.46|46.04|47.44|47.45|47.46|36.03|57.66|47.1|47.58|47.34|47.49|47.36|47.49|47.45|47.46|47.54|33.74|234458|84698671 43741|GVAL|GVAL|132061409|US1320614092|Cambria Global Value ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-4|TXN4-4|TXN4-6|TXN4-1|TXN1-7|5450000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|20.79|0.0|0.0|0.0|0.0|20.6954|20.72|0.0|0.0|0.0|0.0|20.69|0.0|0.0|0.0|0.0|20.79|0.0|20.79|19.49|21.73|0.0|0.0|20.58|20.78|19.27|20.83|0.0|0.0|20.58|20.78|21.39|18.53|7731|5560105 76582|GVH|GVH|G3R39B108|KYG3R39B1082|Globavend Holdings Ltd|ORD USD0.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN5-8|TXN10-2|TXN5-4|TXN5-6|16500000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||AUS||||50|5020|502060|50206040|Industrials|Industrial Goods and Services|Industrial Transportation|Delivery Services|N||N||||||N|0|Y||||||1.36|0.0|0.0|0.0|1.32|1.33|1.3495|1.36|0.0|0.0|0.0|0.0|1.34|0.0|0.0|0.0|0.0|1.3495|0.0|1.3495|0.0|0.0|0.0|0.0|1.24|1.42|1.27|1.42|1.27|1.41|1.32|1.37|5.5|1.16|36412|7370142 18786|GVI|GVI|464288612|US4642886125|iShares Intermediate Government/Credit Bond ETF|INTRM GOV/CRE||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN4-2|TXN3-4|TXN4-5|TXN2-6|32750000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||103.0|103.05|0.0|0.0|102.99|103.07|103.09|103.01|0.0|0.0|103.02|0.0|103.08|103.01|103.18|102.99|102.99|103.05|103.02|103.05|97.94|108.29|102.95|103.25|103.02|103.12|97.94|108.29|102.95|103.3|103.05|108.29|105.5782|96.06|199820|42595836 54268|GVIP|GVIP|381430545|US3814305450|Goldman Sachs ETF Trust|Goldman Sachs Hedge Industry VIP ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Goldman Sachs Asset Management|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-2|TXN4-2|TXN4-8|TXN4-3|TXN2-2|1625000|||Yearly|||||2016-11-03||GVIP.NV|GVIP.SO|GVIP.EU|GVIP.TC|GVIP.IV| | | | | | | | | |1x|The Fund seeks to provide investment results that closely correspond, before fees and expenses, to the performance of the Goldman Sachs Hedge Fund VIP Index. Goldman Sachs Hedge Industry VIP Index is designed to deliver exposure to equity securities whose performance is expected to influence the long portfolios of hedge funds. Such equity securities are defined as those that appear most frequently among the top ten equity holdings of U.S. hedge funds that select their investments based upon fundamental analysis.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||92.53|92.52|0.0|92.5|92.53|92.52|92.81|92.5|0.0|0.0|0.0|0.0|92.53|92.53|0.0|0.0|0.0|92.8536|0.0|92.8536|0.0|0.0|0.0|0.0|92.76|92.92|0.0|0.0|0.0|0.0|92.76|92.92|95.13|68.02|10544|1439022 74133|GVLU|GVLU|886364520|US8863645201|Tidal ETF Trust|Gotham 1000 Value ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Tidal ETF Services |GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN1-1|TXN7-8|TXN4-6|TXN2-2|6650000|||Yearly|||||2022-06-08||GVLU.NV|GVLU.SO|GVLU.EU|GVLU.TC| | | | | | | | | | |1x|The Fund is an actively managed exchange traded fund (ETF) that seeks to achieve it investment objective by generally investing in equity securities of 700-1000 mid to large capitalization companies chosen from an initial universe of the top 1,400 companies listed on U.S. stock exchanges measured by market capitalization.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||Y|0|Y||Y|2|||0.0|21.11|0.0|0.0|0.0|0.0|21.154|0.0|0.0|0.0|21.11|0.0|21.16|0.0|0.0|0.0|0.0|21.2|0.0|21.2|0.0|0.0|21.12|21.18|21.14|21.19|10.55|31.62|0.0|0.0|21.14|21.19|21.87|17.7186|71624|8125595 6674|GVP|GVP|36227K205|US36227K2050|GSE Systems Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN6-2|TXN11-8|TXN6-4|TXN5-6|2610000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||N|0|Y||||||3.73|3.82|0.0|0.0|3.82|3.8|3.82|3.83|0.0|0.0|3.8|0.0|3.82|3.63|0.0|3.84|0.0|3.82|0.0|3.82|3.62|3.98|2.87|4.67|3.62|3.95|3.67|3.9|3.67|3.9|3.75|3.82|4.25|0.1306|165897|65830842 76700|GVUS|GVUS|38149W580|US38149W5803|Goldman Sachs ETF Trust|Goldman Sachs MarketBeta Russell 1000 Value Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y|||||||||Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-8|TXN4-4|TXN5-8|TXN4-7|TXN3-3|100000|||Yearly|||||2023-11-30||||||| | | | | | | | | |||N|0|N|N|416A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|40.7952|0.0|40.7952|31.34|49.93|31.34|49.93|40.77|40.8|31.34|49.93|0.0|0.0|40.77|40.8|40.7952|40.3247|6|11 74305|GWAV|GWAV|57630J304|US57630J3041|Greenwave Technology Solutions Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-1|TXN5-8|TXN12-5|TXN6-2|TXN6-4|16560000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101010|10101020|Technology|Technology|Software and Computer Services|Consumer Digital Services |N||N||||||N|0|Y||||||0.464|0.4711|0.0|0.0|0.464|0.4641|0.46705|0.4671|0.0|0.0|0.47|0.4711|0.4662|0.0|0.0|0.0|0.0|0.47|0.0|0.47|0.384|0.576|0.384|0.576|0.4323|0.4804|0.384|0.576|0.0|0.0|0.463|0.4712|1.54|0.444|68788|20800472 68111|GWH|GWH|26916J106|US26916J1060|ESS Tech, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|R|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN2-8|TXN5-7|TXN3-5|TXN3-1|173010000|||NotApplicable|||||2021-10-11||||||| | | | | | | | | |||N|0|N|Y|114D|USA|US|||60|6010|601020|60102010|Energy|Energy|Alternative Energy|Alternative Fuels |N||N||||||Y|0|Y||Y|2|||1.25|1.24|0.0|1.29|1.25|1.24|1.24|1.245|0.0|0.0|1.24|1.24|1.245|1.235|1.26|1.26|1.25|1.24|1.25|1.26|1.24|1.25|1.0|1.47|1.23|1.25|1.21|1.28|1.2|1.25|1.24|1.25|3.39|0.75|884101|323132282 68112|GWH WS|GWH.WS|26916J114|US26916J1144|ESS Tech, Inc.|Warrants to purchase one share of Common Stock at an exercise price of $11.50|Operating company|C|N|N|N|Y|Y|Y|Y|Y|6|R|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN8-8|TXN2-7|TXN5-8|TXN1-1|TXN1-5|173010000|||NotApplicable|||||2021-10-11|2026-10-08|||||| | | | | | | | | |||N|0|N|N|114D|USA|US|||||||||||N||N||||||N|0|Y|C|N||||0.0|0.095|0.0|0.0|0.0|0.0883|0.085|0.0|0.0|0.0|0.095|0.0902|0.0981|0.0|0.0|0.0883|0.0|0.0883|0.0|0.0883|0.0911|0.1148|0.0|0.0|0.09|0.1224|0.0|0.0|0.0|0.0|0.0911|0.1148|0.4808|0.051|33642|4399693 39456|GWRE|GWRE|40171V100|US40171V1008|Guidewire Software, Inc.|Common Stock, $0.0001 par value|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN4-3|TXN1-8|TXN1-4|TXN1-2|81930000|||NotApplicable|||||2012-01-25||||||| | | | | | | | | |||N|0|Y|Y|306A|USA|US|||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||Y|1|||99.95|100.12|0.0|99.63|100.12|100.17|100.12|100.09|0.0|0.0|100.12|99.63|100.09|99.95|100.29|100.13|100.59|100.09|99.9|100.13|100.12|100.13|94.22|106.71|99.89|100.35|100.0|100.23|100.09|100.27|100.12|100.13|101.93|56.15|654216|156960729 52980|GWRS|GWRS|379463102|US3794631024|Global Water Resources Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN6-2|TXN13-8|TXN6-1|TXN6-2|24170000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||65|6510|651020|65102030|Utilities|Utilities|Gas, Water and Multi-utilities |Water|N||N||||||Y|0|Y||||||12.01|12.05|0.0|0.0|12.07|12.07|12.01|12.01|0.0|0.0|12.14|0.0|12.1|0.0|12.1|12.07|0.0|12.01|0.0|12.1|11.66|12.52|0.0|0.0|11.69|12.48|0.0|0.0|0.0|0.0|11.99|12.1|14.9499|9.34|34012|6225817 6683|GWW|GWW|384802104|US3848021040|W.W. Grainger, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|P|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|4|0.01|0.01|5000000|1|100|TXN1-6|TXN4-3|TXN8-6|TXN2-5|TXN4-8|49630000|||Quarterly|||||1975-07-29||||||| | | | | | | | | |||N|5|Y|Y|126D|USA|US|||50|5020|502050|50205010|Industrials|Industrial Goods and Services|Industrial Support Services|Industrial Suppliers|N||N||||||Y|0|Y||Y|1|||797.86|800.94|0.0|801.34|801.86|800.93|801.9|802.045|0.0|0.0|800.38|803.75|801.45|798.84|798.05|801.4|802.6|801.41|803.97|801.4|801.4|801.84|753.05|853.8|801.0|802.32|800.46|802.94|801.4|803.19|801.4|801.84|815.52|534.01|178284|64307793 24422|GWX|GWX|78463X871|US78463X8719|SPDR Index Shares Funds|SPDR S&P International Small Cap ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-1|TXN3-7|TXN1-8|TXN4-4|TXN1-1|22600000|||BiAnnually|||||2008-11-07||GWX.NV|GWX.SO|GWX.EU|GWX.TC|GWX.IV| | | | | | | | | |1x|The SPDR S&P International small cap ETF, before expenses, seeks to closely match the returns and characteristics of the total return performance of the S&P Developed Ex-U.S. Under USD2 Billion (ticker: STBMWUU2), an equity index based upon the world (ex-US) small cap composite market. The S&P Developed ExU.S. Under USD2 Billion is a market capitalization weighted index that defines and measures the investable universe of publicly traded companies domiciled in developed countries outside the U.S. The Developed small cap Index is float adjusted, meaning that only those shares publicly available to investors are included in the Developed small cap Index calculation.|N|0|N|N|406C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||0.0|30.05|0.0|30.12|30.08|30.1|30.0899|30.07|0.0|0.0|30.06|0.0|30.08|30.09|30.06|29.63|0.0|30.09|0.0|30.09|28.69|31.65|0.0|0.0|30.07|30.1|28.69|31.65|0.0|0.0|30.07|30.1|32.45|27.06|90330|17557136 19497|GXC|GXC|78463X400|US78463X4007|SPDR Index Shares Funds|SPDR S&P China ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-7|TXN4-8|TXN6-8|TXN4-4|TXN4-3|11450000|||BiAnnually|||||2008-11-07||GXC.NV|GXC.SO|GXC.EU|GXC.TC|GXC.IV| | | | | | | | | |1x|The SPDR S&P China ETF, before expenses, seeks to closely match the returns and characteristics of the total return performance of the S&P China BMI Index (ticker: STBCCNU). The S&P China BMI Index is a market capitalization weighted index that defines and measures the investable universe of publicly traded companies domiciled in China, but legally available to foreign investors. The China Index is float adjusted, meaning that only those shares publicly available to investors are included in the China Index calculation.|N|0|N|N|406C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||69.14|69.16|0.0|0.0|69.44|69.2|69.12|69.28|0.0|0.0|69.2|0.0|69.28|69.28|70.45|69.39|0.0|69.27|70.48|69.27|65.89|73.05|68.59|69.77|69.16|69.27|68.72|69.77|68.72|69.77|69.16|69.72|92.15|66.81|69454|28102237 29991|GXG|GXG|37954Y327|US37954Y3273|Global X Funds|Global X MSCI Colombia ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Global X|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN2-2|TXN6-8|TXN4-4|TXN2-8|1569699|||BiAnnually|||||2009-02-05||GXG.NV|GXG.SO|GXG.EU|GXG.TC|GXG.IV| | | | | | | | | |1x|The MSCI All Colombia Select 25/50 Index applies additional liquidity screens on the MSCI All Colombia Index, which is designed to represent the performance of the broad Colombia equity universe. The broad Colombia equity universe includes securities that are classified in Colombia according to the MSCI Global Investable Market Index Methodology, together with companies that are headquartered or listed in Colombia and carry out the majority of their operations in Colombia. A specific capping methodology is applied to facilitate compliance with the rules governing the listing of financial products on exchanges in the United States.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||22.05|22.07|0.0|0.0|22.09|22.06|21.99|22.05|0.0|0.0|22.05|0.0|22.01|22.09|0.0|0.0|0.0|22.0498|0.0|22.0498|20.9|23.18|0.0|0.0|22.01|22.09|20.9|23.18|0.0|0.0|21.98|22.09|23.11|17.52|24951|4285583 71223|GXO|GXO|36262G101|US36262G1013|GXO Logistics, Inc.|Common Stock, $0.01 par value per share|Operating company|A|N|N|N|Y|Y|Y|Y|Y|11|Q|Virtu Americas LLC|NITC|295|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-5|TXN2-2|TXN4-6|TXN4-2|TXN1-4|118960000|||NotApplicable|||||2021-07-22||||||| | | | | | | | | |||N|0|Y|Y|100A|USA|US|||50|5020|502060|50206060|Industrials|Industrial Goods and Services|Industrial Transportation|Transportation Services|N||N||||||Y|0|Y||Y|1|||58.79|58.8|0.0|58.87|58.82|58.81|58.865|58.86|0.0|0.0|58.87|58.55|58.89|58.64|58.84|58.89|58.78|58.89|58.87|58.89|58.88|58.89|55.41|62.66|58.74|58.94|58.8|58.96|58.88|58.96|58.88|58.89|67.57|40.935|562958|173754820 64916|GXTG|GXTG|37954Y418|US37954Y4180|Global X Thematic Growth ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN5-6|TXN12-1|TXN6-1|TXN5-5|1400000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|23.5158|23.4|0.0|0.0|0.0|0.0|23.61|23.4|0.0|0.0|0.0|23.5158|0.0|23.61|0.0|0.0|0.0|0.0|23.39|23.62|0.0|0.0|0.0|0.0|23.42|23.62|29.82|20.88|4544|2398989 75818|GXUS|GXUS|38150W206|US38150W2061|Goldman Sachs ETF Trust II|Goldman Sachs MarketBeta Total International Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Goldman Sachs Asset Management|Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-2|TXN3-7|TXN1-8|TXN2-7|TXN3-3|10060415|||Quarterly|||||2023-06-07||GXUS.NV|GXUS.SO|GXUS.EU|GXUS.TC|GXUS.IV| | | | | | | | | |1x|The Goldman Sachs MarketBeta Total International Equity ETF (theFund) seeks to provide investment results that closely correspond, before fees and expenses, to the performance of the Solactive GBS Global Markets ex United States Large & Mid Cap Index (the Index). The Index is designed to measure the performance of equity securities of large and mid-capitalization equity issuers covering approximately the largest 85%of the free-float market capitalization in the global markets excluding the United States. It is calculated as a net total return index in U.S. dollars and weighted by free-float market capitalization.|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|41.0275|0.0|41.0275|0.0|0.0|0.0|0.0|40.87|41.19|0.0|0.0|0.0|0.0|40.92|41.14|43.06|37.4112|0|58631 39981|GYLD|GYLD|04273H104|US04273H1041|Arrow ETF Trust|Arrow Dow Jones Global Yield ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Arrow Investment Advisors|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-8|TXN2-4|TXN2-8|TXN3-6|TXN1-3|1650000|||Monthly|||||2012-05-08||GYLD.NV|GYLD.SO|GYLD.EU|GYLD.TC|GYLD.IV| | | | | | | | | |1x|The Arrow Dow Jones Global Yield ETF (the Fund) seeks investment results that generally correspond, before fees and expenses, to the price and yield performance of the Dow Jones Global Composite Yield Index. The index is equally weighted across 5 global asset types (Equities, Real Estate, Alternatives (predominately MLPs), Corporate Debt and Sovereign Debt.|N|0|N|N|416A|USA|US|HYBRID|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|12.61|0.0|0.0|0.0|12.8|12.99|12.78|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|13.006|0.0|13.006|11.85|13.91|0.0|0.0|12.54|13.5|11.85|13.91|0.0|0.0|12.54|13.5|13.827|11.5736|1527|841173 4075|GYRE|GYRE|403783103|US4037831033|Gyre Therapeutics Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN5-8|TXN11-2|TXN6-6|TXN6-3|76580000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y|C|||||16.97|16.09|0.0|16.24|16.18|16.11|16.08|16.13|0.0|0.0|16.24|16.4|16.06|16.09|16.51|16.1|16.42|16.17|17.42|16.06|15.32|16.58|12.51|20.1|15.81|16.47|15.86|16.47|15.86|16.23|16.1|16.23|27.3889|5.88|391017|3046313 1795|GYRO|GYRO|403829104|US4038291047|Gyrodyne LLC|COM USD1||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN6-8|TXN12-7|TXN6-3|TXN6-2|1570000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||35|3510|351010|35101010|Real Estate|Real Estate |Real Estate Investment and Services Development|Real Estate Holding and Development |N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|8.36|10.52|0.0|0.0|0.0|0.0|8.95|9.85|12.6647|7.8|0|165848 16870|H|H|448579102|US4485791028|Hyatt Hotels Corporation|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|R|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-1|TXN1-4|TXN1-8|TXN1-2|TXN3-3|44220000|||Quarterly|||||2009-11-05||||||| | | | | | | | | |||N|0|Y|Y|128A|USA|US|||40|4050|405010|40501025|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Hotels and Motels |N||N||||||Y|0|Y||Y|1|||119.96|120.0|0.0|120.0|119.97|119.98|119.97|120.0|0.0|0.0|119.96|120.06|119.99|120.05|120.05|120.04|120.01|120.05|119.78|120.04|119.98|120.05|112.69|127.28|119.87|120.15|119.9|120.1|119.98|120.05|119.98|120.05|127.8|88.01|1001884|195001739 6699|HA|HA|419879101|US4198791018|Hawaiian Holdings Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN6-4|TXN13-1|TXN6-1|TXN5-1|51630000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4050|405010|40501010|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Airlines|N||N||||||Y|0|Y||||||14.22|14.23|0.0|14.22|14.21|14.225|14.22|14.225|0.0|0.0|14.22|14.23|14.22|14.21|14.21|14.22|14.155|14.22|14.2|14.22|13.98|14.43|14.16|14.26|14.01|14.24|14.16|14.25|14.17|14.25|14.21|14.22|14.25|3.7|35562721|435615003 48754|HACK|HACK|26924G201|US26924G2012|ETF Managers Trust|ETFMG Prime Cyber Security ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ETF Managers Group|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-7|TXN2-7|TXN5-5|TXN2-2|TXN4-6|27250000|||Quarterly|||||2014-11-12||HACK.NV|HACK.SO|HACK.EU|HACK.TC|HACK.IV| | | | | | | | | |1x|The Index, which the Fund tracks, provides the opportunity to quickly take advantage of both event-driven news and long term economic trends as the market for cyber security technology continues to evolve. The Index uses a market capitalization weighted allocation across the infrastructure provider and service provider categorizations as well as an equal weighted allocation methodology for all components within each sector allocation. Index components are reviewed semi-annually for eligibility, and the weights are re-set accordingly. Companies may not apply, and may not be nominated, for inclusion in the Index. Companies are added or removed by the ISE based on the methodology described herein. Whenever possible, ISE will publicly announce changes to the index on its website at least five trading days in advance of the actual change. The Index is calculated on a price and total return basis. The price Index and the total return Index are calculated in real-time and disseminated via the Options Price Reporting Authority (OPRA) and market data vendors every day the U.S. equity markets are open. The Index is calculated and maintained by Standard & Poors Dow Jones Indices (SPDJI) based on a methodology developed by the ISE.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||57.64|57.9|0.0|0.0|57.79|57.88|57.85|57.64|0.0|0.0|57.67|57.32|57.91|57.82|57.43|57.64|57.65|57.89|0.0|57.89|54.83|60.39|57.69|58.14|57.83|57.93|57.77|58.15|57.77|58.15|57.83|57.93|57.9|42.37|71342|18642991 6700|HAE|HAE|405024100|US4050241003|Haemonetics Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|R|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN2-6|TXN1-8|TXN3-3|TXN1-8|50740000|||Adhoc|||||1991-05-10||||||| | | | | | | | | |||N|0|N|Y|122A|USA|US|||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||Y|0|Y||Y|2|||84.15|82.91|0.0|83.3|83.24|83.205|83.3|83.25|0.0|0.0|83.24|83.24|83.3|83.16|83.01|83.29|82.51|83.3|83.205|83.29|83.27|83.28|64.46|101.79|83.03|83.42|66.84|83.41|83.14|83.43|83.27|83.28|95.26|72.26|220896|74476356 1799|HAFC|HAFC|410495204|US4104952043|Hanmi Financial Corp|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN6-7|TXN11-1|TXN6-2|TXN5-6|30390000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||||||17.82|17.91|0.0|17.76|17.91|17.91|17.89|17.88|0.0|0.0|17.88|17.91|17.88|17.88|0.0|17.91|0.0|17.88|17.82|17.88|17.73|18.06|13.78|21.89|17.75|18.04|17.85|17.96|17.88|17.98|17.88|17.93|26.675|13.35|238873|43664349 73366|HAIA|HAIA|G4373K109|KYG4373K1094|Healthcare AI Acquisition Corp|CL A COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN5-2|TXN14-1|TXN6-7|TXN6-6|5980000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CYM||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.67|11.17|0.0|0.0|0.0|0.0|10.89|10.92|11.48|10.19|0|12190582 72857|HAIAU|HAIAU|G4373K125|KYG4373K1250|Healthcare AI Acquisition Corp|UNIITS||R|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN5-1|TXN13-8|TXN5-1|TXN5-1|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CYM||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|8.65|13.26|0.0|0.0|10.81|11.1|8.65|13.26|0.0|0.0|10.81|11.05|11.57|10.005|0|278606 73367|HAIAW|HAIAW|G4373K117|KYG4373K1177|Healthcare AI Acquisition Corp|WT EXP 120726||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-7|TXN5-6|TXN13-3|TXN6-8|TXN5-3|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CYM||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0169|0.0585|0.3382|0.011|0|3592217 60353|HAIL|HAIL|78468R689|US78468R6898|SPDR Series Trust|SPDR S&P Kensho Smart Mobility ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-7|TXN1-6|TXN4-4|TXN3-8|TXN3-5|1470000|||Quarterly|||||2017-12-27||HAIL.NV|HAIL.SO|HAIL.EU|HAIL.TC|HAIL.IV| | | | | | | | | |1x|The SPDR S&P Kensho Smart Mobility ETF (the Fund) seeks to provide investment results that, before fees and expenses, correspond generally to the total return performance of the Kensho Smart Transportation Index.|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||28.92|28.96|0.0|0.0|28.01|28.96|28.9122|0.0|0.0|0.0|0.0|0.0|28.96|28.96|0.0|0.0|0.0|28.955|28.92|28.955|26.92|30.98|0.0|0.0|28.94|28.99|28.94|29.01|0.0|0.0|28.94|28.99|38.9303|25.68|13944|1157885 1800|HAIN|HAIN|405217100|US4052171000|Hain Celestial Group Inc (The)|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN5-3|TXN12-1|TXN5-8|TXN5-4|89710000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||45|4510|451020|45102020|Consumer Staples |Food, Beverage and Tobacco |Food Producers|Food Products|N||N||||||Y|0|Y||||||11.01|11.01|0.0|10.92|11.005|11.01|11.01|11.0|0.0|0.0|11.01|11.01|11.0|11.0|10.99|11.005|11.01|11.0|11.01|11.0|10.98|11.01|8.56|13.36|10.99|11.03|10.97|11.03|10.97|11.04|11.0|11.01|22.14|9.36|867500|227607749 6702|HAL|HAL|406216101|US4062161017|Halliburton Company|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|A|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-3|TXN2-8|TXN8-8|TXN3-8|TXN2-7|895050000|||Quarterly|||||1948-09-15||||||| | | | | | | | | |||N|5|Y|Y|134F|USA|US|||60|6010|601010|60101030|Energy|Energy|Oil, Gas and Coal|Oil Equipment and Services|N||N||||||Y|0|Y||Y|1|||37.36|37.365|0.0|37.18|37.36|37.365|37.37|37.37|0.0|0.0|37.37|37.36|37.36|37.36|37.32|37.37|37.36|37.37|37.36|37.37|37.36|37.37|35.0|39.7|37.35|37.38|37.33|37.39|37.33|37.39|37.36|37.37|43.85|27.84|6133871|1951916393 6701|HALL|HALL|40624Q302|US40624Q3020|Hallmark Financial Services Inc|COM USD.03||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN6-5|TXN12-5|TXN6-5|TXN5-5|1820000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3030|303020|30302025|Financials|Insurance|Non-life Insurance|Property and Casualty Insurance|N||N||||||N|0|Y||||||1.54|0.0|0.0|0.0|0.0|1.5|1.549|0.0|0.0|0.0|1.55|0.0|1.55|0.0|0.0|0.0|0.0|1.51|0.0|1.51|1.42|1.63|0.0|0.0|1.44|1.58|0.0|0.0|0.0|0.0|1.47|1.55|11.6599|0.4212|5104|2311789 6884|HALO|HALO|40637H109|US40637H1095|Halozyme Therapeutics Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN6-6|TXN14-7|TXN5-7|TXN6-3|132100000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||40.12|40.11|0.0|39.92|40.1|40.08|40.11|40.12|0.0|0.0|40.11|40.01|40.11|40.11|0.0|40.08|40.06|40.12|39.9|40.11|40.02|40.15|30.52|49.0|40.01|40.16|40.01|40.18|40.07|40.2|40.1|40.12|59.4|29.85|749241|275207357 28734|HAP|HAP|92189F841|US92189F8418|VanEck ETF Trust|VanEck Natural Resources ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||VanEck Vectors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-5|TXN4-7|TXN3-8|TXN3-4|TXN3-7|2800000|||Yearly|||||2008-11-21||HAP.NV|HAP.SO|HAP.EU|HAP.TC|HAP.IV| | | | | | | | | |1x|Market Vectors RVE Hard Assets Producers ETF (the Fund) seeks to replicate as closely as possible, before fees and expenses, the price and yield performance of The Rogers-Van Eck Hard Assets Producers Index (the Hard Assets Producers Index). The Fund normally invests at least 80% of its total assets in equity securities, which may include depositary receipts, of U.S. and foreign hard asset producer companies. A company will be considered to be a hard asset producer company if it, directly or indirectly, derives at least 50% of its revenues from the production and/or distribution of commodities and commodity-relatedproducts and services, including among others, companies that fabricate mining or drilling equipment. Such companies may include foreign issuers.|N|0|N|N|406C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|48.25|48.4401|0.0|0.0|0.0|0.0|0.0|0.0|48.44|0.0|0.0|0.0|48.5186|0.0|48.5186|38.8|58.41|0.0|0.0|48.46|48.54|38.8|58.41|0.0|0.0|48.46|48.54|52.84|45.16|32785|3730934 74744|HAPI|HAPI|41151J877|US41151J8779|Harbor ETF Trust|Harbor Human Capital Factor US Large Cap ETF T|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Harbor Capital Advisors, Inc.|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-3|TXN1-7|TXN2-8|TXN1-3|TXN3-4|9950000|||Yearly|||||2022-10-13||HAPI.NV|HAPI.SO|HAPI.EU|HAPI.TC| | | | | | | | | | |1x|The Harbor Corporate Culture ETF is an exchange-traded fund incorporated in the USA. The fund seeks to provide investment results that correspond, before fees and expenses, to the performance of the CIBC Human Capital Index.|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|23.85|0.0|0.0|0.0|0.0|26.95|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|27.0652|0.0|27.0652|26.78|27.33|0.0|0.0|27.04|27.09|27.04|27.09|0.0|0.0|27.04|27.09|27.251|21.4176|890|61771 75596|HAPS|HAPS|41151J851|US41151J8514|Harbor ETF Trust|Harbor Human Capital Factor US Small Cap ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Harbor Capital Advisors, Inc.|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-3|TXN3-2|TXN3-8|TXN4-2|TXN3-4|4550000|||Yearly|||||2023-04-13||HAPS.NV|HAPS.SO|HAPS.EU|HAPS.TC| | | | | | | | | | |1x|The Fund seeks to provide investment results that correspond, before fees and expenses, to the performance of the Human Capital Factor Small Cap Index (the Index). The Index consists of a modified market capitalization-weightedportfolio of equity securities of approximately 200 small cap U.S.companies identified by Irrational Capital LLC (Irrational Capitalor IC) as those it believes to possess strong corporate culture based on its proprietary scoring methodology. The Index was developed by the Canadian Imperial Bank of Commerce (the Index Provider or CIBC). Irrational Capital calculates Human Capital Factor scores based on a proprietary, rules-based scoring methodology it developed by leveraging its research in behavioral science, data science and human capital. The scoring methodology seeks to quantitatively measure the contribution of a companys corporate culture to its financial performance.|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|25.49|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|26.3128|0.0|26.3128|26.04|26.58|0.0|0.0|26.28|26.35|26.28|26.36|0.0|0.0|26.28|26.36|27.5403|22.1997|8|1291436 73549|HAPY|HAPY|41151J604|US41151J6047|Harbor ETF Trust|Harbor Human Capital Factor Unconstrained ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Harbor Capital Advisors, Inc.|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-6|TXN4-8|TXN2-8|TXN4-3|TXN3-6|575000|||Yearly|||||2022-02-24||HAPY.NV|HAPY.SO|HAPY.EU|HAPY.TC| | | | | | | | | | |1x|Fund seeks to track the performance of the The Human Capital Factor Unconstrained Index. The Human Capital Factor Unconstrained Index created by Irrational Capital, is a thematic index based on a quantitative measurement of companies human capital. Under normal circumstances, the Index contains approximately 70 to 100 companies with high Human Capital Factor scores, as determined by a proprietary scoring methodology developed by Irrational Capital.|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|19.384|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|19.8759|0.0|19.8759|0.0|0.0|0.0|0.0|19.85|19.9|9.96|29.87|0.0|0.0|19.83|20.29|19.9159|15.444|71|200258 75503|HARD|HARD|82889N566|US82889N5665|Simplify Exchange Traded Funds|Simplify Commodities Strategy No K-1 ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Simplify|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-4|TXN2-6|TXN3-8|TXN3-4|TXN1-5|400001|||Quarterly|||||2023-03-28||HARD.NV|HARD.SO|HARD.EU|HARD.TC| | | | | | | | | | ||The Simplify Commodities Strategy No K-1 ETF (the Fund) seeks long term capital appreciation by investing in commodities futures contracts.|N|0|N|N|416A|USA|US|COMMODITIES_AND_FUTURES|ACTIVE|||||||||N||N||||||Y|0|Y||Y|2|||23.501|0.0|0.0|0.0|0.0|23.59|23.5319|0.0|0.0|0.0|0.0|23.17|23.59|23.739|0.0|0.0|0.0|23.5478|0.0|23.5478|23.5|23.59|23.5|23.58|23.52|23.57|23.49|23.59|23.49|23.58|23.52|23.57|26.3|23.1698|13448|1054884 62963|HARP|HARP|41358P205|US41358P2056|Harpoon Therapeutics Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN5-4|TXN12-3|TXN5-7|TXN6-8|16930000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and 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Index.|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|26.94|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|28.1688|0.0|28.1688|22.32|34.18|0.0|0.0|28.13|28.2|22.32|34.18|0.0|0.0|28.13|28.21|28.95|25.5|1|104891 6708|HAS|HAS|418056107|US4180561072|Hasbro Inc.|COM USD.5||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN5-6|TXN12-5|TXN6-7|TXN6-1|138760000|||NotApplicable|||||||||||| | | | | | | | | |||N|5|Y|N||USA||||40|4020|402030|40203045|Consumer Discretionary|Consumer Products and Services|Leisure 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ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||DBX Advisors|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-1|TXN4-6|TXN4-8|TXN1-3|TXN2-7|31450001|||BiAnnually|||||2013-09-30||HAUZ.NV|HAUZ.SO|HAUZ.EU|HAUZ.TC|HAUZ.IV| | | | | | | | | |1x|The db X-trackers International Real Estate ETF seeks investment results that correspond generally to the performance, before fees and expenses, of the STOXX Developed and Emerging Markets ex USA Total Market Real Estate Index(the Underlying Index).|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||0.0|20.67|0.0|0.0|20.66|20.66|20.6015|20.66|0.0|0.0|20.63|0.0|20.63|20.61|20.65|20.63|0.0|20.69|0.0|20.69|15.92|25.27|15.92|25.27|20.56|20.76|15.92|25.27|0.0|0.0|20.56|20.76|23.36|18.265|59967|19143363 50241|HAWX|HAWX|46435G847|US46435G8472|iShares Trust|iShares Currency Hedged MSCI ACWI ex U.S. ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-1|TXN4-5|TXN2-6|TXN2-3|TXN1-4|6420000|||BiAnnually|||||2015-07-01||HAWX.NV|HAWX.SO|HAWX.EU|HAWX.TC|HAWX.IV| | | | | | | | | |1x|The iShares Currency Hedged MSCI ACWI ex U.S. ETF (the Fund) seeks to track the investment results of an index composed of large- and mid-capitalization developed and emerging equities while mitigating exposure 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I||U|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN6-4|TXN14-3|TXN6-8|TXN5-2|7000000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|20.57|0.0|0.0|20.55|20.6|20.5699|20.32|0.0|0.0|20.6|0.0|20.5|20.43|0.0|0.0|0.0|20.59|0.0|20.59|0.0|0.0|0.0|0.0|20.09|20.99|0.0|0.0|0.0|0.0|20.5|20.6|24.42|16.2801|54442|4733792 69338|HBANP|HBANP|446150823|US4461508230|Huntington Bancshares Inc|4.50 DEP PFD H||B|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN5-1|TXN13-1|TXN5-6|TXN5-5|20000000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||18.12|18.15|0.0|18.04|18.12|18.12|18.09|18.14|0.0|0.0|18.075|0.0|18.15|0.0|0.0|0.0|0.0|18.09|0.0|18.15|0.0|0.0|0.0|0.0|17.74|18.53|0.0|0.0|0.0|0.0|18.08|18.22|20.65|13.16|55229|13494559 59645|HBB|HBB|40701T104|US40701T1043|Hamilton Beach Brands Holding Company|Class A common stock, par value $0.01 per share|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|J|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN3-7|TXN8-8|TXN2-6|TXN3-3|10370000|||Quarterly|||||2017-09-26||||||| | | | | | | | | |||N|0|N|Y|124A|USA|US|||40|4020|402020|40202020|Consumer Discretionary|Consumer Products and Services|Household Goods and Home Construction|Household Appliance|N||N||||||Y|0|Y||Y|2|||16.63|16.28|0.0|16.78|16.42|16.5|16.2499|16.24|0.0|0.0|16.5|16.65|16.25|16.76|15.5|16.18|15.5|16.19|16.05|16.18|16.17|16.18|16.24|16.51|16.1|16.52|16.1|16.37|16.06|16.38|16.17|16.18|16.785|9.21|75919|4241622 28956|HBCP|HBCP|43689E107|US43689E1073|Home Bancorp Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN5-5|TXN13-1|TXN5-3|TXN5-8|8150000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||||||0.0|0.0|0.0|0.0|0.0|37.525|38.0|37.525|0.0|0.0|0.0|0.0|37.99|0.0|0.0|0.0|0.0|38.0|0.0|37.99|36.43|39.08|0.0|0.0|36.73|38.9|0.0|0.0|0.0|0.0|37.82|38.0|43.1399|27.745|6493|2903954 17017|HBI|HBI|410345102|US4103451021|Hanesbrands Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|C|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN1-3|TXN8-7|TXN2-7|TXN4-2|350040000|||NotApplicable|||||2006-08-16||||||| | | | | | | | | |||N|0|N|Y|146F|USA|US|||40|4020|402040|40204020|Consumer Discretionary|Consumer Products and Services|Personal Goods|Clothing and Accessories|N||N||||||Y|0|Y||Y|2|||3.91|3.91|0.0|3.91|3.91|3.915|3.91|3.91|0.0|0.0|3.915|3.91|3.915|3.92|3.92|3.91|3.915|3.91|3.91|3.91|3.91|3.92|3.04|4.81|3.91|3.92|3.89|3.95|3.88|3.93|3.91|3.92|8.8|3.54|7410005|2162000051 1820|HBIO|HBIO|416906105|US4169061052|Harvard Bioscience Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN6-6|TXN14-6|TXN6-5|TXN6-6|42690000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||4.58|4.53|0.0|0.0|4.58|4.58|4.53|4.57|0.0|0.0|4.54|4.54|4.55|0.0|4.58|4.58|4.58|4.55|0.0|4.55|4.44|4.65|3.46|5.64|4.47|4.65|3.46|5.43|4.48|4.63|4.53|4.55|6.29|1.98|108682|38196140 28384|HBM|HBM|443628102|CA4436281022|Hudbay Minerals Inc.|Common Shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|6|M|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-6|TXN3-6|TXN7-1|TXN1-2|TXN2-5|348910000|||BiAnnually|||||2010-10-25||||||| | | | | | | | | |||N|0|N|Y|130E|CAN|CA|||55|5510|551020|55102000|Basic Materials|Basic Resources|Industrial Metals and Mining|General Mining|N||N||||||Y|0|Y||Y|2|||4.69|4.685|0.0|4.69|4.68|4.685|4.68|4.68|0.0|0.0|4.69|4.69|4.685|4.69|4.69|4.68|4.695|4.69|4.69|4.68|4.68|4.69|3.66|5.73|4.67|4.69|4.67|4.71|4.66|4.69|4.68|4.69|6.34|3.94|1581797|591791995 1821|HBNC|HBNC|440407104|US4404071049|Horizon Bancorp Inc|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN5-8|TXN13-4|TXN5-3|TXN5-3|44110000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||||||11.83|11.85|0.0|11.95|11.83|11.84|11.831|11.855|0.0|0.0|11.83|0.0|11.83|0.0|11.82|11.84|11.86|11.831|0.0|11.83|11.75|11.96|9.2|14.63|11.74|11.95|11.8|11.89|11.79|11.9|11.83|11.87|16.435|7.69|178388|52641896 64837|HBT|HBT|404111106|US4041111067|HBT Financial Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN6-5|TXN10-2|TXN6-2|TXN6-1|31710000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||||||19.97|0.0|0.0|0.0|19.95|20.0|19.95|19.94|0.0|0.0|20.0|0.0|20.0|19.84|0.0|0.0|0.0|19.95|0.0|20.0|19.56|20.28|0.0|0.0|19.94|19.99|0.0|0.0|0.0|0.0|19.94|19.99|23.49|16.33|29835|10028900 6725|HCA|HCA|40412C101|US40412C1018|HCA Healthcare, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|T|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-3|TXN2-6|TXN8-6|TXN1-2|TXN4-2|267660000|||Quarterly|||||2011-03-10||||||| | | | | | | | | |||N|5|Y|Y|122B|USA|US|||20|2010|201010|20101010|Health Care |Health Care |Health Care Providers|Health Care Facilities|N||N||||||Y|0|Y||Y|1|||257.32|257.19|0.0|257.25|257.28|257.22|257.2|257.19|0.0|0.0|257.28|257.4|257.18|257.23|257.35|257.14|256.54|257.14|257.42|257.14|257.13|257.14|238.14|271.73|257.08|257.27|257.0|257.36|256.99|257.39|257.13|257.14|304.86|215.96|2000397|304916916 64153|HCAT|HCAT|42225T107|US42225T1079|Health Catalyst Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN5-7|TXN12-7|TXN5-5|TXN5-6|57550000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201010|20101025|Health Care |Health Care |Health Care Providers|Health Care Services|N||N||||||Y|0|Y||||||7.72|7.71|0.0|7.51|7.72|7.715|7.715|7.715|0.0|0.0|7.72|7.71|7.71|7.72|7.75|7.71|7.72|7.715|7.77|7.71|7.65|7.8|6.02|9.46|7.64|7.79|7.68|7.75|7.67|7.76|7.71|7.72|15.87|6.6|351918|111424025 57030|HCC|HCC|93627C101|US93627C1018|Warrior Met Coal, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|A|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-7|TXN2-6|TXN5-7|TXN1-3|TXN2-5|52020000|||Quarterly|||||2017-04-13||||||| | | | | | | | | |||N|0|N|Y|130B|USA|US|||60|6010|601010|60101040|Energy|Energy|Oil, Gas and Coal|Coal|N||N||||||Y|0|Y||Y|2|||57.24|57.25|0.0|57.22|57.14|57.2|57.2|57.245|0.0|0.0|57.18|57.27|57.21|57.23|57.245|57.21|57.09|57.22|56.87|57.21|57.2|57.21|44.08|69.62|57.13|57.34|57.12|57.3|57.1|57.32|57.2|57.21|58.82|31.04|577075|148596317 67389|HCDI|HCDI|41150T306|US41150T3068|Harbor Custom Development Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN6-5|TXN14-7|TXN5-8|TXN5-5|2330000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||35|3510|351010|35101010|Real Estate|Real Estate |Real Estate Investment and Services Development|Real Estate Holding and Development |N||N||||||N|0|Y|C|||||1.075|1.08|0.0|0.0|1.075|1.07|1.08|1.075|0.0|0.0|1.08|1.07|1.08|1.075|1.05|1.08|1.07|1.08|1.08|1.08|1.02|1.11|0.856|1.28|1.02|1.11|1.04|1.11|1.03|1.12|1.07|1.08|15.85|0.33|1343388|174248787 70824|HCDIP|HCDIP|41150T207|US41150T2078|Harbor Custom Development Inc|8.0 SER A PFD||B|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN5-4|TXN10-6|TXN6-2|TXN6-5|3800000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|1.88|1.92|1.93|0.0|0.0|0.0|0.0|1.95|0.0|0.0|0.0|1.9|1.91|0.0|1.91|0.0|0.0|0.0|0.0|1.78|2.12|0.0|0.0|0.0|0.0|1.9|2.0|8.4|1.75|43885|3316060 70825|HCDIW|HCDIW|41150T116|US41150T1161|Harbor Custom Development Inc|WT EXP 050926||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-3|TXN6-8|TXN13-8|TXN6-5|TXN6-4|2330000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0039|0.0039|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0039|0.0|0.0039|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0039|0.0097|0.0689|0.001|1000|3136389 71942|HCDIZ|HCDIZ|41150T124||Harbor Custom Development, Inc. Warrant|||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-1|TXN5-3|TXN11-2|TXN5-5|TXN5-4|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||50|5020|502040|50204000|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Industrial|N||N||||||N|0|Y|C|||||0.0|0.0|0.0|0.0|0.0|0.0012|0.0|0.0|0.0|0.0|0.0|0.0|0.0012|0.0|0.0|0.0|0.0|0.0012|0.0|0.0012|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0012|0.002|0.1|0.0009|37615|12974342 28831|HCI|HCI|40416E103|US40416E1038|HCI Group, Inc.|Common shares, no par value|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|J|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN4-3|TXN9-8|TXN1-2|TXN1-7|8590000|||Quarterly|||||2012-10-25||||||| | | | | | | | | |||N|0|N|Y|408A|USA|US|||30|3030|303020|30302025|Financials|Insurance|Non-life Insurance|Property and Casualty Insurance|N||N||||||N|0|Y||Y|2|||84.72|84.75|0.0|84.95|85.01|85.02|84.73|85.02|0.0|84.25|84.9|85.34|84.75|84.82|85.5|84.94|85.6|84.73|85.41|84.94|84.75|84.94|65.88|105.61|84.05|85.24|84.42|85.26|84.75|85.34|84.75|84.94|87.8999|32.42|94939|20331656 256|HCKT|HCKT|404609109|US4046091090|Hackett Group Inc (The)|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN5-2|TXN10-5|TXN5-5|TXN6-1|27240000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101010|10101010|Technology|Technology|Software and Computer Services|Computer Services|N||N||||||N|0|Y||||||22.87|0.0|0.0|0.0|22.87|0.0|22.84|22.875|0.0|0.0|22.88|0.0|22.84|0.0|0.0|0.0|0.0|22.84|0.0|22.84|22.65|23.08|17.78|28.29|22.68|23.06|22.79|22.93|22.78|22.94|22.84|22.86|24.82|17.1015|58643|29886423 52715|HCM|HCM|44842L103|US44842L1035|HUTCHMED (China) 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| | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.19|0.0|0.0|0.0|0.0|0.05|0.09|0.25|0.05|0|4075154 71177|HCWB|HCWB|40423R105|US40423R1059|HCW Biologics Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN6-7|TXN10-3|TXN6-1|TXN6-8|35980000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|1.16|1.1889|0.0|0.0|0.0|0.0|0.0|1.23|0.0|0.0|0.0|0.0|1.11|0.0|1.11|0.0|0.0|0.0|0.0|1.06|1.29|0.0|0.0|0.0|0.0|1.1|1.24|2.32|0.91|3256|3789182 61847|HCXY|HCXY|427096847|US4270968476|Hercules Capital, Inc.|6.25% Notes due 2033|Business development company|G|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN2-3|TXN8-8|TXN3-1|TXN4-8|1600000|||Quarterly|||||2018-09-27|2033-10-30|||||| | | | | | | | | |||N|0|N|N|406C||US|||||||||||N||N||||||N|0|Y||Y|2|||23.82|0.0|0.0|0.0|0.0|0.0|24.1499|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|24.1499|0.0|24.1499|0.0|24.1499|24.0|24.1|0.0|0.0|24.01|24.74|0.0|0.0|0.0|0.0|24.0|24.1|25.64|22.1001|489|558155 6741|HD|HD|437076102|US4370761029|The Home Depot, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-2|TXN1-2|TXN7-7|TXN4-7|TXN4-8|995260000|||Quarterly|||||1984-04-19||||||| | | | | | | | | |||Y|1|Y|Y|146E|USA|US|||40|4040|404010|40401025|Consumer Discretionary|Retail |Retailers |Home Improvement Retailers|N||N||||||Y|0|Y||Y|1|||324.02|324.01|0.0|324.0|324.01|324.02|323.92|324.04|0.0|0.0|324.01|324.15|324.0|323.97|323.95|324.02|324.31|324.01|323.94|324.02|324.0|324.01|303.69|343.66|323.83|324.15|306.69|324.27|323.92|324.23|324.0|324.01|347.25|274.26|3827910|837430969 50488|HDAW|HDAW|233051598|US2330515980|DBX ETF Trust|Xtrackers MSCI All World ex US High Dividend Yield Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||DBX Advisors|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN3-3|TXN9-8|TXN4-7|TXN3-8|450001|||Quarterly|||||2015-08-12||HDAW.NV|HDAW.SO|HDAW.EU|HDAW.TC|HDAW.IV| | | | | | | | | |1x|The Deutsche X-trackers MSCI All World ex US High Dividend Yield Hedged Equity ETF seeks investment results that correspond generally to the performance, before fees and expenses, of the MSCI ACWI ex US High Dividend Yield US Dollar Hedged Index (the Underlying Index). The Underlying Index is designed to track the performance of equity securities in developed and emerging stock markets (excluding the United States), while mitigating exposure to fluctuations between the value of the U.S. dollar and the currencies of the countries included in the Underlying Index. |N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|23.685|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|23.3771|0.0|23.3771|23.23|23.6|0.0|0.0|23.21|23.54|0.0|0.0|0.0|0.0|23.21|23.54|24.31|21.6509|76|339529 6742|HDB|HDB|40415F101|US40415F1012|HDFC Bank Limited|American Depository Shares (Each representing three Equity Shares)|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN1-6|TXN2-5|TXN3-3|TXN2-6|7589770000|||Yearly|||||2001-07-20||||||| | | | | | | | | |||N|0|N|Y|402A|IND|IN|||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||Y|2|||63.26|63.265|0.0|63.21|63.27|63.185|63.26|63.24|0.0|0.0|63.25|63.22|63.24|63.24|63.23|63.26|63.2|63.28|63.27|63.26|63.26|63.28|55.55|76.19|63.13|63.54|63.2|66.06|63.25|63.31|63.26|63.28|71.76|55.95|4776346|417878032 50485|HDEF|HDEF|233051630|US2330516301|DBX ETF Trust|Xtrackers MSCI EAFE High Dividend Yield Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||DBX Advisors|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN4-3|TXN7-6|TXN3-7|TXN3-8|58300001|||Quarterly|||||2015-08-12||HDEF.NV|HDEF.SO|HDEF.EU|HDEF.TC|HDEF.IV| | | | | | | | | |1x|Deutsche X-trackers MSCI EAFE High Dividend Yield Hedged Equity ETF seeks investment results that correspond generally to the performance, before fees and expenses, of the MSCI EAFE High Dividend Yield US Dollar Hedged Index (the Underlying Index). The Underlying Index is designed to track developed market performance while mitigating exposure to fluctuations between the value of the U.S. dollar and the currencies of the countries included in the Underlying |N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||23.581|23.55|0.0|0.0|23.58|23.56|23.575|23.575|0.0|0.0|23.56|23.56|23.57|23.56|0.0|23.56|23.58|23.55|0.0|23.55|23.55|23.58|21.97|25.19|23.55|23.58|23.53|23.6|23.53|23.59|23.55|23.58|24.24|21.45|262718|58629701 38506|HDG|HDG|74347X294|US74347X2945|ProShares Trust|ProShares Hedge Replication ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ProShares Advisors |Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN2-3|TXN8-8|TXN3-6|TXN1-4|675000|||Quarterly|||||2011-07-14||HDG.NV|HDG.SO|HDG.EU|HDG.TC|HDG.IV| | | | | | | | | |1x|ProShares Hedge Replication ETF seeks investment results, before fees and expenses, that track the performance of the Merrill Lynch Factor Model Exchange Series. The Benchmark, established by Merrill Lynch International, seeks to provide the risk and return characteristics of the hedge fund asset class by targeting a high correlation to HFRI Fund Weighted Composite Index (the HFRI). The HFRI is designed to reflect hedge fund industry performance through an equally weighted composite of over 2000 constituent funds. In seeking to maintain a high correlation with the HFRI, the Benchmark utilizes a systematic model to establish, each month, weighted long or short (or, in certain cases, long or flat) positions in six underlying factors (Factors). The Factors that comprise the Benchmark are the 1) S&P 500 Total Return Index, (2) the MSCI EAFE US Dollar Net Total Return Index, (3) the MSCI Emerging Markets US Dollar Net Total Return Index (MSCI merging Markets), (4) the Russell 2000 Total Return Index (Russell 2000), (5) three-month U.S. Treasury Bills, and (6) the ProShares UltraShort Euro ETF. The Benchmark is not comprised of, and the Fund does not invest in, any hedge fund or group of hedge funds.|N|0|N|N|416A|USA|US|HYBRID|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||47.65|0.0|0.0|0.0|0.0|0.0|48.2|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|48.2387|0.0|48.2387|47.82|48.81|0.0|0.0|48.16|48.35|44.89|51.66|0.0|0.0|48.16|48.35|49.21|46.46|553|504354 36436|HDGE|HDGE|00768Y412|US00768Y4127|AdvisorShares Trust|AdvisorShares Ranger Equity Bear ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||AdvisorShares|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN2-2|TXN8-4|TXN2-6|TXN4-3|4102500|||Yearly|||||2011-01-26||HDGE.NV|HDGE.SO|HDGE.EU|HDGE.TC|HDGE.IV| | | | | | | | | ||The investment objective of the Ranger Equity Bear ETF (HDGE) is capital appreciation through short sales of domestically traded equity securities. The HDGE portfolio is managed by Ranger Alternative Management, L.P. Ranger Alternative Management implements a bottom-up, fundamental, research driven security selection process. In selecting short positions, the Fund seeks to identify securities with low earnings quality or aggressive accounting which may be intended on the part of company management to mask operational deterioration and bolster the reported earnings per share over a short time period. In addition, the portfolio management team seeks to identify earnings driven events that may act as a catalyst to the price decline of a security, such as downwards earnings revisions or reduced forward guidance.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||22.66|22.63|0.0|0.0|22.66|22.67|22.65|22.66|0.0|0.0|22.67|0.0|22.65|22.66|22.66|22.64|0.0|22.63|22.75|22.63|22.44|22.91|22.56|22.77|22.63|22.69|22.56|22.69|22.56|22.72|22.63|22.69|29.8103|20.22|112465|29494326 64890|HDLB|HDLB|90269A484|US90269A4849|UBS AG|ETRACS Monthly Pay 2xLeveraged US High Dividend Low Volatility ETN Series B due October 21, 2049|Operating company|ETN|N|N|P|Y|Y|Y|Y|Y||||||||UBS|IMC Chicago, LLC, DBA IMC Financial Markets|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-3|TXN3-1|TXN6-8|TXN1-6|TXN3-4|1000000|||Monthly|||||2019-10-25|2049-10-21|HDLB.NV|HDLB.SO|HDLB.EC|HDLB.TC|HDLB.IV| | | | | | | | | |1x|The ETRACS Monthly Pay 2xLeveraged US High Dividend Low Volatility ETN Series B due October 21, 2049 (the Securities) provide two times leveraged long exposure to the compounded monthlyperformance of the price return version of the Solactive US High Dividend Low Volatility Index (the Index). The Securities are senior unsecured debt securities issued by UBS AG (UBS). |N|0|N|N|416A|GBR|CH|EQUITY|LEVERAGED|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|11.11|11.1399|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|11.2391|0.0|11.2391|0.0|0.0|11.22|11.26|11.14|11.48|0.0|0.0|0.0|0.0|11.0|11.69|15.3482|8.9855|1109|528627 53761|HDMV|HDMV|33739P871|US33739P8712|First Trust Exchange-Traded Fund III|First Trust Horizon Managed Volatility Developed International ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||First Trust|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-1|TXN2-1|TXN9-8|TXN4-5|TXN4-5|1300002|||Quarterly|||||2016-08-25||HDMV.NV|HDMV.SO|HDMV.EU|HDMV.TC|HDMV.IV| | | | | | | | | ||Under normal market conditions, the Fund will seek to achieve its investment objective by investing at least 80% of its net assets (including investment borrowings) in common stocks of developed market companies listed and traded on non-U.S. exchanges that the Sub-Adviser believes exhibit low future expected volatility. The goal of this strategy will be to capture upside price movements in rising markets and reduce downside risk when markets decline. To implement this strategy, in selecting securities for the Fund from a portfolio of eligible securities, the Sub-Adviser will employ volatility forecasting models to forecast future expected volatility. The strategy will largely be quantitative and rules-based, but will also include multiple parameters over which the Sub-Adviser may exercise discretion (including, but not limited to, the number of holdings and the weightings of particular holdings) in connection with its active management of the Fund.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|27.9064|0.0|0.0|0.0|28.04|0.0|27.88|0.0|0.0|0.0|0.0|27.9255|0.0|27.9255|0.0|0.0|0.0|0.0|27.88|27.97|0.0|0.0|0.0|0.0|27.88|27.97|29.84|25.93|2012|1283780 69607|HDRO|HDRO|26922B600|US26922B6002|ETF Series Solutions|Defiance Next Gen H2 ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Defiance ETFs|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN4-5|TXN7-8|TXN3-4|TXN2-5|4000000|||Yearly|||||2021-03-10||HDRO.NV|HDRO.SO|HDRO.EU|HDRO.TC| | | | | | | | | | |1x|The Defiance NextGen H2 ETF uses a passive management approach to track the total return performance, before fees and expenses, of the Index. The BlueStar Global Hydrogen & NextGen Fuel Cell Index is a rules-based index that tracks the performance of a group of globally listed equity securities of companies involved in the development of hydrogen-based energy souces, fule cell technologies and industrial gases.|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||6.4|6.39|0.0|0.0|6.44|6.4|6.43|6.43|0.0|0.0|6.44|0.0|6.4|6.45|6.44|6.44|0.0|6.4|0.0|6.4|4.88|7.96|4.88|7.96|6.4|6.45|4.88|7.96|0.0|0.0|6.4|6.45|11.91|5.52|54984|5276357 1831|HDSN|HDSN|444144109|US4441441098|Hudson Technologies Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN5-7|TXN10-2|TXN5-3|TXN6-5|45500000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5010|501010|50101025|Industrials|Construction and Materials|Construction and Materials |Building: Climate Control|N||N||||||Y|0|Y||||||12.45|12.35|0.0|12.27|12.29|12.27|12.36|12.35|0.0|0.0|12.35|12.29|12.35|12.34|12.29|12.34|0.0|12.35|12.26|12.35|12.2|12.46|9.55|14.95|12.25|12.45|12.31|12.39|12.31|12.39|12.35|12.36|14.1399|7.21|279856|121124905 74926|HDUS|HDUS|518416870|US5184168707|Lattice Strategies Trust|Hartford Disciplined US Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Hartford Funds Management Company|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-3|TXN3-8|TXN8-8|TXN1-5|TXN4-8|2150000|||Quarterly|||||2022-11-17||HDUS.NV|HDUS.SO|HDUS.EU|HDUS.TC| | | | | | | | | | |1x|The Fund seeks to provide investment results that, before fees and expenses,correspond to the total return performance of the Hartford Disciplined US Equity Index (LHDUSX) (the Index), which seeks to enhance the return potential available from investments in U.S. large cap equities. The Index methodology seeks to enhance return potential through multifactor stock selection while applying a comprehensive risk framework to overall Index construction. The rules-based, proprietary methodology utilizes an optimization process to target balanced exposures across value, momentum, and quality factors while seeking to enhance dividend yield, control for total active risk and reduce the volatility level relative to the capitalization-weighted universe.|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|45.0|0.0|0.0|0.0|0.0|44.9184|0.0|0.0|0.0|0.0|0.0|44.95|0.0|0.0|0.0|0.0|44.9789|0.0|44.9789|0.0|0.0|0.0|0.0|44.95|44.99|40.55|49.17|0.0|0.0|44.95|44.99|45.56|38.4003|8018|2428191 37650|HDV|HDV|46429B663|US46429B6636|iShares Trust|iShares Core High Dividend ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Pundion LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN2-7|TXN6-2|TXN4-3|TXN1-6|100900000|||Quarterly|||||2011-03-31||HDV.NV|HDV.SO|HDV.EU|HDV.TC|HDV.IV| | | | | | | | | |1x|The iShares High Dividend Equity Fund seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the Morningstar Dividend Yield Focus Index.The Morningstar Dividend Yield Focus Index is designed to measure the performance of performance of a select group of U.S. equity securities issued by companies that have provided relatively high dividend yields on a consistent basis. The Underlying Index is a subset of the Morningstar U.S. Market Index (a diversified broad market index that represents approximately 97% of the market capitalization of publicly-traded U.S. stocks). The Underlying Index is comprised of qualified income paying securities that are screened for superior company quality and financial health as determined by Morningstar, Inc.s (Morningstar) proprietary index methodology. Stocks in the Underlying Index represent the top 75 yielding stocks meeting the screening requirements.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||100.81|100.68|0.0|100.6|100.69|100.68|100.7|100.72|0.0|0.0|100.68|100.67|100.67|100.73|100.68|100.62|100.72|100.65|0.0|100.65|100.49|100.86|100.52|100.73|100.65|100.67|100.52|100.79|100.52|100.78|100.65|100.67|107.9574|93.46|665885|143920068 6746|HE|HE|419870100|US4198701009|Hawaiian Electric Industries, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-2|TXN4-5|TXN5-7|TXN2-2|TXN1-8|110120000|||Quarterly|||||1964-10-13||||||| | | | | | | | | |||N|0|Y|Y|302A|USA|US|||65|6510|651010|65101015|Utilities|Utilities|Electricity|Conventional Electricity|N||N||||||Y|0|Y||Y|1|||13.42|13.43|0.0|13.48|13.42|13.425|13.439|13.43|0.0|0.0|13.43|13.435|13.425|13.43|13.46|13.43|13.45|13.439|13.45|13.43|13.42|13.44|12.66|14.32|13.41|13.47|13.4|13.47|13.42|13.47|13.42|13.44|43.71|9.06|2365050|660021302 36079|HEAR|HEAR|900450206|US9004502061|Turtle Beach Corp|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN5-8|TXN14-1|TXN5-3|TXN6-7|17400000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4020|402030|40203040|Consumer Discretionary|Consumer Products and Services|Leisure Goods|Electronic Entertainment|N||N||||||Y|0|Y||||||11.54|11.26|0.0|11.28|11.23|11.2|11.2|11.19|0.0|0.0|11.51|11.51|11.22|11.18|11.26|11.2|11.54|11.23|11.21|11.22|10.96|11.41|8.68|13.97|11.15|11.33|11.15|11.31|11.15|11.28|11.22|11.26|13.26|6.17|571641|49663533 75652|HEAT|HEAT|89157W509|US89157W5094|Touchstone Climate Transition ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN3-8|TXN5-8|TXN2-1|TXN3-4|450000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|23.88|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|23.88|0.0|23.88|0.0|0.0|0.0|0.0|23.79|23.88|0.0|0.0|0.0|0.0|23.79|23.88|27.31|21.633|100|425149 32067|HEDJ|HEDJ|97717X701|US97717X7012|WisdomTree Trust|WisdomTree Europe Hedged Equity Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||WisdomTree|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-4|TXN1-7|TXN2-8|TXN3-2|TXN4-3|34150000|||Quarterly|||||2009-12-31||HEDJ.NV|HEDJ.SO|HEDJ.EU|HEDJ.TC|HEDJ.IV| | | | | | | | | |1x|The Fund seeks investment results that closely correspond to the price and yield performance, before fees and expenses, of the WisdomTree DEFA International Hedged Equity Index. The Index and the Fund are designed to provide exposure to equity securities in Europe, Far East Asia and Australasia, while at the same time hedging exposure to fluctuations between the value of the U.S. dollar and selected non-U.S. currencies in these regions. The Index is created using proprietary methodologies developed by WisdomTree Investments, Inc.|N|0|N|N|406C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||41.785|41.79|0.0|0.0|41.78|41.74|41.79|41.78|0.0|0.0|41.78|0.0|41.79|41.67|41.67|41.67|0.0|41.79|0.0|41.79|39.64|43.92|0.0|0.0|41.78|41.79|41.61|41.98|41.62|41.98|41.78|41.79|84.25|37.38|49366|12559085 46044|HEEM|HEEM|46434G509|US46434G5099|iShares Currency Hedged MSCI Emerging Markets ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-6|TXN3-4|TXN4-8|TXN4-5|TXN3-5|5290000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||0.0|24.1705|0.0|0.0|0.0|0.0|24.15|24.23|0.0|0.0|0.0|0.0|24.29|24.2|0.0|0.0|0.0|24.1705|0.0|24.1705|19.28|29.24|0.0|0.0|24.05|24.3|19.28|29.24|0.0|0.0|24.15|24.21|25.55|22.7001|1628|6666392 16030|HEES|HEES|404030108|US4040301081|H&E Equipment Services Inc|COM USD||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN6-8|TXN14-7|TXN5-3|TXN6-8|36450000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502060|50206050|Industrials|Industrial Goods and Services|Industrial Transportation|Commercial Vehicle-Equipment Leasing|N||N||||||Y|0|Y||||||46.86|46.71|0.0|46.73|46.89|46.77|46.85|46.87|0.0|0.0|46.75|0.0|46.85|46.86|46.86|46.78|0.0|46.85|46.47|46.85|46.37|47.32|36.06|57.57|46.5|47.26|46.78|55.63|46.85|0.0|46.85|46.92|56.47|32.33|134204|57506931 43488|HEFA|HEFA|46434V803|US46434V8037|iShares Currency Hedged MSCI EAFE ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-4|TXN3-1|TXN9-6|TXN3-7|TXN4-8|120150000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||31.08|31.08|0.0|31.07|31.08|31.085|31.085|31.085|0.0|0.0|31.06|31.06|31.08|31.07|31.07|31.085|31.065|31.08|31.08|31.08|31.07|31.09|28.77|33.26|31.07|31.09|31.06|32.64|31.07|31.1|31.07|31.09|31.23|26.93|540490|124381350 68578|HEGD|HEGD|53656F599|US53656F5998|Swan Hedged Equity US Large Cap ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN1-5|TXN3-8|TXN1-3|TXN1-7|10320000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||18.93|18.81|0.0|0.0|0.0|0.0|18.8493|0.0|0.0|0.0|18.83|0.0|0.0|0.0|0.0|0.0|0.0|18.81|0.0|18.81|0.0|0.0|18.84|18.86|18.7|19.03|0.0|0.0|0.0|0.0|18.8|18.93|18.97|16.86|41789|13131587 6754|HEI|HEI|422806109|US4228061093|HEICO Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|Q|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN3-6|TXN9-7|TXN4-1|TXN3-8|54710000|||BiAnnually|||||1999-01-29||||||| | | | | | | | | |||N|0|Y|Y|102B|USA|US|||50|5020|502010|50201010|Industrials|Industrial Goods and Services|Aerospace and Defense|Aerospace|N||N||||||Y|0|Y||Y|1|||177.92|178.32|0.0|176.3|178.17|178.28|178.29|178.28|0.0|0.0|178.09|175.7|178.33|177.64|178.32|178.31|177.42|178.3|176.61|178.31|178.3|178.31|165.6|189.4|178.18|179.07|178.15|178.42|178.12|178.45|178.3|178.31|182.18|147.69|421710|77893463 6755|HEI A|HEI.A|422806208|US4228062083|HEICO Corporation|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|O|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN4-3|TXN3-8|TXN3-5|TXN4-7|83480000|||BiAnnually|||||1999-01-29||||||| | | | | | | | | |||N|0|Y|Y|102B|USA|US|||50|5020|502010|50201010|Industrials|Industrial Goods and Services|Aerospace and Defense|Aerospace|N||N||||||Y|0|Y||Y|1|||141.63|143.21|0.0|143.44|141.265|143.18|143.36|143.29|0.0|0.0|143.27|141.78|143.36|143.38|142.63|143.43|130.56|143.44|138.7|143.43|143.35|143.46|134.25|152.55|142.15|144.36|135.29|148.78|143.35|143.63|143.35|143.46|144.2535|114.81|184245|50310692 1834|HELE|HELE|G4388N106|BMG4388N1065|Helen of Troy Ltd|COM USD.1||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN6-8|TXN12-1|TXN6-6|TXN6-1|23740000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4020|402020|40202025|Consumer Discretionary|Consumer Products and Services|Household Goods and Home Construction|Household Equipment and Products|N||N||||||Y|0|Y||||||110.6|110.63|0.0|110.52|110.65|110.07|110.54|110.75|0.0|0.0|111.22|111.15|110.61|110.67|110.03|111.24|110.93|110.61|110.7|110.61|109.59|112.05|84.88|135.49|109.78|111.72|110.3|110.94|110.31|110.69|110.54|110.69|143.68|81.14|646832|98358908 76402|HELO|HELO|46654Q724|US46654Q7245|J.P. Morgan Exchange-Traded Fund Trust|JPMorgan Hedged Equity Laddered Overlay ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||J.P. Morgan Investment Management|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-3|TXN3-8|TXN1-5|TXN3-7|TXN1-7|3125000|||Quarterly|||||2023-09-29||HELO.NV|HELO.SO|HELO.EU|HELO.TC|HELO.IV| | | | | | | | | ||Investment Process Options Overlay Strategy: To implement the Put/Spread Collar strategy, the adviser utilizes exchange traded equity options typically based on S&P 500 ETFs. The Put/Spread Collar is constructed by buying a put option at a higher strike price while writing a put option at a relatively lower strike price and simultaneously selling a call option that substantially offsets the cost of the put option spread. The strategy is intended to provide the Fund with downside protection, while foregoing some upside potential. Specifically, a put option spread seeks to protect the Fund against a decline in price, but only to the extent of the difference between the strike prices of the put option purchased and the put option sold. Entering into put option spreads is typically less expensive than a strategy of only purchasing put options and may benefit the Fund in a flat to upwardly moving market by reducing the cost of the downside protection; the downside protection of the put option spread, however, is limited as compared to just owning a put option. The premiums received from writing call options are intended to provide income which substantially offsets the cost of the put option spread, but writing the call options also reduces the Funds ability to profit from increases in the value of its equity portfolio because in rising markets the call option will be exercised once the market price rises to the options strike price. The Put/Spread Collar strategy is an actively managed process and is designed to provide a continuous market hedge for the portfolio. The strategy will own multiple Put/ Spread Collars that expire at various dates. For each hedge period, a portion of the options strategy may be reset as the applicable options approach expiration. The Fund will not be managed against a benchmark; however, the long-only enhanced index equity portfolio will be managed against the S&P 500 Index|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|52.13|0.0|0.0|52.12|52.13|52.1|52.035|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|52.12|52.127|0.0|52.127|40.34|64.0|40.34|64.0|52.1|52.17|40.34|64.0|0.0|0.0|52.1|52.17|52.18|48.705|23042|4285652 65681|HELX|HELX|35473P520|US35473P5200|Franklin Genomic Advancements ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-5|TXN2-2|TXN8-8|TXN1-8|TXN1-4|400000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||0.0|28.1499|0.0|0.0|0.0|28.04|27.9584|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|28.1499|0.0|28.1499|22.14|34.06|0.0|0.0|28.1|28.23|22.14|34.06|0.0|0.0|28.12|28.17|32.7|25.26|1770|400188 43930|HEPA|HEPA|426897302|US4268973025|Hepion Pharmaceuticals Inc|COM USD.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN5-3|TXN12-4|TXN5-4|TXN5-5|4340000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||0.0|3.3|0.0|0.0|3.3|3.22|3.4199|3.33|0.0|0.0|0.0|3.39|3.3|0.0|0.0|0.0|0.0|3.3|0.0|3.3|3.17|3.47|2.58|4.05|3.2|3.45|3.16|3.53|3.2|3.46|3.3|3.36|20.66|0.26|30160|77079985 71052|HEPS|HEPS|23292B104|US23292B1044|D MARKET Elektronik Hizmetler ve Ticaret Anonim Sirketi|ADR||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN5-3|TXN12-8|TXN6-6|TXN5-3|286000000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||TUR||||40|4040|404010|40401010|Consumer Discretionary|Retail |Retailers |Diversified Retailers|N||N||||||N|0|Y||||||1.5|1.46|0.0|1.52|1.48|1.47|1.46|1.475|0.0|0.0|1.46|1.46|1.45|1.509|1.45|1.465|1.475|1.47|1.5|1.45|1.44|1.48|1.2|1.76|1.43|1.49|1.43|1.49|1.43|1.49|1.45|1.47|1.89|0.6099|996562|144397964 38259|HEQ|HEQ|47804L102|US47804L1026|John Hancock Hedged Equity & Income Fund|Common Shares of Beneficial Interest, $0.01 Par Value|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN3-1|TXN8-8|TXN1-1|TXN2-6|12220000|||Quarterly|||||2011-05-26||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||10.1|10.1|0.0|0.0|10.1|10.095|10.095|10.09|0.0|0.0|10.09|0.0|10.1|10.14|0.0|10.1|10.1|10.1|0.0|10.1|10.09|10.1|7.76|12.49|9.42|10.77|7.76|12.49|0.0|0.0|8.07|10.1|12.97|9.08|60037|8722685 72208|HEQT|HEQT|82889N764|US82889N7646|Simplify Exchange Traded Funds|Simplify Hedged Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Simplify|Wolverine Trading, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-3|TXN1-8|TXN3-8|TXN2-7|TXN2-8|4450001|||Quarterly|||||2021-11-02||HEQT.NV|HEQT.SO|HEQT.EU|HEQT.TC|HEQT.IV| | | | | | | | | |1x|The Simplify Hedged Equity ETF seeks to provide capital appreciation. The ETF primarily invests in equity securities and also applies an option overlay known as a put/spread collar strategy.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||Y|0|Y||Y|2|||0.0|25.38|0.0|0.0|0.0|25.35|25.3741|0.0|0.0|0.0|25.38|0.0|25.39|0.0|0.0|25.38|25.37|25.3741|0.0|25.3741|25.38|25.43|25.36|25.37|25.34|25.45|12.22|27.89|0.0|0.0|25.37|27.25|27.13|20.53|18201|7487032 63557|HERD|HERD|69374H659|US69374H6595|Pacer Cash Cows Fund Of Funds ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN6-7|TXN10-8|TXN6-1|TXN5-3|2100000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|35.37|0.0|0.0|0.0|0.0|0.0|35.51|0.0|0.0|0.0|0.0|35.42|0.0|35.51|0.0|0.0|0.0|0.0|35.18|35.69|0.0|0.0|0.0|0.0|35.34|35.51|37.15|31.3354|6540|3639510 64917|HERO|HERO|37954Y392|US37954Y3927|Global X Video Games & Esports ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN5-7|TXN14-4|TXN6-2|TXN6-5|6640000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||19.9|19.96|0.0|0.0|0.0|19.95|19.99|19.87|0.0|0.0|19.95|0.0|19.86|0.0|0.0|0.0|0.0|19.96|0.0|19.86|0.0|0.0|0.0|0.0|19.79|20.13|0.0|0.0|0.0|0.0|19.92|20.02|21.565|17.75|38157|7462524 16470|HES|HES|42809H107|US42809H1077|Hess Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN2-2|TXN3-5|TXN4-5|TXN2-5|307160000|||Quarterly|||||1926-03-15||||||| | | | | | | | | |||N|5|Y|Y|134D|USA|US|||60|6010|601010|60101015|Energy|Energy|Oil, Gas and Coal|Offshore Drilling and Other Services|N||N||||||Y|0|Y||Y|1|||141.56|141.6|0.0|141.63|141.54|141.68|141.54|141.65|0.0|0.0|141.69|141.63|141.55|141.6|141.59|141.69|141.68|141.55|141.89|141.69|141.55|141.64|132.63|150.67|141.45|141.82|141.41|141.77|141.4|141.63|141.55|141.64|167.75|113.82|3705430|498024280 56974|HESM|HESM|428103105|US4281031058|Hess Midstream LP|Class A shares representing limited partner interests|Limited partnership|A|N|N|N|Y|Y|Y|Y|Y|5|A|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-4|TXN1-1|TXN7-6|TXN1-5|TXN4-6|68360000|||Quarterly|||||2019-12-17||||||| | | | | | | | | |||N|0|N|N|134F|USA|US|||60|6010|601010|60101035|Energy|Energy|Oil, Gas and Coal|Pipelines|N||N||||||Y|0|Y||Y|2|||32.8|32.85|0.0|32.85|32.83|32.81|32.84|32.815|0.0|0.0|32.83|32.8|32.83|32.83|32.78|32.85|32.81|32.84|32.85|32.85|32.83|32.85|25.21|40.02|32.67|32.87|32.83|32.87|32.83|32.88|32.83|32.85|33.32|25.6336|611428|152349406 43487|HEWG|HEWG|46434V704|US46434V7047|iShares Currency Hedged MSCI Germany ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN5-1|TXN12-6|TXN6-8|TXN5-1|1050000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|31.6405|0.0|0.0|0.0|0.0|0.0|31.71|0.0|0.0|0.0|0.0|31.6405|0.0|31.71|31.67|31.71|0.0|0.0|31.67|31.71|31.67|31.71|0.0|0.0|31.67|31.71|32.34|27.0|2980|3312338 43486|HEWJ|HEWJ|46434V886|US46434V8862|iShares Trust|iShares Currency Hedged MSCI Japan ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-7|TXN3-8|TXN6-7|TXN3-8|TXN2-6|6400000|||BiAnnually|||||2014-02-04||HEWJ.NV|HEWJ.SO|HEWJ.EU|HEWJ.TC|HEWJ.IV| | | | | | | | | |1x|The iShares Currency Hedged MSCI Japan ETF (the Fund) seeks to track the investment results of an index composed of large- and mid-capitalization Japanese equities while mitigating exposure to fluctuations between the value of the Japanese yen and the U.S. dollar. - MSCI Japan 100% Hedged to USD Index consists of stocks traded primarily on the Tokyo Stock Exchange with the currency risk of the securities included in the Index hedged against the U.S. dollar on a monthly basis. The Index may include large-, mid- or small-capitalization companies, and components primarily include consumer discretionary,financial and industrials companies. The components of the Index, and the degree to which these components represent certain industries, may change over time.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||35.23|35.24|0.0|0.0|35.23|35.225|35.24|35.23|0.0|0.0|35.22|35.23|35.23|35.23|35.23|35.24|0.0|35.21|35.24|35.21|35.23|36.99|33.05|37.43|35.23|35.25|33.51|36.99|0.0|0.0|35.23|35.25|35.95|26.0801|98823|36304341 44590|HEZU|HEZU|46434V639|US46434V6395|iShares Trust|iShares Currency Hedged MSCI Eurozone ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-1|TXN2-7|TXN7-6|TXN3-3|TXN4-7|10150000|||BiAnnually|||||2014-07-10||HEZU.NV|HEZU.SO|HEZU.EU|HEZU.TC|HEZU.IV| | | | | | | | | |1x|The iShares Currency Hedged MSCI EMU ETF (the Fund) seeks to track the investment results of an index composed of equities from countries within the European Monetary Union while mitigating exposure to fluctuations between the value of the component currencies and the U.S. dollar.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||32.68|32.67|0.0|0.0|32.68|32.68|32.705|32.68|0.0|0.0|32.69|0.0|32.71|32.63|32.06|32.68|32.71|32.705|32.14|32.705|32.69|32.72|30.38|34.93|32.69|32.72|32.69|32.72|0.0|0.0|32.69|32.72|32.77|27.77|31529|15272093 76041|HF|HF|88636J501|US88636J5011|Tidal Trust II|DGA Absolute Return ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Tidal ETF Services |GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-4|TXN1-1|TXN9-8|TXN4-3|TXN3-3|792000|||Yearly|||||2023-08-03||HF.NV|HF.SO|HF.EU|HF.TC| | | | | | | | | | ||Montrose Estate Capital Management, LLC, doing business as Days Global Advisors, is the Funds sub-adviser (the Sub-Adviser). The Fund is a fund-of ETFs, and the Sub-Adviser invests all of the Funds assets in unaffiliated ETFs that are listed on U.S. stock exchanges (Underlying ETFs). The Underlying ETFs may include ETFs that invest in U.S. and foreign equity securities, fixed income securities, commodities, etc. In addition, Underlying ETFs may include inverse ETFs (i.e., ETFs that produce investment results that are opposite of a particular benchmark index), or leveraged ETFs (i.e., ETFs that produce investment results that exceed a particular benchmark index by a factor greater than one).|N|0|N|N|416A|USA|US|HYBRID|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|20.5899|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|20.615|0.0|20.615|0.0|0.0|20.56|20.64|20.57|20.65|10.35|31.05|0.0|0.0|20.57|20.65|20.7|19.1771|1315|710013 12485|HFBL|HFBL|43708L108|US43708L1089|Home Federal Bancorp/LA|COM USD0.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN5-7|TXN14-1|TXN6-7|TXN6-2|3130000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|12.7705|0.0|0.0|0.0|0.0|12.94|12.61|0.0|0.0|0.0|0.0|12.94|0.0|12.94|0.0|0.0|0.0|0.0|12.15|13.46|0.0|0.0|0.0|0.0|12.61|12.94|21.8|12.04|819|392901 59522|HFFG|HFFG|40417F109|US40417F1093|HF Foods Group Inc|COM USD.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN5-6|TXN10-2|TXN6-6|TXN5-5|54150000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||45|4520|452010|45201010|Consumer Staples |Personal Care, Drug and Grocery Stores |Personal Care, Drug and Grocery Stores |Food Retailers and Wholesalers |N||N||||||Y|0|Y||||||4.92|4.95|0.0|0.0|4.91|4.94|4.945|4.95|0.0|0.0|4.95|4.95|4.92|0.0|0.0|4.9|0.0|4.92|0.0|4.92|4.7|5.13|0.0|0.0|4.8|5.03|0.0|0.0|0.0|0.0|4.9|4.92|6.55|3.4197|39443|11593618 72325|HFGO|HFGO|41653L883|US41653L8836|Hartford Large Cap Growth ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-1|TXN2-2|TXN9-8|TXN4-5|TXN4-3|6100000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|15.9962|0.0|0.0|0.0|0.0|15.8999|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|15.9962|0.0|15.9962|12.78|19.26|0.0|0.0|15.96|16.03|12.78|19.26|0.0|0.0|15.97|16.01|16.2|11.51|1029|550423 74736|HFND|HFND|886364439|US8863644394|Tidal ETF Trust|Unlimited HFND Multi-Strategy Return Tracker ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Tidal ETF Services |GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-5|TXN2-7|TXN3-8|TXN4-6|TXN4-3|2050000|||Yearly|||||2022-10-11||HFND.NV|HFND.SO|HFND.EU|HFND.TC| | | | | | | | | | ||The Fund is actively-managed and seeks capital appreciation. The Fund seeks to putperform the publickly reported net of fees returns of the hedge fund industry by creating a portfolio that has similar return characteristics, but with lower fees than are typically charged by traditional hedge funds.|N|0|N|N|416A|USA|US|HYBRID|ACTIVE|||||||||N||N||||||Y|0|Y||Y|2|||0.0|20.54|0.0|0.0|0.0|0.0|20.5001|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|20.51|0.0|20.51|0.0|0.0|0.0|0.0|20.5|20.52|20.37|20.67|0.0|0.0|20.5|20.52|21.3|19.74|10623|5636579 60032|HFRO|HFRO|43010E404|US43010E4044|Highland Opportunities and Income Fund|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN1-7|TXN1-5|TXN2-7|TXN2-8|68160000|||Monthly|||||2017-11-06||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||8.58|8.57|0.0|8.58|8.56|8.59|8.62|8.58|0.0|0.0|8.62|8.57|8.59|8.59|8.5|8.63|0.0|8.63|8.61|8.63|8.6|8.63|6.59|10.44|8.59|9.19|8.6|8.65|8.6|8.63|8.6|8.63|11.4753|6.89|375110|52487873 64230|HFRO PRA|HFROpA|43010E503|US43010E5033|Highland Opportunities and Income Fund|5.375% Series A Cumulative Preferred Shares|Closed end fund|B|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN2-2|TXN7-8|TXN4-4|TXN4-3|5800000|||Quarterly|||||2019-08-05||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||18.24|0.0|0.0|0.0|0.0|18.34|18.1835|18.33|0.0|0.0|0.0|0.0|0.0|18.24|0.0|18.33|0.0|18.1835|0.0|18.33|18.2|18.34|0.0|0.0|17.56|19.52|0.0|0.0|0.0|0.0|18.21|18.34|21.99|16.62|5777|1841339 1845|HFWA|HFWA|42722X106|US42722X1063|Heritage Financial Corp|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN6-2|TXN14-5|TXN6-3|TXN5-3|34900000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||||||18.99|19.0|0.0|19.08|19.0|19.09|19.0|19.02|0.0|0.0|19.0|19.03|18.99|19.1|0.0|19.03|19.02|19.0|0.0|18.99|18.84|19.2|14.59|23.27|18.86|19.18|18.94|19.05|18.97|19.06|18.99|19.0|32.33|14.85|170241|51390832 50343|HFXI|HFXI|45409B560|US45409B5600|IndexIQ ETF Trust|IQ FTSE International Equity Currency Neutral ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||IndexIQ |Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-1|TXN2-2|TXN6-8|TXN2-7|TXN2-5|18450000|||Quarterly|||||2015-07-22||HFXI.NV|HFXI.SO|HFXI.EU|HFXI.TC|HFXI.IV| | | | | | | | | |1x|The IQ 50 Percent Hedged FTSE International ETF seeks investment results that correspond (before fees and expenses) generally to the price and yield performance of its underlying index, the FTSE Developed ex North America 50% Hedged to USD Index (the Underlying Index).|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||24.13|24.1|0.0|0.0|24.13|24.11|24.12|24.08|0.0|0.0|24.13|0.0|24.07|24.07|24.08|24.07|0.0|24.15|0.0|24.15|22.41|25.8|18.65|29.73|24.11|24.15|22.41|25.8|0.0|0.0|23.63|24.62|24.63|21.27|63870|19184255 76605|HG|HG|G42706104|BMG427061046|Hamilton Insurance Group, Ltd.|Common Shares|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN4-4|TXN3-8|TXN1-5|TXN4-8|54650000|||Adhoc|||||2023-11-10||||||| | | | | | | | | |||N|0|N|Y|406B|BMU|BM|||30|3030|303020|30302010|Financials|Insurance|Non-life Insurance|Full Line Insurance|N||N||||||N|0|Y||Y|2|||15.3|15.31|0.0|15.34|15.3|15.35|15.32|15.31|0.0|0.0|15.35|15.32|15.33|15.36|15.34|15.3|15.13|15.31|15.0|15.3|15.31|15.38|15.27|15.4|14.33|16.28|15.28|15.4|15.27|15.36|15.31|15.38|16.35|14.35|155023|10133777 36508|HGBL|HGBL|42727E103|US42727E1038|Heritage Global Inc|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN6-1|TXN11-5|TXN5-4|TXN5-2|37150000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302020|30202010|Financials|Financial Services |Investment Banking and Brokerage Services |Asset Managers and Custodians|N||N||||||N|0|Y||||||2.72|2.7|0.0|0.0|2.72|2.71|2.72|2.68|0.0|0.0|2.7|2.72|2.72|2.71|0.0|0.0|2.7|2.72|0.0|2.72|2.68|2.75|2.07|3.28|2.68|2.74|2.68|2.75|2.68|2.75|2.7|2.72|4.08|2.2|141571|37001608 73449|HGER|HGER|41151J505|US41151J5056|Harbor ETF Trust|Harbor Commodity All-Weather Strategy ETF|Trust|ETF|N|N|N|Y|Y|Y|Y|Y|11|Q|Virtu Americas LLC|NITC|295|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN4-7|TXN4-7|TXN3-2|TXN1-2|4575000|||Yearly|||||2023-01-03||||||| | | | | | | | | |||N|0|N|N|416A|USA|US|||||||||||N||N||||||Y|0|Y||Y|2|||22.401|22.55|0.0|22.52|0.0|22.4|22.41|0.0|0.0|0.0|0.0|0.0|22.43|22.401|0.0|22.41|0.0|22.41|0.0|22.41|22.39|22.43|22.36|22.51|22.36|22.48|22.35|22.48|22.35|22.51|22.39|22.43|23.7|19.37|58770|5154293 63010|HGLB|HGLB|43010T104|US43010T1043|Highland Global Allocation Fund|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN3-2|TXN7-8|TXN4-5|TXN4-6|22480000|||Monthly|||||2019-02-19||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||8.23|8.27|0.0|8.31|8.35|8.28|8.33|8.19|0.0|0.0|8.2|8.28|8.35|8.35|8.35|8.37|8.28|8.37|0.0|8.37|8.33|8.37|6.45|10.16|7.77|8.85|8.3|8.4|8.31|8.37|8.33|8.37|10.29|6.42|84318|16953573 70765|HGTY|HGTY|405166109|US4051661092|Hagerty, Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|11|Q|Virtu Americas LLC|NITC|295|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN2-3|TXN1-5|TXN3-7|TXN2-5|84590000|||NotApplicable|||||2021-06-01||||||| | | | | | | | | |||N|0|N|Y|408A|USA|US|||30|3030|303020|30302025|Financials|Insurance|Non-life Insurance|Property and Casualty Insurance|N||N||||||Y|0|Y||Y|2|||8.61|8.55|0.0|0.0|8.56|8.5|8.56|8.56|0.0|0.0|8.5|8.55|8.57|8.67|8.52|8.55|0.0|8.53|8.61|8.55|8.53|8.6|6.74|10.48|8.39|8.72|6.74|10.48|0.0|0.0|8.53|8.6|10.42|7.52|41481|20939459 70766|HGTY WS|HGTY.WS|405166117|US4051661175|Hagerty, Inc.|Warrants, each whole warrant entitles the holder thereof to purchase one share of Class A common stock at a price of $11.50 per share|Operating company|C|N|N|N|Y|Y|Y|Y|Y|11|Q|Virtu Americas LLC|NITC|295|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN3-7|TXN7-8|TXN3-8|TXN2-2|84480000|||NotApplicable|||||2021-06-01|2026-12-02|||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||||||||||N||N||||||N|0|Y||N||||0.0|0.0|0.0|0.0|0.0|0.0|2.1977|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|2.1977|0.0|2.1977|0.0|2.1977|2.03|2.2|0.0|0.0|2.0|2.34|0.0|0.0|0.0|0.0|2.03|2.2|3.38|1.8|1000|821204 54663|HGV|HGV|43283X105|US43283X1054|Hilton Grand Vacations Inc.|Common stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|A|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-4|TXN2-8|TXN5-5|TXN2-7|TXN4-8|107980000|||NotApplicable|||||2016-12-13||||||| | | | | | | | | |||N|0|N|Y|128A|USA|US|||40|4050|405010|40501025|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Hotels and Motels |N||N||||||Y|0|Y||Y|2|||37.54|37.53|0.0|37.44|37.5|37.52|37.51|37.54|0.0|0.0|37.525|37.45|37.54|37.54|37.22|37.52|37.47|37.51|37.47|37.52|37.5|37.52|29.04|45.96|37.42|37.57|37.46|37.58|37.5|37.58|37.5|37.52|51.81|33.135|1611934|191357621 72354|HHGC|HHGC|G4R23P103|VGG4R23P1038|HHG Capital Corp|ORD SHS||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN6-1|TXN10-4|TXN6-2|TXN5-5|5050000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||SGP||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|11.2168|0.0|0.0|0.0|0.0|0.0|11.22|0.0|0.0|0.0|0.0|11.2168|0.0|11.2168|0.0|0.0|0.0|0.0|10.52|11.96|0.0|0.0|0.0|0.0|11.2|11.26|15.2699|10.0|103|4824506 72355|HHGCR|HHGCR|G4R23P145||HHG Capital Corporation 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Corp|UNITS||R|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN5-6|TXN14-6|TXN6-6|TXN6-2|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||SGP||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|11.24|0.0|0.0|0.0|0.0|0.0|11.24|11.5|14.46|10.015|0|196638 72356|HHGCW|HHGCW|G4R23P129|VGG4R23P1293|HHG Capital Corp|WT EXP 022526||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-1|TXN5-1|TXN10-6|TXN5-4|TXN5-5|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||SGP||||||||||||N||N||||||N|0|Y|C|||||0.0|0.02|0.0|0.0|0.0|0.025|0.0199|0.0225|0.0|0.0|0.02|0.02|0.02|0.0|0.0|0.02|0.0|0.0199|0.0|0.0199|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0165|0.02|0.2|0.0038|62011|1236495 36007|HHH|HHH|44267T102|US44267T1025|Howard Hughes Holdings Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN3-4|TXN2-8|TXN4-2|TXN4-7|50080000|||NotApplicable|||||2010-11-05||||||| | | | | | | | | |||N|0|Y|Y|414A|USA|US|||35|3510|351010|35101010|Real Estate|Real Estate |Real Estate Investment and Services Development|Real Estate Holding and Development |N||N||||||Y|0|Y||Y|1|||75.135|76.02|0.0|76.05|75.78|76.0|76.07|76.03|0.0|0.0|75.47|76.05|76.07|76.06|76.07|76.07|75.5|76.07|75.93|76.07|76.01|76.07|70.75|80.33|75.97|76.62|75.89|76.17|76.01|76.18|76.01|76.07|80.47|65.42|363413|17714503 70006|HHLA|HHLA|G39714103|KYG397141030|HH&L Acquisition Co.|Class A Ordinary Shares|Special purpose acquisition company|A|N|N|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN2-7|TXN2-8|TXN2-3|TXN2-7|4210000|||NotApplicable|||||2021-03-29||||||| | | | | | | | | |||N|0|N|N|122A|HKG|KY|||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|10.645|0.0|0.0|0.0|10.67|10.69|10.69|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.69|0.0|0.0|0.0|10.69|10.67|10.74|10.67|10.74|10.45|10.85|0.0|0.0|0.0|0.0|10.67|10.74|11.3|10.02|162|14337995 70007|HHLA WS|HHLA.WS|G39714129|KYG397141295|HH&L Acquisition Co.|Redeemable warrants, each warrant exercisable for one Class A ordinary share at an exercise price of $11.50|Special purpose acquisition company|C|N|N|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN5-8|TXN4-1|TXN7-8|TXN2-6|TXN4-8|0|||NotApplicable|||||2021-03-29||||||| | | | | | | | | 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Vehicles|N||N||||||N|0|Y||||||15.01|15.03|0.0|0.0|15.06|15.065|15.03|15.05|0.0|0.0|15.01|0.0|14.94|15.011|0.0|15.01|14.99|15.065|14.99|15.065|11.55|18.39|11.55|18.39|14.94|15.16|11.55|18.39|0.0|0.0|15.01|15.16|39.3|6.0|57609|10140265 66982|HHS|HHS|416196202|US4161962026|Harte Hanks Inc.|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN6-2|TXN12-1|TXN5-7|TXN5-5|7220000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4030|403010|40301020|Consumer Discretionary|Media|Media|Media Agencies|N||N||||||N|0|Y||||||7.67|7.46|0.0|0.0|7.42|7.5|7.59|7.5|0.0|0.0|0.0|7.3|7.53|0.0|0.0|7.5|0.0|7.51|7.45|7.51|7.14|7.88|0.0|0.0|7.23|7.83|0.0|0.0|0.0|0.0|7.49|7.53|14.24|5.0|53471|8833933 27532|HI|HI|431571108|US4315711089|Hillenbrand, Inc.|Common 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LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-7|TXN3-4|TXN9-8|TXN3-1|TXN2-5|39720000|||Quarterly|||||2011-03-22||||||| | | | | | | | | |||N|5|Y|Y|126E|USA|US|||50|5020|502010|50201020|Industrials|Industrial Goods and Services|Aerospace and Defense|Defense|N||N||||||Y|0|Y||Y|1|||241.9|242.51|0.0|242.6|238.62|242.48|242.53|242.53|0.0|0.0|239.9|242.52|242.53|234.55|241.77|242.6|242.62|242.61|238.98|242.6|242.61|242.62|226.16|257.04|242.42|242.67|242.25|242.87|242.11|242.94|242.61|242.62|242.65|188.51|308461|75120210 64443|HIMS|HIMS|433000106|US4330001060|Hims & Hers Health, Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN3-5|TXN4-2|TXN3-3|TXN3-1|203620000|||NotApplicable|||||2019-09-09||||||| | | | | | | | | |||N|0|N|Y|408A|USA|KY|||20|2010|201010|20101025|Health Care |Health Care |Health Care Providers|Health Care Services|N||N||||||Y|0|Y||Y|2|||8.89|8.89|0.0|8.73|8.89|8.885|8.885|8.89|0.0|0.0|8.89|8.89|8.885|8.88|8.88|8.89|8.885|8.885|8.895|8.89|8.88|8.89|8.85|8.92|8.88|8.9|8.86|8.92|8.86|8.9|8.88|8.89|12.34|5.65|2712876|692834397 16285|HIMX|HIMX|43289P106|US43289P1066|Himax Technologies Inc|ADR USD.001||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN5-4|TXN12-3|TXN5-4|TXN5-8|348830000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||TWN||||10|1010|101020|10102010|Technology|Technology|Technology Hardware and Equipment|Semiconductors|N||N||||||Y|0|Y||||||5.65|5.65|0.0|0.0|5.64|5.645|5.64|5.65|0.0|0.0|5.645|5.645|5.64|5.61|5.58|5.645|5.58|5.65|5.625|5.64|5.62|5.67|4.31|6.89|5.62|5.67|5.62|5.67|5.61|5.68|5.64|5.65|8.7|5.22|833628|195143167 6781|HIO|HIO|95766K109|US95766K1097|Western Asset High Income Opportunity Fund, Inc.|Common Stock|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN3-2|TXN3-8|TXN3-8|TXN1-4|95100000|||Monthly|||||1993-11-16||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||3.86|3.86|0.0|0.0|3.86|3.855|3.86|3.855|0.0|0.0|3.86|3.86|3.86|3.86|0.0|3.89|3.86|3.87|0.0|3.89|3.85|3.87|2.97|4.69|3.85|3.89|3.82|3.89|3.85|3.88|3.85|3.87|4.19|3.52|366639|61790863 68710|HIPO|HIPO|433539202|US4335392027|Hippo Holdings Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|O|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN2-6|TXN9-8|TXN2-5|TXN4-3|23890000|||NotApplicable|||||2021-01-11||||||| | | | | | | | | |||N|0|N|Y|408A|USA|KY|||30|3030|303020|30302025|Financials|Insurance|Non-life Insurance|Property and Casualty Insurance|N||N||||||Y|0|Y||Y|2|||8.83|9.13|0.0|8.95|9.1|9.13|9.13|9.145|0.0|0.0|9.0|8.555|9.13|9.14|8.78|9.13|0.0|9.18|8.91|9.13|9.13|9.18|7.0|11.24|8.99|9.26|9.07|9.23|9.13|9.25|9.13|9.18|20.39|6.645|101495|23576025 68711|HIPO WS|HIPO.WS|433539111|US4335391110|Hippo Holdings Inc.|Redeemable warrants, each whole warrant exercisable for one twenty-fifth (1/25) share of Common Stock at an exercise price of $287.50 per full share|Operating company|C|N|N|N|Y|Y|Y|Y|Y|6|O|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN5-8|TXN2-6|TXN7-8|TXN4-3|TXN2-6|23890000|||NotApplicable|||||2021-01-11|2027-01-11|||||| | | | | | | | | |||N|0|N|N|408A|USA|KY|||||||||||N||N||||||N|0|Y||N||||0.0|0.0|0.0|0.0|0.0|0.0|0.0201|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.02|0.0|0.02|0.0|0.02|0.02|0.0348|0.0|0.0|0.0193|0.041|0.0|0.0|0.0|0.0|0.02|0.0348|0.1894|0.0042|120|1333028 49166|HIPS|HIPS|38747R306|US38747R3066|GraniteShares ETF Trust|GraniteShares HIPS US High Income ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||GraniteShares Advisors |Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-7|TXN4-8|TXN6-8|TXN3-3|TXN3-4|4800000|||Monthly|||||2017-12-18||HIPS.NV|HIPS.SO|HIPS.EU|HIPS.TC|HIPS.IV| | | | | | | | | |1x|The Fund employs a passive management (or indexing) investment approach designed to track the total return performance, before fees and expenses, of the Index. The rules-based Index measures the performance of 300 high income U.S.-listed securities that typically have pass-through structures that require them to distribute substantially all of their earnings to shareholders as cash distributions. This high income, pass-through strategy is known as HIPS.|N|0|N|N|406C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||12.04|0.0|0.0|0.0|0.0|12.08|12.0599|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|12.02|0.0|12.02|11.93|12.28|0.0|0.0|12.0|12.06|11.17|12.86|0.0|0.0|12.0|12.06|13.15|11.17|13782|4567605 44769|HISF|HISF|33739Q309|US33739Q3092|First Trust High Income Strategic Focus ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN5-8|TXN12-5|TXN6-4|TXN5-2|700000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|43.7|0.0|0.0|0.0|0.0|0.0|43.74|0.0|0.0|0.0|0.0|43.7|0.0|43.74|0.0|0.0|0.0|0.0|43.73|43.82|0.0|0.0|0.0|0.0|43.73|43.8|45.5|41.73|530|906986 65730|HITI|HITI|42981E401|CA42981E4013|High Tide Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN6-1|TXN14-1|TXN6-4|TXN6-6|75090000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CAN||||20|2010|201030|20103020|Health Care |Health Care |Pharmaceuticals and Biotechnology|Cannabis Producers|N||N||||||Y|0|Y||||||1.58|1.58|0.0|0.0|1.58|1.59|1.59|1.675|0.0|0.0|1.58|1.58|1.59|1.639|0.0|1.71|1.61|1.58|1.73|1.59|1.56|1.62|1.34|1.95|1.56|1.62|1.56|1.62|1.56|1.62|1.58|1.61|2.3|1.0338|284527|50745525 60150|HIVE|HIVE|433921103|CA4339211035|HIVE Digital Technologies Ltd|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN5-5|TXN12-7|TXN5-4|TXN5-2|87630000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CAN||||30|3020|302020|30202015|Financials|Financial Services |Investment Banking and Brokerage Services |Investment Services|N||N||||||Y|0|Y||||||3.835|3.835|0.0|3.67|3.84|3.835|3.831|3.835|0.0|0.0|3.835|3.83|3.83|3.835|3.83|3.84|3.86|3.831|3.83|3.83|3.83|3.88|2.95|4.74|3.83|3.88|3.81|3.86|3.82|3.85|3.83|3.84|6.84|1.36|4599825|307855341 6785|HIW|HIW|431284108|US4312841087|Highwoods Properties, Inc.|Common Stock|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-1|TXN2-8|TXN7-2|TXN3-7|TXN3-4|105690000|||Quarterly|||||1994-06-08||||||| | | | | | | | | |||N|0|Y|Y|412A|USA|US|||35|3510|351020|35102030|Real Estate|Real Estate |Real Estate Investment Trusts|Office REITs|N||N||||||Y|0|Y||Y|1|||20.865|20.91|0.0|20.3|20.91|20.915|20.9|20.91|0.0|0.0|20.91|20.915|20.91|20.915|20.91|20.9|20.905|20.9|20.91|20.9|20.9|20.91|19.52|22.04|20.88|20.91|20.88|20.94|20.88|20.94|20.9|20.91|31.88|17.055|1147313|284841451 6788|HIX|HIX|95766J102|US95766J1025|Western Asset High Income Fund II Inc.|Common Stock|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN3-1|TXN9-8|TXN1-1|TXN2-7|67110000|||Monthly|||||1998-05-22||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||4.79|4.785|0.0|4.78|4.79|4.79|4.79|4.78|0.0|0.0|4.78|4.79|4.785|4.79|0.0|4.78|4.785|4.785|0.0|4.78|4.78|4.79|4.74|5.8|4.51|5.04|4.76|4.81|4.78|4.79|4.78|4.79|5.71|4.16|252275|36858934 75006|HIYS|HIYS|46090A754|US46090A7542|Invesco High Yield Select ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-4|TXN1-4|TXN4-8|TXN2-8|TXN3-4|400000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|25.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|25.0|0.0|25.0|0.0|0.0|0.0|0.0|24.97|25.05|0.0|0.0|0.0|0.0|24.97|25.03|25.7253|23.97|0|40519 69937|HJEN|HJEN|25460G617|US25460G6171|Direxion Shares ETF Trust|Direxion Hydrogen ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Direxion Shares|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-7|TXN1-4|TXN3-8|TXN3-3|TXN1-7|2400002|||Quarterly|||||2021-03-25||HJEN.NV|HJEN.SO|HJEN.EU|HJEN.TC|HJEN.IV| | | | | | | | | |1x|The Direxion Hydrogen ETF seeks investment results, before fees and expenses, that track the Indxx Hydrogen Economy Index|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||11.99|12.14|0.0|0.0|11.99|12.1|12.1|11.99|0.0|0.0|12.15|0.0|12.0|12.07|0.0|0.0|0.0|12.15|0.0|12.15|0.0|0.0|0.0|0.0|12.07|12.15|0.0|0.0|0.0|0.0|12.07|12.15|16.75|10.5801|9795|3110926 74273|HKD|HKD|00180N101|US00180N1019|AMTD Digital Inc.|American Depositary Shares (every five of which represent two Class A Ordinary Shares)|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|5|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN4-8|TXN4-8|TXN3-1|TXN2-8|10930000|||Adhoc|||||2022-07-15||||||| | | | | | | | | |||N|0|N|Y|408A|FRA|KY|||50|5020|502050|50205020|Industrials|Industrial Goods and Services|Industrial Support Services|Professional Business Support Services|N||N||||||N|0|Y||Y|2|||4.42|4.52|0.0|0.0|4.52|4.51|4.52|4.51|0.0|0.0|4.5|4.51|4.54|4.511|4.53|4.5|0.0|4.5|4.51|4.5|4.49|4.61|3.54|5.59|4.46|4.82|3.68|5.38|0.0|0.0|4.5|4.61|37.72|3.67|373994|455639932 67268|HKIT|HKIT|G45139105|KYG451391059|Hitek Global Inc|ORD USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN6-7|TXN11-5|TXN5-6|TXN6-2|10990000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||10|1010|101010|10101010|Technology|Technology|Software and Computer Services|Computer Services|N||N||||||N|0|Y||||||0.0|1.17|0.0|0.0|0.0|1.17|1.175|1.19|0.0|0.0|1.17|0.0|1.17|0.0|0.0|0.0|0.0|1.17|0.0|1.17|1.13|1.22|0.92|1.4|1.13|1.2|0.92|1.4|0.0|0.0|1.16|1.19|39.7962|1.07|36624|79059621 69302|HKND|HKND|444869101|US4448691018|Humankind Benefit Corporation|Humankind US Stock ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Ultimus Fund Solutions (Humankind)|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN4-3|TXN3-8|TXN1-7|TXN3-4|4500000|||Quarterly|||||2021-02-24||HKND.NV|HKND.SO|HKND.EU|HKND.TC| | | | | | | | | | |1x|The Humankind US Stock ETF (the Fund) seeks to provide investment results that, before fees and expenses, correspond generally to the total return performance of the Humankind US Equity Index (the Index). The Funds investment objective may be changed without the consent of the shareholders of the Fund|N|0|N|N|408A|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|28.311|26.945|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|28.2992|0.0|28.2992|28.04|28.62|28.25|28.3|28.26|28.34|28.25|28.34|0.0|0.0|28.26|28.34|29.03|25.68|150|531675 6802|HL|HL|422704106|US4227041062|Hecla Mining Company|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|P|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-6|TXN2-5|TXN6-3|TXN2-2|TXN3-7|618230000|||Quarterly|||||1964-12-21||||||| | | | | | | | | |||N|0|N|Y|130C|USA|US|||55|5510|551030|55103030|Basic Materials|Basic Resources|Precious Metals and Mining|Platinum and Precious Metals|N||N||||||Y|0|Y||Y|2|||4.89|4.9|0.0|4.9|4.9|4.895|4.895|4.9|0.0|0.0|4.89|4.9|4.895|4.9|4.9|4.9|4.905|4.9|4.9|4.9|4.89|4.9|3.76|6.0|4.87|4.9|4.87|4.93|4.87|4.93|4.89|4.9|7.0|3.55|7044415|1652747139 6803|HL PRB|HLpB|422704205|US4227042052|Hecla Mining Company|Series B Cumulative Convertible Preferred Stock|Operating company|B|N|N|N|Y|Y|Y|Y|Y|6|H|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN4-2|TXN3-8|TXN4-1|TXN2-5|150000|||Quarterly|||||1993-06-23||||||| | | | | | | | | |||N|0|N|N|130C|USA|US|||55|5510|551030|55103030|Basic Materials|Basic Resources|Precious Metals and Mining|Platinum and Precious Metals|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|51.5|52.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|52.0|0.0|52.0|0.0|52.0|52.35|54.45|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|52.35|54.45|67.58|50.7|213|139340 64065|HLAL|HLAL|53656F607|US53656F6079|Listed Funds Trust - Wahed FTSE USA Shariah ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN5-5|TXN14-6|TXN6-4|TXN5-3|7380000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||43.65|43.75|0.0|0.0|0.0|43.75|43.78|43.78|0.0|0.0|43.76|0.0|43.79|0.0|43.64|43.75|0.0|43.78|0.0|43.79|43.75|43.87|33.81|54.31|43.75|43.78|43.69|43.84|43.69|43.84|43.75|43.78|44.3092|34.569|70625|10035758 6806|HLF|HLF|G4412G101|KYG4412G1010|Herbalife Ltd.|Common Shares|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|I|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-2|TXN3-5|TXN4-8|TXN3-2|TXN1-3|99110000|||Adhoc|||||2004-12-16||||||| | | | | | | | | |||N|0|N|Y|120A|USA|KY|||45|4510|451020|45102020|Consumer Staples |Food, Beverage and Tobacco |Food Producers|Food Products|N||N||||||Y|0|Y||Y|2|||12.96|12.965|0.0|13.3|12.95|12.945|12.94|12.965|0.0|0.0|12.95|12.965|12.955|12.96|12.98|12.95|12.92|12.95|12.99|12.95|12.95|12.96|10.06|15.91|12.92|12.96|12.93|12.98|12.91|12.98|12.95|12.96|21.33|11.14|976819|357067047 69741|HLGE|HLGE|518416805|US5184168053|Lattice Strategies Trust|Hartford Longevity Economy ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Hartford Funds Management Company|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-5|TXN3-5|TXN7-8|TXN1-8|TXN3-4|350000|||Quarterly|||||2021-03-17||HLGE.NV|HLGE.SO|HLGE.EU|HLGE.TC| | | | | | | | | | |1x|The Fund seeks to provide investment results that, before fees and expenses, correspond to the total return performance of the Hartford Longevity Economy Index (LHLGEX) (the Index), which is designed to generate attractive risk-adjusted returns by investing in companies that comprise industries that reflect certain themes that are expected to benefit from the growth of the aging population and the substantial buying power it represents. HLGE will invest in 100% U.S. equity securities and holdings may range from 300 - 350, which may change over time|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|25.8546|0.0|25.8546|25.79|25.92|25.78|25.82|25.84|25.86|20.46|31.03|0.0|0.0|25.84|25.86|26.2406|22.7922|38|37011 50501|HLI|HLI|441593100|US4415931009|Houlihan Lokey, Inc.|Class A common stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-7|TXN3-6|TXN4-7|TXN2-4|TXN3-8|51610000|||Quarterly|||||2015-08-13||||||| | | | | | | | | |||N|0|Y|Y|402A|USA|US|||30|3020|302020|30202000|Financials|Financial Services |Investment Banking and Brokerage Services |Diversified Financial Services |N||N||||||Y|0|Y||Y|1|||114.94|115.095|0.0|115.12|115.1|115.0|115.13|114.91|0.0|0.0|114.98|115.06|115.095|114.93|115.0|115.11|114.98|115.11|114.94|115.11|115.1|115.11|107.37|121.12|114.37|115.7|114.98|115.21|114.95|115.23|115.1|115.11|115.24|83.92|1149055|93576652 3726|HLIO|HLIO|42328H109|US42328H1095|Helios Technologies, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|Q|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN2-8|TXN6-8|TXN3-2|TXN2-7|33050000|||Quarterly|||||2021-11-01||||||| | | | | | | | | |||N|0|N|Y|126E|USA|US|||50|5020|502020|50202020|Industrials|Industrial Goods and Services|Electronic and Electrical Equipment|Electronic Equipment: Control and Filter|N||N||||||N|0|Y||Y|2|||40.63|40.68|0.0|40.42|40.67|40.67|40.71|40.68|0.0|0.0|40.66|40.58|40.71|40.42|40.67|40.71|40.66|40.71|40.68|40.71|40.68|40.72|31.52|49.41|40.28|41.03|40.58|40.79|40.68|40.82|40.68|40.72|72.615|37.5|137631|32691594 1864|HLIT|HLIT|413160102|US4131601027|Harmonic Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN5-1|TXN12-4|TXN5-2|TXN6-5|112190000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||15|1510|151010|15101010|Telecommunications|Telecommunications|Telecommunications Equipment|Telecommunications Equipment|N||N||||||Y|0|Y||||||10.78|10.78|0.0|10.79|10.78|10.78|10.785|10.79|0.0|0.0|10.785|10.79|10.79|10.79|10.79|10.785|0.0|10.785|10.79|10.79|10.78|10.82|8.35|13.1|10.76|10.82|10.75|10.82|10.75|10.82|10.78|10.79|18.43|8.8|1456507|370529773 68311|HLLY|HLLY|43538H103|US43538H1032|Holley Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|O|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN2-8|TXN1-8|TXN2-8|TXN4-8|118340000|||NotApplicable|||||2020-11-27||||||| | | | | | | | | |||N|0|N|Y|408A|USA|KY|||40|4010|401010|40101025|Consumer Discretionary|Automobiles and Parts|Automobiles and Parts|Auto Parts|N||N||||||Y|0|Y||Y|2|||4.31|4.3|0.0|4.25|4.3|4.305|4.305|4.31|0.0|0.0|4.305|4.3|4.31|4.3|4.3|4.32|4.31|4.32|4.31|4.32|4.3|4.32|3.3|5.25|4.3|4.34|4.28|4.34|4.27|4.32|4.3|4.32|8.06|1.8801|310641|156760316 68312|HLLY WS|HLLY.WS|43538H111|US43538H1115|Holley Inc.|Redeemable Warrants, each whole warrant exercisable for one share of Common Stock at an exercise price of $11.50|Operating company|C|N|N|N|Y|Y|Y|Y|Y|6|O|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN9-8|TXN2-5|TXN8-8|TXN2-7|TXN4-1|117470000|||NotApplicable|||||2020-11-27|2026-07-16|||||| | | | | | | | | |||N|0|N|N|408A|USA|KY|||||||||||N||N||||||N|0|Y||N||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.39|0.5|0.0|0.0|0.395|0.5275|0.0|0.0|0.0|0.0|0.395|0.525|1.6|0.1393|0|3334692 68313|HLMN|HLMN|431636109|US4316361090|Hillman Solutions Corp|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN6-6|TXN10-2|TXN6-7|TXN6-3|194900000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502050|50205010|Industrials|Industrial Goods and Services|Industrial Support Services|Industrial Suppliers|N||N||||||Y|0|Y||||||8.01|8.02|0.0|7.95|8.02|8.015|8.011|8.02|0.0|0.0|8.02|8.02|8.01|8.01|8.01|8.02|8.02|8.015|8.01|8.01|8.0|8.03|6.23|9.68|7.99|8.03|7.98|8.04|7.98|8.04|8.01|8.02|10.28|6.02|1532102|304099381 74290|HLN|HLN|405552100|US4055521003|Haleon plc|American Depositary Shares (Each representing two Ordinary Shares)|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|6|T|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-4|TXN3-2|TXN3-4|TXN3-1|TXN4-6|9234570000|||Adhoc|||||2022-07-15||||||| | | | | | | | | |||N|0|N|Y|140A|GBR|GB|||20|2010|201030|20103015|Health Care |Health Care |Pharmaceuticals and Biotechnology|Pharmaceuticals |N||N||||||Y|0|Y||Y|2|||8.475|8.47|0.0|0.0|8.48|8.475|8.47|8.475|0.0|0.0|8.475|8.48|8.48|8.475|8.475|8.47|8.475|8.48|8.475|8.47|8.47|8.48|6.54|10.35|8.47|8.48|6.76|10.14|8.35|8.52|8.47|8.48|9.05|7.069|4709227|1026976523 56738|HLNE|HLNE|407497106|US4074971064|Hamilton Lane Inc|CL A COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN5-2|TXN12-8|TXN6-1|TXN6-4|38600000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302020|30202010|Financials|Financial Services |Investment Banking and Brokerage Services |Asset Managers and Custodians|N||N||||||Y|0|Y||||||99.73|99.68|0.0|99.66|99.77|99.65|99.74|99.715|0.0|0.0|99.68|99.73|99.78|99.69|99.59|99.76|0.0|99.745|0.0|99.78|99.5|99.96|75.42|122.24|99.5|99.96|99.47|99.98|99.7|100.02|99.7|99.8|100.09|62.47|252367|45289286 75515|HLP|HLP|G4594M108|KYG4594M1087|Hongli Group Inc|ORD||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN6-2|TXN11-4|TXN5-3|TXN6-2|12060000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||55|5510|551020|55102010|Basic Materials|Basic Resources|Industrial Metals and Mining|Iron and Steel|N||N||||||N|0|Y|D|||||2.6|2.62|0.0|0.0|2.61|2.62|2.61|2.62|0.0|0.0|2.6|2.5|2.65|0.0|0.0|2.62|0.0|2.61|0.0|2.65|2.01|3.29|2.01|3.29|2.43|2.86|2.01|3.29|0.0|0.0|2.6|2.69|8.68|1.002|676448|48803436 43261|HLT|HLT|43300A203|US43300A2033|Hilton Worldwide Holdings Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|A|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-3|TXN4-4|TXN1-3|TXN2-7|TXN3-1|256440000|||Quarterly|||||2017-01-04||||||| | | | | | | | | |||N|5|Y|Y|128A|USA|US|||40|4050|405010|40501025|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Hotels and Motels |N||N||||||Y|0|Y||Y|1|||171.65|171.62|0.0|171.65|171.61|171.62|171.56|171.63|0.0|0.0|171.63|171.64|171.57|171.64|171.25|171.57|172.12|171.57|171.61|171.57|171.56|171.57|162.04|183.64|171.52|171.67|171.46|171.73|171.45|171.74|171.56|171.57|174.1|123.74|1363380|389110800 71800|HLTH|HLTH|229790100|US2297901009|Cue Health Inc|COM USD0.00001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-2|TXN6-6|TXN12-1|TXN6-4|TXN6-8|154630000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y|D|||||0.35|0.3431|0.0|0.0|0.35|0.3528|0.35|0.3452|0.0|0.0|0.3524|0.3451|0.35|0.35|0.0|0.35|0.0|0.35|0.3316|0.35|0.3378|0.3609|0.323|0.4288|0.3394|0.3599|0.2823|0.395|0.0|0.0|0.3481|0.35|3.49|0.2651|484414|118905837 73968|HLVX|HLVX|43157M102|US43157M1027|HilleVax Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN5-2|TXN14-2|TXN5-2|TXN5-3|48440000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||14.5|14.49|0.0|14.4|14.5|14.5|14.65|14.665|0.0|0.0|14.35|14.4|14.68|0.0|0.0|14.63|0.0|14.65|14.58|14.68|14.18|15.25|11.12|18.19|14.32|15.01|11.12|18.19|14.36|14.97|14.61|14.69|19.09|9.94|151252|15006985 1835|HLX|HLX|42330P107|US42330P1075|Helix Energy Solutions Group, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-2|TXN2-8|TXN1-4|TXN3-3|TXN4-3|150710000|||NotApplicable|||||2006-07-18||||||| | | | | | | | | |||N|0|N|Y|304C|USA|US|||60|6010|601010|60101030|Energy|Energy|Oil, Gas and Coal|Oil Equipment and Services|N||N||||||Y|0|Y||Y|2|||9.22|9.21|0.0|9.4|9.2|9.21|9.22|9.21|0.0|0.0|9.21|9.21|9.215|9.23|9.24|9.21|9.225|9.215|9.21|9.21|9.21|9.22|9.19|9.24|9.2|9.23|9.19|9.24|9.18|9.24|9.21|9.22|11.875|5.76|1599543|436504064 6815|HMC|HMC|438128308|US4381283088|Honda Motor Co., Ltd.|American Depositary Share, each representing three (3) shares of Common Stock|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN3-1|TXN2-2|TXN4-1|TXN2-8|5434290000|||BiAnnually|||||1977-02-11||||||| | | | | | | | | |||N|0|N|Y|132A|JPN|JP|||40|4010|401010|40101020|Consumer Discretionary|Automobiles and Parts|Automobiles and Parts|Automobiles|N||N||||||Y|0|Y||Y|2|||30.26|30.26|0.0|30.15|30.28|30.275|30.26|30.275|0.0|0.0|30.26|30.28|30.26|30.28|30.26|30.26|30.28|30.26|30.28|30.26|30.26|30.27|23.51|37.17|30.25|30.29|30.23|30.3|30.25|30.31|30.26|30.27|36.82|22.35|1049745|246615629 6819|HMN|HMN|440327104|US4403271046|Horace Mann Educators Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|C|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-7|TXN1-5|TXN9-7|TXN1-1|TXN1-1|40840000|||Quarterly|||||1991-11-15||||||| | | | | | | | | |||N|0|N|Y|410B|USA|US|||30|3030|303020|30302025|Financials|Insurance|Non-life Insurance|Property and Casualty Insurance|N||N||||||N|0|Y||Y|2|||33.74|33.67|0.0|33.62|33.67|33.69|33.661|33.725|0.0|0.0|33.69|33.72|33.65|33.69|33.69|33.67|33.56|33.65|33.69|33.67|33.65|33.67|25.46|41.03|33.61|33.71|33.6|33.76|33.62|33.67|33.65|33.67|38.57|27.81|192452|54948423 1869|HMNF|HMNF|40424G108|US40424G1085|HMN Financial Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN6-6|TXN12-6|TXN6-7|TXN6-2|4490000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||||||18.2|18.32|0.0|0.0|0.0|18.37|18.3985|18.05|0.0|0.0|18.5|0.0|18.06|0.0|0.0|0.0|18.51|18.3985|0.0|18.3985|0.0|0.0|0.0|0.0|16.96|19.97|0.0|0.0|0.0|0.0|17.66|18.9|22.96|17.31|21192|660042 60305|HMOP|HMOP|41653L503|US41653L5030|Hartford Funds Exchange-Traded Trust|Hartford Municipal Opportunities ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Hartford Funds Management Company|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-6|TXN1-8|TXN4-8|TXN2-3|TXN3-4|9950000|||Monthly|||||2017-12-14||HMOP.NV|HMOP.SO|HMOP.EU|HMOP.TC|HMOP.IV| | | | | | | | | ||The Fund seeks to achieve its investment objective by investing in investment grade and non-investment grade municipal securities (known as junk bonds) that the sub-adviser, Wellington Management Company LLP (Wellington Management), considers to be attractive from a yield perspective while considering total return. |N|0|N|N|404A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||38.22|38.07|0.0|0.0|38.22|0.0|38.16|38.26|0.0|0.0|0.0|0.0|38.22|38.25|0.0|38.24|0.0|38.07|38.25|38.07|29.41|46.95|29.41|46.95|38.05|38.27|29.41|46.95|0.0|0.0|38.05|38.27|38.71|36.1001|54871|10082874 39333|HMST|HMST|43785V102|US43785V1026|HomeStreet Inc|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN6-1|TXN10-7|TXN6-4|TXN5-6|18810000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||||||7.41|7.35|0.0|0.0|7.38|7.395|7.4|7.385|0.0|0.0|7.39|7.39|7.37|7.32|7.39|7.34|0.0|7.4|7.41|7.37|7.29|7.48|5.68|9.1|7.31|7.46|6.06|7.43|7.34|7.43|7.37|7.4|30.15|4.2|185314|91873374 6827|HMY|HMY|413216300|US4132163001|Harmony Gold Mining Company Limited|American Depositary Shares (Each representing One Ordinary Share, Rand 50 cents par value)|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|8|M|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-3|TXN4-1|TXN8-3|TXN4-7|TXN2-5|619930000|||BiAnnually|||||2002-11-27||||||| | | | | | | | | |||N|0|N|Y|130D|ZAF|ZA|||55|5510|551030|55103025|Basic Materials|Basic Resources|Precious Metals and Mining|Gold Mining|N||N||||||Y|0|Y||Y|2|||6.09|6.075|0.0|6.05|6.08|6.09|6.085|6.09|0.0|0.0|6.09|6.08|6.09|6.075|6.07|6.08|6.075|6.09|6.075|6.08|6.08|6.09|4.73|7.49|6.08|6.1|6.04|6.11|6.07|6.11|6.08|6.09|6.34|2.925|6393706|929135138 60424|HNDL|HNDL|86280R506|US86280R5063|Strategy Shares - NASDAQ 7HANDL Index ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN5-3|TXN10-2|TXN5-7|TXN6-1|45680000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||20.04|20.08|0.0|0.0|20.08|20.08|20.1|20.08|0.0|0.0|20.04|0.0|20.08|0.0|0.0|20.08|20.08|20.1|0.0|20.08|18.58|21.46|18.58|21.46|19.94|20.21|18.58|21.46|0.0|0.0|20.03|20.1|21.14|18.3|147641|31115541 6828|HNI|HNI|404251100|US4042511000|HNI Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN1-5|TXN6-7|TXN2-4|TXN2-3|46580000|||Quarterly|||||1998-07-02||||||| | | | | | | | | |||N|0|N|Y|104B|USA|US|||40|4020|402020|40202015|Consumer Discretionary|Consumer Products and Services|Household Goods and Home Construction|Household Furnishings|N||N||||||Y|0|Y||Y|2|||40.24|40.12|0.0|40.11|40.18|40.22|40.19|40.21|0.0|0.0|40.21|40.19|40.2|40.22|39.75|40.22|40.2|40.22|38.98|40.22|40.21|40.22|30.44|48.62|40.12|40.22|40.13|40.26|40.12|40.27|40.21|40.22|40.25|24.605|227340|62666617 1874|HNNA|HNNA|425885100|US4258851009|Hennessy Advisors Inc|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN5-5|TXN13-4|TXN5-8|TXN6-1|7580000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302020|30202010|Financials|Financial Services |Investment Banking and Brokerage Services |Asset Managers and Custodians|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|6.6|6.58|6.55|0.0|0.0|6.56|0.0|6.63|6.46|0.0|0.0|0.0|6.58|0.0|6.58|0.0|0.0|0.0|0.0|6.16|6.84|0.0|0.0|0.0|0.0|6.5|6.67|10.15|6.33|10704|1813161 72123|HNNAZ|HNNAZ|425885209|US4258852098|Hennessy Advisors Inc 4.875 Notes due 2026|ETN||U|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN6-7|TXN14-5|TXN5-5|TXN6-7|1610000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|22.36|25.96|0.0|0.0|0.0|0.0|24.0|24.35|25.64|19.8|2|234542 73821|HNRA|HNRA|40472A102|US40472A1025|HNR Acquisition Corp|Class A Common Stock|Special purpose acquisition company|A|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-6|TXN2-2|TXN4-8|TXN4-1|TXN3-4|5100000|||NotApplicable|||||2022-04-04||||||| | | | | | | | | |||N|0|N|N|134B|USA|US|||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y|D|Y|2|||2.21|2.13|0.0|2.37|2.34|2.11|2.115|2.27|0.0|0.0|2.12|2.15|2.12|2.12|2.38|0.0|2.11|2.11|0.0|2.11|1.67|2.64|2.11|2.19|1.98|2.2|1.67|2.64|0.0|0.0|2.11|2.19|13.93|1.3597|202627|55471098 73822|HNRA WS|HNRA.WS|40472A128|US40472A1280|HNR Acquisition Corp|Warrants, each whole warrant exercisable for three quarters of one share of Class A Common Stock at an exercise price of $11.50 per whole share|Special purpose acquisition company|C|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN11-3|TXN2-5|TXN9-8|TXN1-4|TXN2-5|0|||NotApplicable|||||2022-04-04||||||| | | | | | | | | |||N|0|N|N|134B|USA|US|||||||||||N||N||||||N|0|Y|C|N||||0.0|0.0|0.0|0.0|0.0|0.079|0.085|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.079|0.079|0.0|0.079|0.06|0.096|0.075|0.079|0.06|0.096|0.06|0.096|0.0|0.0|0.075|0.079|0.24|0.0123|1929|3165001 32735|HNRG|HNRG|40609P105|US40609P1057|Hallador Energy Co|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN5-3|TXN13-4|TXN5-5|TXN6-2|33140000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||60|6010|601010|60101040|Energy|Energy|Oil, Gas and Coal|Coal|N||N||||||Y|0|Y||||||12.04|11.9|0.0|12.17|11.92|11.92|11.93|11.92|0.0|0.0|11.92|11.97|11.92|11.89|12.3|11.93|12.59|11.93|11.9|11.92|11.79|12.02|9.4|14.68|11.81|12.03|11.9|11.96|11.9|0.0|11.92|11.93|15.79|6.87|254553|55169576 70487|HNST|HNST|438333106|US4383331067|Honest Company Inc (The)|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN6-4|TXN10-7|TXN6-5|TXN5-1|95470000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||45|4520|452010|45201020|Consumer Staples |Personal Care, Drug and Grocery Stores |Personal Care, Drug and Grocery Stores |Personal Products|N||N||||||Y|0|Y||||||2.43|2.42|0.0|2.33|2.41|2.42|2.415|2.415|0.0|0.0|2.415|2.43|2.41|2.43|2.41|2.43|2.38|2.415|2.42|2.41|2.35|2.43|1.83|3.0|2.36|2.43|2.39|2.45|2.4|2.44|2.41|2.43|3.75|1.06|1262682|210854728 74021|HNVR|HNVR|410710206|US4107102067|Hanover Bancorp Inc|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN5-5|TXN13-4|TXN6-8|TXN5-5|7180000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|17.7|17.705|0.0|0.0|0.0|17.58|0.0|17.7|0.0|0.0|0.0|0.0|17.67|0.0|17.7|0.0|0.0|0.0|0.0|16.87|18.58|0.0|0.0|0.0|0.0|17.67|17.7|21.22|17.37|12551|738488 24622|HNW|HNW|723653101|US7236531015|Pioneer Diversified High Income Fund, Inc.|Common Shares of Beneficial Interest|Closed end fund|P|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-1|TXN4-7|TXN8-8|TXN3-5|TXN1-2|8340000|||Monthly|||||2007-05-25||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||0.0|10.66|0.0|0.0|0.0|10.65|10.6599|10.655|0.0|0.0|10.67|10.62|10.65|0.0|0.0|10.645|10.6599|10.6599|0.0|10.6599|8.24|13.02|10.65|10.66|9.9|11.33|8.24|13.02|0.0|0.0|10.65|10.66|11.1173|9.8|25254|7532444 76416|HOCT|HOCT|45783Y467|US45783Y4677|Innovator Premium Income 9 Buffer ETF - October|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-5|TXN1-7|TXN5-8|TXN1-4|TXN2-8|400000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||24.14|24.125|0.0|24.14|24.14|0.0|24.0849|24.14|0.0|0.0|24.14|0.0|0.0|0.0|24.15|24.14|0.0|24.125|24.14|24.125|24.08|24.14|24.08|24.14|24.07|24.18|24.01|24.16|24.04|24.16|24.09|24.16|24.26|23.5249|5714|552749 1876|HOFT|HOFT|439038100|US4390381006|Hooker Furnishings Corporation|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN6-4|TXN14-4|TXN6-3|TXN5-2|10740000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4020|402020|40202015|Consumer Discretionary|Consumer Products and Services|Household Goods and Home Construction|Household Furnishings|N||N||||||N|0|Y||||||19.45|0.0|0.0|0.0|0.0|19.74|19.8|19.42|0.0|0.0|0.0|0.0|19.61|0.0|18.81|0.0|0.0|19.75|19.45|19.61|18.76|20.41|0.0|0.0|18.91|20.35|15.64|23.91|0.0|0.0|19.56|19.94|22.27|14.73|26135|11292303 60756|HOFV|HOFV|40619L201|US40619L2016|Hall of Fame Resort & Entertainment Co|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN6-2|TXN12-4|TXN6-3|TXN5-2|6440000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4050|405010|40501030|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Recreational Services|N||N||||||N|0|Y||||||0.0|3.69|0.0|0.0|0.0|3.68|3.75|3.67|0.0|0.0|3.7|0.0|3.71|0.0|0.0|0.0|0.0|3.75|0.0|3.71|3.46|3.87|0.0|0.0|3.46|3.9|2.76|4.48|0.0|0.0|3.66|3.75|16.4399|0.4|19327|6734868 60757|HOFVW|HOFVW|40619L110|US40619L1109|Hall of Fame Resort & Entertainment Co|WT EXP 012423||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-1|TXN5-3|TXN12-7|TXN5-4|TXN5-2|5680000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y|D|||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0175|0.0|0.0093|0.0|0.0|0.0|0.0|0.0093|0.0|0.0093|0.0|0.0|0.0|0.0|0.0075|0.097|0.0|0.0|0.0|0.0|0.0093|0.0174|0.1|0.002|2635|3182393 6743|HOG|HOG|412822108|US4128221086|Harley-Davidson, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|N|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN3-5|TXN8-4|TXN1-5|TXN4-4|139270000|||Quarterly|||||1987-07-01||||||| | | | | | | | | |||N|0|Y|Y|144E|USA|US|||40|4020|402030|40203055|Consumer Discretionary|Consumer Products and Services|Leisure Goods|Recreational Vehicles and Boats|N||N||||||Y|0|Y||Y|1|||31.91|31.89|0.0|31.87|31.91|31.9|31.91|31.94|0.0|0.0|31.92|31.88|31.89|31.9|31.89|31.9|31.88|31.9|31.88|31.9|31.89|31.9|29.56|33.68|31.87|31.92|31.87|31.92|31.89|31.94|31.89|31.9|51.77|25.4302|1405619|376231050 25660|HOLI|HOLI|G45667105|VGG456671053|Hollysys Automation Technologies Ltd|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN5-6|TXN11-8|TXN6-2|TXN5-4|62020000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||10|1010|101010|10101010|Technology|Technology|Software and Computer Services|Computer Services|N||N||||||Y|0|Y||||||22.93|22.94|0.0|22.87|22.93|22.93|22.92|22.94|0.0|0.0|22.94|22.98|22.95|22.92|22.97|22.95|22.97|22.92|22.97|22.95|22.8|23.1|17.71|28.27|22.81|23.07|22.91|22.96|22.92|22.97|22.92|22.95|23.78|15.125|422627|57328215 71302|HOLO|HOLO|G55032109|KYG550321098|MicroCloud Hologram Inc|ORD SHS||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-4|TXN6-4|TXN13-3|TXN5-5|TXN6-1|50810000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||50|5020|502020|50202025|Industrials|Industrial Goods and Services|Electronic and Electrical Equipment|Electronic Equipment: Gauges and Meters|N||N||||||N|0|Y|C|||||0.462|0.456|0.0|0.0|0.4531|0.457|0.4619|0.457|0.0|0.0|0.453|0.4568|0.454|0.463|0.0|0.4619|0.0|0.4619|0.4523|0.4619|0.4|0.5434|0.3695|0.5535|0.4522|0.4927|0.3942|0.5434|0.0|0.0|0.453|0.462|17.63|0.44|1410196|208844646 71304|HOLOW|HOLOW|G55032125|KYG550321254|MicroCloud Hologram Inc|WT EXP 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| | | | | | | | |||N|5|Y|N||USA||||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||Y|0|Y||||||70.6|70.6|0.0|70.62|70.61|70.61|70.6|70.6|0.0|0.0|70.6|70.55|70.58|70.6|70.58|70.6|70.56|70.6|70.51|70.58|70.55|70.64|66.19|75.14|70.57|70.64|70.58|70.64|70.59|70.66|70.59|70.61|87.88|64.02|2104302|385263914 16732|HOMB|HOMB|436893200|US4368932004|Home BancShares, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-1|TXN2-7|TXN5-3|TXN1-4|TXN1-4|201770000|||Quarterly|||||2021-11-22||||||| | | | | | | | | 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Index). The Fund uses a passive management or indexing investment approach to track the performance, before fees and expenses, of the Index. 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and Services|General Industrials|Diversified Industrials|N||N||||||Y|0|Y||||||198.3|198.39|0.0|198.34|198.32|198.34|198.385|198.33|0.0|0.0|198.4|198.13|198.36|198.4|198.36|198.31|197.99|198.38|196.77|198.36|198.25|198.49|184.1|210.36|198.3|198.45|198.28|198.49|198.34|198.5|198.37|198.39|219.96|174.88|2717466|643621492 53406|HONE|HONE|41165Y100|US41165Y1001|HarborOne Bancorp Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN5-4|TXN13-3|TXN6-5|TXN6-7|45770000|||NotApplicable|||||||||||| | | | | | | | | 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Services|N||N||||||Y|0|Y||||||9.55|9.555|0.0|9.56|9.56|9.56|9.56|9.56|0.0|0.0|9.56|9.56|9.55|9.55|9.56|9.56|9.56|9.56|9.555|9.55|9.55|9.57|8.9|10.16|9.55|9.56|9.53|9.59|9.55|9.59|9.55|9.56|13.23|7.565|18297549|1872686517 63465|HOOK|HOOK|43906K100|US43906K1007|HOOKIPA Pharma Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-4|TXN6-2|TXN13-7|TXN6-7|TXN6-5|81550000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||0.5886|0.5886|0.0|0.0|0.5886|0.571|0.5886|0.5886|0.0|0.0|0.5777|0.5777|0.5849|0.5778|0.5701|0.5778|0.0|0.5886|0.5778|0.5849|0.5615|0.6124|0.4392|0.6933|0.5643|0.6083|0.5549|0.6109|0.5514|0.61|0.5729|0.5886|2.05|0.41|228658|149026679 828|HOPE|HOPE|43940T109|US43940T1097|Hope Bancorp Inc|COM USD3||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN6-8|TXN13-7|TXN5-8|TXN6-5|120110000|||NotApplicable|||||||||||| | | | | | | | | 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Biotechnology|Biotechnology|N||N||||||N|0|Y||||||0.0|1.25|0.0|0.0|0.0|1.23|1.24|1.22|0.0|0.0|1.24|1.2|1.24|0.0|0.0|0.0|1.22|1.22|0.0|1.24|0.968|1.44|0.952|1.46|1.18|1.3|0.968|1.44|0.0|0.0|1.22|1.24|12.5|0.99|61868|184569002 73131|HOUR|HOUR|44170P106|US44170P1066|Hour Loop Inc|COM USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN5-8|TXN11-3|TXN6-2|TXN6-6|35080000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4040|404010|40401010|Consumer Discretionary|Retail |Retailers |Diversified Retailers|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|1.36|1.52|0.0|0.0|0.0|0.0|0.0|1.43|0.0|0.0|0.0|0.0|1.52|0.0|1.52|1.08|1.76|0.0|0.0|1.27|1.61|1.08|1.76|0.0|0.0|1.35|1.52|4.89|1.3|9573|44313687 40841|HOUS|HOUS|75605Y106|US75605Y1064|Anywhere Real Estate Inc.|Common Stock,|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-5|TXN4-7|TXN5-7|TXN3-6|TXN3-7|110490000|||NotApplicable|||||2012-10-11||||||| | | | | | | | | |||N|0|N|Y|414A|USA|UM|||35|3510|351010|35101015|Real Estate|Real Estate |Real Estate Investment and Services Development|Real Estate Services|N||N||||||Y|0|Y||Y|2|||6.02|6.01|0.0|6.03|6.02|6.01|6.015|6.01|0.0|0.0|6.01|6.02|6.01|6.02|6.03|6.01|6.04|6.01|6.02|6.01|6.01|6.02|4.64|7.38|6.0|6.07|5.99|6.05|6.0|6.05|6.01|6.02|9.85|4.09|1008258|339493652 6842|HOV|HOV|442487401|US4424874018|Hovnanian Enterprises, Inc.|Class Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|M|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN3-4|TXN1-5|TXN2-5|TXN2-8|5350000|||NotApplicable|||||2019-03-29||||||| | | | | | | | | |||N|0|N|Y|110A|USA|US|||40|4020|402020|40202010|Consumer Discretionary|Consumer Products and Services|Household Goods and Home Construction|Home Construction|N||N||||||N|0|Y||Y|2|||95.9|98.6|0.0|99.05|99.0|98.99|99.05|98.75|0.0|0.0|98.97|90.06|99.05|97.71|90.23|98.9|88.47|99.05|99.03|98.9|98.23|99.06|76.85|119.62|97.0|100.63|97.61|99.71|98.27|99.89|98.27|99.17|127.99|41.28|93347|15305124 1890|HOVNP|HOVNP|442487112|US4424871121|Hovnanian Enterprises Inc.|PFD SER A||B|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN5-1|TXN14-6|TXN6-7|TXN6-8|5600000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|18.65|0.0|0.0|0.0|18.15|18.2|17.9|0.0|0.0|18.5|0.0|17.89|0.0|0.0|0.0|0.0|17.89|17.9|17.89|0.0|0.0|0.0|0.0|16.65|18.74|0.0|0.0|0.0|0.0|17.25|17.9|19.89|15.53|13803|796632 70439|HOWL|HOWL|95075A107|US95075A1079|Werewolf Therapeutics Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN6-4|TXN13-4|TXN5-5|TXN6-5|36190000|||NotApplicable|||||||||||| | 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Services|N||N||||||Y|0|Y||Y|2|||36.75|36.81|0.0|36.83|36.81|36.84|36.82|36.81|0.0|0.0|36.81|36.78|36.82|36.845|36.78|36.84|36.76|36.84|36.84|36.84|36.82|36.84|27.93|44.66|36.76|36.86|36.79|36.87|36.8|36.89|36.82|36.84|51.53|30.405|1393199|326501615 74548|HPCO|HPCO|42371L106|US42371L1061|Hempacco Co Inc|COM USD0.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-1|TXN5-7|TXN10-7|TXN6-3|TXN5-8|29150000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||45|4510|451030|45103010|Consumer Staples |Food, Beverage and Tobacco 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Services|N||N||||||Y|0|Y||Y|1|||16.53|16.53|0.0|16.59|16.535|16.53|16.535|16.535|0.0|0.0|16.535|16.535|16.535|16.53|16.53|16.54|16.53|16.535|16.53|16.54|16.53|16.54|15.48|17.56|16.52|16.54|16.51|16.57|16.5|16.58|16.53|16.54|18.135|13.655|14150145|2792148178 6846|HPF|HPF|41013X106|US41013X1063|John Hancock Preferred Income Fund II|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN3-5|TXN6-6|TXN3-1|TXN1-2|21410000|||Monthly|||||2002-11-26||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||15.26|15.325|0.0|0.0|15.3|15.28|15.31|15.25|0.0|0.0|15.44|15.51|15.24|15.26|0.0|15.27|15.43|15.28|0.0|15.27|15.27|15.32|11.9|19.12|14.32|16.4|15.22|15.37|0.0|0.0|15.27|15.32|17.9|12.9885|42199|9770333 6848|HPI|HPI|41013W108|US41013W1080|John Hancock Preferred Income Fund|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN1-2|TXN7-8|TXN4-7|TXN3-5|26300000|||Monthly|||||2002-08-23||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||14.83|14.83|0.0|15.01|14.86|14.865|14.8699|14.83|0.0|0.0|14.82|0.0|14.855|14.84|15.01|14.85|15.05|14.86|14.84|14.85|14.86|14.87|11.68|18.26|13.86|15.92|14.82|14.91|14.83|14.89|14.86|14.87|18.29|12.85|181438|13610532 67340|HPK|HPK|43114Q105|US43114Q1058|HighPeak Energy Inc|COM USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN5-6|TXN10-6|TXN5-2|TXN5-5|128420000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||60|6010|601010|60101010|Energy|Energy|Oil, Gas and Coal|Oil: Crude Producers|N||N||||||Y|0|Y||||||14.97|14.965|0.0|15.22|14.97|14.97|14.99|14.97|0.0|0.0|14.99|15.13|14.99|14.97|15.03|14.97|14.9|14.98|15.39|14.99|14.83|15.11|11.78|18.42|14.86|15.1|14.94|15.02|0.0|15.02|14.97|14.99|30.15|10.44|334733|88188762 67341|HPKEW|HPKEW|43114Q121|US43114Q1215|HighPeak Energy Inc|WT EXP 082125||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN6-3|TXN12-7|TXN5-8|TXN5-5|128220000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|8.99|0.0|0.0|0.0|0.0|9.0|0.0|9.0|0.0|0.0|0.0|0.0|8.8|0.0|0.0|0.0|0.0|0.0|8.8|8.99|23.01|3.23|1904|619904 32887|HPP|HPP|444097109|US4440971095|Hudson Pacific Properties, Inc.|Common Stock|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|6|O|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-3|TXN3-4|TXN4-4|TXN1-2|TXN4-8|140940000|||Quarterly|||||2010-06-24||||||| | | | | | | | | |||N|0|N|Y|414A|USA|US|||35|3510|351020|35102030|Real Estate|Real Estate |Real Estate Investment Trusts|Office REITs|N||N||||||Y|0|Y||Y|2|||7.19|7.19|0.0|7.05|7.19|7.185|7.19|7.19|0.0|0.0|7.19|7.19|7.19|7.18|7.17|7.19|7.18|7.19|7.18|7.19|7.18|7.19|5.48|8.74|7.18|7.19|7.16|7.21|7.15|7.22|7.18|7.19|12.225|4.045|4868284|891933678 72472|HPP PRC|HPPpC|444097307|US4440973075|Hudson Pacific Properties, Inc.|4.750% Series C Cumulative Redeemable Preferred Stock|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|6|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN1-3|TXN3-8|TXN1-8|TXN1-5|17000000|||Quarterly|||||2021-11-19||||||| | | | | | | | | |||N|0|N|N|414A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|12.23|0.0|0.0|12.255|12.13|12.17|12.17|0.0|0.0|12.08|0.0|12.34|0.0|0.0|12.14|0.0|12.17|0.0|12.14|12.14|12.38|0.0|0.0|12.12|12.61|0.0|0.0|0.0|0.0|12.14|12.38|15.44|7.6301|144912|17959407 6849|HPQ|HPQ|40434L105|US40434L1052|HP Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-5|TXN2-4|TXN9-5|TXN1-4|TXN4-2|988270000|||Quarterly|||||1961-03-17||||||| | | | | | | | | |||N|5|Y|Y|108A|USA|US|||10|1010|101020|10102030|Technology|Technology|Technology Hardware and Equipment|Computer Hardware|N||N||||||Y|0|Y||Y|1|||29.04|29.04|0.0|29.18|29.045|29.04|29.045|29.035|0.0|0.0|29.04|29.04|29.04|29.04|29.05|29.04|29.04|29.04|29.04|29.04|29.03|29.04|27.41|31.08|29.02|29.04|29.01|29.06|29.01|29.07|29.03|29.04|33.9|25.22|6105400|1643920857 6850|HPS|HPS|41021P103|US41021P1030|John Hancock Preferred Income Fund III|Common Shares|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN1-2|TXN9-8|TXN3-8|TXN1-1|31740000|||Monthly|||||2003-06-17||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||13.41|13.42|0.0|13.42|13.45|13.43|13.45|13.43|0.0|0.0|13.47|13.15|13.42|13.41|0.0|13.43|13.42|13.43|0.0|13.43|13.4|13.45|10.4|16.53|13.4|14.38|13.38|13.47|13.39|13.47|13.4|13.45|16.0|11.79|144880|14603671 6856|HQH|HQH|87911J103|US87911J1034|abrdn Healthcare Investors|Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN1-5|TXN6-8|TXN4-4|TXN1-2|48350000|||Quarterly|||||1987-04-23||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||15.24|15.28|0.0|0.0|15.24|15.27|15.2705|15.27|0.0|0.0|15.27|15.27|15.27|15.27|15.24|15.27|15.24|15.28|15.12|15.27|15.27|15.28|11.69|18.58|15.09|15.29|15.25|15.3|15.24|15.29|15.27|15.28|19.605|14.31|284787|32467717 61090|HQI|HQI|433535101|US4335351015|HireQuest Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN5-6|TXN11-3|TXN6-6|TXN6-7|13900000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502050|50205025|Industrials|Industrial Goods and Services|Industrial Support Services|Business Training and Employment Agencies|N||N||||||N|0|Y||||||0.0|15.1|0.0|0.0|0.0|0.0|15.05|0.0|0.0|0.0|0.0|0.0|15.045|0.0|0.0|0.0|0.0|15.05|0.0|15.045|14.53|15.72|0.0|0.0|14.52|15.56|0.0|0.0|0.0|0.0|14.99|15.1|29.38|12.49|7569|5882205 6857|HQL|HQL|87911K100|US87911K1007|abrdn Life Sciences Investors|Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN4-6|TXN3-8|TXN3-7|TXN1-8|26210000|||Quarterly|||||1992-05-01||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||12.12|12.24|0.0|12.15|12.23|12.235|12.2425|12.22|0.0|0.0|12.23|12.2|12.24|12.23|12.25|12.24|12.03|12.2425|12.12|12.24|12.24|12.25|9.34|14.82|12.09|12.5|12.21|12.27|12.23|12.26|12.24|12.25|15.24|11.34|130384|21891252 44694|HQY|HQY|42226A107|US42226A1079|HealthEquity Inc|COM USD.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN6-6|TXN14-6|TXN5-3|TXN6-5|85630000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201010|20101020|Health Care |Health Care |Health Care Providers|Health Care Management Services|N||N||||||Y|0|Y||||||68.9|69.01|0.0|68.98|68.97|69.06|69.05|68.985|0.0|0.0|69.02|69.1|69.06|68.92|68.94|69.06|69.04|68.99|68.63|69.06|68.9|69.13|53.87|84.84|68.87|69.18|68.89|69.14|68.98|0.0|68.98|69.07|76.62|48.86|969762|152487751 40165|HR|HR|42226K105|US42226K1051|Healthcare Realty Trust Incorporated|Class A Common Stock|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-5|TXN4-8|TXN4-7|TXN3-8|TXN1-7|380870000|||Quarterly|||||2014-12-16||||||| | | | | | | | | |||N|0|Y|Y|414A|USA|US|||35|3510|351020|35102010|Real Estate|Real Estate |Real Estate Investment Trusts|Health Care REITs|N||N||||||Y|0|Y||Y|1|||16.02|16.03|0.0|16.01|16.02|16.025|16.025|16.03|0.0|0.0|16.02|16.01|16.03|16.02|16.01|16.03|16.01|16.03|16.015|16.03|16.02|16.03|15.06|16.96|16.02|16.04|15.99|16.06|15.99|16.06|16.02|16.03|22.355|13.8615|4834917|674373328 6859|HRB|HRB|093671105|US0936711052|H&R Block, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN3-5|TXN9-6|TXN3-7|TXN4-1|143930000|||Quarterly|||||1969-10-13||||||| | | | | | | | | |||N|0|Y|Y|180B|USA|US|||40|4020|402010|40201070|Consumer Discretionary|Consumer Products and Services|Consumer Services |Consumer Services: Misc.|N||N||||||Y|0|Y||Y|1|||46.39|46.4|0.0|46.19|46.39|46.42|46.4|46.4|0.0|0.0|46.42|46.34|46.4|46.4|46.21|46.41|46.41|46.41|46.41|46.41|46.4|46.41|43.36|49.44|46.38|46.46|46.36|46.44|46.36|46.45|46.4|46.41|47.3|28.83|1453346|362120565 18272|HRI|HRI|42704L104|US42704L1044|Herc Holdings Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|L|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN2-3|TXN5-7|TXN1-5|TXN1-4|28270000|||Quarterly|||||2016-07-01||||||| | | | | | | | | |||N|0|N|Y|132A|USA|US|||50|5020|502060|50206050|Industrials|Industrial Goods and Services|Industrial Transportation|Commercial Vehicle-Equipment Leasing|N||N||||||Y|0|Y||Y|2|||126.63|126.55|0.0|126.86|127.35|126.48|126.635|126.61|0.0|0.0|126.76|126.53|126.55|127.19|126.93|126.58|127.43|126.55|126.5|126.58|126.54|126.58|98.64|157.71|125.59|127.65|126.21|126.8|126.12|126.55|126.54|126.58|162.465|93.97|242714|73307210 6861|HRL|HRL|440452100|US4404521001|Hormel Foods Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|N|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-2|TXN4-2|TXN9-3|TXN2-4|TXN1-8|546480000|||Quarterly|||||1990-01-16||||||| | | | | | | | | |||N|5|Y|Y|118B|USA|US|||45|4510|451020|45102020|Consumer Staples |Food, Beverage and Tobacco |Food Producers|Food Products|N||N||||||Y|0|Y||Y|1|||31.74|31.745|0.0|31.73|31.74|31.745|31.74|31.75|0.0|0.0|31.74|31.74|31.74|31.74|31.73|31.74|31.74|31.74|31.75|31.74|31.73|31.74|29.78|33.7|31.72|31.75|31.71|31.77|31.71|31.74|31.73|31.74|48.105|30.12|2455027|555104886 67287|HRMY|HRMY|413197104|US4131971040|Harmony Biosciences Holdings Inc|COM USD.00001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN6-3|TXN14-2|TXN5-6|TXN5-7|58570000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103015|Health Care |Health Care |Pharmaceuticals and Biotechnology|Pharmaceuticals |N||N||||||Y|0|Y||||||31.29|31.27|0.0|31.19|31.3|31.23|31.26|31.26|0.0|0.0|31.25|31.2|31.25|31.26|31.21|31.25|31.55|31.26|31.28|31.25|31.02|31.54|24.36|37.99|31.03|31.51|31.18|31.3|31.22|31.31|31.24|31.25|62.085|18.6112|583860|163713375 25652|HROW|HROW|415858109|US4158581094|Harrow Inc|COM USD0.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN5-2|TXN12-6|TXN6-6|TXN5-3|35120000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103015|Health Care |Health Care |Pharmaceuticals and Biotechnology|Pharmaceuticals |N||N||||||Y|0|Y||||||9.66|9.7|0.0|9.35|9.68|9.7|9.67|9.67|0.0|0.0|9.67|9.66|9.67|9.68|9.7|9.73|9.52|9.67|9.72|9.67|9.6|9.78|7.47|11.87|9.61|9.77|9.65|9.7|9.65|9.7|9.67|9.68|28.25|7.6|698358|121147414 70516|HROWL|HROWL|415858208|US4158582084|Harrow Inc 8.625 Senior Notes due 2026|STRUCT PRODUCT||U|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN5-2|TXN11-7|TXN6-4|TXN5-8|3000000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|23.94|23.955|0.0|0.0|0.0|0.0|0.0|23.93|0.0|0.0|0.0|0.0|23.955|0.0|23.955|0.0|0.0|0.0|0.0|22.32|25.57|0.0|0.0|0.0|0.0|23.93|23.99|25.25|22.05|2811|1740491 75043|HROWM|HROWM|415858307|US4158583074|Harrow Inc 11.875 Senior Notes due 2027|ETN||U|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN5-6|TXN11-2|TXN5-4|TXN6-5|1610000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|25.25|25.2405|25.26|0.0|0.0|25.25|0.0|25.23|0.0|0.0|0.0|0.0|25.23|0.0|25.23|0.0|0.0|0.0|0.0|23.5|27.08|0.0|0.0|0.0|0.0|25.17|25.25|26.5|22.71|9329|2807746 72161|HRT|HRT|433537107|US4335371070|HireRight Holdings Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|P|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN1-7|TXN6-7|TXN3-4|TXN2-7|67650000|||NotApplicable|||||2021-10-29||||||| | | | | | | | | |||N|0|N|Y|108B|USA|US|||50|5020|502050|50205020|Industrials|Industrial Goods and Services|Industrial Support Services|Professional Business Support Services|N||N||||||Y|0|Y||Y|2|||13.26|13.48|0.0|13.22|13.45|13.51|13.508|13.485|0.0|0.0|13.49|13.46|13.51|13.44|13.33|13.51|13.36|13.51|13.48|13.51|13.5|13.51|10.21|16.37|13.47|13.53|13.47|13.54|13.47|13.54|13.5|13.51|13.52|8.5|204136|70484526 44316|HRTG|HRTG|42727J102|US42727J1025|Heritage Insurance Holdings, Inc.|Common Stock, par value $0.0001 per share|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|L|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN4-5|TXN5-7|TXN2-3|TXN2-3|26780000|||Quarterly|||||2014-05-23||||||| | | | | | | | | |||N|0|N|Y|410A|USA|US|||30|3030|303020|30302025|Financials|Insurance|Non-life Insurance|Property and Casualty Insurance|N||N||||||Y|0|Y||Y|2|||9.26|9.26|0.0|9.07|9.24|9.25|9.245|9.25|0.0|0.0|9.22|9.18|9.24|9.24|9.17|9.25|9.18|9.245|9.18|9.25|9.24|9.25|7.02|11.24|9.16|9.32|9.22|9.28|9.22|9.28|9.24|9.25|9.79|1.47|828395|50601373 76667|HRTS|HRTS|87975E883|US87975E8839|Tema Cardiovascular and Metabolic ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN5-8|TXN14-4|TXN6-7|TXN5-4|470000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|27.57|27.71|0.0|0.0|0.0|0.0|0.0|27.61|0.0|0.0|0.0|0.0|27.71|0.0|27.61|25.59|29.62|20.96|34.1|26.84|28.49|25.59|29.62|0.0|0.0|27.59|27.71|27.74|26.2599|19455|527114 43419|HRTX|HRTX|427746102|US4277461020|Heron Therapeutics Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN5-7|TXN10-2|TXN5-2|TXN6-7|150070000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||1.51|1.505|0.0|1.49|1.5|1.5|1.51|1.505|0.0|0.0|1.5|1.51|1.5|1.49|1.475|1.505|1.49|1.51|1.48|1.5|1.47|1.53|1.2|1.8|1.47|1.51|1.47|1.53|1.49|1.53|1.5|1.51|3.41|0.5|4532239|545173688 76082|HRYU|HRYU|411292105|US4112921055|Hanryu Holdings Inc|COM USD0.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-8|TXN6-6|TXN10-3|TXN6-4|TXN6-3|52810000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||KOR||||10|1010|101010|10101020|Technology|Technology|Software and Computer Services|Consumer Digital Services |N||N||||||N|0|Y|C|||||0.3933|0.4|0.0|0.398|0.3936|0.4|0.4008|0.395|0.0|0.0|0.4|0.4|0.4009|0.395|0.0|0.394|0.0|0.4008|0.408|0.4008|0.315|0.4884|0.315|0.4884|0.3906|0.41|0.315|0.4884|0.0|0.0|0.4008|0.4009|9.5|0.3907|578953|31959767 35933|HRZN|HRZN|44045A102|US44045A1025|Horizon Technology Finance Corp|COM 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USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN5-1|TXN10-2|TXN5-8|TXN5-6|129940000|||NotApplicable|||||||||||| | | | | | | | | |||N|5|Y|N||USA||||20|2010|201020|20102015|Health Care |Health Care |Medical Equipment and Services|Medical Supplies|N||N||||||Y|0|Y||||||69.29|69.31|0.0|69.38|69.3|69.36|69.32|69.31|0.0|0.0|69.3|69.32|69.31|69.3|69.27|69.36|69.32|69.32|69.635|69.31|69.28|69.37|65.29|73.78|69.27|69.34|69.25|69.36|69.25|69.36|69.31|69.32|89.72|60.01|1207009|213998821 1900|HSII|HSII|422819102|US4228191023|Heidrick & Struggles International Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN6-8|TXN11-5|TXN5-1|TXN5-7|20120000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502050|50205025|Industrials|Industrial Goods and Services|Industrial Support Services|Business Training and Employment Agencies|N||N||||||N|0|Y||||||28.66|28.52|0.0|28.65|28.65|28.49|28.65|28.65|0.0|0.0|0.0|28.67|28.64|28.47|0.0|28.65|28.67|28.65|0.0|28.64|28.35|28.89|21.51|34.48|28.36|28.86|21.51|34.48|28.62|28.74|28.62|28.67|35.15|22.52|80178|26143564 66091|HSMV|HSMV|33741Y100|US33741Y1001|First Trust Exchange-Traded Fund III|First Trust Horizon Managed Volatility Small/Mid ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||First Trust|Latour Trading, 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Right|||D|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-6|TXN5-4|TXN12-8|TXN5-6|TXN5-7|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||50|5020|502040|50204000|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Industrial|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.13|0.0|0.0|0.0|0.0|0.02|0.1197|1.03|0.08|0|2956757 75040|HSPOU|HSPOU|G4619M133|KYG4619M1336|Horizon Space Acquisition I 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| | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.059|0.0|0.0|0.0|0.0|0.022|0.035|0.08|0.0135|0|3341377 61073|HSRT|HSRT|41653L602|US41653L6020|Hartford Short Duration ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN4-1|TXN8-8|TXN1-5|TXN2-8|2450000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|38.595|0.0|0.0|0.0|38.58|38.6|38.6|0.0|0.0|38.52|0.0|38.595|0.0|0.0|0.0|0.0|38.595|0.0|38.595|0.0|0.0|38.59|38.61|38.58|38.65|0.0|0.0|0.0|0.0|38.59|38.64|38.64|36.89|9511|4724838 6821|HST|HST|44107P104|US44107P1049|Host Hotels & Resorts Inc|COM USD1||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN6-3|TXN13-8|TXN6-1|TXN5-7|705440000|||NotApplicable|||||||||||| | | | | | | | | |||N|5|Y|N||USA||||35|3510|351020|35102015|Real Estate|Real Estate |Real Estate Investment Trusts|Hotel and Lodging REITs|N||N||||||Y|0|Y||||||18.1|18.1|0.0|18.05|18.11|18.105|18.105|18.1|0.0|0.0|18.115|18.11|18.09|18.115|18.1|18.1|18.09|18.11|18.11|18.09|18.1|18.11|16.8|19.19|18.09|18.11|18.08|18.14|18.09|18.12|18.1|18.11|19.415|14.505|7741957|1605788162 1902|HSTM|HSTM|42222N103|US42222N1037|HealthStream Inc|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN6-7|TXN12-3|TXN5-4|TXN5-5|30290000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201010|20101025|Health Care |Health Care |Health Care Providers|Health Care Services|N||N||||||N|0|Y||||||25.66|25.645|0.0|0.0|25.75|25.71|25.76|25.75|0.0|0.0|25.73|25.63|25.76|25.59|25.625|25.62|25.41|25.76|0.0|25.76|25.57|25.91|19.75|31.06|25.59|25.8|25.71|25.79|25.7|25.8|25.74|25.76|27.69|20.47|87195|26173437 71770|HSUN|HSUN|41653L875|US41653L8752|Hartford Sustainable Income ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-5|TXN3-4|TXN8-8|TXN2-1|TXN3-4|1700000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|33.2379|0.0|0.0|0.0|0.0|33.13|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|33.2379|0.0|33.2379|0.0|0.0|0.0|0.0|33.21|33.27|0.0|0.0|0.0|0.0|33.21|33.27|34.1194|31.5711|89|533516 6876|HSY|HSY|427866108|US4278661081|The Hershey Company|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|B|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-6|TXN1-5|TXN1-4|TXN2-6|TXN1-2|149890000|||Quarterly|||||1927-12-01||||||| | | | | | | | | |||N|5|Y|Y|118B|USA|US|||45|4510|451020|45102020|Consumer Staples |Food, Beverage and Tobacco |Food Producers|Food Products|N||N||||||Y|0|Y||Y|1|||190.22|190.6|0.0|190.6|190.61|190.58|190.58|190.6|0.0|0.0|190.62|190.22|190.625|190.52|190.24|190.62|190.6|190.62|190.62|190.62|190.58|190.62|178.65|202.68|190.52|190.65|190.5|190.71|190.58|190.72|190.58|190.62|276.8805|183.735|1024278|280895883 60909|HTAB|HTAB|41653L404|US41653L4041|Hartford Funds Exchange-Traded Trust|Hartford Schroders Tax-Aware Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Hartford Funds Management Company|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-6|TXN4-1|TXN4-8|TXN4-6|TXN1-1|9550000|||Monthly|||||2018-04-19||HTAB.NV|HTAB.SO|HTAB.EU|HTAB.TC|HTAB.IV| | | | | | | | | ||The Fund seeks to achieve its investment objective by investing in a diversified portfolio of fixed income debt instruments of varying maturities. |N|0|N|N|404A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|19.24|0.0|0.0|0.0|19.23|19.2411|19.25|0.0|0.0|19.23|19.24|19.24|19.24|19.23|19.23|19.26|19.2414|19.24|19.2414|14.78|23.67|14.78|23.67|19.23|19.26|14.78|23.67|0.0|0.0|14.78|19.24|19.94|17.7504|93968|16357861 40331|HTBI|HTBI|437872104|US4378721041|HomeTrust Bancshares Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN5-3|TXN12-2|TXN6-8|TXN5-3|17380000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||||||24.48|0.0|0.0|0.0|24.54|24.48|24.51|24.38|0.0|0.0|24.45|0.0|24.57|24.6|0.0|0.0|0.0|24.51|0.0|24.57|24.01|24.92|18.67|30.38|24.06|24.89|18.67|29.68|24.15|24.78|24.43|24.58|30.79|18.02|30464|10206478 1904|HTBK|HTBK|426927109|US4269271098|Heritage Commerce Corp|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN6-5|TXN10-2|TXN5-4|TXN6-7|61100000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||||||9.105|9.105|0.0|0.0|9.11|9.105|9.11|9.105|0.0|0.0|9.1|9.1|9.11|9.105|9.15|9.1|9.1|9.11|0.0|9.11|9.07|9.14|6.9|11.06|9.1|9.14|9.07|9.14|9.06|9.14|9.1|9.11|14.19|6.69|260309|70017161 73452|HTCR|HTCR|42240Q104|US42240Q1040|HeartCore Enterprises Inc|COM USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-6|TXN5-6|TXN12-5|TXN5-2|TXN5-5|20840000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||JPN||||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||N|0|Y|C|||||0.5976|0.59|0.0|0.0|0.6|0.59|0.607899|0.5799|0.0|0.0|0.5909|0.6275|0.59|0.6|0.0|0.0|0.0|0.591|0.0|0.591|0.4475|0.708|0.4475|0.708|0.5508|0.6505|0.4475|0.708|0.0|0.0|0.59|0.61|3.43|0.36|32497|138127604 6881|HTD|HTD|41013V100|US41013V1008|John Hancock Tax-Advantaged Dividend Income Fund|Common Shares of Beneficial Interest, no par value|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN3-1|TXN4-8|TXN2-2|TXN3-1|35410000|||Monthly|||||2004-02-25||||||| | | | | | | | | |||N|0|N|N|406B|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||18.82|18.83|0.0|19.01|18.85|18.85|18.82|18.85|0.0|0.0|18.82|19.05|18.85|18.82|0.0|18.82|19.03|18.82|0.0|18.82|18.82|18.86|14.62|23.38|18.75|20.16|18.77|18.91|18.82|18.88|18.82|18.86|24.906|16.17|152061|16966608 63919|HTEC|HTEC|301505723|US3015057231|Exchange Traded Concepts Trust|Robo Global Healthcare Technology and Innovation ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Exchange Traded Concepts|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-6|TXN2-3|TXN1-5|TXN1-3|TXN4-4|2475001|||Yearly|||||2019-06-25||HTEC.NV|HTEC.SO|HTEC.EU|HTEC.TC|HTEC.IV| | | | | | | | | |1x|The ROBO Global Healthcare Technology and Innovation Index is designed to measure the perforrmance of companies that have a portion of their business and revenue derived from the fiedl of healthcare technology. |N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||27.701|0.0|0.0|0.0|0.0|0.0|25.5|0.0|0.0|0.0|0.0|0.0|25.47|25.45|0.0|0.0|0.0|25.5429|0.0|25.5429|0.0|0.0|25.14|26.01|25.51|25.56|25.13|26.01|25.13|26.01|25.51|25.56|33.1|21.7722|23053|3025160 70148|HTFB|HTFB|44045A409|US44045A4094|Horizon Technology Finance Corporation|4.875% Notes due 2026|Operating company|G|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN4-1|TXN3-8|TXN2-7|TXN1-2|2300000|||Quarterly|||||2021-04-07|2026-03-30|||||| | | | | | | | | |||N|0|N|N|402B||US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|23.8|0.0|0.0|0.0|24.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|23.8|0.0|23.8|0.0|23.8|23.6|23.81|0.0|0.0|22.04|25.38|0.0|0.0|0.0|0.0|23.6|24.0|24.9899|22.3101|605|358801 74210|HTFC|HTFC|44045A508|US44045A5083|Horizon Technology Finance Corporation|6.25% Notes due 2027|Operating company|G|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN3-3|TXN9-8|TXN1-6|TXN3-4|2300000|||Quarterly|||||2022-06-27|2027-03-15|||||| | | | | | | | | |||N|0|N|N|402B||US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|23.79|23.98|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|23.98|0.0|23.98|0.0|23.98|23.7|23.98|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|23.7|23.98|25.06|22.0501|467|549364 1908|HTGC|HTGC|427096508|US4270965084|Hercules Capital, Inc.|Common Shares|Business development company|A|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-2|TXN3-3|TXN1-8|TXN4-8|TXN2-3|151140000|||Quarterly|||||2012-04-30||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||Y|0|Y||Y|2|||15.42|15.405|0.0|15.35|15.39|15.385|15.385|15.405|0.0|0.0|15.39|15.4|15.39|15.43|15.42|15.4|15.41|15.38|15.43|15.4|15.38|15.4|11.9|18.84|15.37|15.4|15.35|15.42|15.35|15.42|15.38|15.4|18.05|10.94|922965|290731090 4827|HTH|HTH|432748101|US4327481010|Hilltop Holdings Inc.|Common Stock|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-7|TXN1-3|TXN9-8|TXN3-7|TXN3-4|65170000|||Quarterly|||||2004-02-12||||||| | | | | | | | | |||N|0|N|Y|412A|USA|US|||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||Y|2|||31.48|31.62|0.0|31.53|31.56|31.62|31.635|31.61|0.0|0.0|31.62|31.49|31.65|31.65|31.46|31.67|31.5|31.65|31.51|31.67|31.64|31.65|24.33|38.47|31.53|31.69|31.59|31.67|31.64|31.67|31.64|31.65|34.865|26.78|260875|78793504 32467|HTHT|HTHT|44332N106|US44332N1063|H World Group 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B||B|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN6-7|TXN11-4|TXN6-7|TXN6-1|3630000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||13.95|13.54|0.0|0.0|0.0|0.0|13.39|0.0|0.0|0.0|13.54|0.0|13.6|0.0|0.0|0.0|0.0|13.39|0.0|13.39|0.0|0.0|0.0|0.0|12.47|13.99|0.0|0.0|0.0|0.0|13.47|13.99|22.65|10.02|7271|1053049 1910|HTLD|HTLD|422347104|US4223471040|Heartland Express Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN6-1|TXN13-6|TXN5-7|TXN5-5|79030000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502060|50206010|Industrials|Industrial Goods and Services|Industrial Transportation|Trucking|N||N||||||N|0|Y||||||13.82|13.855|0.0|13.83|13.86|13.8|13.85|13.86|0.0|0.0|13.86|13.84|13.86|0.0|13.84|13.86|13.81|13.85|13.78|13.86|13.71|13.97|10.45|17.08|13.76|13.96|13.82|13.88|13.82|13.89|13.85|13.86|18.1699|11.441|252644|56068753 1911|HTLF|HTLF|42234Q102|US42234Q1022|Heartland Financial USA Inc|COM USD1.||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN6-3|TXN10-2|TXN5-1|TXN5-1|42660000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||||||33.34|33.42|0.0|32.85|33.41|33.35|33.38|33.295|0.0|0.0|33.41|33.14|33.42|33.39|33.35|32.88|33.18|33.39|33.12|33.42|33.01|33.72|25.62|40.84|33.05|33.44|25.62|33.49|33.38|33.5|33.38|33.42|51.0|26.1006|246580|42577487 66862|HTLFP|HTLFP|42234Q201|US42234Q2012|Heartland Financial USA Inc|7% DP SH PFD E||B|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN5-2|TXN10-2|TXN5-8|TXN5-7|4600000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|24.6|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|24.6|0.0|24.89|0.0|0.0|0.0|24.6|24.6|0.0|24.6|0.0|0.0|0.0|0.0|24.11|25.39|0.0|0.0|0.0|0.0|24.6|24.99|26.49|18.53|1229|1557753 61262|HTOO|HTOO|G3R25D118|IE00BNC17X36|Fusion Fuel Green PLC|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN6-4|TXN14-2|TXN6-7|TXN6-6|14920000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||IRL||||60|6010|601020|60102010|Energy|Energy|Alternative Energy|Alternative Fuels |N||N||||||Y|0|Y|D|||||1.2|1.23|0.0|1.22|1.23|1.23|1.2301|1.205|0.0|0.0|1.205|1.22|1.23|1.1|1.205|1.225|1.205|1.2301|1.35|1.23|1.2|1.27|0.976|1.5|1.15|1.31|1.2|1.26|1.19|1.27|1.23|1.24|6.6|0.5|874846|33274285 61264|HTOOW|HTOOW|G3R25D100|IE00BNC17Y43|Fusion Fuel Green PLC|WT EXP 070126||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-8|TXN5-6|TXN12-6|TXN5-3|TXN5-6|14530000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||IRL||||||||||||N||N||||||N|0|Y|C|||||0.0|0.16|0.0|0.0|0.0|0.1602|0.1299|0.0|0.0|0.0|0.13|0.11|0.15|0.0|0.0|0.0|0.0|0.1299|0.0|0.1299|0.0|0.0|0.0|0.0|0.0794|0.16|0.0|0.0|0.0|0.0|0.085|0.16|1.7399|0.0426|6488|1988317 59664|HTRB|HTRB|41653L305|US41653L3050|Hartford Funds Exchange-Traded Trust|Hartford Total Return Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Hartford Funds Management Company|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-5|TXN1-3|TXN9-8|TXN4-6|TXN1-6|40400000|||Monthly|||||2017-09-28||HTRB.NV|HTRB.SO|HTRB.EU|HTRB.TC|HTRB.IV| | | | | | | | | ||The Fund seeks a competitive total return, with income as a secondary objective.|N|0|N|N|404A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|1|||33.1|33.09|0.0|0.0|33.095|33.1|33.09|33.1|0.0|0.0|33.09|0.0|33.1|33.1|0.0|33.09|0.0|33.09|33.09|33.09|31.07|35.33|31.07|35.33|33.09|33.12|31.07|35.33|0.0|0.0|33.09|33.12|34.71|31.1632|124914|33811595 50199|HTUS|HTUS|14064D519|US14064D5196|Capitol Series Trust|Hull Tactical US ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y|||||||||GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-3|TXN4-8|TXN1-5|TXN3-6|TXN4-3|1025000|||Yearly|||||2023-06-05||||||| | | | | | | | | |||N|0|N|N|416A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|32.72|0.0|0.0|0.0|34.2|34.4099|34.01|0.0|0.0|32.74|0.0|34.39|0.0|0.0|0.0|0.0|34.14|0.0|34.14|0.0|0.0|0.0|0.0|34.14|34.47|0.0|0.0|0.0|0.0|34.14|34.47|38.13|26.59|2848|2383603 25686|HTY|HTY|41013P749|US41013P7490|John Hancock Tax-Advantaged Global Shareholder Yield Fund|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN2-7|TXN5-8|TXN3-4|TXN1-8|10910000|||Quarterly|||||2007-09-26||||||| | | | | | | | | |||N|0|N|N|406B|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||4.57|4.55|0.0|0.0|4.57|4.55|4.56|4.57|0.0|0.0|4.55|0.0|4.55|4.57|0.0|4.55|4.55|4.55|4.55|4.55|4.54|4.57|4.56|4.58|4.54|4.55|0.0|0.0|0.0|0.0|4.54|4.55|5.5|4.03|45931|7339106 71058|HTZ|HTZ|42806J700|US42806J7000|Hertz Global Holdings 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Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN5-4|TXN13-2|TXN5-6|TXN5-6|103580000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||2.6|2.6|0.0|0.0|2.6|2.595|2.605|2.595|0.0|0.0|2.59|2.59|2.61|2.59|2.62|2.625|2.62|2.605|2.61|2.61|2.58|2.61|2.0|3.2|2.58|2.61|2.57|2.63|2.58|2.63|2.6|2.61|5.6|1.96|481697|104329042 68095|HUMAW|HUMAW|44486Q111|US44486Q1114|Humacyte Inc|WRRTS||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-4|TXN6-1|TXN11-5|TXN6-6|TXN5-5|103460000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.4501|0.0|0.0|0.0|0.5147|0.4737|0.0|0.0|0.0|0.4541|0.4541|0.4501|0.0|0.0|0.0|0.0|0.4541|0.0|0.4541|0.0|0.0|0.0|0.0|0.4275|0.5295|0.0|0.0|0.0|0.0|0.4401|0.4999|1.195|0.3475|11436|1935333 6897|HUN|HUN|447011107|US4470111075|Huntsman Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|O|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN2-5|TXN3-6|TXN2-2|TXN3-2|174290000|||Quarterly|||||2005-02-11||||||| | | | | | | | | |||N|0|Y|Y|106A|USA|US|||55|5520|552010|55201000|Basic Materials|Chemicals|Chemicals|Chemicals: Diversified|N||N||||||Y|0|Y||Y|1|||25.23|25.215|0.0|24.61|25.21|25.215|25.21|25.2|0.0|0.0|25.22|25.22|25.21|25.23|25.23|25.21|25.24|25.2|25.28|25.21|25.2|25.21|23.44|26.71|25.18|25.21|25.18|25.24|25.17|25.25|25.2|25.21|33.46|22.14|1132491|481654318 1916|HURC|HURC|447324104|US4473241044|Hurco Cos Inc|COM USD.1||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN5-1|TXN12-4|TXN5-7|TXN5-3|6460000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502040|50204050|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Specialty|N||N||||||N|0|Y||||||0.0|21.15|0.0|0.0|21.15|21.15|21.15|20.98|0.0|0.0|21.09|0.0|21.11|0.0|0.0|0.0|0.0|21.15|0.0|21.11|20.62|21.52|0.0|0.0|20.71|21.52|0.0|0.0|0.0|0.0|21.06|21.16|30.405|19.29|17686|4615172 1917|HURN|HURN|447462102|US4474621020|Huron Consulting Group Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN5-7|TXN14-8|TXN6-7|TXN5-1|18750000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502050|50205020|Industrials|Industrial Goods and Services|Industrial Support Services|Professional Business Support Services|N||N||||||Y|0|Y||||||107.71|107.71|0.0|107.51|107.61|107.57|107.67|107.76|0.0|0.0|107.67|107.73|107.85|107.61|107.3|107.63|0.0|107.68|107.51|107.85|106.64|108.71|83.23|133.51|107.44|107.99|107.57|108.04|107.74|108.08|107.74|107.87|113.31|66.51|78991|30005410 12580|HUSA|HUSA|44183U209|US44183U2096|Houston American Energy Corp.|Common stock|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Brendan E. Cryan and Company, L.L.C.|CRYN|0235|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-4|TXN2-2|TXN8-8|TXN4-5|TXN2-7|10910000|||NotApplicable|||||2010-07-27||||||| | | | | | | | | |||N|0|N|N|134A|USA|US|||60|6010|601010|60101010|Energy|Energy|Oil, Gas and Coal|Oil: Crude Producers|N||N||||||Y|0|Y||Y|2|||1.83|1.79|0.0|0.0|1.77|1.78|1.79|1.785|0.0|0.0|1.81|1.81|1.78|0.0|1.78|1.78|1.79|1.79|0.0|1.79|1.73|1.84|1.78|1.79|1.78|1.82|1.75|1.82|1.75|1.82|1.78|1.79|4.0314|1.67|70620|43495815 53760|HUSV|HUSV|33739P889|US33739P8894|First Trust Exchange-Traded Fund III|First Trust Horizon Managed Volatility Domestic ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||First Trust|RBC Capital Markets, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-6|TXN3-3|TXN3-4|TXN2-6|TXN4-8|2600002|||Quarterly|||||2016-08-25||HUSV.NV|HUSV.SO|HUSV.EU|HUSV.TC|HUSV.IV| | | | | | | | | ||Under normal market conditions, the Fund seeks to achieve its investment objective by investing at least 80% of its net assets (including investment borrowings) in common stocks of domestic companies listed and traded on U.S. national securities exchanges that Horizon Investments, LLC (Horizon or the Sub-Advisor) believes exhibit low future expected volatility. The goal of this strategy is to capture upside price movements in rising markets and reduce downside risk when markets decline. To implement this strategy, the Sub-Advisor employs volatility forecasting models to forecast future expected volatility. The strategy is largely quantitative and rules-based, but also includes multiple parameters over which the Sub-Advisor may exercise discretion (including, but not limited to, the number of holdings and the weightings of particular holdings) in connection with its active management of the Fund. |N|0|N|N|416A|USA|US|EQUITY|ACTIVE|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||33.28|32.77|0.0|0.0|32.67|33.28|33.2732|33.25|0.0|0.0|0.0|0.0|33.27|0.0|0.0|33.28|0.0|33.2733|0.0|33.2733|33.27|33.29|33.23|33.37|33.23|33.32|33.19|33.37|33.23|33.36|33.23|33.32|34.44|30.5203|11351|3243826 70870|HUT|HUT|44812J104||Hut 8 Corp. Common Stock|||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN6-7|TXN13-3|TXN5-1|TXN6-6|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||50|5020|502040|50204000|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Industrial|N||N|||||44812T102|Y|0|Y||||||10.54|10.53|0.0|10.5|10.54|10.52|10.52|10.495|0.0|0.0|10.53|10.54|10.51|10.45|10.54|10.53|10.505|10.52|10.51|10.51|10.41|10.64|8.1|12.7|10.46|10.6|10.47|12.08|10.47|0.0|10.51|10.54|12.02|0.78|7457273|2478340354 60971|HUYA|HUYA|44852D108|US44852D1081|HUYA Inc.|American Depositary Shares, each representing one Class A Ordinary Shares|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-4|TXN1-7|TXN8-2|TXN1-6|TXN4-3|89520000|||Adhoc|||||2018-05-11||||||| | | | | | | | | |||N|0|N|Y|180B|CHN|KY|||10|1010|101010|10101020|Technology|Technology|Software and Computer Services|Consumer Digital Services |N||N||||||Y|0|Y||Y|2|||3.45|3.45|0.0|3.56|3.45|3.45|3.455|3.45|0.0|0.0|3.45|3.46|3.45|3.425|3.45|3.45|3.45|3.45|3.46|3.45|3.45|3.46|2.7|4.28|3.44|3.46|3.43|3.48|3.42|3.49|3.45|3.46|6.495|2.155|1733786|375296293 6899|HVT|HVT|419596101|US4195961010|Haverty Furniture Companies, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN3-3|TXN2-8|TXN4-6|TXN1-5|14990000|||Quarterly|||||1998-08-28||||||| | | | | | | | | |||N|0|N|Y|146E|USA|US|||40|4040|404010|40401025|Consumer Discretionary|Retail |Retailers |Home Improvement Retailers|N||N||||||N|0|Y||Y|2|||32.89|32.91|0.0|32.78|32.94|32.64|32.86|32.9|0.0|0.0|32.9|32.74|32.87|32.82|32.85|32.91|32.72|32.91|32.47|32.91|32.86|32.94|25.51|39.78|32.6|33.24|32.74|33.04|32.86|33.07|32.86|32.94|38.85|25.05|106535|26942582 6900|HVT A|HVT.A|419596200|US4195962000|Haverty Furniture Companies, Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN3-7|TXN4-8|TXN3-1|TXN4-8|1280000|||Quarterly|||||1998-08-28||||||| | | | | | | | | |||N|0|N|Y|146E|USA|US|||40|4040|404010|40401025|Consumer Discretionary|Retail |Retailers |Home Improvement Retailers|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|31.67|31.67|0.0|0.0|0.0|31.53|0.0|32.7|0.0|0.0|31.67|0.0|31.67|0.0|31.67|30.95|33.49|0.0|0.0|31.16|34.91|0.0|0.0|0.0|0.0|31.16|34.59|37.62|26.1|410|28475 1422|HWBK|HWBK|420476103|US4204761039|Hawthorn Bancshares Inc|COM USD1.0||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN6-8|TXN10-6|TXN5-1|TXN5-1|7040000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|21.25|21.1|0.0|0.0|0.0|21.2|0.0|21.43|0.0|0.0|0.0|0.0|21.38|0.0|21.43|20.46|22.22|0.0|0.0|20.54|22.12|0.0|0.0|0.0|0.0|21.1|21.45|25.49|15.015|11900|2116749 1818|HWC|HWC|410120109|US4101201097|Hancock Whitney Corp|COM USD3.33||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN5-5|TXN11-1|TXN6-8|TXN6-1|86150000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||||||43.82|44.0|0.0|0.0|44.03|44.01|44.03|44.01|0.0|0.0|44.0|44.04|44.0|43.83|0.0|44.02|0.0|44.03|43.91|44.0|43.93|44.1|33.68|53.17|43.91|44.11|43.96|44.08|43.98|0.0|44.0|44.03|54.375|31.02|505177|138870820 66740|HWCPZ|HWCPZ|410120406|US4101204067|Hancock Whitney Corp 6.25 Subordinated Notes due 2060|STRUCT PROD||U|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN6-6|TXN13-7|TXN5-3|TXN5-5|6900000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||||||||||N||N||||||N|0|Y||||||24.25|0.0|0.0|0.0|0.0|24.38|24.34|0.0|0.0|0.0|0.0|0.0|24.45|0.0|0.0|0.0|0.0|24.4|0.0|24.4|0.0|0.0|0.0|0.0|23.77|24.84|0.0|0.0|0.0|0.0|24.27|24.45|25.56|19.5243|11948|2837827 1920|HWKN|HWKN|420261109|US4202611095|Hawkins Inc|COM USD.1||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN5-8|TXN14-1|TXN6-2|TXN6-7|20940000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||55|5520|552010|55201000|Basic Materials|Chemicals|Chemicals|Chemicals: Diversified|N||N||||||Y|0|Y||||||63.43|63.42|0.0|62.69|62.87|63.29|63.42|63.435|0.0|0.0|63.22|63.32|63.46|63.07|63.07|63.19|63.13|63.42|0.0|63.46|62.74|64.09|48.57|78.38|62.76|63.69|63.22|63.7|63.17|63.73|63.35|63.46|65.0|36.62|97809|19708162 4543|HWM|HWM|443201108|US4432011082|Howmet Aerospace Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|A|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-3|TXN3-6|TXN4-2|TXN2-2|TXN4-2|411740000|||Quarterly|||||2016-10-06||||||| | | | | | | | | |||N|5|Y|Y|130A|USA|US|||50|5020|502010|50201010|Industrials|Industrial Goods and Services|Aerospace and Defense|Aerospace|N||N||||||Y|0|Y||Y|1|||52.93|52.92|0.0|52.87|52.93|52.93|52.92|52.93|0.0|0.0|52.93|52.93|52.93|52.9|52.87|52.91|52.89|52.91|52.88|52.91|52.91|52.92|49.22|55.61|52.89|52.94|52.87|52.95|52.87|52.95|52.91|52.92|53.24|37.25|2722327|627549459 4544|HWM PR|HWMp|443201207|US4432012072|Howmet Aerospace Inc.|$3.75 Preferred Stock|Operating company|B|N|N|A|Y|Y|Y|Y|Y|||Brendan E. Cryan and Company, L.L.C.|CRYN|0235|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-8|TXN3-5|TXN5-8|TXN3-8|TXN3-2|530000|||Quarterly|||||1978-03-01||||||| | | | | | | | | |||N|0|N|N|180A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|50.55|0.0|0.0|0.0|53.2|54.0|0.0|0.0|0.0|53.2|0.0|54.0|0.0|0.0|0.0|54.0|54.0|0.0|54.0|0.0|0.0|54.0|54.5|51.0|53.0|0.0|0.0|0.0|0.0|54.0|54.5|64.78|49.06|2449|128629 6908|HXL|HXL|428291108|US4282911084|Hexcel Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN1-6|TXN3-7|TXN2-4|TXN3-2|84110000|||Quarterly|||||1983-05-02||||||| | | | | | | | | |||N|0|Y|Y|102B|USA|US|||55|5510|551010|55101000|Basic Materials|Basic Resources|Industrial Materials|Diversified Materials|N||N||||||Y|0|Y||Y|1|||71.68|71.7|0.0|71.73|71.87|71.87|71.905|71.905|0.0|0.0|71.92|71.89|71.905|71.89|71.65|71.9|71.47|71.9|72.0|71.9|71.89|71.9|67.05|75.95|71.48|72.24|71.81|71.99|71.79|72.0|71.89|71.9|79.08|55.59|519105|132959187 40792|HY|HY|449172105|US4491721050|Hyster-Yale Materials Handling, Inc.|Class A common stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|J|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN2-3|TXN2-8|TXN3-7|TXN3-3|13720000|||Quarterly|||||2012-09-28||||||| | | | | | | | | |||N|0|N|Y|126A|USA|US|||50|5020|502040|50204020|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Construction and Handling|N||N||||||N|0|Y||Y|2|||49.16|49.22|0.0|47.73|49.15|48.97|49.12|49.2|0.0|0.0|49.11|47.86|49.08|47.675|49.16|49.1|47.65|49.09|47.375|49.1|49.09|49.16|37.35|59.91|48.9|49.34|48.94|49.38|48.87|49.16|49.09|49.16|59.64|24.5675|63793|17969808 76310|HYAC|HYAC|G4375F108|KYG4375F1081|Haymaker Acquisition Corp. 4|Class A Ordinary Shares|Special purpose acquisition company|A|N|N|N|Y|Y|Y|Y|Y|6|O|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN3-7|TXN6-8|TXN4-2|TXN4-7|23800000|||NotApplicable|||||2023-09-15||||||| | | | | | | | | |||N|0|N|N|408A|USA|KY|||||||||||N||N||||||N|0|Y||Y|2|||0.0|10.27|0.0|0.0|0.0|10.26|10.265|0.0|0.0|0.0|10.27|0.0|10.27|0.0|0.0|10.265|0.0|10.265|0.0|10.265|10.26|10.29|10.26|10.29|9.59|10.97|0.0|0.0|0.0|0.0|10.26|10.29|10.35|10.16|414389|5773827 76309|HYAC WS|HYAC.WS|G4375F116|KYG4375F1164|Haymaker Acquisition Corp. 4|Warrants, each whole warrant exercisable for one Class A ordinary share at an exercise price of $11.50 per share|Special purpose acquisition company|C|N|N|N|Y|Y|Y|Y|Y|6|O|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN7-8|TXN1-4|TXN1-5|TXN1-8|TXN1-2|0|||NotApplicable|||||2023-09-15||||||| | | | | | | | | |||N|0|N|N|408A|USA|KY|||||||||||N||N||||||N|0|Y||N||||0.0|0.2|0.0|0.0|0.2|0.0|0.2|0.0|0.0|0.0|0.2|0.2|0.2|0.2|0.0|0.2|0.0|0.2|0.2|0.2|0.17|0.2|0.0|0.0|0.15|0.27|0.0|0.0|0.0|0.0|0.17|0.2|0.35|0.185|5000|3225953 76045|HYAC U|HYAC.U|G4375F124|KYG4375F1248|Haymaker Acquisition Corp. 4|Units, each consisting one Class A Ordinary Share and one-half of one redeemable Warrant|Special purpose acquisition company|R|N|N|N|Y|Y|Y|Y|Y|6|O|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN3-1|TXN8-8|TXN2-4|TXN1-8|0|||NotApplicable|||||2023-07-26||||||| | | | | | | | | |||N|0|N|N|408A|USA|KY|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.34|10.4|0.0|0.0|9.66|11.09|0.0|0.0|0.0|0.0|10.34|10.4|11.28|10.12|0|15765809 6911|HYB|HYB|641876800|US6418768007|The New America High Income Fund, Inc.|Common Stock|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN3-4|TXN8-8|TXN1-3|TXN4-8|23380000|||Monthly|||||2009-01-23||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||0.0|6.86|0.0|0.0|6.87|6.85|6.85|6.87|0.0|0.0|6.9|0.0|6.86|0.0|0.0|6.85|0.0|6.85|0.0|6.85|6.85|6.86|5.29|8.46|6.83|7.32|6.82|6.89|0.0|0.0|6.85|6.86|7.27|6.23|36413|14486916 67806|HYBB|HYBB|46435U473|US46435U4739|iShares Trust|iShares BB Rated Corporate Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-8|TXN4-3|TXN2-8|TXN1-3|TXN3-6|6200000|||Monthly|||||2020-10-08||HYBB.NV|HYBB.SO|HYBB.EU|HYBB.TC|HYBB.IV| | | | | | | | | |1x|The iShares BB Rated Corporate Bond ETF seeks to track the investment results of an index composed of BB, or equivalently rated, fixed rate U.S. dollar-denominated bonds issued by U.S. and non-U.S. corporations.|N|0|N|N|412C|USA|US|FIXED_INCOME|INDEX|||||||||N||N||||||Y|0|Y||Y|1|||0.0|0.0|0.0|0.0|0.0|45.19|45.19|45.12|0.0|0.0|45.24|0.0|45.16|45.24|0.0|0.0|0.0|45.2417|45.16|45.2417|42.87|47.37|42.01|48.22|45.21|45.27|42.87|47.37|0.0|0.0|45.21|45.27|46.1801|42.73|18923|10140045 73503|HYBL|HYBL|78470P846|US78470P8462|SPDR Blackstone High Income ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-5|TXN3-6|TXN1-5|TXN2-1|TXN2-1|4550000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||27.69|27.765|0.0|0.0|27.715|27.71|27.765|27.76|0.0|0.0|0.0|0.0|27.71|27.71|0.0|27.71|0.0|27.765|0.0|27.765|0.0|0.0|0.0|0.0|27.66|27.81|0.0|0.0|0.0|0.0|27.66|27.77|28.3|26.98|244586|10505498 29974|HYD|HYD|92189H409|US92189H4092|VanEck High Yield Muni ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-8|TXN2-8|TXN2-8|TXN2-1|TXN3-6|59550000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||50.45|50.52|0.0|50.34|50.48|50.49|50.51|50.49|0.0|0.0|50.48|50.34|50.48|50.52|50.48|50.48|50.47|50.52|50.49|50.52|47.99|53.07|47.06|53.69|50.37|50.59|47.99|53.07|49.35|51.48|50.47|50.51|52.98|47.375|1095283|204037037 59146|HYDB|HYDB|46435G250|US46435G2509|iShares High Yield Bond Factor ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-8|TXN1-1|TXN7-8|TXN3-6|TXN4-5|6300000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||45.31|45.43|0.0|0.0|45.44|45.39|45.43|45.39|0.0|0.0|45.42|44.841561|45.43|45.42|0.0|45.31|0.0|45.43|45.39|45.43|35.21|55.83|35.21|55.83|45.41|45.46|35.21|55.83|0.0|0.0|45.41|45.45|45.71|42.92|54654|10493108 71146|HYDR|HYDR|37954Y152|US37954Y1525|Global X Funds Global X Hydrogen ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN6-1|TXN10-5|TXN5-7|TXN5-5|5490000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||6.79|6.88|0.0|0.0|6.87|6.88|6.88|6.88|0.0|0.0|6.85|6.87|6.88|6.79|0.0|6.79|6.86|6.88|0.0|6.88|5.24|8.45|5.24|8.45|6.75|7.01|5.24|8.45|0.0|0.0|6.87|6.89|14.46|5.68|191338|11723903 60389|HYDW|HYDW|233051267|US2330512672|DBX ETF Trust|Xtrackers Low Beta High Yield Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||DBX Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-5|TXN4-6|TXN1-5|TXN2-8|TXN3-6|5000001|||Monthly|||||2018-01-11||HYDW.NV|HYDW.SO|HYDW.EU|HYDW.TC|HYDW.IV| | | | | | | | | |1x|High Yield fixed income with a lower than HY market beta and yield|N|0|N|N|416A|USA|US|FIXED_INCOME|INDEX|||||||||N||N||||||N|0|Y||Y|1|||45.58|45.59|0.0|0.0|0.0|0.0|45.52|45.272|0.0|0.0|45.272|0.0|45.6|45.58|0.0|0.0|0.0|45.59|45.58|45.59|0.0|0.0|0.0|0.0|45.54|45.62|0.0|0.0|0.0|0.0|45.54|45.62|46.3099|43.22|3508|19142985 39989|HYEM|HYEM|92189F353|US92189F3534|VanEck ETF Trust|VanEck Emerging Markets High Yield Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||VanEck Vectors|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-1|TXN4-5|TXN9-8|TXN2-4|TXN4-1|19500000|||Monthly|||||2012-05-09||HYEM.NV|HYEM.SO|HYEM.EU|HYEM.TC|HYEM.IV| | | | | | | | | |1x|Market Vectors Emerging Markets High Yield Bond ETF (HYEM) seeks to replicate as closely as possible, before fees and expenses, the price and yield performance of The BofA Merrill Lynch High Yield US Emerging Markets Liquid Corporate Plus Index (EMHY). The Index is comprised of U.S. dollar denominated bonds issued by non-sovereign emerging market issuers that are rated BB1 or lower. In order to qualify for inclusion in the Index, an issuer must have risk exposure to countries other than members of FX-G10 members.|N|0|N|N|406C|USA|US|FIXED_INCOME|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||0.0|18.2|0.0|0.0|18.19|18.19|18.2027|18.19|0.0|0.0|18.19|18.0952|18.19|18.15|0.0|0.0|0.0|18.22|18.28|18.22|17.25|19.14|17.03|19.43|18.15|18.21|17.25|19.14|0.0|0.0|18.15|18.21|19.11|17.367|84960|40601058 75699|HYFI|HYFI|00039J608|US00039J6082|AB Active ETFs, Inc.|AB High Yield ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||AllianceBernstein|Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-4|TXN4-2|TXN5-8|TXN3-5|TXN3-4|2239045|||Monthly|||||2023-05-15||HYFI.NV|HYFI.SO|HYFI.EU|HYFI.TC|HYFI.IV| | | | | | | | | ||The Funds investment objective is to seek to maximize total return consistent with prudent investment management|N|0|N|N|416A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|35.68|35.68|35.68|0.0|0.0|35.0668|0.0|35.68|0.0|0.0|35.68|0.0|35.655|0.0|35.655|0.0|0.0|0.0|0.0|35.6|35.7|0.0|0.0|0.0|0.0|35.62|35.69|35.96|33.8301|7691|2072039 68441|HYFM|HYFM|44888K209|US44888K2096|Hydrofarm Holdings Group Inc|COM USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-2|TXN5-8|TXN13-5|TXN6-1|TXN6-2|45760000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502040|50204010|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Agricultural|N||N||||||Y|0|Y|D|||||0.94|0.9399|0.0|0.0|0.95|0.9327|0.94135|0.93|0.0|0.0|0.91|0.92|0.9399|0.829|0.8352|0.7543|0.851|0.9327|0.829|0.9399|0.8998|0.9845|0.712|1.11|0.902|0.9753|0.8982|0.9746|0.8996|0.9831|0.9327|0.947|3.25|0.6715|504359|100667355 24597|HYG|HYG|464288513|US4642885135|iShares Trust|iShares iBoxx $ High Yield Corporate Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-2|TXN1-4|TXN6-8|TXN2-5|TXN2-3|229300000|||Monthly|||||2008-11-06||HYG.NV|HYG.SO|HYG.EU|HYG.TC|HYG.IV| | | | | | | | | |1x|The iShares iBoxx $ High Yield Corporate Bond Fund seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the iBoxx $ Liquid High Yield Index, a corporate bond market index compiled by the International Index Company Limited. The Underlying Index is a rules-based index consisting of liquid U.S. dollar denominated, high yield corporate bonds for sale in the United States, as determined by the Index Provider. The Underlying Index is designed to provide a broad representation of the U.S. dollar-denominated high yield liquid corporate bond market. The Underlying Index is a modified market value weighted index. There is no limit to the number of issues in the Underlying Index, but as of June 30, 2009 the Underlying Index included approximately 281 constituents. The methodology changes took effect at the Underlying Indexs June 30, 2009 rebalancing, and weighting adjusents are expected to be completed over a six-month period.|N|0|N|N|412C|USA|US|FIXED_INCOME|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||75.82|75.81|0.0|75.82|75.82|75.81|75.815|75.815|0.0|0.0|75.81|75.81|75.815|75.81|75.81|75.815|75.825|75.8|75.81|75.8|75.81|75.83|70.83|80.5|75.81|75.82|71.91|79.39|75.68|75.96|75.81|75.82|77.34|71.68|33105896|9465035932 44344|HYGH|HYGH|46431W606|US46431W6066|iShares U.S. ETF Trust|iShares Interest Rate Hedged High Yield Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-2|TXN3-6|TXN7-8|TXN1-4|TXN2-4|2100000|||Monthly|||||2014-05-28||HYGH.NV|HYGH.SO|HYGH.EU|HYGH.TC|HYGH.IV| | | | | | | | | ||The iShares Interest Rate Hedged High Yield Bond ETF (the Fund) seeks to mitigate the interest rate risk of a portfolio composed of U.S. dollar-denominated, high yield corporate bonds.|N|0|N|N|416A|USA|US|FIXED_INCOME|ACTIVE|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||83.68|83.61|0.0|0.0|83.73|83.79|83.6|83.7|0.0|0.0|83.74|0.0|83.745|83.68|0.0|0.0|0.0|83.6|0.0|83.6|66.62|100.26|0.0|0.0|83.6|83.81|66.62|100.26|0.0|0.0|83.6|83.81|84.64|79.43|24051|4061119 74203|HYGI|HYGI|46431W549|US46431W5498|iShares U.S. ETF Trust|iShares Inflation Hedged High Yield Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-6|TXN3-2|TXN6-8|TXN1-1|TXN3-4|100000|||Monthly|||||2022-06-24||HYGI.NV|HYGI.SO|HYGI.EU|HYGI.TC|HYGI.IV| | | | | | | | | |1x|The iShares Inflation Hedged High Yield Bond ETF (the Fund) seeks to track the investment results of an index designed to mitigate the inflation risk of a portfolio composed of U.S. dollar-denominated, high yield corporate bonds.|N|0|N|N|416A|USA|US|FIXED_INCOME|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|25.024956|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|25.4855|0.0|25.4855|0.0|0.0|0.0|0.0|25.45|25.52|0.0|0.0|0.0|0.0|25.33|25.52|25.765|24.36|128|54395 61258|HYGV|HYGV|33939L662|US33939L6627|FlexShares Trust|FlexShares High Yield Value-Scored Bond Index Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Northern Trust Investments|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-2|TXN2-1|TXN5-8|TXN2-2|TXN1-2|34050001|||Monthly|||||2018-07-18||HYGV.NV|HYGV.SO|HYGV.EU|HYGV.TC|HYGV.IV| | | | | | | | | |1x|The Fund seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the Northern Trust High Yield Value-Scored US Corporate Bond Index.|N|0|N|N|416A|USA|US|FIXED_INCOME|INDEX|||||||||N||N||||||N|0|Y||Y|1|||40.08|40.05|0.0|0.0|40.04|40.06|40.05|40.06|0.0|0.0|40.06|40.06|40.06|40.06|39.985|40.06|0.0|40.09|40.01|40.09|38.02|42.12|37.53|42.59|40.05|40.09|37.53|42.59|39.17|40.83|40.05|40.09|42.04|38.415|260882|42698419 74491|HYGW|HYGW|46436E320|US46436E3201|iShares High Yield Corporate Bond BuyWrite Strategy ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-8|TXN2-4|TXN4-3|TXN1-1|TXN4-2|1400000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||33.73|33.74|0.0|0.0|33.68|33.73|33.7202|33.7|0.0|0.0|33.72|33.73|33.72|33.68|33.7|33.74|33.73|33.74|33.68|33.74|33.72|33.75|25.75|33.82|33.72|33.75|33.72|33.75|33.65|33.83|33.72|33.75|37.77|33.4|41016|3783792 42032|HYHG|HYHG|74348A541|US74348A5415|ProShares High Yield-Interest Rate Hedged ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-7|TXN1-2|TXN3-8|TXN1-2|TXN1-6|1925001|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|62.04|0.0|0.0|0.0|62.045|62.33|62.33|0.0|0.0|0.0|0.0|62.035995|0.0|0.0|0.0|0.0|62.04|0.0|62.04|0.0|0.0|0.0|0.0|61.87|62.41|61.88|62.41|61.88|62.4|61.94|62.24|63.0|56.6983|3541|2444874 6916|HYI|HYI|95768B107|US95768B1070|Western Asset High Yield Defined Opportunity Fund Inc.|Common Stock, $0.001 par value|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN1-1|TXN8-8|TXN2-3|TXN1-2|22660000|||Monthly|||||2010-10-27||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||11.76|11.8|0.0|0.0|11.78|11.8|11.78|11.79|0.0|0.0|11.77|0.0|11.77|11.77|0.0|11.77|0.0|11.76|0.0|11.77|11.76|11.78|9.05|14.45|10.94|12.58|11.72|11.82|0.0|0.0|11.76|11.78|13.0097|10.99|58129|12574083 70498|HYIN|HYIN|97717Y626|US97717Y6260|Wisdomtree Alternative Income Fund|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-2|TXN1-8|TXN9-8|TXN4-7|TXN3-4|720000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|18.6|0.0|0.0|0.0|0.0|18.5799|0.0|0.0|0.0|0.0|0.0|18.58|0.0|0.0|0.0|18.57|18.6|0.0|18.6|14.71|22.29|18.54|18.57|18.55|18.58|14.71|22.29|0.0|0.0|18.55|18.58|20.5|16.3647|8186|1147303 54606|HYLB|HYLB|233051432|US2330514322|DBX ETF Trust|Xtrackers USD High Yield Corporate Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||DBX Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-8|TXN3-2|TXN9-3|TXN2-3|TXN4-2|89587501|||Monthly|||||2016-12-07||HYLB.NV|HYLB.SO|HYLB.EU|HYLB.TC|HYLB.IV| | | | | | | | | |1x|The Fund seeks investment results that correspond generally to the performance, before fees and expenses, of the Underlying Index, which is comprised of U.S. dollar-denominated high yield corporate bonds. |N|0|N|N|416A|USA|US|FIXED_INCOME|INDEX|||||||||N||N||||||N|0|Y||Y|1|||34.78|34.785|0.0|0.0|34.78|34.785|34.78|34.78|0.0|0.0|34.79|34.78|34.785|34.78|34.79|34.78|34.775|34.8|34.79|34.8|34.78|34.8|34.72|34.91|34.78|34.8|34.71|34.92|34.72|34.91|34.78|34.8|35.43|32.975|1439044|770170361 74947|HYLG|HYLG|37960A750|US37960A7506|Global X Funds|Global X Health Care Covered Call & Growth ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Global X|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN3-6|TXN3-8|TXN2-1|TXN3-4|110000|||Monthly|||||2022-11-22||HYLG.NV|HYLG.SO|HYLG.EU|HYLG.TC| | | | | | | | | | |1x|The Global X Health Care Covered Call & Growth ETF (Fund) seeks to provide investment results that correspond generally to the price and yield performance, before fees and expenses, of the Cboe Health Care Select Sector Half BuyWrite Index (Underlying Index).|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|24.48|24.204|0.0|0.0|0.0|0.0|0.0|24.51|0.0|0.0|0.0|0.0|24.5209|0.0|24.5209|0.0|0.0|24.41|24.52|24.4|24.59|12.25|36.73|0.0|0.0|24.4|24.59|25.89|23.145|626|93443 63471|HYLN|HYLN|449109107|US4491091074|Hyliion Holdings Corp.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|M|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN4-8|TXN1-6|TXN6-8|TXN1-7|TXN2-1|182790000|||NotApplicable|||||2019-04-22||||||| | | | | | | | | |||N|0|N|Y|134B|USA|US|||50|5020|502060|50206015|Industrials|Industrial Goods and Services|Industrial Transportation|Commercial Vehicles and Parts|N||N||||||Y|2|Y||Y|2|||0.5966|0.5966|0.0|0.5998|0.593|0.5966|0.5999|0.596|0.0|0.0|0.5966|0.5999|0.5999|0.5951|0.5931|0.5964|0.5903|0.5964|0.5927|0.5964|0.593|0.5964|0.4808|0.732|0.588|0.6082|0.573|0.6192|0.593|0.6166|0.593|0.5964|3.88|0.51805|1193985|378170370 41548|HYLS|HYLS|33738D408|US33738D4088|First Trust Tactical High Yield ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN6-5|TXN14-6|TXN5-1|TXN5-4|35500002|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||40.62|40.6|0.0|0.0|40.57|40.6|40.635|40.61|0.0|40.52|40.59|40.56|40.68|40.54|40.54|40.57|40.53|40.635|40.6|40.68|38.51|42.65|37.83|43.3|40.34|40.97|38.51|42.65|0.0|0.0|40.53|40.74|41.16|37.78|214805|52588723 37744|HYMB|HYMB|78464A284|US78464A2841|SPDR Series Trust|SPDR Nuveen Bloomberg High Yield Municipal Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-3|TXN4-7|TXN4-6|TXN2-1|TXN4-4|93000000|||Monthly|||||2011-04-14||HYMB.NV|HYMB.SO|HYMB.EU|HYMB.TC|HYMB.IV| | | | | | | | | |1x|The Fund employs a sampling strategy, which means that the Fund is not required to purchase all of the securities represented in the Index. Instead, the Fund may purchase a subset of the securities in the Index in an effort to hold a portfolio of securities with generally the same risk and return characteristics of the Index.|N|0|N|N|416A|USA|US|FIXED_INCOME|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||24.66|24.66|0.0|0.0|24.645|24.67|24.6701|24.675|0.0|0.0|24.68|24.66|24.68|24.68|24.66|24.675|24.635|24.73|24.65|24.73|24.6|24.75|23.05|26.31|24.65|24.67|23.45|25.92|24.13|25.15|24.65|24.67|50.91|22.95|1234402|210017088 60758|HYMC|HYMC|44862P208|US44862P2083|Hycroft Mining Holding Corp|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN6-1|TXN13-7|TXN6-2|TXN5-6|20210000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||55|5510|551030|55103025|Basic Materials|Basic Resources|Precious Metals and Mining|Gold Mining|N||N||||||Y|0|Y||||||2.14|2.11|0.0|0.0|2.13|2.13|2.13|2.14|0.0|0.0|2.14|2.14|2.14|2.21|0.0|0.0|0.0|2.13|0.0|2.14|2.08|2.2|1.63|2.64|2.09|2.19|2.09|2.17|2.09|2.17|2.12|2.14|2.37|0.1758|175617|672871967 68869|HYMCL|HYMCL|44862P133|US44862P1333|Hycroft Mining Holding Corp|*W EXP 10/05/2023||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-3|TXN5-7|TXN13-2|TXN6-4|TXN5-4|202130000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y|C|||||0.0|0.0|0.0|0.0|0.0|0.026|0.0278|0.0|0.0|0.0|0.026|0.026|0.026|0.0|0.0|0.0|0.0|0.0278|0.0|0.0278|0.0|0.0|0.0|0.0|0.0152|0.0575|0.0|0.0|0.0|0.0|0.0161|0.0277|0.124|0.0072|18373|6239151 60759|HYMCW|HYMCW|44862P117|US44862P1176|Hycroft Mining Holding Corp|WT EXP 021225||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-3|TXN6-2|TXN13-5|TXN5-4|TXN5-1|202130000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y|D|||||0.0|0.0238|0.0|0.0|0.0|0.0229|0.022|0.0|0.0|0.0|0.0238|0.0219|0.0238|0.0|0.0|0.0|0.0|0.0238|0.0|0.0238|0.018|0.0272|0.0168|0.0288|0.0168|0.0288|0.0168|0.0288|0.0|0.0|0.021|0.0238|0.1049|0.0031|48490|31187205 69774|HYMU|HYMU|092528108|US0925281083|Blackrock High Yield Muni Income Bond ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-5|TXN2-8|TXN6-8|TXN2-1|TXN4-6|2800000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|21.54|0.0|0.0|21.54|21.47|21.53|0.0|0.0|0.0|21.54|0.0|21.52|21.54|0.0|0.0|0.0|21.54|0.0|21.54|0.0|0.0|0.0|0.0|21.53|21.57|0.0|0.0|0.0|0.0|21.42|21.7|22.195|19.83|20911|6289355 68915|HYPR|HYPR|44916K106|US44916K1060|Hyperfine Inc|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN5-4|TXN12-5|TXN5-1|TXN6-1|56540000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||N|0|Y||||||0.0|1.32|0.0|0.0|0.0|1.33|1.32|0.0|0.0|0.0|1.33|0.0|1.33|0.0|0.0|1.29|1.32|1.32|0.0|1.33|1.26|1.39|1.02|1.56|1.29|1.37|1.29|1.36|1.29|1.36|1.32|1.34|3.28|0.681|44923|134029769 73448|HYRM|HYRM|23306X100|US23306X1000|DBX ETF Trust|Xtrackers Risk Managed USD High Yield Strategy ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||DBX Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-2|TXN1-8|TXN2-8|TXN4-8|TXN3-4|1950001|||Monthly|||||2022-02-10||HYRM.NV|HYRM.SO|HYRM.EU|HYRM.TC|HYRM.IV| | | | | | | | | |1x|Fund will aim to track the Adaptive Wealth Strategies Risk Managed High Yield Index, which aims to allocate between a high yield position and a cash position depeding on market indicators.|N|0|N|N|416A|USA|US|FIXED_INCOME|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|22.62|0.0|0.0|0.0|22.62|22.65|0.0|0.0|0.0|22.62|0.0|22.62|0.0|0.0|0.0|0.0|22.65|0.0|22.65|0.0|0.0|0.0|0.0|22.62|22.67|0.0|0.0|0.0|0.0|22.63|22.67|22.985|21.51|3421|1357098 38380|HYS|HYS|72201R783|US72201R7834|PIMCO ETF Trust|PIMCO 0-5 Year High Yield Corporate Bond Index Exchange-Traded Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||PIMCO|Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-3|TXN3-5|TXN3-8|TXN4-4|TXN4-1|12700000|||Monthly|||||2011-06-16||HYS.NV|HYS.SO|HYS.EU|HYS.TC|HYS.IV| | | | | | | | | |1x|The Fund seeks to provide total return that closely corresponds, before fees and expenses, to the total return of The BofA Merrill Lynch 0-5 Year US High Yield Constrained IndexSM.The Underlying Index is an unmanaged index comprised of U.S. dollar denominated below investment grade corporate debt securities publicly issued in the U.S. domestic market with remaining maturities of less than 5 years. Underlying Index constituents are capitalization weighted, based on their current amount outstanding, provided the total allocation to an individual issuer does not exceed 2%. The securities comprising the Underlying Index have a below investment grade rating (based on an average of the ratings of Moodys, S&P and Fitch) and a country of risk exposure to investment grade countries that are members of the FXG10,Western Europe or territories of the U.S. and Western Europe. Country ratings are based on an average of Moodys, S&P and Fitch foreign currency long term sovereign debt ratings. For each issuer, the country of risk is the principal place of business derived from management location, country of primary listing, location of sales and reporting currency. In addition, qualifying securities must have a minimum $100million of outstanding face value and a fixed coupon schedule. |N|0|N|N|416A|USA|US|FIXED_INCOME|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||91.85|91.86|0.0|91.63|91.85|91.75|91.859|91.85|0.0|0.0|91.77|91.75|91.87|91.69|91.63|91.76|91.73|91.84|91.86|91.84|86.88|96.12|91.07|92.22|91.45|91.79|91.07|92.22|91.07|92.22|91.45|91.79|92.77|88.2675|223175|49586842 40948|HYSA|HYSA|09789C770|US09789C7700|BondBloxx ETF Trust|BondBloxx USD High Yield Bond Sector Rotation ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BondBloxx Investment Management|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-7|TXN1-7|TXN5-8|TXN1-5|TXN3-4|2010000|||Monthly|||||2023-09-18||HYSA.NV|HYSA.SO|HYSA.EU|HYSA.TC| | | | | | | | | | ||The BondBloxx USD High Yield Bond Sector Rotation ETF (the Fund) seeks to provide total return by primarily investing its assets in U.S. dollar-denominated, high yield corporate bonds in the various sectors of the fixed income securities market through other exchange-traded funds (ETFs).|N|0|N|N|416A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|14.7|14.66|14.51936|0.0|0.0|0.0|0.0|14.69|0.0|0.0|0.0|0.0|14.6449|0.0|14.6449|14.48|14.89|0.0|0.0|14.63|14.66|13.72|15.64|0.0|0.0|14.63|14.66|14.83|13.6|7071|400842 6922|HYT|HYT|09255P107|US09255P1075|BlackRock Corporate High Yield Fund, Inc.|Common Stock, $.10 par value|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN2-4|TXN9-7|TXN1-2|TXN2-7|142700000|||Monthly|||||2003-05-28||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||8.82|8.82|0.0|8.81|8.81|8.82|8.8199|8.815|0.0|0.0|8.82|8.81|8.815|8.82|8.83|8.82|8.82|8.82|8.82|8.82|8.81|8.82|6.83|10.81|8.81|8.83|8.78|8.85|8.81|8.82|8.81|8.82|9.49|8.18|512543|121525866 65434|HYTR|HYTR|66538R722|US66538R7228|Northern Lights Fund Trust III|CP High Yield Trend ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Ultimus Fund Solutions (Counterpoint Mutual Funds)|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-3|TXN4-6|TXN6-8|TXN4-6|TXN3-4|200000|||Monthly|||||2020-01-22||HYTR.NV|HYTR.SO|HYTR.EU|HYTR.TC|HYTR.IV| | | | | | | | | |1x|The Fund seeks to achieve its investment objective by investing at least 80% ofits net assets in securities included in the Index. The rules-based index is comprised of a blend of allocations to two asset classes: U.S. high yield corporate bond exchange-traded funds (ETFs) and U.S. 3-7 year Treasury ETFs.The Adviser sponsors and creates the Index using an active trading strategy and Solactive, A.G., who has contracted with the Adviser, calculates and publishes the Index. The Indexs three components are weighted using quantitativemodels to determine allocations to the two asset classes when the Index is rebalanced, which can occur daily. The Index is composed, in 20% increments, of U.S. high yield corporate bonds (junk bonds) with the remainder inU.S. Treasury ETFs. The first model determines a recommended allocation to U.S. high yield corporate bonds by evaluating the current market price against the dividend-adjusted moving average price data of the Indexs corporate bond component and the historical momentum returns of that component for the same periods. The model gives 75% weight to the moving average price signals and 25% weight to the historical momentum signals to determine the recommendedallocation to high yield corporate bonds. The second model adjusts the first models recommended allocation by rounding the allocation to the nearest 20%increment, but only allows the final allocation to U.S. high yield corporate bonds to move by a 20% increment dayover- day. The final allocation remains unchanged if the rounded allocation from the second model varies by morethan 5% from the recommended allocation of the first model.|N|0|N|N|408A|USA|US|FIXED_INCOME|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|21.065|0.0|0.0|21.06|0.0|0.0|21.07|0.0|0.0|0.0|21.0853|0.0|21.0853|0.0|0.0|0.0|0.0|21.03|21.1|0.0|0.0|0.0|0.0|21.03|21.1|21.7735|20.165|4306|313827 60388|HYUP|HYUP|233051259|US2330512599|DBX ETF Trust|Xtrackers High Beta High Yield Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||DBX Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-6|TXN4-4|TXN4-8|TXN1-3|TXN3-6|300001|||Monthly|||||2018-01-11||HYUP.NV|HYUP.SO|HYUP.EU|HYUP.TC|HYUP.IV| | | | | | | | | |1x|High Yield fixed income with a greater than HY market beta and yield|N|0|N|N|416A|USA|US|FIXED_INCOME|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|39.7899|38.98833|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|39.8243|0.0|39.8243|39.79|39.86|0.0|0.0|39.79|39.85|0.0|0.0|0.0|0.0|39.79|39.85|40.94|37.99|327|196358 69981|HYW|HYW|44951X104|US44951X1046|Hywin Holdings Ltd|ADR||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN5-5|TXN14-5|TXN5-3|TXN5-1|56000000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||30|3020|302020|30202010|Financials|Financial Services |Investment Banking and Brokerage Services |Asset Managers and 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Vehicles|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|44.38|44.38|0.0|0.0|0.0|0.0|0.0|44.385|44.32|0.0|44.32|0.0|44.38|0.0|44.385|0.0|0.0|0.0|0.0|44.03|44.73|0.0|0.0|0.0|0.0|44.24|44.51|45.43|41.9901|19229|2470020 39847|HYXU|HYXU|464286210|US4642862100|iShares International High Yield Bond ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-4|TXN1-7|TXN6-8|TXN2-3|TXN2-3|1000000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|49.1|0.0|0.0|0.0|0.0|49.088|48.75|0.0|0.0|0.0|46.98|49.28|0.0|0.0|49.1|0.0|49.1|0.0|49.1|49.09|49.15|0.0|0.0|49.09|49.15|49.08|49.15|0.0|0.0|49.1|49.14|49.425|43.58|3542|2159420 43308|HYZD|HYZD|97717W430|US97717W4309|WisdomTree Trust WisdomTree Interest Rate Hedged High Yield Bond Fund|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN6-4|TXN13-2|TXN5-7|TXN5-4|7300000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||21.48|21.4|0.0|21.46|21.45|21.49|21.46|21.49|0.0|0.0|21.46|21.49|21.48|21.46|0.0|0.0|0.0|21.4|21.47|21.48|16.42|26.43|16.42|26.43|21.23|21.63|16.42|26.43|0.0|0.0|21.37|21.48|21.635|20.01|167098|12981347 68487|HYZN|HYZN|44951Y102|US44951Y1029|HYZON Motors Inc|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN6-7|TXN11-2|TXN5-2|TXN5-5|245000000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502060|50206015|Industrials|Industrial Goods and Services|Industrial Transportation|Commercial Vehicles and Parts|N||N||||||Y|0|Y||||||1.07|1.065|0.0|0.0|1.07|1.065|1.06|1.07|0.0|0.0|1.065|1.07|1.07|1.07|1.07|1.07|1.07|1.07|1.07|1.07|1.05|1.1|0.856|1.3|1.06|1.08|1.03|1.1|1.03|1.1|1.06|1.07|2.35|0.45|337587|283291510 68488|HYZNW|HYZNW|44951Y110|US44951Y1102|HYZON Motors Inc|WT EXP 100225||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-6|TXN6-2|TXN11-7|TXN6-1|TXN5-3|245000000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0455|0.0445|0.0|0.0|0.0|0.0|0.0451|0.04|0.0|0.0|0.0|0.0|0.0445|0.0|0.0445|0.02|0.0534|0.02|0.0534|0.02|0.0534|0.02|0.0534|0.0|0.0|0.0249|0.0445|0.377|0.012|5521|7250472 6925|HZO|HZO|567908108|US5679081084|MarineMax, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|I|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN2-8|TXN2-8|TXN1-3|TXN2-3|22170000|||NotApplicable|||||1998-06-03||||||| | | | | | | | | |||N|0|N|Y|144E|USA|US|||40|4040|404010|40401030|Consumer Discretionary|Retail |Retailers |Specialty Retailers |N||N||||||Y|0|Y||Y|2|||33.14|33.12|0.0|33.1|33.14|33.115|33.081|33.13|0.0|0.0|33.18|33.08|33.09|33.15|33.2|33.09|33.02|33.08|29.87|33.09|33.08|33.1|25.38|40.6|32.87|33.49|33.01|38.98|33.04|33.15|33.08|33.1|42.88|25.6|486931|87176078 1930|IAC|IAC|44891N208|US44891N2080|IAC Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN5-3|TXN11-3|TXN5-5|TXN6-6|80060000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||USA||||10|1010|101010|10101020|Technology|Technology|Software and Computer Services|Consumer Digital Services |N||N||||||Y|0|Y||||||48.55|48.71|0.0|48.66|48.62|48.73|48.61|48.605|0.0|0.0|48.59|48.67|48.62|48.66|48.75|48.59|48.56|48.62|48.54|48.62|48.5|48.72|45.85|51.95|48.5|48.72|48.54|48.67|48.55|48.64|48.6|48.62|69.85|41.39|747917|161606108 19314|IAE|IAE|92912J102|US92912J1025|Voya Asia Pacific High Dividend Equity Income Fund|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN3-4|TXN9-8|TXN1-4|TXN2-3|11900000|||Quarterly|||||2007-03-28||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||0.0|5.79|0.0|0.0|5.76|5.77|5.77|5.77|0.0|0.0|5.78|5.8|5.76|0.0|5.8|5.77|5.8|5.77|5.76|5.77|5.77|5.78|5.76|5.78|5.42|5.78|0.0|0.0|0.0|0.0|5.77|5.78|7.02|5.31|43204|6985522 6927|IAF|IAF|003011103|US0030111035|abrdn Australia Equity Fund, Inc.|Common Stock|Closed end fund|P|N|N|A|Y|Y|Y|Y|Y|||J. Streicher & Co. L.L.C.|JSCO|3856|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-8|TXN4-2|TXN3-8|TXN3-3|TXN1-2|23300000|||Quarterly|||||1985-12-05||||||| | | | | | | | | |||N|0|N|N|406C|AUS|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||4.0|3.99|0.0|0.0|4.025|3.99|3.99|3.99|0.0|0.0|3.99|0.0|3.99|3.99|4.0|3.99|3.99|3.99|3.98|3.99|3.8|4.28|3.99|4.0|3.99|4.0|3.96|4.03|0.0|0.0|3.99|4.01|5.24|3.6|76939|12778613 6928|IAG|IAG|450913108|CA4509131088|IAMGOLD Corporation|Common Shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|8|M|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-7|TXN3-4|TXN3-2|TXN1-1|TXN3-5|481300000|||NotApplicable|||||2005-12-20||||||| | | | | | | | | |||N|0|N|Y|130C|CAN|CA|||55|5510|551030|55103025|Basic Materials|Basic Resources|Precious Metals and Mining|Gold Mining|N||N||||||Y|0|Y||Y|2|||2.515|2.52|0.0|2.54|2.51|2.515|2.52|2.515|0.0|0.0|2.52|2.51|2.515|2.51|2.515|2.52|2.515|2.52|2.515|2.52|2.51|2.52|1.97|3.06|2.51|2.52|2.49|2.54|2.5|2.53|2.51|2.52|3.335|1.82|5553823|1000824364 51943|IAGG|IAGG|46435G672|US46435G6724|iShares Core International Aggregate Bond ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-6|TXN1-4|TXN3-6|TXN4-3|TXN3-7|98900000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||50.2|50.29|0.0|0.0|50.28|50.29|50.29|50.285|0.0|0.0|50.28|50.27|50.29|50.29|50.22|50.28|50.33|50.29|50.275|50.29|46.61|53.81|50.26|50.47|50.26|50.3|50.26|50.47|50.26|50.47|50.26|50.3|50.42|47.51|400702|81704235 16452|IAI|IAI|464288794|US4642887941|iShares Trust|iShares U.S. Broker-Dealers & Securities Exchanges ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-5|TXN3-8|TXN3-8|TXN4-6|TXN4-7|3950000|||Quarterly|||||2007-12-06||IAI.NV|IAI.SO|IAI.EU|IAI.TC|IAI.IV| | | | | | | | | |1x|The iShares U.S. Broker-Dealers ETF (the Fund) seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the Dow Jones U.S. Select Investment Services Index (the Underlying Index). The Underlying Index measures the performance of the investment services sector of the U.S. equity market. The Underlying Index includes companies providing a range of specialized financial services, including securities brokers and dealers, online brokers and securities or commodities exchanges. Components primarily include financial companies. The components of the Underlying Index, and the degree to which these components represent certain industries, may change over time.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||100.87|99.92|0.0|0.0|99.93|99.92|100.706|100.645|0.0|0.0|0.0|95.0|100.6|100.47|96.52|99.92|0.0|100.8264|97.31|100.8264|99.78|101.84|100.61|101.02|100.61|100.89|100.61|101.19|100.61|101.02|100.61|100.89|105.625|84.9717|14025|17385821 16453|IAK|IAK|464288786|US4642887867|iShares Trust|iShares U.S. Insurance ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-4|TXN2-8|TXN5-3|TXN2-8|TXN1-3|4050000|||Quarterly|||||2007-12-06||IAK.NV|IAK.SO|IAK.EU|IAK.TC|IAK.IV| | | | | | | | | |1x|The iShares U.S. Insurance ETF (the Fund) seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the Dow Jones U.S. Select Insurance Index (the Underlying Index). The Underlying Index measures the performance of the insurance sector of the U.S. equity market. The Underlying Index includes companies in the following industry groups: full line insurance, insurance brokers, property and casualty insurance, reinsurance and life insurance. As of March 31, 2012, the Underlying Index was concentrated in the non-life insurance and life insurance industry groups, which comprised 62.12% and 37.88%, respectively, of the market capitalization of the Underlying Index. Components primarily include financial and insurance companies. The components of the Underlying Index, and the degree to which these components represent certain industries, may change over time.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||99.01|100.19|0.0|0.0|99.54|100.13|100.07|100.19|0.0|0.0|100.2|0.0|100.05|99.86|0.0|100.19|98.45|100.1|0.0|100.1|94.87|105.03|99.72|100.39|100.0|100.1|99.88|100.39|99.88|100.39|100.0|100.1|100.279|80.3854|68223|9498025 70069|IAPR|IAPR|45782C367|US45782C3676|Innovator ETFs Trust|Innovator International Developed Power Buffer ETF-April|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Innovator Capital Management |Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-3|TXN4-2|TXN9-8|TXN4-2|TXN1-1|11675000|||NotApplicable|||||2021-04-01||IAPR.NV|IAPR.SO|IAPR.EU|IAPR.TC|IAPR.IV| | | | | | | | | |1x|Innovator MSCI EAFE Power Buffer ETF - April is an exchange-traded fund incorporated in the USA. It is designed to track the return of the MSCI EAFE Index (to a predetermined cap) while buffering investors against the first 15% of losses over the outcome period (approximately 1 year). The ETF can be held indefinitely, resetting at the end of each outcome period.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|1|||24.93|24.94|0.0|24.92|24.92|24.92|24.9309|24.935|0.0|0.0|24.92|24.92|24.93|24.92|24.92|24.91|24.92|24.935|24.94|24.935|0.0|0.0|24.84|24.92|24.93|24.99|24.84|24.94|24.84|24.94|24.93|24.99|25.4199|23.16|829350|23900302 1936|IART|IART|457985208|US4579852082|Integra LifeSciences Holdings Corp|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN6-6|TXN10-8|TXN6-2|TXN5-6|78180000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||USA||||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||Y|0|Y||||||40.4|40.36|0.0|40.37|40.35|40.38|40.35|40.4|0.0|0.0|40.37|40.39|40.38|40.37|40.36|40.39|40.38|40.37|40.38|40.38|40.27|40.46|37.43|42.74|40.27|40.46|40.31|40.39|40.3|40.39|40.35|40.37|60.69|33.44|508339|144075967 70948|IAS|IAS|45828L108|US45828L1089|Integral Ad Science Holding Corp|COM USD0.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN6-6|TXN12-7|TXN5-6|TXN5-2|157850000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4030|403010|40301020|Consumer Discretionary|Media|Media|Media Agencies|N||N||||||Y|0|Y||||||14.965|14.97|0.0|14.98|14.975|14.97|14.96|14.96|0.0|0.0|14.97|14.97|14.97|14.97|15.03|14.97|14.44|14.97|14.98|14.97|14.84|15.0|11.46|18.26|14.94|15.09|11.5|15.0|14.94|15.0|14.96|14.98|20.875|8.23|886594|171850126 16454|IAT|IAT|464288778|US4642887784|iShares Trust|iShares U.S. Regional Banks ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Pundion LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN3-5|TXN5-6|TXN2-3|TXN4-5|17050000|||Quarterly|||||2007-12-06||IAT.NV|IAT.SO|IAT.EU|IAT.TC|IAT.IV| | | | | | | | | |1x|The iShares U.S. Regional Banks ETF (the Fund) seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the Dow Jones U.S. Select Regional Banks Index (the Underlying Index). The Underlying Index measures the performance of the regional bank sector of the U.S. equity market. The Underlying Index is a subset of the Dow Jones U.S. Bank Index. Small and mid-size banks are selected for inclusion based on their relative three-year average total assets as a percentage of the three-year average total assets held by all banks in the Dow Jones U.S. Bank Index, as determined by Dow Jones. As of March 31, 2012, each bank in the Underlying Index had three-year average total assets that represented less than 5% of the three-year average total assets held by all banks in the Dow Jones U.S. Bank Index. Components primarily include financial companies. The components of the Underlying Index, and the degree to which these components represent certain industries, may change over time.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||38.72|38.82|0.0|38.31|38.82|38.82|38.841|38.51|0.0|0.0|38.82|38.82|38.85|38.69|38.81|38.82|38.73|38.86|38.72|38.86|38.81|38.86|36.07|41.23|38.84|38.85|38.81|38.86|38.63|39.04|38.84|38.85|53.9207|28.8|245873|123546684 6933|IAU|IAU|464285204|US4642852044|iShares Gold Trust|Shares of the iShares Gold Trust|Trust|ETV|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-1|TXN1-2|TXN6-6|TXN3-6|TXN2-5|672800000|||NotApplicable|||||2008-12-02|2045-01-18|IAU.NV|IAU.SO| | |IAU.IV| | | | | | | | | |1x|The objective of the trust is for the value of the Shares to reflect, at any given time, the price of gold owned by the trust at that time, less the trusts expenses and liabilities. The trust is not actively managed.It does not engage in any activities designed to obtain a profit from, or to ameliorate losses caused by, changes in the price of gold. The trust receives gold deposited with it in exchange for the creation ofBaskets of Shares, sells gold as necessary to cover the trust expenses and other liabilities and delivers gold in exchange for Baskets of Shares surrendered to it for redemption.|N|0|N|N|416A|USA|US|COMMODITIES_AND_FUTURES|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||38.36|38.355|0.0|38.3|38.36|38.355|38.365|38.355|0.0|0.0|38.36|38.37|38.355|38.375|38.37|38.38|38.37|38.37|38.36|38.37|38.35|38.37|38.33|38.38|38.35|38.36|38.35|38.37|38.31|38.37|38.35|38.36|39.29|33.5|10871865|1212278955 61099|IAUF|IAUF|46431W614|US46431W6140|iShares U.S. ETF Trust - iShares Gold Strategy ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-8|TXN3-6|TXN5-8|TXN2-8|TXN2-7|850000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||0.0|60.6051|0.0|0.0|0.0|61.67|60.57|60.57|0.0|0.0|0.0|0.0|0.0|0.0|0.0|60.57|0.0|60.6051|0.0|60.6051|60.32|60.8|60.43|60.72|60.4|60.72|60.42|60.72|60.42|60.71|60.43|60.71|61.95|53.35|3327|1751112 70991|IAUM|IAUM|46436F103|US46436F1030|iShares Gold Trust Micro|Shares representing units of fractional undivided beneficial interest in the net assets of the Trust|Trust|ETV|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-2|TXN4-6|TXN1-3|TXN4-6|TXN4-3|47450000|||NotApplicable|||||2021-06-29||IAUM.NV|IAUM.SO|IAUM.EU|IAUM.TC|IAUM.IV| | | | | | | | | |1x|The iShares Gold Trust Micro (the Trust) issues shares (Shares) representing fractional undivided beneficial interests in its net assets. The assets of theTrust consist primarily of gold held by a custodian on behalf of the Trust. The Trust seeks to reflect generally the performance of the price of gold. The Trustseeks to reflect such performance before payment of the Trusts expenses and liabilities.|N|0|N|N|408A|USA|US|COMMODITIES_AND_FUTURES|INDEX|||||||||N||N||||||N|0|Y||Y|1|||20.32|20.22|0.0|0.0|20.25|20.235|20.245|20.235|0.0|0.0|20.24|20.24|20.23|0.0|20.21|20.25|20.22|20.24|20.47|20.24|20.22|20.24|20.22|20.24|20.22|20.24|20.22|20.24|20.2|20.24|20.22|20.24|20.71|17.64|1374330|96175244 74061|IAUX|IAUX|44955L106|CA44955L1067|i-80 Gold Corp.|Common Shares|Operating company|A|N|Y|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-8|TXN3-8|TXN6-8|TXN2-7|TXN3-8|298500000|||NotApplicable|||||2022-05-19||||||| | | | | | | | | |||N|0|N|N|130C|USA|CA|||55|5510|551030|55103025|Basic Materials|Basic Resources|Precious Metals and Mining|Gold Mining|N||N||||||N|0|Y||Y|2|||1.66|1.66|0.0|1.65|1.67|1.665|1.66|1.655|0.0|0.0|1.66|1.66|1.665|1.67|1.65|1.66|1.67|1.67|1.66|1.67|1.63|1.66|1.65|1.66|1.64|1.66|1.63|1.69|1.65|1.7|1.65|1.66|3.18|1.25|3369749|341218475 6936|IBB|IBB|464287556|US4642875565|iShares Biotechnology ETF|BIOTECHNOLOGY INDEX||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN6-3|TXN14-7|TXN5-8|TXN6-6|54200000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||123.425|123.375|0.0|122.91|123.42|123.375|123.36|123.37|0.0|0.0|123.41|123.4|123.39|123.4|123.25|123.405|123.37|123.39|123.42|123.39|123.14|123.62|114.4|130.82|123.15|123.62|116.72|129.03|0.0|0.0|123.37|123.39|138.258|111.83|1604674|382975502 70836|IBBQ|IBBQ|46138G599|US46138G5999|Invesco Nasdaq Biotechnology ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN5-7|TXN14-8|TXN6-3|TXN6-3|840000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||19.87|19.85|0.0|0.0|0.0|0.0|19.85|0.0|0.0|0.0|0.0|0.0|19.83|0.0|0.0|0.0|0.0|19.87|0.0|19.83|19.82|19.91|0.0|0.0|19.85|19.87|0.0|0.0|0.0|0.0|19.85|19.87|22.1199|18.18|10044|1692787 1940|IBCP|IBCP|453838609|US4538386099|Independent Bank Corp|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN5-3|TXN11-2|TXN5-2|TXN5-5|20840000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||||||0.0|22.87|0.0|0.0|22.86|22.88|22.88|22.89|0.0|0.0|22.87|22.84|22.89|22.8|0.0|22.79|0.0|22.86|0.0|22.89|22.62|23.12|17.57|27.59|22.62|23.09|22.78|22.98|22.75|22.98|22.84|22.89|24.73|14.9|61839|18464514 59099|IBD|IBD|66538H633|US66538H6339|Northern Lights Fund Trust IV|Inspire Corporate Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Ultimus Fund Solutions (Inspire)|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-6|TXN4-7|TXN5-8|TXN2-3|TXN2-2|10100000|||Monthly|||||2017-07-11||IBD.NV|IBD.SO|IBD.EU|IBD.TC|IBD.IV| | | | | | | | | |1x|The Corporate Bond Impact Index selects domestic corporate bonds issues by large capitalization companies included in the S&P 500 Investment Grade Corporate Bond Index unsing the index providers Inspire Impact Score. The methodology uses the score to remove securities that has any degree of participation in activities that do not align with biblical values. |N|0|N|N|416A|USA|US|FIXED_INCOME|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|23.13|0.0|0.0|0.0|23.14|23.12|23.12|0.0|0.0|0.0|0.0|23.16|23.13|0.0|0.0|0.0|23.12|22.87|23.12|0.0|0.0|0.0|0.0|23.09|23.14|0.0|0.0|0.0|0.0|23.1|23.14|23.72|21.9511|42113|14994821 49498|IBDO|IBDO|46434VAX8|US46434VAX82|iShares Trust|iShares iBonds Dec 2023 Term Corporate ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-5|TXN2-7|TXN3-8|TXN2-4|TXN1-8|64250000|||Monthly|||||2015-03-12||IBDO.NV|IBDO.SO|IBDO.EU|IBDO.TC|IBDO.IV| | | | | | | | | |1x|The iShares iBonds Dec 2023 Term Corporate ETF (the Fund) seeks to track the investment results of an index composed of U.S. dollar-denominated, investmentgrade corporate bonds maturing in 2023.|N|0|N|N|412C|USA|US|FIXED_INCOME|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||25.28|25.285|0.0|0.0|25.28|25.285|25.285|25.29|0.0|0.0|25.29|25.29|25.29|25.28|25.29|25.285|25.29|25.28|25.285|25.28|25.28|25.3|25.25|25.33|25.28|25.3|25.25|25.33|25.25|25.33|25.28|25.3|25.4|24.96|1272206|116106189 49499|IBDP|IBDP|46434VBG4|US46434VBG41|iShares Trust|iShares iBonds Dec 2024 Term Corporate ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-8|TXN4-5|TXN7-8|TXN4-2|TXN1-2|107200000|||Monthly|||||2015-03-12||IBDP.NV|IBDP.SO|IBDP.EU|IBDP.TC|IBDP.IV| | | | | | | | | |1x|The iShares iBonds Dec 2024 Term Corporate ETF (the Fund) seeks to track the investment results of an index composed of U.S. dollar-denominated, investmentgrade corporate bonds maturing in 2024.|N|0|N|N|412C|USA|US|FIXED_INCOME|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||24.84|24.835|0.0|0.0|24.83|24.835|24.83|24.835|0.0|0.0|24.83|24.84|24.835|24.835|24.84|24.835|24.84|24.83|24.835|24.83|24.81|24.84|24.78|24.86|24.83|24.84|24.78|24.86|24.78|24.86|24.83|24.84|24.89|24.37|679162|118168141 49500|IBDQ|IBDQ|46434VBD1|US46434VBD10|iShares Trust|iShares iBonds Dec 2025 Term Corporate ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-4|TXN3-8|TXN4-8|TXN3-2|TXN2-3|93000000|||Monthly|||||2015-03-12||IBDQ.NV|IBDQ.SO|IBDQ.EU|IBDQ.TC|IBDQ.IV| | | | | | | | | |1x|The iShares iBonds Dec 2025 Term Corporate ETF (the Fund) seeks to track the investment results of an index composed of U.S. dollar-denominated, investmentgrade corporate bonds maturing in 2025.|N|0|N|N|412C|USA|US|FIXED_INCOME|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||24.59|24.58|0.0|0.0|24.59|24.585|24.58|24.58|0.0|0.0|24.585|24.58|24.585|24.59|24.585|24.585|0.0|24.58|24.585|24.58|24.58|24.6|24.54|24.62|24.58|24.59|24.54|24.62|24.54|24.62|24.58|24.59|24.67|24.13|497156|97228017 53890|IBDR|IBDR|46435GAA0|US46435GAA04|iShares Trust|iShares iBonds Dec 2026 Term Corporate ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-3|TXN1-6|TXN9-5|TXN3-5|TXN3-6|82350000|||Monthly|||||2016-09-15||IBDR.NV|IBDR.SO|IBDR.EU|IBDR.TC|IBDR.IV| | | | | | | | | |1x|The iShares iBonds Dec 2026 Term Corporate ETF seeks to provide exposure to investment grade corporate securites around a single maturity year. The new fund will continue to provide a full ten year corporate ladder for the corporate iBonds December series. The Barclays December 2026 Maturity Corporate Index is designed to reflect the performance of U.S. dollar denominated, taxable, investment grade corporate bonds scheduled to mature after December 31, 2025 and before January 1, 2027|N|0|N|N|412C|USA|US|FIXED_INCOME|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||23.64|23.63|0.0|23.64|23.63|23.635|23.63|23.64|0.0|0.0|23.64|23.64|23.63|23.635|23.635|23.635|23.64|23.64|23.64|23.64|23.6|23.66|23.59|23.66|23.63|23.64|23.58|23.66|23.58|23.66|23.63|23.64|23.905|23.1168|702310|89253212 59556|IBDS|IBDS|46435UAA9|US46435UAA97|iShares Trust|iShares iBonds Dec 2027 Term Corporate ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN2-6|TXN5-8|TXN1-3|TXN2-2|68600000|||Monthly|||||2017-09-14||IBDS.NV|IBDS.SO|IBDS.EU|IBDS.TC|IBDS.IV| | | | | | | | | |1x|The iShares iBonds Dec 2027 Term Corporate ETF seeks to provide exposure to investment grade corporate securites around a single maturity year. The new fund will continue to provide a full ten year corporate ladder for the corporate iBonds December series. The Barclays December 2027 Maturity Corporate Index is designed to reflect the performance of U.S. dollar denominated, taxable, investment grade corporate bonds scheduled to mature after December 31, 2026 and before January 1, 2028|N|0|N|N|412C|USA|US|FIXED_INCOME|INDEX|||||||||N||N||||||N|0|Y||Y|1|||23.56|23.56|0.0|0.0|23.56|23.565|23.566|23.57|0.0|0.0|23.56|0.0|23.565|23.56|23.56|23.56|0.0|23.58|23.56|23.58|23.56|23.6|23.49|23.6|23.56|23.57|23.49|23.6|23.49|23.6|23.56|23.57|24.14|22.8|382632|76295628 61798|IBDT|IBDT|46435U515|US46435U5157|iShares Trust|iShares iBonds Dec 2028 Term Corporate ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-4|TXN2-1|TXN7-8|TXN3-4|TXN2-6|52150000|||Monthly|||||2018-09-20||IBDT.NV|IBDT.SO|IBDT.EU|IBDT.TC|IBDT.IV| | | | | | | | | |1x|The fund seeks to track the investment results of the Bloomberg Barclays December 2028 Maturity Corporate Index, which is designed to reflect the performance of U.S. dollar denominated, taxable, investment grade corporate bonds scheduled to mature after December 31, 2027 and before January 1, 2029. The fund will terminate on or about December 31, 2028|N|0|N|N|412C|USA|US|FIXED_INCOME|INDEX|||||||||N||N||||||N|0|Y||Y|1|||24.57|24.6|0.0|0.0|24.6|24.595|24.6|24.6|0.0|0.0|24.58|0.0|24.595|24.6|24.58|24.595|0.0|24.58|24.6|24.58|24.54|24.63|24.51|24.62|24.59|24.6|24.51|24.63|24.51|24.62|24.59|24.6|25.92|23.6202|378820|56510337 64616|IBDU|IBDU|46436E205|US46436E2054|iShares Trust|iShares iBonds Dec 2029 Term Corporate ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-7|TXN4-6|TXN9-6|TXN2-2|TXN2-7|35650000|||Monthly|||||2019-09-19||IBDU.NV|IBDU.SO|IBDU.EU|IBDU.TC|IBDU.IV| | | | | | | | | |1x|The iShares iBonds Dec 2029 Term Corporate ETF (the Fund) seeks to track the investment results of an index composed of U.S. dollar-denominated, investment-grade corporate bonds maturing in 2029.The Fund seeks to meet its investment objective generally by investing in component securities of the Bloomberg Barclays December 2029 Maturity Corporate Index (the Underlying Index). |N|0|N|N|412C|USA|US|FIXED_INCOME|INDEX|||||||||N||N||||||N|0|Y||Y|1|||22.5|22.5|0.0|0.0|22.5|22.475|22.5|22.5|0.0|0.0|22.5|22.52|22.5|22.5|22.5|22.47|22.5|22.5|22.47|22.5|22.48|22.53|22.43|22.53|22.48|22.5|22.42|22.53|22.42|22.53|22.48|22.5|23.8514|21.41|339930|37718101 66834|IBDV|IBDV|46436E726|US46436E7269|iShares Trust|iShares iBonds Dec 2030 Term Corporate ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-1|TXN2-8|TXN9-4|TXN3-7|TXN1-6|30850000|||Monthly|||||2020-06-25||IBDV.NV|IBDV.SO|IBDV.EU|IBDV.TC|IBDV.IV| | | | | | | | | |1x|The iShares iBonds Dec 2030 Term Corporate ETF seeks to track the investment results of an index composed of U.S. dollar-denominated, investment-grade corporate bonds maturing in 2030.|N|0|N|N|412C|USA|US|FIXED_INCOME|INDEX|||||||||N||N||||||N|0|Y||Y|1|||21.0|21.03|0.0|0.0|21.01|20.99|21.03|20.995|0.0|0.0|21.01|0.0|21.005|21.035|0.0|21.0|0.0|21.06|20.995|21.06|20.96|21.06|20.96|21.1|21.03|21.06|20.95|22.36|20.96|21.1|21.03|21.04|21.92|19.82|194289|35278251 70953|IBDW|IBDW|46436E486|US46436E4860|iShares Trust|iShares iBonds Dec 2031 Term Corporate ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-5|TXN3-1|TXN7-8|TXN4-7|TXN2-4|28550000|||Monthly|||||2021-06-24||IBDW.NV|IBDW.SO|IBDW.EU|IBDW.TC|IBDW.IV| | | | | | | | | |1x|The iShares iBonds Dec 2031 Term Corporate ETF seeks to track the investment results of an index composed of U.S. dollar-denominated, investment-grade corporate bonds maturing in 2031.|N|0|N|N|412C|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|1|||20.04|20.035|0.0|0.0|20.07|20.035|20.07|20.07|0.0|0.0|20.06|0.0|20.07|20.07|0.0|20.08|0.0|20.09|20.04|20.09|20.04|20.28|20.0|20.14|20.04|20.09|19.99|21.38|20.0|20.14|20.04|20.1|21.15|18.775|413026|35442750 74228|IBDX|IBDX|46436E312|US46436E3128|iShares Trust|iShares iBonds Dec 2032 Term Corporate ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-5|TXN1-2|TXN1-5|TXN1-2|TXN3-6|15500000|||Monthly|||||2022-06-30||IBDX.NV|IBDX.SO|IBDX.EU|IBDX.TC|IBDX.IV| | | | | | | | | |1x|The Bloomberg Barclays December 2032 Maturity Corporate Index is a targeted maturity benchmark that measures the performance of U.S. dollar denominated, taxable, investment-grade corporate bonds scheduled to mature between January 1, 2032 and December 15, 2032, inclusive.|N|0|N|N|412C|USA|US|FIXED_INCOME|INDEX|||||||||N||N||||||N|0|Y||Y|2|||24.29|24.36|0.0|0.0|24.36|24.32|24.35|24.32|0.0|0.0|24.32|24.277905|24.34|24.339|24.4|24.46|0.0|24.41|24.31|24.41|24.26|24.61|24.26|30.33|24.32|24.37|24.26|26.09|24.26|24.44|24.26|24.37|25.65|22.67|105026|19454086 75914|IBDY|IBDY|46436E130|US46436E1304|iShares Trust|iShares iBonds Dec 2033 Term Corporate ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-8|TXN2-8|TXN6-8|TXN3-4|TXN2-6|6750000|||Monthly|||||2023-06-23||IBDY.NV|IBDY.SO|IBDY.EU|IBDY.TC|IBDY.IV| | | | | | | | | |1x|The Bloomberg Barclays December 2033 Maturity Corporate Index is composed of U.S. dollar-denominated, taxable, investment-grade corporate bonds scheduled to mature between January 1, 2033 and December 15, 2033, inclusive.|N|0|N|N|412C|USA|US|FIXED_INCOME|INDEX|||||||||N||N||||||N|0|Y||Y|2|||25.04|24.93|0.0|0.0|24.95|24.96|24.9501|24.94|0.0|0.0|25.04|25.04|25.04|24.95|0.0|24.93|0.0|25.01|24.94|25.01|24.69|25.24|24.89|31.0|24.95|25.01|24.88|25.1|24.89|25.1|24.95|25.01|25.58|23.18|56672|7519442 67171|IBEX|IBEX|G4690M101|BMG4690M1010|Ibex Ltd|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN5-1|TXN11-4|TXN6-7|TXN6-8|17940000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502050|50205020|Industrials|Industrial Goods and Services|Industrial Support Services|Professional Business Support Services|N||N||||||N|0|Y||||||18.42|18.14|0.0|18.36|18.15|18.35|18.18|18.12|0.0|0.0|0.0|0.0|18.11|18.3|18.31|18.16|0.0|18.12|18.42|18.11|17.91|18.41|13.97|22.49|17.97|18.26|18.03|18.22|18.04|18.15|18.14|18.15|31.395|11.4474|112209|21625352 63587|IBHC|IBHC|46435U150|US46435U1503|iShares Trust - iShares iBonds 2023 Term High Yield and Income ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-8|TXN4-4|TXN7-8|TXN1-7|TXN2-4|6600000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||23.54|23.54|0.0|0.0|23.54|23.55|23.54|23.54|0.0|0.0|0.0|0.0|0.0|23.54|0.0|0.0|0.0|23.54|23.54|23.54|18.23|28.94|18.23|28.94|23.42|23.71|18.23|28.94|0.0|0.0|23.52|28.94|23.78|23.315|15461|11667155 63588|IBHD|IBHD|46435U184|US46435U1842|iShares Trust - iShares iBonds 2024 Term High Yield and Income ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-8|TXN4-2|TXN3-8|TXN1-6|TXN1-2|19700000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||23.13|23.2|0.0|23.14|23.15|23.15|23.15|23.155|0.0|0.0|23.15|0.0|23.15|23.15|23.15|23.13|0.0|23.2|0.0|23.2|21.68|24.74|21.68|24.74|23.0|23.32|21.68|24.74|0.0|0.0|23.12|23.2|23.82|22.47|204964|36411779 63589|IBHE|IBHE|46435U168|US46435U1685|iShares Trust - iShares iBonds 2025 Term High Yield and Income ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-5|TXN4-3|TXN2-8|TXN1-8|TXN1-8|12900000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||23.05|23.05|0.0|0.0|23.05|23.03|22.991|23.045|0.0|23.02|23.05|23.08|23.02|23.01|23.03|23.03|23.01|23.05|22.99|23.05|17.67|28.27|17.67|28.27|22.87|23.22|17.67|28.27|0.0|0.0|17.73|28.13|23.88|22.21|111625|22919037 68122|IBHF|IBHF|46436E528|US46436E5289|iShares iBonds 2026 Term High Yield and Income ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-3|TXN3-8|TXN7-8|TXN4-4|TXN2-5|8800000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||22.74|22.75|0.0|0.0|22.77|22.78|22.74|22.74|0.0|22.75|22.73|22.75|22.75|22.76|22.75|22.78|22.77|22.75|22.73|22.75|17.51|27.99|17.51|27.99|22.74|23.0|22.71|22.98|22.74|22.97|22.74|22.99|23.38|22.0617|150209|12817772 71110|IBHG|IBHG|46436E478|US46436E4787|iShares iBonds 2027 Term High Yield and Income ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-8|TXN1-5|TXN4-8|TXN1-2|TXN3-4|2700000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||21.93|21.89|0.0|0.0|21.93|21.93|21.89|21.93|0.0|0.0|21.91|0.0|21.89|21.94|0.0|21.93|0.0|21.89|22.03|21.89|0.0|0.0|0.0|0.0|21.84|22.12|0.0|0.0|0.0|0.0|21.84|21.94|24.16|20.96|23914|3988258 73662|IBHH|IBHH|46436E387|US46436E3870|iShares iBonds 2028 Term High Yield and Income ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-7|TXN2-6|TXN9-8|TXN2-2|TXN3-4|1600000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||22.85|22.95|0.0|0.0|22.85|22.9|22.93|22.95|0.0|0.0|22.85|22.96|22.85|22.86|0.0|22.91|0.0|22.95|22.91|22.95|17.59|28.1|17.59|28.1|22.84|23.09|17.59|28.1|0.0|0.0|22.84|22.92|23.1942|21.555|103291|2270369 73663|IBHI|IBHI|46436E379|US46436E3797|iShares iBonds 2029 Term High Yield and Income ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN2-5|TXN1-5|TXN3-6|TXN3-4|600000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|22.515|0.0|0.0|22.56|22.52|22.5264|0.0|0.0|0.0|0.0|0.0|0.0|22.56|0.0|0.0|0.0|22.515|22.56|22.515|0.0|0.0|0.0|0.0|22.45|22.73|0.0|0.0|0.0|0.0|22.45|22.58|22.97|21.1627|6922|1235860 75913|IBHJ|IBHJ|46436E122|US46436E1221|iShares iBonds 2030 Term High Yield and Income ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-7|TXN3-3|TXN9-8|TXN3-1|TXN3-4|500000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||25.49|25.4755|0.0|0.0|25.49|25.47|25.4672|25.52|0.0|0.0|0.0|0.0|25.47|25.49|0.0|0.0|0.0|25.4755|25.49|25.4755|0.0|0.0|0.0|0.0|25.25|25.71|0.0|0.0|0.0|0.0|25.42|25.54|25.57|23.8554|10866|481266 76298|IBIA|IBIA|46438G307|US46438G3074|iShares Trust|iShares iBonds Oct 2024 Term TIPS ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-8|TXN2-7|TXN1-5|TXN4-5|TXN3-3|200000|||Quarterly|||||2023-09-15||IBIA.NV|IBIA.SO|IBIA.EU|IBIA.TC|IBIA.IV| | | | | | | | | |1x|The iShares iBonds Oct 2024 Term TIPS ETF seeks to track the investment results of an index composed of inflation protected U.S. Treasury bonds maturing in 2024.|N|0|N|N|412C|USA|US|FIXED_INCOME|INDEX|||||||||N||N||||||N|0|Y||Y|2|||25.325|0.0|0.0|0.0|25.325|0.0|25.325|25.325|0.0|0.0|0.0|0.0|0.0|25.325|0.0|0.0|0.0|25.33|0.0|25.33|25.29|25.34|0.0|0.0|25.32|25.34|25.28|25.34|0.0|0.0|25.32|25.34|25.34|25.015|5035|298081 76299|IBIB|IBIB|46438G406|US46438G4064|iShares Trust|iShares iBonds Oct 2025 Term TIPS ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-4|TXN4-3|TXN8-8|TXN4-5|TXN3-3|200000|||Quarterly|||||2023-09-15||IBIB.NV|IBIB.SO|IBIB.EU|IBIB.TC|IBIB.IV| | | | | | | | | |1x|The iShares iBonds Oct 2025 Term TIPS ETF seeks to track the investment results of an index composed of inflation protected U.S. Treasury bonds maturing in 2025.|N|0|N|N|412C|USA|US|FIXED_INCOME|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|25.29|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|25.29|0.0|25.29|25.28|25.3|0.0|0.0|25.28|25.3|25.28|25.3|0.0|0.0|25.28|25.3|25.3287|24.905|2383|239786 76300|IBIC|IBIC|46438G505|US46438G5053|iShares Trust|iShares iBonds Oct 2026 Term TIPS ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-7|TXN4-1|TXN1-8|TXN1-2|TXN3-3|250000|||Quarterly|||||2023-09-15||IBIC.NV|IBIC.SO|IBIC.EU|IBIC.TC|IBIC.IV| | | | | | | | | |1x|The iShares iBonds Oct 2026 Term TIPS ETF seeks to track the investment results of an index composed of inflation protected U.S. Treasury bonds maturing in 2026.|N|0|N|N|412C|USA|US|FIXED_INCOME|INDEX|||||||||N||N||||||N|0|Y||Y|2|||25.32|25.32|0.0|0.0|25.32|25.32|25.3155|0.0|0.0|0.0|25.32|25.32|25.32|25.32|0.0|25.32|0.0|25.33|25.33|25.33|25.31|25.33|0.0|0.0|25.31|25.33|25.29|25.33|0.0|0.0|25.31|25.33|25.3698|24.775|5408|261498 76301|IBID|IBID|46438G604|US46438G6044|iShares Trust|iShares iBonds Oct 2027 Term TIPS ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-8|TXN2-4|TXN6-8|TXN3-7|TXN3-3|200000|||Quarterly|||||2023-09-15||IBID.NV|IBID.SO|IBID.EU|IBID.TC|IBID.IV| | | | | | | | | |1x|The iShares iBonds Oct 2027 Term TIPS ETF seeks to track the investment results of an index composed of inflation protected U.S. Treasury bonds maturing in 2027.|N|0|N|N|412C|USA|US|FIXED_INCOME|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|25.31|25.3098|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|25.305|0.0|25.305|25.29|25.32|0.0|0.0|25.29|25.32|25.29|25.32|0.0|0.0|25.29|25.32|26.15|24.67|5016|273915 76302|IBIE|IBIE|46438G703|US46438G7034|iShares Trust|iShares iBonds Oct 2028 Term TIPS ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-5|TXN1-2|TXN9-8|TXN2-3|TXN3-3|300000|||Quarterly|||||2023-09-15||IBIE.NV|IBIE.SO|IBIE.EU|IBIE.TC|IBIE.IV| | | | | | | | | |1x|The iShares iBonds Oct 2028 Term TIPS ETF seeks to track the investment results of an index composed of inflation protected U.S. Treasury bonds maturing in 2028.|N|0|N|N|412C|USA|US|FIXED_INCOME|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|25.24|25.25|25.2418|0.0|0.0|0.0|0.0|0.0|0.0|25.24|0.0|0.0|0.0|25.265|0.0|25.265|25.24|25.27|19.3|30.96|25.26|25.27|25.24|25.28|0.0|0.0|25.26|25.27|25.79|24.5788|7047|440805 76341|IBIF|IBIF|46438G802|US46438G8024|iShares Trust|iShares iBonds Oct 2029 Term TIPS ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-7|TXN1-6|TXN6-8|TXN2-7|TXN3-3|200000|||Quarterly|||||2023-09-21||IBIF.NV|IBIF.SO|IBIF.EU|IBIF.TC|IBIF.IV| | | | | | | | | |1x|The iShares iBonds Oct 2029 Term TIPS ETF seeks to track the investment results of an index composed of inflation protected U.S. Treasury bonds maturing in 2029.|N|0|N|N|412C|USA|US|FIXED_INCOME|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|25.32|25.38|0.0|0.0|0.0|0.0|0.0|0.0|25.41|0.0|0.0|25.35|25.35|25.35|25.32|25.35|0.0|0.0|25.34|25.35|25.32|25.35|0.0|0.0|25.34|25.35|25.4314|24.5472|5546|188783 76342|IBIG|IBIG|46438G885|US46438G8859|iShares Trust|iShares iBonds Oct 2030 Term TIPS ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-8|TXN3-2|TXN7-8|TXN1-2|TXN3-3|150000|||Quarterly|||||2023-09-21||IBIG.NV|IBIG.SO|IBIG.EU|IBIG.TC|IBIG.IV| | | | | | | | | |1x|The iShares iBonds Oct 2030 Term TIPS ETF seeks to track the investment results of an index composed of inflation protected U.S. Treasury bonds maturing in 2030.|N|0|N|N|412C|USA|US|FIXED_INCOME|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|25.365|25.23|25.33|0.0|0.0|25.02|0.0|0.0|0.0|0.0|0.0|0.0|25.265|0.0|25.265|25.24|25.27|0.0|0.0|25.26|25.27|25.24|25.27|0.0|0.0|25.26|25.27|25.365|24.3505|3859|204986 76343|IBIH|IBIH|46438G877|US46438G8776|iShares Trust|iShares iBonds Oct 2031 Term TIPS ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-5|TXN3-2|TXN8-8|TXN2-8|TXN3-3|150000|||Quarterly|||||2023-09-21||IBIH.NV|IBIH.SO|IBIH.EU|IBIH.TC|IBIH.IV| | | | | | | | | |1x|The iShares iBonds Oct 2031Term TIPS ETF seeks to track the investment results of an index composed of inflation protected U.S. Treasury bonds maturing in 2031.|N|0|N|N|412C|USA|US|FIXED_INCOME|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|25.23|25.221|25.235|0.0|0.0|25.27|25.27|0.0|0.0|0.0|0.0|0.0|25.2479|25.0|25.2479|25.23|25.26|0.0|0.0|25.23|25.26|25.21|25.26|0.0|0.0|25.23|25.26|25.36|24.2349|7463|187363 76344|IBII|IBII|46438G869|US46438G8693|iShares Trust|iShares iBonds Oct 2032 Term TIPS ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-3|TXN1-2|TXN5-8|TXN2-8|TXN3-3|200000|||Quarterly|||||2023-09-21||IBII.NV|IBII.SO|IBII.EU|IBII.TC|IBII.IC| | | | | | | | | |1x|The iShares iBonds Oct 2032 Term TIPS ETF seeks to track the investment results of an index composed of inflation protected U.S. Treasury bonds maturing in 2032.|N|0|N|N|412C|USA|US|FIXED_INCOME|INDEX|||||||||N||N||||||N|0|Y||Y|2|||25.22|24.49|0.0|0.0|25.22|25.27|25.18|25.21|0.0|0.0|25.28|25.28|25.255|25.22|0.0|25.28|0.0|25.225|25.22|25.225|25.2|25.23|0.0|0.0|25.22|25.23|25.19|25.23|0.0|0.0|25.21|25.23|25.3401|24.1573|4672|142782 76345|IBIJ|IBIJ|46438G851|US46438G8511|iShares Trust|iShares iBonds Oct 2033 Term TIPS ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-5|TXN1-7|TXN1-8|TXN4-1|TXN3-3|200000|||Quarterly|||||2023-09-21||IBIJ.NV|IBIJ.SO|IBIJ.EU|IBIJ.TC|IBIJ.IV| | | | | | | | | |1x|The iShares iBonds Oct 2033 Term TIPS ETF seeks to track the investment results of an index composed of inflation protected U.S. Treasury bonds maturing in 2033.|N|0|N|N|412C|USA|US|FIXED_INCOME|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|25.17|25.13|25.18|0.0|0.0|0.0|0.0|0.0|0.0|0.0|25.31|0.0|25.18|25.32|25.18|25.15|25.18|0.0|0.0|25.15|25.18|25.14|25.18|0.0|0.0|25.15|25.18|25.32|24.05|4770|394042 28844|IBIO|IBIO|451033708|US4510337086|iBio Inc.|Common Stock|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||J. Streicher & Co. L.L.C.|JSCO|3856|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-5|TXN1-3|TXN8-8|TXN4-2|TXN3-5|1410000|||Monthly|||||2018-06-11||||||| | | | | | | | | |||N|0|N|N|310A|USA|US|||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y|C|Y|2|||2.65|2.67|0.0|0.0|2.65|2.68|2.668|2.68|0.0|0.0|2.67|2.67|2.67|2.71|4.0037|2.71|2.7|2.7|3.065|2.7|2.53|2.81|2.66|2.7|2.63|2.75|2.58|2.77|2.55|2.8|2.66|2.7|4.4899|0.2|570443|304765895 24470|IBKR|IBKR|45841N107|US45841N1072|Interactive Brokers Group Inc|CL A COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN5-6|TXN12-6|TXN6-3|TXN6-4|107020000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||USA||||30|3020|302020|30202015|Financials|Financial Services |Investment Banking and Brokerage Services |Investment Services|N||N||||||Y|0|Y||||||78.91|79.235|0.0|79.0|79.22|79.23|79.24|79.24|0.0|0.0|79.27|79.27|79.24|79.24|79.4|79.29|79.23|79.24|78.905|79.24|79.16|79.3|73.69|84.02|79.15|79.27|79.16|79.31|79.19|0.0|79.22|79.24|95.59|68.23|1306444|239940316 73946|IBLC|IBLC|46436E361|US46436E3615|iShares Trust|iShares Blockchain and Tech ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-4|TXN4-2|TXN7-5|TXN1-8|TXN3-4|500000|||BiAnnually|||||2022-04-27||IBLC.NV|IBLC.SO|IBLC.EU|IBLC.TC|IBLC.NV| | | | | | | | | ||The iShares Blockchain and Tech ETF seeks to track the investment results of an index composed of U.S. and non-U.S. companies that are involved in the development, innovation, and utilization of blockchain and crypto technologies.|N|0|N|N|412C|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||23.37|23.37|0.0|0.0|23.37|23.76|23.662|23.37|0.0|0.0|20.61|0.0|23.62|23.37|0.0|23.37|0.0|23.662|0.0|23.662|0.0|0.0|0.0|0.0|23.62|23.68|0.0|0.0|0.0|0.0|23.62|23.68|25.33|9.389|30097|1912119 6940|IBM|IBM|459200101|US4592001014|International Business Machines Corporation|Capital Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-2|TXN4-8|TXN2-6|TXN2-8|TXN3-3|913120000|||Quarterly|||||1915-11-11||||||| | | | | | | | | |||Y|1|Y|Y|108A|USA|US|||10|1010|101010|10101010|Technology|Technology|Software and Computer Services|Computer Services|N||N||||||Y|0|Y||Y|1|||161.08|161.12|0.0|161.12|161.1|161.105|161.09|161.11|0.0|162.28|161.1|161.09|161.12|161.1|161.07|161.1|161.24|161.08|161.09|161.1|161.08|161.1|152.32|162.0|161.05|161.17|161.02|161.18|161.06|161.22|161.08|161.1|162.79|120.55|5779017|1037294643 60801|IBMM|IBMM|46435U697|US46435U6973|iShares Trust - iShares iBonds Dec 2024 Term Muni Bond ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN1-2|TXN7-8|TXN2-1|TXN2-6|19550000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|25.86|0.0|0.0|0.0|25.875|25.87|25.875|0.0|0.0|25.86|0.0|25.875|25.85|0.0|25.88|0.0|25.86|0.0|25.86|24.07|27.64|24.07|27.64|25.83|25.86|24.07|27.64|25.35|26.4|25.84|25.86|25.96|25.59|175037|23943680 62356|IBMN|IBMN|46435U432|US46435U4325|iShares Trust - iShares iBonds Dec 2025 Term Muni Bond ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-3|TXN2-6|TXN2-8|TXN3-6|TXN1-7|21200000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||26.45|26.46|0.0|0.0|26.46|26.46|26.465|26.46|0.0|0.0|26.45|26.45|26.46|26.47|26.45|26.46|26.45|26.46|26.445|26.46|24.66|28.23|24.66|28.23|26.44|26.47|24.66|28.23|25.91|26.98|26.44|26.47|26.72|25.9911|164077|18379404 63380|IBMO|IBMO|46435U259|US46435U2592|iShares Trust - iShares iBonds Dec 2026 Term Muni Bond ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-5|TXN4-6|TXN1-5|TXN2-7|TXN2-7|14900000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||25.35|25.33|0.0|0.0|25.34|25.345|25.33|25.34|0.0|0.0|25.34|0.0|25.34|25.35|0.0|25.345|25.33|25.33|0.0|25.33|19.48|31.2|19.48|31.2|25.33|25.35|19.48|31.2|24.8|25.84|25.33|25.35|25.68|24.67|85437|14878143 63423|IBMP|IBMP|46435U283|US46435U2832|iShares Trust - iShares iBonds Dec 2027 Term Muni Bond ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-1|TXN4-4|TXN5-8|TXN1-8|TXN3-3|13400000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||25.16|25.16|0.0|0.0|0.0|25.165|25.165|25.165|0.0|0.0|25.14|25.14|25.17|25.16|0.0|25.165|0.0|25.16|0.0|25.16|25.16|25.17|0.0|0.0|25.14|25.17|0.0|0.0|24.62|25.68|25.16|25.17|25.67|24.32|103471|12293033 63450|IBMQ|IBMQ|46435U325|US46435U3251|iShares Trust - iShares iBonds Dec 2028 Term Muni Bond ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN2-6|TXN8-8|TXN2-1|TXN1-3|10100000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||25.29|25.245|0.0|0.0|25.29|25.27|25.245|25.3|0.0|0.0|25.29|24.863219|25.245|25.3|25.3|25.29|25.265|25.245|25.265|25.245|19.43|31.06|19.43|31.06|25.24|25.31|19.43|31.06|0.0|0.0|25.24|25.25|25.83|24.2|74946|11292544 75686|IBMR|IBMR|46436E163|US46436E1635|iShares iBonds Dec 2029 Term Muni Bond ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-8|TXN4-2|TXN6-8|TXN1-2|TXN3-3|1150000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||25.06|25.05|0.0|0.0|25.05|25.06|25.11|25.02|0.0|0.0|25.02|23.630581|25.05|25.06|24.456752|25.06|0.0|25.05|0.0|25.05|0.0|0.0|0.0|0.0|25.04|25.1|0.0|0.0|0.0|0.0|25.0|25.1|25.11|23.61|75880|1743271 6941|IBN|IBN|45104G104|US45104G1040|ICICI Bank Limited|American Depositary Shares(Each representing 2 Equity Shares)|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-3|TXN4-8|TXN9-8|TXN4-8|TXN2-5|7009660000|||Yearly|||||2000-03-28||||||| | | | | | | | | |||N|0|N|Y|402A|IND|IN|||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||Y|2|||24.3|24.3|0.0|24.31|24.305|24.3|24.305|24.3|0.0|0.0|24.3|24.3|24.3|24.3|24.295|24.31|24.295|24.305|24.295|24.31|24.29|24.31|18.39|29.74|24.28|24.31|24.28|24.33|24.29|24.31|24.29|24.31|24.8|19.34|9780216|1158212699 32723|IBND|IBND|78464A151|US78464A1512|SPDR Series Trust|SPDR Bloomberg International Corporate Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-8|TXN3-2|TXN8-8|TXN3-1|TXN2-4|6950000|||Monthly|||||2010-05-20||IBND.NV|IBND.SO|IBND.EU|IBND.TC|IBND.IV| | | | | | | | | |1x|The SPDR Barclays Capital International Corporate Bond ETF seeks to provide investment results that, before fees and expenses, correspond generally to the price and yield performance of an index that tracks the investment-grade corporate sector of the global bond market outside of the United States. The Barclays Capital Global Aggregate ex-USD >$1B: Corporate Bond Index is designed to be a broad based measure of the global investment-grade, fixed rate, fixed income corporate markets outside the United States. The Index is part of the Barclays Capital Global ex-USD Aggregate Bond Index. The major components of the Aggregate Index are the Pan-European Aggregate and the Asian Pacific Aggregate Indices. The Aggregate Index also includes Euro-Dollar and Euro-Yen corporate bonds, Canadian government, agency and corporate securities. The securities in the Index must have a minimum $1 billion market capitalization outstanding and at least 1 year remaining to maturity and must reflect specified regional liquidity constraints. Securities must be fixed rate, although zero coupon bonds and step-ups are permitted. Additionally, securities must be rated investment grade (Baa3/BBB- or higher) by at least two of the rating agencies (Moodys Investor Service, Inc., Standard& Poors, Inc. and Fitch Inc.). Excluded from the Index are subordinated debts, convertible securities, floating-rate notes, fixed-rate perpetuals, warrants, linked bonds, structured products, and Swiss Franc denominated debt,. 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|||N|0|N|N||||||||||||||N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|279.72|497.28|0.0|0.0|0|0 1947|IBOC|IBOC|459044103|US4590441030|International Bancshares Corp|COM USD1||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN5-3|TXN14-1|TXN6-6|TXN6-6|62060000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||||||48.36|48.36|0.0|48.37|48.35|48.345|48.36|48.36|0.0|0.0|48.49|48.65|48.37|48.36|48.26|48.52|48.47|48.36|48.49|48.37|48.25|48.83|37.57|59.25|47.9|48.53|48.24|48.43|48.21|48.48|48.32|48.37|52.08|39.095|258759|53435797 75586|IBOT|IBOT|92189Y402|US92189Y4026|VanEck Robotics ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN5-6|TXN14-5|TXN5-5|TXN5-4|80000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|37.0306|0.0|0.0|0.0|0.0|0.0|37.14|0.0|0.0|0.0|0.0|37.0306|0.0|37.14|0.0|0.0|0.0|0.0|37.13|37.22|0.0|0.0|0.0|0.0|37.13|37.22|43.085|32.49|421|208795 43539|IBP|IBP|45780R101|US45780R1014|Installed Building Products, Inc.|Common stock, $0.01 par value per share|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|M|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN3-5|TXN2-8|TXN4-7|TXN1-2|28410000|||Quarterly|||||2014-02-13||||||| | | | | | | | | |||N|0|N|Y|110E|USA|US|||50|5010|501010|50101020|Industrials|Construction and Materials|Construction and Materials |Building, Roofing/Wallboard and Plumbing|N||N||||||Y|0|Y||Y|2|||155.93|155.13|0.0|155.1|155.17|155.14|155.16|155.16|0.0|0.0|155.0|155.16|155.22|155.21|150.32|155.1|154.93|155.11|150.51|155.1|155.1|155.11|121.29|188.62|153.85|156.71|154.82|155.5|154.8|155.53|155.1|155.11|158.18|83.38|204914|52179815 74535|IBRN|IBRN|46436E353|US46436E3532|iShares Trust|iShares Neuroscience and Healthcare ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN4-5|TXN3-8|TXN2-8|TXN3-3|200000|||BiAnnually|||||2022-08-26||IBRN.NV|IBRN.SO|IBRN.EU|IBRN.TC|IBRN.IV| | | | | | | | | ||The iShares Neuroscience and Healthcare ETF seeks to track the investment results of an index composed of U.S. and non-U.S. companies that could benefit from the growth and innovation in neuroscience.|N|0|N|N|412C|USA|US|EQUITY|ACTIVE|||||||||N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|21.23|21.1598|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|22.5043|0.0|22.5043|0.0|0.0|0.0|0.0|22.49|22.54|0.0|0.0|0.0|0.0|22.49|22.54|27.43|19.08|572|140096 50387|IBRX|IBRX|45256X103|US45256X1037|ImmunityBio Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN5-3|TXN11-5|TXN5-7|TXN5-6|667710000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||3.73|3.73|0.0|3.71|3.72|3.72|3.725|3.72|0.0|0.0|3.72|3.71|3.72|3.71|3.71|3.73|3.71|3.725|3.71|3.72|3.71|3.74|2.88|4.55|3.71|3.73|3.68|3.76|3.71|3.76|3.72|3.73|7.1|1.21|2895452|977275073 65694|IBTD|IBTD|46436E882|US46436E8820|iShares iBonds Dec 2023 Term Treasury ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN5-7|TXN10-8|TXN6-1|TXN5-4|81500000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||24.725|24.72|0.0|0.0|24.725|24.725|24.7283|24.725|0.0|0.0|24.725|0.0|24.73|24.72|0.0|24.725|0.0|24.725|24.72|24.73|24.72|24.73|24.72|24.76|24.72|24.73|24.72|24.74|24.72|24.76|24.72|24.73|24.85|24.65|11203383|191512817 65695|IBTE|IBTE|46436E874|US46436E8747|iShares iBonds Dec 2024 Term Treasury ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN6-5|TXN10-7|TXN5-8|TXN5-7|113850000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||23.82|23.82|0.0|0.0|23.82|23.825|23.8278|23.82|0.0|0.0|23.825|23.825|23.82|23.82|0.0|23.825|23.825|23.82|23.82|23.82|23.82|23.83|23.82|23.83|23.82|23.83|23.82|23.83|23.79|23.86|23.82|23.83|24.13|23.66|575210|155889979 65696|IBTF|IBTF|46436E866|US46436E8663|iShares iBonds Dec 2025 Term Treasury ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN6-6|TXN10-7|TXN5-6|TXN6-2|73100000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||23.155|23.165|0.0|0.0|23.155|23.16|23.155|23.16|0.0|0.0|23.16|23.16|23.17|23.15|0.0|23.16|0.0|23.165|23.16|23.17|23.15|23.17|23.13|23.17|23.16|23.17|23.15|23.17|23.13|23.17|23.16|23.17|23.7375|22.97|352053|97966389 65697|IBTG|IBTG|46436E858|US46436E8580|iShares iBonds Dec 2026 Term Treasury ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN6-3|TXN11-6|TXN5-8|TXN6-2|25300000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||22.665|22.66|0.0|0.0|22.66|22.655|22.6675|22.66|0.0|0.0|22.66|22.66|22.67|0.0|22.66|22.68|0.0|22.665|22.66|22.67|22.66|22.67|22.63|22.67|22.66|22.67|22.65|22.67|22.63|0.0|22.66|22.67|23.32|22.31|133812|33327525 65698|IBTH|IBTH|46436E841|US46436E8416|iShares iBonds Dec 2027 Term Treasury ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN6-8|TXN10-4|TXN5-5|TXN5-1|16100000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||22.11|22.1|0.0|0.0|22.11|22.1|22.105|22.11|0.0|0.0|22.1|22.105|22.1|22.11|22.09|22.11|0.0|22.11|22.11|22.1|22.1|22.11|22.1|27.08|22.1|22.11|22.1|22.12|22.07|22.13|22.1|22.11|22.98|21.58|164100|25429829 65699|IBTI|IBTI|46436E833|US46436E8333|iShares iBonds Dec 2028 Term Treasury ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN5-6|TXN13-3|TXN5-6|TXN5-4|12750000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||21.87|21.87|0.0|0.0|21.87|21.855|21.8638|0.0|0.0|0.0|21.85|21.85|21.865|0.0|21.85|21.85|0.0|21.87|0.0|21.865|21.86|21.87|21.86|21.89|21.86|21.87|21.86|21.88|21.86|21.9|21.86|21.87|22.849|21.21|187004|17292095 65700|IBTJ|IBTJ|46436E825|US46436E8259|iShares iBonds Dec 2029 Term Treasury ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN5-2|TXN13-2|TXN6-5|TXN5-6|6450000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||21.355|21.35|0.0|0.0|21.355|21.365|21.365|21.345|0.0|0.0|21.35|21.35|21.36|21.355|21.35|21.35|21.35|21.365|0.0|21.36|21.36|21.37|16.45|21.37|21.36|21.37|21.35|21.37|21.33|21.39|21.36|21.37|22.5|20.58|61238|7329951 66998|IBTK|IBTK|46436E593|US46436E5933|Ishares Ibonds Dec 2030 Term Treasury ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN6-1|TXN11-4|TXN6-8|TXN5-6|8450000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|19.24|0.0|0.0|0.0|19.26|19.2601|19.26|0.0|0.0|19.26|19.26|19.25|19.24|0.0|19.26|0.0|19.2601|0.0|19.25|19.25|19.27|19.25|19.27|19.25|19.27|19.25|19.27|19.25|19.27|19.25|19.27|20.52|18.455|45995|16385755 71156|IBTL|IBTL|46436E460|US46436E4605|iShares iBonds Dec 2031 Term Treasury ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN6-3|TXN13-6|TXN5-8|TXN6-6|7550000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||19.96|19.99|0.0|0.0|0.0|19.97|19.99|19.98|0.0|0.0|19.97|0.0|19.99|19.96|0.0|0.0|0.0|19.99|0.0|19.99|19.99|20.0|19.99|20.04|19.99|20.0|19.99|20.01|0.0|0.0|19.99|20.0|21.51|19.02|37776|13969277 74255|IBTM|IBTM|46436E296|US46436E2963|iShares iBonds Dec 2032 Term Treasury ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN5-4|TXN12-3|TXN6-5|TXN6-1|7350000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||22.45|0.0|0.0|0.0|22.46|0.0|22.4537|22.41|0.0|0.0|22.42|22.42|22.45|0.0|0.0|0.0|0.0|22.46|0.0|22.45|22.45|22.54|22.45|22.53|22.45|22.46|22.44|22.54|22.42|22.54|22.45|22.46|24.23|21.3192|123552|12588411 75962|IBTO|IBTO|46436E148|US46436E1486|iShares iBonds Dec 2033 Term Treasury ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN6-1|TXN11-2|TXN5-1|TXN5-1|4300000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||24.06|0.0|0.0|0.0|24.05|24.085|24.085|24.085|0.0|0.0|24.06|24.06|24.085|24.06|0.0|24.06|0.0|24.085|24.09|24.085|24.08|24.09|18.65|29.52|24.08|24.09|24.06|24.1|0.0|0.0|24.08|24.09|25.105|22.81|23592|5039677 41741|IBTX|IBTX|45384B106|US45384B1061|Independent Bank Group Inc|COM 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ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN3-6|TXN2-4|TXN3-2|TXN3-2|20150000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||75.14|75.1|0.0|0.0|75.15|75.14|75.135|75.14|0.0|0.0|75.14|75.14|75.13|75.14|75.14|75.14|0.0|75.1|75.14|75.1|75.1|75.14|70.0|80.08|75.1|75.14|75.1|75.15|73.63|76.84|75.1|75.14|78.63|68.81|276892|73880623 71280|ICVX|ICVX|45114M109|US45114M1099|Icosavax Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN6-3|TXN14-1|TXN6-3|TXN6-8|50090000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||11.02|11.08|0.0|11.09|11.08|11.09|11.11|11.09|0.0|0.0|11.08|11.04|11.12|11.02|11.24|11.1|10.98|11.09|11.0|11.12|10.89|11.43|8.43|13.7|10.89|11.33|11.04|11.16|11.09|11.17|11.09|11.12|16.45|3.12|352782|54261036 60195|ID|ID|702141102|US7021411027|PARTS iD, Inc|Class A common stock|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN11-3|TXN3-8|TXN3-8|TXN1-2|TXN4-3|35100000|||NotApplicable|||||2020-11-23||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||40|4040|404010|40401030|Consumer Discretionary|Retail |Retailers |Specialty Retailers |N||N||||||N|4|Y||Y|2|||0.092|0.091|0.0|0.0|0.093|0.09|0.090101|0.09|0.0|0.0|0.0905|0.0926|0.0905|0.0918|0.0|0.0926|0.0889|0.0889|0.095|0.0889|0.0712|0.1124|0.091|0.094|0.0863|0.094|0.0712|0.1124|0.087|0.092|0.091|0.094|1.26|0.073|6172114|126257596 6950|IDA|IDA|451107106|US4511071064|IDACORP, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|A|Citadel Securities 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Standard & Poors (the Index Provider) compiles, maintains and calculates the Underlying Index, which is designed to measure the performance of 200 of the least volatile stocks of the S&P Developed ex. US and South Korea LargeMid Cap BMI Index.|N|0|N|N|406C|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|1|||0.0|27.13|0.0|0.0|27.14|27.14|27.1641|27.13|0.0|0.0|27.15|0.0|27.15|27.07|27.13|0.0|0.0|27.17|0.0|27.17|25.82|28.53|0.0|0.0|27.12|27.17|25.82|28.53|0.0|0.0|27.12|27.17|28.6|25.2401|71239|18009523 39636|IDMO|IDMO|46138E222|US46138E2220|Invesco Exchange-Traded Fund Trust II|Invesco S&P International Developed Momentum ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Invesco|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-1|TXN3-7|TXN8-8|TXN3-3|TXN3-5|2150000|||Quarterly|||||2012-02-24||IDMO.NV|IDMO.SO|IDMO.EU|IDMO.TC|IDMO.IV| | | | | | | | | |1x|The S&P Momentum Developed Ex. 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Cryan and Company, L.L.C.|CRYN|0235|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-6|TXN1-4|TXN9-8|TXN1-4|TXN3-2|12260000|||NotApplicable|||||2022-03-11||||||| | | | | | | | | |||N|0|N|N|130C|USA|US|||55|5510|551030|55103025|Basic Materials|Basic Resources|Precious Metals and Mining|Gold Mining|N||N||||||Y|0|Y||Y|2|||6.93|6.8|0.0|0.0|7.01|6.98|6.9908|0.0|0.0|0.0|6.98|6.95|6.95|7.073|0.0|0.0|7.02|7.02|0.0|7.02|0.0|0.0|6.93|7.02|6.84|7.02|0.0|0.0|0.0|0.0|6.76|7.2|7.1|4.47|31288|3070081 63448|IDRV|IDRV|46435U366|US46435U3665|iShares Trust|iShares Self-Driving EV and Tech ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-4|TXN3-2|TXN1-8|TXN3-3|TXN2-7|10000000|||BiAnnually|||||2019-04-18||IDRV.NV|IDRV.SO|IDRV.EU|IDRV.TC|IDRV.IV| | | | | | | | | |1x|The iShares Self-Driving EV and Tech ETF seeks to track the investment results of an index composed of developed and emerging market companies that could benefit from the long-term growth and innovation in electric vehicles, battery technologies and autonomous driving technologies|N|0|N|N|412C|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||33.38|33.36|0.0|0.0|33.7|33.4|33.36|33.43|0.0|0.0|33.5|33.4|33.37|33.46|0.0|0.0|0.0|33.36|0.0|33.36|26.58|40.03|25.58|41.23|33.36|33.46|26.58|40.03|0.0|0.0|33.36|33.46|45.72|30.95|44867|10544766 6955|IDT|IDT|448947507|US4489475073|IDT Corporation|Class B Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|C|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN2-6|TXN3-8|TXN4-3|TXN2-1|23590000|||NotApplicable|||||2009-02-25||||||| | | | | | | | | |||N|0|N|Y|114B|USA|US|||15|1510|151020|15102015|Telecommunications|Telecommunications|Telecommunications Service Providers |Telecommunications Services|N||N||||||Y|0|Y||Y|2|||30.32|30.24|0.0|30.4|30.21|30.27|30.18|30.2|0.0|0.0|30.33|29.56|30.18|30.04|30.31|30.17|30.31|30.18|30.21|30.17|30.17|30.23|23.15|36.82|30.11|30.33|30.13|30.27|30.11|30.22|30.08|30.22|35.1825|21.64|185869|25179306 6957|IDU|IDU|464287697|US4642876977|iShares Trust|iShares U.S. Utilities ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Latour Trading, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-5|TXN3-3|TXN7-3|TXN1-1|TXN4-7|10300000|||Quarterly|||||2007-12-06||IDU.NV|IDU.SO|IDU.EU|IDU.TC|IDU.IV| | | | | | | | | |1x|The iShares U.S. Utilities ETF (the Fund) seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the Dow Jones U.S. Utilities Index (the Underlying Index). The Underlying Index measures the performance of the utilities sector of the U.S. equity market. As of March 31, 2012, the Underlying Index was concentrated in the electricity and gas, water and multi-utilities industry groups, which comprised 71.41% and 28.59%, respectively, of the market capitalization of the Underlying Index. Components primarily include utilities companies. 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The Fund normally invests at least 80% of its total assets in securities that comprise the Funds benchmark index. The Indonesia Index is comprised of securities of Indonesian companies. A company is considered to be an Indonesian company if it is incorporated in Indonesia or generates at least 50% of its revenues (or, in certain circumstances, has at least 50% of its assets) in Indonesia. 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Equipment|N||N||||||Y|0|Y||||||515.67|516.445|0.0|516.5|516.455|516.75|516.71|516.785|0.0|0.0|517.14|516.2|516.61|517.14|516.58|516.56|515.75|516.65|515.87|516.61|513.23|520.31|484.64|549.74|513.7|519.9|516.24|517.14|516.31|0.0|516.66|516.71|564.735|372.5|1154839|108261675 63693|IDYA|IDYA|45166A102|US45166A1025|IDEAYA Biosciences Inc|COM USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN5-8|TXN12-5|TXN5-2|TXN6-8|64460000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||32.42|32.42|0.0|32.31|32.43|32.42|32.43|32.43|0.0|0.0|32.43|32.41|32.41|32.47|32.41|32.43|32.42|32.43|32.41|32.41|32.36|32.76|24.5|40.0|32.34|32.52|32.37|32.48|32.39|32.47|32.43|32.44|33.24|13.29|957330|140051811 74190|IE|IE|46578C108|US46578C1080|Ivanhoe Electric Inc.|Common Stock|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-8|TXN2-6|TXN6-8|TXN4-2|TXN4-2|119040000|||NotApplicable|||||2022-06-28||||||| | | | | | | | | |||N|0|N|N|130C|CAN|US|||55|5510|551020|55102000|Basic Materials|Basic Resources|Industrial Metals and Mining|General Mining|N||N||||||Y|0|Y||Y|2|||11.2|11.24|0.0|11.23|11.22|11.23|11.23|11.225|0.0|0.0|11.22|11.16|11.23|11.19|11.25|11.24|11.25|11.25|11.19|11.25|11.1|11.34|11.22|11.23|11.17|11.24|11.21|11.27|11.22|11.26|11.22|11.23|16.75|9.66|207594|97336531 60809|IEDI|IEDI|46431W663|US46431W6637|iShares US Consumer Focused ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-1|TXN1-7|TXN5-8|TXN1-1|TXN3-6|350000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||0.0|42.1307|0.0|0.0|0.0|0.0|42.01|0.0|0.0|0.0|0.0|0.0|0.0|0.0|42.05|0.0|0.0|42.1307|0.0|42.1307|42.04|42.22|0.0|0.0|42.1|42.14|41.56|42.1|0.0|0.0|42.1|42.13|42.1307|35.38|554|452016 6959|IEF|IEF|464287440|US4642874402|iShares 7-10 Year Treasury Bond ETF|TR 7-10YR TR BD||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN5-2|TXN12-7|TXN6-8|TXN6-5|297900000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||93.665|93.66|0.0|93.53|93.65|93.66|93.66|93.66|0.0|0.0|93.66|93.66|93.65|93.655|93.66|93.66|93.665|93.67|93.65|93.65|93.66|93.68|93.61|93.7|93.66|93.67|93.66|93.68|93.54|93.96|93.66|93.67|100.8|88.855|16402188|2115132853 40881|IEFA|IEFA|46432F842|US46432F8427|iShares Core MSCI EAFE ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-7|TXN4-2|TXN4-4|TXN3-4|TXN2-8|1499600000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||67.72|67.71|0.0|67.7|67.72|67.72|67.72|67.72|0.0|0.0|67.72|67.72|67.72|67.725|67.72|67.72|67.715|67.71|67.72|67.71|67.71|67.73|63.3|71.84|67.72|67.73|67.7|67.75|67.61|67.84|67.72|67.73|69.85|61.08|9911475|2050511104 18789|IEI|IEI|464288661|US4642886612|iShares 3-7 Year Treasury Bond ETF|3-7 YEAR TREAS||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN5-4|TXN11-3|TXN5-2|TXN5-7|109800000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||115.1|115.11|0.0|0.0|115.1|115.11|115.105|115.1|0.0|0.0|115.11|115.105|115.09|115.1|115.11|115.105|115.125|115.11|115.1|115.09|115.11|115.12|115.02|115.25|115.11|115.12|115.11|115.13|115.02|115.25|115.11|115.12|119.57|111.4494|3644764|473818790 40882|IEMG|IEMG|46434G103|US46434G1031|iShares Inc.|iShares Core MSCI Emerging Markets ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-4|TXN4-8|TXN4-3|TXN4-5|TXN2-2|1446600000|||BiAnnually|||||2012-10-22||IEMG.NV|IEMG.SO|IEMG.EU|IEMG.TC|IEMG.IV| | | | | | | | | |1x|The iShares Core MSCI Emerging Markets ETF (the Fund) seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the MSCI Emerging Markets Investable Market Index (the Underlying Index). The Underlying Index is designed to measure large-, mid- and small-cap equity market performance in the global emerging markets. As of September 30, 2012, the Underlying Index consisted of the following 21 emerging market countries: Brazil, Chile, China, Colombia, the Czech Republic, Egypt, Hungary, India, Indonesia, Malaysia, Mexico, Morocco, Peru, the Philippines, Poland, Russia, South Africa, South Korea, Taiwan, Thailand and Turkey. As of September 30, 2012, the Underlying Index was comprised of 2,622 constituents. Components primarily include energy, financials, information technology and materials companies. The components of the Underlying Index, and the degree to which these components represent certain industries, may change over time.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||49.35|49.355|0.0|0.0|49.35|49.36|49.35|49.355|0.0|0.0|49.36|49.36|49.36|49.35|49.355|49.36|49.36|49.37|49.36|49.37|49.36|49.38|46.32|49.41|49.36|49.37|49.36|49.39|49.21|49.42|49.36|49.38|52.3|45.57|12853864|2764110622 16447|IEO|IEO|464288851|US4642888519|iShares U.S. Oil & Gas Exploration & Production ETF|DJ OIL & GAS EXPL||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-8|TXN1-3|TXN5-4|TXN2-7|TXN4-8|8900000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||93.81|93.7069|0.0|0.0|93.64|93.64|93.7069|93.67|0.0|0.0|93.81|94.02|93.69|93.81|93.61|93.64|0.0|93.7069|95.06|93.7069|93.49|93.85|93.49|93.83|93.66|93.7|93.49|93.83|93.52|93.85|93.66|93.7|102.94|77.25|77413|32643998 25628|IEP|IEP|451100101|US4511001012|Icahn Enterprises LP|CL B LP DEP UNTS NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN5-2|TXN13-6|TXN5-8|TXN6-7|410800000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502030|50203000|Industrials|Industrial Goods and Services|General Industrials|Diversified Industrials|N||N||||||Y|0|Y||||||16.85|16.84|0.0|16.9|16.85|16.85|16.8228|16.83|0.0|0.0|16.83|16.81|16.86|16.85|16.99|16.85|0.0|16.85|0.0|16.86|16.71|17.02|13.2|21.0|16.76|16.99|16.81|16.86|16.81|16.87|16.84|16.86|54.48|16.04|589334|316809593 16493|IESC|IESC|44951W106|US44951W1062|IES Holdings Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN5-3|TXN13-6|TXN6-4|TXN5-3|20190000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5010|501010|50101015|Industrials|Construction and Materials|Construction and Materials |Engineering and Contracting Services|N||N||||||Y|0|Y||||||0.0|72.03|0.0|72.12|0.0|71.3|72.17|72.16|0.0|0.0|0.0|0.0|72.15|72.49|0.0|0.0|0.0|72.17|0.0|72.15|70.75|73.36|54.69|88.07|71.87|73.38|71.96|72.52|72.09|72.27|72.09|72.27|76.8|27.68|23311|8679204 60813|IETC|IETC|46431W648|US46431W6488|iShares US Tech Independence Focused ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-5|TXN1-4|TXN2-6|TXN2-8|TXN3-6|2800000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||59.03|59.12|0.0|0.0|59.12|58.92|58.9893|59.19|0.0|0.0|58.96|0.0|59.06|59.1|0.0|58.96|0.0|59.12|0.0|59.12|58.98|59.23|0.0|0.0|59.07|59.12|58.44|59.74|0.0|0.0|59.07|59.12|59.77|39.95|8973|2204289 44426|IEUR|IEUR|46434V738|US46434V7385|iShares Trust|iShares Core MSCI Europe ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-1|TXN3-4|TXN2-2|TXN4-3|TXN2-7|78300000|||BiAnnually|||||2014-06-12||IEUR.NV|IEUR.SO|IEUR.EU|IEUR.TC|IEUR.IV| | | | | | | | | |1x|The iShares Core MSCI Europe ETF seeks to track the investment resutls of an index composed of European region developed market large, mid and small capitalization equities.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||52.945|52.94|0.0|0.0|52.945|52.945|52.945|52.94|0.0|0.0|52.945|52.94|52.94|52.945|52.945|52.945|52.92|52.93|52.945|52.93|52.93|52.95|52.81|53.1|52.93|52.95|52.76|53.1|52.76|53.1|52.93|52.95|54.815|46.965|792341|181615513 26278|IEUS|IEUS|464288497|US4642884971|iShares MSCI Europe Small-Cap ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN5-8|TXN10-3|TXN5-6|TXN5-4|2200000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||52.17|52.17|0.0|0.0|0.0|52.17|52.27|52.145|0.0|0.0|52.31|52.31|52.23|52.17|52.17|0.0|0.0|52.31|0.0|52.23|52.2|0.0|0.0|0.0|52.21|52.74|0.0|0.0|0.0|0.0|52.21|52.38|56.44|45.285|16477|2617766 6963|IEV|IEV|464287861|US4642878619|iShares Trust|iShares Europe ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Pundion LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-6|TXN1-8|TXN5-6|TXN4-3|TXN1-5|31800000|||BiAnnually|||||2007-12-06||IEV.NV|IEV.SO|IEV.EU|IEV.TC|IEV.IV| | | | | | | | | |1x|The iShares Europe ETF (the Fund) seeks to track the investment results of an index composed of European equities. The Fund seeks to track the investment results of the S&P Europe 350TM (the Underlying Index), which measures the performance of the stocks of leading companies in the following countries: Austria, Belgium, Denmark, Finland, France, Germany, Greece, Ireland, Italy, Luxembourg, the Netherlands, Norway, Portugal, Spain, Sweden, Switzerland and the United Kingdom. The market capitalization of constituent companies is adjusted to reflect only those stocks that are available to non-U.S. investors. The stocks in the Underlying Index are chosen for market size, liquidity, industry group representation and geographic diversity. The Underlying Index may include large-, mid- or small-capitalization companies, and components primarily include consumer staples, financial and healthcare companies. The components of the Underlying Index, and the degree to which these components represent certain industries, may change over time.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||50.83|50.88|0.0|0.0|50.89|50.895|50.88|50.74|0.0|0.0|50.88|50.88|50.88|50.77|50.85|50.79|0.0|50.88|0.0|50.88|50.87|51.09|50.72|51.05|50.87|50.9|50.72|51.05|50.72|51.05|50.87|50.9|52.37|44.9001|137729|88732003 6964|IEX|IEX|45167R104|US45167R1041|IDEX Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|I|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-7|TXN2-2|TXN9-7|TXN2-3|TXN4-8|75630000|||Quarterly|||||1989-06-02||||||| | | | | | | | | |||N|5|Y|Y|126C|USA|US|||50|5020|502020|50202020|Industrials|Industrial Goods and Services|Electronic and Electrical Equipment|Electronic Equipment: Control and Filter|N||N||||||Y|0|Y||Y|1|||203.36|204.33|0.0|204.24|204.26|204.29|204.33|204.3|0.0|0.0|204.16|203.74|204.24|203.3|203.8|204.2|203.51|204.23|204.28|204.2|204.12|204.18|191.31|215.39|204.05|204.33|204.02|204.4|204.08|204.44|191.31|215.39|246.23|183.765|303629|111510796 16448|IEZ|IEZ|464288844|US4642888444|iShares Trust|iShares U.S. Oil Equipment & Services ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Latour Trading, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-5|TXN2-8|TXN3-2|TXN1-1|TXN2-7|15750000|||Quarterly|||||2007-12-06||IEZ.NV|IEZ.SO|IEZ.EU|IEZ.TC|IEZ.IV| | | | | | | | | |1x|The iShares U.S. Oil Equipment & Services ETF (the Fund) seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the Dow Jones U.S. Select Oil Equipment & Services Index (the Underlying Index). The Underlying Index measures the performance of the oil equipment and services sector of the U.S. equity market. The Underlying Index includes companies that are suppliers of equipment or services to oil fields and offshore platforms, such as drilling, exploration, engineering, logistics, seismic information services and platform construction. Components primarily include oil and gas, and oil equipment and services companies. 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It provides exposure to the performance of the IFED Large-Cap US Equity Index Total Return. The underlying Index tracks large-cap U.S. equities that are determined by the Index Sponsor to be best positioned to benefit from the prevailing monetary environment. 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Vehicles|N||N||||||N|0|Y||||||20.24|0.0|0.0|0.0|0.0|0.0|20.239|20.19|0.0|0.0|0.0|0.0|20.27|20.24|0.0|0.0|0.0|20.22|0.0|20.27|19.05|21.29|0.0|0.0|20.03|20.24|19.05|21.29|0.0|0.0|20.19|20.24|23.15|17.6924|24212|5517536 73145|IFIN|IFIN|G47862100|KYG478621009|InFinT Acquisition Corporation|Class A Ordinary Shares|Special purpose acquisition company|A|N|N|N|Y|Y|Y|Y|Y|6|P|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN2-3|TXN7-8|TXN3-4|TXN2-1|7410000|||NotApplicable|||||2022-01-10||||||| | | | | | | | | |||N|0|N|N|408A|USA|KY|||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|11.2|0.0|0.0|11.17|0.0|11.1797|0.0|0.0|0.0|0.0|0.0|11.18|0.0|0.0|11.17|0.0|11.17|0.0|11.17|11.17|11.25|0.0|0.0|10.48|11.22|0.0|0.0|0.0|0.0|11.17|11.25|11.25|10.33|676|12627453 72422|IFIN U|IFIN.U|G47862118|KYG478621181|InFinT Acquisition Corporation|Units,each consisting of one Class A ordinary share and one-half of one redeemable warrant|Special purpose acquisition company|R|N|N|N|Y|Y|Y|Y|Y|6|P|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN3-5|TXN2-8|TXN2-5|TXN1-1|0|||NotApplicable|||||2021-11-19||||||| | | | | | | | | 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Investments|N||N||||||N|0|Y||Y|2|||0.0|17.29|0.0|17.3|17.31|17.305|17.34|17.4|0.0|0.0|17.28|17.3|17.325|17.37|0.0|17.34|17.32|17.34|0.0|17.34|17.32|17.34|13.41|21.3|16.51|17.8|17.3|17.36|17.27|17.35|17.32|17.34|17.79|14.4|88329|22900794 60862|IFRA|IFRA|46435U713|US46435U7138|iShares US Infrastructure ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-3|TXN3-6|TXN2-8|TXN1-3|TXN2-7|56550000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||38.66|38.66|0.0|0.0|38.7|38.69|38.66|38.67|0.0|0.0|38.67|38.72|38.66|38.66|38.68|38.7|38.69|38.66|0.0|38.66|38.66|38.76|38.62|38.76|38.66|38.7|38.6|38.77|38.6|38.77|38.68|38.69|40.6|34.45|335353|50941215 60055|IFRX|IFRX|N44821101|NL0012661870|InflaRx NV|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN6-8|TXN11-6|TXN5-4|TXN5-6|58880000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||DEU||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||1.41|1.43|0.0|0.0|1.42|1.41|1.4|1.405|0.0|0.0|1.42|1.4|1.41|1.41|1.38|1.41|1.38|1.4|1.4|1.41|1.35|1.45|1.12|1.66|1.36|1.45|1.37|1.44|1.37|1.44|1.4|1.42|7.25|1.14|137315|195195605 64081|IFS|IFS|P5626F128|PAL2400671A3|Intercorp Financial Services Inc.|Common Shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN4-3|TXN2-8|TXN4-5|TXN1-3|115420000|||Yearly|||||2019-07-19||||||| | | | | | | | | |||N|0|N|Y|402A|PER|PA|||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||Y|2|||0.0|19.5|0.0|19.41|19.41|19.43|19.41|19.41|0.0|0.0|19.42|19.46|19.4|19.5|19.5|19.41|0.0|19.41|0.0|19.41|19.39|19.41|14.86|23.93|19.2|19.6|19.3|19.5|19.3|19.5|19.39|19.41|26.02|17.94|60777|11145341 44663|IFV|IFV|33738R886|US33738R8869|First Trust Exchange-Traded Trust VI Dorsey Wright International Focus 5 ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN5-6|TXN11-8|TXN5-6|TXN6-5|9900000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||0.0|18.66|0.0|0.0|18.61|18.61|18.6|0.0|0.0|0.0|0.0|0.0|18.64|0.0|0.0|0.0|0.0|18.6|0.0|18.64|14.64|22.94|18.51|23.01|18.56|18.72|18.51|19.83|18.51|18.75|18.58|18.65|18.91|16.2013|41348|18591634 60908|IG|IG|74255Y821|US74255Y8214|Principal Exchange-Traded Funds|Principal Investment Grade Corporate Active ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Principal Funds|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN2-2|TXN2-8|TXN3-2|TXN3-6|3450001|||Monthly|||||2018-04-19||IG.NV|IG.SO|IG.EU|IG.TC|IG.IV| | | | | | | | | ||The Fund seeks to provide current income and, as a secondary objective, capital appreciation.The Fund is an actively managed exchange-traded fund (ETF) that seeks to achieve its investment objective by investing, under normal circumstances, at least 80% of its net assets, plus any borrowings for investment purposes, in investment grade corporate bonds and other fixed income securities at the time of purchase. Investment grade securities are rated BBB- or higher by S&P Global Ratings (S&P Global) or Baa3 or higher by Moodys Investors Service, Inc. (Moodys) or, if unrated, of comparable quality in the opinion of those selecting such investments. If the security has been rated by only one of those agencies, that rating will determine whether the security is investment grade. The fixed income securities in which the Fund invests include foreign securities, corporate securities , securities issued or guaranteed by the U.S. government or its agencies and instrumentalities, and securities issued or guaranteed by foreign governments payable in U.S. dollars . The Fund invests in other investment companies, including exchange-traded funds that invest in fixed income securities. The portfolio is not managed to a particular maturity. Under normal circumstances, the Fund maintains an average portfolio duration that is within /- 10% of the duration of the Bloomberg Barclays U.S. Corporate Investment Grade Bond Index. The Fund actively trades securities.|N|0|N|N|416A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|20.18|0.0|0.0|0.0|20.29|20.3163|0.0|0.0|0.0|20.29|0.0|20.3|0.0|0.0|0.0|0.0|20.317|0.0|20.317|0.0|0.0|0.0|0.0|20.31|20.34|0.0|0.0|0.0|0.0|20.31|20.33|21.69|19.05|11387|5230569 6979|IGA|IGA|92912R104|US92912R1041|Voya Global Advantage and Premium Opportunity Fund|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN1-2|TXN1-5|TXN3-6|TXN1-1|18200000|||Quarterly|||||2005-10-27||||||| | | | | | | | | |||N|0|N|N|406B|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|8.45|8.455|8.44|0.0|0.0|8.45|8.45|8.44|0.0|0.0|8.455|8.45|8.455|0.0|8.455|8.45|8.46|6.48|10.43|7.87|9.01|6.48|10.43|0.0|0.0|8.45|8.47|9.3|7.77|46792|11750134 50358|IGBH|IGBH|46431W812|US46431W8120|iShares U.S. ETF Trust|iShares Interest Rate Hedged Long-Term Corporate Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-1|TXN4-1|TXN4-8|TXN3-1|TXN2-2|2900000|||Monthly|||||2015-07-23||CLYH.NV|CLYH.SO|CLYH.EU|CLYH.TC|CLYH.IV| | | | | | | | | ||The iShares Interest Rate Hedged 10 Year Credit Bond ETF (the Fund) seeks to mitigate the interest rate risk of a portfolio composed of investment-grade U.S. corporate bonds and U.S. dollar-denominated bonds, including those of non-U.S. corporations and governments, with remaining maturities greater than ten years.|N|0|N|N|416A|USA|US|FIXED_INCOME|ACTIVE|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|24.29|24.3|24.26|0.0|0.0|0.0|0.0|0.0|24.307165|0.0|24.29|0.0|0.0|24.26|0.0|24.26|0.0|0.0|0.0|0.0|24.26|24.32|0.0|0.0|0.0|0.0|24.26|24.31|24.5|22.66|89706|6001300 16353|IGC|IGC|45408X308|US45408X3089|IGC Pharma, Inc.|Common Stock|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Brendan E. Cryan and Company, L.L.C.|CRYN|0235|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN11-3|TXN2-8|TXN5-8|TXN3-2|TXN4-1|63730000|||NotApplicable|||||2019-02-26||||||| | | | | | | | | |||N|0|N|N|416A|USA|US|||50|5010|501010|50101010|Industrials|Construction and Materials|Construction and Materials |Construction|N||N||||||Y|0|Y||Y|2|||0.319|0.3152|0.0|0.0|0.321|0.32|0.32|0.3199|0.0|0.0|0.32|0.3199|0.3199|0.0|0.0|0.0|0.32|0.32|0.0|0.32|0.303|0.3392|0.319|0.32|0.305|0.321|0.248|0.3661|0.308|0.324|0.319|0.32|0.4858|0.2666|160323|40560076 6981|IGD|IGD|92912T100|US92912T1007|Voya Global Equity Dividend and Premium Opportunity Fund|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN3-2|TXN8-8|TXN3-7|TXN4-3|94980000|||Monthly|||||2005-03-29||||||| | | | | | | | | |||N|0|N|N|406B|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||4.87|4.88|0.0|4.89|4.88|4.88|4.88|4.875|0.0|0.0|4.875|4.89|4.88|4.9|0.0|4.87|4.88|4.875|0.0|4.87|4.87|4.89|3.76|6.02|4.86|4.9|4.84|4.91|4.87|4.89|4.87|4.88|5.54|4.6|332281|52324601 6982|IGE|IGE|464287374|US4642873743|iShares North American Natural Resources ETF|GOLD SAC NAT RES IDX||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-6|TXN3-5|TXN8-3|TXN4-2|TXN1-4|14150000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||40.62|40.65|0.0|0.0|0.0|40.73|40.679|40.475|0.0|0.0|40.73|40.7|40.66|40.61|0.0|0.0|0.0|40.65|40.73|40.65|40.57|40.74|40.58|43.31|40.64|40.66|40.63|40.67|40.58|40.71|40.64|40.66|43.67|35.79|97842|31638045 59147|IGEB|IGEB|46435G219|US46435G2194|iShares Investment Grade Bond Factor ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-3|TXN2-7|TXN4-7|TXN1-2|TXN4-1|7800000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||43.79|43.81|0.0|43.92|43.79|43.79|43.8315|43.77|0.0|0.0|43.79|43.92|43.77|43.79|43.865|43.81|0.0|43.81|43.895|43.81|0.0|0.0|0.0|0.0|43.8|43.88|43.75|43.95|43.76|43.88|43.81|43.88|45.71|41.17|315941|11511955 26503|IGF|IGF|464288372|US4642883726|iShares Global Infrastructure ETF|MSCI S&P GLBL||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN5-3|TXN11-6|TXN6-3|TXN6-4|78500000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||46.27|46.25|0.0|0.0|46.23|46.275|46.2574|46.275|0.0|0.0|46.22|46.26|46.26|46.27|46.27|46.26|46.38|46.25|46.25|46.26|46.2|46.26|46.04|46.41|46.2|46.26|46.17|46.39|46.09|46.39|46.2|46.26|49.248|40.38|906603|115977422 43066|IGHG|IGHG|74347B607|US74347B6074|ProShares Investment Grade-Interest Rate Hedged ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN1-2|TXN8-8|TXN4-8|TXN4-4|3850001|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||75.54|75.6|0.0|0.0|75.54|75.59|75.6|75.65|0.0|0.0|75.63|75.414505|75.63|75.55|0.0|75.57|0.0|75.6|75.55|75.6|71.77|79.59|0.0|0.0|75.54|75.66|75.3|75.83|75.3|75.83|75.54|75.66|76.04|69.3|58985|6069200 31133|IGI|IGI|95790A101|US95790A1016|Western Asset Investment Grade Defined Opportunity Trust Inc.|Common Stock, $0.001 par value.|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN4-6|TXN8-8|TXN3-7|TXN2-4|10840000|||Monthly|||||2009-06-26||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||16.58|16.67|0.0|0.0|16.61|16.79|16.79|16.76|0.0|0.0|0.0|16.35|16.79|16.59|0.0|16.74|0.0|16.79|0.0|16.74|16.69|16.8|16.5|16.67|15.56|17.85|0.0|0.0|0.0|0.0|16.69|16.8|17.44|15.1272|38932|5799519 18784|IGIB|IGIB|464288638|US4642886380|iShares 5-10 Year Investment Grade Corp Bond ETF|INTERMEDIATE CR BOND||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN5-2|TXN13-5|TXN5-5|TXN5-8|231250000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||50.33|50.34|0.0|50.33|50.335|50.335|50.34|50.335|0.0|0.0|50.335|50.33|50.36|50.335|50.33|50.335|50.33|50.34|50.33|50.36|50.33|52.88|50.28|53.39|50.33|50.35|50.31|52.88|50.31|0.0|50.34|50.35|52.185|47.27|2573472|408633899 60878|IGIC|IGIC|G4809J106|BMG4809J1062|International General Insurance Holdings Ltd|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN6-6|TXN11-5|TXN5-5|TXN5-4|43620000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||JOR||||30|3030|303020|30302020|Financials|Insurance|Non-life Insurance|Reinsurance|N||N||||||Y|0|Y||||||12.01|11.98|0.0|0.0|11.99|12.0|11.98|12.01|0.0|0.0|11.87|0.0|11.99|11.98|0.0|0.0|12.0|11.98|0.0|11.99|9.24|14.81|9.24|14.81|11.74|12.26|11.95|12.01|11.95|12.01|11.95|11.99|12.4256|7.66|123603|14388192 31979|IGLB|IGLB|464289511|US4642895118|iShares Trust|iShares 10+ Year Investment Grade Corporate Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-1|TXN3-7|TXN8-6|TXN4-5|TXN2-5|40900000|||Monthly|||||2009-12-09||CLY.NV|CLY.SO|CLY.EU|CLY.TC|CLY.IV| | | | | | | | | |1x|The Fund seeks to track the investment results of The BofA Merrill Lynch 10 Year US Corporate & Yankees Index (the Underlying Index), which is a broad, market-value weighted, total rate of return index designed to measure the performance of the long-term, investment-grade U.S. corporate and Yankee bond markets. Component securities include publicly-issued debt of U.S. corporations and U.S. dollar-denominated, publicly-issued debt of non-U.S. corporations, non-U.S. government debt and supranational debt. The Underlying Index may include large-, mid- or small-capitalization companies, and components primarily include sovereign entities, and financial, industrials and utilities companies. The components of the Underlying Index, and the degree to which these components represent certain industries, may change over time.The securities in the Underlying Index have $250 million or more of outstanding face value, and have at least 10 years remaining to maturity or the first call date in the case of callable perpetual securities. In addition, the securities in the Underlying Index must be denominated in U.S. dollars and have a fixed coupon schedule (or at least 10 years before the last call prior to the date the bond transitions from a fixed-rate to a floating-rate security). The Underlying Index is rebalanced on the last calendar day of each month, based on information available up to and including the third business day before the last business day of the month.|N|0|N|N|412C|USA|US|FIXED_INCOME|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||49.95|49.955|0.0|0.0|49.94|49.95|49.955|49.95|0.0|0.0|49.95|49.94|49.955|49.94|49.94|49.945|49.95|49.93|49.95|49.93|47.46|52.44|46.57|53.3|49.95|49.97|47.46|52.44|48.92|51.01|49.95|49.97|54.65|44.455|509722|131247492 69454|IGLD|IGLD|33733E856|US33733E8562|FT Cboe Vest Gold Strategy Target Income ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-7|TXN1-1|TXN7-8|TXN2-5|TXN2-4|4300000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||0.0|18.805|0.0|0.0|18.76|18.78|18.805|18.78|0.0|0.0|18.78|0.0|0.0|0.0|18.6869|0.0|18.78|18.805|0.0|18.805|0.0|0.0|18.51|19.01|18.64|18.86|0.0|0.0|0.0|0.0|18.64|18.81|21.16|17.69|21826|5823411 6986|IGM|IGM|464287549|US4642875490|iShares Trust|iShares Expanded Tech Sector ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-4|TXN1-7|TXN1-3|TXN2-3|TXN2-5|8400000|||Quarterly|||||2007-12-06||IGM.NV|IGM.SO|IGM.EU|IGM.TC|IGM.IV| | | | | | | | | |1x|The iShares Expanded Tech Sector ETF (the Fund) seeks to track the investment results of the S&P North American Expanded Technology Sector Index (the Underlying Index), which measures the performance of U.S.-traded stocks from the technology sector and select technology-related companies from the communication services and consumer discretionary sectors in the U.S. and Canada, as determined by S&P Dow Jones Indices LLC (the Index Provider or SPDJI). The Underlying Index includes companies in the following categories: producers of sophisticated computer-related devices; providers of communications equipment and internet services; producers of computer and internet software; consultants for information technology; providers of computer services; semiconductors and semiconductor equipment manufacturers; and select company engaging in content and information creation or distribution. The Underlying Index may include large-, mid- or small-capitalization companies.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||415.72|419.3|0.0|0.0|415.72|418.46|419.3099|417.52|0.0|0.0|415.72|0.0|419.25|418.21|415.72|415.72|0.0|419.32|400.83|419.32|418.3|420.19|391.95|442.14|419.2|419.29|418.52|439.44|0.0|0.0|419.2|419.29|428.7|272.47|27950|7446860 64608|IGMS|IGMS|449585108|US4495851085|IGM Biosciences Inc|COM USD0.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN6-2|TXN11-5|TXN5-4|TXN6-8|32890000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y|D|||||5.85|5.88|0.0|6.0|5.88|5.875|5.88|5.885|0.0|0.0|5.845|5.92|5.89|5.89|5.92|5.85|5.97|5.88|0.0|5.89|5.8|5.96|4.53|7.3|5.81|5.95|5.86|5.92|5.86|5.94|5.88|5.89|27.92|3.81|260362|63755248 6987|IGN|IGN|464287531|US4642875318|iShares Trust|iShares North American Tech-Multimedia Networking ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-5|TXN3-3|TXN8-8|TXN4-6|TXN1-7|750000|||Quarterly|||||2007-12-06||IGN.NV|IGN.SO|IGN.EU|IGN.TC|IGN.IV| | | | | | | | | |1x|The iShares North American Tech-Multimedia Networking ETF (the Fund) seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the S&P North American Technology Multimedia Networking IndexTM (the Underlying Index). he Underlying Index measures the performance of U.S.-traded stocks of communication equipment companies in the United States and Canada. The Underlying Index includes companies that are producers of telecommunications, data networking and wireless equipment. Components primarily include information technology and technology companies. The components of the Underlying Index, and the degree to which these components represent certain industries, may change over time.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|60.41|60.3754|59.32|0.0|0.0|0.0|70.82528|60.4|0.0|0.0|0.0|0.0|60.5334|0.0|60.5334|60.37|60.62|0.0|0.0|60.48|60.52|57.37|63.19|0.0|0.0|60.47|60.52|74.5|54.23|27760|2023512 29882|IGOV|IGOV|464288117|US4642881175|iShares International Treasury Bond ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN6-1|TXN12-2|TXN6-5|TXN6-6|27100000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||39.27|39.34|0.0|0.0|39.33|39.31|39.34|39.32|0.0|0.0|39.27|39.33|39.34|39.3|39.27|39.33|39.32|39.34|39.27|39.34|38.89|39.79|36.57|39.46|39.27|39.52|37.36|39.46|0.0|39.46|39.3|39.34|41.42|36.54|108622|69263411 8738|IGPT|IGPT|46137V639|US46137V6395|Invesco Exchange-Traded Fund Trust|Invesco AI and Next Gen Software ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Invesco|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-1|TXN3-4|TXN9-8|TXN1-6|TXN3-7|4870000|||Quarterly|||||2008-11-03||PSJ.NV|PSJ.SO|PSJ.EU|PSJ.TC|PSJ.IV| | | | | | | | | |1x|The PowerShares Dynamic Software Portfolio (Fund) is based on the Dynamic Software Intellidex Index (Index). The Fund will normally invest at least 90% of its total assets in common stocks that comprise the Index. The Index is designed to provide capital appreciation by thoroughly evaluating companies based on a variety of investment merit criteria, including fundamental growth, stock valuation, investment timeliness and risk factors.|N|0|N|N|406C|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|35.46|35.4101|36.04|0.0|0.0|35.39|0.0|35.32|0.0|0.0|0.0|0.0|35.6054|0.0|35.6054|28.52|43.04|0.0|0.0|35.54|35.67|28.52|43.04|0.0|0.0|35.54|35.67|36.5|30.27|21065|794821 6988|IGR|IGR|12504G100|US12504G1004|CBRE Global Real Estate Income Fund|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-4|TXN4-2|TXN2-5|TXN1-8|TXN3-4|139970000|||Monthly|||||2007-08-15||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||4.82|4.82|0.0|4.88|4.83|4.825|4.82|4.825|0.0|0.0|4.825|4.83|4.825|4.83|4.83|4.82|4.82|4.82|4.83|4.82|4.82|4.83|3.77|5.97|4.82|5.19|4.79|4.86|4.81|4.83|4.82|4.83|7.21|3.88|1034422|139367449 53128|IGRO|IGRO|46435G524|US46435G5247|iShares International Dividend Growth ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-3|TXN4-8|TXN8-8|TXN4-7|TXN3-4|9600000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||62.06|62.12|0.0|0.0|62.07|62.145|62.15|61.68|0.0|0.0|0.0|0.0|0.0|62.07|0.0|0.0|0.0|62.12|0.0|62.12|62.04|66.01|57.98|66.01|62.05|62.57|58.04|66.01|0.0|0.0|62.04|62.29|64.21|56.4901|21144|10210377 18783|IGSB|IGSB|464288646|US4642886463|iShares 1-5 Year Investment Grade Corp Bond ETF|1-3 YEAR CREDIT BOND||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN6-5|TXN14-4|TXN6-4|TXN6-1|423500000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||50.61|50.605|0.0|50.61|50.6|50.605|50.61|50.605|0.0|50.58|50.61|50.61|50.605|50.6|50.59|50.605|50.605|50.61|50.58|50.605|50.6|50.62|50.59|50.64|50.6|50.62|50.58|50.64|50.58|50.64|50.6|50.61|50.83|49.36|4092810|970129998 6989|IGT|IGT|G4863A108|GB00BVG7F061|International Game Technology PLC|Ordinary Shares, nominal value|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|5|C|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN4-7|TXN8-3|TXN4-1|TXN1-8|200290000|||Quarterly|||||2015-04-07||||||| | | | | | | | | |||N|0|N|Y|108A|GBR|GB|||40|4050|405010|40501020|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Casinos and Gambling|N||N||||||Y|0|Y||Y|2|||27.24|27.18|0.0|27.0|27.21|27.24|27.21|27.25|0.0|0.0|27.18|27.24|27.2|27.245|27.05|27.21|26.93|27.21|27.04|27.21|27.2|27.21|21.08|33.0|27.16|27.28|27.16|27.24|27.15|27.25|27.2|27.21|33.99|21.38|1505030|299843240 73281|IGTA|IGTA|45333D104|US45333D1046|Inception Growth Acquisition Ltd|COM USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN6-1|TXN14-6|TXN5-1|TXN5-2|5590000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|10.63|0.0|0.0|0.0|10.63|10.6384|10.63|0.0|0.0|10.63|0.0|10.64|0.0|0.0|0.0|10.63|10.6384|0.0|10.6384|0.0|10.65|0.0|0.0|9.96|11.29|0.0|0.0|0.0|0.0|10.63|10.64|10.708|10.035|163664|15678524 73282|IGTAR|IGTAR|45333D120||Inception Growth Acquisition Limited Rights|||D|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-2|TXN5-4|TXN13-5|TXN5-1|TXN5-1|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||50|5020|502040|50204000|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Industrial|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.14|0.15|0.24|0.0799|0|3906508 72831|IGTAU|IGTAU|45333D203|US45333D2036|Inception Growth Acquisition Ltd|UNITS||R|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN5-3|TXN12-7|TXN6-1|TXN6-1|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|7.76|14.25|0.0|0.0|7.76|14.25|7.76|14.25|0.0|0.0|9.7|11.88|11.2|10.14|0|50171 73283|IGTAW|IGTAW|45333D112|US45333D1129|Inception Growth Acquisition Ltd|WT EXP 101526||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-1|TXN6-5|TXN13-3|TXN6-5|TXN5-4|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.028|0.0336|0.0|0.0|0.04|0.017|0.028|0.0|0.0|0.0|0.0|0.017|0.0|0.017|0.0139|0.036|0.0136|0.036|0.0139|0.036|0.0139|0.036|0.0|0.0|0.017|0.03|0.1295|0.0096|3644|3475583 74927|IGTR|IGTR|45783Y665|US45783Y6656|Innovator ETFs Trust|Innovator Gradient Tactical Rotation Strategy ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Innovator Capital Management |Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-4|TXN1-3|TXN9-2|TXN2-3|TXN1-2|7950000|||Yearly|||||2022-11-17||IGTR.NV|IGTR.SO|IGTR.EU|IGTR.TC| | | | | | | | | | ||The Fund seeks to achieve its investment objective by identifying the global market segment that is displaying the strongest price momentum metrics, as described below. The Funds active strategy utilizes Gradients rules-based, two-factor approach to create tactical investment opportunities. First, the Fund defines the investable universe by identifying three broad-based geographic equity markets: (1) U.S. markets; (2) international developed markets; and (3) emerging markets. Second, the Fund identifies the following market subsectors within each of the above geographic equity markets. High Beta, Momentum, Neutral Broad, or Low Volatility.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||23.27|23.3|0.0|0.0|23.27|23.3|23.3272|23.27|0.0|0.0|23.28|21.75|23.22|23.27|23.23|23.24|0.0|23.33|0.0|23.33|23.31|23.33|0.0|0.0|23.31|23.33|0.0|0.0|0.0|0.0|23.31|23.33|25.34|20.47|23930|11186582 6990|IGV|IGV|464287515|US4642875151|IShares Expanded Tech-Software Sector ETF|SOFTWARE INDEX FD||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-2|TXN3-2|TXN7-3|TXN1-3|TXN2-5|18400000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||392.28|392.5|0.0|391.0|392.36|392.28|392.23|392.255|0.0|0.0|392.38|392.36|392.25|392.2|392.26|392.25|391.31|392.5|392.2|392.5|391.44|393.06|364.07|412.33|392.13|392.33|372.08|410.69|391.88|392.52|392.17|392.27|397.55|246.88|955573|208018097 35889|IGZ|IGZ|||NYSE Arca Listed Test Stock For CTS CQS|||U|Y|N|P|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN3-6|TXN4-8|TXN3-6|TXN3-6|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||||||||||N||N||||||N|0|Y||Y|1|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|18.0|43.12|0.0|0.0|0|0 67809|IH|IH|45175B109|US45175B1098|iHuman Inc.|American depositary shares, each representing five Class A ordinary shares|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|8|A|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN4-1|TXN2-8|TXN2-6|TXN2-2|119860000|||NotApplicable|||||2020-10-09||||||| | | | | | | | | |||N|0|N|Y|180B|CHN|KY|||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||N|0|Y||Y|2|||2.73|0.0|0.0|0.0|0.0|2.7|2.72|2.73|0.0|0.0|0.0|0.0|0.0|0.0|0.0|2.72|0.0|2.72|0.0|2.72|2.72|2.85|0.0|0.0|2.72|3.02|2.1|3.3|0.0|0.0|2.72|2.85|4.26|1.7|3558|3644908 63826|IHAK|IHAK|46435U135|US46435U1354|iShares Trust|iShares Cybersecurity and Tech ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-8|TXN4-3|TXN9-8|TXN4-3|TXN1-4|16250000|||BiAnnually|||||2019-06-13||IHAK.NV|IHAK.SO|IHAK.EU|IHAK.TC|IHAK.IV| | | | | | | | | |1x|The iShares Cybersecurity and Tech ETF (the Fund) seeks to track the investment results of an index composed of developed and emerging market companies that could benefit from the long-term growth and innovation in the cyber security value-chain, including cyber security hardware, software, products, and services|N|0|N|N|412C|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|1|||42.8|42.8|0.0|0.0|42.68|42.8|42.86|42.715|0.0|0.0|42.77|40.98|42.87|0.0|42.36|42.36|0.0|42.87|0.0|42.87|40.07|45.15|42.63|43.12|42.85|42.89|42.68|43.13|42.63|43.13|42.85|42.89|42.8869|31.87|65912|17248876 37904|IHD|IHD|92912P108|US92912P1084|Voya Emerging Markets High Income Dividend Equity Fund|Common Shares $0.01 par value|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN4-1|TXN5-8|TXN2-1|TXN3-1|18530000|||Quarterly|||||2011-04-27||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||0.0|4.95|0.0|0.0|4.97|4.95|4.94|4.94|0.0|0.0|4.95|4.95|4.94|0.0|4.95|4.95|4.95|4.945|4.95|4.95|4.94|4.95|3.76|6.14|4.64|5.28|3.76|6.14|0.0|0.0|4.94|4.97|5.78|4.49|29673|10684886 44117|IHDG|IHDG|97717X594|US97717X5941|WisdomTree Trust|WisdomTree International Hedged Quality Dividend Growth Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||WisdomTree|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-4|TXN2-3|TXN6-5|TXN1-4|TXN4-3|46800000|||Quarterly|||||2014-05-06||IHDG.NV|IHDG.SO|IHDG.EU|IHDG.TC|IHDG.IV| | | | | | | | | |1x|WisdomTree International Hedged Quality Dividend Growth Fund(IHDG) seeks to track the price and yield performance, before fees and expenses, of the WisdomTree International Hedged Dividend Growth Index. The Index is designed to provide exposure to dividend-paying common stocks with growth characteristics of companies in the industrialized world, excluding Canada |N|0|N|N|406C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||40.62|40.63|0.0|0.0|40.59|40.64|40.635|40.62|0.0|0.0|40.62|0.0|40.635|40.59|40.61|40.63|40.64|40.64|0.0|40.64|40.62|42.67|38.06|43.24|40.63|40.64|38.6|42.67|39.73|41.38|40.63|40.64|40.84|35.5301|187760|50273880 16449|IHE|IHE|464288836|US4642888360|iShares Trust|iShares U.S. Pharmaceuticals ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Latour Trading, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-5|TXN2-8|TXN6-6|TXN4-7|TXN1-1|3300000|||Quarterly|||||2007-12-06||IHE.NV|IHE.SO|IHE.EU|IHE.TC|IHE.IV| | | | | | | | | |1x|The iShares U.S. Pharmaceuticals ETF (the Fund) seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the Dow Jones U.S. Select Pharmaceuticals Index (the Underlying Index). The Underlying Index measures the performance of the pharmaceuticals sector of the U.S. equity market. The Underlying Index includes pharmaceutical companies such as manufacturers of prescription or over-the-counter drugs or vaccines, but excludes producers of vitamins. Components primarily include health care and pharmaceuticals companies. The components of the Underlying Index, and the degree to which these components represent certain industries, may change over time.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||175.86|175.85|0.0|182.055756|0.0|175.85|178.6795|176.715|0.0|0.0|173.98|185.525756|178.81|176.3|175.86|175.85|0.0|178.8688|0.0|178.8688|178.43|179.13|134.51|216.64|178.75|178.84|168.42|185.7|0.0|0.0|178.75|178.84|191.74|166.09|10643|3307538 16450|IHF|IHF|464288828|US4642888287|iShares Trust|iShares U.S. Healthcare Providers ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Latour Trading, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-3|TXN4-3|TXN9-7|TXN3-6|TXN4-7|3550000|||Quarterly|||||2007-12-06||IHF.NV|IHF.SO|IHF.EU|IHF.TC|IHF.IV| | | | | | | | | |1x|The iShares U.S. Healthcare Providers ETF (the Fund) seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the Dow Jones U.S. Select Health Care Providers Index (the Underlying Index). The Underlying Index measures the performance of the health care providers sector of the U.S. equity market. The Underlying Index includes companies that are health care providers such as owners and operators of health maintenance organizations, hospitals, clinics, dental and eye care facilities, nursing homes and rehabilitation and retirement centers. Components primarily include health care companies. The components of the Underlying Index, and the degree to which these components represent certain industries, may change over time.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||0.0|257.15|0.0|0.0|257.87|257.8|258.0058|256.99|0.0|0.0|250.34|244.38|257.96|257.16|256.98|257.04|256.98|257.9986|0.0|257.9986|257.45|258.44|257.93|258.07|257.93|258.05|244.91|270.05|257.6|258.28|257.93|258.05|282.37|240.08|13420|7030775 6993|IHG|IHG|45857P806|US45857P8068|InterContinental Hotels Group PLC|American Depositary Share (each representing one ordinary share)|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|5|C|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN3-1|TXN4-7|TXN3-3|TXN2-8|164750000|||BiAnnually|||||2019-01-14||||||| | | | | | | | | |||N|0|N|Y|128A|GBR|GB|||40|4050|405010|40501025|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Hotels and Motels |N||N||||||N|0|Y||Y|2|||81.22|81.21|0.0|81.21|81.19|80.8|81.215|81.19|0.0|0.0|81.29|78.82|81.2|81.19|0.0|81.24|0.0|81.21|78.31|81.24|81.2|81.24|62.62|99.07|80.95|81.57|81.1|81.33|81.16|81.28|81.2|81.24|81.5111|57.49|93256|43534583 16451|IHI|IHI|464288810|US4642888105|iShares Trust|iShares U.S. Medical Devices ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Latour Trading, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN1-3|TXN3-4|TXN3-1|TXN3-3|100000000|||Quarterly|||||2007-12-06||IHI.NV|IHI.SO|IHI.EU|IHI.TC|IHI.IV| | | | | | | | | |1x|The iShares U.S. Medical Devices ETF (the Fund) seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the Dow Jones U.S. Select Medical Equipment Index (the Underlying Index). The Underlying Index measures the performance of the medical equipment sector of the U.S. equity market. The Underlying Index includes medical equipment companies including manufacturers and distributors of medical devices such as magnetic resonance imaging (MRI) scanners, prosthetics, pacemakers, X-ray machines, and other nondisposable medical devices. Components primarily include health care and medical equipment companies. The components of the Underlying Index, and the degree to which these components represent certain industries, may change over time.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||50.82|50.82|0.0|50.69|50.815|50.815|50.81|50.815|0.0|0.0|50.85|50.82|50.82|50.815|50.87|50.82|50.81|50.8|50.83|50.8|50.8|50.91|47.4|53.87|50.8|50.82|48.35|53.26|50.7|50.94|50.8|50.82|57.95|43.96|1336490|249654942 64085|IHRT|IHRT|45174J509|US45174J5092|iHeartMedia Inc|CL A COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN5-8|TXN12-3|TXN6-4|TXN6-6|123310000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4030|403010|40301035|Consumer Discretionary|Media|Media|Radio and TV Broadcasters|N||N||||||Y|0|Y||||||3.01|3.01|0.0|3.04|3.01|3.015|3.02|3.015|0.0|0.0|3.015|3.015|3.02|3.02|3.04|3.015|3.015|3.01|3.01|3.02|3.01|3.03|2.35|3.73|3.01|3.02|2.99|3.04|2.99|3.05|3.01|3.02|9.01|1.775|945745|231659005 72011|IHS|IHS|G4701H109|KYG4701H1092|IHS Holding Limited|Ordinary Shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|8|A|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-7|TXN3-8|TXN5-7|TXN4-5|TXN2-7|331920000|||NotApplicable|||||2021-10-14||||||| | | | | | | | | |||N|0|N|Y|104B|GBR|KY|||15|1510|151020|15102015|Telecommunications|Telecommunications|Telecommunications Service Providers |Telecommunications Services|N||N||||||Y|0|Y||Y|2|||4.71|4.715|0.0|4.7|4.71|4.715|4.705|4.715|0.0|0.0|4.7|4.72|4.71|4.71|4.71|4.7|4.73|4.7|4.855|4.7|4.7|4.71|3.65|5.84|4.67|4.74|4.69|4.73|4.68|4.74|4.7|4.71|10.13|4.51|277557|67233320 7000|IHT|IHT|457919108|US4579191085|InnSuites Hospitality Trust|Common Shares of Beneficial Interest|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-1|TXN3-3|TXN1-5|TXN4-2|TXN4-6|9010000|||BiAnnually|||||1999-04-07||||||| | | | | | | | | |||N|0|N|N|412A|USA|US|||40|4050|405010|40501025|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Hotels and Motels |N||N||||||N|0|Y||Y|2|||0.0|1.29|0.0|0.0|0.0|1.29|1.32|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|1.27|1.27|0.0|1.27|1.02|1.54|1.27|1.29|1.2|1.29|0.984|1.54|0.0|0.0|1.27|1.29|3.82|0.9491|3905|5669213 60189|IHTA|IHTA|46136K105|US46136K1051|Invesco High Income 2024 Target Term Fund|Common Shares of Beneficial Interest, No par value per share|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN2-8|TXN7-8|TXN3-5|TXN1-3|8790000|||Monthly|||||2017-11-30||||||| | | | | | | | | |||N|0|N|N|406B|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||6.66|6.79|0.0|0.0|6.81|6.81|6.81|6.81|0.0|0.0|6.76|6.81|6.795|0.0|6.725|6.79|6.75|6.81|0.0|6.79|6.77|6.81|6.72|6.75|6.32|7.24|0.0|0.0|0.0|0.0|6.77|6.81|8.61|6.47|102109|6386827 39844|IHY|IHY|92189F445|US92189F4458|VanEck ETF Trust|VanEck International High Yield Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||VanEck Vectors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-1|TXN4-8|TXN8-8|TXN3-2|TXN4-8|1900000|||Monthly|||||2012-04-03||IHY.NV|IHY.SO|IHY.EU|IHY.TC|IHY.IV| | | | | | | | | |1x|Market Vectors International High Yield Bond ETF (IHY) seeks to replicate as closely as possible, before fees and expenses, the price and yield performance of the The BofA Merrill Lynch Global ex-US Issuers High Yield Constrained Index (HXUS).The Index is comprised of below investment-grade debt issued by corporations located throughout the world (which may include emerging market countries) excluding the United States denominated in Euros, U.S. dollars, Canadian dollars or pound sterling issued in the major domestic or Eurobond markets.|N|0|N|N|406C|USA|US|FIXED_INCOME|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||20.23|20.23|0.0|0.0|20.23|20.24|20.26|20.26|0.0|0.0|20.22|20.25|20.22|20.23|20.23|20.23|0.0|20.16|20.23|20.16|20.21|20.26|0.0|0.0|20.21|20.26|20.21|20.27|0.0|0.0|20.21|20.26|20.76|19.15|86660|5643274 68347|IHYF|IHYF|46090A853|US46090A8532|Invesco High Yield Bond Factor ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN5-8|TXN13-1|TXN6-3|TXN5-4|2090000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||21.88|21.88|0.0|0.0|21.88|21.88|21.86|21.88|0.0|0.0|21.87|0.0|21.88|21.88|0.0|21.88|0.0|21.87|21.88|21.88|0.0|0.0|0.0|0.0|21.83|21.89|0.0|0.0|0.0|0.0|21.83|21.88|22.25|20.78|16670|1827546 7004|IIF|IIF|61745C105|US61745C1053|Morgan Stanley India Investment Fund, Inc.|Common Stock|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN4-8|TXN7-8|TXN2-7|TXN4-5|10330000|||BiAnnually|||||1994-02-18||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||22.95|23.33|0.0|0.0|23.33|23.35|23.345|23.31|0.0|0.0|23.31|23.3|23.34|23.33|0.0|23.35|0.0|23.35|0.0|23.35|23.34|23.35|23.32|23.35|21.76|24.87|23.32|23.37|23.31|23.38|23.34|23.35|25.14|18.91|99688|7683262 61305|IIGD|IIGD|46139W502|US46139W5022|Invesco Exchange-Traded Self-Indexed Fund Trust|Invesco Investment Grade Defensive ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Invesco|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-7|TXN1-2|TXN7-8|TXN4-5|TXN3-3|2650001|||Monthly|||||2018-07-25||IIGD.NV|IIGD.SO|IIGD.EU|IIGD.TC|IIGD.IV| | | | | | | | | |1x|The Invesco Investment Grade Defensive ETF (the Fund) seeks to track the investment results (before fees and expenses) of the Invesco Investment Grade Defensive Index (the Underlying Index).|N|0|N|N|416A|USA|US|FIXED_INCOME|INDEX|||||||||N||N||||||N|0|Y||Y|1|||0.0|0.0|0.0|0.0|0.0|0.0|23.9154|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|23.9128|0.0|23.9128|0.0|0.0|0.0|0.0|23.91|23.92|23.89|23.95|23.89|23.95|23.91|23.92|24.37|23.2005|2717|19256068 19006|III|III|45675Y104|US45675Y1047|Information Services Group Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN5-2|TXN12-2|TXN5-7|TXN5-4|48870000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502050|50205020|Industrials|Industrial Goods and Services|Industrial Support Services|Professional Business Support Services|N||N||||||Y|0|Y||||||0.0|4.44|0.0|0.0|4.51|4.51|4.51|4.49|0.0|0.0|4.45|0.0|4.51|0.0|4.47|0.0|0.0|4.51|0.0|4.51|4.45|4.56|0.0|0.0|4.45|4.51|3.29|5.23|0.0|0.0|4.5|4.51|5.87|3.97|43247|28440410 2005|IIIN|IIIN|45774W108|US45774W1080|Insteel Industries, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|P|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN2-6|TXN7-8|TXN3-5|TXN1-4|19450000|||Quarterly|||||2021-03-17||||||| | | | | | | | | |||N|0|N|Y|100A|USA|US|||50|5010|501010|50101035|Industrials|Construction and Materials|Construction and Materials |Building Materials: Other|N||N||||||Y|0|Y||Y|2|||34.699|36.19|0.0|36.19|36.26|36.28|36.23|36.22|0.0|0.0|36.19|34.66|36.33|36.26|35.81|36.29|35.65|36.28|33.27|36.29|36.28|36.29|28.03|43.87|36.16|36.41|28.03|42.24|36.23|36.37|36.28|36.29|36.415|24.42|116538|21809375 61156|IIIV|IIIV|46571Y107|US46571Y1073|I3 Verticals Inc|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN5-6|TXN12-6|TXN6-1|TXN5-8|23270000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502050|50205015|Industrials|Industrial Goods and Services|Industrial Support Services|Transaction Processing Services|N||N||||||Y|0|Y||||||20.2|20.12|0.0|20.08|20.14|20.13|20.11|20.15|0.0|0.0|20.17|20.12|20.13|20.08|20.08|20.1|0.0|20.12|20.45|20.13|19.92|20.35|15.37|25.02|19.96|20.31|20.08|20.16|20.06|20.17|20.11|20.13|30.835|17.87|380539|32758585 7007|IIM|IIM|46132P108|US46132P1084|Invesco Value Municipal Income Trust|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN4-4|TXN8-8|TXN1-4|TXN1-7|47070000|||Monthly|||||1993-02-19||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||11.56|11.565|0.0|11.62|11.56|11.565|11.57|11.565|0.0|0.0|11.57|11.58|11.57|11.57|11.55|11.58|11.57|11.57|11.59|11.58|11.56|11.58|8.89|14.11|11.55|12.32|11.54|11.59|11.56|11.59|11.56|14.11|12.99|9.94|212786|28786644 70083|IINN|IINN|M53637100|IL0011715781|Inspira Technologies Oxy B.H.N. Ltd|ORD SHS||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN6-1|TXN12-3|TXN5-1|TXN5-7|9160000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||ISR||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|1.09|1.095|0.0|0.0|0.0|0.0|0.0|1.09|0.0|0.0|0.0|0.0|1.095|0.0|1.095|0.864|1.3|0.864|1.3|1.04|1.16|0.864|1.3|0.0|0.0|1.09|1.1|1.99|0.98|6681|9956402 71149|IINNW|IINNW|M53637118|IL0011761710|Inspira Technologies Oxy B.H.N. Ltd|WT EXP 063026||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-1|TXN5-6|TXN14-1|TXN6-5|TXN5-1|11990000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||ISR||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.13|0.0|0.0|0.0|0.0|0.13|0.0|0.13|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.13|0.16|0.3828|0.1013|677|547721 54455|IIPR|IIPR|45781V101|US45781V1017|Innovative Industrial Properties, Inc.|Common Stock|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN3-4|TXN8-8|TXN4-1|TXN2-7|28040000|||Quarterly|||||2016-12-01||||||| | | | | | | | | |||N|0|N|Y|414A|USA|US|||35|3510|351020|35102070|Real Estate|Real Estate |Real Estate Investment Trusts|Other Specialty REITs|N||N||||||Y|0|Y||Y|2|||86.22|87.27|0.0|87.07|86.3|87.13|87.14|87.26|0.0|0.0|87.0|85.6|87.27|83.15|86.69|87.27|86.67|87.31|81.7|87.27|87.26|87.31|66.73|105.09|86.89|87.96|87.01|87.45|87.26|87.5|87.26|87.31|125.38|63.3587|348891|67013877 59934|IIPR PRA|IIPRpA|45781V200|US45781V2007|Innovative Industrial Properties, Inc.|9.00% Series A Cumulative Redeemable Preferred Stock|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN4-6|TXN7-8|TXN3-5|TXN4-2|600000|||Quarterly|||||2017-10-24||||||| | | | | | | | | |||N|0|N|N|414A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|25.65|0.0|0.0|0.0|25.75|25.8542|0.0|0.0|0.0|25.75|0.0|25.85|0.0|0.0|25.66|0.0|25.66|0.0|25.66|25.65|25.98|0.0|0.0|25.3|25.98|0.0|0.0|0.0|0.0|25.65|25.98|30.0|25.08|3216|260581 65301|IJAN|IJAN|45782C524|US45782C5242|Innovator ETFs Trust|Innovator International Developed Power Buffer ETF - January|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Innovator Capital Management |Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN4-6|TXN2-8|TXN1-8|TXN3-1|4475000|||Yearly|||||2020-01-02||IJAN.NV|IJAN.SO|IJAN.EU|IJAN.TC|IJAN.IV| | | | | | | | | ||Innovator MSCI EAFE Power Buffer ETF - January is an exchange-traded fund incorporated in the USA. It is designed to track the return of the MSCI EAFE Index (to a predetermined cap) while buffering investors against the first 15% of losses over the outcome period (approximately 1 year). The ETF can be held indefinitely, resetting at the end of each outcome period.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||28.88|28.92|0.0|28.87|28.87|28.87|28.91|28.87|0.0|0.0|28.87|28.88|28.86|28.91|28.88|28.88|28.92|28.91|28.91|28.91|27.23|30.56|28.2|28.98|28.91|29.0|28.84|29.0|28.84|29.04|28.91|29.0|29.83|26.36|116234|11459919 7014|IJH|IJH|464287507|US4642875078|iShares Trust|iShares Core S&P Mid-Cap ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Latour Trading, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-3|TXN3-3|TXN1-2|TXN1-2|TXN3-3|281300000|||Quarterly|||||2007-12-06||IJH.NV|IJH.SO|IJH.EU|IJH.TC|IJH.IV| | | | | | | | | |1x|The iShares Core S&P Mid-Cap ETF (the Fund) seeks to track the investment results of an index composed of mid-capitalization U.S. equities. The Fund seeks to track the investment results of the S&P MidCap 400 (the Underlying Index), which measures the performance of the mid-capitalization sector of the U.S. equity market. As of March 31, 2013, the Underlying Index included approximately 8% of the market capitalization of all U.S. equity securities. The stocks in the Underlying Index have a market capitalization between $1 billion and $4.4 billion at time of entry, and which may fluctuate depending on the overall level of the equity markets, and are selected for liquidity and industry group representation. The Underlying Index consists of stocks from a broad range of industries. Components primarily include financial, industrials and information technology companies. The components of the Underlying Index, and the degree to which these components represent certain industries, may change over time.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||264.39|264.41|0.0|264.49|264.38|264.42|264.38|264.405|0.0|0.0|264.44|264.47|264.47|264.39|264.47|264.46|264.45|264.44|264.42|264.44|263.99|264.8|263.99|264.8|264.44|264.45|264.44|264.48|264.2|264.7|264.44|264.45|273.73|231.49|2403660|308375456 7015|IJJ|IJJ|464287705|US4642877058|iShares Trust|iShares S&P Mid-Cap 400 Value ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Latour Trading, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-8|TXN2-4|TXN2-5|TXN4-2|TXN1-7|64450000|||Quarterly|||||2007-12-04||IJJ.NV|IJJ.SO|IJJ.EU|IJJ.TC|IJJ.IV| | | | | | | | | |1x|The iShares S&P Mid-Cap 400 Value ETF (the Fund) seeks to track the investment results of an index composed of mid-capitalization U.S. equities that exhibit value characteristics. The Fund seeks to track the investment results of the S&P MidCap 400 Value Index (the Underlying Index), which measures the performance of the mid-capitalization value sector of the U.S. equity market. It is a subset of the S&P MidCap 400 and consists of those stocks in the S&P MidCap 400 exhibiting the strongest value characteristics, as determined by S&P Dow Jones Indices LLC (S&P), a subsidiary of McGraw Hill Financial, Inc., representing approximately 50% of the market capitalization of the S&P MidCap 400 as of March 31, 2013. The stocks in the Underlying Index have a market capitalization between $1 billion and $4.4 billion (which may fluctuate depending on the overall level of the equity markets). The Underlying Index consists of stocks from a broad range of industries. Components primarily include financial, industrials and information technology companies. The components of the Underlying Index, and the degree to which these components represent certain industries, may change over time.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||107.88|107.81|0.0|0.0|107.85|107.87|107.85|107.81|0.0|0.0|107.87|103.84|107.81|107.59|107.84|107.8|107.87|107.82|103.08|107.82|107.82|108.09|101.1|114.37|107.82|107.87|102.02|112.78|0.0|0.0|107.82|107.87|116.78|92.7912|197131|76053637 7016|IJK|IJK|464287606|US4642876068|iShares Trust|iShares S&P Mid-Cap 400 Growth ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Latour Trading, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-1|TXN4-1|TXN3-5|TXN2-8|TXN1-5|104250000|||Quarterly|||||2007-12-06||IJK.NV|IJK.SO|IJK.EU|IJK.TC|IJK.IV| | | | | | | | | |1x|The iShares S&P Mid-Cap 400 Growth ETF (the Fund) seeks to track the investment results of an index composed of mid-capitalization U.S. equities that exhibit growth characteristics. The Fund seeks to track the investment results of the S&P MidCap 400 Growth Index (the Underlying Index), which measures the performance of the mid-capitalization growth sector of the U.S. equity market. It is a subset of the S&P MidCap 400 and consists of those stocks in the S&P MidCap 400 exhibiting the strongest growth characteristics, as determined by S&P Dow Jones Indices LLC (S&P), a subsidiary of McGraw Hill Financial, Inc., representing approximately 50% of the market capitalization of the S&P MidCap 400 as of March 31, 2013. The stocks in the Underlying Index have a market capitalization between $1 billion and $4.4 billion (which may fluctuate depending on the overall level of the equity markets). The Underlying Index consists of stocks from a broad range of industries. Components primarily include consumer discretionary, financial, industrials, and information technology companies. The components of the Underlying Index, and the degree to which these components represent certain industries, may change over time.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||76.09|76.13|0.0|0.0|76.1|76.13|76.13|76.1|0.0|0.0|76.11|75.61|76.07|75.97|75.97|76.1|75.93|76.05|74.39|76.05|76.08|76.26|71.06|80.73|76.08|76.13|76.05|79.73|75.93|76.25|76.08|76.13|78.28|67.03|347288|78449721 7017|IJR|IJR|464287804|US4642878049|iShares Trust|iShares Core S&P Small-Cap ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Pundion LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-8|TXN3-1|TXN4-7|TXN4-7|TXN4-1|699850000|||Quarterly|||||2007-12-04||IJR.NV|IJR.SO|IJR.EU|IJR.TC|IJR.IV| | | | | | | | | |1x|The iShares Core S&P Small-Cap ETF (the Fund) seeks to track the investment results of an index composed of small-capitalization U.S. equities. The Fund seeks to track the investment results of the S&P SmallCap 600 (the Underlying Index), which measures the performance of the small-capitalization sector of the U.S. equity market. As of March 31, 2013, the Underlying Index included approximately 3% of the market capitalization of all U.S. equity securities. The stocks in the Underlying Index have a market capitalization between $300 million and $1.4 billion at time of entry, which may fluctuate depending on the overall level of the equity markets, and are selected for liquidity and industry group representation. The Underlying Index consists of stocks from a broad range of industries. Components primarily include consumer discretionary, financial, industrials and information technology companies. The components of the Underlying Index, and the degree to which these components represent certain industries, may change over time.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||100.34|100.34|0.0|99.36|100.34|100.33|100.3467|100.34|0.0|0.0|100.33|100.34|100.34|100.33|100.36|100.32|100.34|100.34|100.33|100.34|100.23|100.41|93.33|106.39|100.33|100.35|100.23|100.7|100.14|100.7|100.34|120.1|108.24|87.3201|12247832|955847297 7018|IJS|IJS|464287879|US4642878791|iShares Trust|iShares S&P Small-Cap 600 Value ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Latour Trading, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-5|TXN2-1|TXN2-7|TXN1-8|TXN1-8|69900000|||Quarterly|||||2007-12-06||IJS.NV|IJS.SO|IJS.EU|IJS.TC|IJS.IV| | | | | | | | | |1x|The iShares S&P Small-Cap 600 Value ETF (the Fund) seeks to track the investment results of an index composed of small-capitalization U.S. equities that exhibit value characteristics. The Fund seeks to track the investment results of the S&P SmallCap 600 Value Index (the Underlying Index), which measures the performance of the small-capitalization value sector of the U.S. equity market. It is a subset of the S&P SmallCap 600 and consists of those stocks in the S&P SmallCap 600 exhibiting the strongest value characteristics, as determined by S&P Dow Jones Indices LLC (S&P), a subsidiary of McGraw Hill Financial, Inc., representing approximately 50% of the market capitalization of the S&P SmallCap 600 as of March 31, 2013. The stocks in the Underlying Index have a market capitalization between $300 million and $1.4 billion (which may fluctuate depending on the overall level of the equity markets). Components primarily include consumer discretionary, financial and industrials companies. The components of the Underlying Index, and the degree to which these components represent certain industries, may change over time.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||95.41|95.42|0.0|0.0|95.41|95.42|95.459|95.41|0.0|0.0|95.46|94.6|95.43|95.41|95.14|95.14|0.0|95.4|95.37|95.4|95.36|95.6|88.72|100.69|95.4|95.46|95.34|95.48|95.13|95.69|95.4|95.45|106.935|81.81|538966|100265474 7019|IJT|IJT|464287887|US4642878874|iShares S&P Small-Cap 600 Growth ETF|S&P SMLCP GROW||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN6-8|TXN13-5|TXN6-3|TXN6-8|44100000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||115.72|116.03|0.0|0.0|115.72|116.0|116.024|114.69|0.0|0.0|114.7|0.0|115.96|115.77|0.0|115.72|0.0|116.0|0.0|115.96|115.96|116.21|108.52|123.02|115.96|116.06|115.65|116.37|115.66|116.37|115.96|116.06|121.06|102.64|146203|26868091 63959|IJUL|IJUL|45782C722|US45782C7222|Innovator ETFs Trust|Innovator International Developed Power Buffer ETF - July|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Innovator Capital Management |Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-1|TXN2-7|TXN5-8|TXN1-7|TXN2-1|7975000|||Yearly|||||2019-07-01||IJUL.NV|IJUL.SO|IJUL.EU|IJUL.TC|IJUL.IV| | | | | | | | | ||Innovator MSCI EAFE Power Buffer ETF - July is an exchange-traded fund incorporated in the USA. It is designed to track the return of the MSCI EAFE Index (to a predetermined cap) while buffering investors against the first 15% of losses over the outcome period (approximately 1 year). The ETF can be held indefinitely, resetting at the end of each outcome period.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||26.16|0.0|0.0|0.0|0.0|26.23|26.24|26.21|0.0|0.0|0.0|0.0|26.3|0.0|26.21|26.21|26.21|26.248|0.0|26.248|0.0|0.0|26.2|26.28|26.24|26.32|26.21|26.35|26.21|26.35|26.17|26.32|26.71|23.6101|41108|14139270 69982|IKNA|IKNA|45175G108|US45175G1085|Ikena Oncology Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN6-1|TXN12-5|TXN5-6|TXN5-7|48260000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||1.5|1.49|0.0|1.48|1.52|1.51|1.52|1.48|0.0|0.0|1.48|1.48|1.53|1.49|1.48|1.54|1.48|1.51|1.5|1.53|1.43|1.58|1.16|1.77|1.51|1.57|1.48|1.55|1.47|1.56|1.51|1.53|7.64|1.02|117823|27024267 68116|IKT|IKT|45719W205|US45719W2052|Inhibikase Therapeutics Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-3|TXN6-3|TXN12-8|TXN5-1|TXN6-2|6170000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||0.98|1.0|0.0|0.0|0.975|0.98|1.01|0.9925|0.0|0.0|0.977|0.98|0.965|0.0|0.0|0.0|0.0|0.9925|1.01|0.965|0.9239|1.07|0.744|1.22|0.8975|1.05|0.772|1.22|0.0|0.0|0.965|1.01|3.8|0.45|1567417|52894432 74264|ILAG|ILAG|G4804S101|KYG4804S1012|Intelligent Living Application Group Inc|COM USD.0001||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-4|TXN5-4|TXN13-8|TXN5-2|TXN5-7|18060000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||HKG||||50|5010|501010|50101035|Industrials|Construction and Materials|Construction and Materials |Building Materials: Other|N||N||||||N|0|Y||||||0.72|0.72|0.0|0.0|0.72|0.7187|0.7202|0.721|0.0|0.0|0.715|0.7198|0.721|0.0|0.0|0.0|0.0|0.7198|0.0|0.7198|0.5716|0.864|0.5716|0.864|0.6722|0.7678|0.5716|0.864|0.0|0.0|0.715|0.7191|2.18|0.68|11941|56590073 7202|ILCB|ILCB|464287127|US4642871275|iShares Trust|iShares Morningstar U.S. Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Latour Trading, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-6|TXN3-2|TXN7-7|TXN1-8|TXN3-3|12700000|||Quarterly|||||2007-12-06||JKD.NV|JKD.SO|JKD.EU|JKD.TC|JKD.IV| | | | | | | | | |1x|The iShares Morningstar Large-Cap ETF (the Fund) seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the Morningstar Large Core Index (the Underlying Index). The Underlying Index measures the performance of stocks issued by large-capitalization companies that have exhibited average growth and value characteristics as determined by Morningstar, Inc.s (Morningstar) proprietary index methodology. Underlying Index constituents are drawn from the pool of stocks issued by U.S.-domiciled companies that trade publicly on the New York Stock Exchange (NYSE), the NYSE Amex Equities or The NASDAQ Stock Market. The Morningstar index methodology defines large-capitalization stocks as those stocks that form the top 70% of the market capitalization of the stocks eligible to be included in the Morningstar US Market IndexSM (a diversified broad market index that represents approximately 97% of the market capitalization of publicly-traded U.S. stocks). Stocks are then designated as core, growth or value based on their style orientations. Stocks of companies with, for example, relatively higher than average historical and forecasted earnings, sales, equity and cash flow growth are designated as growth securities. Stocks of companies with, for example, relatively low valuations based on price-to-book ratios, price-to-earnings ratios and other factors are designated as value securities. Stocks that are not designated as growth or value securities are designated as core securities. Stocks in the Underlying Index are weighted according to the total number of shares that are publicly owned and available for trading. Components primarily include consumer defensive, financial and technology companies. The components of the Underlying Index, and the degree to which these components represent certain industries, may change over time.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||63.01|0.0|0.0|0.0|63.4|62.8|63.125|0.0|0.0|0.0|0.0|0.0|63.02|0.0|0.0|0.0|0.0|63.1123|0.0|63.1123|63.08|63.24|0.0|0.0|63.08|63.11|50.28|75.69|0.0|0.0|63.08|63.24|63.43|51.662|3577|3604648 7203|ILCG|ILCG|464287119|US4642871192|iShares Trust|iShares Morningstar Growth ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Latour Trading, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-8|TXN3-6|TXN9-5|TXN2-2|TXN3-2|28200000|||Quarterly|||||2007-12-06||JKE.NV|JKE.SO|JKE.EU|JKE.TC|JKE.IV| | | | | | | | | |1x|The iShares Morningstar Large-Cap Growth ETF (the Fund) seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the Morningstar Large Growth Index (the Underlying Index). The Underlying Index measures the performance of stocks issued by large-capitalization companies that have exhibited above-average growth characteristics as determined by Morningstar, Inc.s (Morningstar) proprietary index methodology. Index constituents are drawn from the pool of stocks issued by U.S.-domiciled companies that trade publicly on the New York Stock Exchange (NYSE), the NYSE Amex Equities or The NASDAQ Stock Market. The Morningstar index methodology defines large-capitalization stocks as those stocks that form the top 70% of the market capitalization of the stocks eligible to be included in the Morningstar US Market IndexSM (a diversified broad market index that represents approximately 97% of the market capitalization of publicly-traded U.S. stocks). Stocks are then designated as core, growth or value based on their style orientations. The stocks in the Underlying Index are designated as growth because they are issued by companies that typically have higher than average historical and forecasted earnings, sales, equity and cash flow growth. Stocks in the Underlying Index are weighted according to the total number of shares that are publicly owned and available for trading. Components primarily include consumer cyclical, industrials and technology companies. The components of the Underlying Index, and the degree to which these components represent certain industries, may change over time.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||64.9|64.85|0.0|0.0|64.9|64.84|64.92|65.12|0.0|0.0|64.78|0.0|64.91|64.85|64.74|64.82|0.0|64.9201|0.0|64.9201|64.8|65.06|60.78|68.92|64.91|64.92|64.79|65.02|64.79|65.02|64.87|64.92|65.68|47.5|33248|19373006 7204|ILCV|ILCV|464288109|US4642881092|iShares Trust|iShares Morningstar Value ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Latour Trading, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-4|TXN2-7|TXN2-4|TXN2-3|TXN1-6|12500000|||Quarterly|||||2007-12-06||JKF.NV|JKF.SO|JKF.EU|JKF.TC|JKF.IV| | | | | | | | | |1x|The iShares Morningstar Large-Cap Value ETF (the Fund) seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the Morningstar Large Value Index (the Underlying Index). The Underlying Index measures the performance of stocks issued by large-capitalization companies that have exhibited above-average value characteristics as determined by Morningstar, Inc.s (Morningstar) proprietary index methodology. Underlying Index constituents are drawn from the pool of stocks issued by U.S.-domiciled companies that trade publicly on the New York Stock Exchange (NYSE), the NYSE Amex Equities or The NASDAQ Stock Market. The Morningstar index methodology defines large-capitalization stocks as those stocks that form the top 70% of the market capitalization of the stocks eligible to be included in the Morningstar US Market IndexSM (a diversified broad market index that represents approximately 97% of the market capitalization of publicly-traded U.S. stocks). Stocks are then designated as core, growth or value based on their style orientations. The stocks in the Underlying Index are designated as value because they are issued by companies that typically have relatively low valuations based on price-to-earnings, price-to-book value, price-to-sales, price-to-cash flow and dividend yields. The stocks in the Underlying Index are weighted according to the total number of shares that are publicly owned and available for trading. Components primarily include energy, financial and healthcare companies. The components of the Underlying Index, and the degree to which these components represent certain industries, may change over time.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||67.9|67.95|0.0|0.0|67.9|67.88|67.95|67.89|0.0|0.0|67.85|67.96|67.95|67.95|67.89|67.89|67.9|67.93|0.0|67.93|67.94|68.09|51.6|83.45|67.94|67.96|54.0|81.63|0.0|0.0|67.94|67.96|69.42|60.65|74157|7386611 70732|ILDR|ILDR|33740F565|US33740F5659|First Trust Exchange-Traded Fund VIII|First Trust Innovation Leaders ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||First Trust|Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN3-4|TXN2-8|TXN4-2|TXN4-1|1000002|||Quarterly|||||2021-05-26||ILDR.NV|ILDR.SO|ILDR.EU|ILDR.TC| | | | | | | | | | |1x|The First Trust Innovation Leaders ETF (the Fund) seeks to provide capital appreciation.|N|0|N|N|412C|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|18.65|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|18.6819|0.0|18.6819|0.0|0.0|0.0|0.0|18.63|18.73|0.0|0.0|0.0|0.0|18.63|18.73|19.25|13.7659|1680|1147809 7033|ILF|ILF|464287390|US4642873909|iShares Trust|iShares Latin America 40 ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN1-4|TXN1-7|TXN1-6|TXN1-2|59750000|||BiAnnually|||||2007-12-06||ILF.NV|ILF.SO|ILF.EU|ILF.TC|ILF.IV| | | | | | | | | |1x|The iShares Latin America 40 ETF (the Fund) seeks to track the investment results of an index composed of 40 of the largest Latin American equities. The Fund seeks to track the investment results of the S&P Latin America 40TM (the Underlying Index), which is comprised of selected equities trading on the exchanges of five Latin American countries. The Underlying Index includes securities that S&P Dow Jones Indices LLC (S&P), a subsidiary of McGraw Hill Financial, Inc., considers to be highly liquid from major economic sectors of the Mexican and South American equity markets. Companies from Brazil, Chil, Colombia, Mexico and Peru are represented in the Underlying Index. The Underlying Index may include large-, mid- or small-capitalization companies, and components primarily include consumer staples, financial and materials companies. The components of the Underlying Index, and the degree to which these components represent certain industries, may change over time.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||27.79|27.79|0.0|28.13|27.78|27.79|27.78|27.79|0.0|0.0|27.78|27.78|27.79|27.79|27.74|27.78|27.785|27.78|27.79|27.78|27.77|27.81|27.74|27.79|27.77|27.79|27.73|27.82|27.73|27.79|27.77|27.79|28.56|21.75|1168048|216817785 75916|ILIT|ILIT|46436E171|US46436E1718|iShares Lithium Miners and Producers ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN6-7|TXN12-4|TXN5-8|TXN5-3|200000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|15.5|0.0|0.0|0.0|0.0|0.0|15.4|0.0|0.0|0.0|0.0|15.4|0.0|15.4|0.0|0.0|0.0|0.0|15.21|15.58|0.0|0.0|0.0|0.0|15.38|15.4|26.33|15.155|2646|199492 2012|ILMN|ILMN|452327109|US4523271090|Illumina Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN6-8|TXN12-8|TXN6-3|TXN6-7|158800000|||NotApplicable|||||||||||| | | | | | | | | |||N|5|Y|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||114.3|114.3|0.0|114.71|114.39|114.3|114.32|114.295|0.0|0.0|114.28|114.31|114.34|114.26|114.26|114.3|114.42|114.34|114.3|114.34|114.19|114.47|108.1|122.01|114.14|114.47|114.15|114.46|114.27|114.37|114.3|114.34|238.55|89.0|3755467|388535942 60408|ILPT|ILPT|456237106|US4562371066|Industrial Logistics Properties Trust|COM||P|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN6-3|TXN13-3|TXN6-7|TXN5-1|65840000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||35|3510|351020|35102020|Real Estate|Real Estate |Real Estate Investment Trusts|Industrial REITs|N||N||||||Y|0|Y||||||3.97|3.92|0.0|3.72|3.93|3.92|3.93|3.92|0.0|0.0|3.92|3.92|3.93|3.94|3.95|3.93|3.96|3.92|3.97|3.93|3.89|3.97|3.09|4.88|3.89|3.95|3.9|3.95|3.89|3.94|3.92|3.93|4.98|1.645|714564|265940891 31980|ILTB|ILTB|464289479|US4642894798|iShares Trust|iShares Core 10+ Year USD Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-3|TXN1-6|TXN9-5|TXN3-8|TXN3-1|10650000|||Monthly|||||2009-12-09||GLJ.NV|GLJ.SO|GLJ.EU|GLJ.TC|GLJ.IV| | | | | | | | | |1x|The Fund seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the Merrill Lynch 10 Year US Corporate & Government Index. The Fund seeks to track the investment results of the Barclays U.S. Long Government/Credit Bond Index (the Underlying Index), which is a sub-index of the Barclays U.S. Aggregate Bond Index and provides exposure to securities in the long maturity range of the Barclays U.S. Government/Credit Bond Index. The Barclays U.S. Government/Credit Bond Index is comprised of two combined indexes, the Barclays U.S. Government Bond Index and the Barclays U.S. Credit Bond Index, each of which is a subcomponent of the Barclays U.S. Aggregate Bond Index. The Barclays U.S. Government Bond Index includes treasuries (i.e., public obligations of the U.S. Treasury that have remaining maturities of more than one year) and agencies (i.e., publicly-issued debt of U.S. government agencies, quasi-federal corporations, and corporate or foreign debt guaranteed by the U.S. government). The Barclays U.S. Credit Bond Index includes publicly-issued, U.S. dollar-denominated, corporate, sovereign, supranational and local authority debentures and secured notes that meet specified maturity, liquidity, and quality requirements.|N|0|N|N|412C|USA|US|FIXED_INCOME|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||49.61|49.61|0.0|0.0|49.68|49.61|49.67|49.66|0.0|0.0|49.61|47.240166|49.68|49.61|48.220166|49.61|0.0|49.67|49.61|49.67|47.11|52.13|46.57|52.85|49.59|49.69|47.11|52.13|0.0|0.0|49.59|49.69|55.65|44.44|101090|21706070 65424|IMAB|IMAB|44975P103|US44975P1030|I-Mab|ADS||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN5-6|TXN11-8|TXN6-3|TXN5-2|191910000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||1.54|1.55|0.0|0.0|1.54|1.55|1.55|1.55|0.0|0.0|1.55|1.55|1.53|0.0|1.54|1.55|1.55|1.55|0.0|1.53|1.51|1.56|1.26|1.82|1.51|1.56|1.51|1.57|1.51|1.57|1.53|1.55|7.67|1.16|478373|118941523 62976|IMACW|IMACW|44967K112|US44967K1126|IMAC Holdings Inc|WT EXP 121323||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-3|TXN5-8|TXN14-2|TXN6-5|TXN6-5|1110000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y|C|||||0.0|0.0|0.0|0.0|0.0|0.002|0.0|0.0|0.0|0.0|0.0|0.0|0.0015|0.0|0.0|0.0|0.0|0.0015|0.0|0.0015|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0017|0.0077|0.1089|0.0001|5460|761635 71453|IMAQ|IMAQ|459867107|US4598671075|International Media Acquisition Corp|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN6-6|TXN10-2|TXN6-6|TXN5-8|8520000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|11.26|0.0|0.0|0.0|0.0|0.0|11.2|0.0|0.0|0.0|0.0|11.26|0.0|11.26|0.0|0.0|0.0|0.0|11.26|12.07|0.0|0.0|0.0|0.0|11.26|11.38|11.52|10.15|563|1150807 71454|IMAQR|IMAQR|459867123||International Media Acquisition Corp. Rights|||D|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-5|TXN5-5|TXN13-8|TXN5-3|TXN5-5|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||50|5020|502040|50204000|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Industrial|N||N||||||N|0|Y|D|||||0.049|0.049|0.0|0.0|0.0|0.049|0.049|0.0|0.0|0.0|0.0|0.0|0.049|0.0|0.0|0.0|0.0|0.049|0.0|0.049|0.036|0.06|0.036|0.06|0.036|0.06|0.036|0.06|0.0|0.0|0.045|0.049|0.1499|0.0078|1200|8151206 71281|IMAQU|IMAQU|459867206|US4598672065|International Media Acquisition Corp|UNITS||R|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN6-5|TXN14-7|TXN5-7|TXN6-4|23800000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|11.01|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|9.9|12.12|0.0|0.0|0.0|0.0|9.9|12.12|11.6|9.8719|3|8841 71455|IMAQW|IMAQW|459867115|US4598671158|International Media Acquisition Corp|WT EXP 072126||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-2|TXN6-2|TXN10-2|TXN6-3|TXN5-4|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.38|0.0|0.0|0.0|0.0|0.0151|0.0279|0.11|0.0051|0|6769505 2017|IMAX|IMAX|45245E109|CA45245E1097|IMAX Corporation|Common Shares|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|C|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN1-8|TXN8-3|TXN1-3|TXN4-6|54610000|||NotApplicable|||||2011-02-11||||||| | | | | | | | | |||N|0|N|Y|144D|CAN|CA|||40|4030|403010|40301010|Consumer Discretionary|Media|Media|Entertainment|N||N||||||Y|0|Y||Y|2|||16.35|16.34|0.0|16.19|16.35|16.34|16.358|16.35|0.0|0.0|16.35|16.35|16.36|16.35|16.35|16.37|16.23|16.37|16.355|16.37|16.36|16.37|12.51|19.9|16.3|16.48|15.52|16.39|16.3|16.38|16.36|16.37|21.82|13.5|563107|132847918 7205|IMCB|IMCB|464288208|US4642882082|iShares Trust|iShares Morningstar Mid-Cap ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Latour Trading, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-7|TXN1-1|TXN6-7|TXN2-5|TXN4-1|12000000|||Quarterly|||||2007-12-06||JKG.NV|JKG.SO|JKG.EU|JKG.TC|JKG.IV| | | | | | | | | |1x|The iShares Morningstar Mid-Cap ETF (the Fund) seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the Morningstar Mid Core Index (the Underlying Index). The Underlying Index measures the performance of stocks issued by mid-capitalization companies that have exhibited average growth and value characteristics as determined by Morningstar, Inc.s (Morningstar) proprietary index methodology. Underlying Index constituents are drawn from the pool of stocks issued by U.S.-domiciled companies that trade publicly on the New York Stock Exchange (NYSE), the NYSE Amex Equities or The NASDAQ Stock Market. The Morningstar index methodology defines mid-capitalization stocks as those stocks that form the 20% of the market capitalization that falls between the 70th and 90th percentile of the market capitalization of the stocks eligible to be included in the Morningstar US Market IndexSM (a diversified broad market index that represents approximately 97% of the market capitalization of publicly-traded U.S. stocks). Stocks are then designated as core, growth or value based on their style orientations. Stocks of companies with, for example, relatively higher average historical and forecasted earnings, sales, equity and cash flow growth would be designated as growth securities. Stocks of companies with, for example, relatively low valuations based on price-to-book ratios, price-to-earnings ratios and other factors, are designated as value securities. Stocks that are not designated as growth or value securities are designated as core securities. Stocks in the Underlying Index are weighted according to the total number of shares that are publicly owned and available for trading. Components primarily include consumer cyclical, healthcare, industrials and technology companies. The components of the Underlying Index, and the degree to which these components represent certain industries, may change over time.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||63.7|63.85|0.0|0.0|0.0|63.83|63.85|63.85|0.0|0.0|63.69|0.0|63.68|0.0|63.73|63.83|0.0|63.85|63.57|63.85|63.71|63.95|0.0|0.0|63.82|63.85|50.64|76.23|0.0|0.0|63.82|63.85|65.75|55.98|14575|4795832 69416|IMCC|IMCC|44969Q307|CA44969Q3070|IM Cannabis Corp|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-2|TXN6-7|TXN14-6|TXN5-4|TXN5-1|13390000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||ISR||||20|2010|201030|20103015|Health Care |Health Care |Pharmaceuticals and Biotechnology|Pharmaceuticals |N||N||||||N|0|Y||||||0.39|0.41|0.0|0.0|0.0|0.41|0.405|0.3925|0.0|0.0|0.405|0.0|0.41|0.0|0.0|0.0|0.0|0.4049|0.0|0.4049|0.0|0.0|0.0|0.0|0.3641|0.4372|0.0|0.0|0.0|0.0|0.39|0.41|2.14|0.37|35107|16508308 7206|IMCG|IMCG|464288307|US4642883072|iShares Trust|iShares Morningstar Mid-Cap Growth ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN3-2|TXN5-7|TXN2-4|TXN4-5|27600000|||Quarterly|||||2007-12-06||JKH.NV|JKH.SO|JKH.EU|JKH.TC|JKH.IV| | | | | | | | | |1x|The iShares Morningstar Mid-Cap Growth ETF (the Fund) seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the Morningstar Mid Growth Index (the Underlying Index). The Underlying Index measures the performance of stocks issued by mid-capitalization companies that have exhibited above-average growth characteristics as determined by Morningstar, Inc.s (Morningstar) proprietary index methodology. Underlying Index constituents are drawn from the pool of stocks issued by U.S.-domiciled companies that trade publicly on the New York Stock Exchange (NYSE), the NYSE Amex Equities or The NASDAQ Stock Market. The Morningstar index methodology defines mid-capitalization stocks as those stocks that form the 20% of the market capitalization that falls between the 70th and 90th percentile of the market capitalization of the stocks eligible to be included in the Morningstar US Market IndexSM (a diversified broad market index that represents approximately 97% of the market capitalization of publicly-traded U.S. stocks). Stocks are then designated as core, growth or value based on their style orientations. The stocks in the Underlying Index are designated as growth because they are issued by companies that typically have higher than average historical and forecasted earnings, sales, equity and cash flow growth. Stocks in the Underlying Index are weighted according to the total number of shares that are publicly owned and available for trading. Components primarily include consumer cyclical, industrials and technology companies. The components of the Underlying Index, and the degree to which these components represent certain industries, may change over time.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||60.66|60.96|0.0|0.0|60.95|60.96|60.965|60.8|0.0|0.0|60.96|0.0|60.96|60.87|60.96|60.96|60.82|60.97|0.0|60.97|60.94|61.08|56.87|64.45|60.94|60.97|60.82|61.07|60.82|61.07|60.91|60.96|63.37|52.76|111656|24781093 69061|IMCR|IMCR|45258D105|US45258D1054|Immunocore Holdings plc|ADR||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN6-4|TXN10-4|TXN5-2|TXN5-8|48090000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||GBR||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||51.93|51.92|0.0|52.05|52.22|51.91|51.95|52.05|0.0|0.0|51.91|52.0|51.97|52.98|52.11|51.91|0.0|51.98|51.91|51.97|51.6|53.01|40.99|63.92|51.62|53.04|51.7|52.28|51.94|52.14|51.97|52.11|67.4273|42.21|429849|59711941 7207|IMCV|IMCV|464288406|US4642884062|iShares Morningstar Mid-Cap Value ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN6-2|TXN10-7|TXN5-1|TXN5-8|8750000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|64.78|0.0|0.0|64.85|64.78|64.83|64.84|0.0|0.0|64.78|0.0|64.84|64.85|64.78|64.73|0.0|64.85|0.0|64.84|64.8|64.95|0.0|0.0|64.8|64.85|60.2|69.27|0.0|0.0|64.8|64.84|68.495|57.34|37608|6014938 69307|IMFL|IMFL|46138J437|US46138J4379|Invesco International Developed Dynamic Multifactor ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-6|TXN1-7|TXN4-8|TXN3-2|TXN1-2|10400000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|24.178|0.0|0.0|0.0|24.17|24.16|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|24.178|0.0|24.178|0.0|0.0|0.0|0.0|23.96|24.4|0.0|0.0|0.0|0.0|24.08|24.26|25.355|20.547|9172|6234757 2022|IMGN|IMGN|45253H101|US45253H1014|ImmunoGen Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN6-1|TXN11-8|TXN6-7|TXN5-2|267660000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||29.21|29.22|0.0|29.2|29.22|29.21|29.215|29.22|0.0|0.0|29.22|29.21|29.22|29.22|29.21|29.22|29.2|29.21|29.215|29.22|29.18|29.28|22.57|35.69|29.2|29.25|27.69|30.66|0.0|0.0|29.21|29.22|29.44|3.605|13639548|1318859591 2024|IMKTA|IMKTA|457030104|US4570301048|Ingles Markets Inc|CL A COM 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USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-2|TXN5-6|TXN11-6|TXN5-6|TXN6-4|9400000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||0.91|0.91|0.0|0.0|0.91|0.902|0.89|0.91|0.0|0.0|0.91|0.0|0.9311|0.0|0.0|0.0|0.0|0.89|0.91|0.89|0.8455|0.9772|0.7562|1.11|0.8455|0.9772|0.7562|1.1|0.0|0.0|0.89|0.9311|1.72|0.8448|27388|9447488 7048|IMO|IMO|453038408|CA4530384086|Imperial Oil Limited|Common Stock|Operating company|A|N|Y|A|Y|Y|Y|Y|Y|||Citadel Securities 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ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN6-1|TXN10-2|TXN5-4|TXN5-4|3030000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|26.13|0.0|0.0|26.12|26.14|26.13|26.13|0.0|0.0|0.0|0.0|26.2|0.0|0.0|0.0|0.0|26.14|0.0|26.2|24.36|28.06|0.0|0.0|26.06|26.24|24.36|28.06|0.0|0.0|26.19|26.21|27.2295|23.18|20364|2832387 2032|IMOS|IMOS|16965P202|US16965P2020|Chipmos Technologies 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Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-2|TXN5-3|TXN10-6|TXN5-1|TXN6-3|23900000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y|D|||||0.45|0.4523|0.0|0.469|0.45|0.45|0.4606|0.4602|0.0|0.0|0.4522|0.4688|0.4534|0.469|0.51|0.5|0.469|0.4606|0.4611|0.4534|0.3984|0.5191|0.3644|0.552|0.4295|0.4917|0.3984|0.5191|0.0|0.0|0.4601|0.4611|4.2|0.19|1178525|161567334 72634|IMPP|IMPP|Y3894J187|MHY3894J1872|Imperial Petroleum Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN6-5|TXN12-2|TXN5-6|TXN6-2|17090000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||GRC||||50|5020|502060|50206030|Industrials|Industrial Goods and Services|Industrial Transportation|Marine Transportation|N||N||||||Y|0|Y||||||1.72|1.715|0.0|0.0|1.71|1.715|1.7173|1.71|0.0|0.0|1.715|1.71|1.72|1.76|1.75|1.76|1.75|1.715|0.0|1.72|1.63|1.73|1.37|2.08|1.64|1.72|1.68|1.75|1.7|1.76|1.71|1.72|4.525|0.1504|496631|819457459 72636|IMPPP|IMPPP|Y3894J112|MHY3894J1120|Imperial Petroleum Inc|8.75% CUM PFD A||U|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN6-8|TXN12-7|TXN6-5|TXN5-4|800000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||GRC||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|20.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|18.51|20.52|0.0|0.0|0.0|0.0|19.87|20.0|21.33|18.0|131|546892 58516|IMRN|IMRN|45254U101|US45254U1016|Immuron Ltd|SPONSORED ADR||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN5-5|TXN14-3|TXN6-6|TXN6-7|227800000|||NotApplicable|||||||||||| | | | | | | | | 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Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-6|TXN5-3|TXN14-1|TXN6-1|TXN6-3|8730000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y|C|||||0.3101|0.3175|0.0|0.0|0.314|0.3179|0.325|0.3161|0.0|0.0|0.3175|0.3175|0.324|0.301|0.0|0.32|0.0|0.324|0.3186|0.324|0.3008|0.325|0.248|0.3822|0.3101|0.325|0.272|0.366|0.0|0.0|0.3101|0.325|11.29|0.17|1309006|614860783 67288|INBX|INBX|45720L107|US45720L1070|Inhibrx Inc|COM USD.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN6-2|TXN14-6|TXN5-1|TXN5-5|47290000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||22.74|22.74|0.0|22.93|22.8|22.73|22.72|22.74|0.0|0.0|22.75|22.46|22.74|23.32|23.11|22.69|23.15|22.76|23.24|22.74|22.44|22.99|17.95|27.85|22.48|22.96|22.66|22.8|22.68|22.82|22.71|22.74|32.5|14.305|280359|92895120 74833|INC|INC|92189H755|US92189H7558|VanEck ETF Trust|VanEck Dynamic High Income ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||VanEck Vectors|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-4|TXN4-8|TXN7-8|TXN3-7|TXN4-6|30000|||Monthly|||||2022-11-03||INC.NV|INC.SO|INC.EU|INC.TC|INC.IV| | | | | | | | | |1x|VanEck Dynamic High Income ETF seeks to provide high current income with consideration for capital appreciation by investing, under normal circumstances, in exchange-traded products (ETPs) that are registered under the applicable federal securities laws and that invest in securities that generate income.|N|0|N|N|406C|USA|US|HYBRID|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|25.3647|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|26.0587|0.0|26.0587|0.0|0.0|26.0|26.08|26.0|26.1|24.79|27.32|0.0|0.0|26.0|26.1|27.3617|24.26|1|51125 75821|INCM|INCM|35473P439|US35473P4393|Franklin Templeton ETF Trust|Franklin Income Focus ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Franklin Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-8|TXN4-1|TXN2-8|TXN2-3|TXN2-3|4000000|||Monthly|||||2023-06-08||INCM.NV|INCM.SO|INCM.EU|INCM.TC| | | | | | | | | | ||To seek high current income while maintaining prospects for capital appreciation.|N|0|N|N|416A|USA|US|HYBRID|ACTIVE|||||||||N||N||||||N|0|Y||Y|1|||24.86|24.87|0.0|0.0|24.86|24.87|24.8799|24.87|0.0|0.0|24.85|0.0|24.87|24.88|0.0|0.0|24.86|24.88|0.0|24.88|23.15|26.49|23.15|26.49|24.81|24.96|23.15|26.49|0.0|0.0|24.81|24.96|25.66|23.3584|206709|9454765 38616|INCO|INCO|19762B707|US19762B7073|Columbia ETF Trust II|Columbia India Consumer ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Columbia Management Investment Advisers|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN1-1|TXN8-8|TXN4-4|TXN4-2|2450000|||Yearly|||||2011-08-10||INCO.NV|INCO.SO|INCO.EU|INCO.TC|INCO.IV| | | | | | | | | |1x|The Fund is an exchange-traded fund (ETF). The Fund seeks to achieve its investment objective by attempting to replicate the portfolio of the Consumer Underlying Index through investments in equity securities,including common shares traded on local exchanges, American Depositary Receipts (ADRs) and Global Depositary Receipts (GDRs). ADRs and GDRs represent ownership interests in shares of foreign companies that are held in financial institution custodial accounts, and are traded on exchanges in the United States and around the world.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||58.239|57.1|0.0|0.0|0.0|58.1|58.0932|58.1|0.0|0.0|58.09|0.0|58.14|58.239|0.0|58.239|0.0|58.0932|0.0|58.0932|0.0|0.0|0.0|0.0|58.03|58.23|0.0|0.0|0.0|0.0|57.16|59.01|58.25|43.1601|52061|2793790 71567|INCR|INCR|M549GJ111|IL0011063760|Intercure Ltd|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN5-5|TXN11-4|TXN6-4|TXN6-5|45570000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||ISR||||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||Y|0|Y||||||1.27|1.31|0.0|0.0|1.27|1.27|1.28|1.26|0.0|0.0|1.31|1.3|1.27|1.31|0.0|0.0|0.0|1.28|0.0|1.28|1.05|1.57|1.05|1.57|1.23|1.29|1.05|1.57|0.0|0.0|1.27|1.29|4.86|0.99|71780|11731034 2039|INCY|INCY|45337C102|US45337C1027|Incyte Corp|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN6-5|TXN12-8|TXN5-5|TXN5-2|224110000|||NotApplicable|||||||||||| | | | | | | | | |||N|5|Y|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||54.96|54.95|0.0|54.96|54.96|54.94|54.95|54.96|0.0|0.0|54.95|54.95|54.96|54.94|54.99|54.95|54.95|54.95|54.89|54.96|54.83|54.98|51.67|58.24|54.92|54.98|54.9|54.98|54.89|55.0|54.95|54.96|86.29|50.27|1863846|407073394 39528|INDA|INDA|46429B598|US46429B5984|iShares Trust - iShares MSCI India ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-8|TXN2-8|TXN8-8|TXN1-5|TXN4-2|138700000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||46.845|46.84|0.0|46.92|46.845|46.84|46.85|46.845|0.0|0.0|46.845|46.84|46.845|46.845|46.845|46.845|46.84|46.84|46.845|46.84|46.82|46.85|44.07|50.04|46.84|46.85|44.65|49.35|46.68|46.93|46.84|46.85|47.015|37.765|4106470|590018080 2040|INDB|INDB|453836108|US4538361084|Independent Bank Corp.|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN6-7|TXN11-8|TXN6-2|TXN5-4|43850000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||||||59.87|59.89|0.0|59.88|59.88|60.05|59.84|59.84|0.0|0.0|59.96|60.51|59.86|60.19|59.9|59.91|59.91|59.86|59.85|59.86|59.33|60.52|46.48|74.11|59.76|60.08|59.76|72.58|59.83|0.0|59.86|59.93|91.09|43.283|403669|58235347 76351|INDE|INDE|577130610|US5771306108|Matthews International Funds|Matthews India Active ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Matthews Asia|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-3|TXN3-2|TXN2-8|TXN3-6|TXN3-4|220000|||Yearly|||||2023-09-22||INDE.NV|INDE.SO|INDE.EU|INDE.TC| | | | | | | | | | ||Under normal circumstances, the Matthews India Active ETF seeks to achieve its investment objective by investing at least 80% of its net assets, which include borrowings for investment purposes, in the common stocks, preferred stocks and convertible securities, of any duration or quality, including those that are unrated, or would be below investment grade (referred to as junk bonds) if rated, of companies located in India.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|26.6699|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|26.6592|0.0|26.6592|0.0|0.0|0.0|0.0|26.59|26.72|0.0|0.0|0.0|0.0|26.59|26.72|26.67|24.0081|574|221066 67922|INDF|INDF|301505640|US3015056407|Exchange Traded Concepts Trust|Nifty India Financials ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Exchange Traded Concepts|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN3-3|TXN5-8|TXN2-5|TXN2-8|200000|||Yearly|||||2020-10-21||INDF.NV|INDF.SO|INDF.EU|INDF.TC|INDF.IV| | | | | | | | | |1x|The Nifty India Financials ETF seeks to track the total return performance of the Nifty Financial Services 25/50 Index (the Index). The Index is designed to measure the performance of companies in the Indian financial market, including banks, financial institutions, housing finance, insurance companies and other financial services companies.|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|37.34|0.0|0.0|0.0|0.0|36.7991|34.58|0.0|0.0|0.0|0.0|37.62|0.0|0.0|0.0|0.0|37.3612|0.0|37.3612|29.88|45.21|0.0|0.0|37.29|37.42|29.88|45.21|0.0|0.0|37.29|37.65|37.3612|29.0|7839|207617 64782|INDI|INDI|45569U101|US45569U1016|Indie Semiconductor Inc|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN5-8|TXN13-7|TXN6-2|TXN6-6|161300000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101020|10102010|Technology|Technology|Technology Hardware and Equipment|Semiconductors|N||N||||||Y|0|Y||||||7.59|7.57|0.0|7.26|7.57|7.57|7.575|7.58|0.0|0.0|7.58|7.56|7.58|7.53|7.55|7.58|7.55|7.58|7.55|7.58|7.56|7.61|5.74|9.23|7.56|7.61|7.55|7.61|7.55|7.62|7.57|7.58|11.12|4.67|2263065|500411794 32392|INDL|INDL|25490K331|US25490K3317|Direxion Shares ETF Trust|Direxion Daily MSCI India Bull 2X Shares|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Direxion Shares|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-3|TXN3-1|TXN9-8|TXN1-3|TXN1-8|1249686.25|||Quarterly|||||2010-03-11||INDL.NV|INDL.SO|INDL.EU|INDL.TC|INDL.IV| | | | | | | | | |3x|Direxion Daily India Bull 3X Shares (INDL) seeks daily investment results, before fees and expenses, of 200% of the price performance of the Indus India Index. The Fund seeks daily leveraged investment results and does not seek to achieve its stated investment objective over a period of time greater than one day. The Fund is different and much riskier than most exchange-traded funds.|N|0|N|N|416A|USA|US|EQUITY|LEVERAGED|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||47.32|47.32|0.0|0.0|53.4|52.8|52.9349|52.79|0.0|0.0|53.25|0.0|52.99|52.9|0.0|0.0|0.0|52.9476|49.79429|52.9476|52.67|53.24|0.0|0.0|52.89|53.02|51.38|53.72|51.38|54.53|52.89|53.02|53.4|36.96|23000|3618299 65254|INDO|INDO|G4760X102|KYG4760X1025|Indonesia Energy Corporation Limited|Ordinary Shares|Operating company|A|N|Y|A|Y|Y|Y|Y|Y|||Brendan E. Cryan and Company, L.L.C.|CRYN|0235|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN4-5|TXN3-8|TXN3-3|TXN1-1|10140000|||NotApplicable|||||2019-12-19||||||| | | | | | | | | |||N|0|N|N|134B|IDN|KY|||60|6010|601010|60101010|Energy|Energy|Oil, Gas and Coal|Oil: Crude Producers|N||N||||||N|0|Y||Y|2|||2.86|2.85|0.0|0.0|2.82|2.82|2.8445|2.85|0.0|0.0|2.84|2.85|2.845|0.0|0.0|2.95|2.82|2.82|0.0|2.82|2.33|3.39|2.82|2.86|2.82|2.85|2.33|3.39|0.0|0.0|2.82|2.85|6.93|2.8|58666|46840542 50435|INDP|INDP|45339J105|US45339J1051|Indaptus Therapeutics Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN5-5|TXN10-8|TXN5-8|TXN5-2|8400000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|2.19|2.13|0.0|0.0|0.0|2.19|0.0|2.15|0.0|0.0|0.0|0.0|2.13|0.0|2.13|2.0|2.37|0.0|0.0|2.03|2.33|1.66|2.68|0.0|0.0|2.14|2.25|4.08|1.25|2466|4425004 60982|INDS|INDS|69374H766|US69374H7668|Pacer Funds Trust|Pacer Industrial Real Estate ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Pacer Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN3-3|TXN4-8|TXN3-6|TXN1-7|5300000|||Quarterly|||||2018-05-15||INDS.NV|INDS.SO|INDS.EU|INDS.TC|INDS.IV| | | | | | | | | |1x|The Pacer Benchmark Industrial Real Estate SCTR ETF (the Fund) is an exchange traded fund that seeks to track the total return performance, before fees and expenses, of the Benchmark Industrial Real Estate SCTR Index (the Index).|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||35.99|37.78|0.0|0.0|37.73|37.6|37.74|37.74|0.0|0.0|37.44|0.0|37.78|37.6|0.0|0.0|0.0|37.74|0.0|37.74|0.0|0.0|0.0|0.0|37.74|37.79|0.0|0.0|0.0|0.0|37.74|37.79|43.11|31.498|22768|7285420 75846|INDV|INDV|G4766E116|GB00BN4HT335|Indivior PLC|ORD||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN6-6|TXN11-2|TXN6-1|TXN6-1|137880000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103015|Health Care |Health Care |Pharmaceuticals and Biotechnology|Pharmaceuticals |N||N||||||N|0|Y||||||0.0|16.59|0.0|0.0|0.0|16.935|16.94|0.0|0.0|0.0|0.0|0.0|16.89|0.0|0.0|0.0|0.0|17.0|0.0|17.0|0.0|0.0|0.0|0.0|16.47|17.41|0.0|0.0|0.0|0.0|16.88|17.0|26.5|15.25|23019|1790025 31884|INDY|INDY|464289529|US4642895290|iShares India 50 ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN6-1|TXN14-5|TXN5-6|TXN6-8|15500000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||47.36|47.33|0.0|0.0|47.36|47.36|47.37|47.36|0.0|0.0|47.36|47.33|47.37|47.36|47.36|47.36|0.0|47.31|0.0|47.37|45.04|49.83|44.37|50.78|47.03|47.62|45.04|49.83|0.0|0.0|47.3|47.38|47.55|39.42|49713|15305089 72131|INFA|INFA|45674M101|US45674M1018|Informatica Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-4|TXN3-4|TXN9-6|TXN4-2|TXN2-7|247080000|||NotApplicable|||||2021-10-27||||||| | | | | | | | | |||N|0|Y|Y|180B|USA|US|||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||Y|1|||25.91|25.91|0.0|25.92|25.93|25.93|25.89|25.92|0.0|0.0|25.89|26.0|25.905|25.92|26.01|25.9|26.02|25.92|25.95|25.9|25.9|25.93|24.25|27.47|25.88|25.95|25.88|25.96|25.9|25.97|25.9|25.93|26.04|13.29|860346|107816225 68719|INFL|INFL|53656F623|US53656F6236|Listed Funds Trust|Horizon Kinetics Inflation Beneficiaries ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Horizon Kinetics|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-7|TXN4-3|TXN6-4|TXN1-6|TXN3-1|22950000|||Quarterly|||||2021-01-12||INFL.NV|INFL.SO|INFL.EU|INFL.TC| | | | | | | | | | ||The Horizon Kinetics Inflation Beneficiaries ETF is an actively-managed exchange-traded fund (ETF) that seeks to achieve its investment objective by investing primarily in the equity securities of domestic and foreign companies that are expected to benefit, either directly or indirectly, from rising prices of real assets.|N|0|N|N|412C|USA||EQUITY|ACTIVE|||||||||N||N||||||Y|0|Y||Y|1|||0.0|30.97|0.0|31.1|31.05|31.4|30.98|31.32|0.0|0.0|31.1|31.0|30.965|30.92|31.1|31.32|31.1|30.98|31.03|30.98|29.1|33.12|30.84|31.03|30.95|30.99|30.91|31.03|30.92|31.03|30.95|30.99|33.0|28.5357|77681|46161199 24748|INFN|INFN|45667G103|US45667G1031|Infinera Corp|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN6-1|TXN12-5|TXN5-7|TXN6-3|226920000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||15|1510|151010|15101010|Telecommunications|Telecommunications|Telecommunications Equipment|Telecommunications Equipment|N||N||||||Y|0|Y||||||4.19|4.2|0.0|4.15|4.19|4.2|4.2|4.195|0.0|0.0|4.19|4.19|4.2|4.2|4.18|4.2|4.185|4.2|4.2|4.2|4.18|4.22|3.25|5.12|4.19|4.22|3.9|4.35|4.19|0.0|4.19|4.2|7.8|2.82|2335795|584226799 75028|INFR|INFR|35473P447|US35473P4476|ClearBridge Sustainable Infrastructure ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN5-2|TXN14-8|TXN5-2|TXN5-4|350000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|24.2201|0.0|0.0|0.0|0.0|0.0|24.17|0.0|0.0|0.0|0.0|24.2201|0.0|24.17|0.0|0.0|0.0|0.0|24.02|24.37|0.0|0.0|0.0|0.0|24.16|24.23|26.3694|21.08|241|321437 26787|INFU|INFU|45685K102|US45685K1025|InfuSystem Holdings Inc.|Common stock|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-4|TXN1-3|TXN2-8|TXN1-6|TXN1-5|21180000|||NotApplicable|||||2010-12-23||||||| | | | | | | | | |||N|0|N|N|140A|USA|US|||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||Y|0|Y||Y|2|||10.19|10.27|0.0|0.0|10.11|10.23|10.27|10.225|0.0|0.0|10.2|10.03|10.27|10.1|10.2|10.2|10.31|10.27|10.3|10.31|9.86|10.56|10.24|10.25|10.0|10.48|7.89|12.59|0.0|0.0|10.24|10.25|11.4437|6.68|48582|13133598 2049|INFY|INFY|456788108|US4567881085|Infosys Limited|American Depositary Shares each represented by one Equity Share, par value 5 per share|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-3|TXN4-6|TXN1-7|TXN1-8|TXN3-7|4150440000|||BiAnnually|||||2012-12-12||||||| | | | | | | | | |||N|0|N|Y|306A|IND|IN|||10|1010|101010|10101010|Technology|Technology|Software and Computer Services|Computer Services|N||N||||||Y|0|Y||Y|2|||17.7|17.695|0.0|17.75|17.7|17.695|17.695|17.695|0.0|0.0|17.7|17.7|17.695|17.71|17.71|17.69|17.7|17.695|17.7|17.69|17.69|17.71|13.78|21.81|17.69|17.71|17.67|17.72|17.67|17.71|17.69|17.71|20.15|14.712|5588590|2070699398 7058|ING|ING|456837103|US4568371037|ING Groep N.V.|American Depositary Shares (Each representing one Ordinary Share)|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-1|TXN4-7|TXN6-6|TXN3-7|TXN3-6|3619510000|||BiAnnually|||||1997-06-13||||||| | | | | | | | | |||N|0|N|Y|416A|NLD|NL|||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||Y|2|||14.1|14.09|0.0|14.095|14.1|14.095|14.09|14.1|0.0|0.0|14.095|14.095|14.095|14.105|14.09|14.09|14.1|14.095|14.1|14.09|14.09|14.1|10.85|17.16|14.09|14.1|14.07|14.12|14.07|14.13|14.09|14.1|14.995|11.0|2028576|788386388 2050|INGN|INGN|45780L104|US45780L1044|Inogen Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN6-3|TXN14-7|TXN5-3|TXN6-8|23310000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||Y|0|Y||||||5.65|5.65|0.0|5.78|5.67|5.665|5.68|5.665|0.0|0.0|5.66|5.86|5.68|5.66|5.85|5.66|5.85|5.68|5.66|5.68|5.6|5.73|4.45|6.94|5.61|5.73|5.66|5.7|5.66|5.71|5.67|5.68|26.11|4.13|147397|72834576 5569|INGR|INGR|457187102|US4571871023|Ingredion Incorporated|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|C|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN1-2|TXN8-8|TXN1-7|TXN1-2|65190000|||Quarterly|||||1997-12-11||||||| | | | | | | | | |||N|0|Y|Y|118C|USA|US|||45|4510|451020|45102030|Consumer Staples |Food, Beverage and Tobacco |Food Producers|Fruit and Grain Processing|N||N||||||Y|0|Y||Y|1|||105.92|105.93|0.0|105.79|106.01|105.93|105.79|105.86|0.0|0.0|105.87|106.24|105.75|106.23|106.17|105.77|106.25|105.78|106.52|105.77|105.77|105.83|98.93|112.47|105.34|106.53|105.67|110.97|105.75|105.83|105.77|105.83|113.46|89.54|408151|81738554 39934|INKM|INKM|78467V202|US78467V2025|SSGA Active Trust|SPDR SSgA Income Allocation ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-5|TXN3-1|TXN7-8|TXN3-3|TXN4-8|2440000|||Quarterly|||||2012-04-26||INKM.NV|INKM.SO|INKM.EU|INKM.TC|INKM.IV| | | | | | | | | ||The SPDR SSgA Income Allocation ETF seeks to provide total return by focusing on investments in income and yield-generating assets. SSgA Funds Management, Inc. 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Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-4|TXN5-6|TXN12-8|TXN5-8|TXN6-4|5260000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CAN||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||0.4232|0.422|0.0|0.0|0.4232|0.4282|0.4184|0.422|0.0|0.0|0.42|0.4203|0.4232|0.0|0.0|0.0|0.0|0.4184|0.0|0.4184|0.352|0.5|0.3426|0.5161|0.3921|0.4585|0.352|0.5028|0.0|0.0|0.4183|0.43|3.03|0.2913|95045|193094178 62942|INMB|INMB|45782T105|US45782T1051|INmune Bio Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN5-1|TXN13-6|TXN6-7|TXN5-3|18020000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||9.38|9.37|0.0|0.0|9.32|9.41|9.56|9.48|0.0|0.0|9.55|0.0|9.57|9.46|9.38|9.57|0.0|9.38|0.0|9.57|9.08|9.93|7.23|11.61|9.17|9.9|9.26|11.29|0.0|0.0|9.32|9.6|11.258|5.87|28282|11785570 64256|INMD|INMD|M5425M103|IL0011595993|INMODE LTD|COM USD0.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN6-3|TXN10-6|TXN5-6|TXN6-5|83230000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||ISR||||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||Y|0|Y||||||24.675|24.675|0.0|24.86|24.67|24.675|24.67|24.67|0.0|0.0|24.675|24.68|24.69|24.68|24.675|24.675|24.68|24.67|24.68|24.69|24.64|24.71|19.6|30.12|24.63|24.67|24.64|24.69|24.64|24.69|24.66|24.67|48.25|18.57|1704107|384976058 69765|INMU|INMU|092528207|US0925282073|BlackRock ETF Trust II|BlackRock Intermediate Muni Income Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-1|TXN1-6|TXN9-8|TXN3-2|TXN2-6|1000000|||Monthly|||||2021-03-18||INMU.NV|INMU.SO|INMU.EU|INMU.TC|INMU.IV| | | | | | | | | |1x|The BlackRock Intermediate Muni Income Bond ETF seeks to maximize tax-free current income.|N|0|N|N|408A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|23.375|23.3785|23.375|0.0|0.0|0.0|0.0|0.0|23.37|0.0|0.0|0.0|23.4199|0.0|23.4199|0.0|0.0|0.0|0.0|23.35|23.45|0.0|0.0|0.0|0.0|23.35|23.45|23.7939|22.19|3288|1131125 36534|INN|INN|866082100|US8660821005|Summit Hotel Properties, Inc.|Common Stock|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-7|TXN2-8|TXN5-7|TXN2-8|TXN1-8|107580000|||Quarterly|||||2011-02-09||||||| | | | | | | | | |||N|0|N|Y|400A|USA|US|||35|3510|351020|35102015|Real Estate|Real Estate |Real Estate Investment Trusts|Hotel and Lodging REITs|N||N||||||Y|0|Y||Y|2|||6.54|6.535|0.0|6.5|6.53|6.53|6.53|6.535|0.0|0.0|6.53|6.54|6.53|6.54|6.51|6.52|6.54|6.52|6.515|6.52|6.52|6.53|4.92|7.95|6.51|6.55|6.49|6.56|6.51|6.56|6.52|6.53|8.805|5.31|1245253|214824414 60111|INN PRE|INNpE|866082605|US8660826053|Summit Hotel Properties, Inc.|6.250% Series E Cumulative Redeemable Preferred Stock|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN1-8|TXN4-8|TXN3-6|TXN4-1|6400000|||Quarterly|||||2017-11-14||||||| | | | | | | | | |||N|0|N|N|400A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|20.2|20.39|0.0|0.0|0.0|0.0|0.0|20.28|0.0|0.0|20.42|0.0|20.4|0.0|20.42|20.42|20.6|0.0|0.0|19.99|21.01|0.0|0.0|0.0|0.0|20.42|20.6|23.73|17.03|1827|1809423 71439|INN PRF|INNpF|866082704|US8660827044|Summit Hotel Properties, Inc.|5.875% Series F Cumulative Redeemable Preferred Stock, $0.01 par value per share|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN3-6|TXN2-8|TXN4-7|TXN2-2|4000000|||Quarterly|||||2021-08-16||||||| | | | | | | | | |||N|0|N|N|400A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||19.67|0.0|0.0|0.0|19.74|19.47|19.57|19.56|0.0|0.0|0.0|0.0|19.55|19.59|0.0|19.4|0.0|19.57|0.0|19.4|19.19|19.67|0.0|0.0|18.75|20.15|0.0|0.0|0.0|0.0|19.19|19.67|24.3|16.07|9648|2023875 72721|INNO|INNO|41151J307|US41151J3077|Harbor ETF Trust|Harbor Disruptive Innovation ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Harbor Capital Advisors, Inc.|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-8|TXN4-8|TXN1-5|TXN3-3|TXN3-4|2225000|||Yearly|||||2021-12-02||INNO.NV|INNO.SO|INNO.EU|INNO.TC| | | | | | | | | | |1x|The Fund seeks long-term growth of capital.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|13.48|11.75|0.0|0.0|0.0|0.0|13.33|0.0|0.0|0.0|0.0|13.504|0.0|13.504|0.0|0.0|0.0|0.0|13.5|13.58|0.0|0.0|0.0|0.0|13.5|13.58|14.16|10.5494|1842|2216517 69480|INNV|INNV|45784A104|US45784A1043|InnovAge Holding Corp|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN5-8|TXN13-4|TXN5-1|TXN5-3|135890000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201010|20101025|Health Care |Health Care |Health Care Providers|Health Care Services|N||N||||||Y|0|Y||||||5.89|5.89|0.0|0.0|5.89|5.89|6.0|5.86|0.0|0.0|5.89|0.0|5.96|5.89|0.0|5.89|0.0|5.86|0.0|5.96|5.49|6.18|0.0|0.0|5.73|6.12|4.43|7.18|0.0|0.0|5.85|5.99|8.15|5.04|66991|8388012 7061|INO|INO|45773H201|US45773H2013|Inovio Pharmaceuticals Inc|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-2|TXN5-4|TXN10-2|TXN6-8|TXN5-1|272990000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y|D|||||0.4045|0.405|0.0|0.4038|0.4039|0.405|0.4045|0.4045|0.0|0.0|0.4038|0.405|0.405|0.4035|0.0|0.405|0.4021|0.405|0.4063|0.405|0.394|0.4154|0.312|0.4704|0.4|0.405|0.3799|0.4233|0.4029|0.0|0.4045|0.405|1.99|0.324|1439591|1260995088 2063|INOD|INOD|457642205|US4576422053|Innodata Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN5-4|TXN12-1|TXN5-8|TXN6-4|28710000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101010|10101010|Technology|Technology|Software and Computer Services|Computer Services|N||N||||||N|0|Y||||||0.0|7.18|0.0|7.18|7.19|7.18|7.18|7.16|0.0|0.0|7.16|7.18|7.19|7.18|7.1|7.16|0.0|7.18|7.11|7.19|7.1|7.26|5.52|8.84|7.11|7.25|7.16|7.23|7.16|7.23|7.18|7.19|15.36|2.8|377832|98494675 76534|INOV|INOV|45783Y459|US45783Y4594|Innovator ETFs Trust|Innovator International Developed Power Buffer ETF - November|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Innovator Capital Management |Susquehanna Securities, 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LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-7|TXN4-2|TXN6-8|TXN2-4|TXN2-8|770000|||Yearly|||||2022-04-06||INQQ.NV|INQQ.SO|INQQ.EU|INQQ.TC| | | | | | | | | | |1x|India Internet & Ecommerce ETF (the Fund) seeks to provide investment results that, before fees and expenses, correspond generally to the price and yield performance of INQQ The India Internet & Ecommerce IndexTM (the Index).|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|12.87|13.0601|13.09|0.0|0.0|13.12|0.0|0.0|0.0|0.0|0.0|0.0|13.0958|0.0|13.0958|0.0|0.0|0.0|0.0|13.06|13.13|0.0|0.0|0.0|0.0|13.06|13.43|13.18|9.53|6378|1684118 49090|INSE|INSE|45782N108|US45782N1081|Inspired Entertainment 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Equipment|N||N||||||Y|0|Y||Y|1|||156.21|156.2|0.0|156.28|156.22|156.56|156.17|156.28|0.0|0.0|156.35|156.49|156.2|156.15|156.34|156.2|156.32|156.15|156.21|156.2|156.15|156.2|146.13|166.51|156.02|156.42|155.91|156.43|156.08|156.61|156.15|156.2|330.0|123.27|734575|114747169 71219|INST|INST|457790103|US4577901030|Instructure Holdings, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|A|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN3-6|TXN5-8|TXN3-1|TXN4-8|144700000|||NotApplicable|||||2021-07-22||||||| | | | | | | | | |||N|0|N|Y|180B|USA|US|||40|4020|402010|40201010|Consumer Discretionary|Consumer Products and Services|Consumer Services |Education 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Streicher & Co. L.L.C.|JSCO|3856|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-5|TXN1-7|TXN3-8|TXN1-4|TXN4-4|12160000|||NotApplicable|||||2013-10-15||||||| | | | | | | | | |||N|0|N|N|100A|USA|US|||10|1010|101020|10102020|Technology|Technology|Technology Hardware and Equipment|Production Technology Equipment|N||N||||||Y|0|Y||Y|2|||13.39|13.4|0.0|13.41|13.42|13.36|13.4202|13.42|0.0|0.0|13.27|13.28|13.44|13.386|13.34|13.4|13.39|13.39|13.49|13.39|13.16|13.61|13.42|13.43|13.18|13.58|13.33|13.48|13.33|13.49|13.42|13.43|27.17|9.71|167869|39115722 2081|INTU|INTU|461202103|US4612021034|Intuit Inc.|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|4|0.01|0.01|5000000|1|100|TXN13-3|TXN6-7|TXN10-2|TXN5-4|TXN6-4|279940000|||NotApplicable|||||||||||| | | | | | | | | |||N|5|Y|N||USA||||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||||||570.92|570.63|0.0|570.63|570.79|570.515|570.5|570.6|0.0|0.0|570.89|569.47|570.47|570.58|570.88|570.93|569.87|570.68|569.66|570.47|570.12|571.05|532.96|600.67|570.2|571.06|570.01|571.1|0.0|0.0|570.63|570.7|599.0|370.62|1335831|364408993 2084|INTZ|INTZ|46121E205|US46121E2054|Intrusion Inc|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-2|TXN5-8|TXN11-7|TXN6-5|TXN6-5|34400000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||||||0.3319|0.3321|0.0|0.0|0.3386|0.3361|0.3339|0.3339|0.0|0.0|0.329|0.328|0.3324|0.0|0.0|0.0|0.0|0.3399|0.0|0.3324|0.2616|0.3991|0.2616|0.3991|0.3214|0.3466|0.2616|0.3991|0.0|0.0|0.328|0.3399|4.08|0.27|174287|100282934 9507|INUV|INUV|46122W204|US46122W2044|Inuvo, Inc|Common Stock|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN10-2|TXN1-8|TXN6-8|TXN4-3|TXN4-2|137980000|||NotApplicable|||||2005-03-03||||||| | | | | | | | | |||N|0|N|N|310A|USA|US|||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||N|0|Y||Y|2|||0.3071|0.2969|0.0|0.0|0.308|0.3|0.302|0.3095|0.0|0.0|0.3051|0.3|0.305|0.304|0.0|0.3|0.302|0.302|0.304|0.302|0.2897|0.3162|0.302|0.305|0.2904|0.31|0.2897|0.3245|0.292|0.313|0.302|0.305|0.51|0.1228|333378|120866801 4003|INVA|INVA|45781M101|US45781M1018|Innoviva Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN6-1|TXN10-2|TXN5-5|TXN6-4|64090000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103015|Health Care |Health Care |Pharmaceuticals and Biotechnology|Pharmaceuticals |N||N||||||Y|0|Y||||||14.37|14.39|0.0|14.28|14.38|14.375|14.39|14.37|0.0|0.0|14.38|14.38|14.39|14.38|14.35|14.35|14.39|14.39|14.36|14.39|14.37|14.42|11.19|17.51|14.37|14.41|14.35|14.41|14.34|14.42|14.37|14.39|14.44|10.64|670241|151902741 3581|INVE|INVE|45170X205|US45170X2053|Identiv Inc|COM 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USD0.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN5-3|TXN11-6|TXN5-1|TXN6-8|65880000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||DNK||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y|C|||||1.22|1.18|0.0|0.0|1.22|1.22|1.2175|1.21|0.0|0.0|1.18|0.0|1.22|1.167|1.25|0.0|1.18|1.22|0.0|1.22|0.96|1.45|0.96|1.45|1.16|1.3|0.96|1.45|1.14|1.25|1.17|1.22|3.3|0.8163|108563|28728111 71883|IOCT|IOCT|45782C631|US45782C6315|Innovator ETFs Trust|Innovator International Developed Power Buffer ETF - October|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Innovator Capital Management |Susquehanna Securities, 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The Index, constructed and maintained by S&P Dow Jones Indices LLC, consists of companies domiciled globally engaged in the mining of lithium, nickel, or cobalt, which are base metals used to produce batteries. The Index is comprised of constituents which derived positive revenue and had positive production value from, in aggregate, the mining of lithium, nickel, and cobalt over the previous year. 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LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN1-1|TXN5-3|TXN1-2|TXN3-8|57700000|||BiAnnually|||||2007-12-05||IOO.NV|IOO.SO| | |IOO.IV| | | | | | | | | |1x|The iShares Global 100 ETF (the Fund) seeks to track the investment results of an index composed of 100 large-capitalization global equities. 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LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-5|TXN2-1|TXN6-3|TXN3-6|TXN4-5|179290000|||NotApplicable|||||2021-12-15||||||| | | | | | | | | |||N|0|N|Y|180B|USA|US|||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||Y|2|||34.3|34.3|0.0|34.14|34.29|34.295|34.29|34.295|0.0|0.0|34.29|34.22|34.29|34.29|34.265|34.3|34.21|34.29|34.26|34.3|34.29|34.3|26.7|42.0|34.23|34.33|34.23|34.32|34.2|34.36|34.29|34.3|35.69|10.48|7735876|714717343 43259|IOVA|IOVA|462260100|US4622601007|Iovance Biotherapeutics Inc|COM 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LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-5|TXN4-5|TXN9-1|TXN3-1|TXN4-2|346020000|||Quarterly|||||1941-10-06||||||| | | | | | | | | |||N|5|Y|Y|138A|USA|US|||55|5510|551010|55101015|Basic Materials|Basic Resources|Industrial Materials|Paper|N||N||||||Y|0|Y||Y|1|||37.35|37.355|0.0|37.28|37.35|37.355|37.36|37.36|0.0|0.0|37.37|37.34|37.36|37.36|37.36|37.36|37.34|37.36|37.345|37.36|37.35|37.36|35.03|39.67|37.33|37.37|37.32|37.39|37.32|37.37|37.35|37.36|41.89|29.005|4714851|727479967 60669|IPA|IPA|45257F200|CA45257F2008|ImmunoPrecise Antibodies Ltd|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN5-8|TXN11-2|TXN6-4|TXN6-1|25050000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CAN||||20|2010|201020|20102020|Health Care |Health Care |Medical Equipment and Services|Medical Services|N||N||||||Y|0|Y||||||1.63|1.61|0.0|0.0|1.6|1.62|1.6344|1.61|0.0|0.0|1.62|1.64|1.62|0.0|0.0|0.0|0.0|1.6344|0.0|1.6344|1.52|1.71|1.27|1.99|1.48|1.74|1.26|1.9|0.0|0.0|1.58|1.64|5.9|1.1361|51098|14015956 44430|IPAC|IPAC|46434V696|US46434V6965|iShares Trust|iShares Core MSCI Pacific ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-3|TXN4-2|TXN7-7|TXN1-4|TXN2-7|30300000|||BiAnnually|||||2014-06-12||IPAC.NV|IPAC.SO|IPAC.EU|IPAC.TC|IPAC.IV| | | | | | | | | |1x|The iShares Core MSCI Pacific ETF seeks to track the investment results of an index composed of Pacific region developed market large, mid and small capitalization equities.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||57.24|57.2|0.0|0.0|57.21|57.29|57.26|57.2|0.0|0.0|57.23|0.0|57.24|57.21|57.59|57.31|0.0|57.24|0.0|57.24|54.57|60.15|53.51|61.06|57.19|57.25|54.57|60.15|0.0|0.0|57.19|57.25|59.63|52.93|93843|30334169 2090|IPAR|IPAR|458334109|US4583341098|Inter Parfums Inc|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN6-8|TXN14-8|TXN6-2|TXN5-2|31980000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4020|402040|40204035|Consumer Discretionary|Consumer Products and Services|Personal Goods|Cosmetics|N||N||||||N|0|Y||||||0.0|132.87|0.0|131.82|0.0|132.78|132.95|132.96|0.0|0.0|132.6|132.71|132.96|132.87|0.0|131.6|0.0|132.96|0.0|132.96|131.29|134.2|132.59|133.23|131.4|134.18|132.59|133.21|132.57|133.23|132.86|132.96|161.17|91.53|138359|29304243 50308|IPAY|IPAY|26924G409|US26924G4091|ETF Managers Trust|ETFMG Prime Mobile Payments ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ETF Managers Group|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-8|TXN1-6|TXN9-6|TXN2-3|TXN3-7|8150000|||Quarterly|||||2015-07-16||IPAY.NV|IPAY.SO|IPAY.EU|IPAY.TC|IPAY.IV| | | | | | | | | |1x|The Index, which the Fund tracks, has been created to provide investors with a product allowing them to quickly take advantage of both event-driven news and long term trends of the mobile and electronic payments industry. The Index uses a modified linear weighted methodology. The resulting distribution allows all components to be adequately represented in the index. Index components are reviewed semi-annually for eligibility, and the weights are re-set accordingly. Funds may not apply, and may not be nominated, for inclusion in the Index. Companies are added or removed by the ISE based on the methodology described herein. Whenever possible, ISE will publicly announce changes to the index on its website at least five trading days in advance of the actual change.The Index is calculated and maintained by Solactive AG based on a methodology developed by the International Securities Exchange.The ISE Mobile/Electronic PaymentsTM Index is calculated on a price and total return basis. The price and total return Indexes are calculated in real-time and disseminated via an exchange feed and/or market data vendors every day the U.S. equity markets are open. 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Cryan and Company, L.L.C.|CRYN|0235|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-7|TXN1-8|TXN6-8|TXN2-6|TXN4-8|1500000|||BiAnnually|||||2004-01-16|2033-05-15|||||| | | | | | | | | |||N|0|N|N|416A||US|||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|25.2|25.12|24.5|0.0|0.0|24.9|0.0|0.0|0.0|0.0|0.0|25.2|25.2|0.0|25.2|0.0|0.0|24.85|25.2|24.8|25.2|0.0|0.0|0.0|0.0|24.85|25.2|26.11|22.8001|4810|525029 41571|IPDN|IPDN|74312Y301|US74312Y3018|Professional Diversity Network Inc|COM USD0.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN5-5|TXN10-7|TXN6-1|TXN6-1|11070000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502050|50205025|Industrials|Industrial Goods and Services|Industrial Support Services|Business Training and Employment Agencies|N||N||||||N|0|Y||||||2.0|0.0|0.0|0.0|0.0|2.03|2.02|2.02|0.0|0.0|0.0|0.0|2.03|1.99|0.0|0.0|0.0|2.02|0.0|2.02|1.88|2.13|1.54|2.52|1.91|2.13|1.64|2.38|2.02|0.0|2.02|2.06|7.7714|0.4601|90085|24194476 73618|IPDP|IPDP|53656F193|US53656F1930|Dividend Performers ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-5|TXN2-3|TXN6-8|TXN4-3|TXN3-4|1170000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|16.5|0.0|0.0|0.0|0.0|16.47|0.0|0.0|0.0|16.47|0.0|16.47|0.0|0.0|16.47|16.47|16.5|0.0|16.5|16.28|16.55|16.47|16.52|16.45|16.62|0.0|0.0|0.0|0.0|16.5|16.55|16.5|13.0032|2757|437171 7076|IPG|IPG|460690100|US4606901001|The Interpublic Group of Companies, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-6|TXN3-3|TXN1-4|TXN4-4|TXN3-2|383000000|||Quarterly|||||1971-08-23||||||| | | | | | | | | |||N|5|Y|Y|104C|USA|US|||40|4030|403010|40301020|Consumer Discretionary|Media|Media|Media Agencies|N||N||||||Y|0|Y||Y|1|||31.49|31.49|0.0|31.15|31.49|31.5|31.5|31.49|0.0|31.68|31.495|31.495|31.5|31.5|31.495|31.5|31.5|31.5|31.5|31.5|31.5|31.51|29.56|33.64|31.49|31.53|31.47|31.53|31.47|31.53|31.5|31.51|40.95|27.2|3282053|963591744 18428|IPGP|IPGP|44980X109|US44980X1090|IPG Photonics Corp|COM USD.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN5-6|TXN10-7|TXN6-7|TXN6-1|46920000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||USA||||10|1010|101020|10102020|Technology|Technology|Technology Hardware and Equipment|Production Technology Equipment|N||N||||||Y|0|Y||||||98.62|98.59|0.0|98.22|98.6|98.615|98.53|98.63|0.0|0.0|97.67|98.59|98.53|97.83|97.83|98.49|0.0|98.53|97.69|98.53|97.59|99.38|92.07|103.93|97.81|98.61|98.37|98.7|0.0|0.0|98.53|98.61|141.85|83.0|180983|56155992 64866|IPHA|IPHA|45781K204|US45781K2042|Innate Pharma SA|ADR SPONSORED||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN6-2|TXN10-7|TXN5-4|TXN6-4|80650000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||FRA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||0.0|2.38|0.0|0.0|2.45|2.4|2.375|0.0|0.0|0.0|0.0|0.0|2.38|0.0|0.0|0.0|0.0|2.38|0.0|2.38|2.38|2.46|0.0|0.0|2.38|2.46|1.94|2.97|0.0|0.0|2.38|2.45|3.97|1.81|2242|3379286 27764|IPI|IPI|46121Y201|US46121Y2019|Intrepid Potash, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|L|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN3-5|TXN6-8|TXN1-6|TXN4-6|13160000|||Adhoc|||||2008-04-22||||||| | | | | | | | | |||N|0|N|Y|130E|USA|US|||55|5520|552010|55201015|Basic Materials|Chemicals|Chemicals|Fertilizers|N||N||||||Y|0|Y||Y|2|||19.98|20.02|0.0|20.04|20.02|20.0|20.0|20.035|0.0|0.0|20.04|20.0|20.03|19.96|20.06|20.04|20.31|20.0|20.03|20.04|20.03|20.06|15.52|24.91|19.95|20.13|19.0|21.34|20.0|20.06|20.03|20.06|36.46|17.23|104545|38300096 43621|IPKW|IPKW|46138E644|US46138E6445|Invesco International BuyBack Achievers ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN5-7|TXN13-1|TXN6-4|TXN5-4|2100000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||0.0|36.33|0.0|0.0|0.0|36.33|36.3342|36.34|0.0|0.0|36.33|0.0|36.3733|0.0|36.33|0.0|0.0|36.37|0.0|36.3733|0.0|0.0|0.0|0.0|36.33|36.61|0.0|0.0|0.0|0.0|36.33|36.41|37.33|32.22|157042|5292208 42889|IPO|IPO|759937204|US7599372049|Renaissance Capital Greenwich Funds|Renaissance IPO ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Renaissance Capital|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-7|TXN3-4|TXN5-8|TXN2-4|TXN2-8|5350000|||Quarterly|||||2013-10-16||IPO.NV|IPO.SO|IPO.EU|IPO.TC|IPO.IV| | | | | | | | | |1x|The Renaissance IPO ETF (the Fund) seeks to replicate the Renaissance IPO Index (the Index). The Index, designed by IPO research firm Renaissance Capital, is a diversified portfolio of newly public companies whose unseasoned equities are under-represented in broad U.S. benchmark indices. IPOs that meet liquidity and operational screens, are included in the Index at the end of the fifth day of trading, or upon quarterly reviews, weighted by tradable float, capped at 10% and removed after two years. The Index is constructed using a transparent rules-based methodology.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||34.69|34.69|0.0|0.0|34.77|34.6|34.755|33.18|0.0|0.0|33.7|33.68|34.7|34.64|0.0|0.0|0.0|34.69|0.0|34.69|34.63|34.78|26.56|42.86|34.69|34.71|34.68|34.73|0.0|0.0|34.69|34.71|36.7|23.62|31282|15388999 46113|IPOS|IPOS|759937303|US7599373039|Renaissance Capital Greenwich Funds|Renaissance International IPO ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Renaissance Capital|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN4-8|TXN1-5|TXN1-3|TXN4-5|400001|||Quarterly|||||2014-10-07||IPOS.NV|IPOS.SO|IPOS.EU|IPOS.TC|IPOS.IV| | | | | | | | | |1x|The Renaissance International IPO ETF tracks a portfolio of companies that have recently completed an IPO on a non-U.S. exchange. |N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||13.68|13.66|0.0|0.0|13.68|13.67|13.65|13.67|0.0|0.0|0.0|0.0|13.67|13.68|13.68|0.0|0.0|13.7|0.0|13.7|12.69|14.66|0.0|0.0|13.66|13.71|12.69|14.66|0.0|0.0|13.66|13.71|18.465|12.4941|11500|262971 73627|IPPP|IPPP|53656F219|US53656F2193|Preferred Plus ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN1-8|TXN5-8|TXN3-3|TXN4-4|1200000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|9.4999|0.0|0.0|0.0|0.0|9.38|9.38|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|9.4999|0.0|9.4999|0.0|0.0|0.0|0.0|9.39|9.54|0.0|0.0|0.0|0.0|9.45|9.54|10.32|8.14|3|578075 70900|IPSC|IPSC|15673T100|US15673T1007|Century Therapeutics Inc|COM USD.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN6-6|TXN13-7|TXN5-8|TXN5-3|59840000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||1.615|1.63|0.0|0.0|1.395|1.63|1.6|1.65|0.0|0.0|1.62|1.58|1.61|1.641|1.56|1.65|1.63|1.61|1.58|1.61|1.55|1.68|1.28|2.01|1.55|1.67|1.58|1.64|1.57|1.65|1.6|1.61|10.8|1.28|135963|31557306 70389|IPVF|IPVF|46064R106|US46064R1068|InterPrivate III Financial Partners Inc.|Class A Common Stock|Special purpose acquisition company|A|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-8|TXN3-6|TXN9-8|TXN2-1|TXN4-5|1350000|||NotApplicable|||||2023-02-16||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|11.24|0.0|0.0|11.24|0.0|0.0|10.71|11.24|10.49|11.48|0.0|0.0|0.0|0.0|10.71|11.63|11.92|9.99|3|563126 70390|IPVF WS|IPVF.WS|46064R114|US46064R1142|InterPrivate III Financial Partners Inc.|Warrants, each whole warrant exercisable for one share of Class A common stock, each at an exercise price of $11.50 per share|Special purpose acquisition company|C|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN10-7|TXN2-2|TXN9-8|TXN3-7|TXN1-4|0|||NotApplicable|||||2023-02-16||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||||||||||N||N||||||N|0|Y||N||||0.0|0.0|0.0|0.0|0.0|0.0107|0.01|0.0103|0.0|0.0|0.01|0.0|0.0101|0.0|0.0|0.0|0.0101|0.0101|0.0|0.0101|0.0|0.0|0.01|0.0235|0.01|0.035|0.0|0.0|0.0|0.0|0.01|0.0235|0.2848|0.0051|80000|1104403 69466|IPVF U|IPVF.U|46064R205|US46064R2058|InterPrivate III Financial Partners Inc.|Units, each consisting of one share of Class A common stock and one-fifth of one redeemable warrant|Special purpose acquisition company|R|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-8|TXN1-4|TXN7-8|TXN1-1|TXN3-8|0|||NotApplicable|||||2023-02-16||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.6|14.19|10.59|11.61|10.59|11.78|8.48|14.19|0.0|0.0|10.59|11.61|11.91|9.96|0|107293 70520|IPW|IPW|46265P107|US46265P1075|iPower Inc|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-7|TXN5-4|TXN13-6|TXN5-8|TXN6-7|29760000|||NotApplicable|||||||||||| | | | | | | | | 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|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|8.95|8.87|0.0|0.0|0.0|0.0|8.75|8.87|8.9|0.0|0.0|0.0|8.87|0.0|8.87|8.22|9.55|0.0|0.0|8.4|9.45|7.19|10.9|0.0|0.0|8.7|9.04|13.9|7.01|3681|3398367 74175|IPX|IPX|44916E100|US44916E1001|IperionX Limited|ADR||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN5-1|TXN12-4|TXN5-5|TXN6-8|218720000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||AUS||||55|5510|551020|55102050|Basic Materials|Basic Resources|Industrial Metals and Mining|Nonferrous Metals|N||N||||||N|0|Y||||||9.04|0.0|0.0|0.0|0.0|9.035|9.01|9.15|0.0|0.0|9.03|0.0|9.06|0.0|0.0|0.0|0.0|9.035|0.0|9.035|7.06|11.27|7.06|11.27|8.8|9.27|7.06|11.27|0.0|0.0|9.01|9.06|18.57|4.45|10120|19070097 76022|IPXX|IPXX|G4790U102|KYG4790U1022|Inflection Point Acquisition Corp. II|ORD||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN6-2|TXN14-3|TXN5-6|TXN5-7|25000000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|10.2903|0.0|0.0|0.0|0.0|0.0|10.3|0.0|0.0|0.0|0.0|10.2903|0.0|10.2903|0.0|0.0|0.0|0.0|9.61|10.99|0.0|0.0|0.0|0.0|10.29|10.3|10.305|10.07|1803|8657689 75786|IPXXU|IPXXU|G4790U128|KYG4790U1287|Inflection Point Acquisition Corp. II|UNITS||R|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN6-4|TXN12-7|TXN5-5|TXN5-3|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.38|0.0|0.0|0.0|0.0|10.35|0.0|10.35|0.0|0.0|0.0|0.0|9.67|11.07|0.0|0.0|0.0|0.0|10.35|10.38|11.14|10.05|108|15879255 76023|IPXXW|IPXXW|G4790U110|KYG4790U1105|Inflection Point Acquisition Corp. II|WT EXP 083129||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-4|TXN6-6|TXN12-2|TXN5-8|TXN6-8|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y|C|||||0.0|0.0|0.0|0.0|0.0|0.1631|0.150001|0.15|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.150001|0.0|0.150001|0.0|0.0|0.0|0.0|0.13|0.0|0.0|0.0|0.0|0.0|0.13|0.17|1.0|0.1217|634422|3813320 60843|IQ|IQ|46267X108|US46267X1081|iQIYI Inc|ADS||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN6-4|TXN10-5|TXN6-3|TXN5-6|3655760000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||40|4030|403010|40301010|Consumer Discretionary|Media|Media|Entertainment|N||N||||||Y|0|Y||||||4.46|4.46|0.0|4.48|4.47|4.46|4.465|4.46|0.0|0.0|4.46|4.46|4.46|4.465|4.47|4.46|4.465|4.46|4.465|4.46|4.46|4.47|4.43|5.43|4.46|4.47|4.43|4.5|4.45|4.5|4.46|4.47|7.9889|3.02|8214229|2798964597 41838|IQDE|IQDE|33939L811|US33939L8110|FlexShares Trust|FlexShares International Quality Dividend Defensive Index Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Northern Trust Investments|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-2|TXN4-3|TXN8-8|TXN3-3|TXN3-1|1300001|||Quarterly|||||2013-04-16||IQDE.NV|IQDE.SO|IQDE.EU|IQDE.TC|IQDE.IV| | | | | | | | | |1x|The Fund seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the Northern Trust International Quality DividendDefensive IndexSM (the Underlying Index). The Underlying Index is designed to provide exposure to a high-quality, income-oriented portfolio of international equity securities issued by non-U.S.-based companies, with an emphasis on long-term capital growth and a targeted overall volatility that is lower than that of the Northern Trust International Large Cap IndexSM (the Parent Index). Companies included in the Underlying Index are a subset of the Parent Index, and are selected based on expected dividend payment and fundamental factors such as profitability, management expertise and cash flow, as determined by NTI (in its capacity as the index provider (the Index Provider)), pursuant to its index methodology.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|20.23|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|20.3583|0.0|20.3583|20.34|20.41|0.0|0.0|20.33|20.38|0.0|0.0|0.0|0.0|20.33|20.38|20.8615|18.7179|8|706032 41837|IQDF|IQDF|33939L837|US33939L8375|FlexShares Trust|FlexShares International Quality Dividend Index Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Northern Trust Investments|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-7|TXN2-5|TXN8-8|TXN3-2|TXN3-6|23800001|||Quarterly|||||2013-04-16||IQDF.NV|IQDF.SO|IQDF.EU|IQDF.TC|IQDF.IV| | | | | | | | | |1x|The Fund seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the Northern Trust International Quality Dividend IndexSM (the Underlying Index). The Underlying Index is designed to provide exposure to a high-quality, income-oriented portfolio of international equity securities issued by non-U.S.-based companies, with an emphasis on long-term capital growth and a targeted overall volatility similar to that of the Northern Trust International Large Cap IndexSM (the Parent Index). Companies included in the Underlying Index are a subset of the Parent Index, and are selected based on expected dividend payment and fundamental factors such as profitability, management expertise and cash flow, as determined by NTI (in its capacity as the index provider (the Index Provider)), pursuant to its index methodology. |N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||22.54|22.52|0.0|0.0|22.52|22.52|22.535|22.56|0.0|0.0|22.54|0.0|22.52|22.52|0.0|22.52|0.0|22.535|22.56|22.535|22.52|23.81|17.44|27.77|22.52|22.55|21.23|23.81|22.42|22.54|22.52|22.55|23.07|20.36|156673|17979877 52858|IQDG|IQDG|97717X131|US97717X1312|WisdomTree International Quality Dividend Growth Fund|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-5|TXN3-6|TXN7-5|TXN4-8|TXN4-1|26600000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||34.24|34.29|0.0|0.0|34.12|34.29|34.31|0.0|0.0|0.0|34.25|0.0|34.25|34.29|0.0|34.23|0.0|34.29|0.0|34.29|31.91|36.67|31.91|36.67|34.29|34.45|31.91|36.67|0.0|0.0|34.29|34.45|35.48|30.43|100929|31031821 41839|IQDY|IQDY|33939L829|US33939L8292|FlexShares Trust|FlexShares International Quality Dividend Dynamic Index Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Northern Trust Investments|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-3|TXN3-8|TXN8-8|TXN4-6|TXN3-2|2700001|||Quarterly|||||2013-04-16||IQDY.NV|IQDY.SO|IQDY.EU|IQDY.TC|IQDY.IV| | | | | | | | | |1x|The Fund seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the Northern Trust International Quality DividendDynamic IndexSM (the Underlying Index). The Underlying Index is designed to provide exposure to a high-quality, income-oriented portfolio of international equity securities issued by non-U.S.-based companies, with an emphasis on long-term capital growth and a targeted overall volatility that is greater than that of the Northern Trust International Large Cap IndexSM (the Parent Index). Companies included in the Underlying Index are a subset of the Parent Index, and are selected based on expected dividend payment and fundamental factors such as profitability, management expertise and cash flow, as determined by NTI (in its capacity as the index provider (the Index Provider)), pursuant to its index methodology.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|26.9299|0.0|0.0|0.0|27.03|0.0|0.0|0.0|0.0|0.0|0.0|26.9|0.0|26.9|0.0|0.0|0.0|0.0|26.9|26.95|0.0|0.0|0.0|0.0|26.9|26.95|27.65|23.86|3731|6172898 74784|IQHI|IQHI|45409F736|US45409F7362|IndexIQ Active ETF Trust|IQ MacKay ESG High Income ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||IndexIQ |Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-4|TXN4-7|TXN4-8|TXN2-8|TXN3-7|3300000|||Monthly|||||2022-10-25||IQHI.NV|IQHI.SO|IQHI.EU|IQHI.TC|IQHI.IV| | | | | | | | | |2x|The Fund seeks to maximize current income, while incorporating the Subadvisors ESG investment strategy.|N|0|N|N|406B|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|25.945|0.0|25.945|25.68|26.3|0.0|0.0|25.86|26.04|24.11|27.76|0.0|0.0|24.11|26.03|26.45|24.825|0|2431116 7087|IQI|IQI|46133G107|US46133G1076|Invesco Quality Municipal Income Trust|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN2-3|TXN6-8|TXN2-1|TXN1-6|52880000|||Monthly|||||1992-09-22||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||9.31|9.32|0.0|9.31|9.31|9.315|9.32|9.315|0.0|0.0|9.32|9.32|9.32|9.32|0.0|9.33|9.33|9.32|0.0|9.33|9.31|9.33|7.18|11.41|8.69|9.92|9.29|9.34|9.3|9.33|9.31|9.32|10.38|8.05|278490|26338449 62623|IQIN|IQIN|45409B362|US45409B3621|IndexIQ ETF Trust|IQ 500 International ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||IndexIQ |Old Mission Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-7|TXN4-3|TXN1-5|TXN2-7|TXN1-7|6400000|||BiAnnually|||||2018-12-13||IQIN.NV|IQIN.SO|IQIN.EU|IQIN.TC|IQIN.IV| | | | | | | | | |1x|The Fund seeks investment results that correspond (before fees and expenses) generally to the price and yield performance of its underlying index, the IQ 500 International Index.|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|31.83|31.8372|0.0|0.0|0.0|0.0|0.0|31.83|0.0|0.0|0.0|0.0|31.8372|0.0|31.8372|0.0|0.0|0.0|0.0|31.83|31.87|0.0|0.0|0.0|0.0|31.83|31.87|32.51|28.2|10948|2655274 49207|IQLT|IQLT|46434V456|US46434V4564|iShares Trust|iShares MSCI Intl Quality Factor ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-5|TXN4-1|TXN7-2|TXN3-4|TXN4-2|193400000|||BiAnnually|||||2015-01-15||IQLT.NV|IQLT.SO|IQLT.EU|IQLT.TC|IQLT.IV| | | | | | | | | |1x|Fund: The iShares MSCI International Developed Quality Factor ETF (the Fund) seeks to track the investment results of an index that measures the performance of international developed large- and mid-capitalization stocks exhibiting relatively higher quality characteristics as identified through three fundamental variables: return on equity, earnings variability and debt-to-equity.Index: The Fund seeks to track the investment results of the MSCI World ex USA Sector Neutral Quality Index (the Underlying Index), which is based on a traditional market capitalization weighted parent index, the MSCI World ex USA Index, which includes equity securities in the top 85% of equity market capitalization in certain developed market countries, excluding the U.S. The Underlying Index seeks to capture the performance of stocks deemed by MSCI Inc. (MSCI) to be quality stocks by identifying common stocks with high quality scores based on three main fundamental variables: high return on equity, stable year-over-year earnings growth and low financial leverage, while maintaining reasonably high trading liquidity, investment capacity and moderate index turnover. The Underlying Index is rebalanced quarterly.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||35.92|35.92|0.0|0.0|35.92|35.93|35.9163|35.925|0.0|0.0|35.92|35.91|35.92|35.89|35.91|35.91|35.89|35.93|35.91|35.93|35.91|35.94|35.77|36.32|35.91|35.93|35.91|35.98|35.91|35.98|35.91|35.93|36.615|32.077|731281|281114510 65682|IQM|IQM|35473P512|US35473P5127|Franklin Intelligent Machines ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-7|TXN2-2|TXN8-8|TXN1-8|TXN3-5|450000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||46.2|47.36|0.0|0.0|46.2|47.11|47.0008|46.79|0.0|0.0|47.23|0.0|46.82|47.36|47.23|47.23|0.0|47.36|0.0|47.36|37.97|56.68|0.0|0.0|47.34|47.5|37.97|56.68|0.0|0.0|47.34|47.5|51.52|35.3853|43597|860271 75681|IQRA|IQRA|45409F710|US45409F7107|IndexIQ Active ETF Trust|IQ CBRE Real Assets ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||IndexIQ |Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN4-8|TXN6-8|TXN4-1|TXN3-3|200000|||Quarterly|||||2023-05-10||IQRA.NV|IQRA.SO|IQRA.EU|IQRA.TC|IQRA.IV| | | | | | | | | ||The Fund seeks total return through capital growth and current income.|N|0|N|N|406B|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|24.2098|0.0|24.2098|0.0|0.0|0.0|0.0|24.18|24.24|0.0|0.0|0.0|0.0|24.18|24.24|25.3265|21.2192|0|24374 65238|IQSI|IQSI|45409B453|US45409B4538|IndexIQ ETF Trust|IQ Candriam International Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||IndexIQ |Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-4|TXN4-7|TXN9-8|TXN4-8|TXN4-4|7175000|||Quarterly|||||2019-12-17||IQSI.NV|IQSI.SO|IQSI.EU|IQSI.TC|IQSI.IV| | | | | | | | | |1x|The Fund employs a passive management or indexing investment approach designed to track the performance of the Underlying Index, which was developed by IndexIQ LLC (IndexIQ) with Candriam Belgium S.A. (Candriam) acting as index consultant to IndexIQ. The Underlying Index is designed to deliver exposure to equity securities of companies meeting environmental, social and corporate governance (ESG) criteria developed by Candriam and weighted using a market-capitalization weighting methodology. As of October 31, 2019, the market capitalization range of the Underlying Index was approximately $2 billion to $228 billion.|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|27.24|25.51|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|27.049|0.0|27.049|26.97|27.1|0.0|0.0|27.03|27.06|0.0|0.0|0.0|0.0|27.03|27.06|28.04|24.45|118|2191131 74783|IQSM|IQSM|45409B248|US45409B2482|IndexIQ ETF Trust|IQ Candriam U.S. Mid Cap Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||IndexIQ |Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN3-5|TXN6-8|TXN1-1|TXN3-4|6350000|||Quarterly|||||2022-10-25||IQSM.NV|IQSM.SO|IQSM.EU|IQSM.TC|IQSM.IV| | | | | | | | | ||The Fund seeks investmetn results that correspond (beofre fees and expenses) generall to the price and yiueld performance of its underlying index, the IQ Candriam ESG U.S. Mid Cap Equity Index.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|28.5002|0.0|28.5002|28.21|28.79|0.0|0.0|28.47|28.53|26.34|30.32|0.0|0.0|28.47|28.53|29.7336|24.6474|0|6779010 65237|IQSU|IQSU|45409B461|US45409B4611|IndexIQ ETF Trust|IQ Candriam U.S. Large Cap Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||IndexIQ |Old Mission Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-2|TXN2-8|TXN7-8|TXN4-5|TXN3-6|9200000|||Quarterly|||||2019-12-17||IQSU.NV|IQSU.SO|IQSU.EU|IQSU.TC|IQSU.IV| | | | | | | | | |1x|The Fund employs a passive management or indexing investment approach designed to track the performance of the Underlying Index, which was developed by IndexIQ LLC (IndexIQ) with Candriam Belgium S.A. (Candriam) acting as index consultant to IndexIQ. The Underlying Index is designed to deliver exposure to equity securities of companies meeting environmental, social and corporate governance (ESG) criteria developed by Candriam and weighted using a market capitalization weighting methodology. As of October 31, 2019, the market capitalization range of the Underlying Index was approximately $3 billion to $1.1 trillion.The first step in the ESG security selection process combines a sector-specific analysis and ranking of issuer-specific factors, including corporate governance, environmental impact, and labor practices, along with a macro analysis of the issuers exposure to global sustainability trends, including climate change, resource depletion, and health and wellness. This sector-specific analysis evaluates companies within the same sector against each other, using criteria specific to the particular sector. Except for the excluded activities described below, the ESG security selection process seeks to maintain exposure to all industry sectors of the economy (e.g., financials, industrials, consumer discretionary, consumer staples, materials, health care, energy, utilities and information technology). The ESG selection process analyzes securities comprising approximately 85% of the market capitalization of equity securities listed in the United States. The companies with an overall ranking in the top 70% of the eligible universe within each industry sector based on this ESG selection process are included in the Underlying Index, unless a company is excluded as a result of the second step in the ESG security selection process. The second step in the ESG security selection process is an exclusionary screen based on any continued and significant non-compliance with the principals within the United Nations Global Compact as well as the exclusion of companies engaged in certain businesses beyond minimum thresholds (e.g., companies that operate in countries with oppressive regimes, that operate in adult content, alcohol, armament, gambling, nuclear, and tobacco sectors, or that utilize animal testing or genetic modification in research and development). As a result of this second step, the companies selected for inclusion in the Underlying Index represent less than 70% of the eligible universe. 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robotics technologies and artificial intelligence|N|0|N|N|412C|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|1|||33.219|33.26|0.0|0.0|33.03|33.0|32.96|32.99|0.0|0.0|32.91|0.0|33.02|32.93|0.0|32.96|32.41|33.02|0.0|33.02|30.85|35.11|32.83|33.11|32.97|33.01|32.82|33.11|32.82|33.11|32.97|33.01|35.39|24.63|76367|27449227 2100|IRBT|IRBT|462726100|US4627261005|iRobot Corp|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN6-2|TXN14-2|TXN6-1|TXN5-5|27870000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4020|402020|40202025|Consumer Discretionary|Consumer Products and Services|Household Goods and Home Construction|Household Equipment and Products|N||N||||||Y|0|Y||||||37.0|36.86|0.0|36.89|36.9|36.86|36.85|36.845|0.0|0.0|36.85|36.88|36.85|37.0|37.0|36.84|37.0|36.84|36.84|36.85|36.51|37.28|28.52|44.85|36.54|37.22|36.77|36.93|36.75|36.94|36.84|36.85|53.25|28.23|714156|108117409 27542|IRDM|IRDM|46269C102|US46269C1027|Iridium Communications Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN5-5|TXN10-3|TXN6-7|TXN5-1|123850000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||USA||||15|1510|151020|15102015|Telecommunications|Telecommunications|Telecommunications Service Providers |Telecommunications 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LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-6|TXN3-3|TXN9-1|TXN1-7|TXN3-1|291990000|||Quarterly|||||2015-01-21||||||| | | | | | | | | |||N|5|Y|Y|104C|USA|US|||35|3510|351020|35102070|Real Estate|Real Estate |Real Estate Investment Trusts|Other Specialty REITs|N||N||||||Y|0|Y||Y|1|||66.15|66.19|0.0|65.96|66.21|66.215|66.19|66.21|0.0|0.0|66.16|66.2|66.17|66.2|66.22|66.2|66.2|66.15|66.2|66.2|66.15|66.19|61.78|70.31|66.13|66.21|66.15|66.22|66.11|66.19|66.15|66.19|66.25|48.92|1766805|339185602 44632|IRMD|IRMD|46266A109|US46266A1097|iRadimed Corp|COM 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Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN6-4|TXN13-3|TXN5-1|TXN5-5|24140000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||55.36|55.4|0.0|55.6|55.51|55.4|55.605|55.51|0.0|0.0|55.39|0.0|55.6|0.0|0.0|55.33|55.4|55.58|0.0|55.6|54.78|56.19|43.33|68.23|54.9|56.12|55.3|55.81|55.24|55.87|55.49|55.61|57.7|15.0|152148|36977978 38487|IROQ|IROQ|44951J105|US44951J1051|IF Bancorp Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN6-1|TXN13-7|TXN5-4|TXN6-3|3360000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||||||14.04|0.0|0.0|0.0|14.04|14.25|14.0|14.04|0.0|0.0|0.0|0.0|14.0|14.04|0.0|0.0|0.0|14.25|0.0|14.25|0.0|0.0|0.0|0.0|13.47|15.08|0.0|0.0|0.0|0.0|14.0|14.41|18.45|13.75|7089|613960 73101|IRRX|IRRX|45827R106|US45827R1068|Integrated Rail and Resources Acquisition Corp.|Class A Common Stock|Special purpose acquisition company|A|N|N|N|Y|Y|Y|Y|Y|6|O|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN2-7|TXN5-8|TXN2-2|TXN1-1|6490000|||NotApplicable|||||2022-01-03||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||10.96|10.95|0.0|0.0|10.96|10.95|10.96|0.0|0.0|0.0|10.95|10.96|10.94|0.0|0.0|10.95|0.0|10.95|0.0|10.95|10.81|10.96|10.92|10.96|10.94|11.62|0.0|0.0|0.0|0.0|10.94|10.96|12.03|10.14|103772|7402973 73102|IRRX WS|IRRX.WS|45827R114|US45827R1142|Integrated Rail and Resources Acquisition Corp.|Redeemable warrants, each whole warrant exercisable for one share of Class A common stock at an exercise price of $11.50|Special purpose acquisition company|C|N|N|N|Y|Y|Y|Y|Y|6|O|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN2-8|TXN4-5|TXN4-8|TXN2-7|TXN1-7|0|||NotApplicable|||||2022-01-03||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||||||||||N||N||||||N|0|Y||N||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.1|0.0|0.1|0.0|0.1|0.09|0.13|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.09|0.13|0.4878|0.0673|110|3780484 72342|IRRX U|IRRX.U|45827R205|US45827R2058|Integrated Rail and Resources Acquisition Corp.|Units, each consisting of one share of Class A common stock and one half of one redeemable warrant|Special purpose acquisition company|R|N|N|N|Y|Y|Y|Y|Y|6|O|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN1-7|TXN5-8|TXN4-3|TXN1-3|0|||NotApplicable|||||2021-11-12||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.88|12.14|0.0|0.0|10.88|12.14|0.0|0.0|0.0|0.0|10.88|12.14|11.08|9.35|0|93823 7099|IRS|IRS|450047303|US4500473032|IRSA Inversiones y Representaciones S.A.|Global Depositary Shares (Each representing ten shares of Common Stock)|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|8|C|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN3-6|TXN6-8|TXN1-2|TXN3-3|736420000|||Yearly|||||2023-10-03||||||| | | | | | | | | |||N|0|N|Y|414A|ARG|AR|||45|4520|452010|45201010|Consumer Staples |Personal Care, Drug and Grocery Stores |Personal Care, Drug and Grocery Stores |Food Retailers and Wholesalers |N||N||||||Y|0|Y||Y|2|||8.67|8.62|0.0|8.93|8.64|8.65|8.65|8.62|0.0|0.0|8.6|8.58|8.62|8.61|8.58|8.6|0.0|8.61|8.64|8.6|8.61|8.7|6.61|10.65|8.02|9.24|8.54|8.73|8.52|8.65|8.61|8.7|9.43|4.3|134625|23253375 70747|IRS WS|IRS.WS|P5880C134|ARIRSA100224|IRSA Inversiones y Representaciones S.A.|Warrants to purchase Common Shares|Operating company|C|N|Y|N|Y|Y|Y|Y|Y|8|C|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN1-8|TXN4-3|TXN8-8|TXN3-7|TXN1-7|73640000|||NotApplicable|||||2021-05-27|2026-04-16|||||| | | | | | | | | |||N|0|N|N|414A|ARG|AR|||||||||||N||N||||||N|0|Y||N||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.58|0.0|0.0|0.0|0.59|0.0|0.59|0.0|0.59|0.53|0.59|0.0|0.0|0.3|0.85|0.0|0.0|0.0|0.0|0.53|0.59|0.59|0.2019|1802|1440383 42492|IRT|IRT|45378A106|US45378A1060|Independence Realty Trust, Inc.|Common Stock|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-4|TXN3-7|TXN2-8|TXN2-6|TXN1-1|224710000|||Quarterly|||||2017-07-31||||||| | | | | | | | | |||N|0|N|Y|414A|USA|US|||35|3510|351020|35102040|Real Estate|Real Estate |Real Estate Investment Trusts|Residential REITs|N||N||||||Y|0|Y||Y|2|||14.2|14.195|0.0|13.65|14.19|14.195|14.2|14.195|0.0|0.0|14.195|14.19|14.195|14.2|14.19|14.2|14.2|14.195|14.2|14.2|14.19|14.2|10.85|17.3|14.17|14.2|14.17|14.23|14.18|14.23|14.19|14.2|19.68|11.61|1159315|455151239 54162|IRTC|IRTC|450056106|US4500561067|iRhythm Technologies Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN5-2|TXN14-5|TXN5-6|TXN6-1|30650000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||Y|0|Y||||||90.05|89.94|0.0|89.95|90.01|89.95|89.895|89.95|0.0|0.0|90.01|89.68|89.95|89.92|89.49|90.1|88.4|89.95|89.45|89.95|89.69|90.11|70.27|108.95|89.69|89.95|89.59|90.27|89.85|90.33|89.85|89.95|140.2338|70.24|363442|83995606 76482|IRTR|IRTR|46438G844|US46438G8446|iShares Trust|iShares LifePath Retirement ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-4|TXN2-2|TXN8-8|TXN3-6|TXN3-3|100000|||Monthly|||||2023-10-19||IRTR.NV|IRTR.SO|IRTR.EU|IRTR.TC|IRTR.IV| | | | | | | | | ||The Fund seeks to provide exposure to a conservative, broad portfolio of ETFs covering global asset classes.|N|0|N|N|412C|USA|US|HYBRID|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|26.202618|0.0|0.0|0.0|0.0|0.0|26.1|0.0|0.0|0.0|0.0|26.137|0.0|26.137|0.0|0.0|0.0|0.0|26.13|26.14|13.13|39.36|0.0|0.0|26.13|26.14|26.335|24.4611|168|27278 74239|IRVH|IRVH|37960A792|US37960A7928|Global X Funds|Global X Interest Rate Volatility & Inflation Hedge ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Global X|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-3|TXN1-3|TXN3-8|TXN3-6|TXN3-2|160000|||Monthly|||||2022-07-06||IRVH.NV|IRVH.SO|IRVH.EU|IRVH.TC| | | | | | | | | | ||The Global X Interest Rate Volatility & Inflation Hedge ETF (the Fund) seeks to hedge relative interest rate movements arising from a steepening of the U.S. interest rate curve, and to benefit from periods of market stress when interest rate volatility increases, while also providing inflation-protected income.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|21.69|0.0|0.0|0.0|0.0|0.0|0.0|21.18|0.0|0.0|0.0|21.7|0.0|21.7|0.0|0.0|0.0|0.0|21.68|21.72|0.0|0.0|0.0|0.0|21.63|21.72|23.531|20.765|214|125541 32224|IRWD|IRWD|46333X108|US46333X1081|Ironwood Pharmaceuticals Inc|CL A COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN5-3|TXN13-1|TXN5-6|TXN5-2|156130000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103015|Health Care |Health Care |Pharmaceuticals and Biotechnology|Pharmaceuticals |N||N||||||Y|0|Y||||||10.54|10.53|0.0|10.4|10.53|10.53|10.53|10.53|0.0|0.0|10.53|10.53|10.53|10.53|10.52|10.53|10.53|10.525|10.54|10.53|10.52|10.54|8.17|12.87|10.52|10.55|10.5|10.56|10.51|10.54|10.52|10.53|12.66|8.075|2286897|531152228 7208|ISCB|ISCB|464288505|US4642885051|iShares Trust|iShares Morningstar Small-Cap ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN1-2|TXN2-7|TXN4-8|TXN3-5|4150000|||Quarterly|||||2007-12-06||JKJ.NV|JKJ.SO|JKJ.EU|JKJ.TC|JKJ.IV| | | | | | | | | |1x|The iShares Morningstar Small-Cap ETF (the Fund) seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the Morningstar Small Core Index (the Underlying Index). The Underlying Index measures the performance of stocks issued by small-capitalization companies that have exhibited average growth and value characteristics as determined by Morningstar, Inc.s (Morningstar) proprietary index methodology. Index constituents are drawn from the pool of stocks issued by U.S.-domiciled companies that trade publicly on the New York Stock Exchange (NYSE), the NYSE Amex Equities or The NASDAQ Stock Market. The Morningstar index methodology defines small-capitalization stocks as those stocks that form the lowest 7% of the market capitalization that falls between the 90th and 97th percentile of the market capitalization of the stocks eligible to be included in the Morningstar US Market IndexSM (a diversified broad market index that represents approximately 97% of the market capitalization of publicly-traded U.S. stocks). Stocks are then designated as core, growth or value based on their style orientations. Stocks of companies with, for example, relatively higher average historical and forecasted earnings, sales, equity and cash flow growth would be designated as growth securities. Stocks of companies with, for example, relatively low valuations based on price-to-book ratios, price-to-earnings ratios and other factors, are designated as value securities. Stocks that are not designated as growth or value securities are designated as core securities. Stocks in the Underlying Index are weighted according to the total number of shares that are publicly owned and available for trading. Components primarily include consumer cyclicals, industrials and technology companies. The components of the Underlying Index, and the degree to which these components represent certain industries, may change over time.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|49.75|50.1|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|50.1448|0.0|50.1448|49.65|50.68|0.0|0.0|50.08|50.2|50.08|50.2|0.0|0.0|50.08|50.2|52.74|43.117|5893|1672256 49736|ISCF|ISCF|46434V266|US46434V2667|iShares Trust|iShares International Small Cap Equity Factor ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-3|TXN2-4|TXN4-8|TXN2-6|TXN4-1|17300000|||BiAnnually|||||2015-04-30||ISCF.NV|ISCF.SO|ISCF.EU|ISCF.TC|ISCF.IV| | | | | | | | | |1x|The Underlying Index is designed to select equity securities from MSCI World ex USA Small Cap Index (the Parent Index) that have high exposure to four investment style factors: value, quality, momentum and size while maintaining a level of risk similar to that of the Parent Index. The Underlying Index is also constrained in its construction to limit turnover and extreme exposures to particular sectors, countries, component weights or other investment style factors.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||30.95|0.0|0.0|0.0|30.08|30.52|30.68|30.665|0.0|0.0|0.0|0.0|30.665|30.611|0.0|0.0|0.0|30.68|0.0|30.68|24.49|36.76|0.0|0.0|30.65|30.69|24.49|36.76|0.0|0.0|30.65|30.69|32.49|27.6|29873|12649857 7209|ISCG|ISCG|464288604|US4642886042|iShares Trust|iShares Morningstar Small-Cap Growth ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-3|TXN1-1|TXN6-8|TXN2-3|TXN3-8|11250000|||Quarterly|||||2007-12-06||JKK.NV|JKK.SO|JKK.EU|JKK.TC|JKK.IV| | | | | | | | | |1x|The iShares Morningstar Small-Cap Growth ETF (the Fund) seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the Morningstar Small Growth Index (the Underlying Index). The Underlying Index measures the performance of stocks issued by small-capitalization companies that have exhibited above-average growth characteristics as determined by Morningstar, Inc.s (Morningstar) proprietary index methodology. Index constituents are drawn from the pool of stocks issued by U.S.-domiciled companies that trade publicly on the New York Stock Exchange (NYSE), the NYSE Amex Equities or The NASDAQ Stock Market. The Morningstar index methodology defines small-capitalization stocks as those stocks that form the lowest 7% of the market capitalization that falls between the 90th and 97th percentile of the market capitalization of the stocks eligible to be included in the Morningstar US Market IndexSM (a diversified broad market index that represents approximately 97% of the market capitalization of publicly-traded U.S. stocks). Stocks are then designated as core, growth or value based on their style orientations. The stocks in the Underlying Index are designated as growth because they are issued by companies that typically have higher than average historical and forecasted earnings, sales, equity and cash flow growth. Stocks in the Underlying Index are weighted according to the total number of shares that are publicly owned and available for trading. Components primarily include healthcare, industrials and technology companies. The components of the Underlying Index, and the degree to which these components represent certain industries, may change over time.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||41.09|41.07|0.0|42.226895|41.1|41.1|41.125|40.68|0.0|0.0|40.8|0.0|41.1|41.03|41.03|0.0|0.0|41.04|0.0|41.04|40.65|41.49|0.0|0.0|41.04|41.15|40.15|42.0|40.16|42.0|39.25|42.52|43.48|35.1011|43682|9822339 7210|ISCV|ISCV|464288703|US4642887032|iShares Trust|iShares Morningstar Small-Cap Value ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Latour Trading, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-5|TXN4-8|TXN4-7|TXN4-7|TXN3-1|6950000|||Quarterly|||||2007-12-06||JKL.NV|JKL.SO|JKL.EU|JKL.TC|JKL.IV| | | | | | | | | |1x|The iShares Morningstar Small-Cap Value ETF (the Fund) seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the Morningstar Small Value Index (the Underlying Index). The Underlying Index measures the performance of stocks issued by small-capitalization companies that have exhibited value characteristics as determined by Morningstar, Inc.s (Morningstar) proprietary index methodology. Underlying Index constituents are drawn from the pool of stocks issued by U.S.-domiciled companies that trade publicly on the New York Stock Exchange (NYSE), the NYSE Amex Equities or The NASDAQ Stock Market. The Morningstar index methodology defines small-capitalization stocks as those stocks that form the lowest 7% of the market capitalization that falls between the 90th and 97th percentile of the market capitalization of the stocks eligible to be included in the Morningstar US Market IndexSM (a diversified broad market index that represents approximately 97% of the market capitalization of publicly-traded U.S. stocks). Stocks are then designated as core, growth or value based on their style orientations. The stocks in the Underlying Index are designated as value because they are issued by companies that typically have relatively low valuations based on price-to-earnings, price-to-book value, price-to-sales, price-to-cash flow and dividend yields. The stocks in the Underlying Index are weighted according to the total number of shares that are publicly owned and available for trading. Components primarily include financial, industrials and real estate investment trusts (REITs). 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Services|N||N||||||N|0|Y||Y|2|||15.14|15.79|0.0|0.0|0.0|15.0|15.04|15.1|0.0|0.0|15.4|15.1|14.85|0.0|0.0|0.0|15.1|15.1|16.96|15.1|0.0|0.0|14.97|15.38|14.95|15.9|0.0|0.0|0.0|0.0|14.97|15.38|29.2|14.5|13747|1732672 76233|ISEP|ISEP|45783Y533|US45783Y5336|Innovator ETFs Trust|Innovator International Developed Power Buffer ETF - September|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Innovator Capital Management |Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-7|TXN3-2|TXN8-8|TXN2-6|TXN2-7|1750000|||Yearly|||||2023-09-01||ISEP.NV|ISEP.SO|ISEP.EU|ISEP.TC| | | | | | | | | | ||The Innovator International Developed Power Buffer ETF seeks to track the return of the iShares MSCI EAFE ETF (EFA), up to a predetermined cap, while buffering investors against the first 15% of losses over the outcome period.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|25.2703|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|25.31|0.0|25.31|0.0|0.0|0.0|0.0|25.27|25.34|25.26|25.38|25.25|25.37|25.27|25.34|25.47|23.766|2097|2129586 29883|ISHG|ISHG|464288125|US4642881258|iShares 1-3 Year International Treasury Bond ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN6-5|TXN12-2|TXN5-2|TXN6-6|1100000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||70.06|0.0|0.0|0.0|0.0|0.0|70.07|70.06|0.0|0.0|0.0|0.0|70.07|0.0|0.0|0.0|0.0|70.06|0.0|70.07|69.36|70.87|0.0|0.0|69.64|70.48|65.21|75.04|0.0|0.0|70.07|70.12|71.7|66.88|18866|1904067 53955|ISHP|ISHP|33738R829|US33738R8299|First Trust Exchange-Traded Fund VI First Trust S-Network E-Commerce ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN5-2|TXN12-1|TXN6-4|TXN6-2|200002|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|27.34|0.0|0.0|0.0|0.0|0.0|0.0|27.34|0.0|0.0|0.0|0.0|26.62|27.84|0.0|0.0|0.0|0.0|27.01|27.41|29.02|22.67|14|120713 56724|ISMD|ISMD|66538H641|US66538H6412|Northern Lights Fund Trust IV|Inspire Small/Mid Cap ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Ultimus Fund Solutions (Inspire)|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-4|TXN3-5|TXN6-8|TXN2-8|TXN3-4|5450000|||Quarterly|||||2017-02-27||ISMD.NV|ISMD.SO|ISMD.EU|ISMD.TC|ISMD.IV| | | | | | | | | |1x|Selection of domestic small and mid capitalization equity securities included in the russell 2,000 index and S&P 400 Index using an Inspire Impact Score designed to assign a score to a particular security based on the securitys alignment with biblical values and the positive impact that company has on the world through various environmental, social and governance criterion.|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|32.18|0.0|0.0|0.0|32.24|32.2183|32.18|0.0|0.0|0.0|0.0|32.18|32.23|0.0|31.859|0.0|32.3|0.0|32.3|0.0|0.0|0.0|0.0|32.22|32.3|28.79|34.91|0.0|0.0|32.22|32.31|36.04|28.04|28026|7147049 70889|ISPC|ISPC|45032V108|US45032V1089|iSpecimen Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-8|TXN5-3|TXN14-1|TXN6-4|TXN5-3|9080000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201010|20101025|Health Care |Health Care |Health Care Providers|Health Care Services|N||N||||||N|0|Y||||||0.57|0.0|0.0|0.0|0.57|0.56|0.56|0.0|0.0|0.0|0.57|0.5625|0.559|0.0|0.0|0.0|0.0|0.56|0.0|0.56|0.4162|0.684|0.0|0.0|0.5051|0.5972|0.432|0.684|0.0|0.0|0.541|0.56|2.0455|0.4074|9723|6665571 69121|ISPO|ISPO|45791E206|US45791E2063|Inspirato Inc|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN5-6|TXN14-5|TXN5-3|TXN6-5|3490000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4050|405010|40501015|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Travel and Tourism|N||N||||||N|0|Y||||||4.11|4.1|0.0|0.0|4.12|4.23|4.1152|4.1|0.0|0.0|0.0|0.0|4.24|4.12|0.0|0.0|0.0|4.1|0.0|4.1|3.41|5.1|0.0|0.0|4.04|4.52|3.41|5.1|0.0|0.0|4.1|4.44|5.49|0.22|10457|54266060 69122|ISPOW|ISPOW|45791E115|US45791E1156|Inspirato Inc|WT EXP 010130||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-6|TXN5-6|TXN11-4|TXN5-5|TXN5-6|69080000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y|C|||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0091|0.0|0.0|0.0|0.0|0.0091|0.0|0.0091|0.0|0.0|0.0|0.0|0.0|0.014|0.0|0.0|0.0|0.0|0.009|0.0091|0.1488|0.0069|3007|5343246 75570|ISPR|ISPR|46501C100|US46501C1009|Ispire Technology Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN5-2|TXN13-1|TXN5-5|TXN6-5|54270000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502020|50202040|Industrials|Industrial Goods and Services|Electronic and Electrical Equipment|Electronic Equipment: Other|N||N||||||Y|0|Y||||||0.0|9.89|0.0|10.09|9.9|9.81|9.8|9.83|0.0|0.0|9.96|10.06|9.85|10.02|10.02|10.02|10.08|9.8|10.09|9.85|9.67|10.04|7.69|12.06|9.66|10.02|7.69|12.06|0.0|0.0|9.8|9.84|19.78|6.85|107005|12900437 42284|ISRA|ISRA|92189F635|US92189F6354|VanEck ETF Trust|VanEck Israel ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||VanEck Vectors|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-5|TXN4-2|TXN4-8|TXN1-6|TXN2-5|1675000|||Yearly|||||2013-06-26||ISRA.NV|ISRA.SO|ISRA.EU|ISRA.TC|ISRA.IV| | | | | | | | | |1x|Market Vectors Israel ETF seeks to replicate as closely as possible, before fees and expenses, the total return performance of the BlueStar Israel Global Index. The Index is a rules-based index intended to track the overall performance of publicly traded companies that are generally considered to be Israeli companies. 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Vehicles|N||N||||||Y|0|Y||||||46.97|46.995|0.0|0.0|46.99|47.0|46.9994|47.0|0.0|0.0|46.98|47.0|46.99|46.97|46.98|46.98|46.98|46.995|46.98|46.99|44.65|49.36|43.78|50.04|46.98|47.02|44.65|49.36|0.0|0.0|46.98|47.0|47.49|45.37|361970|142192792 44555|ISTR|ISTR|46134L105|US46134L1052|Investar Holding Corp|COM USD1.||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN6-8|TXN13-3|TXN6-3|TXN5-2|9750000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||||||11.47|11.53|0.0|0.0|0.0|11.47|11.4723|11.5|0.0|0.0|11.69|0.0|11.62|0.0|0.0|11.64|0.0|11.5|0.0|11.5|11.09|12.05|0.0|0.0|11.27|11.93|0.0|0.0|0.0|0.0|11.5|11.69|22.1999|9.07|13747|5960532 52963|ISUN|ISUN|465246106|US4652461066|iSun 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ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-6|TXN2-8|TXN9-8|TXN1-4|TXN4-1|5100000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||32.499|32.49|0.0|0.0|0.0|32.5|32.4549|0.0|0.0|0.0|32.45|0.0|0.0|32.509|0.0|32.511|0.0|32.49|0.0|32.49|0.0|0.0|0.0|0.0|32.41|32.53|0.0|0.0|0.0|0.0|32.5|33.0|33.23|28.7816|33384|636650 68877|ISWN|ISWN|032108821|US0321088215|Amplify ETF Trust|Amplify BlackSwan ISWN ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Amplify Investments|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN1-7|TXN5-8|TXN2-4|TXN1-8|2125000|||Quarterly|||||2021-01-26||ISWN.NV|ISWN.SO|ISWN.EU|ISWN.TC| | | | | | | | | | ||The Fund is an actively-managed exchange-traded fund (ETF)that seeks to achieve its objective by (i) investing in one or more other ETFs that seeks to obtain exposure to the performance of U.S. large-cap equity securities or directly in the securities held by such ETFs collectively, the Undelying Investments), (ii) selling and purchasing listed short-term put options (put spreads) to generate income to the Fund ( the Overlay Strategy), and (iii) purchasing lon-term out-of-the-money put options (i.e. put options with a strike price below the current price of reference asset) to seek to hedge against significant declines in U.S. large-cap equities.|N|0|N|N|406B|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|18.3402|18.45|0.0|0.0|17.11|0.0|0.0|0.0|0.0|0.0|0.0|18.41|0.0|18.41|0.0|0.0|18.34|18.4|18.37|18.46|0.0|0.0|0.0|0.0|18.37|18.46|19.915|16.88|1026|1274968 50136|ISZE|ISZE|46435G508|US46435G5080|iShares Trust|iShares MSCI Intl Size Factor ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-1|TXN3-5|TXN5-8|TXN2-6|TXN4-6|200000|||BiAnnually|||||2015-06-18||ISZE.NV|ISZE.SO|ISZE.EU|ISZE.TC|ISZE.IV| | | | | | | | | |1x|The MSCI World ex USA Risk Weighted Index (the Underlying Index), which is based on a traditional market capitalization-weighted parent index, the MSCI World ex USA Index (the Parent 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The Underlying Index seeks to provide negative exposure to two systematic factors, the size factor and volatility factor, by emphasizing stocks with smaller average market capitalization and lower realized volatility than its Parent Index.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|25.645|0.0|25.645|0.0|0.0|0.0|0.0|25.6|25.69|0.0|0.0|0.0|0.0|25.6|25.69|26.6921|23.1461|0|931493 7115|IT|IT|366651107|US3666511072|Gartner, Inc.|Common Stock $.0005 Par Value|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|D|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-5|TXN2-1|TXN4-6|TXN4-6|TXN3-2|77950000|||NotApplicable|||||1998-09-15||||||| | | | | | | | | |||N|5|Y|Y|306A|USA|US|||10|1010|101010|10101010|Technology|Technology|Software and Computer Services|Computer Services|N||N||||||Y|0|Y||Y|1|||439.57|439.67|0.0|439.52|439.04|439.87|439.525|439.51|0.0|0.0|439.68|437.36|439.65|439.58|441.05|439.58|439.5|439.64|438.62|439.58|439.44|439.58|408.7|467.27|439.18|440.11|439.02|440.12|438.92|440.09|439.44|439.58|441.82|292.6|474009|111076354 16455|ITA|ITA|464288760|US4642887602|iShares U.S. Aerospace & Defense ETF|DJ AEROSPACE||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-3|TXN1-8|TXN9-2|TXN4-7|TXN4-4|47350000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||122.24|122.24|0.0|117.86|122.23|122.25|122.26|122.25|0.0|0.0|122.23|122.04|122.26|121.98|121.99|122.24|122.24|122.24|122.24|122.24|122.02|122.5|114.51|129.83|122.25|122.29|121.98|122.54|122.07|122.55|122.25|122.27|122.29|102.02|677265|131804783 70993|ITAN|ITAN|02072L771|US02072L7718|EA Series Trust|Sparkline Intangible Value ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Alpha Architect|RBC Capital Markets, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-6|TXN4-1|TXN8-8|TXN4-6|TXN3-3|1180000|||Quarterly|||||2021-06-29||ITAN.NV|ITAN.SO|ITAN.EU|ITAN.TC| | | | | | | | | | |1x|The Fund is an actively-managed exchange-traded fund. 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End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||89.95|89.98|0.0|89.8|89.97|89.95|89.94|89.98|0.0|0.0|89.97|89.99|89.95|89.985|89.98|89.98|89.98|89.98|89.82|89.98|89.92|89.98|84.23|95.51|89.93|89.97|89.91|89.99|89.65|90.06|89.93|89.97|90.35|58.68|1886460|664257323 43476|ITCI|ITCI|46116X101|US46116X1019|Intra-Cellular Therapies Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN6-5|TXN13-8|TXN6-1|TXN5-5|96240000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||61.43|61.43|0.0|61.27|61.545|61.46|61.49|61.46|0.0|0.0|61.44|61.44|61.46|61.49|63.58|61.58|63.43|61.49|61.73|61.46|61.37|61.59|48.43|75.65|61.32|61.59|61.39|61.56|61.43|61.53|61.46|61.5|67.05|42.01|886577|178400851 76483|ITDA|ITDA|46438G836|US46438G8362|iShares Trust|iShares LifePath Target Date 2025 ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-7|TXN3-5|TXN3-8|TXN3-5|TXN3-3|100000|||Yearly|||||2023-10-19||ITDA.NV|ITDA.SO|ITDA.EU|ITDA.TC|ITDA.IV| | | | | | | | | ||The Fund seeks to provide retirement outcomes through exposure to a broad portfolio of ETFs which adjusts its allocation as it approaches its target date.|N|0|N|N|412C|USA|US|HYBRID|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|26.2123|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|26.2626|0.0|26.2626|0.0|0.0|0.0|0.0|26.25|26.27|13.19|39.54|0.0|0.0|26.25|26.27|26.3602|24.4057|503|15483 76484|ITDB|ITDB|46438G828|US46438G8289|iShares Trust|iShares LifePath Target Date 2030 ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-4|TXN1-2|TXN1-5|TXN2-2|TXN3-3|100000|||Yearly|||||2023-10-19||ITDB.NV|ITDB.SO|ITDB.EU|ITDB.TC|ITDB.IV| | | | | | | | | ||The Fund seeks to provide retirement outcomes through exposure to a broad portfolio of ETFs which adjusts its allocation as it approaches its target date.|N|0|N|N|412C|USA|US|HYBRID|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|26.29|0.0|0.0|0.0|0.0|26.29|26.29|0.0|0.0|0.0|0.0|26.28|0.0|0.0|0.0|0.0|26.3102|0.0|26.3102|0.0|0.0|0.0|0.0|26.3|26.32|13.22|39.64|0.0|0.0|26.3|26.32|26.43|24.19|45079|167325 76485|ITDC|ITDC|46438G810|US46438G8107|iShares Trust|iShares LifePath Target Date 2035 ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-7|TXN3-2|TXN1-5|TXN2-2|TXN1-6|200000|||Yearly|||||2023-10-19||ITDC.NV|ITDC.SO|ITDC.EU|ITDC.TC|ITDC.IV| | | | | | | | | ||The Fund seeks to provide retirement outcomes through exposure to a broad portfolio of ETFs which adjusts its allocation as it approaches its target date.|N|0|N|N|412C|USA|US|HYBRID|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|26.33|0.0|0.0|0.0|0.0|26.3336|0.0|0.0|0.0|0.0|0.0|26.3|0.0|0.0|0.0|0.0|26.3527|0.0|26.3527|0.0|0.0|0.0|0.0|26.34|26.36|13.24|39.69|0.0|0.0|26.34|26.36|27.3369|24.04|1765|209492 76486|ITDD|ITDD|46438G794|US46438G7943|iShares Trust|iShares LifePath Target Date 2040 ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-1|TXN2-2|TXN2-8|TXN3-1|TXN3-3|150000|||Yearly|||||2023-10-19||ITDD.NV|ITDD.SO|ITDD.EU|ITDD.TC|ITDD.IV| | | | | | | | | ||The Fund seeks to provide retirement outcomes through exposure to a broad portfolio of ETFs which adjusts its allocation as it approaches its target date.|N|0|N|N|412C|USA|US|HYBRID|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|26.48|0.0|0.0|0.0|0.0|26.4805|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|26.364|0.0|26.364|0.0|0.0|0.0|0.0|26.35|26.37|13.25|39.72|0.0|0.0|26.35|26.37|26.49|23.865|405|131314 76487|ITDE|ITDE|46438G786|US46438G7869|iShares Trust|iShares LifePath Target Date 2045 ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-4|TXN4-1|TXN2-8|TXN1-6|TXN3-3|100000|||Yearly|||||2023-10-19||ITDE.NV|ITDE.SO|ITDE.EU|ITDE.TC|ITDE.IV| | | | | | | | | ||The Fund seeks to provide retirement outcomes through exposure to a broad portfolio of ETFs which adjusts its allocation as it approaches its target date.|N|0|N|N|412C|USA|US|HYBRID|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|26.3499|0.0|0.0|0.0|0.0|0.0|26.31|0.0|0.0|0.0|0.0|26.3552|0.0|26.3552|0.0|0.0|0.0|0.0|26.34|26.36|13.25|39.72|0.0|0.0|26.34|26.36|26.4843|23.7324|1119|60290 76488|ITDF|ITDF|46438G778|US46438G7786|iShares Trust|iShares LifePath Target Date 2050 ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-3|TXN2-7|TXN6-8|TXN3-1|TXN3-3|100000|||Yearly|||||2023-10-19||ITDF.NV|ITDF.SO|ITDF.EU|ITDF.TC|ITDF.IV| | | | | | | | | ||The Fund seeks to provide retirement outcomes through exposure to a broad portfolio of ETFs which adjusts its allocation as it approaches its target date.|N|0|N|N|412C|USA|US|HYBRID|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|26.26|0.0|0.0|0.0|0.0|26.2899|0.0|0.0|0.0|0.0|0.0|26.22|0.0|0.0|0.0|0.0|26.2934|0.0|26.2934|0.0|0.0|0.0|0.0|26.28|26.3|13.22|39.65|0.0|0.0|26.28|26.3|26.4375|23.63|1301|22320 76489|ITDG|ITDG|46438G760|US46438G7604|iShares Trust|iShares LifePath Target Date 2055 ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-2|TXN1-2|TXN1-5|TXN1-5|TXN3-3|100000|||Yearly|||||2023-10-19||ITDG.NV|ITDG.SO|ITDG.EU|ITDG.TC|ITDG.IV| | | | | | | | | ||The Fund seeks to provide retirement outcomes through exposure to a broad portfolio of ETFs which adjusts its allocation as it approaches its target date.|N|0|N|N|412C|USA|US|HYBRID|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|26.36|0.0|0.0|0.0|23.8|26.2299|0.0|0.0|0.0|0.0|0.0|26.28|0.0|0.0|0.0|0.0|26.2712|0.0|26.2712|0.0|0.0|0.0|0.0|26.26|26.27|13.21|39.62|0.0|0.0|26.26|26.27|26.4173|23.6298|1207|31192 76490|ITDH|ITDH|46438G752|US46438G7521|iShares Trust|iShares LifePath Target Date 2060 ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-5|TXN2-6|TXN9-8|TXN2-5|TXN3-3|100000|||Yearly|||||2023-10-19||ITDH.NV|ITDH.SO|ITDH.EU|ITDH.TC|ITDH.IV| | | | | | | | | ||The Fund seeks to provide retirement outcomes through exposure to a broad portfolio of ETFs which adjusts its allocation as it approaches its target date.|N|0|N|N|412C|USA|US|HYBRID|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|26.06|0.0|0.0|0.0|0.0|0.0|26.25|0.0|0.0|0.0|0.0|26.2713|0.0|26.2713|0.0|0.0|0.0|0.0|26.26|26.27|13.21|39.62|0.0|0.0|26.26|26.27|26.4173|23.6298|226|15480 76491|ITDI|ITDI|46438G745|US46438G7455|iShares Trust|iShares LifePath Target Date 2065 ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN1-3|TXN2-8|TXN2-1|TXN3-3|100000|||Yearly|||||2023-10-19||ITDI.NV|ITDI.SO|ITDI.EU|ITDI.TC|ITDI.IV| | | | | | | | | ||The Fund seeks to provide retirement outcomes through exposure to a broad portfolio of ETFs which adjusts its allocation as it approaches its target date.|N|0|N|N|412C|USA|US|HYBRID|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|26.2|0.0|0.0|0.0|25.73|26.25|0.0|0.0|0.0|0.0|0.0|26.26|0.0|0.0|0.0|0.0|26.2713|0.0|26.2713|0.0|0.0|0.0|0.0|26.26|26.27|21.0|39.62|0.0|0.0|26.26|26.27|26.4173|23.6298|1671|26996 51841|ITEQ|ITEQ|26924G870|US26924G8704|ETF Managers Trust|BlueStar Israel Technology ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ETF Managers Group|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-6|TXN3-7|TXN3-8|TXN1-6|TXN4-4|2000000|||Quarterly|||||2017-09-26||ITEQ.NV|ITEQ.SO|ITEQ.EU|ITEQ.TC|ITEQ.IV| | | | | | | | | |1x|The Fund uses a passive or indexing approach to try to achieve the Funds investment objective. Unlike many investment companies, the Fund does not try to beat the Index and does not seek temporary defensive positions when markets decline or appear overvalued.TA-BIGITechTM was created in 2013 by BlueStar Global Investors LLC d/b/a BlueStar Indexes (BlueStar) and the International Securities Exchange (ISE and together with BlueStar, the Index Providers) and tracks the performance of exchange-listed Israeli technology operating companies. Such companies may be engaged in a wide spectrum of technology related sectors, including information technology, biotechnology, sustainable agriculture technology and defense technology.The universe of companies deemed Israeli technology companies is determined by the Index Providers based on a range of quantitative and qualitative factors including a companys domicile; country of formation or founding; primary management, operational, or research and development location; tax status; source of revenue; and location of employees. To be included in the Index, Israeli technology companies must have their equity securities or depositary receipts, such as American Depositary Receipts (ADRs) or Global Depositary Receipts (GDRs) representing such equity securities, listed on a securities exchange. 1Companies meeting the above criteria are screened fora minimum market capitalization and liquidity (i.e., average trading volume). The Index is reconstituted semi-annually at the close of business on the third Friday of June and December. At the time of each reconstitution, the companies in the Index are weighted based on their market capitalization, subject to certain additional limitations designed to prevent inordinately heavy weightings of any one company. For example, each company is limited to a 10% weighting in the Index and all components with an individual weight of at least 5% are limited in the aggregate to 50% of the weight of the Index. Additionally, if any individual Index component exceeds 24% of the Index weight at anytime, the Index will be rebalanced to reduce such component to a weighting of 20%.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|41.96|42.8594|42.35|0.0|0.0|0.0|0.0|0.0|42.78|0.0|0.0|0.0|42.8568|0.0|42.8568|0.0|0.0|42.31|43.6|42.81|42.9|42.3|43.61|42.3|43.6|42.81|42.9|50.41|35.75|3085|1896929 6456|ITGR|ITGR|45826H109|US45826H1095|Integer Holdings Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|T|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN3-3|TXN3-8|TXN2-5|TXN3-4|33330000|||Adhoc|||||2000-09-29||||||| | | | | | | | | |||N|0|N|Y|180A|USA|US|||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||Y|0|Y||Y|2|||89.37|89.36|0.0|89.36|89.37|89.33|89.39|89.345|0.0|0.0|89.04|89.34|89.33|89.37|88.85|89.37|88.56|89.39|89.29|89.37|89.36|89.39|67.83|109.4|89.14|89.47|89.2|89.49|89.17|89.5|89.36|89.39|96.17|61.85|278798|63453601 7120|ITI|ITI|46564T107|US46564T1079|Iteris Inc|COM USD0.1||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN5-6|TXN11-2|TXN5-5|TXN6-6|42820000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502060|50206060|Industrials|Industrial Goods and Services|Industrial Transportation|Transportation Services|N||N||||||Y|0|Y||||||4.27|4.27|0.0|0.0|4.25|4.26|4.24|4.25|0.0|0.0|4.27|0.0|4.25|4.27|0.0|0.0|0.0|4.25|4.26|4.25|4.18|4.35|3.25|5.3|4.19|4.33|4.22|4.31|4.21|4.32|4.25|4.28|5.0|2.71|92297|28153766 2135|ITIC|ITIC|461804106|US4618041069|Investors Title Co|COM USD1.25||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN5-2|TXN10-6|TXN6-7|TXN5-1|1890000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3030|303020|30302025|Financials|Insurance|Non-life Insurance|Property and Casualty Insurance|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|153.955|0.0|0.0|0.0|0.0|0.0|153.0|0.0|0.0|0.0|0.0|153.955|0.0|153.0|145.86|160.57|0.0|0.0|146.63|159.79|0.0|0.0|0.0|0.0|151.35|154.66|167.84|127.71|1302|690015 26448|ITM|ITM|92189H201|US92189H2013|VanEck Intermediate Muni ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-3|TXN2-1|TXN2-6|TXN3-1|TXN2-2|42400000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||45.95|45.95|0.0|0.0|45.89|45.95|45.935|45.94|0.0|0.0|45.93|45.89|45.945|45.9|0.0|45.95|0.0|45.95|45.95|45.95|43.59|48.17|42.76|49.08|45.92|45.96|43.59|48.17|45.0|46.9|45.92|46.07|46.97|43.35|689434|81000205 67051|ITOS|ITOS|46565G104|US46565G1040|iTeos Therapeutics Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN6-5|TXN11-7|TXN6-7|TXN6-3|35790000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||10.105|10.11|0.0|10.02|10.11|10.1|10.115|10.115|0.0|0.0|10.1|10.1|10.1|10.11|10.05|10.08|10.08|10.09|0.0|10.1|10.0|10.2|7.69|12.4|10.01|10.2|7.76|10.15|10.07|10.14|10.08|10.1|23.0|8.2|319444|82956170 7106|ITOT|ITOT|464287150|US4642871507|iShares Trust|iShares Core S&P Total U.S. Stock Market ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Pundion LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-6|TXN2-1|TXN1-7|TXN2-7|TXN1-6|463350000|||Quarterly|||||2007-12-06||ITOT.NV|ITOT.SO|ITOT.EU|ITOT.TC|ITOT.IV| | | | | | | | | |1x|The S&P Total Market Index (TMI) is designed to track the broad equity market, including large-, mid-, small-, and micro-cap stocks. The index includes all common equities listed on the NYSE (including NYSE Arca and NYSE MKT), the NASDAQ Global Select Market, the NASDAQ Global Market, and the NASDAQ Capital Market. The S&P 500 and the S&P Completion Index are subsets of the S&P TMI.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||100.77|100.77|0.0|0.0|100.78|100.77|100.78|100.83|0.0|0.0|100.79|100.79|100.78|100.68|100.67|100.8|100.79|100.78|100.79|100.78|100.76|101.03|100.68|100.84|100.78|100.8|100.76|100.81|100.68|100.85|100.78|100.8|101.66|83.07|1634347|302393727 31793|ITP|ITP|46527C209|US46527C2098|IT Tech Packaging Inc.|Common stock|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Brendan E. Cryan and Company, L.L.C.|CRYN|0235|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN11-6|TXN4-7|TXN3-8|TXN1-8|TXN3-6|10070000|||Quarterly|||||2009-12-17||||||| | | | | | | | | |||N|0|N|N|180A|CHN|US|||55|5510|551010|55101015|Basic Materials|Basic Resources|Industrial Materials|Paper|N||N||||||Y|0|Y|C|Y|2|||0.2963|0.2923|0.0|0.0|0.32|0.2896|0.332|0.304|0.0|0.0|0.31|0.0|0.3255|0.0|0.0|0.0|0.325|0.325|0.0|0.325|0.3087|0.3433|0.325|0.333|0.3087|0.3433|0.2422|0.3854|0.0|0.0|0.325|0.333|0.7|0.271|29677|9128864 67115|ITRG|ITRG|45826T509|CA45826T5098|Integra Resources Corp.|Common Shares|Operating company|A|N|Y|A|Y|Y|Y|Y|Y|||J. Streicher & Co. L.L.C.|JSCO|3856|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN11-5|TXN3-4|TXN7-8|TXN3-1|TXN2-2|68780000|||NotApplicable|||||2020-07-31||||||| | | | | | | | | |||N|0|N|N|130C|CAN|CA|||55|5510|551020|55102000|Basic Materials|Basic Resources|Industrial Metals and Mining|General Mining|N||N||||||N|0|Y||Y|2|||0.949|0.9563|0.0|0.0|0.949|0.9601|0.968547|0.9664|0.0|0.0|0.936|0.9376|0.936|0.936|0.98|0.9538|0.97|0.97|0.936|0.97|0.912|1.02|0.9538|0.97|0.93|1.02|0.9309|0.9943|0.9222|0.9932|0.912|1.02|1.18|0.4525|276017|17022098 2141|ITRI|ITRI|465741106|US4657411066|Itron Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN6-4|TXN13-5|TXN6-1|TXN6-2|45490000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502020|50202025|Industrials|Industrial Goods and Services|Electronic and Electrical Equipment|Electronic Equipment: Gauges and Meters|N||N||||||Y|0|Y||||||70.17|70.17|0.0|70.17|70.15|70.17|70.15|70.15|0.0|0.0|70.0|70.21|70.15|70.01|68.88|70.07|70.17|70.15|0.0|70.15|69.97|70.29|53.02|85.75|69.97|70.29|70.05|70.2|70.1|70.22|70.1|70.15|79.99|49.19|249746|71047517 61061|ITRM|ITRM|G6333L200|IE000TTOOBX0|Iterum Therapeutics plc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN6-7|TXN14-8|TXN5-3|TXN5-7|13050000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||IRL||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||2.09|2.08|0.0|0.0|2.1|2.08|2.11|2.1|0.0|0.0|2.08|2.1|2.11|2.098|0.0|0.0|2.1|2.11|0.0|2.11|1.99|2.21|1.59|2.56|2.03|2.21|2.03|2.13|2.02|2.14|2.06|2.12|2.5|0.601098|131613|18142205 2142|ITRN|ITRN|M6158M104|IL0010818685|Ituran Location and Control Ltd|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN5-6|TXN13-7|TXN6-4|TXN6-5|20110000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||ISR||||50|5020|502040|50204040|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Tools|N||N||||||Y|0|Y||||||26.64|26.85|0.0|26.92|26.88|26.92|26.92|26.9|0.0|0.0|26.85|26.88|26.96|26.68|0.0|0.0|26.76|26.85|0.0|26.96|26.6|27.17|26.73|27.07|26.63|27.12|26.72|27.08|26.85|26.95|26.85|26.95|31.01|20.3501|75504|10627144 7124|ITT|ITT|45073V108|US45073V1089|ITT Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|A|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN1-7|TXN7-8|TXN4-8|TXN4-2|82100000|||Quarterly|||||2011-11-01||||||| | | | | | | | | |||N|0|Y|Y|170A|USA|US|||50|5020|502030|50203000|Industrials|Industrial Goods and Services|General Industrials|Diversified Industrials|N||N||||||Y|0|Y||Y|1|||110.76|111.21|0.0|111.23|111.22|111.2|111.23|111.24|0.0|0.0|111.23|109.91|111.25|111.19|111.2|111.24|111.21|111.24|109.58|111.24|111.2|111.24|103.97|118.07|110.49|111.81|111.1|111.31|111.2|111.33|111.2|111.24|111.25|75.82|476767|103739569 7125|ITUB|ITUB|465562106|US4655621062|Itau Unibanco Holding S.A.|American Depositary Shares (Each representing One preferred Share)|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-3|TXN2-2|TXN7-6|TXN3-6|TXN4-6|4845850000|||Monthly|||||2002-02-21||||||| | | | | | | | | |||N|0|N|Y|402A|BRA|BR|||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||Y|2|||6.355|6.36|0.0|6.36|6.36|6.36|6.355|6.36|0.0|0.0|6.36|6.36|6.36|6.36|6.355|6.36|6.355|6.36|6.36|6.36|6.35|6.36|4.97|7.86|6.35|6.36|6.32|6.39|6.35|6.36|6.35|6.36|6.45|4.21|8130026|5228545784 7126|ITW|ITW|452308109|US4523081093|Illinois Tool Works Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-7|TXN2-6|TXN9-5|TXN1-4|TXN1-2|300890000|||Quarterly|||||1973-03-13||||||| | | | | | | | | |||N|5|Y|Y|126E|USA|US|||50|5020|502030|50203000|Industrials|Industrial Goods and Services|General Industrials|Diversified Industrials|N||N||||||Y|0|Y||Y|1|||247.73|247.56|0.0|247.23|247.71|247.59|247.57|247.67|0.0|0.0|247.7|246.81|247.59|247.27|247.07|247.57|245.38|247.59|247.74|247.57|247.61|247.62|231.0|260.4|247.47|247.75|235.37|247.78|247.56|247.8|247.61|247.62|264.19|214.66|807246|250211141 61724|IUS|IUS|46138J742|US46138J7422|Invesco Exchange-Traded Self-Indexed Fund Trust Invesco RAFI Strategic US ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN6-4|TXN12-6|TXN6-4|TXN6-1|6100001|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|41.69|0.0|0.0|41.69|41.6|41.6899|0.0|0.0|0.0|41.6|0.0|41.69|0.0|41.6|41.65|41.59|41.69|0.0|41.69|39.6|43.77|38.84|44.31|41.65|41.69|39.59|43.77|0.0|0.0|41.68|41.69|42.15|35.79|158582|12466464 44432|IUSB|IUSB|46434V613|US46434V6130|iShares Core Total USD Bond Market ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN5-2|TXN14-2|TXN5-6|TXN5-2|503700000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||44.82|44.81|0.0|0.0|44.81|44.815|44.8|44.815|0.0|0.0|44.81|44.81|44.83|44.81|44.76|44.815|44.815|44.8|44.8|44.83|42.57|47.06|41.7|47.81|44.68|44.82|42.57|47.06|0.0|0.0|44.8|44.82|46.86|42.56|2449339|608647278 7149|IUSG|IUSG|464287671|US4642876712|iShares Core S&P U.S. Growth ETF|RUSL 3000 GROW||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN5-2|TXN12-4|TXN5-2|TXN6-2|141900000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||100.19|100.19|0.0|0.0|100.25|100.19|100.2|100.18|0.0|0.0|100.27|100.13|100.21|100.059|100.02|100.23|100.2|100.19|0.0|100.21|100.04|100.46|100.02|100.38|100.2|100.24|100.19|100.25|100.09|100.39|100.21|100.23|101.11|79.72|739769|116534051 7148|IUSV|IUSV|464287663|US4642876639|iShares Core S&P U.S. Value ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN5-1|TXN14-8|TXN5-2|TXN6-3|181350000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||80.62|80.73|0.0|0.0|80.73|80.75|80.74|80.59|0.0|0.0|80.75|80.69|80.71|80.62|80.73|80.735|80.62|80.73|80.57|80.71|80.62|80.85|80.62|80.85|80.72|80.74|80.62|80.85|80.62|80.85|80.72|80.73|81.44|68.82|1268659|140206587 66954|IVA|IVA|46124U107|US46124U1079|Inventiva SA|ADR||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN5-3|TXN12-4|TXN5-8|TXN5-5|51750000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||FRA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|4.47|4.44|0.0|0.0|0.0|4.4|4.4|4.4|0.0|0.0|0.0|0.0|4.46|0.0|4.46|0.0|0.0|0.0|0.0|4.23|4.47|0.0|0.0|0.0|0.0|4.35|4.46|6.82|2.22|9067|11744804 2147|IVAC|IVAC|461148108|US4611481080|Intevac Inc|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN6-8|TXN11-8|TXN6-8|TXN5-5|26370000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101020|10102020|Technology|Technology|Technology Hardware and Equipment|Production Technology Equipment|N||N||||||Y|0|Y||||||3.81|3.9|0.0|0.0|3.88|3.91|3.9|3.9|0.0|0.0|3.9|3.77|3.9|0.0|0.0|0.0|0.0|3.88|3.82|3.9|3.82|3.98|2.94|4.8|3.83|3.97|2.94|4.8|0.0|0.0|3.87|3.9|7.54|3.07|46164|31021039 49108|IVAL|IVAL|02072L201|US02072L2016|Alpha Architect International Quantitative Value ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN5-7|TXN10-3|TXN6-4|TXN5-4|6130000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|24.13|0.0|0.0|24.07|24.15|24.06|24.08|0.0|0.0|0.0|0.0|24.13|0.0|0.0|0.0|0.0|24.08|0.0|24.13|22.5|25.87|0.0|0.0|24.08|24.15|22.5|25.87|0.0|0.0|24.08|24.14|25.1866|21.33|30973|4572635 74229|IVCA|IVCA|G49219101|KYG492191013|Investcorp India Acquisition Corp|CL A ORD USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN5-5|TXN14-7|TXN6-8|TXN5-1|9790000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CYM||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||10.92|10.92|0.0|0.0|0.0|10.92|10.8801|0.0|0.0|0.0|0.0|0.0|10.92|0.0|0.0|0.0|0.0|10.92|0.0|10.92|0.0|0.0|0.0|0.0|10.9|11.25|0.0|0.0|0.0|0.0|10.92|10.93|11.31|10.26|4212|24414336 74019|IVCAU|IVCAU|G49219119|KYG492191195|Investcorp India Acquisition Corp|UNITS||R|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN6-4|TXN14-2|TXN6-4|TXN5-1|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CYM||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.2|11.72|0.0|0.0|0.0|0.0|10.2|11.72|10.99|10.25|0|195135 74230|IVCAW|IVCAW|G49219127|KYG492191278|Investcorp India Acquisition Corp|WT EXP 060128||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-1|TXN6-7|TXN11-3|TXN6-6|TXN6-5|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CYM||||||||||||N||N||||||N|0|Y|C|||||0.0|0.0|0.0|0.0|0.05|0.0|0.04|0.0|0.0|0.0|0.0|0.0|0.05|0.0|0.0|0.0|0.0|0.05|0.05|0.05|0.0|0.0|0.0|0.0|0.0|0.07|0.0|0.0|0.0|0.0|0.0402|0.05|0.1498|0.0068|351356|3991984 73394|IVCB|IVCB|G4923T105|KYG4923T1058|Investcorp Europe Acquisition Corp I|CL A COM USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN5-7|TXN13-1|TXN6-8|TXN5-4|19010000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CYM||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|11.01|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.3|11.02|0.0|0.0|0.0|0.0|10.96|11.01|11.39|10.25|8|24818284 72921|IVCBU|IVCBU|G4923T121|KYG4923T1215|Investcorp Europe Acquisition Corp I|UNITS||R|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN6-7|TXN11-4|TXN6-4|TXN5-1|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CYM||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.74|11.61|0.0|0.0|0.0|0.0|10.74|11.45|12.02|10.29|0|211857 73395|IVCBW|IVCBW|G4923T113|KYG4923T1132|Investcorp Europe Acquisition Corp I|WT EXP 121526||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-3|TXN6-8|TXN10-2|TXN6-4|TXN5-3|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CYM||||||||||||N||N||||||N|0|Y|C|||||0.0|0.1462|0.0|0.0|0.0|0.1125|0.1125|0.15|0.0|0.0|0.1125|0.15|0.15|0.0|0.0|0.0|0.0|0.15|0.0|0.15|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.1|0.15|0.3184|0.0039|27298|4348298 73404|IVCP|IVCP|G63836103|KYG638361033|Swiftmerge Acquisition Corp|ORD SHS CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN5-8|TXN14-1|TXN5-6|TXN6-2|5620000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CAN||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|10.58|0.0|0.0|0.0|10.59|10.59|0.0|0.0|0.0|0.0|0.0|10.58|0.0|0.0|0.0|0.0|10.59|0.0|10.59|0.0|0.0|0.0|0.0|10.58|10.7|0.0|0.0|0.0|0.0|10.59|10.6|11.8525|9.835|175729|12183822 72922|IVCPU|IVCPU|G63836129|KYG638361298|Swiftmerge Acquisition 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Warrant|||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-4|TXN5-5|TXN14-7|TXN6-4|TXN6-7|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||50|5020|502040|50204000|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Industrial|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.081|0.0|0.0|0.0|0.0|0.0|0.11|0.18|0.7783|0.02|0|676465 7130|IVE|IVE|464287408|US4642874089|iShares Trust|iShares S&P 500 Value ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Latour Trading, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-3|TXN1-1|TXN7-6|TXN1-6|TXN2-8|156600000|||Quarterly|||||2007-12-06||IVE.NV|IVE.SO|IVE.EU|IVE.TC|IVE.IV| | | | | | | | | |1x|The iShares S&P 500 Value ETF (the Fund) seeks to track the investment results of an index composed of large-capitalization U.S. equities that exhibit value characteristics. The Fund seeks to track the investment results of the S&P 500 Value Index (the Underlying Index), which measures the performance of the large-capitalization value sector of the U.S. equity market. It is a subset of the S&P 500 and consists of those stocks in the S&P 500 exhibiting the strongest value characteristics, as determined by S&P Dow Jones Indices LLC (S&P), a subsidiary of McGraw Hill Financial, Inc., representing approximately 49% of the market capitalization of the S&P 500 as of March 31, 2013. Components primarily include energy, financial and industrials companies. 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The Underlying Index consists of a fixed number of securities constituting a subset of the Parent Index and is designed to represent the performance of securities that exhibit higher value style characteristics relative to their peers within the corresponding Global Industry Classification Standard (GICS) sector.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||26.06|26.055|0.0|0.0|26.06|26.05|26.05|26.055|0.0|0.0|26.05|26.06|26.05|26.05|26.06|26.05|26.06|26.06|26.045|26.06|26.04|26.06|24.41|27.68|26.04|26.06|24.41|27.68|25.99|26.12|26.04|26.06|26.6|22.67|312456|76497627 35708|IVOG|IVOG|921932869|US9219328690|Vanguard Admiral Funds|Vanguard S&P Mid-Cap 400 Growth ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Vanguard|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-8|TXN2-1|TXN9-6|TXN4-6|TXN1-5|8300000|||Yearly|||||2010-09-09||IVOG.NV|IVOG.SO|IVOG.EU|IVOG.TC|IVOG.IV| | | | | | | | | |1x|Vanguard S&P Mid-Cap 400 Growth Index Fund seeks to track the performance of a benchmark index that measures the investment return of mid-capitalization growth stocks in the United States.|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||95.16|94.66|0.0|0.0|0.0|94.96|95.075|92.32|0.0|0.0|93.0|0.0|94.96|95.17|0.0|92.34|0.0|95.1517|0.0|95.1517|94.13|96.05|0.0|0.0|94.96|95.13|87.83|95.27|0.0|0.0|94.96|95.13|185.84|83.31|14341|2422061 63617|IVOL|IVOL|500767736|US5007677363|KraneShares Trust|Quadratic Interest Rate Volatility and Inflation Hedge ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Krane Funds Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-2|TXN2-2|TXN6-7|TXN1-3|TXN1-6|44775002|||Monthly|||||2019-05-14||IVOL.NV|IVOL.SO|IVOL.EU|IVOL.TC|IVOL.IV| | | | | | | | | ||Investment Objective: The Quadratic Interest Rate Volatility and Inflation Hedge ETF (the Fund) seeks to hedge the risk of rising long-term interest rates, an increase in inflation andinflation expectations, and an increase in interest rate volatility, while providing inflation-protected income.Principal Strategy: The Fund is actively managed and seeks to achieve its investment objective primarily by investing in a mix of U.S. Treasury Inflation-Protected Securities(TIPS) and long options tied to the shape of the interest rate yield curve (described below). A long option refers to the purchase of an option that appreciatesin value as the reference asset also appreciates in value, as opposed to a short option that appreciates in value as the reference asset depreciates in value. TheFunds strategy is designed to hedge against inflation risk and generate positive returns from the Funds options during periods when interest rate volatilityincreases and/or the interest rate yield curve steepens (i.e., the spread between interest rates on long-term debt instruments and shorter-term debt instrumentswidens).The Fund invests in TIPS directly or through other exchange-traded funds (ETFs) that invest in TIPS. TIPS are U.S. Treasury securities whose principalamount increases with inflation, as measured by the Consumer Price Index (CPI), to protect investors from inflation risk. The Fund may purchase TIPS of anymaturity.|N|0|N|N|416A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|1|||20.85|20.79|0.0|0.0|20.85|20.78|20.805|20.77|0.0|0.0|20.82|20.79|20.82|20.785|20.79|0.0|20.79|20.86|20.755|20.86|19.8|21.89|20.7|22.24|20.78|20.81|20.76|20.9|20.7|20.9|20.78|20.81|24.555|19.87|419763|83375991 35707|IVOO|IVOO|921932885|US9219328856|Vanguard Admiral Funds|Vanguard S&P Mid-Cap 400 ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Vanguard|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-6|TXN2-6|TXN7-6|TXN1-5|TXN1-6|19037315|||Quarterly|||||2010-09-09||IVOO.NV|IVOO.SO|IVOO.EU|IVOO.TC|IVOO.IV| | | | | | | | | |1x|Vanguard S&P Mid-Cap 400 Index Fund seeks to track the performance of a benchmark index that measures the investment return of mid-capitalization stocks in the United States. The Fund employs an indexing investment approach designed to track the performance of the S&P MidCap 400 Index. The Index measures the performance of mid-capitalization stocks. The Fund attempts to replicate the target index by investing all, or substantially all, of its assets in the stocks that make up the Index, holding each stock in approximately the same proportion as its weighting in the Index.|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|1|||89.29|89.62|0.0|0.0|89.53|89.65|89.65|89.35|0.0|0.0|89.54|85.86|89.64|89.54|89.09|89.54|0.0|89.61|0.0|89.61|89.62|89.82|83.41|94.35|89.62|89.67|84.86|93.85|0.0|0.0|89.62|93.17|184.62|78.54|72076|11075995 35709|IVOV|IVOV|921932844|US9219328443|Vanguard Admiral Funds|Vanguard S&P Mid-Cap 400 Value ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Vanguard|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-4|TXN2-7|TXN6-6|TXN4-4|TXN4-7|9825000|||Yearly|||||2010-09-09||IVOV.NV|IVOV.SO|IVOV.EU|IVOV.TC|IVOV.IV| | | | | | | | | |1x|Vanguard S&P Mid-Cap 400 Value Index Fund seeks to track the performance of a benchmark index that measures the investment return of mid-capitalization value stocks in the United States.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||0.0|83.31|0.0|0.0|80.32|82.02|83.31|83.31|0.0|0.0|80.89|0.0|83.11|82.86|80.06|82.74|0.0|83.31|0.0|83.31|83.1|83.48|0.0|0.0|83.26|83.31|76.74|88.94|0.0|0.0|83.26|83.31|177.85|71.72|25574|5063307 76227|IVP|IVP|45784E106|US45784E1064|Inspire Veterinary Partners Inc|CL A COM USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-6|TXN6-4|TXN14-7|TXN5-5|TXN5-6|5010000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201010|20101030|Health Care |Health Care |Health Care Providers|Health Care: Misc.|N||N||||||N|0|Y||||||0.531|0.5601|0.0|0.543|0.549|0.5473|0.5302|0.5385|0.0|0.0|0.54|0.5473|0.538|0.0|0.0|0.0|0.0|0.531|0.0|0.531|0.4455|0.6481|0.4455|0.6481|0.5|0.5865|0.5077|0.5758|0.0|0.0|0.5302|0.5496|4.1|0.4801|130716|19768212 31127|IVR|IVR|46131B704|US46131B7047|Invesco Mortgage Capital Inc.|Common Stock|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-1|TXN2-4|TXN3-7|TXN3-6|TXN4-7|48460000|||Quarterly|||||2009-06-26||||||| | | | | | | | | |||N|0|N|Y|414A|USA|US|||30|3020|302030|30203000|Financials|Financial Services |Mortgage Real Estate Investment Trusts|Mortgage REITs: Diversified|N||N||||||Y|0|Y||Y|2|||8.34|8.33|0.0|8.35|8.34|8.34|8.33|8.33|0.0|0.0|8.34|8.34|8.33|8.35|8.34|8.32|8.33|8.33|8.34|8.32|8.32|8.33|6.26|10.1|8.26|8.34|8.3|8.73|8.29|8.37|8.32|8.33|15.555|6.34|2924390|230338068 44909|IVR PRB|IVRpB|46131B407|US46131B4077|Invesco Mortgage Capital Inc.|7.75% Fixed-To-Floating Series B Cumulative Redeemable Preferred Stock|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN3-3|TXN9-8|TXN3-3|TXN4-8|4410000|||Quarterly|||||2014-09-12||||||| | | | | | | | | |||N|0|N|N|414A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||22.82|22.84|0.0|0.0|0.0|22.83|22.75|22.7156|0.0|0.0|22.7156|0.0|22.75|22.82|0.0|22.52|0.0|22.75|0.0|22.52|22.51|23.0|0.0|0.0|22.05|23.46|0.0|0.0|0.0|0.0|22.51|23.0|23.9495|17.75|24626|2369996 59415|IVR PRC|IVRpC|46131B506|US46131B5066|Invesco Mortgage Capital Inc.|7.5% Fixed-to-Floating Series C Cumulative Redeemable Preferred Stock, Liquation Preference $25.00 per Share|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN2-6|TXN3-8|TXN2-5|TXN2-5|7580000|||Quarterly|||||2017-08-21||||||| | | | | | | | | |||N|0|N|N|414A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|20.8|0.0|0.0|20.41125|20.73125|20.98|20.81|0.0|0.0|20.9|0.0|21.02|0.0|0.0|21.04|0.0|21.02|0.0|21.04|21.01|21.15|0.0|0.0|20.57|21.52|0.0|0.0|0.0|0.0|21.01|21.15|23.2299|17.05|11482|3432231 68569|IVRA|IVRA|46090A788|US46090A7880|Invesco Real Assets Esg ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-5|TXN3-5|TXN8-8|TXN2-8|TXN3-4|230000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|13.6889|0.0|0.0|0.0|0.0|13.38|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|13.6889|0.0|13.6889|10.88|16.41|13.64|13.69|13.66|13.72|10.88|16.41|0.0|0.0|13.66|13.72|14.7535|11.8103|118|214701 75271|IVRS|IVRS|46436E247|US46436E2476|iShares Trust|iShares Future Metaverse Tech and Communications ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-1|TXN2-8|TXN1-8|TXN3-1|TXN2-8|200000|||BiAnnually|||||2023-02-16||IVRS.NV|IVRS.SO|IVRS.EU|IVRS.TC|IVRS.IV| | | | | | | | | |1x|The iShares Future Metaverse Tech and Communications ETF (the Fund) seeks to track the investment results of an index composed of U.S. and non-U.S. companies that provide products and services that are expected to contribute to the metaverse in areas including virtual platforms, social media, gaming, 3D software, digital assets, and virtual and augmented reality.|N|0|N|N|412C|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|30.7601|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|30.7858|0.0|30.7858|28.47|32.83|0.0|0.0|30.74|30.82|30.74|30.82|0.0|0.0|30.74|30.82|31.2352|23.9747|37|93601 72002|IVT|IVT|46124J201|US46124J2015|InvenTrust Properties Corp.|Common Stock|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-7|TXN3-4|TXN9-7|TXN2-5|TXN2-6|67530000|||Quarterly|||||2021-10-12||||||| | | | | | | | | |||N|0|N|Y|414A|USA|US|||35|3510|351020|35102045|Real Estate|Real Estate |Real Estate Investment Trusts|Retail REITs|N||N||||||Y|0|Y||Y|2|||25.65|25.65|0.0|25.15|25.65|25.66|25.66|25.65|0.0|0.0|25.59|25.46|25.66|25.57|25.02|25.66|25.57|25.66|25.645|25.66|25.65|25.66|19.84|31.26|25.58|25.68|25.61|25.7|25.6|25.69|25.65|25.67|26.23|20.76|250065|55915640 7132|IVV|IVV|464287200|US4642872000|iShares Trust|iShares Core S&P 500 ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-4|TXN2-3|TXN7-2|TXN1-2|TXN3-3|825200000|||Quarterly|||||2007-12-06||IVV.NV|IVV.SO|IVV.EU|IVV.TC|IVV.IV| | | | | | | | | |1x|The iShares Core S&P 500 ETF (the Fund) seeks to track the investment results of an index composed of large-capitalization U.S. equities. The Fund seeks to track the investment results of the S&P 500 (the Underlying Index), which measures the performance of the large-capitalization sector of the U.S. equity market. As of March 31, 2013, the Underlying Index included approximately 78% of the market capitalization of all publicly-traded U.S. equity securities. The component stocks are weighted according to the float-adjusted market value of their outstanding shares. The Underlying Index consists of stocks from a broad range of industries. Components primarily include financial, healthcare and information technology companies. The components of the Underlying Index, and the degree to which these components represent certain industries, may change over time.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||458.7|458.78|0.0|458.49|458.78|458.79|458.78|458.69|0.0|0.0|458.79|458.77|458.83|458.875|458.78|458.8|458.75|458.85|458.875|458.85|458.59|458.96|458.07|458.81|458.76|458.78|458.76|458.82|458.4|459.2|458.76|458.78|461.88|376.49|4123609|974902006 75966|IVVB|IVVB|092528801|US0925288013|iShares Large Cap Deep Buffer ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-7|TXN2-8|TXN1-8|TXN2-8|TXN3-8|440000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||25.66|25.6587|0.0|0.0|0.0|0.0|25.7098|25.61|0.0|0.0|25.65|0.0|0.0|0.0|0.0|0.0|0.0|25.6587|25.66|25.6587|0.0|0.0|25.62|25.72|25.61|25.73|25.61|25.73|25.62|25.73|25.61|25.73|25.95|23.83|776|1905495 71360|IVVD|IVVD|00534A102|US00534A1025|Invivyd Inc|COM USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN6-1|TXN10-3|TXN5-5|TXN5-3|110120000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||1.71|1.69|0.0|0.0|1.74|1.73|1.74|1.72|0.0|0.0|1.63|1.62|1.74|1.72|1.73|1.635|1.64|1.74|0.0|1.74|1.68|1.77|1.37|2.08|1.7|1.77|1.37|1.88|1.7|1.76|1.73|1.74|2.68|0.9802|168348|58311827 75967|IVVM|IVVM|092528702|US0925287023|iShares Large Cap Moderate Buffer ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-3|TXN3-7|TXN2-8|TXN4-2|TXN1-2|440000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|26.2607|0.0|0.0|0.0|25.66|26.1901|0.0|0.0|0.0|0.0|0.0|0.0|25.97|0.0|0.0|0.0|26.2607|0.0|26.2607|0.0|0.0|26.21|26.32|26.21|26.33|26.21|26.33|26.21|26.33|26.21|26.33|26.2762|24.4749|113|215106 7133|IVW|IVW|464287309|US4642873099|iShares Trust|iShares S&P 500 Growth ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Latour Trading, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-6|TXN2-1|TXN1-6|TXN1-7|TXN3-6|492850000|||Quarterly|||||2007-12-06||IVW.NV|IVW.SO|IVW.EU|IVW.TC|IVW.IV| | | | | | | | | |1x|The iShares S&P 500 Growth ETF (the Fund) seeks to track the investment results of an index composed of large-capitalization U.S. equities that exhibit growth characteristics. The Fund seeks to track the investment results of the S&P 500 Growth Index (the Underlying Index), which measures the performance of the large-capitalization growth sector of the U.S. equity market. It is a subset of the S&P 500 and consists of those stocks in the S&P 500 exhibiting the strongest growth characteristics, as determined by S&P Dow Jones Indices LLC (S&P), a subsidiary of McGraw Hill Financial, Inc., representing approximately 51% of the market capitalization of the S&P 500 as of March 31, 2013. Components primarily include consumer discretionary, healthcare and information technology companies. The components of the Underlying Index, and the degree to which these components represent certain industries, may change over time.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||72.32|72.32|0.0|0.0|72.31|72.325|72.32|72.33|0.0|0.0|72.32|72.32|72.32|72.31|72.33|72.325|72.34|72.31|72.23|72.31|72.31|72.33|67.88|76.93|72.32|72.33|72.21|72.41|72.22|72.37|72.32|72.33|73.125|7.05|1658775|436528280 4905|IVZ|IVZ|G491BT108|BMG491BT1088|Invesco Ltd.|Common Shares|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|A|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-2|TXN1-1|TXN9-4|TXN1-2|TXN4-3|449550000|||Quarterly|||||2007-12-04||||||| | | | | | | | | |||N|5|Y|Y|416A|USA|BM|||30|3020|302020|30202010|Financials|Financial Services |Investment Banking and Brokerage Services |Asset Managers and Custodians|N||N||||||Y|0|Y||Y|1|||15.03|15.035|0.0|15.06|15.035|15.035|15.04|15.03|0.0|0.0|15.035|15.04|15.04|15.035|15.035|15.03|15.04|15.04|15.04|15.03|15.03|15.04|13.98|15.91|15.03|15.04|15.0|15.06|15.03|15.06|15.03|15.04|20.56|12.48|6847254|1114868926 7138|IWB|IWB|464287622|US4642876225|iShares Trust|iShares Russell 1000 ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Latour Trading, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-7|TXN1-1|TXN6-1|TXN2-6|TXN4-8|123300000|||Quarterly|||||2006-10-20||IWB.NV|IWB.SO|IWB.EU|IWB.TC|IWB.IV| | | | | | | | | |1x|The iShares Russell 1000 ETF (the Fund) seeks to track the investment results of an index composed of large- and mid-capitalization U.S. equities. The Fund seeks to track the investment results of the Russell 1000 Index (the Underlying Index), which measures the performance of large- and mid-capitalization sectors of the U.S. equity market. The Underlying Index includes issuers representing approximately 91% of the market capitalization of all publicly-traded U.S. equity securities. The Underlying Index is a float-adjusted capitalization-weighted index of equity securities issued by the approximately 1,000 largest issuers in the Russell 3000 Index.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||251.605|251.61|0.0|251.05|251.62|251.6|251.49|251.56|0.0|0.0|251.56|251.6|251.52|251.61|251.57|251.61|250.93|251.46|251.58|251.46|251.0|252.09|251.18|251.8|251.5|251.54|251.18|251.65|251.18|251.8|251.25|251.78|252.935|206.23|1545885|182509612 7139|IWC|IWC|464288869|US4642888691|iShares Trust|iShares Micro-Cap ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-7|TXN2-3|TXN1-4|TXN2-2|TXN4-5|7850000|||Quarterly|||||2007-12-06||IWC.NV|IWC.SO|IWC.EU|IWC.TC|IWC.IV| | | | | | | | | |1x|The iShares Russell Microcap Index Fund seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the Russell Microcap Index. The Underlying Index measures the performance of the microcap sector of the U.S. equity market. The Underlying Index is a float-adjusted capitalization-weighted index and includes equity securities issued by issuers with total market capitalizations ranging from approximately $35 million to $600 million, although this range may change from time to time. The Underlying Index consists of approximately the 1,000 allest issuers in the Russell 3000 Index plus the next allest 1,000 issuers in the equity universe as determined by Russell. As of May 29, 2009, the Underlying Index includes issuers representing approximately 2% of the total market capitalization of all publicly-traded U.S. equity securities.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||105.81|106.6|0.0|0.0|105.95|106.4|106.56|106.39|0.0|0.0|106.42|102.2|106.45|106.14|105.87|105.6|0.0|106.31|106.11|106.31|100.26|110.72|99.11|112.03|106.31|106.65|105.88|107.05|105.88|107.04|106.31|106.65|122.75|90.7|34503|8653222 7140|IWD|IWD|464287598|US4642875987|iShares Trust|iShares Russell 1000 Value ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Latour Trading, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-7|TXN3-5|TXN4-2|TXN2-6|TXN3-5|327600000|||Quarterly|||||2006-10-20||IWD.NV|IWD.SO|IWD.EU|IWD.TC|IWD.IV| | | | | | | | | |1x|The iShares Russell 1000 Value ETF (the Fund) seeks to track the investment results of an index composed of large- and mid-capitalization U.S. equities that exhibit value characteristics. The Fund seeks to track the investment results of the Russell 1000 Value Index (the Underlying Index), which measures the performance of large- and mid-capitalization value sectors of the U.S. equity market. It is a subset of the Russell 1000 Index, which measures the performance of the large-capitalization sector of the U.S. equity market. As of March 31, 2013, the Underlying Index represented approximately 52% of the total market value of the Russell 1000 Index. The Underlying Index measures the performance of equity securities of Russell 1000 Index issuers with relatively lower price-to-book ratios and lower forecasted growth. Components primarily include energy, financial and healthcare companies. The components of the Underlying Index, and the degree to which these components represent certain industries, may change over time.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||159.3|159.3|0.0|159.06|159.3|159.3|159.28|159.28|0.0|0.0|159.32|159.3|159.3|159.171|159.32|159.35|159.32|159.27|159.055|159.27|159.28|159.67|159.1|159.4|159.28|159.32|159.1|159.41|159.1|159.5|159.29|159.32|164.18|143.34|4024738|458348040 69043|IWDL|IWDL|90278V107|US90278V1070|UBS AG|ETRACS 2x Leveraged US Value Factor TR ETN|Operating company|ETN|N|N|P|Y|Y|Y|Y|Y||||||||UBS|IMC Chicago, LLC, DBA IMC Financial Markets|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-7|TXN3-4|TXN7-8|TXN4-6|TXN3-4|1000000|||NotApplicable|||||2021-02-05|2051-02-09|IWDL.NV|IWDL.SO|IWDL.EU|IWDL.TC|IWDL.IV| | | | | | | | | |2x|ETRACS 2x Leveraged US Value Factor TR ETN is an exchange-traded note issued in the USA. It provides 2 times leveraged long exposure to the compounded quarterly performance of the total return version of the Russell 1000 Value TR USD. The underlying index measures the performance of the large-cap value segment of the U.S. equity market. It includes those Russell 1000 companies with lower price-to-book ratios and lower forecasted growth values. The Securities are senior unsecured debt securites.|N|0|N|N|416A||CH|EQUITY|LEVERAGED|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|25.8318|29.01|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|29.5673|0.0|29.5673|0.0|0.0|0.0|0.0|29.5|29.6|29.28|29.66|0.0|0.0|29.5|29.6|31.6625|24.1295|159|33071 7141|IWF|IWF|464287614|US4642876142|iShares Trust|iShares Russell 1000 Growth ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Latour Trading, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN2-4|TXN9-2|TXN1-2|TXN3-6|267050000|||Quarterly|||||2006-10-20||IWF.NV|IWF.SO|IWF.EU|IWF.TC|IWF.IV| | | | | | | | | |1x|The iShares Russell 1000 Growth ETF (the Fund) seeks to track the investment results of an index composed of large- and mid-capitalization U.S. equities that exhibit growth characteristics. The Fund seeks to track the investment results of the Russell 1000 Growth Index (the Underlying Index), which measures the performance of large- and mid-capitalization growth sectors of the U.S. equity market. It is a subset of the Russell 1000 Index, which measures the performance of the large-capitalization sector of the U.S. equity market. As of March 31, 2013, the Underlying Index represented approximately 48% of the total market value of the Russell 1000 Index. The Underlying Index measures the performance of equity securities of Russell 1000 Index issuers with relatively higher price-to-book ratios and higher forecasted growth. Components primarily include consumer discretionary, producer durables and technology companies. The components of the Underlying Index, and the degree to which these components represent certain industries, may change over time.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||289.47|289.47|0.0|287.33|289.51|289.47|289.45|289.47|0.0|0.0|289.47|288.94|289.45|289.47|289.47|289.47|289.47|289.5|288.72|289.5|289.0|290.19|271.75|306.31|289.5|289.56|289.29|289.68|289.29|289.81|289.5|289.56|293.625|209.27|2024355|322163274 74189|IWFG|IWFG|45409F751|US45409F7511|IndexIQ Active ETF Trust|IQ Winslow Focused Large Cap Growth ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||IndexIQ |Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-5|TXN1-2|TXN3-8|TXN2-2|TXN2-6|210000|||Yearly|||||2022-06-23||IWFG.NV|IWFG.SO|IWFG.EU|IWFG.TC|IWFG.IV| | | | | | | | | ||The Fund seeks long-term growth of capital.|N|0|N|N|406B|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|34.2485|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|34.2798|0.0|34.2798|27.38|41.28|0.0|0.0|34.21|34.32|27.38|41.28|0.0|0.0|34.22|34.31|34.81|25.6726|737|24565 67713|IWFH|IWFH|46436E585|US46436E5859|iShares Trust|iShares Virtual Work and Life Multisector ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-1|TXN1-5|TXN2-8|TXN4-5|TXN3-5|200000|||BiAnnually|||||2020-10-01||IWFH.NV|IWFH.SO|IWFH.EU|IWFH.TC|IWFH.IV| | | | | | | | | |1x|The iShares Virtual Work and Life Multisector ETF (the Fund) seeks to track the investment results of an index composed of U.S. and non-U.S. companies that provide products, services and technologies that empower individuals to work remotely, and support an increasingly virtual way of life across entertainment, wellness and learning.|N|0|N|N|412C|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|15.5|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|15.5737|0.0|15.5737|12.28|18.5|0.0|0.0|15.55|15.59|12.28|18.5|0.0|0.0|15.55|15.59|16.5044|12.6461|273|98126 69041|IWFL|IWFL|90278V305|US90278V3050|UBS AG|ETRACS 2x Leveraged US Growth Factor TR ETN|Operating company|ETN|N|N|P|Y|Y|Y|Y|Y||||||||UBS|IMC Chicago, LLC, DBA IMC Financial Markets|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-1|TXN4-5|TXN3-8|TXN2-4|TXN4-2|1000000|||NotApplicable|||||2021-02-05|2051-02-09|IWFL.NV|IWFL.SO|IWFL.EU|IWFL.TC| | | | | | | | | | |2x|ETRACS 2x Leveraged US Growth Factor TR ETN is an exchange-traded note issued in the USA. It provides 2 times leveraged long exposure to the compounded quarterly performance of the total return version of the Russell 1000 Growth TR USD. The underlying index measures the performance of the large-cap growth segment of the U.S. equity market. It includes those Russell 1000 companies with higher price-to-book ratios and higher forecasted growth values. The Securities are senior unsecured debt securites.|N|0|N|N|416A|GBR|CH|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|27.4065|0.0|27.4065|0.0|0.0|0.0|0.0|27.34|27.48|26.25|28.55|0.0|0.0|27.34|27.48|27.8761|15.5175|240|29062 73388|IWIN|IWIN|032108748|US0321087480|Amplify ETF Trust|Amplify Inflation Fighter ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Amplify Investments|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-8|TXN2-2|TXN1-5|TXN1-3|TXN2-7|350000|||Yearly|||||2022-02-02||IWIN.NV|IWIN.SO|IWIN.EU|IWIN.TC| | | | | | | | | | |1x|The Fund is an actively managed exchange-traded fund (ETF) that seeks to achieve its investment objective by investing up to 80% of its net assets (including investment borrowings) in portfolio holdings expected to benefit, either directly or indirectly, from rising prices (i.e., inflation).|N|0|N|N|406B|USA|US|EQUITY|ACTIVE|||||||||N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|26.09|26.09|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|26.0972|0.0|26.0972|0.0|0.0|0.0|0.0|26.06|26.25|0.0|0.0|0.0|0.0|26.06|26.25|26.145|20.2|1901|332887 31580|IWL|IWL|464289446|US4642894467|iShares Trust|iShares Russell Top 200 ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-1|TXN3-4|TXN2-8|TXN1-4|TXN4-5|9400000|||Quarterly|||||2009-09-25||IWL.NV|IWL.SO|IWL.EU|IWL.TC|IWL.IV| | | | | | | | | |1x|The iShares Russell Top 200 Index Fund seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the Russell Top 200 Index. THE UNDERLYING INDEX IS A FLOAT-ADJUSTED, CAPITALIZATION-WEIGHTED INDEX THAT MEASURES THE PERFORMANCE OF THE LARGEST CAPITALIZATION SECTOR OF THE U.S. EQUITY MARKET. THE UNDERLYING INDEX INCLUDES SECURITIES ISSUED BY THE APPROXIMATELY 200 LARGEST ISSUERS IN THE RUSSELL 3000 INDEX REPRESENTING APPROXIMATELY 65% OF THE MARKET CAPITALIZATION OF ALL PUBLICLY-TRADED U.S. EQUITY SECURITIES.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||0.0|110.65|0.0|0.0|110.5|110.18|110.6738|110.87|0.0|0.0|111.27|0.0|110.65|0.0|0.0|110.53|0.0|110.65|0.0|110.65|110.65|110.89|103.54|117.56|110.65|110.67|105.07|116.09|0.0|0.0|110.65|110.67|111.51|88.23|55897|14920615 74188|IWLG|IWLG|45409F769|US45409F7693|IndexIQ Active ETF Trust|IQ Winslow Large Cap Growth ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||IndexIQ |Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-8|TXN3-1|TXN6-8|TXN3-3|TXN3-4|650000|||Yearly|||||2022-06-23||IWLG.NV|IWLG.SO|IWLG.EU|IWLG.TC|IWLG.IV| | | | | | | | | ||The Fund seeks long-term growth of capital.|N|0|N|N|406B|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|32.09|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|34.4794|0.0|34.4794|27.54|41.5|0.0|0.0|34.42|34.52|27.54|41.5|0.0|0.0|34.42|34.51|34.8044|25.0062|1|141462 10187|IWM|IWM|464287655|US4642876555|iShares Trust|iShares Russell 2000 ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Latour Trading, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN2-1|TXN2-1|TXN2-1|TXN2-1|299900000|||Quarterly|||||2006-10-20||IWM.NV|IWM.SO|IWM.EU|IWM.TC|IWM.IV| | | | | | | | | |1x|The iShares Russell 2000 ETF (the Fund) seeks to track the investment results of an index composed of small-capitalization U.S. equities. The Fund seeks to track the investment results of the Russell 2000 Index (the Underlying Index), which measures the performance of the small-capitalization sector of the U.S. equity market. The Underlying Index includes issuers representing approximately 9% of the total market capitalization of all publicly-traded U.S. equity securities. The Underlying Index is a float-adjusted capitalization-weighted index of equity securities issued by the approximately 2,000 smallest issuers in the Russell 3000 Index. As of March 31, 2013, the Underlying Index represented approximately $1.6 trillion of the total market capitalization of the Russell 3000 Index. Total market capitalization reflects all equity shares outstanding, while total market value reflects float-adjusted capitalizations based on equity shares available for general investment. Components primarily include consumer discretionary, financial and producer durables companies. The components of the Underlying Index, and the degree to which these components represent certain industries, may change over time.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||186.88|186.87|0.0|186.91|186.87|186.85|186.87|186.85|0.0|0.0|186.86|186.85|186.88|186.85|186.85|186.85|186.89|186.89|186.85|186.89|186.86|186.99|186.56|187.14|186.86|186.88|186.86|186.89|186.73|187.05|186.87|186.88|199.26|161.67|44862600|7117557401 69042|IWML|IWML|90278V404|US90278V4041|UBS AG|ETRACS 2x Leveraged US Size Factor TR ETN|Operating company|ETN|N|N|P|Y|Y|Y|Y|Y||||||||UBS|IMC Chicago, LLC, DBA IMC Financial Markets|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-8|TXN3-4|TXN9-8|TXN1-5|TXN3-3|1000000|||NotApplicable|||||2021-02-05|2051-02-09|IWML.NV|IWML.SO|IWML.EU|IWML.TC|IWML.IV| | | | | | | | | |2x|ETRACS 2x Leveraged MSCI US Quality Factor TR ETN is an exchange-traded note issued in the USA. It provides 2 times leveraged long exposure to the compounded quarterly performance of the total return version of the MSCI USA Sector Neutral Quality GR USD. The underlying index aims to capture the performance of large- and mid-cap U.S. equities among the existing constituent securities of the MSCI USA Index that exhibit stronger quality characteristics relative to their peers within the same sector. The MSCI USA Index is designed to measure the performance of the large and mid-cap segments of the U.S. equity market. The Securities are senior unsecured debt securites.|N|0|N|N|416A||CH|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|14.95|16.019|0.0|0.0|0.0|16.0|0.0|0.0|0.0|0.0|0.0|0.0|16.1456|0.0|16.1456|0.0|0.0|0.0|0.0|16.08|16.23|15.26|16.36|0.0|0.0|16.08|16.23|20.72|10.3001|234|212334 76528|IWMY|IWMY|88636J824|US88636J8247|Tidal Trust II|Defiance R2000 Enhanced Options Income ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Tidal ETF Services |Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-7|TXN2-7|TXN3-8|TXN3-7|TXN3-3|1400000|||Monthly|||||2023-10-31||IWMY.NV|IWMY.SO|IWMY.EU|IWMY.TC| | | | | | | | | | ||the Fund aims to generate additional income from its options investments when the R2000 Index rises in value, based on the specific put options it sold.|N|0|N|N|416A|USA|US|HYBRID|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||20.04|20.04|0.0|20.04|20.04|20.04|20.0305|20.03|0.0|0.0|20.04|20.04|20.04|20.04|20.04|20.03|0.0|20.04|20.04|20.04|15.47|24.76|15.47|24.76|20.02|20.04|19.92|20.12|19.96|20.07|20.02|20.04|23.09|19.8|157026|2003173 7142|IWN|IWN|464287630|US4642876308|iShares Trust|iShares Russell 2000 Value ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-7|TXN3-8|TXN9-6|TXN3-1|TXN4-2|78000000|||Quarterly|||||2006-10-20||IWN.NV|IWN.SO|IWN.EU|IWN.TC|IWN.IV| | | | | | | | | |1x|The iShares Russell 2000 Value ETF (the Fund) seeks to track the investment results of an index composed of small-capitalization U.S. equities that exhibit value characteristics. The Fund seeks to track the investment results of the Russell 2000 Value Index (the Underlying Index), which measures the performance of the small-capitalization value sector of the U.S. equity market. It is a subset of the Russell 2000 Index, which measures the performance of the small-capitalization sector of the U.S. equity market. As of March 31, 2013, the Underlying Index represents approximately 51% of the total market value of the Russell 2000 Index. The Underlying Index measures the performance of equity securities of Russell 2000 Index issuers with relatively lower price-to-book ratios and lower forecasted growth. Components primarily include consumer discretionary, financial and producer durables companies. The components of the Underlying Index, and the degree to which these components represent certain industries, may change over time.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||145.09|145.12|0.0|144.94|145.13|145.12|145.0958|145.145|0.0|0.0|145.12|145.1|145.14|145.09|145.15|145.16|145.15|145.11|143.61|145.11|144.8|145.32|135.5|153.85|145.1|145.11|144.75|145.43|144.75|145.44|145.1|145.11|157.65|124.97|2407334|342590991 7143|IWO|IWO|464287648|US4642876480|iShares Trust|iShares Russell 2000 Growth ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Latour Trading, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-6|TXN3-7|TXN5-5|TXN4-6|TXN2-1|42600000|||Quarterly|||||2006-10-20||IWO.NV|IWO.SO|IWO.EU|IWO.TC|IWO.IV| | | | | | | | | |1x|The iShares Russell 2000 Growth ETF (the Fund) seeks to track the investment results of an index composed of small-capitalization U.S. equities that exhibit growth characteristics. The Fund seeks to track the investment results of the Russell 2000 Growth Index (the Underlying Index), which measures the performance of the small-capitalization growth sector of the U.S. equity market. It is a subset of the Russell 2000 Index, which measures the performance of the small-capitalization sector of the U.S. equity market. As of March 31, 2013, the Underlying Index represented approximately 49% of the total market value of the Russell 2000 Index. The Underlying Index measures the performance of equity securities of Russell 2000 Index issuers with relatively higher price-to-book ratios and higher forecasted growth. Components primarily include consumer discretionary, healthcare and technology companies. The components of the Underlying Index, and the degree to which these components represent certain industries, may change over time.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||234.05|234.06|0.0|231.68|234.05|234.06|234.06|234.17|0.0|0.0|234.15|234.13|234.05|234.06|234.06|234.16|233.375|234.11|233.49|234.11|233.63|234.47|217.05|246.21|233.99|234.11|233.47|234.63|233.74|234.63|233.99|234.11|255.1|203.4155|628492|109314514 7144|IWP|IWP|464287481|US4642874816|iShares Trust|iShares Russell Mid-Cap Growth ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Latour Trading, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-4|TXN3-7|TXN5-2|TXN1-3|TXN2-6|136650000|||Quarterly|||||2006-10-20||IWP.NV|IWP.SO|IWP.EU|IWP.TC|IWP.IV| | | | | | | | | |1x|The iShares Russell Mid-Cap Growth ETF (the Fund) seeks to track the investment results of an index composed of mid-capitalization U.S. equities that exhibit growth characteristics. The Fund seeks to track the investment results of the Russell Midcap Growth Index (the Underlying Index), which measures the performance of the mid-capitalization growth sector of the U.S. equity market. It is a subset of the Russell Midcap Index, which measures the performance of the mid-capitalization sector of the U.S. equity market.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||99.12|99.09|0.0|99.12|99.11|99.1|99.085|99.1|0.0|0.0|99.08|98.97|99.09|99.095|99.11|99.11|99.11|99.09|99.095|99.09|99.03|99.11|93.16|105.71|99.05|99.09|99.02|99.12|98.86|99.27|99.05|99.09|100.925|81.975|1464020|154018083 7145|IWR|IWR|464287499|US4642874998|iShares Trust|iShares Russell Mid-Cap ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Latour Trading, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-7|TXN4-2|TXN7-8|TXN2-5|TXN2-8|397950000|||Quarterly|||||2006-10-20||IWR.NV|IWR.SO|IWR.EU|IWR.TC|IWR.IV| | | | | | | | | |1x|The iShares Russell Mid-Cap ETF (the Fund) seeks to track the investment results of an index composed of mid-capitalization U.S. equities. The Fund seeks to track the investment results of the Russell Midcap Index (the Underlying Index), which measures the performance of the mid-capitalization sector of the U.S. equity market. The Underlying Index is a float-adjusted, capitalization-weighted index of the 800 smallest issuers in the Russell 1000 Index. The Underlying Index includes equity securities issued by issuers which range in size between approximately $1.6 billion and $18.3 billion, although this range may change from time to time.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||73.99|73.98|0.0|73.82|73.985|73.985|73.98|73.995|0.0|0.0|73.96|73.99|73.97|73.92|73.98|73.985|74.0|73.98|73.99|73.98|73.95|73.99|69.33|78.12|73.97|73.98|73.94|74.0|73.81|74.13|73.97|73.98|76.21|64.66|2631099|275066026 7146|IWS|IWS|464287473|US4642874733|iShares Trust|iShares Russell Mid-Cap Value ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Latour Trading, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-6|TXN2-6|TXN1-7|TXN4-2|TXN4-8|112800000|||Quarterly|||||2006-10-20||IWS.NV|IWS.SO|IWS.EU|IWS.TC|IWS.IV| | | | | | | | | |1x|The iShares Russell Mid-Cap Value ETF (the Fund) seeks to track the investment results of an index composed of mid-capitalization U.S. equities that exhibit value characteristics. The Fund seeks to track the investment results of the Russell Midcap Value Index (the Underlying Index), which measures the performance of the mid-capitalization value sector of the U.S. equity market. It is a subset of the Russell Midcap Index, which measures the performance of the mid-capitalization sector of the U.S. equity market.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||110.78|110.77|0.0|0.0|110.78|110.78|110.77|110.78|0.0|0.0|110.77|110.61|110.77|110.78|110.79|110.77|110.78|110.76|108.94|110.76|110.52|110.97|102.9|116.93|110.72|110.76|105.14|115.72|110.51|110.98|110.72|110.76|116.73|97.4001|619711|95694584 74660|IWTR|IWTR|46436E346|US46436E3466|iShares MSCI Water Management Multisector ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN5-1|TXN14-8|TXN6-3|TXN5-4|200000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|28.08|0.0|0.0|0.0|0.0|28.03|0.0|28.08|0.0|0.0|0.0|0.0|27.84|28.22|0.0|0.0|0.0|0.0|28.01|28.08|29.515|25.0|212|58224 7147|IWV|IWV|464287689|US4642876894|iShares Trust|iShares Russell 3000 ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-6|TXN4-2|TXN4-1|TXN3-2|TXN4-4|45050000|||Quarterly|||||2006-10-20||IWV.NV|IWV.SO|IWV.EU|IWV.TC|IWV.IV| | | | | | | | | |1x|The iShares Russell 3000 Index Fund seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the broad U.S. equity market, as represented by the Russell 3000 Index. The Underlying Index measures the performance of the broad U.S. equity market. As of May 29, 2009, the Underlying Index included issuers representing approximately 91% of the total market capitalization of all publicly-traded U.S.-domiciled equity securities. The Underlying Index is a float-adjusted capitalization-weighted index of the largest public issuers domiciled in the U.S. and its territories. Total market capitalization reflects all equity shares outstanding, while total market value reflects float-adjusted capitalizations based on equity shares available for general investment.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||261.67|261.82|0.0|0.0|261.92|262.15|262.08|262.02|0.0|0.0|261.76|260.49|262.09|261.83|262.08|261.72|262.2|262.08|262.975|262.08|262.08|262.68|261.69|262.47|262.08|262.17|261.69|262.33|261.69|262.47|262.08|262.57|264.27|216.2|119382|37415245 31579|IWX|IWX|464289420|US4642894202|iShares Trust|iShares Russell Top 200 Value ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-7|TXN2-3|TXN3-3|TXN2-3|TXN4-3|25900000|||Quarterly|||||2009-09-25||IWX.NV|IWX.SO|IWX.EU|IWX.TC|IWX.IV| | | | | | | | | |1x|The iShares Russell Top 200 Value Index Fund seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the Russell Top 200 Value Index. THE UNDERLYING INDEX IS A STYLE FACTOR WEIGHTED INDEX THAT MEASURES THE PERFORMANCE OF THE LARGEST CAPITALIZATION VALUE SECTOR OF THE U.S. EQUITY MARKET. IT IS A SUBSET OF THE RUSSELL TOP 200 INDEX, WHICH MEASURES THE PERFORMANCE OF THE LARGEST CAPITALIZATION SECTOR OF THE U.S. EQUITY MARKET. THE UNDERLYING INDEX MEASURES THE PERFORMANCE OF EQUITY SECURITIES OF RUSSELL TOP 200 INDEX ISSUERS WITH RELATIVELY LOWER PRICE-TO-BOOK RATIOS AND LOWER FORECASTED GROWTH.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||68.07|68.09|0.0|0.0|68.11|68.09|68.15|68.075|0.0|0.0|68.1|0.0|68.13|68.11|68.07|68.11|0.0|68.12|0.0|68.12|68.02|68.28|63.44|72.33|68.13|68.14|68.03|68.22|68.04|68.22|68.13|68.14|69.87|61.9|90546|30601916 31581|IWY|IWY|464289438|US4642894384|iShares Trust|iShares Russell Top 200 Growth ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-7|TXN4-6|TXN5-8|TXN1-5|TXN2-6|50050000|||Quarterly|||||2009-09-25||IWY.NV|IWY.SO|IWY.EU|IWY.TC|IWY.IV| | | | | | | | | |1x|The iShares Russell Top 200 Growth Index Fund seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the Russell Top 200 Growth Index. THE UNDERLYING INDEX IS A STYLE FACTOR WEIGHTED INDEX THAT MEASURES THE PERFORMANCE OF THE LARGEST CAPITALIZATION GROWTH SECTOR OF THE U.S. EQUITY MARKET. IT IS A SUBSET OF THE RUSSELL TOP 200 INDEX, WHICH MEASURES THE PERFORMANCE OF THE LARGEST CAPITALIZATION SECTOR OF THE U.S. EQUITY MARKET. THE UNDERLYING INDEX MEASURES THE PERFORMANCE OF EQUITY SECURITIES OF RUSSELL TOP 200 INDEX ISSUERS WITH RELATIVELY HIGHER PRICE-TO-BOOK RATIOS AND HIGHER FORECASTED GROWTH.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||167.11|167.54|0.0|167.36|167.5|167.49|167.469|166.97|0.0|0.0|167.43|167.5|167.45|167.11|167.49|167.47|167.46|167.43|167.36|167.43|167.45|167.86|167.23|167.65|167.45|167.48|167.23|167.68|167.23|167.56|167.45|167.48|170.67|117.31|401483|71240701 7150|IX|IX|686330101|US6863301015|ORIX Corporation|American Depositary Shares (Each Representing Five (5) Shares of Common Stock)|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN1-3|TXN2-8|TXN4-2|TXN4-6|1234850000|||Yearly|||||1998-09-16||||||| | | | | | | | | |||N|0|N|Y|416A|JPN|JP|||30|3020|302020|30202000|Financials|Financial Services |Investment Banking and Brokerage Services |Diversified Financial Services |N||N||||||N|0|Y||Y|2|||0.0|91.22|0.0|0.0|0.0|92.36|91.505|91.65|0.0|0.0|91.48|89.12|91.63|91.43|0.0|91.55|0.0|91.505|0.0|91.55|91.28|91.55|90.9|91.99|90.78|92.11|72.92|112.32|91.15|91.84|91.28|91.55|101.56|77.93|10839|5331339 72677|IXAQ|IXAQ|G5000D103|KYG5000D1034|IX Acquisition Corp|ORD CL A USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN5-1|TXN12-7|TXN5-7|TXN6-5|8670000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||GBR||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.99|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.78|11.27|0.0|0.0|0.0|0.0|10.99|11.02|12.15|10.0|5|9709389 71970|IXAQU|IXAQU|G5000D129|KYG5000D1299|IX Acquisition Corp|UNITS||R|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN6-8|TXN10-8|TXN6-7|TXN6-8|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||GBR||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|10.88|0.0|10.72|0.0|0.0|0.0|0.0|0.0|10.87|0.0|0.0|0.0|0.0|10.88|0.0|10.88|0.0|0.0|0.0|0.0|10.71|11.25|0.0|0.0|0.0|0.0|10.71|11.05|12.02|10.08|1800|149259 72678|IXAQW|IXAQW|G5000D111|KYG5000D1117|IX Acquisition Corp|WT EXP 073128||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-5|TXN6-1|TXN10-6|TXN5-6|TXN5-3|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||GBR||||||||||||N||N||||||N|0|Y|C|||||0.0|0.04|0.0|0.0|0.0|0.0389|0.0|0.0|0.0|0.0|0.04|0.0|0.0259|0.0|0.0|0.0|0.0|0.0259|0.0|0.0259|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.02|0.0462|0.0726|0.0129|2400|965949 7151|IXC|IXC|464287341|US4642873412|iShares Trust|iShares Global Energy ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Pundion LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN1-3|TXN5-1|TXN4-6|TXN4-4|76950000|||BiAnnually|||||2007-12-06||IXC.NV|IXC.SO|IXC.EU|IXC.TC|IXC.IV| | | | | | | | | |1x|The iShares Global Energy ETF (the Fund) seeks to track the investment results of an index composed of global equities in the energy sector. The Fund seeks to track the investment results of the S&P Global 1200 Energy Sector IndexTM (the Underlying Index), which measures the performance of companies that S&P Dow Jones Indices LLC (S&P), a subsidiary of McGraw Hill Financial, Inc., deems to be part of the energy sector of the economy and that S&P believes are important to global markets. It is a subset of the S&P Global 1200. The Underlying Index may include large-, mid- or small-capitalization companies, and components primarily include energy and oil and gas companies. The components of the Underlying Index, and the degree to which these components represent certain industries, may change over time.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||39.51|39.5|0.0|39.53|39.51|39.505|39.505|39.52|0.0|0.0|39.5|39.52|39.51|39.5|39.51|39.52|39.48|39.5|39.505|39.5|39.44|39.51|39.26|39.61|39.48|39.51|39.42|39.72|39.42|39.57|39.48|39.51|42.38|34.19|521546|164112401 7152|IXG|IXG|464287333|US4642873339|iShares Trust|iShares Global Financials ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-6|TXN3-1|TXN4-8|TXN2-3|TXN3-5|5600000|||BiAnnually|||||2007-12-06||IXG.NV|IXG.SO|IXG.EU|IXG.TC|IXG.IV| | | | | | | | | |1x|The iShares Global Financials ETF (the Fund) seeks to track the investment results of an index composed of global equities in the financials sector. The Fund seeks to track the investment results of the S&P Global 1200 Financials Sector IndexTM (the Underlying Index), which measures the performance of companies that S&P Dow Jones Indices LLC (S&P), a subsidiary of McGraw Hill Financial, Inc., deems to be part of the financial sector of the economy and that S&P believes are important to global markets. It is a subset of the S&P Global 1200TM. The Underlying Index may include large-, mid- or small-capitalization companies, and components primarily include financial and insurance companies. The components of the Underlying Index, and the degree to which these components represent certain industries, may change over time.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||75.83|75.82|0.0|0.0|75.82|75.82|75.82|75.62|0.0|0.0|0.0|0.0|75.84|75.82|0.0|0.0|75.635|75.8166|0.0|75.8166|71.96|79.53|75.68|75.95|75.63|75.87|71.96|75.96|75.41|76.05|75.51|75.87|77.22|65.48|33093|9351994 73563|IXHL|IXHL|45333F109|US45333F1093|Incannex Healthcare Inc|COM USD0.0001||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN6-3|TXN11-5|TXN6-2|TXN5-1|15870000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||AUS||||20|2010|201030|20103015|Health Care |Health Care |Pharmaceuticals and Biotechnology|Pharmaceuticals |N||N||||||N|0|Y|D|||||8.01|7.7|0.0|0.0|7.45|7.05|7.195|7.55|0.0|0.0|7.0|7.0|7.15|7.058|7.45|7.01|7.39|7.195|7.46|7.15|5.35|8.82|5.35|8.82|6.59|7.67|6.88|7.34|6.84|7.4|7.01|7.2|12.57|0.8|315260|10155332 7153|IXJ|IXJ|464287325|US4642873255|iShares Trust|iShares Global Healthcare ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-4|TXN4-1|TXN2-6|TXN2-1|TXN3-3|47750000|||BiAnnually|||||2007-12-06||IXJ.NV|IXJ.SO|IXJ.EU| |IXJ.IV| | | | | | | | | |1x|The iShares S&P Global Healthcare Sector Index Fund seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of companies that Standard & Poors deems part of the healthcare sector of the economy and important to global markets, as represented by the S&P Global Healthcare Sector Index. The index is a subset of the Standard & Poors Global 1200 Index. THE UNDERLYING INDEX MEASURES THE PERFORMANCE OF COMPANIES THAT S&P DEEMS TO BE A PART OF THE HEALTHCARE SECTOR OF THE ECONOMY AND THAT S&P BELIEVES ARE IMPORTANT TO GLOBAL MARKETS. IT IS A SUBSET OF THE S&P GLOBAL 1200 INDEX. COMPONENT COMPANIES INCLUDE HEALTH CARE PROVIDERS, BIOTECHNOLOGY COMPANIES AND MANUFACTURERS OF MEDICAL SUPPLIES, ADVANCED MEDICAL DEVICES AND PHARMACEUTICALS. AS OF MAY 29, 2009, THE UNDERLYING INDEX WAS COMPRISED OF STOCKS OF COMPANIES IN THE FOLLOWING COUNTRIES: AUSTRALIA, BELGIUM, CANADA, DENMARK, FRANCE, GERMANY, IRELAND, JAPAN, THE NETHERLANDS, SWITZERLAND, THE UNITED KINGDOM AND THE UNITED STATES.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||84.1|84.09|0.0|83.88|84.08|84.05|84.125|84.075|0.0|0.0|84.1|84.06|84.1|84.01|84.03|83.97|83.85|84.13|83.75|84.13|79.86|87.93|84.02|84.17|84.12|84.14|83.94|84.17|84.02|84.17|84.12|84.14|88.18|77.96|204135|44228861 7154|IXN|IXN|464287291|US4642872919|iShares Trust|iShares Global Tech ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-4|TXN4-3|TXN5-3|TXN1-5|TXN4-6|58850000|||BiAnnually|||||2007-12-06||IXN.NV|IXN.SO|IXN.EU|IXN.TC|IXN.IV| | | | | | | | | |1x|The iShares Global Tech ETF (the Fund) seeks to track the investment results of an index composed of global equities in the technology sector. The Fund seeks to track the investment results of the S&P Global 1200 Information Technology IndexTM (the Underlying Index), which measures the performance of companies that S&P Dow Jones Indices LLC (S&P), a subsidiary of McGraw Hill Financial, Inc., deems to be part of the information technology sector of the economy and that S&P believes are important to global markets. It is a subset of the S&P Global 1200TM. The Underlying Index may include large-, mid- or small-capitalization companies, and components primarily include information technology and technology companies. The components of the Underlying Index, and the degree to which these components represent certain industries, may change over time.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||65.0|64.99|0.0|0.0|65.0|65.0|64.975|64.99|0.0|0.0|64.97|64.8|64.98|65.0|64.99|64.77|65.0|64.97|64.39|64.97|61.53|67.91|64.84|65.03|64.95|64.97|64.84|65.03|64.84|65.03|64.95|64.97|66.19|43.76|194613|46993307 7155|IXP|IXP|464287275|US4642872752|iShares Trust|iShares Global Comm Services ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-7|TXN1-2|TXN6-8|TXN1-1|TXN3-4|3950000|||BiAnnually|||||2007-12-06||IXP.NV|IXP.SO|IXP.EU|IXP.TC|IXP.IV| | | | | | | | | |1x|The iShares Global Comm Sevices ETF (the Fund) seeks to track the investment results of the S&P Global 1200 Communication Services Sector IndexTM (the Underlying Index), which measures the performance of companies that S&P Dow Jones Indices LLC (the Index Provider or SPDJI), a subsidiary of S&P Global, Inc., deems to be a part of the communication services sector of the economy and that SPDJI believes are important to global markets. It is a subset of the S&P Global 1200TM. The Underlying Index may include large-, mid- or smallcapitalization companies. As of September 24, 2018, a significant portion of the Underlying Index is represented by securities of companies in the communication services industry or sector. The components of the Underlying Index are likely to change over time.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||71.66|71.52|0.0|0.0|71.5|72.75|71.64|71.53|0.0|0.0|72.42|0.0|71.64|71.525|71.5|71.645|0.0|71.72|0.0|71.72|57.28|86.04|71.54|72.23|71.61|71.75|71.58|75.72|71.58|72.05|71.61|71.75|73.835|53.2|51275|4883326 40880|IXUS|IXUS|46432F834|US46432F8344|iShares Core MSCI Total International Stock ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN5-3|TXN11-8|TXN5-2|TXN6-8|515100000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||62.76|62.77|0.0|0.0|62.76|62.77|62.77|62.77|0.0|0.0|62.79|62.77|62.78|62.79|62.78|62.79|62.72|62.77|62.75|62.78|62.75|62.79|58.88|66.67|62.77|62.79|62.66|62.88|62.67|62.88|62.77|62.79|65.25|57.04|1393911|376759927 7156|IYC|IYC|464287580|US4642875805|iShares Trust|iShares U.S. Consumer Discretionary ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-8|TXN3-1|TXN6-4|TXN2-8|TXN2-8|11400000|||Quarterly|||||2007-12-06||IYC.NV|IYC.SO|IYC.EU|IYC.TC|IYC.IV| | | | | | | | | |1x|The iShares U.S. Consumer Services ETF (the Fund) seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the Dow Jones U.S. Consumer Services Index (the Underlying Index). The Underlying Index measures the performance of the consumer services sector of the U.S. equity market. The Underlying Index includes companies in the following industry groups: food and drug retailers, general retailers, media and travel and leisure. As of March 31, 2012, the Underlying Index was concentrated in the general retailers and media industry groups, which comprised 41.12% and 25.94%, respectively, of the market capitalization of the Underlying Index. Components primarily include consumer services companies. The components of the Underlying Index, and the degree to which these components represent certain industries, may change over time.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||72.21|72.2|0.0|0.0|72.21|72.21|72.28|72.42|0.0|0.0|71.94|0.0|72.2|72.21|72.21|72.19|0.0|72.21|72.21|72.21|72.06|72.34|67.19|76.65|72.18|72.21|72.17|72.22|72.12|72.31|72.18|72.21|73.97|55.63|63176|21733978 7157|IYE|IYE|464287796|US4642877967|iShares Trust|iShares U.S. Energy ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Latour Trading, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-8|TXN2-8|TXN5-6|TXN3-7|TXN1-5|29200000|||Quarterly|||||2007-12-06||IYE.NV|IYE.SO|IYE.EU|IYE.TC|IYE.IV| | | | | | | | | |1x|The iShares U.S. Energy ETF (the Fund) seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the Dow Jones U.S. Oil & Gas Index (the Underlying Index). The Underlying Index measures the performance of the oil and gas sector of the U.S. equity market. The Underlying Index includes companies in the following industry groups: oil and gas producers and oil equipment, services and distribution. As of March 31, 2012, the Underlying Index was concentrated in the integrated oil and gas, and exploration and production industry groups, which comprised 49.25% and 27.40%, respectively, of the market capitalization of the Underlying Index. Components primarily include energy, oil and gas producers and oil equipment, services and distribution companies. The components of the Underlying Index, and the degree to which these components represent certain industries, may change over time.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||44.4|44.39|0.0|0.0|44.43|44.415|44.415|44.43|0.0|0.0|44.42|44.42|44.41|44.41|44.43|44.415|44.4|44.42|44.44|44.42|44.4|44.41|44.34|44.44|44.4|44.41|44.38|44.43|44.34|44.44|44.4|44.41|49.19|39.94|816893|122080828 7158|IYF|IYF|464287788|US4642877884|iShares Trust|iShares U.S. Financials ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-6|TXN3-2|TXN6-5|TXN2-2|TXN1-1|23650000|||Quarterly|||||2007-12-06||IYF.NV|IYF.SO|IYF.EU|IYF.TC|IYF.IV| | | | | | | | | |1x|The iShares U.S. Financials ETF (the Fund) seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the Dow Jones U.S. Financials Index (the Underlying Index). The Underlying Index measures the performance of the financial sector of the U.S. equity market. The Underlying Index includes companies in the following industry groups: banks, non-life insurance, life insurance, real estate and financial services. As of March 31, 2012, the Underlying Index was concentrated in the banking industry, which comprised 9.57% of the market capitalization of the Underlying Index. Components primarily include financial, insurance and real estate investment trusts (REITs). The components of the Underlying Index, and the degree to which these components represent certain industries, may change over time.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||81.77|81.66|0.0|81.77|81.66|81.66|81.661|81.69|0.0|0.0|81.66|81.69|81.67|0.0|81.66|81.68|81.69|81.63|81.57|81.63|81.52|81.84|75.81|86.2|81.64|81.67|81.52|81.72|81.54|81.77|81.6|81.66|82.3|66.91|136979|39711646 7159|IYG|IYG|464287770|US4642877702|iShares Trust|iShares U.S. Financial Services ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Latour Trading, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-5|TXN1-3|TXN9-6|TXN1-3|TXN4-6|7050000|||Quarterly|||||2007-12-06||IYG.NV|IYG.SO|IYG.EU|IYG.TC|IYG.IV| | | | | | | | | |1x|The iShares U.S. Financial Services ETF (the Fund) seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the Dow Jones U.S. Financial Services Index (the Underlying Index). The Underlying Index measures the performance of the financial services sector of the U.S. equity market. It is a subset of the Dow Jones U.S. Financials Index. The Underlying Index includes components of the following subsectors in the Dow Jones U.S. Index: banks, asset managers, consumer finance, specialty finance, investment services and mortgage finance. As of March 31, 2012, the Underlying Index was concentrated in the banking and financial services industries, which comprised approximately 58.85% and 41.15%, respectively, of the market capitalization of the Underlying Index. Components primarily include financial companies. The components of the Underlying Index, and the degree to which these components represent certain industries, may change over time.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||168.9|168.9|0.0|168.9|168.45|168.87|168.9411|163.19|0.0|0.0|168.9|168.9|168.99|168.98|168.9|168.89|0.0|169.0258|0.0|169.0258|168.63|169.31|158.43|179.45|168.95|169.0|168.5|169.23|168.5|169.23|168.94|169.03|176.75|142.46|18789|9654220 7160|IYH|IYH|464287762|US4642877629|iShares Trust|iShares U.S. Healthcare ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Latour Trading, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-1|TXN2-1|TXN3-6|TXN1-5|TXN3-4|10950000|||Quarterly|||||2007-12-06||IYH.NV|IYH.SO|IYH.EU|IYH.TC|IYH.IV| | | | | | | | | |1x|The iShares U.S. Healthcare ETF (the Fund) seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the Dow Jones U.S. Health Care Index (the Underlying Index). The Underlying Index measures the performance of the healthcare sector of the U.S. equity market. As of March 31, 2012, the Underlying Index was concentrated in the pharmaceuticals and biotechnology, and health care equipment and services industry groups, which comprised 63.48% and 36.52%, respectively, of the market capitalization of the Underlying Index. Components primarily include biotechnology, health care and pharmaceuticals companies. The components of the Underlying Index, and the degree to which these components represent certain industries, may change over time.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||276.16|276.47|0.0|0.0|276.49|276.39|276.68|276.24|0.0|0.0|276.09|267.32|276.49|274.711|276.09|276.09|0.0|276.38|275.05|276.38|275.88|277.06|256.93|292.71|276.4|276.53|276.21|276.95|276.0|276.95|276.42|276.61|294.07|256.3309|68354|10825641 7161|IYJ|IYJ|464287754|US4642877546|iShares US Industrials ETF|DJ US INDL SEC||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-5|TXN3-5|TXN1-8|TXN1-2|TXN2-6|10550000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||108.65|108.64|0.0|108.56|108.68|108.65|108.7|108.64|0.0|0.0|108.45|105.53|108.68|108.64|108.45|108.65|0.0|108.64|0.0|108.64|108.47|108.92|101.12|116.04|108.64|108.68|108.63|108.7|108.44|108.82|108.64|108.68|109.7899|94.29|194698|14292899 7162|IYK|IYK|464287812|US4642878122|iShares Trust|iShares U.S. Consumer Staples ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Latour Trading, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-8|TXN1-6|TXN3-8|TXN2-2|TXN3-4|7100000|||Quarterly|||||2007-12-06||IYK.NV|IYK.SO|IYK.EU|IYK.TC|IYK.IV| | | | | | | | | |1x|The iShares U.S. Consumer Goods ETF (the Fund) seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the Dow Jones U.S. Consumer Goods Index (the Underlying Index). The Underlying Index measures the performance of the consumer goods sector of the U.S. equity market. The Underlying Index includes companies in the following industry groups: automobiles and parts, beverages, food producers, household goods, leisure goods, personal goods and tobacco. As of March 31, 2012, the Underlying Index was concentrated in the food producers, beverages and household goods and home construction sectors. Components primarily include consumer goods companies. The components of the Underlying Index, and the degree to which these components represent certain industries, may change over time.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||0.0|191.11|0.0|0.0|190.98|190.92|191.13|191.07|0.0|0.0|190.95|0.0|191.09|190.83|190.95|190.96|0.0|191.11|189.94|191.11|190.74|191.54|179.95|202.98|191.1|191.15|190.88|191.39|190.89|191.39|191.1|191.15|209.16|177.12|42862|16232798 39861|IYLD|IYLD|46432F875|US46432F8757|iShares Morningstar Multi-Asset Income ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-3|TXN1-6|TXN8-8|TXN1-1|TXN3-6|6550000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||19.5|19.5|0.0|0.0|19.401212|0.0|19.5|19.45|0.0|0.0|19.45|19.45|19.48|19.45|19.45|19.45|19.45|19.5|19.46|19.5|19.45|19.52|19.43|19.55|19.41|19.55|19.42|19.55|19.46|19.52|19.46|19.52|20.36|18.38|35054|7097270 7163|IYM|IYM|464287838|US4642878387|iShares Trust|iShares U.S. Basic Materials ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Latour Trading, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-3|TXN2-2|TXN1-7|TXN4-3|TXN4-3|5000000|||Quarterly|||||2007-12-06||IYM.NV|IYM.SO|IYM.EU|IYM.TC|IYM.IV| | | | | | | | | |1x|The iShares U.S. Basic Materials ETF (the Fund) seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the Dow Jones U.S. Basic Materials Index (the Underlying Index). The Underlying Index measures the performance of the basic materials sector of the U.S. equity market. The Underlying Index includes companies in the following industry groups: chemicals, forestry and paper, industrial metals & mining, and mining. As of March 31, 2012, the Underlying Index was concentrated in the chemicals industry group, which comprised 61.13% of the market capitalization of the Underlying Index. Components primarily include basic materials, chemicals and metals and mining companies. The components of the Underlying Index, and the degree to which these components represent certain industries, may change over time.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||132.33|132.23|0.0|0.0|132.36|132.38|132.3289|0.0|0.0|0.0|132.76|0.0|132.36|132.75|134.03|133.82|0.0|132.28|133.81|132.28|132.01|132.57|131.99|132.58|132.23|132.28|131.99|132.47|132.13|132.38|132.23|132.28|141.48|119.2153|13789|14960573 7164|IYR|IYR|464287739|US4642877397|iShares Trust|iShares U.S. Real Estate ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Latour Trading, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN2-2|TXN4-4|TXN4-4|TXN2-3|38150000|||Quarterly|||||2007-12-06||IYR.NV|IYR.SO|IYR.EU|IYR.TC|IYR.IV| | | | | | | | | |1x|The iShares U.S. Real Estate ETF (the Fund) seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the Dow Jones U.S. Real Estate Index (the Underlying Index). The Underlying Index measures the performance of the real estate sector of the U.S. equity market. The Underlying Index includes companies in the following industry groups: real estate holding and development and real estate investment trusts (REITs). As of March 31, 2012, the Underlying Index was concentrated in the REITs industry group, which comprised 95.91% of the market capitalization of the Underlying Index. Components primarily include REITs. The components of the Underlying Index, and the degree to which these components represent certain industries, may change over time.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||87.07|87.07|0.0|87.04|87.06|87.07|87.07|87.06|0.0|0.0|87.06|87.07|87.07|87.07|87.07|87.08|87.07|87.09|87.07|87.09|86.87|87.08|80.72|91.95|87.06|87.07|87.01|87.09|86.84|87.28|87.06|87.07|96.02|72.88|13459835|1588683070 7165|IYT|IYT|464287192|US4642871929|iShares U.S. Transportation ETF|TRANSP AVE IDX||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN2-8|TXN1-7|TXN3-3|TXN1-7|3450000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||254.94|253.89|0.0|255.0|254.01|254.02|253.99|253.84|0.0|0.0|254.03|255.11|253.92|255.0|254.92|255.14|253.61|253.89|255.0|253.89|253.5|254.53|239.0|268.56|253.9|254.04|253.64|254.36|253.69|254.7|253.89|254.04|267.85|210.06|139403|34802137 7166|IYW|IYW|464287721|US4642877215|iShares Trust|iShares U.S. Technology ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN3-7|TXN1-7|TXN1-1|TXN3-2|113600000|||Quarterly|||||2007-12-06||IYW.NV|IYW.SO|IYW.EU|IYW.TC|IYW.IV| | | | | | | | | |1x|The iShares U.S. Technology ETF (the Fund) seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the Dow Jones U.S. Technology Index (the Underlying Index). 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The components of the Underlying Index, and the degree to which these components represent certain industries, may change over time.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||116.19|116.15|0.0|116.18|116.18|116.15|116.18|115.85|0.0|0.0|116.15|115.82|116.15|115.989|115.93|116.17|116.11|116.19|116.03|116.19|116.16|116.21|107.74|123.21|116.17|116.19|116.16|116.21|116.05|116.29|116.16|116.2|118.8|72.09|661090|163157881 7167|IYY|IYY|464287846|US4642878460|iShares Trust|iShares Dow Jones U.S. ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN4-8|TXN2-8|TXN2-8|TXN2-1|14850000|||Quarterly|||||2007-12-06||IYY.NV|IYY.SO|IYY.EU|IYY.TC|IYY.IV| | | | | | | | | |1x|The iShares Dow Jones U.S. ETF (the Fund) seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the Dow Jones U.S. Index (the Underlying Index). 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Morgan Exchange-Traded Fund Trust|JPMorgan Active Value ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||J.P. Morgan Investment Management|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-6|TXN2-7|TXN6-7|TXN3-4|TXN3-1|13350000|||Quarterly|||||2021-10-05||JAVA.NV|JAVA.SO|JAVA.EU|JAVA.TC|JAVA.IV| | | | | | | | | |1x|The Fund seeks to provide long-term capital appreciation. The adviser seeks to meet its objective by investing primarily in equities, including common stock, preferred stock and bonds which are convertible to common stock, that the adviser identifies to be attractively valued given their growth potential over a long-term time horizon. 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Hunt Transport Services Inc.|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN6-5|TXN11-3|TXN5-7|TXN5-1|103140000|||NotApplicable|||||||||||| | | | | | | | | |||N|5|Y|N||USA||||50|5020|502060|50206010|Industrials|Industrial Goods and Services|Industrial Transportation|Trucking|N||N||||||Y|0|Y||||||190.19|190.23|0.0|190.31|190.21|190.27|190.22|190.19|0.0|0.0|189.22|190.14|190.24|190.24|190.28|190.29|191.07|190.25|0.0|190.24|189.95|190.4|177.12|200.69|190.02|190.44|189.94|190.48|190.13|190.55|190.13|190.25|209.21|163.66|786065|173488346 70801|JBI|JBI|47103N106|US47103N1063|Janus International Group, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|P|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-4|TXN1-6|TXN8-4|TXN1-7|TXN3-2|146830000|||NotApplicable|||||2021-06-08||||||| | | | | | | | | |||N|0|N|Y|100A|USA|US|||50|5010|501010|50101010|Industrials|Construction and Materials|Construction and Materials |Construction|N||N||||||Y|0|Y||Y|2|||10.82|10.82|0.0|10.85|10.83|10.825|10.829|10.82|0.0|0.0|10.82|10.83|10.825|10.82|10.83|10.83|10.83|10.83|10.83|10.83|10.82|10.83|8.33|13.34|10.82|10.85|10.81|10.85|10.8|10.86|10.82|10.83|12.45|8.6613|1146552|207498618 7176|JBK|JBK|21988K859|US21988K8595|Lehman ABS Corporation|3.50% Adjustable Corporate Backed Trust Certificates, Goldman Sachs Capital I Securities-Backed Series 2004-6|Trust|G|N|N|N|Y|Y|Y|Y|Y|6|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN1-8|TXN7-8|TXN3-3|TXN4-6|540000|||BiAnnually|||||2004-04-02|2034-02-15|||||| | | | | | | | | |||N|0|N|N|404A|USA|US|||30|3020|302020|30202015|Financials|Financial Services |Investment Banking and Brokerage Services |Investment Services|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|24.28|25.19|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|24.28|25.19|26.11|23.25|0|103624 7177|JBL|JBL|466313103|US4663131039|Jabil Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|M|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-6|TXN3-3|TXN6-4|TXN2-1|TXN4-8|127950000|||Quarterly|||||1998-05-05||||||| | | | | | | | | |||N|0|Y|Y|114D|USA|US|||10|1010|101020|10102015|Technology|Technology|Technology Hardware and Equipment|Electronic Components|N||N||||||Y|0|Y||Y|1|||115.34|115.33|0.0|115.32|115.31|115.36|115.31|115.35|0.0|0.0|115.32|115.36|115.32|115.34|115.48|115.35|115.63|115.36|115.36|115.35|115.31|115.35|109.16|122.34|115.24|115.49|115.23|115.46|115.22|115.47|115.31|115.35|141.38|64.74|2919743|313823980 2169|JBLU|JBLU|477143101|US4771431016|JetBlue Airways Corp|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN6-8|TXN13-4|TXN6-8|TXN5-5|333290000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4050|405010|40501010|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Airlines|N||N||||||Y|0|Y||||||4.84|4.85|0.0|4.84|4.84|4.85|4.85|4.85|0.0|0.0|4.85|4.845|4.84|4.85|4.84|4.85|4.845|4.848|4.845|4.84|4.84|4.86|3.74|5.94|4.84|4.86|4.81|4.87|4.8|4.89|4.84|4.85|9.45|3.42|19547702|2960852965 76468|JBND|JBND|46654Q716|US46654Q7161|J.P. Morgan Exchange-Traded Fund Trust|JPMorgan Active Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||J.P. Morgan Investment Management|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-7|TXN4-7|TXN7-8|TXN4-1|TXN3-4|2750000|||Monthly|||||2023-10-12||JBND.NV|JBND.SO|JBND.EU|JBND.TC|JBND.IV| | | | | | | | | ||The ETF seeks to maximize total return by investing primarily in a diversified portfolio of intermediate- and long-term debt securities, with a focus on securitized debt.|N|0|N|N|416A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||51.52|51.53|0.0|0.0|51.52|51.52|51.53|51.52|0.0|0.0|0.0|0.0|51.53|51.52|0.0|0.0|0.0|51.529|51.53|51.529|0.0|0.0|0.0|0.0|51.5|51.55|0.0|0.0|0.0|0.0|51.5|51.55|51.6|49.0247|100670|950471 2171|JBSS|JBSS|800422107|US8004221078|JOHN B SANFILIPPO & SON INC|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN6-4|TXN12-3|TXN5-1|TXN6-6|8970000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||45|4510|451020|45102020|Consumer Staples |Food, Beverage and Tobacco |Food Producers|Food Products|N||N||||||Y|0|Y||||||96.0|95.71|0.0|96.72|95.57|95.73|95.6|95.71|0.0|0.0|0.0|0.0|95.65|95.38|96.69|0.0|0.0|95.71|0.0|95.65|94.74|96.78|74.71|117.23|94.86|96.79|74.71|117.23|95.16|95.73|95.58|95.73|127.26|76.49|50898|15468576 28475|JBT|JBT|477839104|US4778391049|John Bean Technologies Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|C|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN1-3|TXN2-8|TXN2-1|TXN1-4|31840000|||Quarterly|||||2008-07-18||||||| | | | | | | | | |||N|0|N|Y|102B|USA|US|||50|5020|502040|50204000|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Industrial|N||N||||||Y|0|Y||Y|2|||105.83|105.4|0.0|105.4|105.4|105.46|105.41|105.41|0.0|0.0|105.5|105.17|105.4|104.99|105.76|105.39|104.97|105.4|104.99|105.39|105.39|105.5|80.5|129.23|105.22|105.68|105.21|105.68|105.22|105.53|105.39|105.5|125.88|86.16|154299|35007907 19315|JCE|JCE|67090X107|US67090X1072|Nuveen Core Equity Alpha Fund|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN4-8|TXN9-8|TXN4-7|TXN2-1|16050000|||Quarterly|||||2007-03-28||||||| | | | | | | | | |||N|0|N|N|406B|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||0.0|12.97|0.0|0.0|13.0|12.97|12.9998|13.045|0.0|0.0|12.97|12.96|12.99|0.0|0.0|13.0|12.96|13.0|0.0|13.0|13.0|13.01|10.1|16.07|12.15|13.91|10.21|16.07|0.0|0.0|13.0|13.01|15.25|11.64|54794|10573610 75440|JCHI|JCHI|46654Q880|US46654Q8805|J.P. Morgan Exchange-Traded Fund Trust|JPMorgan Active China ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||J.P. Morgan Investment Management|Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-6|TXN4-2|TXN2-8|TXN3-2|TXN3-3|260000|||Yearly|||||2023-03-16||JCHI.NV|JCHI.SO|JCHI.EU|JCHI.TC|JCHI.IV| | | | | | | | | ||Designed to provide long-term capital appreciation through China equities. Invests primarily in equity securities economically tied to China. Seeks to add value through an investment approach primarily driven by bottom-up stock selection, while being mindful of macro and policy considerations. Leverages research analysts with local expertise to identify attractively-valued industry leaders.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|40.908|0.0|0.0|0.0|0.0|0.0|0.0|45.84|0.0|0.0|0.0|39.8084|0.0|39.8084|0.0|0.0|0.0|0.0|39.73|39.88|0.0|0.0|0.0|0.0|39.73|39.88|50.93|39.61|130|186353 9699|JCI|JCI|G51502105|IE00BY7QL619|Johnson Controls International plc|Ordinary Shares|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|N|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-4|TXN3-8|TXN4-2|TXN3-4|TXN1-7|680320000|||Quarterly|||||2016-09-06||||||| | | | | | | | | |||N|5|Y|Y|110E|IRL|CH|||50|5020|502020|50202020|Industrials|Industrial Goods and Services|Electronic and Electrical Equipment|Electronic Equipment: Control and Filter|N||N||||||Y|0|Y||Y|1|||54.25|54.27|0.0|54.28|54.25|54.265|54.26|54.26|0.0|0.0|54.26|54.26|54.26|54.265|54.24|54.26|54.25|54.26|54.265|54.26|54.25|54.26|50.74|57.51|54.25|54.28|54.22|54.31|54.22|54.31|54.25|54.26|70.43|47.9|4597609|921904739 62904|JCPB|JCPB|46641Q670|US46641Q6706|J.P. Morgan Exchange-Traded Fund Trust JPMorgan Core Plus Bond ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-5|TXN4-3|TXN5-8|TXN3-4|TXN1-2|44900000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||45.69|45.74|0.0|0.0|45.75|45.74|45.73|45.745|0.0|0.0|45.73|45.73|45.72|45.75|45.68|45.745|45.68|45.74|45.745|45.74|42.54|48.9|42.54|48.9|45.72|45.75|42.54|48.9|0.0|0.0|45.71|54.87|47.969|43.47|333817|65443991 73872|JCPI|JCPI|46654Q104|US46654Q1040|JPMorgan Inflation Managed Bond ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-6|TXN4-7|TXN1-5|TXN1-4|TXN3-3|9940000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||45.67173|45.6726|0.0|0.0|0.0|45.63|45.665|45.74|0.0|0.0|0.0|0.0|0.0|45.62|0.0|45.631|0.0|45.6726|0.0|45.6726|0.0|0.0|0.0|0.0|45.64|45.7|0.0|0.0|0.0|0.0|45.64|45.73|47.7|44.5|37619|15268295 73924|JCSE|JCSE|G50875205|KYG508752055|JE Cleantech Holdings Limited|ORD USD0.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-1|TXN5-1|TXN14-3|TXN6-4|TXN6-7|5010000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4020|402030|40203050|Consumer Discretionary|Consumer Products and Services|Leisure Goods|Recreational Products|N||N||||||N|0|Y|D|||||0.8503|0.0|0.0|0.0|0.8503|0.8503|0.8424|0.0|0.0|0.0|0.8425|0.8425|0.83|0.0|0.0|0.0|0.0|0.8424|0.0|0.8424|0.0|0.0|0.0|0.0|0.7749|0.9811|0.0|0.0|0.0|0.0|0.8301|0.92|1.42|0.241101|6907|37479065 2174|JCTCF|JCTCF|47733C207|CA47733C2076|Jewett-Cameron Trading Co Ltd|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN6-3|TXN14-2|TXN5-8|TXN6-3|3500000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5010|501010|50101035|Industrials|Construction and Materials|Construction and Materials |Building Materials: Other|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|4.95|5.0|0.0|0.0|0.0|4.95|0.0|4.96|0.0|0.0|0.0|0.0|4.89|0.0|4.89|0.0|0.0|0.0|0.0|4.66|5.2|0.0|0.0|0.0|0.0|4.91|4.96|6.0|3.7|5696|1116622 68428|JCTR|JCTR|46641Q282|US46641Q2820|J.P. Morgan Exchange-Traded Fund Trust|JPMorgan Carbon Transition U.S. Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||J.P. Morgan Investment Management|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-4|TXN2-5|TXN1-5|TXN3-2|TXN3-4|75000|||Quarterly|||||2020-12-10||JCTR.NV|JCTR.SO|JCTR.EU|JCTR.TC|JCTR.IV| | | | | | | | | |1x|The Index is designed to capture the performance of companies from the Investable Universe selected and weighted based on those that have been identified through its rules-based process as best positioned to benefit from a transition to a low-carbon economy by effectively managing their emissions, resources and climate-related risks. Companies are scored using metrics from 7 Indicator Groups. Companies with the highest scores relative to peers in the same Region and Sector are prioritized for inclusion in the Index over those with lower scores. The Index aims to meet the requirements for EU Climate Transition Benchmarks as defined in the EU Commissions Technical Expert Group on Sustainable Finances Final Report on Climate Benchmarks and Benchmarks ESG Disclosures[1] and the EU Climate Benchmarks Final Delegated Acts[2] (the EU Climate Benchmarks Final Report), including, amongst others, a requirement to select, weight or exclude assets in such a way that the resulting Index is on a decarburization trajectory. A decarbonisation trajectory means a measurable, science-based and time-bound movement towards alignment with the objectives of the Paris Agreement|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|62.3223|0.0|62.3223|49.62|74.83|0.0|0.0|62.28|62.34|49.62|74.83|0.0|0.0|62.28|62.34|62.6433|50.8603|0|356820 44304|JD|JD|47215P106|US47215P1066|JD.com Inc|ADR||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN6-2|TXN10-8|TXN5-8|TXN6-7|2793300000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||40|4040|404010|40401010|Consumer Discretionary|Retail |Retailers |Diversified Retailers|N||N||||||Y|0|Y||||||26.57|26.57|0.0|26.57|26.57|26.565|26.565|26.57|0.0|0.0|26.56|26.58|26.59|26.57|26.58|26.57|26.58|26.56|26.575|26.59|26.56|26.57|20.68|32.7|26.56|26.57|26.45|26.69|26.55|0.0|26.56|26.57|67.095|24.01|10383418|2485640827 76552|JDOC|JDOC|46654Q765|US46654Q7658|JPMorgan Healthcare Leaders ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN5-4|TXN10-2|TXN6-4|TXN6-3|200000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|51.5462|0.0|0.0|0.0|0.0|0.0|0.0|51.5462|39.09|63.62|39.09|63.62|51.26|51.71|39.09|63.62|0.0|0.0|51.51|51.58|51.5462|48.4348|1|7215 42811|JDST|JDST|25460G807|US25460G8078|Direxion Shares ETF Trust|Direxion Daily Junior Gold Miners Index Bear 2X Shares|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Direxion Shares|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-7|TXN1-2|TXN9-1|TXN4-2|TXN2-6|15332449.0001|||Quarterly|||||2013-10-02||JDST.NV|JDST.SO|JDST.EU|JDST.TC|JDST.IV| | | | | | | | | |-2x|The Fund seeks daily investment results, before fees and expenses, of 200% of the inverse of the performance of the Market Vectors Junior Gold Miners Total Return Index.|N|0|N|N|416A|USA|US|EQUITY|INVERSE|||||||||N||N||||||Y|0|Y||Y|2|||5.64|5.64|0.0|0.0|5.64|5.64|5.645|5.635|0.0|0.0|5.63|5.63|5.64|5.63|5.61|5.645|5.635|5.63|5.64|5.63|5.64|5.65|4.39|5.65|5.63|5.65|5.63|5.65|5.59|5.65|5.64|5.65|9.38|4.7932|9294209|1501783985 7568|JEF|JEF|47233W109|US47233W1099|Jefferies Financial Group Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|A|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-2|TXN2-4|TXN7-7|TXN2-4|TXN2-7|210430000|||Quarterly|||||1968-10-07||||||| | | | | | | | | |||N|0|Y|Y|408A|USA|US|||30|3020|302020|30202015|Financials|Financial Services |Investment Banking and Brokerage Services |Investment Services|N||N||||||Y|0|Y||Y|1|||36.82|36.82|0.0|35.3|36.82|36.82|36.83|36.825|0.0|0.0|36.82|36.795|36.83|36.83|36.82|36.83|36.8|36.83|36.82|36.83|36.82|36.83|36.79|36.86|36.75|36.85|36.82|36.85|36.79|36.85|36.82|36.83|40.8|28.34|1793312|310071523 56566|JELD|JELD|47580P103|US47580P1030|JELD-WEN Holding, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|P|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-6|TXN1-4|TXN1-8|TXN3-8|TXN1-4|85220000|||Monthly|||||2017-01-27||||||| | | | | | | | | |||N|0|N|Y|110E|USA|US|||50|5010|501010|50101020|Industrials|Construction and Materials|Construction and Materials |Building, Roofing/Wallboard and Plumbing|N||N||||||Y|0|Y||Y|2|||16.91|16.92|0.0|16.9|16.92|16.935|16.92|16.93|0.0|0.0|16.93|16.9|16.92|16.89|16.88|16.92|16.9|16.89|16.91|16.92|16.89|16.92|13.08|20.45|16.87|16.95|16.86|16.92|16.85|16.96|16.89|16.92|18.525|9.0|410946|120470250 69636|JEMA|JEMA|46641Q266|US46641Q2663|JPMorgan ActiveBuilders Emerging Markets Equity ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-5|TXN4-3|TXN8-8|TXN1-1|TXN4-4|22800000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||35.71|35.67|0.0|0.0|35.71|35.66|35.68|35.65|0.0|0.0|35.65|0.0|35.66|35.71|0.0|35.66|0.0|35.67|0.0|35.67|0.0|0.0|0.0|0.0|35.43|35.92|0.0|0.0|0.0|0.0|35.61|35.74|38.61|33.08|38679|28053920 66503|JEPI|JEPI|46641Q332|US46641Q3323|J.P. Morgan Exchange-Traded Fund Trust|JPMorgan Equity Premium Income ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||J.P. Morgan Investment Management|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-5|TXN2-5|TXN2-6|TXN3-6|TXN4-3|556325000|||Monthly|||||2020-05-21||JEPI.NV|JEPI.SO|JEPI.EU|JEPI.TC| | | | | | | | | | ||The investment objective of the Fund is to seek current income while maintaining prospects for capital appreciation. The Fund seeks to provide the majority of the returns associated with the Funds primary benchmark, the Standard & Poors 500 Total Return Index (S&P 500 Index), while exposing investors to less risk through lower volatility and still offering incremental income.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||Y|0|Y||Y|1|||54.59|54.595|0.0|0.0|54.59|54.595|54.59|54.59|0.0|0.0|54.59|54.59|54.59|54.58|54.59|54.595|54.595|54.61|54.6|54.61|54.57|54.6|54.54|54.65|54.59|54.6|54.54|54.65|54.54|54.65|54.59|54.6|56.92|51.38|3143777|1014305702 73988|JEPQ|JEPQ|46654Q203|US46654Q2030|JPMorgan Nasdaq Equity Premium Income ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN5-6|TXN11-1|TXN5-5|TXN5-2|155500000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||48.705|48.68|0.0|48.68|48.68|48.675|48.6698|48.68|0.0|0.0|48.67|48.68|48.68|48.465|48.68|48.67|48.67|48.6698|48.64|48.68|48.61|48.7|48.62|48.71|48.61|48.7|48.61|48.72|48.61|48.72|48.67|48.68|49.53|40.031|2323443|395303473 76326|JEPY|JEPY|88636J832|US88636J8320|Tidal Trust II|Defiance S&P 500 Enhanced Options Income ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Tidal ETF Services |Wolverine Trading, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-5|TXN4-6|TXN3-6|TXN3-8|TXN2-3|5250000|||Monthly|||||2023-09-19||JEPY.NV|JEPY.SO|JEPY.EU|JEPY.TC| | | | | | | | | | ||the Fund aims to generate additional income from its options investments when the S&P 500 Index rises in value, based on the specific put options it sold.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||17.9|17.905|0.0|0.0|17.89|17.91|17.9|17.845|0.0|0.0|17.91|17.9|17.91|18.0|17.87|17.91|17.88|17.91|17.9|17.91|13.89|22.03|13.89|22.03|17.9|17.91|17.86|17.97|17.86|17.97|17.9|17.91|20.12|17.68|200370|10422797 7191|JEQ|JEQ|00306J109|US00306J1097|abrdn Japan Equity Fund, Inc.|Common Stock|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN1-8|TXN8-8|TXN4-3|TXN3-8|13410000|||Yearly|||||1992-08-14||||||| | | | | | | | | |||N|0|N|N|406B|SGP|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||0.0|5.47|0.0|0.0|0.0|5.43|5.44|5.435|0.0|0.0|5.47|0.0|5.44|5.44|5.44|5.43|0.0|5.44|0.0|5.43|5.43|5.45|5.43|5.45|5.44|5.46|0.0|0.0|0.0|0.0|5.44|5.45|6.29|4.99|11518|6039027 75904|JETD|JETD|063679484|US0636794846|Bank of Montreal|MAX Airlines -3X Inverse Leveraged ETNs|Operating company|ETN|N|N|P|Y|Y|Y|Y|Y||||||||Bank of Montreal|Old Mission Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-7|TXN3-3|TXN3-7|TXN2-6|TXN3-3|160000|||NotApplicable|||||2023-06-21|2043-05-28|JETD.NV|JETD.SO| | |JETD.IV| | | | | | | | | |-3x|The Prime Airlines index represents companies engaged in air transportation, aircraft and parts manufacturing, and air freight and logistics. Index constituents are based on the constituent issuers regulatory filings, industry classification, and other related material.|N|0|N|N|416A||CA|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|28.67|0.0|28.6499|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|28.4|0.0|28.4|0.0|0.0|0.0|0.0|28.33|28.44|14.45|43.33|0.0|0.0|28.33|28.44|46.49|19.95|359|411192 49727|JETS|JETS|26922A842|US26922A8421|ETF Series Solutions|U.S. Global Jets ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||U.S. Global Investors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-6|TXN1-3|TXN5-4|TXN4-2|TXN4-2|95050000|||Yearly|||||2015-04-30||JETS.NV|JETS.SO|JETS.EU|JETS.TC|JETS.IV| | | | | | | | | |1x|Global Airlines and Airports, and manuafacturers|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||18.05|18.05|0.0|17.94|18.05|18.05|18.0565|18.06|0.0|0.0|18.05|18.05|18.05|18.055|18.05|18.05|18.035|18.06|18.05|18.06|18.02|18.06|17.88|18.2|18.04|18.06|17.88|18.21|17.88|18.2|18.04|18.06|22.5|14.69|9107794|885213718 75903|JETU|JETU|063679492|US0636794929|Bank of Montreal|MAX Airlines 3X Leveraged ETNs|Operating company|ETN|N|N|P|Y|Y|Y|Y|Y||||||||Bank of Montreal|Old Mission Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-6|TXN4-5|TXN7-8|TXN2-8|TXN3-3|160000|||NotApplicable|||||2023-06-21|2043-05-28|JETU.NV|JETU.SO| | |JETU.IV| | | | | | | | | |3x|The Prime Airlines index represents companies engaged in air transportation, aircraft and parts manufacturing, and air freight and logistics. Index constituents are based on the constituent issuers regulatory filings, industry classification, and other related material.|N|0|N|N|416A||CA|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|17.07|0.0|0.0|0.0|17.35|18.6801|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|18.7244|0.0|18.7244|0.0|0.0|0.0|0.0|18.7|18.77|9.22|27.64|0.0|0.0|18.7|18.77|30.4043|11.9826|1621|85930 74908|JEWL|JEWL|00548H101|US00548H1014|Adamas One Corp|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-8|TXN5-2|TXN12-7|TXN5-8|TXN6-5|23110000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||55|5510|551030|55103020|Basic Materials|Basic Resources|Precious Metals and Mining|Diamonds and Gemstones|N||N||||||N|0|Y||||||0.549|0.5112|0.0|0.0|0.0|0.5112|0.5112|0.55|0.0|0.0|0.53|0.0|0.54|0.0|0.0|0.0|0.0|0.5112|0.0|0.5112|0.408|0.6394|0.408|0.6394|0.4772|0.55|0.408|0.6394|0.0|0.0|0.5111|0.55|11.94|0.3888|66141|40230029 74536|JFBR|JFBR|M61472128|IL0011808354|Jeffs Brands Ltd|ORD||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN6-5|TXN11-4|TXN5-2|TXN5-4|1190000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||ISR||||40|4040|404010|40401010|Consumer Discretionary|Retail |Retailers |Diversified Retailers|N||N||||||N|0|Y|C|||||3.72|3.61|0.0|0.0|3.62|3.675|3.65|3.61|0.0|0.0|3.64|3.6|3.72|3.684|3.72|3.6|0.0|3.65|3.77|3.72|2.83|4.5|2.83|4.5|3.37|3.75|3.55|3.79|3.53|3.82|3.6|3.72|3.96|0.3288|827377|104024055 74537|JFBRW|JFBRW|M61472110|IL0011840357|Jeffs Brands Ltd|WT EXP 082627||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-1|TXN5-8|TXN13-1|TXN5-2|TXN6-7|8320000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||ISR||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0345|0.0688|0.2999|0.0344|0|541643 63599|JFIN|JFIN|47737C104|US47737C1045|Jiayin Group Inc|ADR||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN6-7|TXN14-5|TXN6-4|TXN5-1|105730000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||30|3020|302010|30201020|Financials|Financial Services |Finance and Credit Services|Consumer Lending|N||N||||||Y|0|Y||||||0.0|5.21|0.0|0.0|0.0|5.2|5.23|5.17|0.0|0.0|0.0|0.0|5.26|0.0|0.0|0.0|0.0|5.23|0.0|5.23|4.12|6.31|4.0|6.44|4.81|5.6|4.12|6.31|0.0|0.0|5.15|5.25|8.19|2.05|25685|27842153 7194|JFR|JFR|67072T108|US67072T1088|Nuveen Floating Rate Income Fund|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN3-2|TXN1-8|TXN3-6|TXN2-2|134060000|||Monthly|||||2004-03-26||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||8.0|8.01|0.0|8.01|8.0|8.005|8.006|8.005|0.0|0.0|8.01|8.01|8.005|8.011|8.06|8.0|8.02|8.0|8.02|8.0|8.0|8.02|6.2|9.83|7.99|8.02|7.97|8.04|8.0|8.02|8.0|8.02|8.76|7.61|950308|89294059 64307|JFU|JFU|65442R208|US65442R2085|9F Inc|ADR||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN5-6|TXN10-4|TXN6-5|TXN5-7|171060000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||30|3020|302020|30202000|Financials|Financial Services |Investment Banking and Brokerage Services |Diversified Financial Services |N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|4.1366|0.0|0.0|0.0|0.0|0.0|4.0|0.0|0.0|0.0|0.0|4.0|0.0|4.0|3.8|4.45|0.0|0.0|3.74|4.51|3.2|5.1|0.0|0.0|4.0|4.23|5.51|0.16|6000|8050667 71136|JFWD|JFWD|469785703|US4697857039|Jacob Funds Inc.|Jacob Forward ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Jacob Asset Management|RBC Capital Markets, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-1|TXN4-1|TXN3-8|TXN1-1|TXN1-2|290000|||Yearly|||||2021-07-14||JFWD.NV|JFWD.SO|JFWD.EU|JFWD.TC| | | | | | | | | | |1x|Jacob Forward ETF seeks to achieve its investment objective by investing in common stocks and other equity securities of companies of all sizes. The Fund maintains a diversified portfolio of investments consisting primarily of common stocks. The Fund may also invest in other equity securities, such as preferred stocks, rights, or warrants. The Fund may have significant exposure to the information technology sector.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|8.3899|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|8.9004|0.0|8.9004|0.0|0.0|8.83|8.87|8.88|8.94|4.4|13.17|0.0|0.0|8.88|8.94|9.8031|6.8003|640|224436 61317|JG|JG|051857100|US0518571007|Aurora Mobile Ltd|ADR||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-5|TXN5-2|TXN14-2|TXN5-7|TXN5-2|62800000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||10|1010|101010|10101010|Technology|Technology|Software and Computer Services|Computer Services|N||N||||||N|0|Y|C|||||0.113|0.109|0.0|0.0|0.1172|0.1172|0.1172|0.1127|0.0|0.0|0.1174|0.1173|0.1175|0.0|0.0|0.0|0.0|0.1172|0.0|0.1175|0.1109|0.1234|0.0922|0.138|0.1091|0.1175|0.0922|0.132|0.0|0.0|0.1171|0.1175|0.98|0.1001|254763|118692923 48949|JGH|JGH|67075G103|US67075G1031|Nuveen Global High Income Fund|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN4-3|TXN6-8|TXN3-8|TXN4-4|23180000|||Monthly|||||2014-11-24||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||11.38|11.375|0.0|0.0|11.38|11.375|11.3869|11.44|0.0|0.0|11.38|11.24|11.37|11.43|0.0|11.37|11.39|11.38|11.44|11.37|11.37|11.39|8.76|13.94|11.36|12.13|11.34|11.41|0.0|0.0|11.37|11.39|12.7|10.3612|72575|11858121 76290|JGLO|JGLO|46654Q740|US46654Q7401|JPMorgan Global Select Equity ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN5-3|TXN10-3|TXN5-8|TXN5-3|18000000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|50.1|0.0|0.0|0.0|0.0|0.0|0.0|50.1|0.0|0.0|0.0|0.0|50.1|50.18|0.0|0.0|0.0|0.0|50.1|50.18|50.39|45.264|33|19841605 74364|JGRO|JGRO|46654Q609|US46654Q6098|J.P. Morgan Exchange-Traded Fund Trust|JPMorgan Active Growth ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||J.P. Morgan Investment Management|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-7|TXN3-7|TXN8-4|TXN1-2|TXN3-3|13225000|||Yearly|||||2022-08-09||JGRO.NV|JGRO.SO|JGRO.EU|JGRO.TC|JGRO.IV| | | | | | | | | ||Actively managed investment strategy which seeks to deliver a style pure growth equity portfolio. Employs a fundamental, bottom-up approach to identify companies with underappreciated growth potential. Typically anchored in large cap but sources opportunity across the entire market capitalization spectrum.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|1|||58.07|58.18|0.0|0.0|58.07|58.18|58.18|58.18|0.0|0.0|58.18|58.77|58.22|58.1|58.5|57.83|0.0|58.2|0.0|58.2|55.25|61.11|54.35|62.06|58.17|58.19|55.25|61.11|0.0|0.0|58.17|61.11|59.07|43.63|174968|19311978 76546|JHAC|JHAC|47804J735|US47804J7357|John Hancock Exchange-Traded Fund Trust|John Hancock Fundamental All Cap Core ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||John Hancock Advisers|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-4|TXN1-8|TXN6-8|TXN3-6|TXN3-3|200000|||Yearly|||||2023-11-02||JHAC.NV|JHAC.SO|JHAC.EU|JHAC.TC|JHAC.IV| | | | | | | | | ||John Hancock Fundamental All Cap Core ETF is an actively managed semi-transparent ETF that seeks long-term capital appreciation by investing at least 80% of its assets in equity securities. Market capitalizations of these companies will span the capitalization spectrum.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|11.0402|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|11.3043|0.0|11.3043|11.2|11.43|8.63|13.87|11.29|11.31|10.47|12.09|0.0|0.0|11.28|11.31|11.39|10.3399|95|211873 70053|JHCB|JHCB|47804J818|US47804J8181|John Hancock Exchange-Traded Fund Trust|John Hancock Corporate Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||John Hancock Advisers|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-1|TXN1-4|TXN9-8|TXN3-2|TXN3-4|1250000|||Monthly|||||2021-03-31||JHCB.NV|JHCB.SO|JHCB.EU|JHCB.TC|JHCB.IV| | | | | | | | | |1x|Under normal market conditions, the fund invests at least 80% of its net assets (plus any borrowings for investment purposes) in corporate bonds. These corporate bonds are investment-grade securities rated from AAA to BBB- by Standard & Poors Ratings Services (S&P) or by Fitch Ratings (Fitch) or from Aaa to Baa3 by Moodys Investors Service, Inc. (Moodys), or comparable rating by any nationally recognized statistical rating organization (NRSRO), or their unrated equivalents. For these purposes, corporate bonds, include corporate debentures and other debt securities issued by corporations. The funds investment policies are based on credit ratings at the time of purchase. There is no limit on average maturity.|N|0|N|N|416A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|20.75|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|20.7831|0.0|20.7831|0.0|0.0|0.0|0.0|20.76|20.81|0.0|0.0|0.0|0.0|20.76|20.81|21.74|19.4|872|977322 74680|JHDV|JHDV|47804J768|US47804J7688|John Hancock Exchange-Traded Fund Trust|John Hancock U.S. High Dividend ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||John Hancock Advisers|RBC Capital Markets, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-3|TXN4-8|TXN3-5|TXN1-5|TXN2-8|250000|||Quarterly|||||2022-09-28||JHDV.NV|JHDV.SO|JHDV.EU|JHDV.TC|JHDV.IV| | | | | | | | | |1x|John U.S. High Dividend ETF is an actively managed ETF that seeks a high level of current income. Long-term growth of capital is a secondary objective. Under normal market conditions, the fund invests at least 80% of its net assets (plus any borrowings for investment purposes) in dividend-paying U.S. large- and mid-cap equity securities. These dividend-paying U.S. large- and mid-cap equity securities are incorporated in, or have their primary listing in, the United States. Dividend-paying U.S. equity securities in which the fund may invest include common and preferred stocks, convertible securities, rights, warrants, and real estate investment trusts (REITs) listed on any U.S. exchange. The fund considers the large- and mid-cap U.S. equity universe to be those U.S. equity securities in the top 85% of the free-float adjusted U.S. market capitalization.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|27.68|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|29.415|0.0|29.415|0.0|0.0|29.33|29.5|29.35|29.49|29.31|29.52|29.31|29.52|29.35|29.49|29.8203|26.2816|2|32246 61864|JHEM|JHEM|47804J834|US47804J8348|John Hancock Exchange-Traded Fund Trust|John Hancock Multifactor Emerging Markets ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||John Hancock Advisers|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-3|TXN2-7|TXN6-8|TXN4-7|TXN2-3|26400000|||BiAnnually|||||2018-09-28||JHEM.NV|JHEM.SO|JHEM.EU|JHEM.TC|JHEM.IV| | | | | | | | | |1x|John Hancock Multifactor Emerging Markets ETF is an exchange traded fund that intends to track the performance of the John Hancock Dimensional Emerging Markets Index (NTR). The John Hancock Dimensional Emergin Markets Index is a non-market cap weighted index of emerging market companies that is reconstituted semi-annually.|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||24.56|24.54|0.0|0.0|24.56|24.67|24.5599|24.55|0.0|0.0|24.55|0.0|24.55|24.56|0.0|0.0|0.0|24.54|0.0|24.54|23.2|26.01|0.0|0.0|24.52|24.57|0.0|0.0|0.0|0.0|24.52|24.57|25.86|22.785|24913|7163354 58543|JHG|JHG|G4474Y214|JE00BYPZJM29|Janus Henderson Group plc|Ordinary Shares|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-2|TXN4-1|TXN1-8|TXN1-5|TXN2-5|165660000|||Quarterly|||||2017-05-30||||||| | | | | | | | | |||N|0|Y|Y|408A|GBR|GB|||30|3020|302020|30202010|Financials|Financial Services |Investment Banking and Brokerage Services |Asset Managers and Custodians|N||N||||||Y|0|Y||Y|1|||26.665|26.665|0.0|26.28|26.66|26.665|26.665|26.665|0.0|0.0|26.67|26.67|26.67|26.665|26.68|26.67|26.72|26.665|26.68|26.67|26.66|26.67|24.81|28.29|26.64|26.67|26.64|26.69|26.64|26.7|26.66|26.67|31.3|22.175|833130|231019401 7197|JHI|JHI|410142103|US4101421034|John Hancock Investors Trust|Capital Stock|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN2-6|TXN8-8|TXN3-8|TXN2-7|8710000|||Quarterly|||||1971-06-14||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||0.0|12.81|0.0|0.0|12.485|12.76|12.76|12.75|0.0|0.0|12.81|12.8|12.78|12.76|0.0|12.76|12.81|12.78|12.59|12.76|12.76|12.8|12.76|12.81|11.88|12.82|0.0|0.0|0.0|0.0|12.76|12.8|13.94|11.6323|32292|4716920 75038|JHID|JHID|47804J750|US47804J7506|John Hancock Exchange-Traded Fund Trust|John Hancock International High Dividend ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||John Hancock Advisers|RBC Capital Markets, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN2-4|TXN2-8|TXN1-5|TXN3-4|200000|||Quarterly|||||2022-12-21||JHID.NV|JHID.SO|JHID.EU|JHID.TC|JHID.IV| | | | | | | | | ||John Hancock International High Dividend ETF is an actively managed ETF that seeks a high level of current income. Long-term growth of capital is a secondary objective. Under normal market conditions, the fund invests at least 80% of its net assets (plus any borrowings for investment purposes) in dividend-paying large- and mid-cap equity securities of non-U.S. developed market companies. These dividend-paying large- and mid-cap equity securities are incorporated in, or have their primary listing exchange in, developed markets, excluding the U.S.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|27.1873|0.0|27.1873|0.0|0.0|0.0|0.0|27.14|27.23|0.0|0.0|0.0|0.0|27.14|27.23|28.91|24.8502|0|183702 71476|JHMB|JHMB|47804J792|US47804J7928|John Hancock Exchange-Traded Fund Trust|John Hancock Mortgage-Backed Securities ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||John Hancock Advisers|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-3|TXN3-4|TXN1-5|TXN4-1|TXN3-4|1600000|||Monthly|||||2021-08-19||JHMB.NV|JHMB.SO|JHMB.EU|JHMB.TC| | | | | | | | | | |1x|Under normal market conditions, the fund invests at least 80% of its net assets (plus any borrowings for investment purposes) in mortgage-backed securities. The fund may invest in mortgage-related securities issued or guaranteed by U.S. governmental entities and privately issued mortgage-related securities. These may include residential mortgage-backed securities, commercial mortgage-backed securities and to-be-announced mortgage contracts, and may be rated investment grade or below....There is no limit on the funds average maturity.|N|0|N|N|416A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||21.27|21.28|0.0|0.0|21.28|21.28|21.28|21.28|0.0|0.0|21.28|21.28|21.28|21.27|21.27|21.28|0.0|21.29|21.28|21.29|21.2|21.31|0.0|0.0|21.2|21.3|21.2|21.31|0.0|0.0|21.21|21.29|22.07|20.1999|11454|1534108 54678|JHMD|JHMD|47804J859|US47804J8595|John Hancock Exchange-Traded Fund Trust|John Hancock Multifactor Developed International ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||John Hancock Advisers|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-5|TXN2-2|TXN3-8|TXN2-3|TXN4-1|16700000|||BiAnnually|||||2016-12-16||JHMD.NV|JHMD.SO|JHMD.EU|JHMD.TC|JHMD.IV| | | | | | | | | |1x|Top 80-85 percent of listed companies in developed markets outside of North America with emphasis on size, value and profitability|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|31.38|0.0|0.0|31.4|31.38|31.4088|31.38|0.0|0.0|31.38|0.0|31.35|0.0|0.0|0.0|0.0|31.37|0.0|31.37|24.21|38.44|24.21|38.44|31.37|31.41|24.21|31.41|31.23|31.41|22.49|31.41|32.3|27.91|116954|8133248 51419|JHML|JHML|47804J107|US47804J1079|John Hancock Exchange-Traded Fund Trust|John Hancock Multifactor Large Cap ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||John Hancock Advisers|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-4|TXN2-4|TXN3-5|TXN2-7|TXN2-2|13100000|||BiAnnually|||||2015-09-29||JHML.NV|JHML.SO|JHML.EU|JHML.TC|JHML.IV| | | | | | | | | |1x|Top 750 US listed companies with emphasis on size, value and profitability|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||0.0|56.6|0.0|0.0|56.61|56.53|56.565|56.52|0.0|0.0|56.55|0.0|56.52|56.39|56.51|56.415|0.0|56.6|0.0|56.6|56.54|56.67|56.53|56.7|56.59|56.63|56.53|56.71|56.53|56.7|56.59|56.63|56.87|48.45|28396|11070826 51420|JHMM|JHMM|47804J206|US47804J2069|John Hancock Exchange-Traded Fund Trust|John Hancock Multifactor Mid Cap ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||John Hancock Advisers|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-6|TXN1-5|TXN6-3|TXN4-8|TXN2-8|66750000|||BiAnnually|||||2015-09-29||JHMM.NV|JHMM.SO|JHMM.EU|JHMM.TC|JHMM.IV| | | | | | | | | |1x|Top 300-900 US listed companies with emphasis on size, value and profitability|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||50.13|50.13|0.0|0.0|50.14|50.14|50.13|50.135|0.0|0.0|50.13|49.95|50.13|50.14|50.14|50.14|0.0|50.1|0.0|50.1|50.1|50.15|50.02|50.66|50.1|50.13|50.08|50.15|50.02|50.66|50.1|50.13|51.96|44.0701|601111|55324039 76545|JHMU|JHMU|47804J743|US47804J7431|John Hancock Exchange-Traded Fund Trust|John Hancock Dynamic Municipal Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||John Hancock Advisers|RBC Capital Markets, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-3|TXN2-5|TXN4-8|TXN3-6|TXN3-3|800000|||Monthly|||||2023-11-02||JHMU.NV|JHMU.SO|JHMU.EU|JHMU.TC|JHMU.IV| | | | | | | | | ||John Hancock Dynamic Municipal Bond ETF is an actively managed ETF that seeks a high level of interest income exempt from federal income tax. The fund seeks to achieve its objective by investing at least 80% of its assets in municipal bonds of any maturity.|N|0|N|N|416A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|26.365|0.0|26.365|20.39|32.4|20.39|32.4|26.32|26.41|20.39|32.4|0.0|0.0|26.32|26.41|26.365|25.16|0|810560 72911|JHPI|JHPI|47804J776|US47804J7761|John Hancock Exchange-Traded Fund Trust|John Hancock Preferred Income ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||John Hancock Advisers|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-5|TXN3-4|TXN7-8|TXN4-1|TXN3-5|1550000|||Monthly|||||2021-12-15||JHPI.NV|JHPI.SO|JHPI.EU|JHPI.TC|JHPI.IV| | | | | | | | | |1x|John Hancock Preferred Income ETF is an Actively Managed ETF that seeks a high level of current income, consistent with preservation of capital. Under normal market conditions, the fund invests at least 80% of its net assets (plus any borrowings for investment purposes) in preferred stocks and other preferred securities. Preferred stocks and preferred securities include, but are not limited to, convertible preferred securities, corporate hybrid securities, trust preferred securities, cumulative and non-cumulative preferred stock, and depositary shares of preferred stock. Preferred securities generally pay fixed or adjustable-rate distributions to investors and have preference over common stock in the payment of distributions and the liquidation of a companys assets, but are generally junior to all forms of the companys debt, including both senior and subordinated debt.|N|0|N|N|416A|USA|US|HYBRID|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|21.2461|0.0|0.0|0.0|0.0|0.0|0.0|21.26|0.0|0.0|0.0|21.25|0.0|21.25|0.0|0.0|0.0|0.0|21.24|21.26|0.0|0.0|0.0|0.0|21.24|21.26|23.4|19.86|1575|1952312 7199|JHS|JHS|410123103|US4101231037|John Hancock Income Securities Trust|Capital Stock|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN2-7|TXN1-5|TXN1-5|TXN4-2|11650000|||Quarterly|||||1973-06-13||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||10.59|0.0|0.0|0.0|10.69|10.59|10.58|10.63|0.0|0.0|10.61|0.0|10.605|10.63|0.0|10.6|0.0|10.6|0.0|10.6|10.6|10.61|8.2|13.21|10.59|11.31|8.2|13.21|0.0|0.0|10.6|10.65|11.7046|9.76|7842|4767357 60062|JHSC|JHSC|47804J842|US47804J8421|John Hancock Exchange-Traded Fund Trust|John Hancock Multifactor Small Cap ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||John Hancock Advisers|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-6|TXN4-8|TXN9-7|TXN1-3|TXN1-3|10725000|||BiAnnually|||||2017-11-09||JHSC.NV|JHSC.SO|JHSC.EU|JHSC.TC|JHSC.IV| | | | | | | | | |1x|Invest in US stocks whose market cap are smaller than the 750th largest U.S. company but excluding the smallest 4% of U.S. stocks. Weighted towards size, value and profitability factors|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||34.2|34.2|0.0|0.0|34.2|34.2|34.5622|34.31|0.0|0.0|34.365|0.0|34.21|34.22|33.05|34.21|0.0|34.535|34.2|34.535|34.16|34.87|0.0|0.0|34.51|34.58|34.48|34.58|34.44|34.58|34.51|34.58|35.0|29.72|126431|5247707 7200|JHX|JHX|47030M106|US47030M1062|James Hardie Industries plc|American Depositary Shares (Each representing One (1) unit of CHESS Unit of Foreign Securities)|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN4-6|TXN4-8|TXN1-4|TXN2-2|437770000|||BiAnnually|||||2001-10-22||||||| | | | | | | | | |||N|0|N|Y|110C|IRL|IE|||50|5010|501010|50101035|Industrials|Construction and Materials|Construction and Materials |Building Materials: Other|N||N||||||Y|0|Y||Y|2|||32.93|32.89|0.0|32.82|32.92|32.92|32.84|32.92|0.0|0.0|32.92|32.18|32.84|0.0|0.0|32.86|0.0|32.83|32.88|32.86|32.83|32.89|25.26|40.42|32.58|33.14|25.26|40.42|32.83|32.99|32.83|32.89|32.99|17.25|33242|14758537 71606|JIB|JIB|47103U761|US47103U7616|Janus Detroit Street Trust|Janus Henderson Sustainable & Impact Core Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Janus Henderson|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN2-1|TXN1-5|TXN1-7|TXN3-7|850001|||Monthly|||||2021-09-09||JIB.NV|JIB.SO|JIB.EU|JIB.TC|JIB.IV| | | | | | | | | |1x|Janus Henderson Sustainable & Impact Core Bond ETF is an exchange traded fund incorporated in the USA. It seeks total return while giving special consideration to certain environemental, social, and governance factors.|N|0|N|N|416A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|39.894552|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|41.1025|0.0|41.1025|0.0|0.0|0.0|0.0|41.07|41.13|0.0|0.0|0.0|0.0|40.99|41.13|43.33|39.1618|3|178920 66504|JIG|JIG|46641Q324|US46641Q3240|J.P. Morgan Exchange-Traded Fund Trust|JPMorgan International Growth ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||J.P. Morgan Investment Management|Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-1|TXN4-6|TXN8-8|TXN3-5|TXN4-6|1350000|||Yearly|||||2020-05-21||JIG.NV|JIG.SO|JIG.EU|JIG.TC|JIG.IV| | | | | | | | | ||Invests in companies across foreign developed markets and emerging marketsLeverages insights generated by a team of global sector specialistsEmploys a fundamental bottom-up approach that seeks to identify companies with strong growth and quality characteristics|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|56.4|56.4729|56.46|0.0|0.0|0.0|0.0|0.0|56.47|0.0|0.0|0.0|56.5297|0.0|56.5297|0.0|0.0|0.0|0.0|56.48|56.58|0.0|0.0|0.0|0.0|56.48|56.58|60.48|51.15|2641|1988921 2181|JILL|JILL|46620W201|US46620W2017|J.Jill, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN2-1|TXN2-8|TXN3-6|TXN1-6|10600000|||Adhoc|||||2017-03-09||||||| | | | | | | | | |||N|0|N|Y|146F|USA|US|||40|4040|404010|40401020|Consumer Discretionary|Retail |Retailers |Apparel Retailers|N||N||||||N|0|Y||Y|2|||28.86|28.93|0.0|28.99|28.84|28.98|28.83|28.98|0.0|0.0|29.37|29.23|28.84|28.81|28.99|28.83|30.25|28.84|28.96|28.83|28.9|28.94|22.9|35.42|28.72|28.99|28.74|29.02|28.71|28.91|28.9|28.94|32.26|18.85|196640|13343379 74150|JIRE|JIRE|46641Q134|US46641Q1343|J.P. Morgan Exchange-Traded Fund Trust|JPMorgan International Research Enhanced Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||J.P. Morgan Investment Management|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-5|TXN3-8|TXN2-7|TXN3-8|TXN4-8|99227892|||Yearly|||||2022-06-13||JIRE.NV|JIRE.SO|JIRE.EU|JIRE.TC|JIRE.IV| | | | | | | | | ||Under normal circumstances, the Fund invests at least 80% of its Assets in equity securities. Assets means net assets, plus the amount of borrowings for investment purposes. The Fund primarily invests in foreign companies of various market capitalizations, including foreign subsidiaries of U.S. companies. The equity securities in which the Fund may invest include, but are not limited to, common stock, preferred stock, depositary receipts, privately placed securities and real estate investment trusts (REITs).|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||Y|0|Y||Y|1|||57.343|57.77|0.0|0.0|57.33|57.38|57.365|57.32|0.0|0.0|0.0|0.0|57.39|57.27|0.0|57.77|0.0|57.34|57.0|57.34|53.68|60.88|53.68|60.88|57.35|57.37|53.68|60.88|0.0|0.0|57.35|57.37|58.8511|49.68|84187|56750189 76291|JIVE|JIVE|46654Q757|US46654Q7575|JPMorgan International Value ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN5-3|TXN13-1|TXN5-4|TXN5-3|250000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|49.18|0.0|0.0|0.0|49.18|49.22|49.19|0.0|0.0|0.0|0.0|49.195|0.0|0.0|0.0|0.0|49.22|0.0|49.195|0.0|0.0|0.0|0.0|49.12|49.22|0.0|0.0|0.0|0.0|49.17|49.22|49.89|45.8|2236|11699 2182|JJSF|JJSF|466032109|US4660321096|J & J Snack Foods Corp|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN6-7|TXN10-5|TXN6-3|TXN6-4|19340000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||45|4510|451020|45102020|Consumer Staples |Food, Beverage and Tobacco |Food Producers|Food Products|N||N||||||Y|0|Y||||||0.0|171.04|0.0|170.46|171.48|171.11|170.18|170.31|0.0|0.0|171.08|0.0|170.42|171.14|0.0|170.3|0.0|170.42|0.0|170.42|168.54|172.9|131.34|212.54|169.5|171.74|169.69|170.97|169.39|170.78|170.2|170.78|177.71|133.27|68780|16422880 2183|JKHY|JKHY|426281101|US4262811015|Henry (Jack) & Associates Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN5-4|TXN13-1|TXN5-4|TXN6-6|72830000|||NotApplicable|||||||||||| | | | | | | | | |||N|5|Y|N||USA||||50|5020|502050|50205015|Industrials|Industrial Goods and Services|Industrial Support Services|Transaction Processing Services|N||N||||||Y|0|Y||||||162.8|162.7|0.0|162.44|162.53|162.71|162.76|162.71|0.0|0.0|162.69|162.66|162.68|162.61|162.78|162.6|161.66|162.76|162.54|162.68|161.66|163.6|151.5|171.51|162.63|162.82|162.52|162.9|162.68|162.8|162.68|162.76|190.855|136.57|588209|137824775 32698|JKS|JKS|47759T100|US47759T1007|JinkoSolar Holding Co., Ltd.|American Depositary Shares (each representing 4 Ordinary Shares)|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-5|TXN4-6|TXN4-5|TXN3-8|TXN4-3|209230000|||Adhoc|||||2010-05-14||||||| | | | | | | | | |||N|0|N|Y|100A|CHN|KY|||60|6010|601020|60102020|Energy|Energy|Alternative Energy|Renewable Energy Equipment |N||N||||||Y|0|Y||Y|2|||33.26|33.255|0.0|33.26|33.27|33.26|33.265|33.24|0.0|0.0|33.27|33.42|33.25|33.27|33.35|33.22|33.29|33.25|33.26|33.22|33.24|33.25|26.5|40.62|32.97|33.63|33.13|33.42|33.21|33.42|33.24|33.25|61.27|25.15|1531533|202696616 7214|JLL|JLL|48020Q107|US48020Q1076|Jones Lang LaSalle Incorporated|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN3-6|TXN9-8|TXN3-7|TXN4-1|47570000|||BiAnnually|||||1997-07-17||||||| | | | | | | | | |||N|0|Y|Y|414A|USA|US|||35|3510|351010|35101015|Real Estate|Real Estate |Real Estate Investment and Services Development|Real Estate Services|N||N||||||Y|0|Y||Y|1|||160.33|162.55|0.0|162.63|162.56|162.695|162.54|162.48|0.0|0.0|162.76|161.07|162.45|160.17|162.5|162.5|161.46|162.49|162.79|162.5|162.48|162.49|152.23|173.32|161.49|163.96|162.23|162.73|162.25|162.85|162.48|162.49|188.61|119.46|284702|76218844 31923|JLS|JLS|670735109|US6707351093|Nuveen Mortgage and Income Fund|Common Shares on Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN2-2|TXN4-8|TXN3-4|TXN4-2|5490000|||Monthly|||||2009-11-25||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||16.81|16.82|0.0|0.0|16.96|16.83|16.88|16.81|0.0|0.0|16.71|0.0|16.83|0.0|0.0|16.83|0.0|16.88|0.0|16.83|16.8|16.89|16.72|16.9|15.69|18.07|13.36|20.77|0.0|0.0|16.8|16.89|17.63|15.4762|30747|2583092 61737|JMBS|JMBS|47103U852|US47103U8523|Janus Detroit Street Trust|Janus Henderson Mortgage-Backed Securities ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Janus Henderson|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-4|TXN1-5|TXN5-4|TXN3-4|TXN4-1|69075000|||Monthly|||||2018-09-13||JMBS.NV|JMBS.SO|JMBS.EU|JMBS.TC|JMBS.IV| | | | | | | | | ||An actively managed fixed income ETF that seeks to invest in mortgage related instruments, and which seeks to exceed the Bloomberg Barclays US MBS Index .|N|0|N|N|416A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||Y|0|Y||Y|1|||44.56|44.55|0.0|0.0|44.56|44.58|44.57|44.55|0.0|0.0|44.58|44.55|44.57|44.56|44.53|44.57|44.48|44.58|44.57|44.58|44.55|44.59|41.77|47.5|44.55|44.58|44.55|44.61|43.71|45.5|44.55|44.58|47.47|41.58|502591|98901145 74011|JMEE|JMEE|46641Q118|US46641Q1186|J.P. Morgan Exchange-Traded Fund Trust|JPMorgan Market Expansion Enhanced Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||J.P. Morgan Investment Management|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-4|TXN2-4|TXN3-7|TXN3-5|TXN2-2|17673634|||Yearly|||||2022-05-09||JMEE.NV|JMEE.SO|JMEE.EU|JMEE.TC|JMEE.IV| | | | | | | | | ||The Fund seeks to provide investment results that correspond to or incrementally exceed the total return performance of an index that tracks the performance of the small- and mid-capitalization equity markets.|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||50.885|51.23|0.0|0.0|51.01|51.23|51.24|0.0|0.0|0.0|49.62|0.0|51.34|0.0|51.23|50.88|0.0|51.34|0.0|51.34|40.12|60.85|0.0|0.0|51.3|51.34|40.12|60.85|0.0|0.0|51.3|51.34|52.75|45.12|28112|5368847 76020|JMHI|JMHI|46654Q799|US46654Q7997|J.P. Morgan Exchange-Traded Fund Trust|JPMorgan High Yield Municipal ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||J.P. Morgan Investment Management|RBC Capital Markets, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-2|TXN1-7|TXN2-8|TXN3-1|TXN1-4|3850360|||Monthly|||||2023-07-17||JMHI.NV|JMHI.SO|JMHI.EU|JMHI.TC|JMHI.IV| | | | | | | | | ||The Fund seeks a high level of current income exempt from federal income taxes.|N|0|N|N|416A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|48.66|0.0|0.0|0.0|48.65|48.65|48.65|0.0|0.0|48.66|0.0|48.66|48.65|0.0|0.0|0.0|48.65|0.0|48.65|0.0|0.0|0.0|0.0|48.65|48.72|0.0|0.0|0.0|0.0|48.65|48.71|50.23|45.945|21060|2294031 63414|JMIA|JMIA|48138M105|US48138M1053|Jumia Technologies AG|American Depositary Shares, each representing c|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|5|N|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-7|TXN3-4|TXN2-3|TXN1-3|TXN1-3|201230000|||NotApplicable|||||2019-04-11||||||| | | | | | | | | |||N|0|N|Y|108B|DEU|DE|||10|1010|101010|10101020|Technology|Technology|Software and Computer Services|Consumer Digital Services |N||N||||||Y|0|Y||Y|2|||3.6|3.61|0.0|3.86|3.6|3.61|3.61|3.6|0.0|0.0|3.61|3.61|3.61|3.615|3.6|3.61|3.62|3.61|3.83|3.61|3.6|3.61|2.8|4.45|3.6|3.62|3.58|3.64|3.59|3.61|3.6|3.61|5.09|2.225|2391601|410639622 7846|JMM|JMM|67075J107|US67075J1079|Nuveen Multi-Market Income Fund|Common Stock|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN3-5|TXN2-8|TXN1-4|TXN4-6|9460000|||Monthly|||||1988-12-27||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||0.0|5.73|0.0|0.0|0.0|5.73|5.73|5.73|0.0|0.0|5.73|0.0|5.73|0.0|0.0|5.73|0.0|5.73|0.0|5.73|5.73|5.75|0.0|0.0|5.33|6.12|0.0|0.0|0.0|0.0|5.73|5.74|6.224|5.29|5606|2245253 60058|JMOM|JMOM|46641Q779|US46641Q7795|J.P. Morgan Exchange-Traded Fund Trust|JPMorgan U.S. Momentum Factor ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||J.P. Morgan Investment Management|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN1-6|TXN1-8|TXN4-1|TXN2-3|7900000|||Quarterly|||||2017-11-09||JMOM.NV|JMOM.SO|JMOM.EU|JMOM.TC|JMOM.IV| | | | | | | | | |1x|The Fund seeks investment results that closely correspond, before fees and expenses, to the performance of the J.P. Morgan U.S. Momentum Factor Index|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||43.45|43.8|0.0|0.0|43.46|43.79|43.8373|43.81|0.0|0.0|0.0|0.0|43.8|43.5|43.8|0.0|0.0|43.8839|0.0|43.8839|43.85|52.63|43.67|44.09|43.85|43.93|34.92|52.63|0.0|0.0|43.85|43.93|44.1|37.13|15327|5999364 56658|JMSB|JMSB|47805L101|US47805L1017|John Marshall Bancorp Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN5-1|TXN10-6|TXN5-8|TXN6-6|14130000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y|C|||||18.78|18.77|0.0|0.0|0.0|18.68|18.77|19.37|0.0|0.0|19.0|0.0|18.8|0.0|0.0|20.6|0.0|18.7|18.8|18.8|17.51|20.39|0.0|0.0|18.19|19.39|0.0|0.0|0.0|0.0|18.57|18.98|29.52|14.38|38446|4259536 76021|JMSI|JMSI|46654Q815|US46654Q8151|J.P. Morgan Exchange-Traded Fund Trust|JPMorgan Sustainable Municipal Income ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||J.P. Morgan Investment Management|RBC Capital Markets, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN1-3|TXN4-8|TXN1-3|TXN2-8|4406783|||Monthly|||||2023-07-17||JMSI.NV|JMSI.SO|JMSI.EU|JMSI.TO|JMSI.IV| | | | | | | | | ||The Fund invests in a portfolio of municipal bonds, including municipal mortgage-backed and asset-backed securities. While current income is the Funds primary focus, it seeks to produce income in a manner consistent with the preservation of principal.|N|0|N|N|416A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|49.64|49.66|49.54663|0.0|0.0|0.0|0.0|0.0|49.54663|0.0|0.0|0.0|49.66|0.0|49.66|38.56|61.12|38.56|61.12|49.56|49.73|38.56|61.12|0.0|0.0|49.63|49.73|50.26|47.3879|7657|2271770 62000|JMST|JMST|46641Q654|US46641Q6540|J.P. Morgan Exchange-Traded Fund Trust - PMorgan Ultra-Short Municipal Income ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-8|TXN3-1|TXN9-8|TXN4-2|TXN2-6|49900000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||50.67|50.66|0.0|0.0|50.65|50.665|50.67|50.665|0.0|0.0|50.66|50.66|50.665|50.66|50.66|50.665|50.655|50.66|50.655|50.66|46.98|50.73|46.98|54.08|50.64|50.67|46.98|54.08|49.63|51.67|50.61|50.67|50.89|50.25|628371|87958403 62183|JMUB|JMUB|46641Q647|US46641Q6474|J.P. Morgan Exchange Traded Fund Trust - JPMorgan Municipal ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-8|TXN3-5|TXN3-8|TXN4-2|TXN4-1|17150000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||50.05|50.06|0.0|0.0|50.12|50.085|50.095|50.095|0.0|0.0|50.11|49.63438|50.04|50.139|0.0|50.07|0.0|50.06|0.0|50.06|50.0|53.43|46.56|53.43|50.03|50.11|46.56|53.43|49.03|51.11|50.03|50.06|51.38|47.56|209171|27120143 7219|JNJ|JNJ|478160104|US4781601046|Johnson & Johnson|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|N|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-7|TXN4-5|TXN1-3|TXN1-6|TXN4-2|2407280000|||Quarterly|||||1944-09-25||||||| | | | | | | | | |||Y|1|Y|Y|122A|USA|US|||20|2010|201030|20103015|Health Care |Health Care |Pharmaceuticals and Biotechnology|Pharmaceuticals |N||N||||||Y|0|Y||Y|1|||158.95|158.85|0.0|158.87|158.9|158.86|158.87|158.85|0.0|0.0|158.88|158.95|158.85|158.85|158.9|158.88|158.92|158.86|158.86|158.88|158.86|158.88|148.01|169.9|158.84|158.91|158.77|158.93|158.83|158.96|158.86|158.88|181.039|144.95|8920279|2672571747 26434|JNK|JNK|78468R622|US78468R6229|SPDR Series Trust|SPDR Bloomberg High Yield Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-8|TXN3-1|TXN3-6|TXN4-8|TXN2-3|87274605|||Monthly|||||2008-11-07||JNK.NV|JNK.SO|JNK.EU|JNK.TC|JNK.IV| | | | | | | | | |1x|The SPDR Barclays Capital High Yield Bond ETF seeks to provide investment results that, before fees and expenses, correspond generally to the price and yield performance of the Barclays Capital High Yield Very Liquid Index (ticker: LHVLTRUU). The Barclays Capital High Yield Very Liquid Index includes publicly issued U.S. dollar denominated, non-investment grade, fixed-rate, taxable corporate bonds that have a remaining maturity of at least one year, regardless of optionality, are rated high-yield (Ba1/BB/BB or below) using the middle rating of Moodys, S&P, and Fitch, respectively (before July 1, 2005, the lower of Moodys and S&P was used), and have $600 million or more of outstanding face value. Only the largest issue of each issuer with a maximum age of three years can be included in the Index. In addition, securities must be SEC registered or issued under Rule 144A of the Securities Act of 1933, as amended (the Securities Act). Original issue zero coupon bonds, step-up coupons, and coupons that change according to a predetermined schedule are also included. The High Yield Index includes only corporate sectors. The corporate sectors are Industrial, Utility, and Financial Institutions. Excluded from the High Yield Index are non-corporate bonds, structured notes with embedded swaps or other special features, private placements, bonds with equity-type features (e.g., warrants, convertibility), floating-rate issues, Eurobonds, defaulted bonds, payment in kind (PIK) securities and emerging market bonds. The High Yield Index is issuer capped and the securities in the Index are updated on the last business day of each month.|N|0|N|N|416A|USA|US|FIXED_INCOME|INDEX|||||||||N||N||||||Y|0|Y||Y|1|||92.7|92.71|0.0|92.63|92.72|92.71|92.72|92.71|0.0|0.0|92.71|92.71|92.71|92.71|92.73|92.71|92.68|92.71|92.71|92.71|92.71|92.75|92.62|92.78|92.72|92.73|92.61|92.82|92.62|92.78|91.39|92.73|94.835|87.795|3905572|2071706425 2190|JNPR|JNPR|48203R104|US48203R1041|Juniper Networks, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-2|TXN2-5|TXN8-3|TXN2-1|TXN4-8|318870000|||Quarterly|||||2009-10-29||||||| | | | | | | | | |||N|5|Y|Y|114D|USA|US|||15|1510|151010|15101010|Telecommunications|Telecommunications|Telecommunications Equipment|Telecommunications Equipment|N||N||||||Y|0|Y||Y|1|||28.89|28.89|0.0|28.35|28.9|28.89|28.895|28.89|0.0|0.0|28.89|28.89|28.895|28.89|28.91|28.89|28.9|28.89|28.94|28.89|28.89|28.9|26.87|30.64|28.87|28.9|28.85|28.93|28.84|28.94|28.89|28.9|34.53|24.87|3523588|860113731 42810|JNUG|JNUG|25460G831|US25460G8318|Direxion Shares ETF Trust|Direxion Daily Junior Gold Miners Index Bull 2X Shares|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Direxion Shares|IMC Chicago, LLC, DBA IMC Financial Markets|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN3-4|TXN5-7|TXN1-1|TXN4-6|8343351.001|||Quarterly|||||2013-10-02||JNUG.NV|JNUG.SO|JNUG.EU|JNUG.TC|JNUG.IV| | | | | | | | | |2x|The Fund seeks daily investment results, before fees and expenses, of 200% of the performance of the Market Vectors Junior Gold Miners Total Return Index.|N|0|N|N|416A|USA|US|EQUITY|LEVERAGED|||||||||N||N||||||Y|0|Y||Y|2|||34.751|34.66|0.0|34.34|34.69|34.7|34.6819|34.69|0.0|0.0|34.73|34.81|34.69|34.73|34.79|34.68|34.76|34.67|34.3|34.67|34.54|34.87|34.61|34.77|34.68|34.72|34.61|36.2|34.61|34.79|34.68|34.72|51.5276|22.76|2442511|354089504 76043|JNVR|JNVR|47100L202|US47100L2025|Janover Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN5-5|TXN14-4|TXN6-4|TXN6-5|10000000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302020|30202015|Financials|Financial Services |Investment Banking and Brokerage Services |Investment Services|N||N||||||N|0|Y|C|||||1.06|1.06|0.0|0.0|1.06|1.17|1.18|0.0|0.0|0.0|1.0|1.0|1.17|0.0|0.0|0.0|0.0|1.18|0.0|1.18|0.888|1.42|0.888|1.3|1.12|1.25|0.888|1.42|0.0|0.0|1.16|1.2|5.5|0.699|27525|9909977 69668|JOAN|JOAN|47768J101|US47768J1016|JOANN Inc|COM 0.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-5|TXN5-7|TXN10-3|TXN6-3|TXN6-2|41910000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4040|404010|40401030|Consumer Discretionary|Retail |Retailers |Specialty Retailers |N||N||||||Y|0|Y||||||0.8765|0.8887|0.0|0.0|0.8768|0.85|0.902401|0.8515|0.0|0.0|0.85|0.853|0.89|0.8494|0.8779|0.8999|0.0|0.902401|0.8779|0.89|0.8099|1.05|0.6885|1.06|0.8591|0.9099|0.814|1.05|0.0|0.0|0.8949|0.9099|5.15|0.3914|2460135|72873745 7223|JOB|JOB|36165A102|US36165A1025|GEE Group Inc.|Common Stock|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN12-4|TXN4-5|TXN8-8|TXN1-5|TXN4-8|113150000|||NotApplicable|||||1978-03-01||||||| | | | | | | | | |||N|0|N|N|310A|USA|US|||50|5020|502050|50205025|Industrials|Industrial Goods and Services|Industrial Support Services|Business Training and Employment Agencies|N||N||||||N|0|Y||Y|2|||0.5257|0.534|0.0|0.0|0.5255|0.5295|0.531|0.5282|0.0|0.0|0.5268|0.5268|0.535|0.534|0.0|0.0|0.5428|0.5428|0.0|0.5428|0.5092|0.5454|0.5257|0.5307|0.5255|0.54|0.5034|0.553|0.5043|0.5521|0.5257|0.5307|0.8|0.357|167355|75975874 68091|JOBY|JOBY|G65163100|KYG651631007|Joby Aviation, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|O|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-6|TXN3-1|TXN2-3|TXN4-4|TXN3-4|696320000|||NotApplicable|||||2020-11-09||||||| | | | | | | | | |||N|0|N|Y|408A|USA|KY|||50|5020|502010|50201010|Industrials|Industrial Goods and Services|Aerospace and Defense|Aerospace|N||N||||||Y|0|Y||Y|2|||6.5|6.5|0.0|6.5|6.5|6.495|6.5|6.495|0.0|0.0|6.5|6.5|6.5|6.49|6.5|6.5|6.5|6.5|6.495|6.5|6.49|6.5|4.96|7.85|6.48|6.5|6.47|6.52|6.46|6.53|6.49|6.5|11.98|3.15|5145795|1350755954 68092|JOBY WS|JOBY.WS|G65163118||Joby Aviation, Inc.|Redeemable Warrants, each whole warrant exercisable for one share of Common Stock at an exercise price of $11.50|Operating company|C|N|N|N|Y|Y|Y|Y|Y|6|O|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN2-1|TXN7-8|TXN3-8|TXN4-2|0|||NotApplicable|||||2020-11-09|2026-08-10|||||| | | | | | | | | |||N|0|N|N|408A||KY|||50|5020|502040|50204000|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Industrial|N||N||||||N|0|Y||N||||0.0|1.12|0.0|0.0|0.0|1.18|1.155|0.0|0.0|0.0|0.0|0.0|1.12|0.0|0.0|1.155|0.0|1.155|0.0|1.155|1.14|1.18|0.0|0.0|1.14|1.25|0.0|0.0|0.0|0.0|1.14|1.25|3.32|0.4|9099|12880522 7224|JOE|JOE|790148100|US7901481009|The St. Joe Company|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN1-6|TXN4-8|TXN2-3|TXN1-4|58370000|||Quarterly|||||1990-03-23||||||| | | | | | | | | |||N|0|N|Y|414A|USA|US|||35|3510|351010|35101010|Real Estate|Real Estate |Real Estate Investment and Services Development|Real Estate Holding and Development |N||N||||||Y|0|Y||Y|2|||52.8|53.86|0.0|53.84|53.85|53.87|53.82|53.81|0.0|0.0|53.87|53.76|53.84|53.29|53.29|53.84|53.1|53.84|52.7|53.84|53.79|53.84|40.46|65.68|53.41|54.25|53.71|53.9|53.79|53.92|53.79|53.84|65.985|35.085|152945|43575711 68192|JOET|JOET|92790A504|US92790A5048|Virtus ETF Trust II|Virtus Terranova U.S. Quality Momentum ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Virtus ETF Advisers |Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-3|TXN3-1|TXN6-7|TXN2-4|TXN3-4|2800004|||Yearly|||||2023-11-28||JOET.NV|JOET.SO|JOET.CA|JOET.TC|JOET.IV| | | | | | | | | ||Track the perfomance of VTUQM|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||0.0|29.38|0.0|0.0|29.42|29.38|29.45|29.22|0.0|0.0|0.0|28.94|29.38|0.0|29.37|0.0|0.0|29.45|29.4|29.45|29.13|29.74|29.34|29.38|29.4|29.45|29.4|29.45|0.0|0.0|29.4|29.45|29.7055|25.89|31031|5750402 7225|JOF|JOF|47109U104|US47109U1043|Japan Smaller Capitalization Fund, Inc.|Common Stock|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN1-7|TXN3-8|TXN2-1|TXN1-4|28330000|||Yearly|||||1990-03-14||||||| | | | | | | | | |||N|0|N|N|406C|JPN|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||0.0|7.35|0.0|0.0|7.27|7.33|7.3|7.3|0.0|0.0|0.0|0.0|7.32|0.0|0.0|7.29|0.0|7.29|7.27|7.29|7.29|7.31|7.28|7.31|7.28|7.32|0.0|0.0|0.0|0.0|7.29|7.31|7.6|6.35|22324|9315934 71165|JOJO|JOJO|886364652|US8863646522|Tidal ETF Trust|ATAC Credit Rotation ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Tidal ETF Services |GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-5|TXN2-1|TXN4-8|TXN3-1|TXN4-4|300000|||Monthly|||||2021-07-16||JOJO.NV|JOJO.SO|JOJO.EU|JOJO.TC| | | | | | | | | | |1x|The ATAC Credit Rotation ETF is an actively managed exchange traded fund (ETF) that seeks to achieve its investment objective by utilizing systematic risk management and rules based strategy to direct its exposure to credit related securities including either high yield bonds or long duration U.S. Treasury securities depending on the performance of the Utilities sector relative to the U.S. large capitalization equity market.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|14.5002|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|14.5|0.0|14.5|0.0|0.0|0.0|0.0|14.5|14.54|0.0|0.0|0.0|0.0|14.5|14.54|15.93|13.5583|1941|449003 2193|JOUT|JOUT|479167108|US4791671088|Johnson Outdoors Inc|CL A COM USD.05||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN6-7|TXN11-2|TXN6-6|TXN5-8|9040000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4020|402030|40203050|Consumer Discretionary|Consumer Products and Services|Leisure Goods|Recreational Products|N||N||||||N|0|Y||||||54.75|54.7|0.0|54.93|0.0|54.8|54.95|54.775|0.0|0.0|0.0|54.95|54.94|0.0|0.0|0.0|0.0|54.95|0.0|54.94|53.8|55.94|0.0|0.0|53.94|55.82|0.0|0.0|54.79|55.49|54.79|54.95|71.88|47.0|21020|8897527 76354|JPAN|JPAN|577130594|US5771305944|Matthews International Funds|Matthews Japan Active ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Matthews Asia|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-6|TXN4-4|TXN4-8|TXN3-8|TXN3-4|40000|||Yearly|||||2023-09-22||JPAN.NV|JPAN.SO|JPAN.EU|JPAN.TC| | | | | | | | | | ||Under normal circumstances, the Matthews Japan Active ETF seeks to achieve its investment objective by investing at least 80% of its net assets, which include borrowings for investment purposes, in the common and preferred stocks of companies located in Japan.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|25.3185|0.0|25.3185|0.0|0.0|0.0|0.0|25.28|25.34|0.0|0.0|0.0|0.0|25.28|25.34|25.6095|22.9118|135|17201 7229|JPC|JPC|67073B106|US67073B1061|Nuveen Preferred & Income Opportunities Fund|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-6|TXN4-8|TXN2-8|TXN1-1|TXN4-3|105060000|||Monthly|||||2003-03-27||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||6.48|6.48|0.0|6.5|6.48|6.48|6.48|6.485|0.0|0.0|6.48|6.48|6.48|6.49|6.48|6.48|6.48|6.48|6.47|6.48|6.48|6.49|5.04|7.97|6.48|6.5|6.46|6.51|6.48|6.5|6.48|6.49|8.13|5.94|1221467|94807679 76072|JPEF|JPEF|46654Q781|US46654Q7815|JPMorgan Equity Focus ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN6-2|TXN10-8|TXN5-3|TXN5-4|5480000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|50.63|0.0|0.0|0.0|50.68|50.68|0.0|0.0|0.0|0.0|0.0|50.72|0.0|0.0|0.0|0.0|50.68|0.0|50.72|50.56|50.76|0.0|0.0|50.65|50.68|0.0|0.0|0.0|0.0|50.65|50.68|50.99|45.269|139748|2344278 49175|JPEM|JPEM|46641Q308|US46641Q3083|J.P. Morgan Exchange-Traded Fund Trust|JPMorgan Diversified Return Emerging Markets Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||J.P. Morgan Investment Management|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN4-5|TXN8-8|TXN3-7|TXN2-5|5600000|||Quarterly|||||2015-01-08||JPEM.NV|JPEM.SO|JPEM.EU|JPEM.TC|JPEM.IV| | | | | | | | | |1x|JPMorgan Diversified Return Emerging Markets Equity ETF is a U.S. registered ETF. The Fund seeks investment results that closely correspond, before fees and expenses, to the performance of the FTSE Emerging Diversified Factor Index (the Underlying Index).|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||50.91|51.34|0.0|0.0|0.0|51.33|51.2301|51.29|0.0|0.0|51.16|0.0|51.14|51.16|0.0|0.0|0.0|51.2615|0.0|51.2615|48.45|54.25|0.0|0.0|51.18|51.29|0.0|0.0|0.0|0.0|51.19|53.72|53.4399|47.37|35022|8624371 40407|JPI|JPI|67075A106|US67075A1060|Nuveen Preferred and Income Term Fund|Common Shares|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN3-7|TXN6-8|TXN2-4|TXN1-8|22760000|||Monthly|||||2012-07-27||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||17.72|17.685|0.0|0.0|17.7|17.69|17.68|17.72|0.0|0.0|17.69|0.0|17.69|17.71|0.0|17.68|17.71|17.68|0.0|17.68|17.68|17.69|13.7|21.71|16.52|18.93|17.64|17.73|17.64|17.74|17.68|17.69|20.75|16.02|74575|12538417 56995|JPIB|JPIB|46641Q852|US46641Q8520|JPMorgan International Bond Opportunities ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-1|TXN1-4|TXN4-8|TXN4-2|TXN1-8|8100000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||46.67|46.67|0.0|0.0|46.68|46.65|46.6386|46.67|0.0|0.0|46.47247|0.0|46.67|46.68|0.0|0.0|0.0|46.67|46.67|46.67|0.0|0.0|0.0|0.0|46.59|46.68|0.0|0.0|0.0|0.0|46.6|46.68|48.11|44.7101|21786|9017004 72207|JPIE|JPIE|46641Q159|US46641Q1590|J.P. Morgan Exchange-Traded Fund Trust|JPMorgan Income ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||J.P. Morgan Investment Management|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-7|TXN3-3|TXN4-8|TXN2-1|TXN4-5|19320000|||Monthly|||||2021-11-02||JPIE.NV|JPIE.SO|JPIE.EU|JPIE.TC|JPIE.IV| | | | | | | | | |1x|The Fund seeks to provide income with a secondary objective of capital appreciation. The Fund seeks to achieve its objective by investing opportunistically among multiple debt markets and sectors that the Funds adviser, J.P. Morgan Investment management Inc. (JPMIM or the adviser) believes have high potential to produce income and have low correlations to each other in order to manage risk. The Fund is flexible and not managed to a benchmark. This allows the Fund to shift its allocations based on changing market conditions, which may results in investing in a single or multiple markets and sectors. Income in the Funds name refers to the Funds strategy of seeking to provide income by investing opportunistically across different markets and sectors. The capital appreciation sought by the Fund generally arises from decreases in interest rates or improving credit fundamentals for a particular sector or security. The Bloomberg Barclays U.S. Aggregate Index is an unmanaged index that represents securities that are SEC-registered, taxable, and dollar denominated. The index covers the U.S. investment grade fixed rate bond market, with index components for government and corporate securities, mortgage pass-through securities, and asset-backed securities.|N|0|N|N|416A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|1|||44.96|44.965|0.0|0.0|44.96|44.965|44.9687|44.965|0.0|0.0|44.92|0.0|44.965|44.979|0.0|44.965|0.0|45.01|44.925|45.01|42.05|48.03|42.05|48.03|44.96|44.98|42.05|48.03|0.0|0.0|44.96|44.98|46.465|43.72|106558|24326427 48731|JPIN|JPIN|46641Q209|US46641Q2093|J.P. Morgan Exchange-Traded Fund Trust|JPMorgan Diversified Return International Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||J.P. Morgan Investment Management|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-6|TXN1-4|TXN7-7|TXN1-4|TXN1-1|7000000|||Quarterly|||||2014-11-07||JPIN.NV|JPIN.SO|JPIN.EU|JPIN.TC|JPIN.IV| | | | | | | | | |1x|JPMorgan Diversified Return International Equity ETF is a U.S. registered ETF. The Fund seeks investment results that closely correspond, before fees and expenses, to the performance of the FTSE Developed ex North America Diversified Factor Index . |N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||0.0|52.92|0.0|0.0|52.83|53.04|52.92|52.795|0.0|0.0|0.0|0.0|52.87|0.0|0.0|0.0|0.0|52.92|0.0|52.92|52.91|52.97|0.0|0.0|52.91|52.97|50.41|55.71|52.89|52.95|52.91|52.97|54.51|48.28|27810|17963021 76067|JPLD|JPLD|46654Q773|US46654Q7732|JPMorgan Limited Duration Bond ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-3|TXN2-2|TXN3-8|TXN3-8|TXN2-6|15433170|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|50.18|0.0|0.0|50.11|50.17|50.1799|50.04081|0.0|0.0|0.0|0.0|50.17|50.18|0.0|0.0|0.0|50.18|50.04081|50.18|0.0|0.0|0.0|0.0|50.12|50.19|0.0|0.0|0.0|0.0|50.12|50.17|50.3218|49.415|20619|3618414 7232|JPM|JPM|46625H100|US46625H1005|JPMorgan Chase & Co.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|11|Q|Virtu Americas LLC|NITC|295|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-2|TXN1-5|TXN1-7|TXN2-4|TXN4-3|2891010000|||Quarterly|||||1969-03-05||||||| | | | | | | | | |||Y|1|Y|Y|402A|USA|US|||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||Y|1|||157.98|157.98|0.0|158.0|157.98|157.97|157.9789|157.97|0.0|0.0|158.01|158.01|157.98|157.99|157.985|157.99|158.01|157.98|157.995|157.99|157.97|157.98|146.25|167.73|157.95|158.0|157.86|158.12|157.88|158.12|157.97|157.98|159.38|123.11|9607465|2521453677 62917|JPM PRC|JPMpC|48128B648|US48128B6487|JPMorgan Chase & Co.|Depositary Shares, each representing a 1/400th interest in a share of 6.00% Non-Cumulative Preferred Stock, Series EE|Operating company|B|N|N|N|Y|Y|Y|Y|Y|11|Q|Virtu Americas LLC|NITC|295|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN2-4|TXN3-8|TXN3-4|TXN3-3|74000000|||Quarterly|||||2019-01-31||||||| | | | | | | | | |||N|0|N|N|402A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||25.07|25.07|0.0|25.07|25.06|25.08|25.08|25.07|0.0|0.0|25.08|25.08|25.08|25.12|25.01|25.07|25.07|25.07|25.07|25.07|25.07|25.11|19.47|30.78|24.57|25.17|19.47|30.78|0.0|0.0|25.07|25.11|25.89|23.87|274832|37602317 61862|JPM PRD|JPMpD|48128B655|US48128B6552|JPMorgan Chase & Co.|Depositary Shares, each representing a 1/400th interest in a share of JPMorgan Chase & Co. 5.75% Non-Cumulative Preferred Stock, Series DD|Operating company|B|N|N|N|Y|Y|Y|Y|Y|11|Q|Virtu Americas LLC|NITC|295|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN3-3|TXN6-8|TXN2-3|TXN1-4|67850000|||Quarterly|||||2018-09-28||||||| | | | | | | | | |||N|0|N|N|402A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||24.25|24.27|0.0|0.0|24.26|24.24|24.24|24.24|0.0|0.0|24.25|0.0|24.26|24.32|24.22|24.27|24.25|24.26|0.0|24.27|24.2|24.27|18.75|29.74|23.72|24.68|18.75|29.74|0.0|0.0|24.22|31.07|25.59|22.83|138448|30883783 65032|JPM PRJ|JPMpJ|48128B622|US48128B6222|JPMorgan Chase & Co.|Depositary Shares, each representing a 1/400th interest in a share of JPMorgan Chase & Co. 4.75% Non-Cumulative Preferred Stock, Series GG|Operating company|B|N|N|N|Y|Y|Y|Y|Y|11|Q|Virtu Americas LLC|NITC|295|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN3-4|TXN5-8|TXN3-4|TXN4-4|36000000|||Quarterly|||||2019-11-14||||||| | | | | | | | | |||N|0|N|N|402A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||20.74|20.8|0.0|0.0|20.8|20.78|20.74|20.8|0.0|0.0|20.75|0.0|20.78|20.74|20.49|20.8|20.73|20.77|0.0|20.8|20.75|20.82|16.06|25.65|20.3|21.15|19.67|21.99|0.0|0.0|19.68|21.98|22.87|19.02|88513|16714587 69874|JPM PRK|JPMpK|48128B580|US48128B5802|JPMorgan Chase & Co.|Depositary Shares, each representing a 1/400th interest in a share of 4.55% Non-Cumulative Preferred Stock, Series JJ|Operating company|B|N|N|N|Y|Y|Y|Y|Y|11|Q|Virtu Americas LLC|NITC|295|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN2-2|TXN8-8|TXN1-5|TXN4-4|60000000|||Quarterly|||||2021-03-23||||||| | | | | | | | | |||N|0|N|N|402A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||20.04|20.045|0.0|0.0|20.04|20.06|20.05|20.055|0.0|0.0|20.05|20.0|20.07|19.96|0.0|20.08|20.045|20.07|20.03|20.08|20.05|20.06|15.55|24.62|19.56|20.42|15.55|24.62|0.0|0.0|20.05|20.06|21.65|18.31|194147|33939156 70717|JPM PRL|JPMpL|48128B549|US48128B5497|JPMorgan Chase & Co.|Depositary Shares, each representing a 1/400th interest in a share of 4.625% Non-Cumulative Preferred Stock, Series LL|Operating company|B|N|N|N|Y|Y|Y|Y|Y|11|Q|Virtu Americas LLC|NITC|295|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN3-3|TXN5-8|TXN1-6|TXN4-5|74000000|||Quarterly|||||2021-05-25||||||| | | | | | | | | |||N|0|N|N|402A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||20.35|20.38|0.0|0.0|20.37|20.39|20.355|20.36|0.0|0.0|20.33|20.47|20.39|20.28|20.3|20.4|20.36|20.39|20.39|20.4|20.31|20.39|15.79|24.97|19.96|20.81|15.79|24.97|0.0|0.0|20.31|20.39|22.44|18.51|232869|37008478 71324|JPM PRM|JPMpM|48128B523|US48128B5232|JPMorgan Chase & Co.|Depositary Shares, each representing a 1/400th interest in a share of 4.20% Non-Cumulative Preferred Stock, Series MM|Operating company|B|N|N|N|Y|Y|Y|Y|Y|11|Q|Virtu Americas LLC|NITC|295|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN2-3|TXN3-8|TXN2-8|TXN2-3|80000000|||Quarterly|||||2021-08-04||||||| | | | | | | | | |||N|0|N|N|402A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||18.75|18.78|0.0|0.0|18.77|18.76|18.7727|18.775|0.0|0.0|18.67|18.78|18.78|18.71|18.74|18.77|18.77|18.76|18.77|18.77|18.77|18.8|14.61|23.15|18.36|18.82|14.61|23.15|0.0|0.0|18.77|18.8|21.82|16.96|154539|40853811 60619|JPMB|JPMB|46641Q746|US46641Q7464|J.P. Morgan Exchange-Traded Fund Trust|JPMorgan USD Emerging Markets Sovereign Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||J.P. Morgan Investment Management|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-8|TXN1-1|TXN6-7|TXN1-2|TXN2-4|17300000|||Monthly|||||2018-01-30||JPMB.NV|JPMB.SO|JPMB.EU|JPMB.TC|JPMB.IV| | | | | | | | | |1x|The Fund seeks investment results that closely correspond, before fees and expenses, to the performance of the J.P. Morgan Emerging Markets Risk-Aware Bond Index Total Return. The Index tracks liquid, US dollar emerging market fixed and floating-rate debt instruments issued by sovereign and quasi sovereign entities. The Index is based on the JPMorgan EMBI Global Diversified Index and uses a rules based filtering and alternative risk weighting three-step process.|N|0|N|N|416A|USA|US|FIXED_INCOME|INDEX|||||||||N||N||||||N|0|Y||Y|2|||38.66|38.66|0.0|0.0|38.66|38.65|38.66|38.66|0.0|0.0|38.66|0.0|38.66|38.66|0.0|38.66|0.0|38.68|0.0|38.68|0.0|0.0|0.0|0.0|38.66|38.68|0.0|0.0|0.0|0.0|38.66|38.68|40.53|35.9215|13179|17562508 53069|JPME|JPME|46641Q886|US46641Q8868|J.P. Morgan Exchange-Traded Fund Trust|JPMorgan Diversified Return U.S. Mid Cap Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||J.P. Morgan Investment Management|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-1|TXN3-3|TXN3-8|TXN1-8|TXN2-5|3900000|||Quarterly|||||2016-05-12||JPME.NV|JPME.SO|JPME.EU|JPME.TC|JPME.IV| | | | | | | | | |1x|JPMorgan Diversified Return US Mid Cap Equity ETF is a U.S. registered ETF. The Fund seeks investment results that closely correspond, before fees and expenses, to the performance of the Russell Midcap Diversified Factor Index . |N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||86.54|0.0|0.0|0.0|85.58|0.0|88.675|88.615|0.0|0.0|0.0|0.0|0.0|0.0|85.95|85.95|0.0|88.6928|0.0|88.6928|70.28|105.62|0.0|0.0|88.58|88.76|88.4|105.62|0.0|0.0|88.58|88.76|91.785|79.21|5517|4495491 76271|JPMO|JPMO|88634T436|US88634T4360|Tidal Trust II|YieldMax JPM Option Income Strategy ETF|Trust|ETS|N|N|P|Y|Y|Y|Y|Y||||||||Tidal ETF Services |Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN3-8|TXN3-8|TXN2-5|TXN3-3|250000|||Monthly|||||2023-09-12||JPMO.NV|JPMO.SO|JPMO.EU|JPMO.TC| | | | | | | | | | |1x|the Fund uses a synthetic covered call strategy to provide income and exposure to the share price returns of JPM, subject to a limit on potential investment gains as a result of the nature of the options strategy it employs.|N|0|N|N|416A|USA|US|HYBRID|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||19.249|19.24|0.0|0.0|0.0|19.29|19.28|19.235|0.0|0.0|19.28|0.0|19.3|19.249|0.0|0.0|0.0|19.287|0.0|19.287|0.0|0.0|0.0|0.0|19.25|19.54|0.0|0.0|0.0|0.0|19.25|19.54|20.64|18.33|26694|661158 74071|JPRE|JPRE|46641Q126|US46641Q1269|J.P. Morgan Exchange-Traded Fund Trust|JPMorgan Realty Income ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||J.P. Morgan Investment Management|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-2|TXN3-7|TXN2-6|TXN3-5|TXN4-6|8022859|||Quarterly|||||2022-05-23||JPRE.NV|JPRE.SO|JPRE.EU|JPRE.TC|JPRE.IV| | | | | | | | | ||The Fund seeks to provide high total investment return through a combination of capital appreciation and current income.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|1|||0.0|43.33|0.0|0.0|0.0|43.23|43.37|43.27|0.0|0.0|43.23|39.59|43.33|0.0|0.0|0.0|0.0|43.4064|0.0|43.4064|43.31|43.51|43.32|43.5|43.4|43.42|43.32|43.51|43.32|43.5|43.4|43.42|47.66|37.075|19539|9387208 54417|JPSE|JPSE|46641Q845|US46641Q8454|J.P. Morgan Exchange-Traded Fund Trust|JPMorgan Diversified Return U.S. Small Cap Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||J.P. Morgan Investment Management|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-5|TXN2-1|TXN7-5|TXN3-4|TXN2-3|10450000|||Quarterly|||||2016-11-15||JPSE.NV|JPSE.SO|JPSE.EU|JPSE.TC|JPSE.IV| | | | | | | | | |1x|JPMorgan Diversified Return US Small Cap Equity ETF is a U.S. registered ETF. The Fund seeks investment results that closely correspond, before fees and expenses, to the performance of the Russell 2000 Diversified Factor Index . |N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||0.0|41.57|0.0|0.0|41.21|40.95|41.4971|41.23|0.0|0.0|0.0|0.0|41.49|0.0|0.0|0.0|0.0|41.57|0.0|41.57|38.81|44.2|38.81|44.2|41.46|41.62|41.38|44.2|0.0|0.0|41.46|41.62|43.6745|36.6884|35979|12714048 58481|JPST|JPST|46641Q837|US46641Q8371|J.P. Morgan Exchange-Traded Fund Trust|JPMorgan Ultra-Short Income ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||J.P. Morgan Investment Management|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-6|TXN2-6|TXN9-8|TXN3-3|TXN3-1|450400000|||Monthly|||||2022-09-15||JPST.NV|JPST.SO|JPST.EU|JPST.TC|JPST.IV| | | | | | | | | ||Invests mainly in investment-grade, US dollar-denominated fixed, variable and floating-rate debt. Employs a single, globally integrated credit process centered on research-driven sector allocation. Seeks to maintain a duration of one year or less under most market conditions.|N|0|N|N|416A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||Y|0|Y||Y|1|||50.16|50.17|0.0|0.0|50.17|50.17|50.17|50.165|0.0|50.16|50.165|50.165|50.165|50.165|50.17|50.165|50.17|50.16|50.16|50.16|50.15|50.17|50.12|50.21|50.16|50.17|50.12|50.21|50.12|50.21|50.16|50.17|50.4|49.93|6453237|1067413687 75401|JPSV|JPSV|46654Q708|US46654Q7088|J.P. Morgan Exchange-Traded Fund Trust|JPMorgan Active Small Cap Value ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||J.P. Morgan Investment Management|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-4|TXN2-3|TXN7-8|TXN4-8|TXN3-4|220000|||Yearly|||||2023-03-08||JPSV.IV|JPSV.SO|JPSV.EU|JPSV.TC|JPSV.IV| | | | | | | | | ||The Fund seeks to provide long-term capital appreciation. Under normal circumstances, the Fund invests at least 80% of its assets in equity securities of small cap companies. Small cap companies are companies with market capitalizations equal to those within the universe of the Russell 2000 Value Index stocks at the time of purchase.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|51.2|46.7199|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|51.6982|0.0|51.6982|0.0|0.0|0.0|0.0|51.66|51.72|48.35|53.94|0.0|0.0|51.66|51.71|52.0398|45.4505|69|71953 51428|JPUS|JPUS|46641Q407|US46641Q4073|J.P. Morgan Exchange-Traded Fund Trust|JPMorgan Diversified Return U.S. Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||J.P. Morgan Investment Management|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-6|TXN4-8|TXN4-4|TXN4-1|TXN1-5|4425000|||Quarterly|||||2015-09-30||JPUS.NV|JPUS.SO|JPUS.EU|JPUS.TC|JPUS.IV| | | | | | | | | |1x|JPMorgan Diversified Return US Equity ETF is a U.S. registered ETF. The Fund seeks investment results that closely correspond, before fees and expenses, to the performance of the Russell 1000 Diversified Factor Index . |N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||98.58|97.45|0.0|0.0|99.57|97.63|99.5443|0.0|0.0|0.0|0.0|0.0|99.58|0.0|94.47|0.0|0.0|99.57|99.57|99.57|99.44|99.52|99.44|99.76|99.57|99.65|99.43|99.68|99.5|99.76|99.57|99.65|101.2899|89.59|60999|3047706 7118|JPXN|JPXN|464287382|US4642873826|iShares Trust|iShares JPX-Nikkei 400 ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-6|TXN1-3|TXN9-8|TXN1-6|TXN4-8|1200000|||BiAnnually|||||2007-12-06||JPXN.NV|JPXN.SO|JPXN.EU|JPXN.TC|JPXN.IV| | | | | | | | | |1x|The iShares JPX-Nikkei 400 ETF tracks a market-capitalization-weighted index of Japanese companies selected by fundamental and qualitative attributes.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|66.3|0.0|0.0|0.0|67.0|66.2465|66.27|0.0|0.0|0.0|0.0|66.25|0.0|0.0|0.0|0.0|66.2|0.0|66.2|52.9|79.59|0.0|0.0|66.18|66.31|52.9|79.59|0.0|0.0|66.18|66.31|68.3755|56.99|14958|4294845 7245|JQC|JQC|67073D102|US67073D1028|Nuveen Credit Strategies Income Fund|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN3-4|TXN9-8|TXN3-3|TXN1-8|135610000|||Monthly|||||2003-06-26||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||5.07|5.06|0.0|5.06|5.07|5.065|5.06|5.06|0.0|0.0|5.06|5.06|5.065|5.06|5.07|5.07|5.065|5.06|5.07|5.07|5.06|5.07|3.94|6.25|5.06|5.37|5.03|5.1|5.06|5.07|5.06|5.07|5.49|4.82|937618|116590044 60059|JQUA|JQUA|46641Q761|US46641Q7613|J.P. Morgan Exchange-Traded Fund Trust|JPMorgan U.S. Quality Factor ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||J.P. Morgan Investment Management|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-4|TXN3-1|TXN9-8|TXN2-5|TXN4-5|63850000|||Quarterly|||||2017-11-09||JQUA.NV|JQUA.SO|JQUA.EU|JQUA.TC|JQUA.IV| | | | | | | | | |1x|The Fund seeks investment results that closely correspond, before fees and expenses, to the performance of the J.P. Morgan U.S. Quality Factor Index|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|1|||45.99|46.05|0.0|0.0|45.99|46.05|46.04|46.06|0.0|0.0|46.05|0.0|46.04|46.059|46.03|46.05|46.13|46.06|0.0|46.06|46.03|46.14|43.22|49.19|46.03|46.06|45.97|49.19|45.89|46.15|46.03|46.06|46.17|38.1114|608269|82157080 70939|JRE|JRE|47103U829|US47103U8291|Janus Detroit Street Trust|Janus Henderson U.S. Real Estate ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Janus Henderson|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-5|TXN3-2|TXN8-7|TXN1-3|TXN3-4|275001|||Quarterly|||||2021-06-23||JRE.NV|JRE.SO|JRE.EU|JRE.TC|JRE.IV| | | | | | | | | |1x|An actively managed equity Portfolio that seeks compelling outperformance by investing in REITs and real estate related businesses. Our emphasis on local property market knowledge combined with a repeatable, disciplined investment process seeks to provide defensive growth, diversification relative to broad equities and fixed income, and dividends for investors.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|21.82|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|22.0|0.0|22.0|20.35|23.42|21.93|21.97|21.97|22.03|20.35|23.42|0.0|0.0|21.97|22.03|24.4289|18.89|867|243485 39937|JRI|JRI|67074Y105|US67074Y1055|Nuveen Real Asset Income and Growth Fund|Common Shares|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN3-3|TXN4-8|TXN1-1|TXN3-3|27450000|||Monthly|||||2012-04-26||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||11.33|11.33|0.0|0.0|11.33|11.32|11.32|11.325|0.0|0.0|11.31|11.32|11.33|0.0|11.32|11.32|11.33|11.32|11.33|11.32|11.32|11.33|8.75|13.9|10.54|12.13|11.29|11.36|0.0|0.0|11.32|11.33|13.21|9.7|67038|16902920 71575|JRNY|JRNY|00162Q429|US00162Q4293|ALPS ETF Trust|ALPS Global Travel Beneficiaries ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ALPS|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-1|TXN1-6|TXN3-8|TXN2-6|TXN2-5|275002|||Yearly|||||2021-09-09||JRNY.NV|JRNY.SO|JRNY.EU|JRNY.TC|JRNY.IV| | | | | | | | | |1x|In seeking to achieve its objective, the Fund will invest primarily in common stocks of U.S. companies that Hillman Capital Management, Inc., the Funds sub-adviser (HCM or the Sub-Adviser), believes have competitive advantages, as described below, and have temporarily fallen out of favor for reasons that are considered non-recurring or short-term; whose value is not currently well known; or whose value is not fully recognized by the public. HCM maintains a proprietary Qualified Investment Universe (QIU) consisting of companies that possess certain qualitative characteristics, provided that a companys market capitalization exceeds $3 billion at the Sub-Advisers estimation of fair market value.|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|22.7251|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|22.6553|0.0|22.6553|0.0|0.0|0.0|0.0|22.61|22.7|0.0|0.0|0.0|0.0|22.61|22.7|24.6602|19.5928|785|260810 7250|JRS|JRS|67071B108|US67071B1089|Nuveen Real Estate Income Fund|Common shares of beneficial interest, par value $0.01 per share|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|11|Q|Virtu Americas LLC|NITC|295|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN1-2|TXN1-5|TXN1-8|TXN2-2|28890000|||Quarterly|||||2016-08-26||||||| | | | | | | | | |||N|0|N|N|406B|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||7.38|7.39|0.0|0.0|7.39|7.38|7.4|7.38|0.0|0.0|7.38|7.39|7.395|7.042|0.0|7.4|7.38|7.405|7.36|7.4|7.4|7.41|5.67|8.97|7.38|7.87|7.37|7.44|7.39|7.42|7.4|7.41|9.0813|5.95|114533|19115718 60957|JRSH|JRSH|47632P101|US47632P1012|Jerash Holdings (US) Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN5-6|TXN10-5|TXN6-5|TXN6-1|12300000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4020|402040|40204020|Consumer Discretionary|Consumer Products and Services|Personal Goods|Clothing and Accessories|N||N||||||N|0|Y||||||2.86|2.83|0.0|0.0|0.0|2.84|2.8635|2.87|0.0|0.0|2.87|2.87|2.84|0.0|0.0|0.0|2.84|2.8635|0.0|2.8635|2.72|3.0|0.0|0.0|2.7|3.01|0.0|0.0|0.0|0.0|2.84|2.87|4.97|2.77|30093|3309558 49096|JRVR|JRVR|G5005R107|BMG5005R1079|James River Group Holdings Ltd|COM USD0.0002||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN5-6|TXN11-5|TXN5-3|TXN6-3|37640000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||BMU||||30|3030|303020|30302025|Financials|Insurance|Non-life Insurance|Property and Casualty Insurance|N||N||||||Y|0|Y||||||9.35|9.38|0.0|9.38|9.36|9.355|9.38|9.38|0.0|0.0|9.37|9.35|9.38|9.38|9.36|9.375|9.36|9.39|9.38|9.38|9.27|9.45|7.34|11.46|9.29|9.45|9.36|9.41|9.36|9.41|9.38|9.39|24.92|8.15|1441075|53193127 69426|JSCP|JSCP|46641Q274|US46641Q2747|J.P. Morgan Exchange-Traded Fund Trust|JPMorgan Short Duration Core Plus ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||J.P. Morgan Investment Management|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-6|TXN2-7|TXN1-5|TXN4-6|TXN1-1|6320000|||Monthly|||||2021-03-02||JSCP.NV|JSCP.SO|JSCP.EU|JSCP.TC|JSCP.IV| | | | | | | | | |1x|Designed to deliver total return, consistent with preservation of capital, by investing in investment grade and non-investment grade short-term fixed income securities.|N|0|N|N|416A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||45.92|45.91|0.0|0.0|45.92|45.915|45.915|45.915|0.0|0.0|45.92|0.0|45.915|45.92|0.0|0.0|0.0|45.91|45.915|45.91|0.0|0.0|0.0|0.0|45.91|45.92|0.0|0.0|0.0|0.0|45.87|45.92|46.65|44.83|25546|9822712 76609|JSI|JSI|47103U746|US47103U7467|Janus Detroit Street Trust|Janus Henderson Securitized Income ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Janus Henderson|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-7|TXN1-8|TXN6-8|TXN4-6|TXN3-4|1050000|||Monthly|||||2023-11-09||JSI.NV|JSI.SO|JSI.EU|JSI.TC| | | | | | | | | | ||Active Fixed Income ETF that pursues its investment objective by investing, under normal circumstances, at least 80% of its net assets (plus borrowings for investment purposes) in securitized securities. Securitized securities are debt securities that entitle their holders to payments that depend primarily on the assets underlying the securities, and include, but are not limited to, asset-backed securities, collateralized loan obligations, agency and non-agency mortgage-backed securities, and collateralized mortgage obligations.|N|0|N|N|416A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||50.71|50.64|0.0|0.0|50.71|50.71|50.6201|0.0|0.0|0.0|0.0|0.0|50.73|50.75|0.0|0.0|0.0|50.6774|0.0|50.6774|39.04|62.34|39.04|62.34|50.64|50.74|39.04|62.34|0.0|0.0|39.04|50.71|50.7587|49.96|6625|372767 7253|JSM|JSM|63938C405|US63938C4050|Navient Corporation|SR NT 2043||U|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN6-2|TXN11-5|TXN6-7|TXN5-7|12000000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|19.28|19.29|0.0|0.0|0.0|0.0|19.34|19.36|0.0|19.21|19.26|19.28|0.0|19.28|0.0|0.0|0.0|0.0|18.84|19.76|0.0|0.0|0.0|0.0|19.22|19.37|21.83|16.0617|15206|3747872 52541|JSMD|JSMD|47103U209|US47103U2096|Janus Henderson Small/Mid Cap Growth Alpha ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN6-7|TXN11-7|TXN5-2|TXN5-7|4680000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||60.76|60.85|0.0|0.0|61.0|60.935|61.16|0.0|0.0|0.0|0.0|60.85|61.16|60.87|0.0|0.0|0.0|61.16|0.0|61.16|60.36|61.6|0.0|0.0|60.53|61.6|56.46|64.99|0.0|0.0|60.98|61.16|65.75|51.02|76383|5311342 52542|JSML|JSML|47103U100|US47103U1007|Janus Henderson Small Cap Growth Alpha ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN6-6|TXN12-6|TXN5-5|TXN5-6|3050000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||54.3|0.0|0.0|0.0|54.3|54.4|54.5184|0.0|0.0|0.0|0.0|0.0|54.57|54.3|0.0|0.0|0.0|54.52|0.0|54.57|53.91|55.06|42.01|66.44|54.01|54.98|50.63|58.18|0.0|0.0|54.45|54.57|60.12|44.555|9146|4587550 65354|JSPR|JSPR|471871103|US4718711033|Jasper Therapeutics 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120126||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-1|TXN6-3|TXN11-6|TXN6-7|TXN6-1|110850000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.07|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.04|0.0|0.0|0.0|0.0|0.0|0.0501|0.07|0.2534|0.016|915|8125194 68427|JSTC|JSTC|886364876|US8863648767|Tidal ETF Trust|Adasina Social Justice All Cap Global ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Tidal ETF Services |GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-4|TXN3-8|TXN5-8|TXN1-3|TXN1-4|9000000|||BiAnnually|||||2020-12-10||JSTC.NV|JSTC.SO|JSTC.EU|JSTC.TC| | | | | | | | | | ||The Fund is an actively-managed exchange-traded fund (ETF) that seeks to achieve its investment objective by investing the Funds assets in a portfolio of global companies whose business practices are aligned with the social justice investment criteria of Robasciotti & Associates, Inc., doing business as Adasina Social Capital (Adasina or the Sub-Adviser).|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||Y|0|Y||Y|2|||0.0|16.35|0.0|0.0|0.0|0.0|16.3523|0.0|0.0|0.0|0.0|0.0|16.35|0.0|0.0|0.0|0.0|16.3386|0.0|16.3386|0.0|0.0|0.0|0.0|16.31|16.35|0.0|0.0|0.0|0.0|16.31|16.35|16.61|14.53|25429|4703214 60121|JT|JT|47738D309|US47738D3098|Jianpu Technology Inc.|American Depositary Shares, each representing twenty Class A Ordinary Shares|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN6-8|TXN2-5|TXN8-8|TXN3-6|TXN2-7|327980000|||NotApplicable|||||2017-11-16||||||| | | | | | | | | |||N|0|N|Y|180B|CHN|KY|||10|1010|101010|10101020|Technology|Technology|Software and Computer Services|Consumer Digital Services |N||N||||||N|2|Y||Y|2|||0.98|1.0|0.0|0.0|0.98|0.9849|0.984902|0.0|0.0|0.0|0.985|0.99|0.985|0.0|0.0|0.9801|0.0|0.9801|0.0|0.9801|0.95|0.9801|0.0|0.0|0.8988|1.03|0.8988|1.03|0.0|0.0|0.95|0.9801|2.16|0.741829|17899|6454962 71903|JTAI|JTAI|47714H100|US47714H1005|Jet.AI Inc|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN5-2|TXN11-6|TXN6-8|TXN6-5|9020000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y|C|||||0.0|1.74|0.0|0.0|1.5|1.53|1.48|1.5|0.0|0.0|1.56|1.65|1.57|1.51|0.0|0.0|0.0|1.48|0.0|1.48|1.16|1.92|1.16|1.92|1.36|1.69|1.16|1.92|0.0|0.0|1.45|1.6|9.732|1.0201|45643|11922813 71904|JTAIW|JTAIW|47714H118|US47714H1187|Jet.AI Inc|WT EXP 080426||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-6|TXN6-8|TXN10-6|TXN5-4|TXN6-8|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y|D|||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.03|0.0|0.0|0.0|0.0|0.0195|0.0268|0.0734|0.01|0|5180977 76138|JTAIZ|JTAIZ|47714H126|US47714H1260|Jet.AI Inc|WT EXP 072628||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-7|TXN6-2|TXN12-5|TXN6-4|TXN5-4|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.338|0.0|0.0|0.0|0.0|0.36|0.0|0.33|0.0|0.0|0.0|0.0|0.36|0.0|0.36|0.0|0.0|0.0|0.0|0.0|0.7|0.0|0.0|0.0|0.0|0.33|0.35|3.28|0.25329|897|173590 76441|JTEK|JTEK|46654Q732|US46654Q7328|JPMorgan U.S. Tech Leaders ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN5-3|TXN11-2|TXN5-2|TXN5-4|2080000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|55.26|0.0|0.0|0.0|55.25|0.0|55.24|0.0|0.0|0.0|0.0|55.26|0.0|55.24|0.0|0.0|0.0|0.0|55.19|55.24|0.0|0.0|0.0|0.0|55.19|55.24|55.89|46.5739|4335|2001259 74826|JUCY|JUCY|26922B642|US26922B6424|Aptus Enhanced Yield ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-7|TXN4-4|TXN3-8|TXN2-8|TXN4-6|17680000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||23.92|23.91|0.0|0.0|0.0|23.935|23.93|23.935|0.0|0.0|23.93|0.0|23.93|0.0|23.96|23.92|23.93|23.91|0.0|23.91|23.91|23.94|23.93|23.94|23.8|24.1|0.0|0.0|0.0|0.0|23.91|23.98|25.47|23.88|50502|24840531 75971|JULD|JULD|45783Y574|US45783Y5740|Innovator Premium Income 10 Barrier ETF - July|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-5|TXN1-8|TXN3-8|TXN1-2|TXN3-3|200000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|25.25|0.0|0.0|0.0|0.0|25.1897|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|25.25|0.0|25.25|0.0|0.0|0.0|0.0|25.21|25.29|25.16|25.32|25.18|25.27|25.23|25.27|25.2676|23.9605|326|358927 75972|JULH|JULH|45783Y582|US45783Y5823|Innovator Premium Income 20 Barrier ETF - July|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-7|TXN2-7|TXN3-8|TXN1-7|TXN4-5|1030000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|25.255|0.0|0.0|0.0|0.0|25.24|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|25.24|25.22|25.255|0.0|25.255|25.23|25.27|25.22|25.25|25.21|25.3|25.17|25.33|25.19|25.31|25.24|25.27|25.2601|24.32|623|1622514 75973|JULJ|JULJ|45783Y566|US45783Y5666|Innovator Premium Income 30 Barrier ETF - July|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-5|TXN3-5|TXN6-8|TXN4-4|TXN2-8|1080000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|25.21|0.0|0.0|0.0|0.0|25.2027|0.0|0.0|0.0|25.21|0.0|0.0|0.0|0.0|0.0|25.21|25.21|0.0|25.21|0.0|0.0|25.18|25.21|25.17|25.24|25.13|25.25|25.1|25.29|25.19|25.21|25.23|24.62|2715|2074271 75974|JULQ|JULQ|45783Y558|US45783Y5583|Innovator Premium Income 40 Barrier ETF - July|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-7|TXN1-6|TXN5-8|TXN3-3|TXN3-5|350000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|25.14|0.0|0.0|0.0|0.0|25.0705|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|25.14|0.0|25.14|0.0|0.0|0.0|0.0|25.09|25.19|25.02|25.22|25.05|25.22|25.12|25.16|25.14|24.68|45|492665 66878|JULT|JULT|00888H307|US00888H3075|AIM ETF Products Trust|AllianzIM U.S. Large Cap Buffer10 Jul ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Allianz Investment Management|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-5|TXN2-5|TXN1-5|TXN3-2|TXN1-3|2975000|||Adhoc|||||2020-07-01||AZAL.NV|AZAL.SO|AZAL.EU|AZAL.TC|AZAL.IV| | | | | | | | | ||Designed to allow investors to participate in the growth potential of the S&P 500 up to a stated cap, with an explicit 10% downside buffer. |N|0|N|N|408A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||32.39|0.0|0.0|0.0|0.0|0.0|32.4401|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|32.4619|0.0|32.4619|0.0|0.0|32.38|32.47|32.43|32.48|32.37|32.54|32.37|32.49|32.43|32.53|32.64|27.295|6561|4678722 66879|JULW|JULW|00888H406|US00888H4065|AIM ETF Products Trust|AllianzIM U.S. Large Cap Buffer20 Jul ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Allianz Investment Management|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-7|TXN3-7|TXN2-8|TXN3-7|TXN4-1|7525000|||Adhoc|||||2020-07-01||AZBL.NV|AZBL.SO|AZBL.EU|AZBL.TC|AZBL.IV| | | | | | | | | ||Designed to allow investors to participate in the growth potential of the S&P 500 up to a stated cap, with an explicit 20% downside buffer|N|0|N|N|408A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||30.53|30.57|0.0|0.0|0.0|0.0|30.465|30.47|0.0|0.0|0.0|0.0|0.0|30.46|0.0|0.0|0.0|30.57|0.0|30.57|0.0|0.0|30.44|30.53|30.44|30.54|30.45|30.61|30.45|30.61|30.43|30.54|30.65|26.61|18577|7843277 66884|JULZ|JULZ|53656F664|US53656F6640|Trueshares Structured Outcome ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-4|TXN4-2|TXN4-8|TXN1-3|TXN3-4|490000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|36.3385|0.0|0.0|0.0|0.0|36.2607|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|36.3385|0.0|36.3385|36.28|36.36|36.25|36.33|36.3|36.37|0.0|0.0|0.0|0.0|36.3|36.37|36.4705|31.538|429|455735 75806|JUNT|JUNT|00888H745|US00888H7456|AIM ETF Products Trust|AllianzIM U.S. Large Cap Buffer10 Jun ETF|Trust|ETS|N|N|P|Y|Y|Y|Y|Y||||||||Allianz Investment Management|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-6|TXN3-6|TXN5-8|TXN3-1|TXN3-8|1200000|||Adhoc|||||2023-06-01||JUNT.NV|JUNT.SO|JUNT.EU|JUNT.TC|JUNT.IV| | | | | | | | | |1x|Designed to allow investors to participate in the growth potential of the SPDR S&P 500 ETF Trust up to a stated cap, with an explicit 10% downside buffer.|N|0|N|N|408A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|26.98|27.05|26.99|0.0|0.0|0.0|0.0|26.98|0.0|0.0|0.0|27.01|27.05|27.02|27.05|0.0|0.0|26.95|27.02|26.95|27.08|26.95|27.08|26.95|27.08|26.97|27.08|27.15|24.86|5600|1659131 75807|JUNW|JUNW|00888H737|US00888H7373|AIM ETF Products Trust|AllianzIM U.S. Large Cap Buffer20 Jun ETF|Trust|ETS|N|N|P|Y|Y|Y|Y|Y||||||||Allianz Investment Management|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN2-3|TXN1-5|TXN3-5|TXN2-4|2725000|||Adhoc|||||2023-06-01||JUNW.NV|JUNW.SO|JUNW.EU|JUNW.TC|JUNW.IV| | | | | | | | | |1x|Designed to allow investors to participate in the growth potential of the SPDR S&P 500 ETF Trust up to a stated cap, with an explicit 10% downside buffer.|N|0|N|N|408A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|1|||0.0|0.0|0.0|0.0|26.5|0.0|26.58|26.57|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|26.535|0.0|26.535|0.0|0.0|26.49|26.55|26.47|26.59|26.5|26.58|26.5|26.58|26.47|26.57|26.61|25.0121|4295|3914182 70762|JUNZ|JUNZ|53656F771|US53656F7713|Trueshares Structured Outcomee (June) ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN4-5|TXN1-5|TXN2-8|TXN3-4|130000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|26.8538|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|26.8538|0.0|26.8538|26.81|26.87|26.79|26.87|26.83|26.92|0.0|0.0|0.0|0.0|26.69|26.92|26.9656|23.58|0|888057 61113|JUST|JUST|381430396|US3814303968|Goldman Sachs ETF Trust|Goldman Sachs JUST U.S. Large Cap Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Goldman Sachs Asset Management|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-5|TXN1-2|TXN5-6|TXN4-3|TXN1-2|4575000|||Quarterly|||||2018-06-13||JUST.NV|JUST.SO|JUST.EU|JUST.TC|JUST.IV| | | | | | | | | |1x|The Goldman Sachs JUST U.S. Large Cap Equity ETF (the Fund) seeks to provide investment results that closely correspond, before fees and expenses, to the performance of the JUST US Large Cap Diversified Index (the Index). The JULCD index includes the top 50% of Russell 1000 companies ranked by JUST Capital by industry and is constructed to match the Russell 1000s industry weights. The index generally tracks the Russell 1000s broad market exposure -making it suitable for a core US equity allocation- while including only the companies that rank well on the issues that matter most to the American public.|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|65.2413|65.045|0.0|0.0|0.0|0.0|65.4|0.0|0.0|0.0|0.0|65.4524|0.0|65.4524|65.4|65.53|0.0|0.0|65.37|65.51|65.3|65.51|0.0|0.0|65.37|65.51|65.8789|54.5274|1531|2290764 7260|JVA|JVA|192176105|US1921761052|Coffee Holding Co Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-5|TXN5-4|TXN13-6|TXN5-7|TXN6-2|5710000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||45|4510|451020|45102020|Consumer Staples |Food, Beverage and Tobacco |Food Producers|Food Products|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.8102|0.8349|0.82|0.0|0.0|0.82|0.0|0.8249|0.0|0.0|0.0|0.0|0.8349|0.0|0.8349|0.632|1.02|0.632|1.02|0.7701|0.8904|0.632|0.839|0.0|0.0|0.8249|0.8349|2.78|0.67|28611|5654629 60060|JVAL|JVAL|46641Q753|US46641Q7530|J.P. Morgan Exchange-Traded Fund Trust|JPMorgan U.S. Value Factor ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||J.P. Morgan Investment Management|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-3|TXN1-6|TXN5-3|TXN3-7|TXN1-8|21000000|||Quarterly|||||2017-11-09||JVAL.NV|JVAL.SO|JVAL.EU|JVAL.TC|JVAL.IV| | | | | | | | | |1x|The Fund seeks investment results that closely correspond, before fees and expenses, to the performance of the J.P. Morgan U.S. Value Factor Index|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|1|||36.78|36.67|0.0|0.0|36.78|36.77|36.7798|36.69|0.0|0.0|36.67|0.0|36.77|36.78|36.7|36.67|36.77|36.78|0.0|36.78|36.69|36.84|34.44|39.19|36.75|36.77|36.69|36.83|36.69|36.83|36.75|36.77|37.4299|32.15|124514|42294563 69748|JWEL|JWEL|G5194C119|KYG5194C1197|Jowell Global Ltd|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN6-1|TXN13-2|TXN5-7|TXN6-6|2140000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||45|4520|452010|45201040|Consumer Staples |Personal Care, Drug and Grocery Stores |Personal Care, Drug and Grocery Stores |Miscellaneous Consumer Staple Goods|N||N||||||N|0|Y||||||2.67|2.89|0.0|0.0|2.66|2.7|2.899|2.89|0.0|0.0|0.0|2.67|2.92|2.88|0.0|0.0|0.0|2.92|0.0|2.92|2.26|3.36|2.1|3.55|2.55|3.09|2.26|3.36|0.0|0.0|2.74|2.92|3.8968|0.17|13748|134278273 7265|JWN|JWN|655664100|US6556641008|Nordstrom, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|C|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-7|TXN1-6|TXN8-2|TXN4-5|TXN4-4|161680000|||Quarterly|||||1999-06-10||||||| | | | | | | | | |||N|0|Y|Y|148B|USA|US|||40|4040|404010|40401020|Consumer Discretionary|Retail |Retailers |Apparel Retailers|N||N||||||Y|0|Y||Y|1|||16.32|16.34|0.0|16.31|16.34|16.34|16.34|16.345|0.0|0.0|16.33|16.35|16.33|16.35|16.305|16.33|16.34|16.32|16.34|16.33|16.32|16.33|16.14|17.34|16.32|16.36|16.31|16.38|16.31|16.38|16.32|16.33|27.15|12.88|8078004|1238464977 69962|JWSM|JWSM|G50737108|KYG507371089|Jaws Mustang Acquisition Corp.|Class A Ordinary Shares|Special purpose acquisition company|A|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-7|TXN3-8|TXN5-8|TXN1-5|TXN3-3|2100000|||NotApplicable|||||2023-03-14||||||| | | | | | | | | |||N|0|N|N|180B|USA|KY|||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.78|10.85|10.81|10.85|10.15|10.85|0.0|0.0|0.0|0.0|10.81|10.85|10.87|9.965|0|15487750 69963|JWSM WS|JWSM.WS|G50737124|KYG507371246|Jaws Mustang Acquisition Corp.|Redeemable Warrants, each whole warrant exercisable for one Class A ordinary share at an exercise price of $11.50|Special purpose acquisition company|C|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN11-7|TXN1-4|TXN5-8|TXN4-7|TXN3-2|27980000|||NotApplicable|||||2023-03-14||||||| | | | | | | | | |||N|0|N|N|180B|USA|KY|||||||||||N||N||||||N|0|Y|C|N||||0.0106|0.0|0.0|0.0|0.0|0.011|0.01|0.0106|0.0|0.0|0.01|0.0106|0.0169|0.0|0.0|0.0111|0.0169|0.0169|0.0|0.0169|0.0|0.0|0.0091|0.017|0.0091|0.0325|0.0|0.0|0.0|0.0|0.0091|0.017|0.235|0.01|153695|6910632 68992|JWSM U|JWSM.U|G50737116|KYG507371162|Jaws Mustang Acquisition Corp.|Units, each consisting of one Class A ordinary share and one-fourth of one redeemable warrant|Special purpose acquisition company|R|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-3|TXN4-5|TXN6-8|TXN2-7|TXN3-3|0|||NotApplicable|||||2023-03-14||||||| | | | | | | | | |||N|0|N|N|180B|USA|KY|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.83|13.2|10.8|11.0|10.11|11.0|8.67|13.2|0.0|0.0|10.8|11.0|10.85|9.9998|0|626680 17180|JXI|JXI|464288711|US4642887115|iShares Trust|iShares Global Utilities ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-5|TXN1-5|TXN1-8|TXN4-2|TXN2-1|2200000|||BiAnnually|||||2007-12-06||JXI.NV|JXI.SO|JXI.EU|JXI.TC|JXI.IV| | | | | | | | | |1x|The iShares S&P Global Utilities Index Fund seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the S&P Global Utilities Index. THE UNDERLYING INDEX MEASURES THE PERFORMANCE OF COMPANIES THAT S&P DEEMS TO BE PART OF THE UTILITIES SECTOR OF THE ECONOMY AND THAT S&P BELIEVES ARE IMPORTANT TO GLOBAL MARKETS. IT IS A SUBSET OF THE S&P GLOBAL 1200 INDEX. COMPONENT COMPANIES INCLUDE PROVIDERS OF ELECTRIC, GAS OR WATER UTILITIES, OR COMPANIES THAT OPERATE AS INDEPENDENT PRODUCERS ANDOR DISTRIBUTORS OF POWER. 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LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-6|TXN2-8|TXN2-8|TXN2-7|TXN4-8|20000|||Yearly|||||2022-09-13||KARB.NV|KARB.SO|KARB.EU|KARB.TC| | | | | | | | | | ||The Carbon Strategy ETF (the Fund) seeks capital appreciation. The Fund invests in carbon credit futures contracts, which are commodity futures contracts linked to the value of emission allowances (Carbon Futures)|N|0|N|N|416A|USA|US|COMMODITIES_AND_FUTURES|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|33.8655|0.0|33.8655|33.58|34.16|33.58|34.16|33.74|34.03|33.58|34.17|33.58|34.16|33.74|34.03|39.02|31.3164|156|46371 70087|KARO|KARO|Y4600W108|SGXZ19450089|Karooooo Ltd|ORD SHS||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN6-8|TXN10-5|TXN5-3|TXN5-1|30950000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||SGP||||10|1010|101010|10101010|Technology|Technology|Software and Computer Services|Computer Services|N||N||||||N|0|Y||||||0.0|24.7|0.0|0.0|0.0|0.0|24.72|0.0|0.0|0.0|0.0|0.0|24.94|0.0|0.0|0.0|0.0|24.72|0.0|24.72|0.0|0.0|0.0|0.0|23.05|26.63|0.0|0.0|0.0|0.0|24.65|25.2|29.99|18.59|4978|3032624 60427|KARS|KARS|500767827|US5007678270|KraneShares Trust|KraneShares Electric Vehicles and Future Mobility Index ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Krane Funds Advisors|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-8|TXN4-2|TXN7-8|TXN2-4|TXN2-2|5700002|||Yearly|||||2018-01-19||KARS.NV|KARS.SO|KARS.EU|KARS.TC|KARS.IV| | | | | | | | | |1x|KARS is designed to track the equity market performance of companies that are involved in building or developing electric vehicles or future mobility mechanisms.|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||24.26|24.26|0.0|0.0|24.26|24.28|24.25|24.27|0.0|0.0|24.25|24.5|24.26|24.26|0.0|24.25|25.55|24.3|0.0|24.3|0.0|0.0|23.96|24.73|24.25|24.37|23.96|24.73|23.96|24.73|24.25|24.37|34.99|23.46|40758|7322552 36034|KAVL|KAVL|483104204|US4831042043|Kaival Brands Innovations Group Inc|COM USD0.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-6|TXN6-4|TXN13-2|TXN5-1|TXN5-8|58660000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||45|4510|451030|45103010|Consumer Staples |Food, Beverage and Tobacco |Tobacco|Tobacco|N||N||||||N|0|Y|C|||||0.2519|0.229|0.0|0.0|0.2475|0.2525|0.2519|0.235|0.0|0.0|0.245|0.0|0.2569|0.2275|0.0|0.0|0.0|0.2569|0.0|0.2569|0.1976|0.294|0.1976|0.3118|0.2299|0.2568|0.1976|0.294|0.0|0.0|0.2352|0.2568|1.1|0.173|262230|27421357 7289|KB|KB|48241A105|US48241A1051|KB Financial Group Inc.|American Depositary Shares (Each respresenting one Common Share)|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN3-1|TXN9-8|TXN4-7|TXN1-6|403510000|||Yearly|||||2008-09-29||||||| | | | | | | | | |||N|0|N|Y|402A|KOR|KR|||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||Y|2|||39.36|39.34|0.0|39.26|39.33|39.35|39.36|39.355|0.0|0.0|39.365|40.22|39.34|39.34|39.73|39.34|39.38|39.36|40.33|39.34|39.32|39.34|30.62|48.47|39.17|39.39|39.31|39.38|39.31|39.53|39.32|39.34|48.28|35.1952|209603|47904064 43661|KBA|KBA|500767405|US5007674055|KraneShares Trust|KraneShares Bosera MSCI China A 50 Connect Index ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Krane Funds Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-6|TXN2-3|TXN7-6|TXN2-6|TXN1-8|14050000|||Yearly|||||2014-03-05||KBA.NV|KBA.SO|KBA.EU|KBA.TC|KBA.IV| | | | | | | | | |1x|KraneShares Bosera MSCI China A is an exchange-traded fund incorporated in the USA. TheFund seeks to track the performance of the MSCI China A index.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||21.08|21.07|0.0|0.0|21.08|21.06|21.06|21.34|0.0|0.0|21.065|0.0|21.06|21.06|0.0|21.27|0.0|21.08|0.0|21.08|20.05|22.14|20.93|21.22|21.05|21.08|20.93|21.22|20.93|21.22|21.05|21.08|32.58|20.98|47883|24438771 15674|KBE|KBE|78464A797|US78464A7972|SPDR Series Trust|SPDR S&P Bank ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-6|TXN2-1|TXN6-1|TXN1-4|TXN4-5|31402118|||Quarterly|||||2008-11-06||KBE.NV|KBE.SO|KBE.EU|KBE.TC|KBE.IV| | | | | | | | | |1x|The SPDR S&P Bank ETF (the Fund) seeks to provide investment results that, before fees and expenses, correspond generally to the total return performance of an index that tracks the performance of publicly traded national money centers and leading regional banks.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||42.56|42.54|0.0|0.0|42.54|42.54|42.53|42.555|0.0|0.0|42.55|42.54|42.54|42.54|42.53|42.54|42.55|42.56|42.54|42.56|42.53|42.56|41.59|43.49|42.54|42.55|42.52|42.57|42.47|42.72|42.54|42.56|50.82|30.85|3039635|732709964 7290|KBH|KBH|48666K109|US48666K1097|KB Home|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|M|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-7|TXN4-7|TXN4-7|TXN3-3|TXN2-8|79320000|||Quarterly|||||1986-08-01||||||| | | | | | | | | |||N|0|N|Y|110A|USA|US|||40|4020|402020|40202010|Consumer Discretionary|Consumer Products and Services|Household Goods and Home Construction|Home Construction|N||N||||||Y|0|Y||Y|2|||54.7|54.71|0.0|54.6|54.71|54.705|54.71|54.705|0.0|0.0|54.705|54.69|54.75|54.71|54.69|54.7|54.73|54.71|54.7|54.7|54.71|54.72|42.46|67.1|54.63|54.77|54.65|54.75|54.65|54.75|54.71|54.72|55.37|29.84|1529529|357779069 48984|KBND|KBND|500767702|US5007677025|KraneShares Trust|KraneShares Bloomberg China Bond Inclusion Index ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Krane Funds Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-6|TXN2-4|TXN9-8|TXN1-3|TXN2-5|100000|||Monthly|||||2014-12-03||KCNY.NV|KCNY.SO|KCNY.EU|KCNY.TC|KCNY.IV| | | | | | | | | |1x|Investment Objective The KraneShares E Fund China Commercial Paper ETF (the Fund) seeks to provide investment results that, before fees and expenses, correspond to the price and yield performance of a specific foreign fixed income securities benchmark. The Funds current benchmark is the CSI Diversified High Grade Commercial Paper Index (the Underlying Index). Principal Investment Strategies of the Fund Under normal circumstances, the Fund will invest at least 80% of its total assets in securities of the Underlying Index (80% policy). The Underlying Index seeks to track the performance of investment grade on-shore renminbi (RMB)-denominated (or CNY) commercial paper issued by sovereign, quasi-sovereign and corporate issuers in the Peoples Republic of Chinas (China or the PRC) and traded in the inter-bank bond market. For purposes of the Underlying Index, investment grade commercial paper is commercial paper that is issued by an issuer whose long-term bonds are rated AAA or equivalent by one or more Chinese credit rating agencies; or commercial paper that is issued by an issuer whose long-term bonds are rated AA or equivalent by one or more Chinese credit rating agencies and commercial paper is rated A-1 or equivalent by one or more Chinese credit rating agencies. All constituents in the Underlying Index are unsecured, zero coupon bonds. To qualify for inclusion in the Underlying Index, a commercial paper issue must have at least RMB 600 million outstanding and a remaining term to final maturity of no more than one year (365 days) and no less than one month (31 days). Index constituents are capitalization-weighted based on current amounts outstanding. The Underlying Index does not hedge against fluctuations in the relative value of RMB against the U.S. dollar. Thus, it is expected to have lower returns than an equivalent index that hedges against a weakening RMB if the RMB declines relative to the U.S. dollar.The Fund uses a passive management strategy, known as representative sampling, to track the performance of the Underlying Index. Representative sampling is a strategy that involves investing in a representative sample of securities that collectively have an investment profile similar to the Underlying Index. E Fund Management (Hong Kong) Co., Limited (E Fund), the Funds Co-Adviser, selects the representative sample of securities for the Fund at its discretion, subject to the investment strategy and restrictions of the Fund and oversight by Krane and the Board of Trustees. Unlike many investment companies, the Fund does not try to beat the Underlying Index and does not seek temporary defensive positions when markets decline or appear overvalued.E Fund has received a Renminbi Qualified Foreign Institutional Investor (RQFII) license from the China Securities Regulatory Commission (CSRC) and has applied for an initial quota to invest in PRC securities for the Funds use by Chinas State Administration of Foreign Exchange (SAFE). E Fund may also obtain a license on behalf of the Fund as a Qualified Foreign Institutional Investor (QFII). A PRC securities quota is required to purchase the securities contained in the Underlying Index.The Fund may invest up to 20% of its assets in investments that are not included in the Underlying Index, but which Krane and/or E Fund believes will help the Fund track its Underlying Index. Thus, the Fund may invest in RMB-denominated securities principally traded in the off-shore RMB (or CNH) market, which is an over-the-counter (OTC) market located in countries outside of the PRC, such as Hong Kong and Singapore. The Funds other investments may include debt securities issued in any denomination in other political jurisdictions, including Hong Kong and Singapore, unrated and high yield securities (commonly referred to as junk bonds), and investment company securities. Certain cash received by the Fund is expected to be invested in RMB-denominated short-term bond funds domiciled in the PRC (the PRC Investment Companies), including PRC Investment Companies sponsored by E Fund. Cash may alternatively be invested in Chinese government bonds, held in a deposit account in China, or invested in U.S. money market funds or other U.S. cash equivalents. No more than 5% of the Funds net assets will be invested in any one PRC Investment Company or held in a deposit account in China, and no more than 10% of the Funds net assets will be invested in PRC Investment Companies generally.The Underlying Index is reconstituted and rebalanced on the first business day of each month. The Underlying Index is expected to reflect the commercial paper of approximately 463 issuers at each rebalance. To the extent the Underlying Index is concentrated in a particular industry, the Fund is expected to be concentrated in that industry. The Fund is non-diversified. |N|0|N|N|416A|USA|US|FIXED_INCOME|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|30.301406|0.0|0.0|0.0|0.0|30.919|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|30.8341|0.0|30.8341|0.0|0.0|0.0|0.0|30.78|30.89|0.0|0.0|0.0|0.0|30.78|30.89|32.7299|29.84|81|303440 18273|KBR|KBR|48242W106|US48242W1062|KBR, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-2|TXN3-3|TXN7-5|TXN2-5|TXN4-6|135000000|||Quarterly|||||2006-11-16||||||| | | | | | | | | |||N|0|Y|Y|106A|USA|US|||10|1010|101010|10101010|Technology|Technology|Software and Computer Services|Computer Services|N||N||||||Y|0|Y||Y|1|||53.09|53.1|0.0|52.96|53.14|53.135|53.105|53.15|0.0|0.0|53.1|53.13|53.1|53.14|53.12|53.11|53.17|53.1|53.14|53.11|53.1|53.11|49.65|56.65|53.07|53.21|53.08|53.17|53.1|53.18|53.1|53.11|65.8695|47.7|2174157|302088470 68416|KBUY|KBUY|500767595|US5007675953|KraneShares Trust|KraneShares CICC China Consumer Leaders Index ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Krane Funds Advisors|Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-4|TXN4-5|TXN2-8|TXN2-7|TXN2-7|350002|||Yearly|||||2020-12-09||KBUY.NV|KBUY.SO|KBUY.EU|KBUY.TC|KBUY.IV| | | | | | | | | |1x|Investment Objective The KraneShares CICC China Consumer Leaders Index ETF (the Fund) seeks to provide investment results that, before fees and expenses, correspond generally to the price and yield performance of a specific equity securities index. The Funds current index is the CICC China Consumer Leaders Index (the Underlying Index). Principal Investment Strategies Under normal circumstances, the Fund will invest at least 80% of its total assets in components of the Underlying Index, depositary receipts, including American depositary receipts, representing such components and securities underlying depositary receipts in the Underlying Index. The Underlying Index is a free float adjusted market capitalization weighted index (subject to the modifications described below) designed to track the equity market performance of Chinese companies engaged in Consumer-Related Industries (as defined below). The securities that are eligible for inclusion in the Underlying Index at each semi-annual reconstitution include all types of publicly issued shares of companies that operate primarily in China, such as A-Shares, B-Shares, H-Shares, P-Chips and Red Chips, which are described below. Issuers eligible for inclusion must be classified by the Global Industry Classification Standard as being in one of the following industries (collectively, Consumer-Related Industries): Consumer Electronics; Home decorations; Household appliances; Household appliances and special consumer goods; Leisure Products; Clothing, apparel and luxury; Footwear; Textile; Hotels, resorts and luxury cruises; restaurant; Computer and Electronics Retail; Beer; Liquor and wine; Soft drink; Food processing and meat; Household items; Personal items; Food retail; and Leisure facilities. In addition, securities must have an average daily traded value of over $10 million Chinese renminbi (RMB).|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|15.4099|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|14.901|0.0|14.9213|0.0|14.9213|0.0|0.0|0.0|0.0|14.89|14.95|0.0|0.0|0.0|0.0|14.89|14.95|21.81|14.901|400|287126 38976|KBWB|KBWB|46138E628|US46138E6288|Invesco KBW Bank ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN5-1|TXN14-8|TXN5-7|TXN5-1|31420000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||45.17|45.16|0.0|44.77|45.16|45.17|45.16|45.155|0.0|0.0|45.19|45.16|45.17|45.06|45.17|45.16|45.17|45.16|45.17|45.17|45.15|45.18|42.15|47.75|45.15|45.18|45.14|45.18|45.07|45.25|45.16|45.17|59.5|36.19|749676|341186707 36188|KBWD|KBWD|46138E610|US46138E6106|Invesco KBW High Dividend Yield Financial ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN5-6|TXN11-2|TXN5-2|TXN6-6|23730000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||0.0|15.19|0.0|0.0|0.0|15.19|15.2|15.19|0.0|0.0|15.19|15.15|15.2|0.0|15.18|15.19|15.15|15.2|0.0|15.2|15.15|15.23|11.61|18.55|15.18|15.2|11.98|18.14|0.0|0.0|15.18|15.2|17.78|13.04|106790|21935779 36190|KBWP|KBWP|46138E586|US46138E5868|Invesco Exchange-Traded Fd Tr II Invesco KBW Property & Casualty Insurance ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN6-2|TXN12-4|TXN6-1|TXN5-4|2000000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||0.0|0.0|0.0|0.0|0.0|92.41|92.23|92.39|0.0|0.0|92.3|0.0|92.27|0.0|0.0|0.0|0.0|92.23|0.0|92.27|87.5|96.55|91.7|0.0|92.18|92.27|91.7|96.55|91.92|0.0|92.18|92.27|92.47|78.16|17581|6993428 38977|KBWR|KBWR|46138E578|US46138E5785|Invesco KBW Regional Banking ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN6-2|TXN10-2|TXN5-6|TXN6-6|1200000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||0.0|50.0|0.0|0.0|0.0|0.0|50.67|0.0|0.0|0.0|0.0|0.0|50.57|0.0|0.0|0.0|0.0|50.67|0.0|50.57|0.0|0.0|0.0|0.0|50.16|50.77|47.31|50.68|50.22|50.68|50.22|50.57|61.4739|37.492|5979|3771209 36187|KBWY|KBWY|46138E594|US46138E5942|Invesco Exchange-Traded Fund Trust II Invesco KBW Premium Yield Equity REIT ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN6-6|TXN11-6|TXN6-8|TXN6-5|11550000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||19.25|19.26|0.0|0.0|19.2|19.26|19.285|19.18|0.0|0.0|19.26|19.26|19.28|19.29|19.26|19.03|0.0|19.285|0.0|19.28|19.24|19.33|19.24|19.34|19.28|19.3|19.25|19.34|19.24|19.34|19.28|19.3|22.95|15.93|63056|20102589 66358|KC|KC|49639K101|US49639K1016|Kingsoft Cloud Holdings Limited|ADR||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN6-3|TXN13-8|TXN5-4|TXN5-7|3805290000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||10|1010|101010|10101010|Technology|Technology|Software and Computer Services|Computer Services|N||N||||||Y|0|Y||||||4.25|4.26|0.0|0.0|4.25|4.26|4.258|4.25|0.0|0.0|4.26|4.255|4.25|4.26|4.25|4.26|4.265|4.26|4.25|4.25|4.24|4.28|3.26|5.2|4.23|4.29|4.23|4.29|4.24|4.29|4.25|4.26|10.13|2.9|856095|471045102 75046|KCAL|KCAL|81752T551|US81752T5517|Subversive Food Security ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-2|TXN4-5|TXN2-8|TXN2-5|TXN3-4|30000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|20.92|0.0|0.0|0.0|0.0|20.8325|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|20.92|0.0|20.92|0.0|0.0|0.0|0.0|20.78|21.12|0.0|0.0|0.0|0.0|20.92|20.99|26.5307|19.5529|827|49689 71937|KCCA|KCCA|500767553|US5007675532|KraneShares Trust|KraneShares California Carbon Allowance Strategy ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Krane Funds Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-8|TXN1-5|TXN7-8|TXN3-7|TXN4-6|8925002|||Quarterly|||||2021-10-05||KCCA.NV|KCCA.SO|KCCA.EU|KCCA.TC| | | | | | | | | | |1x|The KraneShares California Carbon Allowance ETF (the Fund) seeks to provide a total return that, before fees and expenses, exceeds that of the IHS Markit Carbon CCA Index (the Index) over a complete market cycle.The Fund attempts to maintain exposure to carbon credit futures that are substantially the same as those included in the Index and to exceed the performance of the Index through direct or indirect investment in investment grade debt instruments. The Index is designed to measure the performance of a portfolio of futures contracts on carbon credits issued under the California Carbon Allowance cap and trade regime (carbon credit futures). The Index includes only carbon credit futures that mature in December of the next one to two years.|N|0|N|N|416A|USA|US|COMMODITIES_AND_FUTURES|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||30.29|30.21|0.0|30.19|30.27|30.22|30.19|30.22|0.0|0.0|30.21|30.19|30.21|30.215|0.0|30.21|0.0|30.19|0.0|30.19|23.37|37.16|30.04|30.53|30.2|30.37|30.03|30.53|30.03|30.53|30.2|30.37|30.75|21.62|67604|7594176 15676|KCE|KCE|78464A771|US78464A7717|SPDR Series Trust|SPDR S&P Capital Markets ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|IMC Chicago, LLC, DBA IMC Financial Markets|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-3|TXN1-6|TXN3-7|TXN3-6|TXN1-3|2725000|||Quarterly|||||2008-11-06||KCE.NV|KCE.SO|KCE.EU|KCE.TC|KCE.IV| | | | | | | | | |1x|The SPDR S&P Capital Markets ETF (the Fund) seeks to provide investment results that, before fees and expenses, correspond generally to the total return performance of an index that tracks the performance ofpublicly traded companies that do business as broker-dealers, asset managers, trust and custody banks or exchanges.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||93.01|92.51|0.0|0.0|93.01|92.64|93.54|91.03|0.0|0.0|0.0|0.0|93.56|93.43|0.0|0.0|0.0|93.55|93.0|93.55|93.35|93.7|71.15|113.87|93.54|93.56|87.11|97.89|0.0|0.0|93.54|93.56|93.82|76.1902|40157|6443654 71912|KCGI|KCGI|G5251K103|KYG5251K1031|Kensington Capital Acquisition Corp. V|Class A Ordinary Shares|Special purpose acquisition company|A|N|N|N|Y|Y|Y|Y|Y|8|D|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN2-6|TXN7-8|TXN3-2|TXN4-1|4540000|||NotApplicable|||||2021-10-04||||||| | | | | | | | | |||N|0|N|N|408A|USA|KY|||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|10.63|0.0|0.0|0.0|0.0|0.0|10.61|0.0|0.0|10.63|0.0|0.0|0.0|10.63|10.62|10.7|10.63|10.66|10.42|10.85|0.0|0.0|0.0|0.0|10.63|10.66|10.75|10.125|501|34563138 71913|KCGI WS|KCGI.WS|G5251K129|KYG5251K1296|Kensington Capital Acquisition Corp. V|Redeemable warrants, each whole warrant exercisable for one Class A ordinary share at an exercise price of $11.50|Special purpose acquisition company|C|N|N|N|Y|Y|Y|Y|Y|8|D|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN6-8|TXN1-5|TXN8-8|TXN2-4|TXN1-4|0|||NotApplicable|||||2021-10-04||||||| | | | | | | | | |||N|0|N|N|408A|USA|KY|||||||||||N||N||||||N|0|Y||N||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.1|0.0|0.1|0.0|0.1|0.09|0.095|0.0|0.0|0.0882|0.0969|0.0|0.0|0.0|0.0|0.09|0.095|0.2716|0.03|10000|10366731 71415|KCGI U|KCGI.U|G5251K111|KYG5251K1114|Kensington Capital Acquisition Corp. V|Units, each consisting of one Class A ordinary share and three-fourths of one redeemable warrant|Special purpose acquisition company|R|N|N|N|Y|Y|Y|Y|Y|8|D|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN1-4|TXN2-8|TXN1-2|TXN2-7|0|||NotApplicable|||||2021-08-13||||||| | | | | | | | | |||N|0|N|N|408A|USA|KY|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.68|11.72|0.0|0.0|10.63|11.72|0.0|0.0|0.0|0.0|10.68|11.72|10.97|10.2|0|308163 72112|KD|KD|50155Q100|US50155Q1004|Kyndryl Holdings, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-3|TXN3-8|TXN3-2|TXN4-3|TXN4-1|229460000|||Quarterly|||||2021-10-22||||||| | | | | | | | | |||N|0|Y|Y|180B|USA|US|||10|1010|101010|10101010|Technology|Technology|Software and Computer Services|Computer Services|N||N||||||Y|0|Y||Y|1|||18.83|18.83|0.0|17.94|18.83|18.845|18.83|18.835|0.0|0.0|18.84|18.84|18.835|18.83|18.81|18.83|18.84|18.84|18.825|18.83|18.83|18.84|17.54|19.82|18.81|18.86|18.81|18.87|18.81|18.87|18.83|18.84|18.85|10.49|1696563|386391743 74612|KDIV|KDIV|500767496|US5007674964|KraneShares Trust|KraneShares S&P Pan Asia Dividend Aristocrats Index ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Krane Funds Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-7|TXN3-1|TXN9-8|TXN3-8|TXN4-8|100002|||Yearly|||||2022-09-15||KDIV.NV|KDIV.SO|KDIV.EU|KDIV.TC|KDIV.IV| | | | | | | | | |1x|The KraneShares S&P Pan Asia Dividend Aristocrats Index ETF (the Fund) seeks to provide investment results that, before fees and expenses, correspondgenerally to the price and yield performance of a specific equity securities index. The Funds current index is the S&P Pan Asia Dividend Aristocrats Index(the Underlying Index). Principal Investment Strategy: The S&P Pan Asia Dividend Aristocrats Index (Underlying Index) is designed to measure the performance of constituents in the S&P Pan Asia BMI Index(Index Universe) that have followed a policy of consistently increasing dividends every year for the last seven years. The Index Universe is a comprehensivebenchmark index that includes securities of companies from the Asia-Pacific region, including developed and emerging market countries.|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|27.18|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|27.22|0.0|27.22|25.16|28.95|0.0|0.0|27.07|27.37|25.16|28.95|0.0|0.0|27.07|27.37|32.0|24.84|3|289792 27803|KDP|KDP|49271V100|US49271V1008|Keurig Dr Pepper Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN6-8|TXN14-6|TXN5-6|TXN5-5|1398340000|||NotApplicable|||||||||||| | | | | | | | | |||N|5|Y|N||USA||||45|4510|451010|45101020|Consumer Staples |Food, Beverage and Tobacco |Beverages|Soft Drinks|N||N||||||Y|0|Y||||||32.23|32.22|0.0|32.24|32.23|32.225|32.225|32.23|0.0|0.0|32.22|32.22|32.23|32.23|32.23|32.225|32.225|32.23|32.22|32.23|32.22|32.24|30.37|34.15|32.22|32.23|32.2|32.26|32.19|32.27|32.22|32.23|38.69|27.655|5379152|1990208759 73004|KDRN|KDRN|26923N702|US26923N7021|ETF Opportunities Trust|Kingsbarn Tactical Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Kingsbarn Capital Management|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-6|TXN3-8|TXN4-8|TXN2-4|TXN3-4|50000|||Quarterly|||||2021-12-21||KDRN.NV|KDRN.SO|KDRN.EU|KDRN.TC| | | | | | | | | | |1x|The Fund seeks to maximize total return and seeks to achieve its investment objective by investing in a combination of exchange-traded funds (ETFs) focusing on fixed-income investments and futures contracts on 10-year U.S. Treasury notes (10-Year Treasury Futures).|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|21.895|21.89|22.425|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|22.76|0.0|22.76|0.0|0.0|0.0|0.0|22.7|22.83|0.0|0.0|0.0|0.0|22.7|22.82|23.15|21.535|12458|307987 48305|KE|KE|49428J109|US49428J1097|Kimball Electronics Inc|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN6-2|TXN11-7|TXN6-1|TXN5-3|24850000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101020|10102015|Technology|Technology|Technology Hardware and Equipment|Electronic Components|N||N||||||N|0|Y||||||0.0|25.17|0.0|24.97|25.16|25.18|25.19|25.22|0.0|0.0|25.16|25.23|25.23|25.03|0.0|25.06|0.0|25.19|0.0|25.23|24.91|25.49|19.58|30.99|24.95|25.45|25.04|25.33|25.15|25.33|25.15|25.23|31.43|19.5177|64673|19796529 2213|KELYA|KELYA|488152208|US4881522084|Kelly Services Inc.|CL A COM USD1 NVTG||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN5-2|TXN10-6|TXN5-8|TXN5-1|31950000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502050|50205025|Industrials|Industrial Goods and Services|Industrial Support Services|Business Training and Employment Agencies|N||N||||||N|0|Y||||||21.425|21.45|0.0|21.54|21.43|21.425|21.42|21.425|0.0|0.0|21.41|21.39|21.41|21.49|21.21|21.41|21.37|21.42|0.0|21.41|21.25|21.61|16.26|26.14|21.26|21.47|21.39|21.44|21.38|21.45|21.41|21.43|21.66|15.07|204184|39150757 2214|KELYB|KELYB|488152307|US4881523074|Kelly Services Inc.|CL B COM USD1||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN6-2|TXN10-7|TXN6-5|TXN5-5|3330000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502050|50205025|Industrials|Industrial Goods and Services|Industrial Support Services|Business Training and Employment Agencies|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|20.6255|0.0|0.0|0.0|0.0|0.0|20.89|0.0|0.0|0.0|0.0|20.6255|0.0|20.6255|0.0|0.0|0.0|0.0|17.5|23.99|0.0|0.0|0.0|0.0|18.74|22.5|21.0|14.86|840|57378 76217|KEM|KEM|500767439|US5007674394|KraneShares Trust|KraneShares Dynamic Emerging Markets Strategy ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Krane Funds Advisors|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-8|TXN4-4|TXN3-8|TXN1-3|TXN3-4|150002|||Yearly|||||2023-08-25||KEM.NV|KEM.SO|KEM.EU|KEM.TC| | | | | | | | | | ||The Fund seeks to achieve its investment objective by investing primarily in the following two Underlying ETFs: KraneShares MSCI Emerging Markets ex China Index ETF (KEMX) and KraneShares MSCI All China Index ETF (KALL). Each Underlying ETF seeks to provide investment results that, before fees and expenses, corresponding to the price and yield performance of its respective underlying index. KEMX seeks to provide investment results that correspond to the MSCI Emerging Markets ex China Index, which is designed to measure the equity market performance of mid and large-cap companies of emerging market countries, excluding China. KALL seeks to provide investment results that correspond to the MSCI China All Shares Index, which is designed to measure the performance of Chinese exchange-listed equity securities including all types of publicly issued shares of Chinese issuers, such as A-Shares, B-Shares, H-Shares, P-Chips and Red Chips. The Fund seeks to provide exposure to emerging markets while attempting to mitigate downside risk by dynamically adjusting its allocations between the Underlying ETFs and cash and cash equivalents.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|25.23|0.0|0.0|0.0|0.0|24.7|0.0|24.7|24.66|25.01|0.0|0.0|24.69|25.03|0.0|0.0|0.0|0.0|24.69|25.03|25.73|23.85|204|180158 59829|KEMQ|KEMQ|500767876|US5007678767|KraneShares Trust|KraneShares Emerging Markets Consumer Technology Index ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Krane Funds Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN3-6|TXN8-8|TXN1-3|TXN4-6|750002|||Yearly|||||2017-10-12||KEMQ.NV|KEMQ.SO|KEMQ.EU|KEMQ.TC|KEMQ.IV| | | | | | | | | |1x|KEMQ trackes the Solactive Emerging Markets Consumer Technology Index which seeks to invest in equity securities of the 50 companies with the largest market capitalization that are headquartered in emerging market countries and focuses on issuers engaged in the consumer technology sector. |N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|14.4701|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|14.46|0.0|14.46|0.0|0.0|0.0|0.0|14.44|14.48|0.0|0.0|0.0|0.0|14.44|14.48|16.79|13.2345|7539|2489695 63425|KEMX|KEMX|500767769|US5007677694|KraneShares Trust|KraneShares MSCI Emerging Markets ex China Index ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Krane Funds Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-8|TXN4-3|TXN2-8|TXN1-2|TXN4-8|1500002|||Yearly|||||2019-04-12||KEMX.NV|KEMX.SO|KEMX.EU|KEMX.TC|KEMX.IV| | | | | | | | | |1x|Investment Objective: The KraneShares MSCI Emerging Markets ex China Index ETF (the Fund) seeks to provide investmentresults that, before fees and expenses, correspond generally to the price and yield performance ofa specifi c equity securities index. The Funds current index is the MSCI Emerging Markets ex ChinaIndex (the Underlying Index).Principal Strategy: Under normal circumstances, the Fund will invest at least 80% of its total assets in componentsof the Underlying Index and depositary receipts, including American depositary receipts (ADRs),representing such components. The Underlying Index is a free fl oat-adjusted market capitalizationweighted index designed to track the equity market performance of mid- and large-cap companiesof emerging market countries, excluding China. The Underlying Index is based on the MSCI EmergingMarkets Index (universe), but excludes the securities of Chinese issuers ... The Fund may invest up to 20% of its assets in instruments that are not included in the UnderlyingIndex, but that Krane believes will help the Fund track the Underlying Index. These investmentsmay include equity securities and depositary receipts that are not components of the UnderlyingIndex, derivative instruments (including swaps, futures, forwards, structured notes and options),other investment companies (including ETFs) and cash or cash equivalents (including money marketfunds). The other investment companies in which the Fund may invest may be advised, sponsored orotherwise serviced by Krane and/or its affi liates.|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|27.5|0.0|0.0|0.0|27.77|0.0|0.0|0.0|0.0|0.0|0.0|27.5738|0.0|27.5738|0.0|0.0|0.0|0.0|27.52|27.62|0.0|0.0|0.0|0.0|27.52|27.62|27.89|23.93|5324|1669341 49163|KEN|KEN|Y46717107|SG9999012629|Kenon Holdings Ltd.|Ordinary Shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN4-1|TXN2-8|TXN2-3|TXN4-8|53890000|||Adhoc|||||2015-01-06||||||| | | | | | | | | |||N|0|N|Y|170A|SGP|SG|||65|6510|651010|65101015|Utilities|Utilities|Electricity|Conventional Electricity|N||N||||||Y|0|Y||Y|2|||22.76|21.4|0.0|20.75|0.0|22.2|22.45|21.41|0.0|0.0|22.515|19.5|22.225|22.809|22.69|22.24|0.0|22.45|0.0|22.24|22.2|22.45|0.0|0.0|22.0|22.79|0.0|0.0|0.0|0.0|22.2|22.45|36.5299|17.64|8648|3829976 7311|KEP|KEP|500631106|US5006311063|Korea Electric Power Corporation|American Depositary Shares (Each representing 1/2 of a share of Common Stock)|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN2-2|TXN4-8|TXN1-8|TXN3-5|641960000|||Yearly|||||1994-10-27||||||| | | | | | | | | |||N|0|N|Y|302A|KOR|KR|||65|6510|651010|65101015|Utilities|Utilities|Electricity|Conventional Electricity|N||N||||||N|0|Y||Y|2|||7.295|7.3|0.0|7.23|7.3|7.29|7.299|7.295|0.0|0.0|7.29|7.29|7.295|7.39|7.28|7.29|7.29|7.3|0.0|7.29|7.28|7.3|5.65|8.99|7.27|7.31|5.81|7.33|7.28|7.31|7.28|7.3|8.85|5.925|92958|42663269 2216|KEQU|KEQU|492854104|US4928541048|Kewaunee Scientific Corp|COM USD2.5||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN5-8|TXN13-3|TXN6-5|TXN5-8|2900000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4020|402020|40202015|Consumer Discretionary|Consumer Products and Services|Household Goods and Home Construction|Household Furnishings|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|17.0075|0.0|0.0|0.0|0.0|0.0|17.22|0.0|0.0|0.0|0.0|17.0075|0.0|17.0075|16.15|18.75|0.0|0.0|16.33|18.56|0.0|0.0|0.0|0.0|17.01|17.85|19.105|14.56|1100|429891 60706|KERN|KERN|00973W300|US00973W3007|Akerna Corp|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-8|TXN6-2|TXN14-2|TXN6-3|TXN5-6|10250000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||N|0|Y|D|||||0.3302|0.328|0.0|0.0|0.3351|0.3396|0.3449|0.3454|0.0|0.0|0.3393|0.3393|0.343|0.2981|0.0|0.32|0.0|0.3454|0.2985|0.3454|0.3221|0.3633|0.272|0.4116|0.3319|0.3598|0.3221|0.3633|0.0|0.0|0.3457|0.346|2.3|0.17|1055800|90173489 60707|KERNW|KERNW|00973W110|US00973W1100|Akerna Corp|WT EXP 080124||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-3|TXN6-3|TXN12-1|TXN6-3|TXN6-7|10000000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.01979|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.01979|0.0|0.01979|0.0|0.0|0.0|0.0|0.0111|0.0|0.0|0.0|0.0|0.0|0.0111|0.0198|0.08|0.0004|100|6210304 71936|KEUA|KEUA|500767561|US5007675615|KraneShares Trust|KraneShares European Carbon Allowance Strategy ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Krane Funds Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-4|TXN3-5|TXN7-8|TXN4-3|TXN3-7|725006|||Quarterly|||||2021-10-05||KEUA.NV|KEUA.SO|KEUA.EU|KEUA.TC| | | | | | | | | | |1x|The KraneShares European Carbon Allowance ETF (the Fund) seeks to provide a total return that, before fees and expenses, exceeds that of the IHS Markit Carbon EUA Index (the Index) over a complete market cycle. The Fund attempts to maintain exposure to carbon credit futures that are substantially the same as those included in the Index and to exceed the performance of the Index through direct or indirect investment in investment grade debt instruments. The Index is designed to measure the performance of a portfolio of futures contracts on carbon credits issued under the European Union Emissions Trading System cap and trade regime (carbon credit futures). The Index includes only carbon credit futures that mature in December of the next one to two years.|N|0|N|N|416A|USA|US|COMMODITIES_AND_FUTURES|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|26.25|26.29|27.48|0.0|0.0|0.0|26.52|26.24|0.0|0.0|26.171|0.0|26.2374|0.0|26.2374|26.11|26.41|26.11|26.41|26.19|26.29|26.12|26.41|26.13|26.41|26.11|26.28|36.64|26.14|7272|5851019 7312|KEX|KEX|497266106|US4972661064|Kirby Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|O|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN4-8|TXN7-6|TXN1-5|TXN2-7|59100000|||NotApplicable|||||1996-10-15||||||| | | | | | | | | |||N|0|Y|Y|208A|USA|US|||50|5020|502060|50206030|Industrials|Industrial Goods and Services|Industrial Transportation|Marine Transportation|N||N||||||Y|0|Y||Y|1|||78.47|78.65|0.0|78.52|78.64|78.61|78.64|78.66|0.0|0.0|78.68|78.35|78.68|78.55|78.64|78.67|78.52|78.66|77.22|78.67|78.64|78.67|73.05|83.19|78.14|79.07|73.86|78.73|78.64|78.75|78.64|78.67|87.5213|60.14|380608|80800454 7314|KEY|KEY|493267108|US4932671088|KeyCorp|Common Shares|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-7|TXN4-3|TXN1-8|TXN1-7|TXN4-5|936260000|||Quarterly|||||1992-09-01||||||| | | | | | | | | |||N|5|Y|Y|402B|USA|US|||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||Y|1|||13.45|13.45|0.0|13.3|13.45|13.45|13.44|13.45|0.0|0.0|13.45|13.45|13.445|13.44|13.455|13.44|13.45|13.44|13.45|13.44|13.44|13.45|12.62|14.22|13.44|13.45|13.42|13.49|13.41|13.5|13.44|13.45|20.3|8.535|21502824|4404441693 54676|KEY PRI|KEYpI|493267702|US4932677028|KeyCorp|Depositary Shares each representing a 1/40th ownership interest in a share of Fixed-to-Floating Rate Perpetual Non-Cumulative Preferred Stock, Series E|Operating company|B|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN1-8|TXN4-8|TXN4-4|TXN4-3|20000000|||Quarterly|||||2016-12-15||||||| | | | | | | | | |||N|0|N|N|402B|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||22.09|22.25|0.0|0.0|21.87|21.87|21.92|22.08|0.0|0.0|22.25|0.0|21.89|0.0|0.0|21.87|0.0|21.87|17.677187|21.87|21.62|22.0|17.28|27.32|21.63|22.43|17.28|27.32|0.0|0.0|21.63|22.43|26.44|15.63|65049|15183057 61342|KEY PRJ|KEYpJ|493267876|US4932678760|KeyCorp|Depositary Shares Each Representing a 1/40th Ownership Interest in a Share of Fixed-Rate Perpetual Non-Cumulative Preferred Stock, Series F|Operating company|B|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN2-8|TXN4-8|TXN2-3|TXN3-1|17000000|||Quarterly|||||2018-08-01||||||| | | | | | | | | |||N|0|N|N|402B|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||19.75|19.23|0.0|0.0|19.43|19.25|19.29|19.235|0.0|0.0|19.25|0.0|19.26|19.77|0.0|19.2|0.0|19.2|19.056875|19.2|19.2|19.38|14.82|23.53|18.87|19.77|14.82|23.53|0.0|0.0|19.2|19.38|25.3699|14.2293|85842|15025191 63531|KEY PRK|KEYpK|493267868|US4932678687|KeyCorp|Depositary Shares, each representing a 1/40th ownership interest in a share of Fixed Rate Perpetual Non-Cumulative Preferred Stock, Series G|Operating company|B|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN3-7|TXN9-8|TXN4-6|TXN4-7|18000000|||Quarterly|||||2019-05-02||||||| | | | | | | | | |||N|0|N|N|402B|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||19.4|19.6|0.0|0.0|19.61|19.65|19.53|19.6|0.0|0.0|19.65|19.5|19.4|20.02|0.0|19.4|0.0|19.4|19.99|19.4|19.35|19.53|15.05|24.13|18.96|19.92|15.05|24.13|0.0|0.0|15.05|19.52|25.47|13.9001|70863|14623233 74532|KEY PRL|KEYpL|493267843|US4932678430|KeyCorp|Depositary Shares each representing a 1/40th ownership interest in a share of Fixed Rate Perpetual Non-Cumulative Preferred Stock, Series H|Operating company|B|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN2-7|TXN1-5|TXN1-3|TXN2-4|24000000|||Quarterly|||||2022-08-26||||||| | | | | | | | | |||N|0|N|N|402B|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||20.44|20.7|0.0|0.0|20.31|20.26|20.14|20.365|0.0|0.0|20.25|20.3|20.3|20.3|20.61|20.27|0.0|20.14|20.38|20.27|20.08|20.47|15.93|24.99|19.74|20.85|15.93|24.99|0.0|0.0|20.08|20.47|26.1|14.7014|70165|30154424 48320|KEYS|KEYS|49338L103|US49338L1035|Keysight Technologies, Inc.|Common stock, par value $0.01 per share|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|A|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-6|TXN2-5|TXN1-7|TXN4-4|TXN1-8|177580000|||NotApplicable|||||2014-10-20||||||| | | | | | | | | |||N|5|Y|Y|108C|USA|US|||50|5020|502020|50202025|Industrials|Industrial Goods and Services|Electronic and Electrical Equipment|Electronic Equipment: Gauges and Meters|N||N||||||Y|0|Y||Y|1|||138.12|138.12|0.0|138.0|138.11|138.12|138.13|138.11|0.0|0.0|138.12|138.09|138.15|138.1|138.11|138.14|138.0|138.15|138.09|138.14|138.14|138.15|128.42|146.09|138.07|138.19|129.77|138.24|138.14|138.25|138.14|138.15|189.45|118.57|1290776|290221063 7317|KF|KF|500634209|US5006342092|The Korea Fund, Inc.|Common Stock|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN2-3|TXN1-5|TXN2-6|TXN3-2|4920000|||Yearly|||||2008-12-22||||||| | | | | | | | | |||N|0|N|N|406B|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||22.15|21.94|0.0|0.0|0.0|22.05|21.7631|0.0|0.0|0.0|0.0|0.0|21.78|0.0|0.0|21.81|0.0|21.79|0.0|21.81|21.76|21.8|21.69|21.82|20.32|23.39|0.0|0.0|0.0|0.0|21.78|23.3|25.07|18.3|4607|2346503 2223|KFFB|KFFB|491292108|US4912921081|Kentucky First Federal Bancorp|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN5-1|TXN10-2|TXN5-1|TXN5-2|8090000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|4.8|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|4.34|5.2|0.0|0.0|0.0|0.0|4.57|4.97|7.35|4.28|35|689936 2224|KFRC|KFRC|493732101|US4937321010|Kforce Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN6-1|TXN10-8|TXN5-8|TXN5-8|19760000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502050|50205025|Industrials|Industrial Goods and Services|Industrial Support Services|Business Training and Employment Agencies|N||N||||||Y|0|Y||||||71.0|70.97|0.0|71.02|70.96|71.07|70.955|70.96|0.0|0.0|71.0|71.06|70.99|71.01|70.55|71.02|69.51|70.955|71.03|70.99|70.29|71.78|55.12|86.31|70.41|71.69|70.81|71.23|70.89|71.26|70.93|71.0|71.1275|49.35|134624|33094953 7320|KFS|KFS|496904202|US4969042021|Kingsway Financial Services, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN4-3|TXN2-8|TXN3-1|TXN3-8|28290000|||NotApplicable|||||2012-07-05||||||| | | | | | | | | |||N|0|N|Y|410A|USA|CA|||30|3030|303020|30302025|Financials|Insurance|Non-life Insurance|Property and Casualty Insurance|N||N||||||Y|0|Y||Y|2|||7.55|7.62|0.0|0.0|7.61|7.6|7.57|7.57|0.0|0.0|7.56|7.39|7.62|0.0|0.0|7.61|7.1|7.63|7.6|7.61|7.58|7.63|5.89|9.39|7.51|7.69|7.53|7.66|7.52|7.66|7.59|7.66|10.6|6.25|19030|18593291 68266|KFVG|KFVG|500767611|US5007676118|KraneShares Trust|KraneShares CICC China 5G and Semiconductor Index ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Krane Funds Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-4|TXN1-1|TXN4-8|TXN1-4|TXN2-8|750002|||Yearly|||||2020-11-24||KFVG.NV|KFVG.SO|KFVG.EU|KFVG.TC|KFVG.IV| | | | | | | | | |1x|Investment Objective The KraneShares CICC China 5G & Semiconductor Index ETF (the Fund) seeks to provide investment results that, before fees and expenses, correspond generally to the price and yield performance of a specific equity securities index. The Funds current index is the CICC China 5G and Semiconductor Leaders Index (the Underlying Index). Principal Investment Strategies Under normal circumstances, the Fund will invest at least 80% of its total assets in components of the Underlying Index, depositary receipts, including American depositary receipts, representing such components and securities underlying depositary receipts in the Underlying Index. The Underlying Index includes the stocks and depositary receipts of the top 30 companies by free-float market capitalization of Chinese companies engaged in 5G and Semiconductor-Related Industries (as defined below). The securities that are eligible for inclusion in the Underlying Index at each quarterly reconstitution include all types of publicly issued shares of companies that operate primarily in China, such as A-Shares, B-Shares, H-Shares, P-Chips and Red Chips, which are described below. Issuers eligible for inclusion must be classified by the Fuzzy Logic Industry Classification System as being in one of the following and related industries (collectively, 5G and Semiconductor-Related Industries): Semiconductor Manufacturing, Semiconductor Equipment and Services, Manufacturing Equipment and Services, Internet and Data Services, Electronic Equipment Manufacturing, Electronic Components, Consumer Electronics, Computer Hardware and Storage, Communications Equipment and Commercial Electronics. Securities must have an average daily traded value of over $1 million.|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||0.0|14.92|0.0|0.0|0.0|14.75|14.57|14.59|0.0|0.0|14.56|0.0|0.0|0.0|0.0|0.0|0.0|14.55|0.0|14.55|13.56|15.61|0.0|0.0|14.55|14.6|13.56|15.61|0.0|0.0|14.55|14.6|19.07|13.7701|8105|757510 7324|KFY|KFY|500643200|US5006432000|Korn Ferry|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|P|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-7|TXN2-3|TXN3-7|TXN3-1|TXN4-3|52710000|||Quarterly|||||1999-02-11||||||| | | | | | | | | |||N|0|N|Y|104C|USA|US|||50|5020|502050|50205025|Industrials|Industrial Goods and Services|Industrial Support Services|Business Training and Employment Agencies|N||N||||||Y|0|Y||Y|2|||54.23|54.21|0.0|53.28|54.23|54.215|54.29|54.26|0.0|0.0|54.11|54.1|54.3|53.505|54.3|54.3|54.19|54.3|54.19|54.3|54.29|54.3|40.72|66.23|54.1|54.57|54.24|63.68|54.29|54.36|54.29|54.3|59.91|44.45|384081|66339010 7326|KGC|KGC|496902404|CA4969024047|Kinross Gold Corporation|Common Shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|8|M|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-3|TXN3-3|TXN4-6|TXN3-8|TXN2-8|1227700000|||Quarterly|||||2004-12-06||||||| | | | | | | | | |||N|0|N|Y|130C|CAN|CA|||55|5510|551030|55103025|Basic Materials|Basic Resources|Precious Metals and Mining|Gold Mining|N||N||||||Y|0|Y||Y|2|||5.88|5.87|0.0|5.89|5.88|5.875|5.875|5.875|0.0|0.0|5.875|5.88|5.87|5.875|5.88|5.88|5.88|5.875|5.88|5.88|5.87|5.88|5.77|7.12|5.87|5.88|5.85|5.9|5.86|5.91|5.87|5.88|5.975|3.4|23894144|2923291916 37368|KGEI|KGEI|50043K406|CA50043K4063|Kolibri Global Energy Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN5-4|TXN14-7|TXN6-1|TXN5-6|35630000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||60|6010|601010|60101010|Energy|Energy|Oil, Gas and Coal|Oil: Crude Producers|N||N||||||N|0|Y|C|||||0.0|3.985|0.0|0.0|0.0|4.02|3.97|4.03|0.0|0.0|3.86|4.0|4.04|3.861|0.0|0.0|0.0|3.97|0.0|3.97|3.0|4.97|3.0|4.97|3.86|4.12|3.0|4.97|0.0|0.0|3.86|4.06|4.93|3.86|28870|720551 59843|KGRN|KGRN|500767850|US5007678502|KraneShares Trust|KraneShares MSCI China Clean Technology Index ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Krane Funds Advisors|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-3|TXN3-3|TXN3-8|TXN1-1|TXN1-7|3000002|||Yearly|||||2017-10-13||KGRN.NV|KGRN.SO|KGRN.EU|KGRN.TC|KGRN.IV| | | | | | | | | |1x|The Underlying Index is a modified, free float adjusted market capitalization weighted index designed to track the equity market performance of Chinese companies that derive at least a makority of their revenues from envirmentally beneficial products and services.|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|1|||0.0|22.64|0.0|24.25|0.0|22.46|22.2512|22.745|0.0|0.0|0.0|0.0|22.245|22.901|24.99|0.0|0.0|22.29|0.0|22.29|0.0|0.0|0.0|0.0|22.24|22.41|0.0|0.0|0.0|0.0|22.24|22.41|33.1|22.14|7457|11830027 71960|KGRO|KGRO|500767546|US5007675466|KraneShares Trust|KraneShares China Innovation ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Krane Funds Advisors|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-3|TXN2-6|TXN9-8|TXN4-4|TXN3-4|100002|||Yearly|||||2021-10-07||KGRO.NV|KGRO.SO|KGRO.EU|KGRO.TC| | | | | | | | | | |1x|Investment Objective: The KraneShares China Innovation ETF (the Fund) seeks growth of capital. Principal Investment Strategies: The Fund seeks to achieve its investment objective by investing primarily in the following Underlying ETFs: KWEB (30%), KURE (25%), KGRN (20%), KFVG (15%), KSTR (10%). In addition to investments in the Underlying ETFs, the Fund may invest up to 15% of its net assets in the securities of private companies, including those thatmay be preparing for an initial public offering. Krane generally expects to invest in private companies that are similar to (for example, in the same sector orindustry as,) companies that are eligible for inclusion in an underlying index of an Underlying ETF. However, from time to time, the Fund may invest in othertypes of private companies, if Krane believes the investment represents an attractive opportunity for the Fund to invest in an issuer engaged in innovation in China or the surrounding region. An investment by the Fund in the securities of private companies will generally reduce the Funds projected allocation to eachUnderlying ETF approximately pro rata. Under normal circumstances, the Fund will invest at least 80% of its net assets (plus borrowings for investment purposes) in securities of issuers located inChina, including other investments, such as investment companies, that provide investment exposure to such securities.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|13.73|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|13.3249|0.0|13.3249|0.0|0.0|13.25|13.4|13.25|13.4|13.26|13.41|13.25|13.41|13.26|13.41|17.86|12.8802|2405|93829 75947|KGS|KGS|50012A108|US50012A1088|Kodiak Gas Services, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|A|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN1-6|TXN8-6|TXN3-1|TXN3-8|77400000|||Quarterly|||||2023-06-29||||||| | | | | | | | | |||N|0|N|Y|134F|USA|US|||60|6010|601010|60101030|Energy|Energy|Oil, Gas and Coal|Oil Equipment and Services|N||N||||||N|0|Y||Y|2|||18.36|18.35|0.0|18.31|18.36|18.35|18.37|18.36|0.0|0.0|18.29|18.17|18.38|18.37|18.24|18.38|18.35|18.38|18.26|18.38|18.36|18.38|14.13|22.22|18.2|18.5|18.34|18.4|18.36|18.41|18.36|18.38|19.79|15.05|217705|43682119 40701|KHC|KHC|500754106|US5007541064|The Kraft Heinz Co|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN5-7|TXN10-5|TXN5-7|TXN6-3|1226540000|||NotApplicable|||||||||||| | | | | | | | | |||N|1|Y|N||USA||||45|4510|451020|45102020|Consumer Staples |Food, Beverage and Tobacco |Food Producers|Food Products|N||N||||||Y|0|Y||||||35.8|35.8|0.0|35.8|35.8|35.8|35.81|35.8|0.0|0.0|35.8|35.8|35.82|35.81|35.81|35.8|35.81|35.8|35.8|35.82|35.78|35.81|33.56|38.09|35.8|35.81|35.77|35.83|0.0|0.0|35.8|35.81|42.8|30.68|7963635|1715225901 61198|KHYB|KHYB|500767843|US5007678437|KraneShares Trust|KraneShares Asia Pacific High Income Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Krane Funds Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-2|TXN3-1|TXN7-8|TXN2-1|TXN1-4|600001|||Monthly|||||2018-06-28||KCCB.NV|KCCB.SO|KCCB.EU|KCCB.TC|KCCB.IV| | | | | | | | | |1x|KCCB is designed to track the performance of outstanding high yield debt securities denominated in U.S. dollars issued by Chinese companies.|N|0|N|N|416A|USA|US|FIXED_INCOME|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|25.39|0.0|0.0|0.0|0.0|0.0|25.39|25.42|0.0|0.0|0.0|25.39|0.0|25.39|0.0|0.0|0.0|0.0|25.37|25.41|0.0|0.0|0.0|0.0|25.33|25.41|28.13|24.55|2407|806354 59837|KIDS|KIDS|68752L100|US68752L1008|OrthoPediatrics Corp|COM USD0.00025||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN5-3|TXN12-3|TXN6-2|TXN6-4|23350000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||Y|0|Y||||||30.01|30.05|0.0|30.05|30.09|30.06|30.06|30.12|0.0|31.16|30.03|30.74|30.11|30.01|30.56|30.02|0.0|30.06|30.01|30.11|29.74|30.44|23.84|37.19|29.78|30.23|29.96|30.19|29.97|30.11|30.06|30.11|53.5|23.1|118482|26484213 15675|KIE|KIE|78464A789|US78464A7899|SPDR Series Trust|SPDR S&P Insurance ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|IMC Chicago, LLC, DBA IMC Financial Markets|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-3|TXN1-8|TXN9-6|TXN4-7|TXN1-6|17150000|||Quarterly|||||2008-11-06||KIE.NV|KIE.SO|KIE.EU|KIE.TC|KIE.IV| | | | | | | | | |1x|The SPDR S&P Insurance ETF, before expenses, seeks to closely match the returns and characteristics of the S&P Insurance Select Industry Index (ticker: SPSIINS).The Index represents the insurance industry group of the S&P Total Market Index (S&P TMI). The Index is one of twentyfive (25) of the S&P SelectIndustry Indices (the Select Industry Indices), each designed to measure the performance of a narrow sub-industry or group of sub-industries determined based on the Global Industry Classification Standards (GICS).Membership in the Select Industry Indices is based on the GICS classification, as well as liquidity and market cap requirements. Companies in the Select Industry Indices are classified based primarily on revenues; however, earnings and market perception are also considered. The Index consists of the S&P TMI constituents belonging to the particular GICS sub-industry or group of sub-industries that satisfy the following criteria: (i) have a float-adjusted market capitalization above$2 billion with a float-adjusted liquidity ratio (defined by dollar value traded over the previous 12 months divided by the floatadjusted market capitalizationasof the index rebalancing reference date) above 90%; and (ii) are U.S. based companies. |N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||45.595|45.59|0.0|45.61|45.6|45.6|45.59|45.59|0.0|0.0|45.6|45.6|45.595|45.53|45.6|45.6|45.52|45.61|45.59|45.61|45.57|45.61|45.21|45.78|45.59|45.6|45.57|45.62|45.51|45.68|45.59|45.6|45.7|36.86|1790841|233161817 7330|KIM|KIM|49446R109|US49446R1095|Kimco Realty Corporation|Common Stock|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|8|N|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-6|TXN2-5|TXN9-6|TXN3-5|TXN4-7|619870000|||Quarterly|||||1991-11-22||||||| | | | | | | | | |||N|5|Y|Y|412A|USA|US|||35|3510|351020|35102045|Real Estate|Real Estate |Real Estate Investment Trusts|Retail REITs|N||N||||||Y|0|Y||Y|1|||20.56|20.56|0.0|20.48|20.55|20.56|20.556|20.56|0.0|0.0|20.56|20.56|20.56|20.56|20.57|20.55|20.56|20.56|20.56|20.55|20.55|20.56|19.18|21.73|20.55|20.56|20.53|20.59|20.52|20.6|20.55|20.56|23.27|16.34|4968490|1049567230 59403|KIM PRL|KIMpL|49446R737|US49446R7373|Kimco Realty Corporation|Class L Depositary Shares, each of which represents a one0one thousandth fractional interest in a share of 5.125% Class L Cumulative Redeemable Preferred Stock|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN4-6|TXN2-8|TXN4-2|TXN1-3|8900000|||Quarterly|||||2017-08-17||||||| | | | | | | | | |||N|0|N|N|412A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||22.52|22.55|0.0|0.0|22.52|22.55|22.49|22.54|0.0|0.0|22.54|0.0|22.6|0.0|0.0|22.49|22.52|22.49|22.52|22.49|22.48|22.59|0.0|0.0|22.01|22.97|0.0|0.0|0.0|0.0|22.48|22.59|23.66|18.81|33433|3897388 60333|KIM PRM|KIMpM|49446R711|US49446R7118|Kimco Realty Corporation|Class M Depositary Shares, each of which represents a one-one thousandth fractional interest in a share of 5.25% Class M Cumulative Redeemable Preferred Stock, liquidation prefere|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN1-1|TXN2-8|TXN4-7|TXN1-6|10470000|||Quarterly|||||2017-12-20||||||| | | | | | | | | |||N|0|N|N|412A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||23.07|23.1|0.0|0.0|23.14|22.97|23.07|23.07|0.0|0.0|22.37|0.0|23.155|23.06|0.0|23.07|23.1|23.21|0.0|23.07|23.06|23.24|23.02|23.27|22.67|23.74|0.0|0.0|0.0|0.0|23.06|23.24|24.58|19.66|16810|4409368 69782|KIND|KIND|65345M108|US65345M1080|Nextdoor Holdings, Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN3-7|TXN5-5|TXN1-3|TXN3-7|182080000|||NotApplicable|||||2021-11-08||||||| | | | | | | | | |||N|0|N|Y|180B|USA|US|||10|1010|101010|10101020|Technology|Technology|Software and Computer Services|Consumer Digital Services |N||N||||||Y|0|Y||Y|2|||1.65|1.65|0.0|1.63|1.65|1.65|1.64|1.65|0.0|0.0|1.65|1.655|1.645|1.64|1.655|1.66|1.655|1.64|1.65|1.66|1.64|1.65|1.3|2.0|1.64|1.66|1.62|1.68|1.63|1.66|1.64|1.65|3.415|1.32|1385759|325201816 1106|KINS|KINS|496719105|US4967191051|Kingstone Cos Inc|COM USD1||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN6-6|TXN14-2|TXN6-3|TXN6-7|10760000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3030|303020|30302025|Financials|Insurance|Non-life Insurance|Property and Casualty Insurance|N||N||||||Y|0|Y||||||0.0|0.0|0.0|0.0|0.0|2.75|2.7912|2.44|0.0|0.0|0.0|0.0|2.79|2.79|0.0|0.0|0.0|2.75|0.0|2.75|2.13|3.43|2.13|3.43|2.63|2.89|2.13|3.43|0.0|0.0|2.76|2.8|3.39|0.9903|29482|4153517 42389|KIO|KIO|48249T106|US48249T1060|KKR Income Opportunities Fund|Common Shares|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN2-3|TXN3-8|TXN4-4|TXN2-1|20340000|||Monthly|||||2013-07-26||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||12.1|12.125|0.0|12.17|12.13|12.13|12.13|12.13|0.0|0.0|12.12|0.0|12.125|12.12|0.0|12.14|12.12|12.13|0.0|12.14|12.12|12.14|9.37|14.82|11.36|12.83|12.09|12.16|12.11|12.15|12.12|12.14|12.458|10.29|175470|38884460 46144|KIQ|KIQ|48826D201|CA48826D2014|Kelso Technologies Inc.|Common Shares without Par Value|Operating company|A|N|Y|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN11-6|TXN3-2|TXN7-8|TXN4-3|TXN4-5|54320000|||Yearly|||||2014-10-14||||||| | | | | | | | | |||N|0|N|N|310A|CAN|CA|||50|5020|502040|50204050|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Specialty|N||N||||||N|0|Y||Y|2|||0.0|0.1575|0.0|0.0|0.1575|0.1575|0.1575|0.16|0.0|0.0|0.1575|0.1575|0.1575|0.0|0.0|0.0|0.1575|0.1575|0.0|0.1575|0.1453|0.168|0.153|0.159|0.1526|0.16|0.122|0.192|0.0|0.0|0.153|0.159|0.44|0.122|39744|19700084 2230|KIRK|KIRK|497498105|US4974981056|Kirkland's Inc|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN5-4|TXN11-4|TXN6-6|TXN5-8|12920000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4040|404010|40401030|Consumer Discretionary|Retail |Retailers |Specialty Retailers |N||N||||||Y|0|Y||||||3.39|3.35|0.0|3.35|3.34|3.38|3.38|3.35|0.0|0.0|3.4|3.45|3.38|3.48|3.405|3.4|3.405|3.38|3.21|3.38|3.23|3.5|2.66|4.15|3.26|3.48|3.32|3.42|3.31|3.43|3.35|3.38|4.87|1.4|567751|23824154 71330|KITT|KITT|63911H108|US63911H1086|Nauticus Robotics Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN5-2|TXN13-8|TXN6-5|TXN6-1|50040000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5010|501010|50101015|Industrials|Construction and Materials|Construction and Materials |Engineering and Contracting Services|N||N||||||N|0|Y|D|||||1.15|1.145|0.0|0.0|1.15|1.15|1.1452|1.145|0.0|0.0|1.14|0.0|1.15|0.0|1.19|1.15|1.15|1.145|1.15|1.15|0.0|0.0|0.0|0.0|1.1|1.19|0.0|0.0|0.0|0.0|1.14|1.15|5.4431|1.02|160519|30069920 71332|KITTW|KITTW|63911H116|US63911H1169|Nauticus Robotics Inc|WT EXP 073026||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-6|TXN6-3|TXN11-4|TXN6-8|TXN6-4|49860000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y|D|||||0.0|0.0|0.0|0.0|0.0|0.1249|0.0|0.0|0.0|0.0|0.1261|0.1261|0.13|0.0|0.0|0.0|0.0|0.13|0.0|0.13|0.0|0.0|0.0|0.0|0.1125|0.1599|0.0|0.0|0.0|0.0|0.1125|0.15|0.3|0.0431|1708|1540402 65302|KJAN|KJAN|45782C474|US45782C4740|Innovator U.S. Small Cap Power Buffer ETF - January|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-8|TXN3-8|TXN1-8|TXN3-3|TXN1-7|5330000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||31.75|31.75|0.0|0.0|31.69|31.7|31.71|31.7|0.0|0.0|31.7|0.0|0.0|31.69|0.0|31.7|0.0|31.75|31.69|31.75|24.29|38.59|24.29|38.59|31.74|31.84|31.67|38.59|31.67|31.92|31.74|31.91|33.19|29.33|39742|10866177 66882|KJUL|KJUL|45782C284|US45782C2843|Innovator U.S. Small Cap Power Buffer ETF - July|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-3|TXN2-2|TXN2-8|TXN2-3|TXN3-7|7500000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||25.99|25.98|0.0|0.0|0.0|25.98|25.98|25.93|0.0|0.0|25.93|0.0|25.91|0.0|0.0|25.93|25.92|25.98|0.0|25.98|0.0|0.0|25.87|25.95|25.9|26.03|25.84|26.04|25.87|25.99|25.9|26.03|26.47|23.81|40653|9842378 34480|KKR|KKR|48251W104|US48251W1045|KKR & Co. Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|11|Q|Virtu Americas LLC|NITC|295|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-5|TXN3-2|TXN9-1|TXN2-7|TXN3-4|885010000|||Quarterly|||||2010-07-15||||||| | | | | | | | | |||N|0|Y|Y|408A|USA|US|||30|3020|302020|30202010|Financials|Financial Services |Investment Banking and Brokerage Services |Asset Managers and Custodians|N||N||||||Y|0|Y||Y|1|||75.23|75.21|0.0|75.22|75.22|75.23|75.21|75.22|0.0|0.0|75.23|75.23|75.2|75.23|75.23|75.22|75.16|75.22|75.23|75.22|75.21|75.22|70.39|79.76|75.12|75.29|75.2|75.26|75.21|75.28|75.21|75.22|76.13|45.03|4967195|746346244 70302|KKRS|KKRS|48253M104|US48253M1045|KKR & Co. Inc.|4.625% Subordinated Notes due 2061|Operating company|G|N|N|N|Y|Y|Y|Y|Y|11|Q|Virtu Americas LLC|NITC|295|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN2-4|TXN6-8|TXN2-5|TXN3-1|20000000|||Quarterly|||||2021-04-21|2061-04-01|||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||18.07|18.01|0.0|0.0|18.05|18.09|18.06|18.05|0.0|0.0|18.09|0.0|18.13|18.09|0.0|18.14|0.0|18.14|17.84|18.14|18.05|18.14|0.0|0.0|17.75|18.42|0.0|0.0|0.0|0.0|18.05|18.14|20.14|15.9899|34227|9185843 2231|KLAC|KLAC|482480100|US4824801009|KLA Corp|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|4|0.01|0.01|5000000|1|100|TXN14-3|TXN5-6|TXN13-3|TXN5-1|TXN6-5|135930000|||NotApplicable|||||||||||| | | | | | | | | |||N|5|Y|N||USA||||10|1010|101020|10102020|Technology|Technology|Technology Hardware and Equipment|Production Technology Equipment|N||N||||||Y|0|Y||||||538.45|539.58|0.0|539.6|539.375|539.59|539.54|539.66|0.0|0.0|538.72|539.41|539.59|538.305|537.67|539.6|538.84|539.55|537.06|539.59|538.99|540.15|504.73|572.16|538.95|539.88|538.92|558.68|539.26|540.22|539.47|539.55|562.84|355.88|889358|241574773 50263|KLDW|KLDW|46143U849|US46143U8493|Investment Managers Series Trust|Knowledge Leaders Developed World ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Knowledge Leaders Capital|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN4-1|TXN1-5|TXN4-2|TXN4-1|3100001|||Yearly|||||2020-05-26||KLDW.NV|KLDW.SO|KLDW.EU|KLDW.TC|KLDW.IV| | | | | | | | | ||Per Prospectus: The Fund invests primarily in equities the advisor considers to be highly innovative companies or knowledge leaders. Funds benchmark is MSCI World Index|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|40.24|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|40.2791|0.0|40.2791|40.22|40.32|0.0|0.0|40.26|40.28|0.0|0.0|0.0|0.0|40.26|40.28|41.83|35.5788|4042|1395827 76374|KLG|KLG|92942W107|US92942W1071|WK Kellogg Co.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|C|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN3-8|TXN7-6|TXN2-8|TXN2-8|85630000|||Quarterly|||||2023-09-27||||||| | | | | | | | | |||N|0|Y|Y|118A|USA|US|||45|4510|451020|45102020|Consumer Staples |Food, Beverage and Tobacco |Food Producers|Food Products|N||N||||||Y|0|Y||Y|1|||11.64|11.55|0.0|11.63|11.54|11.55|11.55|11.55|0.0|0.0|11.54|11.63|11.545|11.64|11.54|11.54|11.53|11.55|11.54|11.54|11.54|11.55|10.82|12.32|11.52|11.64|11.51|11.57|11.51|11.58|11.54|11.55|15.05|9.655|921383|108928599 2232|KLIC|KLIC|501242101|US5012421013|Kulicke and Soffa Industries Inc|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN6-4|TXN12-8|TXN5-4|TXN6-5|56720000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101020|10102020|Technology|Technology|Technology Hardware and Equipment|Production Technology Equipment|N||N||||||Y|0|Y||||||52.31|52.32|0.0|51.86|52.32|52.33|52.31|52.3|0.0|0.0|52.28|52.31|52.3|52.32|51.9|52.28|51.86|52.31|52.29|52.3|52.19|52.37|39.87|64.26|52.04|52.6|52.26|52.35|52.25|52.37|52.3|52.33|60.2|40.2|498614|112563264 75104|KLIP|KLIP|500767470|US5007674709|KraneShares Trust|KraneShares China Internet and Covered Call Strategy ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Krane Funds Advisors|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-2|TXN2-1|TXN6-8|TXN4-1|TXN4-8|7075002|||Monthly|||||2023-01-12||KLIP.NV|KLIP.SO|KLIP.EU|KLIP.TC| | | | | | | | | | ||The KraneShares China Internet and Covered Call Strategy ETF (the Fund) seeks to provide current income.In seeking to achieve its investment objective, the Fund employs a covered call strategy. The Fund invests 80% of its net assets (plus borrowings for investment purposes) in the component securities of the CSI Overseas China Internet Index (Index) or in instruments that have economic characteristics similar to those in the Index and writes (sells) covered call options on the Index or in instruments that have economic characteristics similar to writing covered call options on the Index. Currently, the Fund intends to invest in KraneShares CSI China Internet ETF (Underlying Fund), which is an exchange-traded fund advised by Krane that seeks to track the Index, and to write (sell) covered call options on the Underlying Fund. The Fund intends to write covered call options on the Underlying Fund on the full amount of its investment in the Underlying Fund.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||Y|0|Y||Y|2|||16.38|16.38|0.0|0.0|16.38|16.38|16.39|16.385|0.0|0.0|16.38|16.38|16.385|16.389|16.38|16.38|16.4|16.39|16.415|16.39|12.81|16.39|12.81|20.24|16.38|16.39|12.81|16.47|16.05|16.47|16.34|16.39|25.3001|16.27|343825|29391260 71271|KLNE|KLNE|25460G526|US25460G5264|Direxion Shares ETF Trust|Direxion Daily Global Clean Energy Bull 2X Shares|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Direxion Shares|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-8|TXN4-5|TXN2-8|TXN3-6|TXN3-6|450001|||Quarterly|||||2021-07-29||KLNE.NV|KLNE.SO|KLNE.EU|KLNE.TC|KLNE.IV| | | | | | | | | |2x|The Direxion Daily Global Clean Energy Bull 2X Shares ETF seeks daily investment results, before fees and expenses, of 200% of the daily performance of the S&P Global Clean Energy Index.|N|0|N|N|416A|USA|US|EQUITY|LEVERAGED|||||||||N||N||||||Y|0|Y||Y|2|||7.32|7.74|0.0|0.0|0.0|7.69|7.735|7.32|0.0|0.0|7.24|7.24|7.76|0.0|0.0|7.74|0.0|7.71|0.0|7.71|0.0|0.0|0.0|0.0|7.68|7.73|7.63|7.79|7.63|7.79|7.68|7.73|18.65|5.97|10293|1281050 70088|KLTR|KLTR|483467106|US4834671061|Kaltura Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN6-1|TXN12-1|TXN5-5|TXN5-7|141410000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||15|1510|151010|15101010|Telecommunications|Telecommunications|Telecommunications Equipment|Telecommunications Equipment|N||N||||||Y|0|Y||||||1.77|1.78|0.0|0.0|1.76|1.775|1.76|1.76|0.0|0.0|1.77|1.77|1.78|1.73|1.77|1.77|1.73|1.76|0.0|1.78|1.76|1.79|1.44|2.14|1.76|1.8|1.74|2.1|1.74|0.0|1.76|1.78|2.27|1.53|347735|53501111 61594|KLXE|KLXE|48253L205|US48253L2051|KLX Energy Services Holdings Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN5-3|TXN14-2|TXN6-1|TXN6-4|16410000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||60|6010|601010|60101030|Energy|Energy|Oil, Gas and Coal|Oil Equipment and Services|N||N||||||Y|0|Y||||||9.71|9.77|0.0|0.0|9.76|9.59|9.76|9.59|0.0|0.0|9.54|0.0|9.75|9.76|9.7|0.0|9.5|9.76|0.0|9.75|9.65|9.86|7.44|11.83|9.67|9.84|9.69|9.8|9.68|9.81|9.75|9.77|18.2009|7.7001|104852|44049378 76243|KLXY|KLXY|500767454|US5007674543|KraneShares Trust|KraneShares Global Luxury Index ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Krane Funds Advisors|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN3-3|TXN3-8|TXN1-8|TXN3-3|125002|||Yearly|||||2023-09-07||KLXY.NV|KLXY.SO|KLXY.EU|KLXY.TC| | | | | | | | | | |1x|The Fund seeks to provide investment results that, before fees and expenses, correspond generally to the price and yield performance of a specific equity securities index. The Funds current index is the Solactive Global Luxury Index (the Underlying Index).The Underlying Index is a modified, free float adjusted market capitalization weighted index designed to measure the equity performance of companies in developed markets from global luxury-related sectors. The Underlying Index includes companies classified by the FactSet Revere Business Industry Classification system (RBICS) as being in the travel & leisure, premium ware and apparel, luxury goods, and premium consumer goods industries that include certain luxury-related business descriptions. Solactive AG (Index Provider) defines developed countries as the following countries: Australia, Austria, Belgium, Canada, Denmark, Finland, France, Germany, Hong Kong, Ireland, Israel, Italy, Japan, Netherlands, New Zealand, Norway, Poland, Portugal, Singapore, Spain, Sweden, Switzerland, United Kingdom, or United States.The Index Provider applies various screens so that the securities included in the Underlying Index, at the time of each reconstitution: (1) are issued by companies with a minimum free float market capitalization of $2 billion; (2) have been listed for at least one month and have a minimum average daily trading volume of $2 million as measured over the last one-month and six-month periods; and (3) are listed in a developed country as defined by the Index Provider. Eligible securities of the Underlying Index are ranked as of each reconstitution based on their free float market capitalization as determined by the Index Provider with the top 25 securities in each industry eligible for inclusion in the Underlying Index. The top five ranked securities are assigned weights of 10%, 9%, 8%, 7%, and 6% respectively. The remaining securities are capped at weights of 4.5%. Any excess weights are redistributed pro rata among the remaining securities. The Underlying Index is reconstituted annually and rebalanced semi-annually.Under normal market conditions, the Fund will invest at least 40% of its total assets in securities that (1) are organized or located outside the United States; (2) trade primarily in a market located outside the United States; or (3) derive at least 50% of their revenue or profits from business outside the United States or have at least 50% of their assets outside the United States.|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|24.2927|22.585|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|24.3084|0.0|24.3084|0.0|0.0|0.0|0.0|24.26|24.34|0.0|0.0|0.0|0.0|24.26|24.34|25.0311|22.45|459|83132 7338|KMB|KMB|494368103|US4943681035|Kimberly-Clark Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|D|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN1-4|TXN9-5|TXN4-7|TXN2-2|337940000|||Quarterly|||||1929-05-09||||||| | | | | | | | | |||N|5|Y|Y|124C|USA|US|||45|4520|452010|45201020|Consumer Staples |Personal Care, Drug and Grocery Stores |Personal Care, Drug and Grocery Stores |Personal Products|N||N||||||Y|0|Y||Y|1|||123.65|124.18|0.0|124.13|124.18|124.18|124.175|124.17|0.0|0.0|124.1|124.13|124.18|124.11|124.19|124.17|124.08|124.17|124.06|124.17|124.16|124.17|115.97|131.75|124.13|124.21|124.11|124.25|124.08|124.27|124.16|124.17|147.87|116.317|1693554|397717433 42131|KMDA|KMDA|M6240T109|IL0010941198|Kamada Ltd|COM ILS1.||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN6-6|TXN12-3|TXN6-8|TXN5-6|44840000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||ISR||||20|2010|201030|20103015|Health Care |Health Care |Pharmaceuticals and Biotechnology|Pharmaceuticals |N||N||||||Y|0|Y||||||0.0|0.0|0.0|0.0|0.0|4.79|4.7401|0.0|0.0|0.0|0.0|4.75|4.75|0.0|0.0|0.0|0.0|4.74|0.0|4.75|4.48|5.09|0.0|0.0|4.69|4.86|3.76|5.68|0.0|0.0|4.74|4.8|5.85|3.721|16174|6950723 74743|KMET|KMET|500767512|US5007675128|KraneShares Trust|KraneShares Electrification Metals Strategy ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Krane Funds Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-4|TXN2-5|TXN3-8|TXN3-1|TXN1-6|200002|||Quarterly|||||2022-10-13||KMET.NV|KMET.SO|KMET.EU|KMET.TC| | | | | | | | | | |1x|KMET tracks the Bloomberg Electrification Metals Index, composed of futures contracts on aluminum, copper, nickel, zinc, cobalt, and lithium. From Electric Vehicles (EVs) and batteries to renewable energy infrastructure, the metals exposures within KMET are experiencing strong demand from a range of electrification uses. We believe these metals value will increase alongside accelerating global decarbonization efforts.|N|0|N|N|416A|USA|US|COMMODITIES_AND_FUTURES|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|21.15|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|20.465|0.0|20.465|20.38|20.56|20.38|20.56|20.42|20.52|20.37|20.56|20.38|20.56|20.42|20.52|32.49|20.05|2|272496 7341|KMI|KMI|49456B101|US49456B1017|Kinder Morgan, Inc.|Class P common stock, $0.01 par value|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|A|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-2|TXN3-2|TXN9-5|TXN1-2|TXN2-6|2222770000|||Quarterly|||||2011-02-11||||||| | | | | | | | | |||N|5|Y|Y|134C|USA|US|||60|6010|601010|60101035|Energy|Energy|Oil, Gas and Coal|Pipelines|N||N||||||Y|0|Y||Y|1|||17.86|17.85|0.0|17.86|17.85|17.85|17.85|17.85|0.0|0.0|17.855|17.85|17.85|17.85|17.85|17.85|17.85|17.85|17.85|17.85|17.85|17.86|16.56|19.01|17.85|17.86|17.83|17.89|17.82|17.86|17.85|17.86|19.13|15.89|11707981|3022415908 68346|KMLM|KMLM|500767652|US5007676522|KraneShares Trust|KFA Mount Lucas Managed Futures Index Strategy ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Krane Funds Advisors|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-3|TXN2-8|TXN9-8|TXN2-2|TXN1-4|9400002|||Quarterly|||||2020-12-02||KMLM.NV|KMLM.SO|KMLM.EU|KMLM.TC|KMLM.IV| | | | | | | | | ||Investment Objective The KFA Mount Lucas Index Strategy ETF (the Fund) seeks to provide a total return that, before fees and expenses, exceeds that of the KFA MLM Index (Index) over a complete market cycle. Principal Investment Strategies The Fund seeks to achieve its goal by investing under normal circumstances in commodity, currency, and global fixed income futures contracts traded on U.S. and foreign exchanges that are the same as or similar to those included in the Index and debt instruments. The Index is a modified version of the MLM Index, which is an index constructed of a portfolio of commodity, currency, and global fixed income futures contracts traded on U.S. and foreign exchanges using a trend following methodology. The Index determines weightings of these three types of futures contracts by the relative historical volatility of each type of futures contract as determined by the MLM Index Committee. Within each type of futures contract, the underlying constituent markets are equal dollar weighted. The Index will roll futures contracts forward on a market by market basis as each constituent market nears expiration. The selection of the constituent markets occurs annually. The constituent markets of the futures contracts for the Index currently consist of the following commodities (corn, crude oil, copper, gold, heating oil, cattle, natural gas, soybeans, sugar, wheat and gasoline), currencies (British pound, Canadian dollar, Australian dollar, Euro, Japanese Yen, and Swiss francs), and global bond markets (Canadian government bond, Euro bund, Japanese government bond, Long gilt and Ten-year Treasuries). Constituent markets are traded both long and short based on each markets trading signals. The Index evaluates market trading signals on a daily basis and rebalances on the first day of the month. In addition, the Index has a target average annualized volatility of 15% over time. The Fund will invest in futures contracts on commodities, currencies and global bond markets. The Fund will utilize a subsidiary (the Subsidiary) for purposes of investing in futures contracts on commodities. The Subsidiary is a corporation operating under Cayman Islands law that is wholly-owned and controlled by the Fund. The Subsidiary is advised by the Funds investment adviser, Krane Funds Advisors, LLC (Krane or Adviser) and is sub-advised by Mount Lucas Index Advisers LLC, the Funds sub-adviser (MLIA or Sub-Adviser). The Fund may invest up to 25% of its assets in the Subsidiary. The Subsidiary has the same investment objective as the Fund and will follow the same investment policies and restrictions as the Fund. Except as noted, for purposes of this Prospectus, references to the Funds investment strategies and risks include those of its Subsidiary, and references to the Fund include the Subsidiary. Although the Fund seeks to maintain exposure to futures contracts that are the same as those included in the Index, the Fund and the Subsidiary will be actively managed and will not be required to replicate the performance of the Index. Fund assets not invested in futures contracts or the Subsidiary generally will be invested in debt instruments, exchange-traded funds (ETFs), cash or cash equivalent instruments, or money market mutual funds. The debt instruments in which the Fund intends to invest include government securities and corporate or other non-government fixed-income securities with maturities of up to 12 months. The Fund may invest in debt instruments indirectly through short-term bond funds and ETFs. The Fund may also invest in cash and cash equivalents, including money market funds. Currently, the Fund expects to invest in ETFs to gain exposure to debt instruments.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||Y|0|Y||Y|1|||0.0|29.88|0.0|0.0|29.99|29.95|30.0552|30.055|0.0|0.0|30.1|30.0|30.005|0.0|0.0|0.0|0.0|29.93|0.0|29.93|28.0|32.04|29.86|30.12|29.93|30.06|29.86|30.13|29.82|30.38|29.93|30.06|34.81|28.57|81703|26961309 73682|KMPB|KMPB|488401308|US4884013081|Kemper Corporation|5.875% Fixed-Rate Reset Junior Subordinated Debentures due 2062|Operating company|G|N|N|N|Y|Y|Y|Y|Y|8|C|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN3-4|TXN7-8|TXN1-2|TXN3-2|6000000|||Quarterly|||||2022-03-14|2062-03-15|||||| | | | | | | | | 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Electronics|N||N||||||Y|0|Y||Y|2|||16.19|16.21|0.0|15.88|16.19|16.2|16.195|16.185|0.0|0.0|16.2|16.19|16.21|16.21|16.09|16.22|16.14|16.215|16.19|16.22|16.21|16.22|12.34|19.73|16.15|16.24|15.42|16.24|16.19|16.24|16.21|16.22|20.25|12.78|488070|145912704 8790|KNCT|KNCT|46137V688|US46137V6882|Invesco Exchange-Traded Fund Trust|Invesco Next Gen Connectivity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Invesco|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-7|TXN1-2|TXN6-6|TXN1-6|TXN4-4|470000|||Quarterly|||||2008-11-03||PXQ.NV|PXQ.SO|PXQ.EU|PXQ.TC|PXQ.IV| | | | | | | | | |1x|The PowerShares Dynamic Networking Portfolio (Fund) is based on the Dynamic Networking Intellidex Index (Index). 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A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN6-2|TXN12-4|TXN6-6|TXN5-2|35410000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||BMU||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||17.05|17.06|0.0|17.06|16.99|17.06|17.06|17.06|0.0|0.0|16.99|17.04|17.06|17.04|16.61|17.06|16.99|17.06|17.06|17.06|16.9|17.22|13.23|20.58|16.93|17.21|17.01|17.09|17.01|17.1|17.03|17.06|20.65|10.29|271641|97067253 53571|KNSL|KNSL|49714P108|US49714P1084|Kinsale Capital Group, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN4-3|TXN8-8|TXN2-4|TXN3-8|23170000|||Quarterly|||||2022-01-03||||||| | | | | | | | | |||N|0|Y|Y|410A|USA|US|||30|3030|303020|30302025|Financials|Insurance|Non-life Insurance|Property and Casualty Insurance|N||N||||||Y|0|Y||Y|1|||339.17|352.1|0.0|349.18|349.01|349.98|348.94|349.21|0.0|0.0|352.1|351.0|349.1|347.05|345.33|348.88|350.0|348.81|338.25|348.88|348.8|349.0|328.79|371.24|348.44|349.62|348.18|349.98|347.89|349.25|348.8|349.0|457.73|250.895|303756|37943398 73678|KNSW|KNSW|499103109|US4991031091|KnightSwan Acquisition Corporation|Class A Common Stock|Special purpose acquisition company|A|N|N|N|Y|Y|Y|Y|Y|6|T|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN3-8|TXN9-8|TXN2-3|TXN4-5|4650000|||NotApplicable|||||2022-03-14||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|10.59|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.585|10.58|0.0|10.581|0.0|10.581|10.58|10.581|10.58|10.59|0.0|0.0|9.94|10.59|10.58|10.61|0.0|0.0|10.58|10.59|11.52|10.085|7110|21218772 73679|KNSW WS|KNSW.WS|499103117|US4991031174|KnightSwan Acquisition Corporation|Public warrants, each whole public warrant exercisable for one share of Class A Common Stock at an exercise price of $11.50 per share|Special purpose acquisition 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LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN2-6|TXN1-5|TXN2-8|TXN4-8|0|||NotApplicable|||||2022-01-21||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|12.31|0.0|0.0|12.4|12.3|10.8|10.81|0.0|0.0|0.0|0.0|11.13|0.0|0.0|10.7|0.0|10.7|11.85|10.7|10.58|10.7|0.0|0.0|9.48|12.96|10.57|12.96|0.0|0.0|10.57|12.96|12.9|10.1|6740|62098 68365|KNTE|KNTE|49705R105|US49705R1059|Kinnate Biopharma Inc|COM USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN5-7|TXN14-5|TXN6-1|TXN6-6|47110000|||NotApplicable|||||||||||| | | 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LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN3-1|TXN5-8|TXN4-3|TXN2-4|525210000|||BiAnnually|||||1993-09-14||||||| | | | | | | | | |||N|0|N|Y|118A|MEX|MX|||45|4510|451010|45101020|Consumer Staples |Food, Beverage and Tobacco |Beverages|Soft Drinks|N||N||||||N|0|Y||Y|2|||84.68|86.43|0.0|86.24|86.25|86.36|86.335|86.39|0.0|0.0|86.61|86.67|86.29|85.39|84.41|86.3|85.88|86.335|86.32|86.3|86.3|86.34|66.34|105.71|85.88|86.84|85.9|86.69|85.9|86.69|86.3|86.34|91.23|64.97|133812|38067653 60620|KOIN|KOIN|301505764|US3015057645|Exchange Traded Concepts Trust|Capital Link Global Fintech Leaders ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Exchange Traded Concepts|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-5|TXN4-5|TXN3-8|TXN1-5|TXN4-8|425000|||Yearly|||||2018-01-30||KOIN.NV|KOIN.SO|KOIN.EU|KOIN.TC|KOIN.IV| | | | | | | | | |1x|The Innovation Shares NextGen Protocol ETF (the Fund) seeks to provide investment results that,before fees and expenses, track the price and yield performance of the Blockchain Innovators Index(the Index). |N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||0.0|29.93|0.0|0.0|0.0|30.43|30.235|29.93|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|30.315|0.0|30.315|28.27|32.53|0.0|0.0|30.24|30.39|28.27|32.53|0.0|0.0|30.24|30.39|34.27|26.525|2663|490740 66103|KOKU|KOKU|233051135|US2330511351|DBX ETF Trust|Xtrackers MSCI Kokusai Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||DBX Advisors|Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-6|TXN4-8|TXN7-8|TXN2-5|TXN2-8|6400001|||Quarterly|||||2020-04-08||KOKU.NV|KOKU.SO|KOKU.EU|KOKU.TC|KOKU.IV| | | | | | | | | |1x|Fund will aim to track the underlying index, which aims to provide access to developed market equities excluding Japan.|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|80.15|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|81.9743|0.0|81.9743|81.78|82.16|0.0|0.0|81.78|82.16|0.0|0.0|0.0|0.0|81.78|82.16|82.91|69.2759|11|50618 38900|KOLD|KOLD|74347Y813|US74347Y8131|ProShares Trust II|ProShares UltraShort Bloomberg Natural Gas|Trust|ETV|N|N|P|Y|Y|Y|Y|Y||||||||ProShares Advisors |IMC Chicago, LLC, DBA IMC Financial Markets|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-6|TXN3-2|TXN8-4|TXN3-2|TXN4-6|1166856|||NotApplicable|||||2011-10-06||KOLD.NV|KOLD.SO|KOLD.EU|KOLD.TC|KOLD.IV| | | | | | | | | |-2x|ProShares UltraShort DJ-UBS Natural Gas (KOLD) seeks, on a daily basis, to provide investment results (before fees and expenses) that correspond to twice the inverse (-2x) of the performance of the Index. The Index tracks a rolling futures position in NYMEX Natural Gas futures contracts. The roll for each Index component occurs over a period of five DowJonesUBS business days in certain months according to a pre-determined schedule. The Index will reflect the performance of a rolling position in natural gas futures contracts without regard to income earned on cash positions.|N|0|N|N|416A|USA|US|COMMODITIES_AND_FUTURES|INVERSE|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||86.24|86.31|0.0|86.79|86.24|86.24|86.3032|86.585|0.0|0.0|86.24|86.24|86.36|86.24|87.89|86.24|86.74|86.19|86.24|86.19|86.05|86.74|86.04|86.92|86.19|86.54|86.24|86.54|86.35|86.54|86.1|86.54|92.35|12.8|1214523|510653939 62011|KOMP|KOMP|78468R648|US78468R6484|SPDR Series Trust|SPDR S&P Kensho New Economies Composite ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-4|TXN3-6|TXN5-5|TXN4-1|TXN4-4|41015000|||Quarterly|||||2018-10-23||KOMP.NV|KOMP.SO|KOMP.EU|KOMP.TC|KOMP.IV| | | | | | | | | |1x|The SPDR Kensho New Economies Composite ETF (the Fund) seeks to provide investment results that, before fees and expenses, correspond generally to the total return performance of the Kensho NewEconomies Composite Index.|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|1|||0.0|43.25|0.0|0.0|43.31|43.3|43.28|0.0|0.0|0.0|43.26|43.19|43.28|43.24|43.32|43.23|0.0|43.28|0.0|43.28|43.22|43.41|40.32|45.81|43.28|43.35|41.04|45.48|42.8|43.87|43.28|43.35|48.0|36.2301|301940|22850924 71213|KONG|KONG|26923N504|US26923N5041|ETF Opportunities Trust|Formidable Fortress ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Formidable Asset Management|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-3|TXN2-6|TXN5-8|TXN4-1|TXN4-7|1025000|||Yearly|||||2021-07-22||KONG.NV|KONG.SO|KONG.EU|KONG.TC| | | | | | | | | | |1x|Long-term capital appreciation generally achieved by investing in large- and mid-cap equity securities, including common stocks, related depository receipts (i.e., American Depository Receipts or ADRs, European Depository Receipts or EDRs, and Global Depository Receipts or GDRs), real estate investment trusts (REITs), and other equity investments or ownership interests in business enterprises. The Fund invests predominantly in common stocks of large- and mid-cap companies.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|25.7781|0.0|25.7781|25.71|25.83|25.7|25.81|25.72|25.82|12.89|38.66|0.0|0.0|25.72|25.82|26.19|23.39|0|304096 16042|KOP|KOP|50060P106|US50060P1066|Koppers Holdings Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|C|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN4-7|TXN9-8|TXN1-7|TXN1-1|20820000|||Quarterly|||||2006-02-01||||||| | | | | | | | | |||N|0|N|Y|106B|USA|US|||55|5510|551010|55101000|Basic Materials|Basic Resources|Industrial Materials|Diversified Materials|N||N||||||N|0|Y||Y|2|||45.96|45.71|0.0|45.73|45.74|45.65|45.73|45.78|0.0|0.0|46.05|45.52|45.76|45.71|45.13|45.75|44.2|45.73|45.2|45.75|45.74|45.76|34.6|55.46|45.26|45.91|45.62|45.88|45.72|45.88|45.74|45.76|46.07|27.9442|165044|22089442 2248|KOPN|KOPN|500600101|US5006001011|Kopin Corp|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN5-8|TXN13-3|TXN6-8|TXN6-1|114450000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101020|10102010|Technology|Technology|Technology Hardware and Equipment|Semiconductors|N||N||||||Y|0|Y||||||1.55|1.55|0.0|1.53|1.55|1.545|1.55|1.54|0.0|0.0|1.545|1.55|1.55|0.0|1.53|1.53|1.53|1.55|0.0|1.55|1.53|1.56|1.24|1.86|1.53|1.55|1.52|1.57|1.53|1.55|1.54|1.55|2.5|0.94|275973|155116448 71893|KORE|KORE|50066V107|US50066V1070|KORE Group Holdings, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|M|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN1-8|TXN4-1|TXN2-8|TXN2-5|TXN4-5|86710000|||NotApplicable|||||2021-10-01||||||| | | | | | | | | |||N|0|N|Y|108A|USA|US|||10|1010|101010|10101010|Technology|Technology|Software and Computer Services|Computer Services|N||N||||||N|0|Y||Y|2|||0.619|0.5817|0.0|0.65|0.5817|0.619|0.5791|0.619|0.0|0.0|0.61|0.5938|0.6099|0.6456|0.0|0.5791|0.0|0.5791|0.61|0.5791|0.5791|0.6191|0.48|0.7305|0.5558|0.6439|0.48|0.7305|0.0|0.0|0.5791|0.6191|2.56|0.12|98209|32339929 71894|KORE WS|KORE.WS|50066V115|US50066V1153|KORE Group Holdings, Inc.|Warrants, each whole warrant exercisable for one share of common stock at an exercise price of $11.50 per share|Operating company|C|N|N|N|Y|Y|Y|Y|Y|6|M|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN3-8|TXN3-6|TXN3-8|TXN1-2|TXN3-6|86720000|||NotApplicable|||||2021-10-01|2026-09-30|||||| | | | | | | | | |||N|0|N|N|108A|USA|US|||||||||||N||N||||||N|0|Y||N||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.006|0.0236|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0058|0.0222|0.24|0.0057|0|944241 60410|KORP|KORP|025072109|US0250721091|American Century ETF Trust|American Century Diversified Corporate Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||American Century Investments|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN4-8|TXN8-8|TXN3-5|TXN4-7|4950000|||Monthly|||||2018-01-16||KORP.NV|KORP.SO|KORP.EU|KORP.TC|KORP.IV| | | | | | | | | ||Actively managed ETF focused on providing current income|N|0|N|N|406B|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||45.3501|0.0|0.0|0.0|45.3501|45.49|45.4718|45.3501|0.0|0.0|0.0|0.0|0.0|45.48|0.0|0.0|0.0|45.5157|0.0|45.5157|0.0|0.0|0.0|0.0|45.5|45.54|0.0|0.0|0.0|0.0|45.5|45.54|46.9|43.53|11238|4368515 41807|KORU|KORU|25459Y520|US25459Y5208|Direxion Shares ETF Trust|Direxion Daily MSCI South Korea Bull 3X Shares|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Direxion Shares|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN2-3|TXN6-2|TXN4-2|TXN1-7|4500001|||Quarterly|||||2013-04-10||KORU.NV|KORU.SO|KORU.EU|KORU.TC|KORU.IV| | | | | | | | | |3x|The Fund seeks daily investment results, before fees and expenses, of 300% of the performance of the MSCI Korea 25/50 Index.|N|0|N|N|416A|USA|US|EQUITY|LEVERAGED|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||7.6|7.605|0.0|7.65|7.61|7.63|7.615|7.585|0.0|0.0|7.615|7.63|7.61|7.57|7.62|7.62|7.62|7.63|7.78|7.63|7.61|7.63|7.5|7.73|7.61|7.63|7.55|7.73|7.5|7.73|7.61|7.63|11.48|5.37|649509|67806484 7363|KOS|KOS|500688106|US5006881065|Kosmos Energy Ltd.|Common Shares|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-5|TXN2-5|TXN7-3|TXN1-1|TXN3-6|460130000|||Quarterly|||||2011-05-11||||||| | | | | | | | | |||N|0|N|Y|134B|USA|US|||60|6010|601010|60101010|Energy|Energy|Oil, Gas and Coal|Oil: Crude Producers|N||N||||||Y|0|Y||Y|2|||6.63|6.63|0.0|6.69|6.63|6.635|6.635|6.635|0.0|0.0|6.63|6.64|6.63|6.64|6.62|6.63|6.63|6.63|6.64|6.63|6.62|6.63|5.17|8.07|6.62|6.63|6.6|6.66|6.6|6.66|6.62|6.63|8.55|5.28|3126926|1240253716 2251|KOSS|KOSS|500692108|US5006921085|Koss Corp|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN5-4|TXN11-6|TXN6-5|TXN6-2|9240000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4020|402030|40203010|Consumer Discretionary|Consumer Products and Services|Leisure Goods|Consumer Electronics|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|3.23|3.2501|3.26|0.0|0.0|3.2|3.13|3.3|3.24|0.0|0.0|3.1|3.2501|0.0|3.3|2.56|3.7|2.56|4.09|3.23|3.41|2.56|3.8|0.0|0.0|3.3|3.34|6.75|2.6201|36335|9987727 65276|KPLT|KPLT|485859201|US4858592011|Katapult Holdings Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN6-2|TXN11-7|TXN5-5|TXN6-4|4070000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502050|50205015|Industrials|Industrial Goods and Services|Industrial Support Services|Transaction Processing Services|N||N||||||N|0|Y||||||0.0|11.16|0.0|0.0|0.0|11.25|11.3975|11.25|0.0|0.0|0.0|0.0|11.21|0.0|0.0|0.0|0.0|11.16|0.0|11.16|8.6|14.22|0.0|0.0|11.05|11.48|8.6|14.22|0.0|0.0|11.1|11.25|20.3|0.4001|6801|30468508 65277|KPLTW|KPLTW|485859110|US4858591104|Katapult Holdings Inc|WT EXP 060926||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-2|TXN6-5|TXN10-6|TXN5-5|TXN5-5|4070000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0166|0.0167|0.0|0.0|0.0|0.0167|0.016|0.016|0.0|0.0|0.0|0.0|0.0167|0.0|0.0167|0.0|0.0|0.0|0.0|0.0|0.05|0.0|0.0|0.0|0.0|0.01|0.0165|0.14|0.0004|13882|5003555 74550|KPOP|KPOP|301505491|US3015054915|Exchange Traded Concepts Trust|KPOP and Korean Entertainment ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Exchange Traded Concepts|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-3|TXN3-8|TXN1-5|TXN4-6|TXN1-4|170000|||Quarterly|||||2022-09-01||KPOP.NV|KPOP.SO|KPOP.EU|KPOP.TC| | | | | | | | | | |1x|The KPOP ETF (the Fund) seeks to provide investment results that, before fees and expenses, correspond generally to the totalreturn performance of the KPOP Index (the Index).|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|17.71|17.84|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|17.6205|0.0|17.6205|0.0|0.0|0.0|0.0|17.53|17.71|0.0|0.0|0.0|0.0|17.53|17.71|24.58|15.4249|268|171942 49251|KPRX|KPRX|49721T309|US49721T3095|Kiora Pharmaceuticals Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-2|TXN6-4|TXN10-5|TXN6-4|TXN6-2|7690000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||0.54|0.522|0.0|0.0|0.545|0.5005|0.537|0.0|0.0|0.0|0.522|0.52|0.537|0.0|0.0|0.0|0.0|0.537|0.5285|0.537|0.4959|0.5639|0.408|0.6264|0.5316|0.5639|0.4959|0.5639|0.5101|0.5582|0.5316|0.537|8.515|0.4622|41263|133357426 43062|KPTI|KPTI|48576U106|US48576U1060|Karyopharm Therapeutics Inc|COM USD.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-4|TXN5-8|TXN14-3|TXN5-5|TXN6-2|114530000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||0.8764|0.8697|0.0|0.871|0.8764|0.8722|0.8682|0.8764|0.0|0.0|0.866|0.8615|0.8751|0.8681|0.8389|0.86|0.8673|0.8682|0.8681|0.8751|0.8391|0.8984|0.6751|1.04|0.8533|0.892|0.8487|0.8989|0.8417|0.8962|0.8672|0.8724|5.415|0.67|1142260|535351152 7369|KR|KR|501044101|US5010441013|The Kroger Co.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|C|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-5|TXN3-7|TXN2-8|TXN1-5|TXN1-7|719320000|||Quarterly|||||1928-01-26||||||| | | | | | | | | |||N|5|Y|Y|146D|USA|US|||45|4520|452010|45201010|Consumer Staples |Personal Care, Drug and Grocery Stores |Personal Care, Drug and Grocery Stores |Food Retailers and Wholesalers |N||N||||||Y|0|Y||Y|1|||44.66|44.66|0.0|44.73|44.66|44.65|44.665|44.67|0.0|0.0|44.67|44.66|44.665|44.66|44.66|44.67|44.66|44.67|44.66|44.67|44.66|44.67|41.75|47.37|44.63|44.68|44.63|44.7|44.62|44.7|44.66|44.67|50.36|42.095|5079121|1171513685 67089|KRBN|KRBN|500767678|US5007676787|KraneShares Trust|KraneShares Global Carbon Strategy ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Krane Funds Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-1|TXN1-8|TXN1-5|TXN1-4|TXN4-3|12500000|||Quarterly|||||2020-07-30||KRBN.NV|KRBN.SO|KRBN.EU|KRBN.TC|KRBN.IV| | | | | | | | | |1x|Investment ObjectiveThe KFA Global Carbon ETF (the Fund) seeks to provide a total return that, before fees and expenses, exceeds that of the IHS Markit Global Carbon Index (the Index) over a complete market cycle.Principal Investment Strategies The Fund attempts to maintain exposure to carbon credit futures contracts (carbon credit futures) that are the same as or similar to those included in the Index and to exceed the performance of the Index through direct or indirect investment in debt instruments.The Index utilizes a rules-based methodology and is designed to track a portfolio of liquid carbon credit futures with physical delivery of emissions allowances issued under cap and trade regimes. The Index includes only carbon credit futures maturing in December of the next one to two years and that have a minimum average monthly trading volume over the previous six months of at least $10 million. The Index weights eligible carbon credit futures based on their average monthly trading volume during the relevant six month period. Weightings within the Index are subject to a 10% minimum weight per regime and a 65% maximum weight to any one of the three following geographical regions: (1) Europe, the Middle East and Africa, (2) the Americas, and (3) the Asia-Pacific. In addition, no single carbon credit futures expiring in a particular year will receive an allocation of less than 5% or more than 60% at each Index rebalancing/reconstitution.|N|0|N|N|416A|USA|US|COMMODITIES_AND_FUTURES|INDEX|||||||||N||N||||||Y|0|Y||Y|1|||34.57|34.58|0.0|34.61|34.61|34.55|34.6398|34.605|0.0|0.0|34.6|34.58|34.64|34.621|34.6|34.44|0.0|34.62|0.0|34.62|32.58|36.87|34.52|34.89|34.62|34.64|34.52|34.89|34.52|34.89|34.62|34.64|48.1|34.43|99118|25005968 7376|KRC|KRC|49427F108|US49427F1084|Kilroy Realty Corporation|Common Stock|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|8|C|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-2|TXN1-2|TXN9-4|TXN4-4|TXN2-3|117240000|||Quarterly|||||1997-01-29||||||| | | | | | | | | |||N|0|Y|Y|412A|USA|US|||35|3510|351020|35102030|Real Estate|Real Estate |Real Estate Investment Trusts|Office REITs|N||N||||||Y|0|Y||Y|1|||35.98|35.98|0.0|35.98|35.99|36.05|35.99|35.98|0.0|0.0|36.0|35.95|35.97|35.99|35.72|35.99|36.03|35.97|36.0|35.99|35.97|36.0|33.75|38.16|35.94|36.07|35.95|37.41|35.95|36.0|35.97|36.0|43.475|25.99|1074231|267548031 16724|KRE|KRE|78464A698|US78464A6982|SPDR Series Trust|SPDR S&P Regional Banking ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-2|TXN4-1|TXN8-3|TXN1-6|TXN1-6|66252585|||Quarterly|||||2008-11-06||KRE.NV|KRE.SO|KRE.EU|KRE.TC|KRE.IV| | | | | | | | | |1x|The SPDR S&P Regional Banking ETF (the Fund) seeks to provide investment results that, before fees and expenses, correspond generally to the total return performance of an index derived from the regional banking segment of the U.S. banking industry.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||48.13|48.13|0.0|48.05|48.12|48.13|48.1316|48.12|0.0|0.0|48.12|48.13|48.13|48.14|48.13|48.13|48.16|48.12|48.13|48.12|48.12|48.15|47.06|49.21|48.12|48.14|48.09|49.21|47.96|48.28|48.12|48.14|65.315|34.52|20528121|4560844413 57253|KREF|KREF|48251K100|US48251K1007|KKR Real Estate Finance Trust Inc.|Common Stock, $0.01 par value per share|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-5|TXN1-2|TXN6-7|TXN4-8|TXN1-8|69310000|||Quarterly|||||2017-05-05||||||| | | | | | | | | |||N|0|N|Y|414A|USA|US|||30|3020|302030|30203000|Financials|Financial Services |Mortgage Real Estate Investment Trusts|Mortgage REITs: Diversified|N||N||||||Y|0|Y||Y|2|||12.98|12.99|0.0|13.0|12.99|12.98|12.98|12.98|0.0|0.0|12.99|12.98|12.98|12.99|12.93|12.99|12.98|12.98|12.975|12.99|12.97|12.99|9.92|15.8|12.95|13.01|12.96|13.0|12.95|13.01|12.97|12.99|16.53|9.94|391103|106269250 70397|KREF PRA|KREFpA|48251K209|US48251K2096|KKR Real Estate Finance Trust Inc.|6.50% Series A Cumulative Redeemable Preferred Stock|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|8|I|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN1-6|TXN3-8|TXN3-5|TXN1-1|13110000|||Quarterly|||||2021-04-26||||||| | | | | | | | | |||N|0|N|N|414A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||17.88|17.91|0.0|0.0|17.9|17.91|17.95|17.95|0.0|0.0|17.91|17.6|17.91|0.0|0.0|17.9|17.95|17.93|17.9|17.9|17.8|17.9|17.81|18.0|17.5|18.26|0.0|0.0|0.0|0.0|17.8|17.9|21.45|15.7|36941|6942462 7380|KRG|KRG|49803T300|US49803T3005|Kite Realty Group Trust|Common Shares|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|8|C|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-5|TXN4-7|TXN3-4|TXN4-8|TXN3-7|219390000|||Quarterly|||||2014-08-12||||||| | | | | | | | | |||N|0|N|Y|412A|USA|US|||35|3510|351020|35102045|Real Estate|Real Estate |Real Estate Investment Trusts|Retail REITs|N||N||||||Y|0|Y||Y|2|||22.755|22.76|0.0|22.25|22.74|22.755|22.75|22.76|0.0|0.0|22.75|22.76|22.75|22.74|22.73|22.75|22.73|22.75|22.74|22.75|22.74|22.75|17.47|27.57|22.74|22.77|22.72|22.79|22.72|22.79|22.74|22.75|24.26|18.77|2140654|363944558 64985|KRKR|KRKR|88429K103|US88429K1034|36Kr Holdings Inc|ADS||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-1|TXN6-7|TXN14-3|TXN6-4|TXN6-1|878390000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||50|5020|502050|50205020|Industrials|Industrial Goods and Services|Industrial Support Services|Professional Business Support Services|N||N||||||N|0|Y|D|||||0.0|0.0|0.0|0.0|0.0|0.0|0.7|0.0|0.0|0.0|0.0|0.0|0.665|0.0|0.0|0.0|0.0|0.7|0.0|0.7|0.0|0.0|0.0|0.0|0.651|0.73|0.0|0.0|0.0|0.0|0.661|0.7|1.48|0.65|2215|13222641 53454|KRMA|KRMA|37954Y731|US37954Y7316|Global X Conscious Companies 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LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-1|TXN4-6|TXN1-8|TXN1-3|TXN4-3|18400000|||BiAnnually|||||2015-09-17||KSA.NV|KSA.SO|KSA.EU|KSA.TC|KSA.IV| | | | | | | | | |1x|The iShares MSCI Saudi Arabia Capped ETF (the Fund) seeks to track the investment results of a broad-based index composed of Saudi Arabian equities.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||39.86|39.84|0.0|0.0|39.86|39.86|39.86|39.855|0.0|0.0|39.86|39.85|39.85|39.86|39.855|39.86|0.0|39.86|39.85|39.86|39.84|39.85|37.24|42.61|39.84|39.85|39.33|40.46|39.34|40.46|39.84|39.85|43.17|35.78|657744|114227097 73333|KSCP|KSCP|49907V102|US49907V1026|Knightscope Inc|CL A COM USD0.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-2|TXN5-1|TXN14-1|TXN6-4|TXN6-7|75380000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502050|50205040|Industrials|Industrial Goods and Services|Industrial Support Services|Security Services|N||N||||||N|0|Y||||||0.788|0.79|0.0|0.0|0.79|0.79|0.7904|0.7903|0.0|0.0|0.7904|0.7905|0.788|0.7863|0.0|0.7904|0.0|0.7904|0.777|0.788|0.7689|0.7904|0.616|0.9348|0.7705|0.8|0.7606|0.8171|0.7632|0.8218|0.79|0.7904|2.3685|0.36|2540816|471283029 76273|KSEA|KSEA|500767462|US5007674626|KraneShares Trust|KraneShares Rockefeller Ocean Engagement ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Krane Funds Advisors|Old Mission Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-5|TXN2-3|TXN8-8|TXN3-1|TXN3-4|100002|||Yearly|||||2023-09-12||KSEA.NV|KSEA.SO|KSEA.EU|KSEA.TC| | | | | | | | | | ||Under normal market conditions, the Fund invests at least 80% of its net assets, plus the amount of any borrowings for investment purposes, in Ocean Related Companies. The Sub-Adviser believes that investing in Ocean Related Companies offers the potential for above-average long-term growth, especially if environmental, social and corporate governance (ESG) factors continue to become more consequential to investors. Examples of Ocean Related Companies include water infrastructure and technology companies, waste operator and technology companies, aquaculture operators, commercial fishing operators, retailers linked to the seafood value chain, specialty chemical manufacturers, petrochemical producers, retailers linked to the plastic value chain, shipping and logistics companies, shipping transportation companies, recreational marine product companies, port operators, port equipment manufacturers, offshore energy and services companies, biofuel producers, renewable energy operators and original equipment manufacturers, tourism and leisure companies, companies involved in earth imaging, engineering, design and consulting, third-party testing, inspection and certification, and packaging companies. The Fund will invest in three categories of Ocean Related Companies: (1) Ocean Leaders: companies that the Sub-Adviser has determined currently pursue strong ocean sustainability practices; (2) Ocean Solutions: companies whose products and services seek to address sustainable ocean impacts; and (3) Ocean Improvers: companies whose activities are currently having a negative to neutral impact on oceans or ocean resources but who are taking, or have formally expressed to the Sub-Adviser they are considering taking, material steps towards enhancing sustainability initiatives and reducing the impact that their products or services have on oceans or ocean resources over time, in conjunction with the Sub-Advisers preliminary engagement objectives. The Fund anticipates that a majority of the Funds assets will be invested in Ocean Improvers.Using proprietary, fundamental, bottom-up analysis of company-disclosed and third-party data, the Sub-Adviser will analyze each investment opportunity to identify Ocean Related Companies for investment by the Fund consistent with its principal investment strategies. Under normal circumstances, the Fund will invest in approximately 30 to 50 companies of any market capitalization, which may be domiciled in any country, including in emerging markets, and may operate in any industry or sector. Due to the Funds focus on Ocean Related Companies, the Fund expects to invest significantly in companies in the Industrials, Consumer Staples, Materials and Utilities sectors. The Fund will exit a position if, in the opinion of the Sub-Adviser, a more attractive investment opportunity exists and/or if the Sub-Adviser believes the thesis that drove the investment is no longer present. A companys reluctance to constructively engage with the Sub-Adviser on, or failure to make material progress on, ocean-related impacts identified as part of an engagement objective, may result in divestment. In addition to equity securities, the Fund may invest in derivative instruments (including swaps, futures, forwards, structured notes and options) for investment purposes, which may include altering the Funds exposure to currencies, sectors and individual issuers. Because the Fund invests a portion of its assets in securities that are traded in currencies other than U.S. dollars, the Fund may buy and sell foreign currencies to facilitate transactions in portfolio securities and may seek to hedge against currency risks. The Fund also may invest in other investment companies (including exchange traded funds or ETFs) and cash or cash equivalents (including money market funds). Certain investment companies in which the Fund may invest may be advised, sponsored or otherwise serviced by Krane Funds Advisors, LLC (the Adviser) and/or its affiliates.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|24.778|0.0|24.778|0.0|0.0|0.0|0.0|24.72|24.83|0.0|0.0|0.0|0.0|24.72|24.83|25.3399|22.7245|1|4952 73949|KSET|KSET|500767538|US5007675383|KraneShares Trust|KraneShares Global Carbon Offset Strategy ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Krane Funds Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-7|TXN4-5|TXN7-8|TXN3-7|TXN2-8|550002|||Quarterly|||||2022-04-27||KSET.NV|KSET.SO|KSET.EU|KSET.TC| | | | | | | | | | ||The KraneShares Global Carbon Offset Strategy ETF (the Fund) seeks capital appreciation. To pursue its investment objective of capital appreciation, the Fund will invest in futures contracts on carbon offset credits (carbon offset credit futures). Each carbon offsets credit represents the reduction or removal of a specific amount of carbon dioxide or other greenhouse gas (GHG) from the atmosphere. Carbon offsets credits are designed to provide a mechanism for people and businesses to mitigate the adverse environmental impact of their GHG-generating activities. For example, a frequent flyer can mitigate the adverse environmental impact of her travel by purchasing carbon offset credits from an organization that will invest the transaction proceeds in projects that have a positive environmental impact, such as reforestation. The Fund intends to invest in futures contracts on carbon offset credits that are traded on the Chicago Mercantile Exchange (CME) -- Global Emissions Offsets (GEOs) and Nature-Based Global Emission Offsets (N-GEOs). GEOs and N-GEOs are designed to allow businesses to manage their GHG-reduction goals by purchasing today carbon offset credits for delivery in the future. Under normal circumstances, the Fund will invest primarily in carbon offset credit futures, including GEOs and N-GEOs that mature in the next two years. As the carbon offset credit market grows, Krane Funds Advisors, LLC (Adviser) may invest in other types of carbon offset credit futures in addition to or in lieu of GEOs and N-GEOs, provided that they meet certain liquidity requirements In addition to carbon offset credit futures, the Fund may invest in futures on carbon credits issued under cap-and-trade regimes (carbon credit futures) in order to obtain investment exposures that are consistent with the GHG-reducing goal of carbon offset credits. The Fund may also invest in other instruments, such as options on futures contracts, swap contracts, other exchange-traded funds (ETFs), and notes, which may or may not be exchange-traded, in order to gain investment exposure to carbon offset credit futures and carbon credit futures. The Fund may also invest in debt instruments. The debt instruments in which the Fund intends to invest include government securities and corporate or other non-government fixed-income securities with maturities of up to 12 months of any investment grade. The Fund may invest in debt instruments indirectly through short-term bond funds and ETFs. The Fund may also invest in cash and cash equivalents, including money market funds. The Fund will utilize a subsidiary (the Subsidiary) for purposes of investing in futures. The Subsidiary is a corporation operating under Cayman Islands law that is wholly-owned and controlled by the Fund. The Subsidiary is advised by the Adviser. The Funds investment in the Subsidiary may not exceed 25% of the value of its total assets (ignoring any subsequent market appreciation in the Subsidiarys value), which limitation is imposed by the Internal Revenue Code of 1986, as amended, and is measured at the end of each quarter. The Subsidiary has the same investment objective as the Fund and will follow the same investment policies and restrictions as the Fund. Except as noted, for purposes of this Prospectus, references to the Funds investment strategies and risks include those of its Subsidiary, and references to the Fund include the Subsidiary.|N|0|N|N|416A|USA|US|COMMODITIES_AND_FUTURES|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|1.21|1.26|1.19|0.0|0.0|0.0|0.0|1.25|0.0|0.0|0.0|0.0|1.21|0.0|1.21|1.18|1.28|1.18|1.3|1.23|1.25|1.18|1.31|1.18|1.28|1.23|1.25|11.6399|1.02|57635|1758929 7399|KSM|KSM|23342Q101|US23342Q1013|DWS Strategic Municipal Income Trust|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN1-4|TXN1-5|TXN4-3|TXN4-1|11050000|||Monthly|||||1989-03-23||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||8.47|0.0|0.0|0.0|8.47|8.47|8.5|8.47|0.0|0.0|8.47|8.48|8.5|8.37|7.864|8.47|0.0|8.47|0.0|8.47|8.47|8.5|8.47|8.51|7.93|9.03|0.0|0.0|0.0|0.0|8.47|8.5|8.88|7.2487|28690|7095478 7402|KSS|KSS|500255104|US5002551043|Kohl's Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-3|TXN4-3|TXN8-1|TXN3-1|TXN1-3|110710000|||Quarterly|||||1992-05-19||||||| | | | | | | | | |||N|0|Y|Y|146A|USA|US|||40|4040|404010|40401020|Consumer Discretionary|Retail |Retailers |Apparel Retailers|N||N||||||Y|0|Y||Y|1|||25.57|25.57|0.0|25.24|25.57|25.57|25.57|25.56|0.0|0.0|25.57|25.59|25.57|25.59|25.585|25.57|25.58|25.57|25.59|25.57|25.56|25.58|23.69|26.97|25.55|25.58|25.53|25.62|25.51|25.58|25.56|25.58|35.77|17.68|7952599|1114612043 68901|KSTR|KSTR|500767694|US5007676944|KraneShares Trust|KraneShares SSE STAR Market 50 Index ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Krane Funds Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN4-2|TXN3-8|TXN1-4|TXN2-5|2500000|||Yearly|||||2021-01-27||KSTR.NV|KSTR.SO|KSTR.EU|KSTR.TC|KSTR.IV| | | | | | | | | |1x|Investment Objective The KraneShares SSE STAR Market 50 Index ETF (the Fund) seeks to provide investment results that, before fees and expenses, correspond generally to the price and yield performance of a specific equity securities index. The Funds current index is the SSE Science and Technology Innovation Board 50 Index (the Underlying Index). Principal Investment Strategies Under normal circumstances, the Fund will invest at least 80% of its total assets in components of the Underlying Index and depositary receipts, including American depositary receipts, representing such components. The Underlying Index includes the stocks and depositary receipts of the top 50 companies by free-float market capitalizations that are listed on the SSE STAR Market. The SSE STAR Market is a new listing exchange run by the Shanghai Stock Exchange that focuses on Chinese science and technology companies. According to the Shanghai Stock Exchange, companies listed on the SSE Science and Technology Innovation Board 50 Index are mainly from high-tech and strategic emerging industries, and most focus on next-generation information technology, biomedicine, high-end equipment and other industries. The Underlying Index components are weighted based on their free-float market capitalizations, subject to a 10% cap on any particular component. The Underlying Index may include less than 50 components if there are an insufficient number of eligible stocks and depositary receipts, but will include no fewer than 30 components. Components eligible for inclusion in the Underlying Index must meet certain market capitalization and liquidity screens and have been trading for at least 11 days. The stocks included in the Underlying Index will consist of China A-Shares.|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|12.42|12.9|0.0|0.0|0.0|0.0|0.0|12.421|0.0|0.0|0.0|12.46|0.0|12.46|11.54|13.29|0.0|0.0|12.42|12.5|11.54|13.29|0.0|0.0|12.42|12.5|17.8847|11.74|3628|2492265 7408|KT|KT|48268K101|US48268K1016|KT Corporation|American Depositary Shares (Each representing 1/2 of a Common Share)|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-4|TXN3-4|TXN5-6|TXN1-8|TXN3-4|257860000|||Yearly|||||1999-05-26||||||| | | | | | | | | |||N|0|N|Y|306A|KOR|KR|||15|1510|151020|15102015|Telecommunications|Telecommunications|Telecommunications Service Providers |Telecommunications Services|N||N||||||Y|0|Y||Y|2|||13.02|13.02|0.0|0.0|13.01|13.025|13.015|13.025|0.0|0.0|13.025|13.03|13.02|12.94|13.04|13.01|13.025|13.015|13.03|13.01|13.01|13.02|10.01|15.97|13.01|13.03|12.95|13.09|13.0|13.03|13.01|13.02|14.925|11.04|1211302|235969420 63584|KTB|KTB|50050N103|US50050N1037|Kontoor Brands, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|C|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-6|TXN4-4|TXN5-7|TXN1-4|TXN4-8|56180000|||Quarterly|||||2019-05-09||||||| | | | | | | | | |||N|0|N|Y|146F|USA|US|||40|4020|402040|40204020|Consumer Discretionary|Consumer Products and Services|Personal Goods|Clothing and Accessories|N||N||||||Y|0|Y||Y|2|||55.48|55.505|0.0|55.41|55.6|55.49|55.52|55.48|0.0|0.0|55.63|55.51|55.51|55.48|55.41|55.51|55.47|55.52|55.11|55.51|55.51|55.52|42.37|67.49|55.36|55.59|55.4|55.54|55.39|55.57|55.51|55.52|56.04|37.1|505696|104306997 2257|KTCC|KTCC|493144109|US4931441095|Key Tronic Corp|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN6-2|TXN13-7|TXN6-6|TXN5-1|10760000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101020|10102030|Technology|Technology|Technology Hardware and Equipment|Computer Hardware|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|4.08|4.0801|0.0|0.0|0.0|0.0|0.0|4.02|0.0|0.0|0.0|4.05|4.08|0.0|4.02|3.81|4.28|0.0|0.0|3.87|4.31|0.0|0.0|0.0|0.0|4.02|4.07|7.53|3.72|15301|6070630 70807|KTEC|KTEC|500767579|US5007675797|KraneShares Trust|KraneShares Hang Seng TECH Index ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Krane Funds Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-8|TXN4-3|TXN9-8|TXN3-3|TXN4-6|500002|||Yearly|||||2021-06-09||KTEC.NV|KTEC.SO|KTEC.EU|KTEC.TC|KTEC.IV| | | | | | | | | |1x|The KraneShares Hang Seng TECH Index ETF (the Fund) seeks to provide investment results that, before fees and expenses, track the price and yield performance of a specific foreign equity securities index. The Funds current index is the Hang Seng TECH Index (the Underlying Index).Under normal circumstances, the Fund will invest at least 80% of its total assets in components of the Underlying Index and depositary receipts, including American depositary receipts (ADR), representing such components and securities underlying depositary receipts in the Underlying Index. The Underlying Index is composed of the equity securities of the 30 technology companies with the largest free float market capitalization that are listed on the Hong Kong Stock Exchange with significant exposure to internet, fintech, cloud computing, e-commerce and digital technology. To be eligible for inclusion in the Underlying Index, companies must either (1) be technology-enabled (i.e., operate primarily on an internet or mobileplatform); (2) have a research & development expenses-to-revenue ratio that is greater than or equal to 5%; or (3) have year-over-year revenue growth that is greater than or equal to 10%. Only Greater China companies (as defined below) in the industrials, consumer discretionary, healthcare, financials and information technology sectors are considered for inclusion in the Underlying Index. Greater China companies are defined as companies that either (a) are incorporated in Hong Kong, (b) derive 50% of their revenue from mainland China; or (c) have their headquarters or principal place of business in Hong Kong, Macau or mainland China. The Underlying Index components will be weighted according to their free float market capitalization, with no issuer representing more than 8% of the Underlying Index at the time the Underlying Index is rebalanced. The Underlying Index is rebalanced quarterly and reconstituted at least semi-annually. For initial public offerings (IPOs), if the IPO ranks within the top ten of the existing constituents in the Underlying Index on the first day of the IPOs trading and meets the other criteria, the IPO will be added to the UnderlyingIndex approximately ten trading days after the IPO.|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|11.5362|0.0|0.0|0.0|0.0|0.0|0.0|11.651|0.0|0.0|0.0|11.501|0.0|11.501|10.69|12.34|0.0|0.0|11.48|11.54|10.69|12.34|0.0|0.0|11.48|11.54|15.039|10.42|2185|1118243 7410|KTF|KTF|233368109|US2333681094|DWS Municipal Income Trust|Common Shares|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN4-7|TXN2-8|TXN1-4|TXN3-5|39170000|||Monthly|||||1988-10-21||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||8.64|8.555|0.0|0.0|8.65|8.655|8.6501|8.65|0.0|0.0|8.65|8.5|8.65|8.65|0.0|8.65|8.65|8.655|8.65|8.65|8.65|8.66|6.64|10.55|8.03|9.19|8.63|8.68|8.65|8.67|8.65|8.66|9.31|7.4|62311|18912713 7411|KTH|KTH|22080R206|US22080R2067|Structured Products Corp.|8.0% Corporate-Backed Trust Securities (CorTS) Certificates (Issued by PECO Energy Capital Trust III) due 4/6/2028|Other|G|N|N|N|Y|Y|Y|Y|Y|6|H|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN1-3|TXN3-8|TXN2-3|TXN2-4|1020000|||BiAnnually|||||2001-02-12|2028-04-06|||||| | | | | | | | | |||N|0|N|N|412C|USA|US|||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|28.55|28.55|28.55|0.0|0.0|0.0|28.49|0.0|0.0|0.0|28.55|0.0|28.55|0.0|28.55|28.21|28.79|0.0|0.0|28.21|31.7|0.0|0.0|0.0|0.0|28.21|28.79|31.66|27.6|458|247484 7414|KTN|KTN|22532R101|US22532R1014|Structured Products Corp.|8.205% Credit-Enhanced Corporate-Backed Trust Securities(Credit-Enhanced CorTS Certificates with a principal amount of 30,000,000)(For Aon Capital A, Trust)|Other|G|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN1-6|TXN6-8|TXN1-3|TXN2-4|1610000|||BiAnnually|||||2001-01-12|2027-01-01|||||| | | | | | | | | |||N|0|N|N|410B|USA|US|||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|27.07|27.25|0.0|0.0|26.9|27.9|0.0|0.0|0.0|0.0|27.07|27.25|28.74|25.46|0|314807 4390|KTOS|KTOS|50077B207|US50077B2079|Kratos Defense & Security Solutions Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN6-6|TXN14-1|TXN6-4|TXN5-8|128940000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502010|50201020|Industrials|Industrial Goods and Services|Aerospace and Defense|Defense|N||N||||||Y|0|Y||||||20.22|20.215|0.0|20.1|20.22|20.215|20.215|20.22|0.0|0.0|20.215|20.215|20.22|20.12|20.2|20.215|20.2|20.215|20.21|20.22|20.21|20.24|17.0|24.41|20.18|20.23|20.18|20.25|20.18|20.25|20.21|20.22|20.24|8.905|1383299|205998062 44491|KTRA|KTRA|49720K200|US49720K2006|Kintara Therapeutics Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-8|TXN6-4|TXN12-8|TXN5-3|TXN5-5|3390000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y|D|||||0.3188|0.3145|0.0|0.0|0.3193|0.3122|0.318|0.319|0.0|0.0|0.3145|0.3145|0.318|0.0|0.0|0.3113|0.0|0.319|0.0|0.319|0.2945|0.3303|0.248|0.368|0.3061|0.325|0.2945|0.3303|0.0|0.0|0.315|0.3179|15.4999|0.306|397796|49953078 71689|KTTA|KTTA|70261F103|US70261F1030|Pasithea Therapeutics Corp|COM USD.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-1|TXN5-4|TXN12-3|TXN5-1|TXN6-4|20840000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y|D|||||0.0|0.31|0.0|0.0|0.316|0.3136|0.3101|0.0|0.0|0.0|0.3135|0.3135|0.315|0.0|0.0|0.0|0.0|0.31|0.0|0.31|0.2504|0.3828|0.2504|0.3828|0.2894|0.3418|0.2504|0.3828|0.0|0.0|0.31|0.32|1.05|0.2859|16493|24863987 71690|KTTAW|KTTAW|70261F111|US70261F1113|Pasithea Therapeutics Corp|WT EXP 081226||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-4|TXN6-7|TXN11-4|TXN6-7|TXN6-6|20840000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y|C|||||0.0|0.0|0.0|0.0|0.0|0.0|0.0081|0.0|0.0|0.0|0.0081|0.0|0.0081|0.0|0.0|0.0|0.0|0.0081|0.0|0.0081|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0081|0.0199|0.121|0.0003|49510|2974152 68716|KUKE|KUKE|501229108|US5012291085|Kuke Music Holding Limited|American Depositary Shares, each representing one Ordinary Share|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN3-7|TXN2-8|TXN3-7|TXN4-4|21790000|||NotApplicable|||||2021-01-12||||||| | | | | | | | | |||N|0|N|Y|108B|CHN|KY|||40|4030|403010|40301010|Consumer Discretionary|Media|Media|Entertainment|N||N||||||N|0|Y||Y|2|||0.0|1.02|0.0|0.0|0.0|1.04|1.0436|1.09|0.0|0.0|0.0|0.0|0.0|0.0|0.0|1.05|0.0|1.05|0.0|1.05|1.03|1.06|0.816|1.26|0.9616|1.05|0.816|1.26|0.0|0.0|0.9616|1.05|1.4|0.33|1630|14809502 70790|KULR|KULR|50125G109|US50125G1094|KULR Technology Group, Inc.|Common Stock|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN12-5|TXN1-8|TXN5-8|TXN3-8|TXN1-5|127890000|||NotApplicable|||||2021-06-07||||||| | | | | | | | | |||N|0|N|N|306A|USA|US|||10|1010|101020|10102015|Technology|Technology|Technology Hardware and Equipment|Electronic Components|N||N||||||Y|0|Y||Y|2|||0.2931|0.299|0.0|0.0|0.298|0.301|0.301|0.301|0.0|0.0|0.3033|0.299|0.299|0.2979|0.0|0.3|0.299|0.299|0.2951|0.299|0.2917|0.311|0.299|0.3033|0.2932|0.309|0.234|0.354|0.285|0.3|0.299|0.3033|1.78|0.28|549689|109651976 51873|KURA|KURA|50127T109|US50127T1097|Kura Oncology Inc|COM USD.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN5-3|TXN14-6|TXN5-5|TXN6-4|74270000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||10.21|10.19|0.0|10.13|10.21|10.2|10.21|10.21|0.0|0.0|10.22|10.19|10.21|10.21|10.13|10.21|10.14|10.2|10.17|10.21|10.09|10.31|7.77|12.37|10.1|10.29|10.16|10.25|10.18|10.24|10.19|10.21|16.135|7.41|428402|167009174 60632|KURE|KURE|500767835|US5007678353|KraneShares Trust|KraneShares MSCI All China Health Care Index ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Krane Funds Advisors|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-1|TXN1-7|TXN3-8|TXN2-8|TXN4-4|3400002|||Yearly|||||2018-02-01||KURE.NV|KURE.SO|KURE.EU|KURE.TC|KURE.IV| | | | | | | | | |1x|KURE is designed to track the equity market performance of Chinese companies that are involved in Chinas Health Care industy.|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||17.81|18.51|0.0|0.0|0.0|18.645|17.8545|17.79|0.0|0.0|0.0|0.0|17.79|0.0|0.0|0.0|0.0|17.8702|0.0|17.8702|0.0|0.0|0.0|0.0|17.8|17.97|0.0|0.0|0.0|0.0|17.8|17.97|25.05|16.71|5206|6187187 76305|KVAC|KVAC|G52443119|VGG524431191|Keen Vision Acquisition Corp|ORD 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| | | | | |||N|0|N|N||USA||||15|1510|151010|15101010|Telecommunications|Telecommunications|Telecommunications Equipment|Telecommunications Equipment|N||N||||||N|0|Y||||||4.8|4.79|0.0|0.0|4.84|4.82|4.8011|4.85|0.0|0.0|4.84|4.85|4.82|4.89|0.0|4.82|4.88|4.8|0.0|4.82|4.67|4.95|3.69|5.95|4.69|4.9|3.69|5.95|0.0|0.0|4.79|4.8|12.1|4.3|53175|18638497 68267|KVLE|KVLE|500767645|US5007676456|KraneShares Trust|KraneShares Value Line Dynamic Dividend Equity Index ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Krane Funds Advisors|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-5|TXN3-3|TXN8-8|TXN2-3|TXN3-8|1400002|||Quarterly|||||2020-11-24||KVLE.NV|KVLE.SO|KVLE.EU|KVLE.TC|KVLE.IV| | | | | | | | | |1x|Investment Objective The KFA Value Line Dynamic Core Equity Index ETF (the Fund) seeks to provide investment results that, before fees and expenses, correspond generally to the price and yield performance of a specific equity securities index. The Funds current index is the Value Line Dynamic Core Equity Index (the Underlying Index). Principal Investment Strategies Under normal circumstances, the Fund will invest at least 80% of its total assets in components of the Underlying Index. The Underlying Index begins with the universe of stocks that Value Line ranks. All companies with an equity market capitalization of less than $1 billion, registered investment companies, limited partnerships and foreign securities not listed in the U.S. are eliminated from this universe. From this investable universe, the Underlying Index establishes: (1) a dividend target, which is the trailing 12-month dividend yield of stocks in the 25th percentile of yield in this universe; and (2) a beta target of 0.8 to 1 versus the S&P 500 Index based on forecasting models. Beta is a measure of the expected return of the Underlying Index relative to market movements. Each company in the investable universe is assigned a score based on its Safety Rank and Timeliness Rank with companies with Rank 1 receiving a higher score than companies with Rank 2. The Underlying Index then optimizes the weighting of companies using the score assigned to them to maximize the overall score for the Underlying Index taking into account the dividend target and the beta target. At each rebalancing, the Underlying Index seeks a yield that will be no less than the dividend target and a beta within 0.03 of the beta target. The weighting of a company can be zero and no individual company will be weighted more than 1.5% greater than its weighting in the broad-based large cap equity index. 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Products|N||N||||||Y|0|Y||Y|1|||20.6|20.61|0.0|20.58|20.6|20.605|20.61|20.62|0.0|0.0|20.61|20.625|20.61|20.63|20.625|20.62|20.625|20.615|20.62|20.62|20.61|20.62|19.32|21.94|20.61|20.62|20.57|20.65|20.57|20.62|20.61|20.62|27.795|17.82|22516193|3727536062 76325|KVYO|KVYO|49845K101|US49845K1016|Klaviyo, Inc.|Series A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|A|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN1-7|TXN4-7|TXN3-7|TXN4-4|19200000|||NotApplicable|||||2023-09-20||||||| | | | | | | | | |||N|0|N|Y|114D|USA|US|||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||Y|2|||30.77|30.73|0.0|30.66|30.78|30.68|30.67|30.74|0.0|0.0|30.76|30.81|30.65|30.59|30.85|30.64|30.49|30.64|30.725|30.64|30.64|30.65|23.32|37.41|30.51|31.05|30.55|30.83|30.56|30.83|30.64|30.65|39.47|24.3501|870402|63347178 26419|KW|KW|489398107|US4893981070|Kennedy-Wilson Holdings, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-6|TXN1-8|TXN8-8|TXN4-1|TXN1-2|139390000|||Quarterly|||||2010-03-19||||||| | | | | | | | | |||N|0|N|Y|414A|USA|US|||35|3510|351010|35101010|Real Estate|Real Estate |Real Estate Investment and Services Development|Real Estate Holding and Development |N||N||||||Y|0|Y||Y|2|||12.12|12.12|0.0|11.69|12.12|12.115|12.115|12.11|0.0|0.0|12.11|12.115|12.11|12.12|12.06|12.1|12.0|12.115|12.12|12.1|12.1|12.12|9.32|14.68|12.1|12.14|12.08|12.14|12.1|12.14|12.1|12.12|18.895|10.68|1060444|229635941 69817|KWE|KWE|501506604|CA5015066049|KWESST Micro Systems Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN6-1|TXN13-5|TXN5-5|TXN6-5|4080000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CAN||||50|5020|502010|50201020|Industrials|Industrial Goods and Services|Aerospace and Defense|Defense|N||N||||||N|0|Y|D|||||0.96|1.0|0.0|0.0|0.978|1.02|1.0|1.01|0.0|0.0|0.98|0.96|1.01|0.0|0.0|0.0|0.0|1.0|0.0|1.0|0.8|1.35|0.8|1.35|0.9335|1.2|0.8|1.35|0.0|0.0|1.0|1.13|3.9|0.8553|31558|10340300 42440|KWEB|KWEB|500767306|US5007673065|KraneShares Trust|KraneShares CSI China Internet ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Krane Funds Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-3|TXN1-5|TXN4-7|TXN3-1|TXN1-2|206300000|||Yearly|||||2017-11-09||KWEB.NV|KWEB.SO|KWEB.EU|KWEB.TC|KWEB.IV| | | | | | | | | |1x|The Underlying Index is a modified, free float adjusted market capitalization weighted index designed to track the equity market performance of Chinese companies that derive at least a makority of their revenues from envirmentally beneficial products and services.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment 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| |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.094|0.0|0.0|0.0|0.0|0.0153|0.0225|0.1|0.004|0|1185798 67326|KYMR|KYMR|501575104|US5015751044|Kymera Therapeutics Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN6-6|TXN12-1|TXN5-1|TXN5-4|55490000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||21.07|21.24|0.0|20.7|21.09|21.28|21.25|21.27|0.0|0.0|21.25|21.06|21.27|21.17|21.05|21.25|21.25|21.26|21.29|21.27|20.97|21.49|16.49|25.66|21.01|21.46|21.17|21.33|21.22|21.34|21.22|21.26|39.85|9.6|261654|124728287 7443|KYN|KYN|486606106|US4866061066|Kayne Anderson Energy Infrastructure Fund, Inc.|Common Stock|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-6|TXN1-2|TXN3-8|TXN1-6|TXN4-6|169100000|||Quarterly|||||2004-09-28||||||| | | | | | | | | |||N|0|N|N|406B|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||Y|0|Y||Y|2|||8.55|8.55|0.0|8.57|8.55|8.555|8.55|8.555|0.0|0.0|8.555|8.55|8.555|8.51|8.51|8.56|8.55|8.55|8.55|8.56|8.55|8.56|6.7|10.59|8.32|8.8|8.52|8.59|8.54|8.57|8.55|8.56|9.34|7.84|888515|106837393 2889|KZIA|KZIA|48669G105|US48669G1058|Kazia Therapeutics Ltd|SPONSORED ADR||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-1|TXN6-6|TXN10-2|TXN5-2|TXN5-2|236350000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||AUS||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y|D|||||0.44|0.45|0.0|0.0|0.44|0.46|0.44775|0.477|0.0|0.0|0.45|0.0|0.45|0.44|0.0|0.44|0.44|0.44775|0.44|0.44775|0.4091|0.54|0.3624|0.54|0.4091|0.538|0.4091|0.54|0.0|0.0|0.4455|0.45|1.68|0.3215|111960|22250373 61153|KZR|KZR|49372L100|US49372L1008|Kezar Life Sciences Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-1|TXN6-3|TXN13-8|TXN5-5|TXN6-7|72690000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||0.8625|0.8554|0.0|0.8623|0.846|0.8623|0.8588|0.8553|0.0|0.0|0.8624|0.8584|0.8624|0.842|0.0|0.8374|0.8373|0.8623|0.842|0.8624|0.8322|0.8866|0.676|1.02|0.8451|0.8772|0.8402|0.8918|0.8358|0.8918|0.8623|0.8624|7.61|0.6746|1107003|170159187 7564|L|L|540424108|US5404241086|Loews Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-4|TXN3-8|TXN2-3|TXN2-4|TXN3-2|223250000|||Quarterly|||||1959-03-13||||||| | | | | | | | | |||N|5|Y|Y|152A|USA|US|||30|3030|303020|30302025|Financials|Insurance|Non-life Insurance|Property and Casualty Insurance|N||N||||||Y|0|Y||Y|1|||70.69|70.7|0.0|70.53|70.69|70.69|70.69|70.705|0.0|0.0|70.72|70.72|70.71|70.69|70.73|70.72|70.7|70.705|70.7|70.72|70.69|70.72|66.12|75.24|70.67|70.73|70.67|70.74|70.66|70.72|70.69|70.72|70.845|52.85|951726|186688828 76425|LAAC|LAAC|53681K100|CA53681K1003|Lithium Americas (Argentina) Corp.|Common Shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|6|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN4-1|TXN6-8|TXN3-1|TXN3-2|160500000|||NotApplicable|||||2023-10-02||||||| | | | | | | | | |||N|0|N|Y|130E|CAN|CA|||55|5510|551020|55102050|Basic Materials|Basic Resources|Industrial Metals and Mining|Nonferrous Metals|N||N||||||Y|0|Y||Y|2|||5.33|5.34|0.0|5.44|5.34|5.335|5.34|5.33|0.0|0.0|5.34|5.31|5.34|5.33|5.34|5.34|5.33|5.34|5.32|5.34|5.33|5.34|4.21|6.59|5.33|5.37|5.3|5.36|5.32|5.38|5.33|5.34|8.1399|5.07|910930|68670256 28873|LAB|LAB|34385P108|US34385P1084|Standard BioTools Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN6-1|TXN11-6|TXN6-3|TXN5-1|79400000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||Y|0|Y||||||2.53|2.54|0.0|0.0|2.54|2.535|2.535|2.535|0.0|0.0|2.535|2.53|2.53|2.53|2.55|2.535|2.53|2.535|2.54|2.53|2.51|2.55|1.96|3.09|2.52|2.54|2.5|2.56|2.49|2.57|2.53|2.54|3.16|1.1|708268|85042819 49992|LABD|LABD|25460G716|US25460G7161|Direxion Shares ETF Trust|Direxion Daily S&P Biotech Bear 3X Shares|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Direxion Shares|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-4|TXN4-4|TXN3-1|TXN3-3|TXN2-4|4266024|||Quarterly|||||2015-05-28||LABD.NV|LABD.SO|LABD.EU|LABD.TC|LABD.IV| | | | | | | | | |-3x|The Fund seeks daily investment results, before fees and expenses, of 300% of the inverse (or opposite) of the performance of the S&P Biotechnology Select Industry Index. The Fund seeks daily inverse leveraged investment results and does not seek to achieve its stated investment objective over a period of time greater than one day. The Fund is different and much riskier than most exchange-traded funds. |N|0|N|N|416A|USA|US|EQUITY|INVERSE|||||||||N||N||||||Y|0|Y||Y|2|||14.64|14.64|0.0|15.37|14.65|14.63|14.635|14.64|0.0|0.0|14.64|14.64|14.63|14.69|14.65|14.65|14.64|14.6|14.65|14.6|14.51|14.73|11.42|18.04|14.63|14.64|14.59|14.67|14.53|14.73|14.63|14.64|29.92|11.18|10577974|1500842317 69026|LABP|LABP|515069201|US5150692011|Landos Biopharma Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN6-6|TXN12-2|TXN5-1|TXN6-7|3120000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||0.0|4.25|0.0|0.0|0.0|4.2|4.27|0.0|0.0|0.0|0.0|0.0|4.25|0.0|0.0|0.0|0.0|4.25|0.0|4.25|0.0|0.0|0.0|0.0|4.11|4.25|0.0|0.0|0.0|0.0|4.2|4.25|4.8|0.2175|7634|28798694 49991|LABU|LABU|25460G120||Direxion Shares ETF Trust|Direxion Daily S&P Biotech Bull 3X Shares|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Direxion Shares|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-8|TXN2-6|TXN7-4|TXN2-5|TXN2-6|12225580|||Quarterly|||||2015-05-28||LABU.NV|LABU.SO|LABU.EU|LABU.TC|LABU.IV| | | | | | | | | |3x|The Fund seeks daily investment results, before fees and expenses, of 300% of the performance of the S&P Biotechnology Select Industry Index. The Fund seeks daily leveraged investment results and does not seek to achieve its stated investment objective over a period of time greater than one day. The Fund is different and much riskier than most exchange-traded funds. |N|0|N|N|416A||US|EQUITY|LEVERAGED|50|5020|502040|50204000|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Industrial|N||N|||||25490K323|Y|0|Y||Y|2|||88.29|88.27|0.0|84.99|88.265|88.32|88.2904|88.295|0.0|0.0|88.275|88.26|88.32|88.25|87.62|88.4|88.28|88.22|88.25|88.22|87.84|88.91|68.43|108.16|88.27|88.47|86.0|91.2|86.45|90.18|88.27|88.47|89.03|2.4201|2778854|8596222458 76424|LAC|LAC|53681J103|CA53681J1030|Lithium Americas Corp.|Common Shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|6|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-3|TXN3-1|TXN7-4|TXN3-2|TXN3-6|160050000|||NotApplicable|||||2023-10-02||||||| | | | | | | | | |||N|0|N|Y|130E|CAN|CA|||55|5510|551020|55102050|Basic Materials|Basic Resources|Industrial Metals and Mining|Nonferrous Metals|N||N||||||Y|0|Y||Y|2|||6.45|6.44|0.0|6.44|6.46|6.45|6.44|6.45|0.0|0.0|6.45|6.45|6.445|6.46|6.4|6.44|6.45|6.44|6.46|6.44|6.44|6.45|4.98|7.9|6.42|6.45|6.42|6.48|6.41|6.45|6.44|6.45|26.96|6.32|1568785|498742545 7449|LAD|LAD|536797103|US5367971034|Lithia Motors, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-7|TXN2-1|TXN8-6|TXN3-4|TXN3-3|27520000|||Quarterly|||||1999-01-20||||||| | | | | | | | | |||N|0|Y|Y|132A|USA|US|||40|4040|404010|40401030|Consumer Discretionary|Retail |Retailers |Specialty Retailers |N||N||||||Y|0|Y||Y|1|||283.39|283.645|0.0|284.03|283.1|283.18|283.05|283.06|0.0|0.0|284.68|283.24|283.13|284.42|281.66|283.09|283.85|283.18|267.46|283.09|283.09|283.3|264.78|302.72|282.83|283.51|282.58|283.66|282.95|283.29|283.09|283.3|329.0|185.0|167713|64058427 43507|LADR|LADR|505743104|US5057431042|Ladder Capital Corp|Class A Common Stock, $0.001 par value per share|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-6|TXN2-4|TXN1-4|TXN3-1|TXN1-8|126910000|||Quarterly|||||2014-02-06||||||| | | | | | | | | |||N|0|N|Y|408A|USA|US|||30|3020|302030|30203010|Financials|Financial Services |Mortgage Real Estate Investment Trusts|Mortgage REITs: Commercial|N||N||||||Y|0|Y||Y|2|||11.42|11.44|0.0|10.99|11.42|11.42|11.41|11.425|0.0|0.0|11.41|11.44|11.415|11.42|11.43|11.42|11.45|11.41|11.43|11.42|11.41|11.42|8.83|14.06|11.4|11.43|11.38|11.45|11.37|11.46|11.41|11.42|11.765|8.76|442464|159031599 75747|LAES|LAES|G79483106|VGG794831062|SEALSQ Corp|ORD USD0.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN6-8|TXN14-8|TXN6-6|TXN6-6|7510000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHE||||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||N|0|Y||||||1.02|1.02|0.0|0.0|1.01|1.02|1.025|1.01|0.0|0.0|1.02|1.02|1.02|0.0|0.0|1.0|1.0|1.025|0.0|1.02|0.84|1.05|0.84|1.26|1.0|1.08|0.9924|1.05|0.9935|1.05|1.01|1.02|26.42|0.9693|143361|11813622 2266|LAKE|LAKE|511795106|US5117951062|Lakeland Industries Inc|COM USD1||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN6-5|TXN12-7|TXN6-5|TXN5-8|7370000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4020|402040|40204020|Consumer Discretionary|Consumer Products and Services|Personal Goods|Clothing and Accessories|N||N||||||Y|0|Y||||||14.6|14.86|0.0|0.0|14.63|14.52|14.45|14.46|0.0|0.0|0.0|0.0|14.57|14.46|0.0|0.0|0.0|14.45|14.75|14.57|14.19|15.0|0.0|0.0|14.24|14.98|11.8|17.97|0.0|0.0|14.51|14.79|16.07|10.6|21958|4186021 75177|LALT|LALT|33740F490|US33740F4900|First Trust Exchange-Traded Fund VIII|First Trust Multi-Strategy Alternative ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||First Trust|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-4|TXN2-1|TXN2-8|TXN1-3|TXN4-4|100002|||Quarterly|||||2023-02-01||LALT.NV|LALT.SO|LALT.EU|LALT.TC| | | | | | | | | | ||The First Trust Multi-Strategy Alternative ETFs (the Fund) investment objective is long-term total return.|N|0|N|N|412C|USA|US|HYBRID|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|20.06|0.0|0.0|0.0|0.0|20.0499|0.0|0.0|0.0|0.0|0.0|20.06|0.0|0.0|0.0|0.0|20.0191|0.0|20.0191|0.0|0.0|0.0|0.0|19.98|20.05|18.06|22.09|0.0|0.0|19.98|20.05|21.95|19.7073|1500|158866 2267|LAMR|LAMR|512816109|US5128161099|Lamar Advertising Co|CL A COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN6-4|TXN13-6|TXN5-5|TXN5-5|87580000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||USA||||35|3510|351020|35102070|Real Estate|Real Estate |Real Estate Investment Trusts|Other Specialty REITs|N||N||||||Y|0|Y||||||104.57|104.71|0.0|104.03|104.72|104.7|104.7275|104.73|0.0|0.0|104.7|104.66|104.74|104.13|104.29|104.57|104.745|104.71|104.57|104.74|104.59|104.85|97.58|111.56|104.56|104.91|104.59|104.84|104.65|0.0|104.65|104.75|111.49|77.205|519647|104192368 2268|LANC|LANC|513847103|US5138471033|Lancaster Colony Corp|COM USD1||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN5-8|TXN12-4|TXN5-3|TXN5-7|27520000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||45|4510|451020|45102020|Consumer Staples |Food, Beverage and Tobacco |Food Producers|Food Products|N||N||||||Y|0|Y||||||169.94|169.65|0.0|169.69|169.64|169.64|169.63|169.58|0.0|0.0|169.8|0.0|169.65|169.94|169.81|169.76|0.0|169.6|169.94|169.65|168.17|171.42|130.38|208.25|168.32|170.03|169.25|170.02|0.0|0.0|169.52|169.65|220.65|158.88|99791|33316137 41363|LAND|LAND|376549101|US3765491010|Gladstone Land Corporation|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN6-6|TXN14-5|TXN6-5|TXN6-4|35840000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||35|3510|351020|35102070|Real Estate|Real Estate |Real Estate Investment Trusts|Other Specialty REITs|N||N||||||Y|0|Y||||||14.78|14.81|0.0|14.85|14.83|14.82|14.835|14.82|0.0|0.0|14.83|14.81|14.84|14.83|0.0|14.82|14.81|14.83|14.82|14.84|14.68|14.96|11.51|18.36|14.71|14.93|14.81|14.86|14.8|14.86|14.82|14.84|20.66|13.35|154101|41780141 68870|LANDM|LANDM|376549507|US3765495078|Gladstone Land Corporation|PFD SER D||B|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN6-5|TXN14-3|TXN5-5|TXN6-1|2420000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||23.42|23.5|0.0|0.0|23.42|23.54|23.5|0.0|0.0|0.0|23.5|0.0|23.5|23.42|0.0|23.5|0.0|23.5|0.0|23.5|0.0|0.0|0.0|0.0|23.41|0.0|0.0|0.0|0.0|0.0|23.5|23.62|24.5|22.57|24983|760179 67921|LANDO|LANDO|376549309|US3765493099|Gladstone Land Corporation|PFD SER B 6%||U|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN6-7|TXN11-8|TXN6-2|TXN5-7|5960000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||19.9|19.88|0.0|0.0|19.88|19.95|19.8201|19.91|0.0|0.0|19.92|0.0|20.12|0.0|0.0|19.88|0.0|20.08|0.0|20.08|0.0|0.0|0.0|0.0|19.55|20.52|0.0|0.0|0.0|0.0|19.95|20.12|25.24|16.85|17133|4305816 75822|LANDP|LANDP|376549408|US3765494089|Gladstone Land Corporation|6% SER C CUM PFD||B|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN5-2|TXN11-7|TXN6-5|TXN6-5|10160000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||18.99|19.01|0.0|0.0|0.0|19.22|19.45|19.01|0.0|0.0|19.4|0.0|19.28|0.0|0.0|0.0|0.0|19.45|0.0|19.45|0.0|0.0|0.0|0.0|18.02|20.56|0.0|0.0|0.0|0.0|19.28|19.45|21.5|15.905|22952|2890312 75026|LANV|LANV|G5380J100|KYG5380J1004|Lanvin Group Holdings Limited|Ordinary Shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|8|D|GTS Securities 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73716|LATG|LATG|G5380L105|KYG5380L1059|Chenghe Acquisition I Co|CL A ORD USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN5-6|TXN14-1|TXN6-5|TXN5-3|5600000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||SGP||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|11.0|0.0|0.0|0.0|0.0|11.0|0.0|11.0|0.0|0.0|0.0|0.0|10.85|11.82|0.0|0.0|0.0|0.0|10.96|11.05|11.76|10.21|119|6535990 73318|LATGU|LATGU|G5380L113|KYG5380L1133|Chenghe Acquisition I Co|UNITS||R|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN5-5|TXN13-8|TXN6-5|TXN6-1|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||SGP||||||||||||N||N||||||N|0|Y|D|||||11.2|0.0|0.0|0.0|0.0|10.91|0.0|0.0|0.0|0.0|0.0|0.0|11.77|0.0|0.0|0.0|0.0|11.77|0.0|11.77|8.35|14.46|0.0|0.0|10.55|12.85|11.3|14.46|0.0|0.0|11.3|12.05|14.9|10.23|1205|278600 56585|LAUR|LAUR|518613203|US5186132032|Laureate Education Inc|COM USD0.004||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN5-8|TXN12-2|TXN6-6|TXN5-1|157370000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4020|402010|40201010|Consumer Discretionary|Consumer Products and Services|Consumer Services |Education Services|N||N||||||Y|0|Y||||||13.065|13.06|0.0|0.0|13.06|13.055|13.06|13.06|0.0|0.0|13.06|13.06|13.06|13.09|13.1|13.08|13.115|13.065|13.06|13.06|13.05|13.09|10.17|16.25|13.05|13.09|13.02|13.09|13.01|13.1|13.06|13.07|14.81|9.24|487662|208159562 71198|LAW|LAW|126327105|US1263271058|CS Disco, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-7|TXN4-3|TXN8-7|TXN3-3|TXN2-1|60630000|||NotApplicable|||||2021-07-21||||||| | | | | | | | | |||N|0|N|Y|108A|USA|US|||50|5020|502050|50205020|Industrials|Industrial Goods and Services|Industrial Support Services|Professional Business Support Services|N||N||||||Y|0|Y||Y|2|||6.39|6.39|0.0|6.39|6.39|6.38|6.4|6.4|0.0|0.0|6.395|6.37|6.39|6.38|6.385|6.39|6.3|6.4|6.37|6.39|6.38|6.4|4.83|7.86|6.32|6.45|6.36|6.42|6.36|6.42|6.38|6.4|10.77|5.07|277402|71148461 7453|LAZ|LAZ|G54050102|BMG540501027|Lazard Ltd|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|E|Citadel Securities 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A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN5-3|TXN13-2|TXN5-6|TXN6-6|304870000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4010|401010|40101025|Consumer Discretionary|Automobiles and Parts|Automobiles and Parts|Auto Parts|N||N||||||Y|0|Y||||||2.54|2.535|0.0|2.54|2.54|2.53|2.53|2.535|0.0|0.0|2.53|2.53|2.54|2.54|2.53|2.535|2.53|2.53|2.53|2.54|2.52|2.54|1.97|3.11|2.53|2.54|2.5|2.57|2.5|2.57|2.53|2.54|10.55|2.36|7572558|1928177234 60778|LAZY|LAZY|52110H100|US52110H1005|Lazydays Holdings 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LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-6|TXN2-2|TXN9-8|TXN3-2|TXN4-4|1464096|||Yearly|||||2022-08-08||LCLG.NV|LCLG.SO|LCLG.EU|LCLG.TC| | | | | | | | | | ||The Funds goal is to invest in U.S. companies that have outstanding earnings growth due to factors such as superior pricng power, distribution channels, management, etc. The companies in the portfolio are seected for their innvoative thinking which often results in a capptive market for their service or product.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|36.15|0.0|0.0|0.0|0.0|37.97|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|37.9749|0.0|37.9749|0.0|0.0|37.81|37.91|37.92|38.0|34.23|57.21|0.0|0.0|37.92|38.0|38.1465|29.85|502|170749 13023|LCNB|LCNB|50181P100|US50181P1003|LCNB Corp|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN6-3|TXN12-5|TXN5-6|TXN6-1|13090000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||||||14.95|14.86|0.0|14.9|14.95|14.95|14.818|14.98|0.0|0.0|14.97|14.91|14.82|14.95|0.0|0.0|0.0|14.79|14.95|14.82|14.28|15.33|0.0|0.0|14.48|15.17|0.0|0.0|0.0|0.0|14.79|14.85|19.1|12.78|19873|6110864 65314|LCR|LCR|527289789|US5272897894|Leuthold Funds, Inc|Leuthold Core ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Leuthold|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-1|TXN2-7|TXN5-8|TXN1-3|TXN3-2|2250000|||Yearly|||||2020-01-06||LCR.NV|LCR.SO|LCR.EU|LCR.TC|LCR.IV| | | | | | | | | ||The Fund is an actively-managed fund of funds and seeks to achieve its objective by investing primarily in other registered investment companies, including other actively-managed exchange-traded funds (ETFs) and index-based ETFs (collectively, Underlying Funds), that provide exposure to a broad range of asset classes. The Underlying Funds may invest in equity securities of U.S. or foreign companies; debt obligations of U.S. or foreign companies or governments; or other investments, such as volatility indexes and managed futures.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|31.52|31.4627|0.0|0.0|0.0|31.52|0.0|0.0|0.0|0.0|0.0|0.0|31.4838|0.0|31.4838|0.0|0.0|31.46|31.51|31.48|31.6|28.43|34.47|0.0|0.0|31.48|31.6|32.42|28.72|3412|1191775 70158|LCTD|LCTD|09290C608|US09290C6084|BlackRock ETF Trust|BlackRock World ex U.S. Carbon Transition Readiness ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN2-6|TXN6-8|TXN1-6|TXN1-5|10050000|||BiAnnually|||||2021-04-08||LCTD.NV|LCTD.SO|LCTD.EU|LCTD.TC|LCTD.IV| | | | | | | | | |1x|The BlackRock World ex U.S. Carbon Transition Readiness ETF seeks long-term capital appreciation by investing in large- and mid-capitalization World ex U.S. equity securities that may be better positioned to benefit from the transition to a low-carbon economy.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|42.06|42.1805|0.0|0.0|0.0|0.0|0.0|42.19|0.0|0.0|0.0|0.0|42.06|0.0|42.06|30.96|50.73|0.0|0.0|42.16|42.27|30.96|50.73|0.0|0.0|42.16|42.27|45.72|38.09|5401|5472242 70157|LCTU|LCTU|09290C509|US09290C5094|BlackRock ETF Trust|BlackRock U.S. Carbon Transition Readiness ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN2-1|TXN8-6|TXN3-1|TXN4-7|28700000|||Quarterly|||||2021-04-08||LCTU.NV|LCTU.SO|LCTU.EU|LCTU.TC|LCTU.IV| | | | | | | | | |1x|The BlackRock U.S. Carbon Transition Readiness ETF seeks long-term capital appreciation by investing in large- and mid-capitalization U.S. equity securities that may be better positioned to benefit from the transition to a low-carbon economy.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||Y|0|Y||Y|1|||49.941|50.18|0.0|0.0|50.15|50.08|50.14|49.77|0.0|0.0|50.08|0.0|49.945|50.15|0.0|50.08|0.0|50.15|0.0|50.15|47.63|52.6|50.07|50.25|50.14|50.19|50.07|50.25|50.07|50.25|50.14|50.19|50.75|41.615|56387|19512852 10888|LCTX|LCTX|53566P109|US53566P1093|Lineage Cell Therapeutics, Inc.|Common Shares|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||J. Streicher & Co. L.L.C.|JSCO|3856|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-7|TXN1-7|TXN1-5|TXN2-3|TXN1-8|174990000|||Adhoc|||||2009-10-30||||||| | | | | | | | | |||N|0|N|N|140A|USA|US|||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||Y|2|||1.01|1.01|0.0|0.9869|1.02|1.015|1.02|1.01|0.0|0.0|1.01|1.02|1.015|1.01|0.0|1.01|1.0|1.0|1.02|1.0|0.9777|1.05|1.01|1.02|1.0|1.03|0.9877|1.04|0.9886|1.05|1.01|1.02|1.58|0.93|321550|115010428 2293|LCUT|LCUT|53222Q103|US53222Q1031|Lifetime Brands Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN5-3|TXN12-4|TXN6-1|TXN6-8|21810000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4020|402020|40202025|Consumer Discretionary|Consumer Products and Services|Household Goods and Home Construction|Household Equipment and Products|N||N||||||Y|0|Y||||||0.0|6.29|0.0|0.0|6.4|6.38|6.29|6.37|0.0|0.0|0.0|0.0|6.29|0.0|0.0|0.0|0.0|6.29|0.0|6.29|6.05|6.58|0.0|0.0|6.15|6.52|0.0|0.0|0.0|0.0|6.28|6.38|10.25|4.31|27127|15554134 72681|LCW|LCW|G54157105|KYG541571058|Learn CW Investment Corporation|Class A Ordinary Shares|Special purpose acquisition company|A|N|N|N|Y|Y|Y|Y|Y|6|O|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN4-4|TXN2-8|TXN4-7|TXN2-4|9340000|||NotApplicable|||||2021-11-29||||||| | | | | | | | | |||N|0|N|N|408A|USA|KY|||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|2|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|10.74|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.74|0.0|10.74|0.0|10.74|10.72|10.78|0.0|0.0|10.01|10.8|0.0|0.0|0.0|0.0|10.72|10.78|11.54|10.04|4401|13100255 72682|LCW WS|LCW.WS|G54157113|KYG541571132|Learn CW Investment Corporation|Redeemable warrants, each whole warrant exercisable for one Class A ordinary share at an exercise price of $11.50 per share|Special purpose acquisition company|C|N|N|N|Y|Y|Y|Y|Y|6|O|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN5-8|TXN2-5|TXN6-8|TXN3-7|TXN4-2|0|||NotApplicable|||||2021-11-29||||||| | | | | | | | | |||N|0|N|N|408A|USA|KY|||||||||||N||N||||||N|2|Y|D|N||||0.0|0.0|0.0|0.0|0.0|0.0285|0.0|0.0|0.0|0.0|0.026|0.0|0.026|0.0|0.0|0.0285|0.0|0.0285|0.0|0.0285|0.0124|0.0299|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0124|0.0299|0.4546|0.01|3300|2163625 71981|LCW U|LCW.U|G54157121|KYG541571215|Learn CW Investment Corporation|Units, each consisting of one Class A ordinary share and one-half of one redeemable warrant|Special purpose acquisition company|R|N|N|N|Y|Y|Y|Y|Y|6|O|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN1-4|TXN8-8|TXN3-5|TXN3-4|0|||NotApplicable|||||2021-10-08||||||| | | | | | | | | |||N|0|N|N|408A|USA|KY|||||||||||N||N||||||N|2|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.68|11.75|0.0|0.0|10.68|11.75|0.0|0.0|0.0|0.0|10.68|11.75|11.62|10.09|0|15836 65543|LDEM|LDEM|46436E601|US46436E6014|iShares ESG MSCI EM Leaders ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN6-4|TXN13-4|TXN5-3|TXN5-1|1000000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|43.2399|43.44|0.0|0.0|0.0|0.0|43.13|0.0|0.0|0.0|0.0|43.2399|0.0|43.13|0.0|0.0|0.0|0.0|43.0|43.54|0.0|0.0|0.0|0.0|43.13|43.3|48.7391|40.7131|1351|1856922 69010|LDI|LDI|53946R106|US53946R1068|loanDepot, Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN1-2|TXN6-8|TXN3-1|TXN3-8|81560000|||Quarterly|||||2021-02-11||||||| | | | | | | | | |||N|0|N|Y|408A|USA|US|||30|3020|302010|30201025|Financials|Financial Services |Finance and Credit Services|Mortgage Finance|N||N||||||Y|0|Y||Y|2|||1.99|1.98|0.0|2.03|1.98|1.98|1.98|1.98|0.0|0.0|1.99|2.0|1.98|1.98|0.0|1.99|2.0|1.99|1.97|1.99|1.98|1.99|1.59|2.4|1.96|1.99|1.95|2.02|1.94|2.03|1.98|1.99|3.02|1.14|325945|84112971 17369|LDOS|LDOS|525327102|US5253271028|Leidos Holdings, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|P|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-5|TXN1-6|TXN4-5|TXN1-2|TXN1-1|137510000|||Quarterly|||||2013-09-16||||||| | | | | | | | | |||N|5|Y|Y|108A|USA|US|||10|1010|101010|10101010|Technology|Technology|Software and Computer Services|Computer Services|N||N||||||Y|0|Y||Y|1|||111.31|111.345|0.0|111.3|111.27|111.345|111.285|111.29|0.0|0.0|111.34|111.3|111.3|111.3|111.03|111.3|111.31|111.31|111.31|111.3|111.33|111.35|103.6|117.74|111.26|111.36|111.21|111.39|111.2|111.4|111.33|111.35|111.39|76.58|829949|202457314 40409|LDP|LDP|19248C105|US19248C1053|Cohen & Steers Limited Duration Preferred and Income Fund, Inc.|Common Stock|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN1-6|TXN6-8|TXN2-4|TXN1-6|29080000|||Monthly|||||2012-07-27||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||18.89|18.56|0.0|18.54|18.54|18.525|18.52|18.52|0.0|0.0|18.61|18.75|18.52|18.596|18.9|18.52|18.59|18.52|0.0|18.52|18.52|18.55|14.42|22.95|17.29|19.86|18.5|18.58|18.52|18.55|18.52|18.55|21.5|16.16|184117|21777271 62752|LDSF|LDSF|33740F870|US33740F8703|First Trust Exchange-Traded Fund VIII - First Trust Low Duration Strategic Focus ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN6-3|TXN12-5|TXN6-1|TXN6-3|6650000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|18.61|18.61|0.0|0.0|0.0|18.61|0.0|18.62|0.0|0.0|18.61|18.61|18.61|0.0|18.62|14.32|23.0|18.58|18.67|18.58|18.67|18.58|18.68|18.58|18.67|18.58|18.63|18.81|18.09|19466|13367403 43422|LDUR|LDUR|72201R718|US72201R7180|PIMCO ETF Trust|PIMCO Enhanced Low Duration Active Exchange-Traded Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||PIMCO|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-5|TXN2-4|TXN9-8|TXN4-8|TXN2-3|10180000|||Monthly|||||2014-01-23||LDUR.NV|LDUR.SO|LDUR.EU|LDUR.TC|LDUR.IV| | | | | | | | | ||The Fund seeks to achieve its investment objective by investing under normal circumstances at least 65% of its total assets in a diversified portfolio of Fixed Income Instruments of varying maturities, which may be represented by forwards. Fixed Income Instruments include bonds, debt securities and other similar instruments issued by various U.S. and non-U.S. public- or private-sector entities. The average portfolio duration of this Fund normally varies from one to three years based on PIMCOs forecast for interest rates. Duration is a measure used to determine the sensitivity of a securitys price to changes in interest rates. The longer a securitys duration, the more sensitive it will be to changes in interest rates The Fund seeks to achieve its investment objective by investing under normal circumstances at least 65% of its total assets in a diversified portfolio of Fixed Income Instruments of varying maturities, which may be represented by forwards. Fixed Income Instruments include bonds, debt securities and other similar instruments issued by various U.S. and non-U.S. public- or private-sector entities. The average portfolio duration of this Fund normally varies from one to three years based on PIMCOs forecast for interest rates. Duration is a measure used to determine the sensitivity of a securitys price to changes in interest rates. The longer a securitys duration, the more sensitive it will be to changes in interest rates.|N|0|N|N|416A|USA|US|FIXED_INCOME|ACTIVE|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||94.21|94.19|0.0|0.0|94.04|94.15|94.14|94.14|0.0|0.0|94.14|0.0|94.19|94.14|0.0|0.0|0.0|94.19|0.0|94.19|89.41|98.84|0.0|0.0|94.01|94.44|89.41|98.84|0.0|0.0|94.03|94.22|95.5422|93.155|92807|18733114 2111|LDWY|LDWY|45765Y204|US45765Y2046|Insignia Systems Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN5-8|TXN12-1|TXN5-8|TXN5-2|1750000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4030|403010|40301020|Consumer Discretionary|Media|Media|Media Agencies|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|4.57|4.63|0.0|0.0|0.0|4.65|0.0|4.56|0.0|0.0|0.0|0.0|4.65|0.0|4.65|3.69|5.67|0.0|0.0|4.5|4.73|3.69|5.67|0.0|0.0|4.56|4.69|8.15|4.05|9390|7364611 43785|LE|LE|51509F105|US51509F1057|Lands' End Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN5-4|TXN13-2|TXN6-1|TXN6-7|31930000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4040|404010|40401010|Consumer Discretionary|Retail |Retailers |Diversified Retailers|N||N||||||Y|0|Y|D|||||6.69|6.6|0.0|0.0|6.65|6.655|6.6001|6.625|0.0|0.0|6.66|6.81|6.65|6.69|6.7|6.655|6.655|6.64|6.61|6.65|6.51|6.76|5.15|8.21|6.52|6.73|6.57|6.67|6.56|6.67|6.61|6.62|10.81|5.98|218355|34192452 31812|LEA|LEA|521865204|US5218652049|Lear Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|N|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-7|TXN4-1|TXN2-7|TXN2-3|TXN4-1|58260000|||Quarterly|||||2009-11-09||||||| | | | | | | | | |||N|0|Y|Y|126D|USA|US|||40|4010|401010|40101025|Consumer Discretionary|Automobiles and Parts|Automobiles and Parts|Auto Parts|N||N||||||Y|0|Y||Y|1|||138.88|138.925|0.0|138.95|138.92|139.01|138.99|138.89|0.0|0.0|138.93|139.0|138.925|139.01|139.03|138.98|136.34|138.99|139.02|138.98|138.99|139.0|130.16|148.17|138.24|139.74|138.8|139.07|138.79|139.1|138.99|139.0|157.905|117.79|686353|138434094 52242|LEAD|LEAD|829658301|US8296583011|Siren DIVCON Leaders Dividend ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-7|TXN2-4|TXN1-5|TXN2-8|TXN4-7|800000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|58.86|0.0|0.0|0.0|0.0|58.8532|0.0|0.0|0.0|0.0|0.0|58.88|0.0|0.0|0.0|0.0|58.86|0.0|58.86|58.75|58.93|0.0|0.0|58.81|58.85|55.7|63.75|0.0|0.0|58.81|58.85|59.05|47.86|9962|855728 2297|LECO|LECO|533900106|US5339001068|Lincoln Electric Holdings Inc|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN6-3|TXN12-2|TXN5-7|TXN5-2|57200000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||USA||||50|5020|502040|50204040|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Tools|N||N||||||Y|0|Y||||||203.86|204.21|0.0|203.76|204.04|203.91|204.3695|204.235|0.0|0.0|203.5|201.38|204.26|0.0|203.64|203.64|0.0|204.3695|0.0|204.26|202.86|205.53|189.15|215.88|203.11|205.4|203.97|204.51|204.08|204.29|204.08|204.29|210.86|139.92|223731|81552010 36247|LEDS|LEDS|816645204|US8166452040|SemiLEDs Corp|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN6-7|TXN14-6|TXN5-2|TXN6-3|4940000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||TWN||||10|1010|101020|10102010|Technology|Technology|Technology Hardware and Equipment|Semiconductors|N||N||||||N|0|Y||||||1.31|0.0|0.0|0.0|1.31|1.28|1.25|1.29|0.0|0.0|1.28|0.0|1.26|0.0|0.0|0.0|1.24|1.28|0.0|1.28|1.19|1.35|0.0|0.0|1.18|1.38|0.92|1.5|0.0|0.0|1.26|1.3|3.47|1.01|18027|13861470 7471|LEE|LEE|523768406|US5237684064|Lee Enterprises Inc|COM USD2||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN6-5|TXN10-3|TXN5-5|TXN6-1|6070000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4030|403010|40301030|Consumer Discretionary|Media|Media|Publishing|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|11.2|11.201|11.11|0.0|0.0|0.0|0.0|11.1|0.0|0.0|0.0|0.0|11.11|0.0|11.1|10.45|11.97|0.0|0.0|10.56|11.85|8.8|13.68|0.0|0.0|11.0|11.2|23.5055|8.5|7646|2527802 7472|LEG|LEG|524660107|US5246601075|Leggett & Platt, Incorporated|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-5|TXN1-6|TXN1-7|TXN3-5|TXN4-4|133320000|||Quarterly|||||1979-06-25||||||| | | | | | | | | |||N|0|Y|Y|124B|USA|US|||40|4020|402020|40202015|Consumer Discretionary|Consumer Products and Services|Household Goods and Home Construction|Household Furnishings|N||N||||||Y|0|Y||Y|1|||24.25|24.255|0.0|22.87|24.25|24.25|24.26|24.255|0.0|0.0|24.26|24.25|24.26|24.23|24.15|24.25|24.24|24.25|24.245|24.25|24.25|24.26|24.23|24.29|24.23|24.27|24.23|24.28|24.22|24.29|24.25|24.26|38.55|22.5|1160541|258880048 62638|LEGH|LEGH|52472M101|US52472M1018|Legacy Housing Corp|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN6-5|TXN10-2|TXN5-5|TXN5-1|24390000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4020|402020|40202010|Consumer Discretionary|Consumer Products and Services|Household Goods and Home Construction|Home Construction|N||N||||||Y|0|Y||||||22.66|22.67|0.0|0.0|22.66|22.96|22.716|22.8|0.0|0.0|0.0|0.0|22.79|0.0|0.0|0.0|0.0|22.8|0.0|22.79|22.2|23.21|0.0|0.0|22.29|23.16|0.0|0.0|22.63|0.0|22.73|22.8|25.3|17.44|30769|9984003 66649|LEGN|LEGN|52490G102|US52490G1022|LEGEND BIOTECH CORPORATION|ADR||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN5-5|TXN13-5|TXN5-8|TXN5-2|330130000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||62.6|62.61|0.0|62.64|62.57|62.6|62.62|62.65|0.0|0.0|62.6|62.23|62.65|62.58|61.29|62.66|62.09|62.66|62.56|62.65|62.44|63.13|48.07|75.65|62.4|63.1|62.51|62.73|62.59|62.73|62.59|62.66|77.32|42.905|1810954|165274329 60543|LEGR|LEGR|33741X201|US33741X2018|First Trust Exchange-Traded Fund VI - First Trust Indxx Innovative Transaction & Process ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN6-5|TXN10-5|TXN5-2|TXN6-5|2550002|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||38.9|0.0|0.0|0.0|0.0|0.0|38.911|0.0|0.0|0.0|0.0|0.0|39.03|0.0|0.0|0.0|0.0|38.88|0.0|39.03|0.0|0.0|0.0|0.0|38.67|39.26|0.0|0.0|0.0|0.0|38.87|39.04|39.9999|33.41|6358|3851067 44047|LEJU|LEJU|50187J207|US50187J2078|Leju Holdings Limited|American Depositary Shares, each representing ten (10) Ordinary Shares|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|11|Q|Virtu Americas LLC|NITC|295|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN2-1|TXN5-8|TXN4-3|TXN3-1|137170000|||NotApplicable|||||2022-05-20||||||| | | | | | | | | |||N|0|N|Y|108B|CHN|KY|||35|3510|351010|35101015|Real Estate|Real Estate |Real Estate Investment and Services Development|Real Estate Services|N||N||||||N|2|Y||Y|2|||1.21|0.0|0.0|0.0|0.0|1.27|1.2581|0.0|0.0|0.0|0.0|0.0|1.27|0.0|0.0|1.2581|0.0|1.2581|0.0|1.2581|1.25|1.26|0.0|0.0|1.17|1.33|1.17|1.33|0.0|0.0|1.25|1.26|9.84|0.8545|2939|55052140 38945|LEMB|LEMB|464286517|US4642865178|iShares Inc.|iShares J.P. Morgan EM Local Currency Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-4|TXN4-8|TXN5-5|TXN4-5|TXN4-6|13000000|||Yearly|||||2011-10-20||LEMB.NV|LEMB.SO|LEMB.EU|LEMB.TC|LEMB.IV| | | | | | | | | |1x|The iShares J.P. Morgan EM Local Currency Bond ETF seeks to track the investment results of an index composed of local currency denominated, emerging market sovereign bonds.|N|0|N|N|412C|USA|US|FIXED_INCOME|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||36.0|36.01|0.0|36.07|36.01|36.04|36.055|36.055|0.0|0.0|36.02|36.0|36.01|36.04|36.0|36.01|36.0|36.09|36.04|36.09|36.05|36.1|35.81|36.29|36.05|36.06|36.05|36.1|35.81|36.29|36.05|36.06|37.97|34.0|357122|33880832 7485|LEN|LEN|526057104|US5260571048|Lennar Corporation|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|P|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN1-1|TXN8-8|TXN4-7|TXN4-4|250150000|||Quarterly|||||1972-07-27||||||| | | | | | | | | |||N|5|Y|Y|110A|USA|US|||40|4020|402020|40202010|Consumer Discretionary|Consumer Products and Services|Household Goods and Home Construction|Home Construction|N||N||||||Y|0|Y||Y|1|||131.55|131.48|0.0|131.57|131.53|131.57|131.48|131.5|0.0|0.0|131.63|131.57|131.505|131.58|131.53|131.51|131.47|131.49|131.54|131.51|131.49|131.51|122.67|139.24|131.45|131.57|131.4|131.57|131.39|131.65|131.49|131.51|133.24|84.51|1368730|498966722 7486|LEN B|LEN.B|526057302|US5260573028|Lennar Corporation|Class B Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|P|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN3-1|TXN9-5|TXN1-1|TXN4-6|34200000|||Quarterly|||||2003-04-09||||||| | | | | | | | | |||N|0|Y|Y|110A|USA|US|||40|4020|402020|40202010|Consumer Discretionary|Consumer Products and Services|Household Goods and Home Construction|Home Construction|N||N||||||N|0|Y||Y|1|||118.53|119.85|0.0|0.0|116.71|119.24|119.78|119.86|0.0|0.0|119.68|119.52|120.09|0.0|0.0|119.94|119.15|119.94|0.0|119.94|119.83|120.08|112.57|127.71|119.58|120.29|112.57|127.71|119.31|120.52|119.83|120.08|121.08|70.02|32169|15752563 7487|LEO|LEO|05588W108|US05588W1080|BNY Mellon Strategic Municipals, Inc.|Common Stock|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-7|TXN3-3|TXN4-7|TXN2-1|TXN2-1|62290000|||Monthly|||||1987-09-23||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||5.79|5.785|0.0|5.865|5.79|5.785|5.785|5.785|0.0|0.0|5.78|5.78|5.785|5.761|0.0|5.78|5.79|5.785|5.78|5.78|5.78|5.79|4.48|7.09|5.77|5.8|5.75|5.82|5.78|5.79|5.78|5.79|6.66|4.98|406897|40716689 68017|LESL|LESL|527064109|US5270641096|Leslie's Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN5-7|TXN14-4|TXN5-3|TXN5-8|184330000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4020|402030|40203050|Consumer Discretionary|Consumer Products and Services|Leisure Goods|Recreational Products|N||N||||||Y|0|Y||||||5.72|5.71|0.0|5.71|5.715|5.71|5.715|5.71|0.0|0.0|5.72|5.71|5.72|5.74|5.745|5.715|5.73|5.715|5.725|5.72|5.69|5.72|4.36|6.95|5.69|5.72|5.69|5.74|5.69|5.75|5.71|5.72|17.125|4.39|5718320|901253732 46069|LEU|LEU|15643U104|US15643U1043|Centrus Energy Corp.|Class A Common Stock|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||J. Streicher & Co. L.L.C.|JSCO|3856|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-8|TXN4-4|TXN6-8|TXN4-8|TXN2-1|14810000|||NotApplicable|||||2015-03-16||||||| | | | | | | | | |||N|0|N|N|310A|USA|US|||60|6010|601020|60102010|Energy|Energy|Alternative Energy|Alternative Fuels |N||N||||||Y|0|Y||Y|2|||51.42|51.58|0.0|51.26|51.67|51.8|51.54|51.7|0.0|0.0|51.4|49.13|51.58|51.6|50.94|51.3|51.66|51.66|49.19|51.66|51.02|51.88|51.51|51.66|51.15|52.26|51.25|51.99|51.46|51.66|51.51|51.66|61.35|24.88|92651|35000904 70514|LEV|LEV|536221104|CA5362211040|The Lion Electric Company|Common Shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|6|M|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN4-8|TXN2-8|TXN1-7|TXN3-6|226190000|||NotApplicable|||||2021-05-07||||||| | | | | | | | | |||N|0|N|Y|114D|CAN|CA|||50|5020|502060|50206015|Industrials|Industrial Goods and Services|Industrial Transportation|Commercial Vehicles and Parts|N||N||||||Y|0|Y||Y|2|||1.75|1.75|0.0|1.76|1.75|1.75|1.75|1.72|0.0|0.0|1.75|1.75|1.74|1.74|1.66|1.74|1.78|1.74|1.67|1.74|1.74|1.76|1.4|2.11|1.73|1.76|1.72|1.78|1.72|1.76|1.74|1.76|3.09|1.5|378529|190343256 70515|LEV WS|LEV.WS|536221112|CA5362211123|The Lion Electric Company|Redeemable warrants, exercisable for shares of common stock at an exercise price of $11.50 per share|Operating company|C|N|Y|N|Y|Y|Y|Y|Y|6|M|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN4-8|TXN4-6|TXN2-8|TXN4-6|TXN3-7|226190000|||NotApplicable|||||2021-05-07|2099-01-01|||||| | | | | | | | | |||N|0|N|N|114D|CAN|CA|||||||||||N||N||||||N|0|Y|C|N||||0.0|0.1048|0.0|0.0|0.11|0.0976|0.0977|0.0|0.0|0.0|0.0976|0.0976|0.0|0.18|0.17|0.0977|0.0|0.0977|0.0|0.0977|0.0755|0.0999|0.0|0.0|0.0705|0.1025|0.0|0.0|0.0|0.0|0.0755|0.0999|0.6|0.061|52785|14161375 75042|LEV WSA|LEV.WS.A|536221120|CA5362211206|The Lion Electric Company|Warrants to purchase common shares|Operating company|C|N|Y|N|Y|Y|Y|Y|Y|6|M|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN9-8|TXN1-2|TXN5-8|TXN4-5|TXN2-7|226190000|||NotApplicable|||||2022-12-21|2027-12-21|||||| | | | | | | | | |||N|0|N|N|114D|CAN|CA|||||||||||N||N||||||N|0|Y|C|N||||0.0|0.0|0.0|0.0|0.0|0.42|0.4299|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.4299|0.0|0.4299|0.0|0.4299|0.42|0.47|0.0|0.0|0.27|0.61|0.0|0.0|0.0|0.0|0.42|0.47|1.1|0.2|12026|3520658 63274|LEVI|LEVI|52736R102|US52736R1023|Levi Strauss & Co.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-1|TXN1-7|TXN9-7|TXN1-7|TXN4-4|100040000|||Adhoc|||||2019-03-21||||||| | | | | | | | | |||N|0|N|Y|146F|USA|US|||40|4020|402040|40204020|Consumer Discretionary|Consumer Products and Services|Personal Goods|Clothing and Accessories|N||N||||||Y|0|Y||Y|2|||15.69|15.68|0.0|15.78|15.685|15.685|15.69|15.68|0.0|0.0|15.69|15.69|15.685|15.68|15.715|15.69|15.7|15.685|15.7|15.69|15.68|15.69|12.11|19.24|15.67|15.69|15.66|15.71|15.65|15.72|15.68|15.69|19.355|12.415|1274276|531680717 71033|LEXI|LEXI|53656F425|US53656F4256|Listed Funds Trust|Alexis Practical Tactical ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Alexis Investment Partners|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-4|TXN2-7|TXN8-8|TXN4-8|TXN3-6|2726834|||Yearly|||||2021-07-01||LEXI.NV|LEXI.SO|LEXI.EU|LEXI.TC| | | | | | | | | | |1x|Alexis Practical Tactical ETF is an actively managed exchange traded fund (ETF). In seeking to achieve its investment objective, the Fund has the flexibility to allocate its assets in markets ardoung the world and among various asset classes and strategies, including equity, fixed income, commodities (including precious metals), real estate investment trusts (REITs), alternative strategies (including arbitrage, convertible bond, and options-based) and cash and cash equivalents.|N|0|N|N|412C|USA||HYBRID|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|25.55|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|25.582|0.0|25.582|25.32|25.84|25.53|25.56|25.56|25.6|25.56|25.6|0.0|0.0|25.56|25.6|25.66|22.64|4374|822761 17372|LEXX|LEXX|52886N406|US52886N4060|Lexaria Bioscience Corp|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN6-1|TXN12-6|TXN5-5|TXN6-3|10280000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CAN||||20|2010|201030|20103015|Health Care |Health Care |Pharmaceuticals and Biotechnology|Pharmaceuticals |N||N||||||N|0|Y||||||0.0|1.46|0.0|0.0|1.5|1.46|1.51|1.5|0.0|0.0|1.5|1.51|1.52|1.47|1.48|1.48|1.48|1.51|0.0|1.52|1.37|1.58|1.21|1.83|1.44|1.55|1.21|1.54|0.0|1.54|1.5|1.52|3.5953|0.6488|56723|22825801 68732|LEXXW|LEXXW|52886N117|US52886N1173|Lexaria Bioscience Corp|WT EXP 011126||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-3|TXN5-6|TXN13-6|TXN6-3|TXN6-4|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CAN||||||||||||N||N||||||N|0|Y|C|||||0.4552|0.4552|0.0|0.0|0.4552|0.4625|0.4555|0.56|0.0|0.0|0.4625|0.4625|0.45|0.4552|0.0|0.0|0.0|0.45|0.0|0.45|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.45|0.69|0.8844|0.05|13670|828415 2344|LFCR|LFCR|514766104|US5147661046|Lifecore Biomedical Inc|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN5-6|TXN12-6|TXN6-8|TXN5-2|30320000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||45|4510|451020|45102020|Consumer Staples |Food, Beverage and Tobacco |Food Producers|Food Products|N||N||||||N|0|Y||||||7.24|7.23|0.0|7.29|7.26|7.25|7.23|7.26|0.0|0.0|7.24|7.34|7.26|7.245|7.26|7.245|7.26|7.26|7.305|7.26|7.15|7.31|5.58|8.91|7.16|7.3|5.58|7.28|7.22|7.29|7.22|7.26|11.455|1.52|538624|115072374 59724|LFEQ|LFEQ|92189F148|US92189F1488|VanEck ETF Trust|VanEck Long/Flat Trend ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||VanEck Vectors|Wolverine Trading, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-4|TXN3-3|TXN2-7|TXN1-7|TXN1-4|600000|||Yearly|||||2017-10-05||LFEQ.NV|LFEQ.SO|LFEQ.EU|LFEQ.TC|LFEQ.IV| | | | | | | | | |1x|VanEck Vectors NDR CMG Long/Flat Allocation ETF (LFEQ) seeks to replicate as closely as possible, before fees and expenses, the price and yield performance of the Ned Davis Research CMG US Large Cap Long/Flat Index (NDRCMGLF). The NDRCMGLF Index follows a proprietary model that determines when, and by how much, it allocates to U.S. equities and/or U.S. Treasury bills to seek to help avoid losses in declining markets or capitalize from rising markets. 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Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN5-2|TXN13-2|TXN6-4|TXN6-2|37980000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||45|4520|452010|45201015|Consumer Staples |Personal Care, Drug and Grocery Stores |Personal Care, Drug and Grocery Stores |Drug Retailers|N||N||||||Y|0|Y||||||8.18|8.18|0.0|8.09|8.19|8.18|8.17|8.165|0.0|0.0|8.17|8.15|8.17|8.14|8.19|8.17|8.17|8.2|8.18|8.17|8.17|8.27|6.26|9.92|8.17|8.24|8.14|8.23|8.17|8.23|8.17|8.2|8.22|1.14|682414|77263461 71943|LFMDP|LFMDP|53216B203|US53216B2034|LifeMD Inc|PFD CL A||B|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN5-5|TXN14-2|TXN6-1|TXN5-1|1400000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|18.95|18.9824|0.0|0.0|0.0|0.0|0.0|18.95|0.0|0.0|0.0|19.0|18.9824|0.0|18.9824|0.0|0.0|0.0|0.0|17.6|20.37|0.0|0.0|0.0|0.0|18.89|19.0|21.0|13.3501|17313|879096 70828|LFST|LFST|53228F101|US53228F1012|LifeStance Health Group Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN5-6|TXN11-1|TXN6-3|TXN6-8|378610000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201010|20101025|Health Care |Health Care |Health Care Providers|Health Care Services|N||N||||||Y|0|Y||||||6.62|6.625|0.0|6.62|6.62|6.625|6.63|6.625|0.0|0.0|6.625|6.62|6.63|6.63|6.62|6.63|6.6|6.63|6.605|6.63|6.62|6.65|5.03|8.09|6.62|6.65|6.6|6.65|6.59|6.66|6.62|6.63|9.59|4.22|1601044|169880340 41700|LFT|LFT|55025L108|US55025L1089|Lument Finance Trust, Inc.|Common Stock|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|11|Q|Virtu Americas LLC|NITC|295|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN2-6|TXN4-8|TXN2-5|TXN1-6|52230000|||Quarterly|||||2013-03-22||||||| | | | | | | | | |||N|0|N|Y|414A|USA|US|||30|3020|302030|30203020|Financials|Financial Services |Mortgage Real Estate Investment Trusts|Mortgage REITs: Residential|N||N||||||N|0|Y||Y|2|||2.16|2.16|0.0|0.0|2.12|2.15|2.1502|2.17|0.0|0.0|2.17|2.17|2.16|2.13|0.0|2.1|2.13|2.12|2.15|2.1|2.12|2.14|2.13|2.18|2.07|2.21|1.6|2.62|0.0|0.0|2.12|2.14|2.39|1.53|56573|8956376 70532|LFT PRA|LFTpA|55025L207|US55025L2079|Lument Finance Trust, Inc.|7.875% Series A Cumulative Redeemable Preferred Stock|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|11|Q|Virtu Americas LLC|NITC|295|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN2-8|TXN8-8|TXN2-8|TXN2-8|2400000|||Quarterly|||||2021-05-10||||||| | | | | | | | | |||N|0|N|N|414A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|18.04|0.0|0.0|0.0|0.0|18.01|0.0|0.0|0.0|0.0|18.0|0.0|0.0|0.0|18.0|18.0|18.25|18.0|18.25|16.81|19.46|0.0|0.0|0.0|0.0|18.0|18.25|21.4|16.05|133|556750 2308|LFUS|LFUS|537008104|US5370081045|Littelfuse Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN6-5|TXN11-3|TXN6-2|TXN6-7|24900000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||USA||||50|5020|502020|50202010|Industrials|Industrial Goods and Services|Electronic and Electrical Equipment|Electrical Components |N||N||||||Y|0|Y||||||239.6|239.23|0.0|238.88|239.74|239.46|239.86|239.8|0.0|0.0|239.11|0.0|239.87|238.34|0.0|238.66|0.0|239.86|237.68|239.87|236.9|242.07|222.93|252.9|237.54|241.73|239.16|240.4|239.54|240.39|239.62|239.87|309.94|211.16|70883|20553129 18948|LFVN|LFVN|53222K205|US53222K2050|Lifevantage Corp|COM USD0.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN5-4|TXN13-8|TXN6-5|TXN5-7|12710000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||45|4510|451020|45102020|Consumer Staples |Food, Beverage and Tobacco |Food Producers|Food Products|N||N||||||Y|0|Y||||||6.78|6.83|0.0|0.0|6.55|6.9|6.79|6.79|0.0|0.0|6.85|6.2|6.65|6.91|0.0|0.0|0.0|6.79|0.0|6.65|6.3|7.08|5.09|8.44|6.5|6.93|5.09|7.44|0.0|0.0|6.63|6.79|8.69|3.04|47488|10796288 7497|LGF A|LGF.A|535919401|CA5359194019|Lions Gate Entertainment Corp.|Class A Voting Common Shares|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|P|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-1|TXN2-6|TXN9-6|TXN2-1|TXN4-4|83530000|||Quarterly|||||2016-12-09||||||| | | | | | | | | |||N|0|N|Y|144D|USA|CA|||40|4030|403010|40301010|Consumer Discretionary|Media|Media|Entertainment|N||N||||||Y|0|Y||Y|2|||9.67|9.68|0.0|9.78|9.68|9.68|9.68|9.675|0.0|0.0|9.68|9.675|9.7|9.67|9.63|9.67|9.48|9.7|9.68|9.67|9.67|9.68|7.48|11.82|9.58|9.72|9.13|10.2|9.67|9.71|9.67|9.68|12.09|5.46|1177765|222865722 16477|LGF B|LGF.B|535919500|CA5359195008|Lions Gate Entertainment Corp.|Class B Non-Voting Common Shares|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|P|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-5|TXN4-3|TXN1-4|TXN4-7|TXN1-1|151480000|||Quarterly|||||2016-12-09||||||| | | | | | | | | |||N|0|N|Y|144D|USA|CA|||40|4030|403010|40301010|Consumer Discretionary|Media|Media|Entertainment|N||N||||||Y|0|Y||Y|2|||9.15|9.15|0.0|9.18|9.13|9.15|9.16|9.145|0.0|0.0|9.15|9.15|9.15|9.145|9.15|9.16|9.095|9.16|9.15|9.16|9.14|9.16|7.08|11.18|9.05|9.22|8.74|9.62|9.14|9.18|9.14|9.16|11.33|5.19|1236875|204487736 64828|LGH|LGH|66538R730|US66538R7301|Northern Lights Fund Trust III|HCM Defender 500 Index ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Ultimus Fund Solutions (Howard)|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-3|TXN2-4|TXN5-8|TXN2-8|TXN1-2|7300000|||Yearly|||||2019-10-10||LGH.NV|LGH.SO|LGH.EU|LGH.TC|LGH.IV| | | | | | | | | 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Services|N||N||||||N|0|Y|C|||||0.98|0.91|0.0|0.0|0.98|0.91|0.964999|0.96|0.0|0.0|0.96|0.96|0.95|1.06|0.0|0.91|0.0|0.964999|0.0|0.964999|0.832|1.15|0.744|1.15|0.92|1.04|0.832|1.15|0.0|0.0|0.95|0.98|5.7799|0.0821|142197|341629580 63889|LGHLW|LGHLW|53620U110|US53620U1108|Lion Group Holding Ltd|WT EXP 061725||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-6|TXN6-7|TXN10-6|TXN6-1|TXN6-6|58610000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||SGP||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0051|0.0053|0.0|0.0|0.0|0.0053|0.006|0.005|0.0|0.0|0.0|0.0|0.0052|0.0|0.0052|0.0043|0.0069|0.0|0.0|0.0046|0.01|0.0|0.0|0.0|0.0|0.005|0.006|0.08|0.0032|31261|34418809 7498|LGI|LGI|52106W103|US52106W1036|Lazard Global Total Return and Income Fund, Inc.|Common 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USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN6-4|TXN13-2|TXN6-8|TXN5-8|23560000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4020|402020|40202010|Consumer Discretionary|Consumer Products and Services|Household Goods and Home Construction|Home Construction|N||N||||||Y|0|Y||||||122.3|122.74|0.0|122.86|123.43|122.85|122.79|122.765|0.0|0.0|122.37|121.8|122.73|122.49|0.0|122.71|0.0|122.62|0.0|122.73|121.47|124.08|93.0|151.29|121.65|123.82|122.4|123.04|122.35|122.82|122.61|122.82|141.91|84.155|174676|46153189 7499|LGL|LGL|50186A108|US50186A1088|LGL Group Inc (The)|Common Stock|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Brendan E. 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Cryan and Company, L.L.C.|CRYN|0235|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN12-7|TXN1-8|TXN1-5|TXN3-5|TXN1-6|5350000|||NotApplicable|||||2020-11-16|2025-11-16|||||| | | | | | | | | |||N|0|N|N|310A|USA|US|||||||||||N||N||||||N|0|Y||N||||0.0|0.0|0.0|0.0|0.0|0.0|0.18|0.0|0.0|0.0|0.2146|0.2101|0.0|0.0|0.0|0.0|0.2146|0.2146|0.0|0.2146|0.0|0.0|0.22|0.25|0.18|0.53|0.0|0.0|0.0|0.0|0.22|0.25|0.3722|0.121|1745|308898 41516|LGLV|LGLV|78468R804|US78468R8043|SPDR Series Trust|SPDR SSGA US Large Cap Low Volatility Index ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|IMC Chicago, LLC, DBA IMC Financial Markets|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-4|TXN2-6|TXN2-5|TXN4-1|TXN1-4|5570000|||Quarterly|||||2013-02-21||LGLV.NV|LGLV.SO|LGLV.EU|LGLV.TC|LGLV.IV| | | | | | | | | |1x|The SPDR Russell 1000 Low Volatility ETF seeks to provide investment results that, before fees and expenses, correspond generally to the total return performance of a large cap, low volatility index. There is no assurance that the Fund will achieve its investment objective. In seeking to track the performance of the Russell 1000 Low Volatility Index (the Index), the Fund employs a sampling strategy, which means that the Fund is not required to purchase all of the securities represented in the Index. Instead, the Fund may purchase a subset of the securities in the Index in an effort to hold a portfolio of securities withgenerally the same risk and return characteristics of the Index. 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USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-6|TXN6-1|TXN14-1|TXN6-2|TXN6-8|14650000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302020|30202000|Financials|Financial Services |Investment Banking and Brokerage Services |Diversified Financial Services |N||N||||||Y|0|Y||||||0.32|0.32|0.0|0.326|0.32|0.3305|0.3305|0.329|0.0|0.0|0.3305|0.3305|0.338|0.32|0.34|0.32|0.32|0.3305|0.32|0.338|0.3139|0.356|0.2581|0.4012|0.3139|0.356|0.26|0.396|0.0|0.0|0.3305|0.339|1.479|0.272149|2298704|85772860 66881|LMND|LMND|52567D107|US52567D1072|Lemonade, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-1|TXN2-8|TXN3-6|TXN3-5|TXN3-3|69920000|||NotApplicable|||||2020-07-02||||||| | | | | | | | | |||N|0|N|Y|410B|USA|US|||30|3030|303020|30302010|Financials|Insurance|Non-life Insurance|Full Line Insurance|N||N||||||Y|0|Y||Y|2|||18.97|18.98|0.0|18.89|18.97|18.975|18.97|18.97|0.0|0.0|18.98|19.0|18.98|19.0|19.02|18.96|19.01|18.97|18.86|18.96|18.96|18.99|14.6|23.38|18.84|19.18|18.93|18.99|18.91|18.99|18.96|18.99|24.81|10.265|1904614|355860752 75424|LMND WS|LMND.WS|52567D115|US52567D1155|Lemonade, Inc.|Warrants to purchase Common Stock|Operating company|C|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN12-1|TXN1-8|TXN3-8|TXN1-1|TXN3-5|69910000|||NotApplicable|||||2023-03-10|9999-02-15|||||| | | | | | | | | |||N|0|N|N|410B|USA|US|||||||||||N||N||||||N|0|Y|C|N||||0.0|0.0|0.0|0.0|0.0|0.0252|0.0|0.0|0.0|0.0|0.021|0.021|0.0|0.0|0.0|0.0199|0.0252|0.0252|0.0|0.0252|0.0|0.0|0.0112|0.025|0.021|0.035|0.0|0.0|0.0|0.0|0.0112|0.025|0.073|0.0009|18117|6907201 31400|LMNR|LMNR|532746104|US5327461043|Limoneira Co|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN5-5|TXN10-3|TXN6-5|TXN5-8|17980000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||45|4510|451020|45102010|Consumer Staples |Food, Beverage and Tobacco |Food Producers|Farming, Fishing, Ranching and Plantations|N||N||||||N|0|Y||||||18.75|18.725|0.0|0.0|18.8|18.87|18.81|18.74|0.0|0.0|18.75|18.75|18.85|18.57|18.37|18.02|18.08|18.85|0.0|18.85|18.61|19.05|14.61|22.82|18.63|19.01|14.61|22.82|18.73|18.93|18.83|18.85|19.2782|12.01|227391|17233135 7520|LMT|LMT|539830109|US5398301094|Lockheed Martin Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-4|TXN4-2|TXN6-3|TXN3-4|TXN1-6|248100000|||Quarterly|||||1961-10-11||||||| | | | | | | | | |||N|1|Y|Y|102A|USA|US|||50|5020|502010|50201020|Industrials|Industrial Goods and Services|Aerospace and Defense|Defense|N||N||||||Y|0|Y||Y|1|||450.6|450.69|0.0|450.72|450.19|450.69|450.598|450.76|0.0|0.0|450.81|450.91|450.6|450.78|450.91|450.69|450.16|450.598|450.91|450.69|450.59|450.66|419.07|476.0|450.45|451.08|450.26|451.27|450.22|451.31|450.59|450.66|508.1|393.77|1265775|288151818 7522|LNC|LNC|534187109|US5341871094|Lincoln National Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-4|TXN1-3|TXN6-1|TXN2-1|TXN2-1|169660000|||Quarterly|||||1969-08-20||||||| | | | | | | | | |||N|0|Y|Y|410B|USA|US|||30|3030|303010|30301010|Financials|Insurance|Life Insurance|Life Insurance|N||N||||||Y|0|Y||Y|1|||24.64|24.64|0.0|24.59|24.64|24.635|24.635|24.64|0.0|0.0|24.64|24.62|24.64|24.64|24.615|24.64|24.62|24.64|24.62|24.64|24.63|24.64|22.96|26.12|24.61|24.66|24.59|24.68|24.59|24.68|24.63|24.64|38.57|18.5|2306063|715975262 74981|LNC PRD|LNCpD|534187885|US5341878859|Lincoln National Corporation|Depositary Shares Each Representing a 1/1,000th Interest in a Share of 9.000% Non-Cumulative Preferred Stock, Series D|Operating company|B|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN1-6|TXN9-8|TXN1-3|TXN4-2|20000000|||Quarterly|||||2022-12-02||||||| | | | | | | | | |||N|0|N|N|410B|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||26.51|26.69|0.0|0.0|26.51|26.51|26.51|26.56|0.0|0.0|26.59|0.0|26.56|26.69|0.0|26.54|26.55|26.51|0.0|26.54|26.48|26.61|20.51|32.68|25.93|27.14|20.51|32.68|0.0|0.0|26.48|26.61|29.0299|24.15|30386|19947798 38362|LND|LND|10554B104|US10554B1044|BrasilAgro - Companhia Brasileira de Propriedades Agrícolas|American Depositary Shares, each representing one ordinary share|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN2-3|TXN7-8|TXN1-1|TXN3-6|102680000|||Yearly|||||2012-11-08||||||| | | | | | | | | |||N|0|N|Y|118C|BRA|BR|||45|4510|451020|45102010|Consumer Staples |Food, Beverage and Tobacco |Food Producers|Farming, Fishing, Ranching and Plantations|N||N||||||N|0|Y||Y|2|||5.01|5.01|0.0|0.0|5.0|5.005|5.02|5.01|0.0|0.0|5.04|4.87|5.015|5.0|5.01|5.02|5.0|5.01|5.06|5.02|4.99|5.02|4.96|5.05|4.95|5.06|4.98|5.05|4.97|5.05|4.99|5.02|6.07|4.49|193761|11580046 7527|LNG|LNG|16411R208|US16411R2085|Cheniere Energy Inc|Common Stock|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Brendan E. Cryan and Company, L.L.C.|CRYN|0235|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN4-2|TXN5-4|TXN1-5|TXN3-6|238260000|||Quarterly|||||2001-03-05||||||| | | | | | | | | |||N|0|Y|N|134A|USA|US|||60|6010|601010|60101035|Energy|Energy|Oil, Gas and Coal|Pipelines|N||N||||||Y|0|Y||Y|1|||174.22|174.18|0.0|174.26|174.27|174.19|174.26|174.21|0.0|0.0|174.31|174.3|174.14|174.19|174.19|174.3|174.17|174.17|174.36|174.17|174.14|174.34|174.18|174.26|174.03|174.32|174.08|174.35|174.18|174.26|174.18|174.26|183.4599|135.0|2760967|371438455 76349|LNGG|LNGG|53656G423|US53656G4230|Listed Funds Trust|Roundhill Alerian LNG ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Roundhill Investments|Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-5|TXN3-2|TXN2-8|TXN2-7|TXN3-4|30000|||BiAnnually|||||2023-09-22||LNGG.NV|LNGG.SO|LNGG.EU|LNGG.TC| | | | | | | | | | |1x|The Roundhill Alerian LNG ETF (the Fund) seeks to track the performance, before fees and expenses, of the Alerian Liquefied Natural Gas Index (the Index).|N|0|N|N|412C|USA||EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|24.2201|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|23.9392|0.0|23.9392|24.09|24.22|0.0|0.0|23.92|23.95|0.0|0.0|0.0|0.0|23.92|23.95|25.23|23.45|11|66632 66409|LNKB|LNKB|53578P105|US53578P1057|LINKBANCORP Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN5-4|TXN12-7|TXN6-8|TXN6-7|36930000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||||||0.0|6.53|0.0|0.0|0.0|0.0|6.77|6.54|0.0|0.0|6.53|0.0|6.6|0.0|0.0|0.0|0.0|6.77|6.5|6.6|0.0|0.0|0.0|0.0|6.24|6.8|0.0|0.0|0.0|0.0|6.56|6.79|9.98|4.8|11359|4382044 7528|LNN|LNN|535555106|US5355551061|Lindsay Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|P|Citadel Securities 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USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN6-6|TXN13-3|TXN5-7|TXN5-5|11450000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302030|30203020|Financials|Financial Services |Mortgage Real Estate Investment Trusts|Mortgage REITs: Residential|N||N||||||Y|0|Y||||||0.0|0.0|0.0|0.0|0.0|4.69|4.68|0.0|0.0|0.0|4.69|4.65|4.68|4.69|0.0|0.0|0.0|4.68|0.0|4.68|3.65|5.64|3.54|5.75|4.47|4.89|3.65|5.64|0.0|0.0|4.66|4.69|5.91|4.27|14908|4858788 50356|LOB|LOB|53803X105|US53803X1054|Live Oak Bancshares, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|E|Citadel Securities 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LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN3-6|TXN2-8|TXN3-6|TXN2-6|8270000|||NotApplicable|||||2021-04-19||||||| | | | | | | | | |||N|0|N|Y|408A|USA|KY|||45|4510|451020|45102020|Consumer Staples |Food, Beverage and Tobacco |Food Producers|Food Products|N||N||||||N|0|Y||Y|2|||0.0|3.67|0.0|0.0|3.63|3.57|3.61|3.61|0.0|0.0|3.75|0.0|3.6|0.0|0.0|3.61|0.0|3.61|0.0|3.61|3.53|3.69|2.74|4.59|3.45|3.77|2.74|4.59|0.0|0.0|3.53|3.69|6.33|0.3021|9306|64060490 44680|LOCO|LOCO|268603107|US2686031079|El Pollo Loco Holdings Inc|COM USD0.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN6-7|TXN13-1|TXN6-8|TXN5-1|32950000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4050|405010|40501040|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Restaurants and Bars|N||N||||||Y|0|Y||||||8.69|8.69|0.0|0.0|8.69|8.685|8.685|8.685|0.0|0.0|8.68|8.69|8.69|8.68|8.66|8.69|8.685|8.68|8.79|8.69|8.6|8.72|6.68|10.63|8.61|8.72|8.65|8.72|8.65|8.72|8.68|8.69|13.0|8.11|259236|92819593 76417|LOCT|LOCT|45783Y434|US45783Y4347|Innovator Premium Income 15 Buffer ETF - October|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-8|TXN4-6|TXN6-8|TXN4-2|TXN3-7|530000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||24.03|24.07|0.0|0.0|0.0|24.05|24.06|24.06|0.0|0.0|24.05|0.0|0.0|24.07|0.0|0.0|0.0|24.07|24.07|24.07|0.0|0.0|0.0|0.0|23.99|24.1|23.93|24.12|23.96|24.12|24.01|24.07|24.17|23.6457|12185|720549 35493|LODE|LODE|205750300|US2057503003|Comstock Inc.|Common Stock|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||J. Streicher & Co. L.L.C.|JSCO|3856|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN10-7|TXN2-3|TXN1-5|TXN2-2|TXN4-8|117130000|||NotApplicable|||||2019-11-29||||||| | | | | | | | | |||N|0|N|N|130E|USA|US|||55|5510|551030|55103025|Basic Materials|Basic Resources|Precious Metals and Mining|Gold Mining|N||N||||||N|0|Y||Y|2|||0.48|0.474|0.0|0.0|0.474|0.4795|0.4764|0.4782|0.0|0.0|0.475|0.48|0.4799|0.474|0.0|0.48|0.474|0.474|0.0|0.474|0.4614|0.4963|0.4764|0.48|0.474|0.4919|0.4503|0.5114|0.427|0.464|0.4764|0.48|0.989|0.2402|444211|179842568 2351|LOGI|LOGI|H50430232|CH0025751329|Logitech International SA, Apples|ORD||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN6-4|TXN12-4|TXN5-7|TXN6-1|156780000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHE||||10|1010|101020|10102030|Technology|Technology|Technology Hardware and Equipment|Computer Hardware|N||N||||||Y|0|Y||||||86.97|87.05|0.0|86.76|87.05|86.99|87.01|87.03|0.0|0.0|87.04|86.7|87.01|86.97|87.05|87.04|86.93|86.97|87.05|87.01|86.64|87.41|66.81|105.75|86.72|87.08|86.92|87.08|86.95|87.08|86.95|87.03|87.73|50.26|346168|136430786 59986|LOMA|LOMA|54150E104|US54150E1047|Loma Negra Compañía Industrial Argentina Sociedad Anónima|American Depositary Shares, each representing five ordinary shares|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN2-1|TXN6-8|TXN2-5|TXN1-5|596030000|||Adhoc|||||2017-11-01||||||| | | | | | | | | |||N|0|N|Y|110C|ARG|AR|||50|5010|501010|50101030|Industrials|Construction and Materials|Construction and Materials |Cement|N||N||||||Y|0|Y||Y|2|||6.56|6.565|0.0|6.6|6.56|6.565|6.57|6.58|0.0|0.0|6.57|6.56|6.57|6.58|6.6|6.58|6.54|6.57|6.51|6.58|6.56|6.58|5.04|7.98|6.45|6.72|6.54|6.6|6.56|6.61|6.56|6.58|7.95|5.64|174198|65015471 74141|LONZ|LONZ|72201R627|US72201R6273|PIMCO ETF Trust|PIMCO Senior Loan Active Exchange-Traded Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||PIMCO|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-1|TXN4-4|TXN5-8|TXN3-4|TXN2-7|5080000|||Monthly|||||2022-06-09||LONZ.NV|LONZ.SO|LONZ.EU|LONZ.TC|LONZ.IV| | | | | | | | | ||Fund: The Fund invests at least 80% of its assets in a diversified portfolio of Senior Loans, which may be represented by forwards or derivatives such as options, futures contracts or swap agreements. 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Corp|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN6-1|TXN13-8|TXN6-4|TXN6-4|119750000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302010|30201030|Financials|Financial Services |Finance and Credit Services|Financial Data Providers|N||N||||||Y|0|Y||||||6.7|6.7|0.0|6.63|6.7|6.7|6.7|6.69|0.0|0.0|6.69|6.69|6.7|6.7|6.7|6.7|6.68|6.7|6.65|6.7|6.69|6.71|5.14|8.26|6.69|6.71|6.66|6.73|6.68|6.73|6.69|6.71|11.99|4.89|367017|169917925 2362|LPSN|LPSN|538146101|US5381461012|LivePerson Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN5-7|TXN10-6|TXN5-6|TXN6-8|80840000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||||||3.11|3.1|0.0|0.0|3.11|3.105|3.105|3.11|0.0|0.0|3.11|3.11|3.11|3.08|3.08|3.11|3.1|3.105|3.11|3.11|3.08|3.13|2.34|3.8|3.08|3.13|3.08|3.13|3.09|3.12|3.1|3.11|18.17|2.33|962316|460155025 2363|LPTH|LPTH|532257805|US5322578056|LightPath Technologies Inc|CL A COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN6-2|TXN11-7|TXN5-5|TXN6-8|37470000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502020|50202025|Industrials|Industrial Goods and Services|Electronic and Electrical Equipment|Electronic Equipment: Gauges and Meters|N||N||||||N|0|Y||||||1.19|1.15|0.0|0.0|1.17|1.175|1.1897|1.17|0.0|0.0|1.16|0.0|1.19|1.214|0.0|0.0|1.18|1.175|0.0|1.175|1.1|1.23|0.928|1.44|1.12|1.23|0.936|1.44|0.0|0.0|1.16|1.19|2.0|1.05|39221|20628148 74661|LPTV|LPTV|54352F206|US54352F2065|Loop Media, Inc.|Common Stock|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities 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USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN6-5|TXN14-8|TXN5-6|TXN5-6|25570000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||2.58|2.61|0.0|2.61|2.62|2.61|2.62|2.615|0.0|0.0|2.64|2.6|2.64|2.58|2.62|2.62|0.0|2.62|2.39|2.64|2.52|2.7|2.04|3.23|2.56|2.67|2.59|2.65|2.6|2.64|2.61|2.63|5.18|0.27|211776|137953332 7538|LPX|LPX|546347105|US5463471053|Louisiana-Pacific Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|P|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-4|TXN3-1|TXN4-4|TXN3-5|TXN1-7|72120000|||Adhoc|||||1972-12-27||||||| | | | | | | | | |||N|0|Y|Y|110D|USA|US|||50|5010|501010|50101035|Industrials|Construction and Materials|Construction and Materials |Building Materials: Other|N||N||||||Y|0|Y||Y|1|||63.53|63.64|0.0|63.61|63.64|63.65|63.64|63.66|0.0|0.0|63.66|63.68|63.61|63.54|63.66|63.6|62.9|63.6|63.16|63.6|63.59|63.6|59.37|67.11|63.48|63.66|63.54|63.7|63.59|63.63|63.59|63.6|79.56|49.47|461046|202495949 76571|LQAI|LQAI|30151E566|US30151E5666|Exchange Listed Funds Trust|LG QRAFT AI-Powered U.S. Large Cap Core ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Exchange Traded Concepts|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN4-6|TXN4-8|TXN2-4|TXN3-4|10000|||Quarterly|||||2023-11-07||LQAI.NV|LQAI.SO|LQAI.EU|LQAI.TC| | | | | | | | | | ||The LG QRAFT AI-Powered U.S. Large Cap Core ETF (the Fund) seeks capital appreciation|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|26.14|0.0|0.0|0.0|26.1|26.2239|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|26.14|0.0|26.2226|0.0|26.2226|24.48|27.92|20.02|32.43|26.18|26.24|26.18|26.24|0.0|0.0|26.18|26.25|26.3699|24.97|1469|119830 7540|LQD|LQD|464287242|US4642872422|iShares Trust|iShares iBoxx $ Investment Grade Corporate Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-4|TXN3-3|TXN3-7|TXN1-3|TXN2-6|283400000|||Monthly|||||2007-08-31||LQD.NV|LQD.SO|LQD.EU|LQD.TC|LQD.IV| | | | | | | | | |1x|The iShares iBoxx $ investment Grade Corporate Bond Fund seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the corporate bond market as defined by the iBoxx $ Liquid investment Grade Index. 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(Fitch), Moodys Investors Services (Moodys) or Standard & Poors Ratings Services; (iii) are from issuers with at least $2 billion outstanding face value; (iv) have at least $750 million of outstanding face value; and (v) have at least three years to maturity.|N|0|N|N|412C|USA|US|FIXED_INCOME|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||106.67|106.68|0.0|106.65|106.67|106.68|106.6602|106.67|0.0|0.0|106.78|106.67|106.75|106.66|106.73|106.66|106.67|106.68|106.67|106.68|101.47|112.05|100.03|113.57|106.67|106.68|101.46|112.06|106.54|106.86|106.68|106.74|112.51|98.24|28914318|4936636483 61318|LQDA|LQDA|53635D202|US53635D2027|Liquidia Corp|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN6-5|TXN11-6|TXN5-8|TXN6-4|64910000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||7.4|7.39|0.0|7.4|7.4|7.39|7.415|7.42|0.0|0.0|7.4|7.38|7.42|7.4|7.38|7.39|7.58|7.42|7.39|7.42|7.39|7.44|5.81|9.11|7.33|7.48|7.39|7.44|7.38|7.44|7.4|7.42|9.95|5.06|1792843|116581004 70682|LQDB|LQDB|46436E494|US46436E4944|iShares Trust|iShares BBB Rated Corporate Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-3|TXN2-4|TXN2-8|TXN4-1|TXN4-8|350000|||Monthly|||||2021-05-20||LQDB.NV|LQDB.SO|LQDB.EU|LQDB.TC|LQDB.IV| | | | | | | | | |1x|The iShares BBB Rated Corporate Bond ETF seeks to track the investment results of an index composed of BBB (or its equivalent) fixed rate U.S. dollar-denominated bonds issued by U.S. and non-U.S. corporate issuers.|N|0|N|N|412C|USA|US|FIXED_INCOME|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|83.583917|0.0|0.0|0.0|84.33|84.08|0.0|0.0|0.0|82.703917|0.0|0.0|83.99|0.0|0.0|0.0|84.0653|81.823917|84.0653|0.0|0.0|0.0|0.0|83.99|84.16|83.8|84.18|83.8|84.18|83.99|84.16|86.815|78.7528|1321|1508544 44343|LQDH|LQDH|46431W705|US46431W7056|iShares U.S. ETF Trust|iShares Interest Rate Hedged Corporate Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-4|TXN2-1|TXN5-8|TXN2-2|TXN2-6|2850000|||Monthly|||||2014-05-29||LQDH.NV|LQDH.SO|LQDH.EU|LQDH.TC|LQDH.IV| | | | | | | | | ||The iShares Interest Rate Hedged Corporate Bond ETF (the Fund) seeks to mitigate the interest rate risk of a portfolio composed of U.S. dollar-denominated, investment grade corporate bonds.|N|0|N|N|416A|USA|US|FIXED_INCOME|ACTIVE|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||0.0|93.36|0.0|0.0|0.0|93.32|93.27|93.26|0.0|0.0|0.0|0.0|93.245|93.198219|0.0|0.0|0.0|93.27|0.0|93.27|0.0|0.0|0.0|0.0|93.23|93.29|93.15|93.41|93.15|93.41|93.15|93.41|94.1758|89.17|25971|7092621 60975|LQDI|LQDI|46431W580|US46431W5803|iShares U.S. ETF Trust - IShares Inflation Hedged Corporate Bond ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-7|TXN2-6|TXN1-5|TXN3-2|TXN4-1|1900000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||0.0|25.4369|0.0|0.0|0.0|25.5|25.4369|0.0|0.0|0.0|25.383313|0.0|0.0|0.0|0.0|0.0|0.0|25.4369|0.0|25.4369|0.0|0.0|0.0|0.0|25.37|25.47|25.36|25.47|25.36|25.47|25.41|25.47|26.6|23.9959|4922|4722030 16140|LQDT|LQDT|53635B107|US53635B1070|Liquidity Services Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN5-8|TXN10-5|TXN5-8|TXN5-1|30690000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4040|404010|40401010|Consumer Discretionary|Retail |Retailers |Diversified Retailers|N||N||||||Y|0|Y||||||19.69|19.79|0.0|0.0|19.79|19.79|19.8|19.79|0.0|0.0|19.79|19.8|19.81|19.82|19.72|19.81|19.79|19.79|19.79|19.81|19.6|19.99|15.19|24.27|19.64|19.96|15.69|19.84|19.76|19.81|19.78|19.81|21.1|11.97|219216|33981736 74492|LQDW|LQDW|46436E288|US46436E2880|iShares Investment Grade Corporate Bond BuyWrite Strategy ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-5|TXN2-5|TXN2-6|TXN1-3|TXN4-6|5980000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||30.07|30.08|0.0|30.06|30.07|30.07|30.075|30.075|0.0|0.0|30.07|30.07|30.075|30.07|30.06|30.07|30.07|30.08|30.08|30.08|30.05|30.08|23.32|30.1|30.05|30.08|30.05|30.08|29.94|30.08|30.07|30.08|35.809|30.05|90642|10434140 74025|LQIG|LQIG|78468R499|US78468R4992|SPDR Series Trust|SPDR MarketAxess Investment Grade 400 Corporate Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|Jane Street Capital, 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Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN5-2|TXN11-4|TXN5-4|TXN6-1|3360000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4030|403010|40301020|Consumer Discretionary|Media|Media|Media Agencies|N||N||||||N|0|Y|C|||||1.285|1.34|0.0|0.0|1.31|1.34|1.35|1.28|0.0|0.0|1.35|1.34|1.32|1.31|0.0|1.35|0.0|1.35|1.36|1.32|1.23|1.58|1.04|1.58|1.27|1.38|1.04|1.58|0.0|0.0|1.3|1.36|7.25|0.0245|679948|1064707911 2365|LRCX|LRCX|512807108|US5128071082|Lam Research Corp|COM 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Corp|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN5-2|TXN14-4|TXN5-5|TXN6-7|2680000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|22.19|22.235|0.0|0.0|0.0|0.0|22.01|22.3|0.0|0.0|0.0|0.0|22.25|0.0|22.3|17.52|27.01|0.0|0.0|20.71|22.47|17.52|27.01|0.0|0.0|22.0|22.46|25.0|18.5265|3841|1440555 76332|LRGC|LRGC|00039J707|US00039J7072|AB Active ETFs, Inc.|AB US Large Cap Strategic Equities ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||AllianceBernstein|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-6|TXN2-6|TXN9-8|TXN1-3|TXN3-4|720020|||Yearly|||||2023-09-20||.|.|.|.|.| | | | | | | | | |||N|0|N|N|416A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|51.96|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|52.0339|0.0|52.0339|0.0|0.0|0.0|0.0|52.0|52.05|52.0|52.05|0.0|0.0|52.0|52.05|52.28|46.87|6814|664255 58493|LRGE|LRGE|524682200|US5246822002|ClearBridge Large Cap Growth ESG ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN6-3|TXN14-2|TXN6-6|TXN6-4|3000000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||57.15|0.0|0.0|0.0|56.99|0.0|57.16|0.0|0.0|0.0|0.0|0.0|57.15|0.0|0.0|0.0|0.0|57.15|57.33|57.15|0.0|0.0|57.05|57.34|57.05|57.33|57.04|57.35|57.05|57.33|57.14|57.3|57.81|40.02|8830|2808762 49733|LRGF|LRGF|46434V282|US46434V2824|iShares Trust|iShares U.S. Equity Factor ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-5|TXN2-2|TXN9-1|TXN2-5|TXN1-6|32450000|||Quarterly|||||2015-04-30||LRGF.NV|LRGF.SO|LRGF.EU|LRGF.TC|LRGF.IV| | | | | | | | | |1x|The Underlying Index is designed to select equity securities from MSCI USA Index (the Parent Index) that have high exposure to four investment style factors: value, quality, momentum and size while maintaining a level of risk similar to that of the Parent Index. The Underlying Index is also constrained in its construction to limit turnover and extreme exposures to particular sectors, countries, component weights or other investment style factors.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||46.22|46.2|0.0|0.0|0.0|46.22|46.2699|46.255|0.0|0.0|46.28|46.28|46.28|46.38|46.09|46.2|46.45|46.2699|0.0|46.2699|46.2|46.39|46.18|46.36|46.27|46.28|46.18|46.36|46.18|46.36|46.27|46.29|46.47|38.28|161997|29708378 76442|LRHC|LRHC|50172T103|US50172T1034|La Rosa Holdings Corp|COM USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN6-6|TXN12-6|TXN6-8|TXN5-6|11400000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||35|3510|351010|35101015|Real Estate|Real Estate |Real Estate Investment and Services Development|Real Estate Services|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|2.15|2.075|0.0|0.0|0.0|0.0|0.0|2.12|0.0|0.0|0.0|0.0|2.075|0.0|2.075|1.55|2.63|1.55|2.63|1.89|2.28|1.55|2.63|0.0|0.0|2.02|2.13|5.53|0.9|11140|8178096 44480|LRMR|LRMR|517125100|US5171251003|Larimar Therapeutics Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN5-3|TXN11-5|TXN5-8|TXN6-8|43910000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||3.62|3.62|0.0|0.0|3.62|3.63|3.64|3.625|0.0|0.0|3.615|3.54|3.64|0.0|0.0|0.0|0.0|3.63|0.0|3.64|3.51|3.73|2.76|4.45|3.54|3.7|2.76|4.34|3.55|3.7|3.62|3.64|6.85|2.18|36914|48212520 26521|LRN|LRN|86333M108|US86333M1080|Stride, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|C|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-5|TXN1-7|TXN8-7|TXN2-7|TXN4-4|43340000|||NotApplicable|||||2008-12-31||||||| | | | | | | | | |||N|0|N|Y|108B|USA|US|||40|4020|402010|40201010|Consumer Discretionary|Consumer Products and Services|Consumer Services |Education Services|N||N||||||Y|0|Y||Y|2|||61.22|61.18|0.0|60.7|61.13|61.12|61.23|61.185|0.0|0.0|61.23|61.15|61.21|61.2|61.14|61.22|60.94|61.22|61.17|61.22|61.21|61.22|46.99|75.14|61.07|61.29|61.18|61.27|61.19|61.28|61.21|61.22|61.865|30.66|667853|120741097 73428|LRND|LRND|45409B263|US45409B2631|IQ U.S. Large Cap R&D Leaders ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN5-7|TXN14-2|TXN6-5|TXN6-4|200000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|26.68|0.0|0.0|0.0|0.0|0.0|26.7438|0.0|0.0|0.0|0.0|26.68|0.0|26.7438|0.0|0.0|0.0|0.0|26.71|26.8|0.0|0.0|0.0|0.0|26.73|26.75|26.9368|19.5262|2059|28116 65721|LRNZ|LRNZ|53656F821|US53656F8216|Listed Funds Trust|TrueShares Technology, AI & Deep Learning ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||TrueMark Investments|Latour Trading, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-6|TXN1-1|TXN9-5|TXN4-2|TXN4-8|900000|||Yearly|||||2020-03-02||LRNZ.NV|LRNZ.SO|LRNZ.EU|LRNZ.TC|LRNZ.IV| | | | | | | | | ||The Fund is an actively-managed exchange-traded fund (ETF) that pursues its investment objective by investing, under normal circumstances, at least 80% of its net assets (plus any borrowings made for investment purposes) in securities of artificial intelligence and deep learning. Such companies are defined by Black Hill Capital Partners, LLC, the Funds sub-adviser (Black Hill or the Sub- Adviser) as companies the Sub-Adviser believes have a competitive advantage with respect to the development and utilization of artificial intelligence, machine learning, or other deep learning technologies.|N|0|N|N|412C|USA||EQUITY|ACTIVE|||||||||N||N||||||Y|0|Y||Y|2|||0.0|34.71|0.0|0.0|32.89|34.66|34.7857|33.01|0.0|0.0|34.66|0.0|34.71|0.0|0.0|0.0|0.0|34.7735|0.0|34.7735|34.7|34.83|0.0|0.0|34.76|34.79|31.25|37.85|0.0|0.0|34.76|34.79|34.84|20.7|6409|2963109 61886|LSAF|LSAF|90214Q774|US90214Q7741|Two Roads Shared Trust|LeaderShares AlphaFactor US Core Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Ultimus Fund Solutions (LeaderShares)|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN4-7|TXN3-8|TXN1-2|TXN2-2|4275000|||Yearly|||||2018-10-02||LSAF.NV|LSAF.SO|LSAF.EU|LSAF.TC|LSAF.IV| | | | | | | | | |1x| The Fund seeks to replicate the Advisers proprietary index, the AlphaFactor US Core Equity Index (the Index). The Index utilizes a quantitative rules-based investment methodology that applies a multi-factor ranking process and is focused on the largest 1,000 U.S. common stocks based on market capitalization. Companies within this group of top 1,000 market capitalization may be considered large or mid-cap companies. As of September 11, 2018, the market capitalization range of this universe of companies is between $2.776 billion and $1.081 trillion. Due to future market fluctuations, the market capitalization of this universe may be lower or higher at any given time. The methodology selects stocks based on a number of characteristics that include, but are not limited to, net share count reduction, free cash flow growth, and debt/asset ratios. The final selection of stocks is based on market characteristics including, but not limited to, liquidity and market capitalization. |N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|33.25|33.23|0.0|0.0|0.0|0.0|0.0|32.67|0.0|0.0|0.0|33.3087|0.0|33.3087|32.97|33.65|0.0|0.0|33.29|33.33|33.29|33.33|0.0|0.0|33.29|33.33|34.68|28.3301|5851|4582007 4183|LSAK|LSAK|64107N206|US64107N2062|Lesaka Technologies Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN6-5|TXN12-4|TXN5-8|TXN5-6|62390000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||ZAF||||50|5020|502050|50205015|Industrials|Industrial Goods and Services|Industrial Support Services|Transaction Processing Services|N||N||||||Y|0|Y||||||0.0|0.0|0.0|0.0|0.0|3.51|3.51|0.0|0.0|0.0|3.5|0.0|3.51|0.0|0.0|0.0|3.48|3.51|0.0|3.51|3.3|3.78|0.0|0.0|3.37|3.6|2.81|4.32|0.0|0.0|3.51|3.57|4.89|3.2|16235|8015794 67979|LSAT|LSAT|90214Q691|US90214Q6917|Two Roads Shared Trust|LeaderShares AlphaFactor Tactical Focused ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Ultimus Fund Solutions (LeaderShares)|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-8|TXN4-2|TXN7-8|TXN3-5|TXN3-6|4030000|||Yearly|||||2020-10-27||LSAT.NV|LSAT.SO|LSAT.EU|LSAT.TC|LSAT.IV| | | | | | | | | |1x|The Fund is an actively managed exchange-traded fund (ETF) that employs an investment approach that utilizes a quantitative factor-based investment methodology focused on U.S. equities. The Adviser selects stocks based on a number of characteristics that include, but are not limited to, net share count reduction, free cash flow growth, dividend yield, volatility and debt/asset ratios. The final selection of stocks is based on market characteristics including, but not limited to, liquidity and market capitalization. The Fund expects the average daily trading volume of shares in companies being selected to be in excess of 400,000 shares per day at the time of purchase, however average daily trading volume may change due to market fluctuations. In addition, the Fund expects the market capitalization of the companies in which it invests to be $1 billion and greater, however this could change due to market fluctuations. The Fund will typically be invested in a diversified portfolio of equity securities, or investments that are economically tied to equity securities (i.e., derivatives) such as equity options, of companies with market capitalizations of at least $1 billion at the time of initial purchase. The Adviser employs a multi-factor tactical risk management overlay that seeks to identify periods of above average risk. At times identified by the Adviser as above average risk, the Fund may exit positions in equity securities and become comprised primarily of money market instruments such as treasury bills, certificates of deposit and commercial paper and other short-term instruments, money market funds, or U.S. government bonds. Such investments can either be direct or through investments in other investment companies, including exchange-traded funds (ETFs). In identifying a time as above average risk, the Fund will consider multiple factors including negative market performance and negative market technical indicators such as advance versus decline breadth, as well as a proprietary set of supply and demand and economic factors. The Fund may focus its investments in a particular sector, industry or group of industries. The Fund may utilize derivatives, such as equity options and total return swap agreements, to seek to achieve its objective and for hedging purposes.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||33.72|33.76|0.0|0.0|0.0|33.5|33.7599|33.78|0.0|0.0|0.0|0.0|0.0|33.76|0.0|0.0|33.71|33.76|33.74|33.76|33.46|34.15|25.91|41.06|33.76|33.82|33.76|33.82|0.0|0.0|33.76|33.82|35.68|29.8|11335|6621709 16304|LSBK|LSBK|510700107|US5107001076|Lake Shore Bancorp Inc|COM USD||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN6-4|TXN11-3|TXN6-3|TXN5-4|5690000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|11.06|11.0782|0.0|0.0|0.0|0.0|11.1|11.06|0.0|0.0|0.0|0.0|11.06|0.0|11.06|0.0|0.0|0.0|0.0|10.62|11.73|0.0|0.0|0.0|0.0|11.06|11.19|13.15|9.51|11492|576826 2370|LSCC|LSCC|518415104|US5184151042|Lattice Semiconductor Corporation|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN5-3|TXN11-1|TXN6-4|TXN5-4|138030000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||USA||||10|1010|101020|10102010|Technology|Technology|Technology Hardware and Equipment|Semiconductors|N||N||||||Y|0|Y||||||61.56|61.59|0.0|60.9|61.59|61.59|61.55|61.56|0.0|0.0|61.56|61.54|61.6|61.52|61.46|61.52|61.5|61.59|61.56|61.6|61.46|61.92|57.62|65.24|61.44|61.86|61.47|61.62|61.59|0.0|61.59|61.6|98.3|51.955|2546982|459808033 75231|LSDI|LSDI|54960E104|CA54960E1043|Lucy Scientific Discovery Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-6|TXN6-8|TXN11-7|TXN5-7|TXN5-2|17650000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CAN||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||0.3336|0.33|0.0|0.0|0.3234|0.335|0.3292|0.324|0.0|0.0|0.335|0.335|0.342|0.33|0.33|0.33|0.33|0.3234|0.33|0.342|0.2537|0.4029|0.2629|0.4029|0.3019|0.3572|0.2629|0.4029|0.0|0.0|0.3234|0.335|4.0|0.175|43443172|131144465 61187|LSEA|LSEA|51509P103|US51509P1030|Landsea Homes Corp|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN6-4|TXN14-5|TXN6-7|TXN5-3|37800000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4020|402020|40202010|Consumer Discretionary|Consumer Products and Services|Household Goods and Home Construction|Home Construction|N||N||||||Y|0|Y||||||10.97|11.1|0.0|0.0|10.995|11.1|11.09|11.1|0.0|0.0|11.06|10.97|11.11|11.1|11.01|11.11|10.99|11.1|11.0|11.11|10.97|11.22|8.56|13.47|10.98|11.21|11.07|11.13|11.09|11.13|11.09|11.1|12.45|5.15|293031|31806163 61188|LSEAW|LSEAW|51509P111|US51509P1113|Landsea Homes Corp|WT EXP 010726||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-7|TXN5-4|TXN14-8|TXN5-1|TXN6-4|37800000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.2199|0.22|0.0|0.0|0.0|0.2449|0.262|0.0|0.0|0.0|0.2685|0.2685|0.28|0.0|0.0|0.0|0.0|0.2685|0.0|0.2685|0.0|0.0|0.0|0.0|0.21|0.3092|0.0|0.0|0.0|0.0|0.2199|0.29|0.39|0.09|15096|9210393 76713|LSEQ|LSEQ|41151J828|US41151J8282|Harbor ETF Trust|Harbor Long-Short Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y|||||||||GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-7|TXN3-4|TXN9-8|TXN3-4|TXN3-4|150000|||Yearly|||||2023-12-04||||||| | | | | | | | | |||N|0|N|N|416A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|24.2904|0.0|24.2904|0.0|0.0|0.0|0.0|24.26|24.31|0.0|0.0|0.0|0.0|24.26|24.31|24.2904|24.2904|1|1 67583|LSF|LSF|50736T102|US50736T1025|Laird Superfood, Inc.|Common Stock|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-4|TXN2-5|TXN1-5|TXN4-6|TXN3-5|9350000|||NotApplicable|||||2020-09-23||||||| | | | | | | | | |||N|0|N|N|118B|USA|US|||45|4510|451020|45102020|Consumer Staples |Food, Beverage and Tobacco |Food Producers|Food Products|N||N||||||N|0|Y|D|Y|2|||1.02|0.99|0.0|0.0|0.98|1.02|1.03|0.99|0.0|0.0|0.9802|0.9602|1.01|0.0|0.0|0.0|1.01|1.01|0.0|1.01|0.0|0.0|0.99|1.02|0.9702|1.04|0.0|0.0|0.0|0.0|0.99|1.02|1.49|0.65|11396|11866380 75956|LSGR|LSGR|63875W406|US63875W4069|Natixis ETF Trust II|Natixis Loomis Sayles Focused Growth ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Natixis|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN1-1|TXN6-8|TXN4-4|TXN3-4|210000|||Yearly|||||2023-06-29||LSGR.NV|LSGR.SO|LSGR.EU|LSGR.TC|LSGR.IV| | | | | | | | | ||Natixis Loomis Sayles Focused Growth ETF is an exchange-traded fund incorporated in the USA. The Fund is actively managed and seeks long-term growth of capital by investing primarily in exchange-traded U.S.-listed common stocks and other exchange-traded equity securities. The Fund focuses on stocks of large capitalization companies, but the Fund may invest in companies of any size.|N|0|N|N|408A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|26.7386|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|26.5134|0.0|26.5134|0.0|0.0|0.0|0.0|26.48|26.53|13.43|40.27|0.0|0.0|26.49|26.52|26.8518|23.4862|37|217587 67479|LSPD|LSPD|53229C107|CA53229C1077|Lightspeed Commerce Inc.|Subordinate Voting Shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|5|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-5|TXN3-4|TXN6-8|TXN3-5|TXN3-4|152590000|||NotApplicable|||||2020-09-11||||||| | | | | | | | | |||N|0|N|Y|180B|CAN|CA|||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||Y|2|||16.68|16.67|0.0|16.6|16.66|16.67|16.66|16.67|0.0|0.0|16.69|16.69|16.67|16.69|16.67|16.67|16.68|16.66|16.685|16.67|16.67|16.68|12.78|20.55|16.61|16.68|16.63|16.72|16.63|16.73|16.67|16.68|20.1232|12.23|1170564|203311749 60358|LSST|LSST|63873X208|US63873X2080|Natixis ETF Trust|Natixis Loomis Sayles Short Duration Income ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Natixis|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-7|TXN2-4|TXN1-5|TXN4-1|TXN4-5|900000|||Monthly|||||2017-12-28||LSST.NV|LSST.SO|LSST.EU|LSST.TC|LSST.IV| | | | | | | | | ||The fund is an actively managed fixed income strategy that invests primarily in investment-grade fixed-income securities on the basis of its expected contribution to risk and return of the portfolio relative to the benchmark. The Bloomberg Barclays US Government/Credit 1-3 Year Index is considered representative of the performance of short-term U.S. corporate bonds and U.S. government bonds with maturities from one to three years. |N|0|N|N|416A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|23.7794|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|23.775|0.0|23.775|0.0|0.0|0.0|0.0|23.76|23.79|0.0|0.0|0.0|0.0|23.76|23.8|23.95|23.4363|1278|2490953 25273|LSTA|LSTA|128058302|US1280583022|Lisata Therapeutics Inc|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN5-3|TXN11-4|TXN5-3|TXN6-6|8140000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||2.24|2.24|0.0|0.0|2.24|2.29|2.255|2.26|0.0|0.0|2.29|0.0|2.26|0.0|0.0|0.0|0.0|2.26|0.0|2.26|2.13|2.41|0.0|0.0|2.17|2.4|1.69|2.55|0.0|0.0|2.26|2.29|4.5329|1.95|12606|4495577 2375|LSTR|LSTR|515098101|US5150981018|Landstar System Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN5-3|TXN12-3|TXN6-8|TXN5-4|35950000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||USA||||50|5020|502060|50206010|Industrials|Industrial Goods and Services|Industrial 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LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN2-6|TXN1-8|TXN2-6|TXN1-8|41410000|||Monthly|||||1992-08-18||||||| | | | | | | | | |||N|0|N|Y|412A|USA|US|||35|3510|351020|35102010|Real Estate|Real Estate |Real Estate Investment Trusts|Health Care REITs|N||N||||||Y|0|Y||Y|2|||33.1|33.39|0.0|33.32|33.36|33.39|33.34|33.38|0.0|0.0|33.44|33.4|33.34|33.39|33.13|33.35|33.12|33.35|33.14|33.35|33.35|33.37|25.51|40.65|33.21|33.6|33.31|33.39|33.32|33.37|33.35|33.37|39.94|30.5|234927|56686937 71954|LTH|LTH|53190C102|US53190C1027|Life Time Group Holdings, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-2|TXN4-5|TXN3-3|TXN2-2|TXN4-5|196410000|||NotApplicable|||||2021-10-07||||||| | | | | | | | | |||N|0|N|Y|144C|USA|US|||40|4050|405010|40501030|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Recreational Services|N||N||||||Y|0|Y||Y|2|||15.61|15.615|0.0|15.91|15.61|15.615|15.61|15.615|0.0|0.0|15.65|15.61|15.62|15.61|15.61|15.63|15.66|15.62|15.61|15.63|15.62|15.63|12.41|19.41|15.6|15.66|15.59|15.65|15.59|15.66|15.62|15.63|22.41|11.1|465016|186413704 61928|LTHM|LTHM|53814L108|US53814L1089|Livent Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|N|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-4|TXN3-3|TXN6-5|TXN3-1|TXN3-5|179810000|||NotApplicable|||||2018-10-11||||||| | | | | | | | | |||N|0|N|Y|100A|USA|US|||55|5520|552010|55201020|Basic Materials|Chemicals|Chemicals|Specialty Chemicals|N||N||||||Y|0|Y||Y|2|||13.53|13.52|0.0|13.52|13.53|13.52|13.52|13.53|0.0|0.0|13.52|13.53|13.52|13.53|13.535|13.52|13.55|13.52|13.535|13.52|13.52|13.53|10.51|16.83|13.51|13.56|13.5|13.56|13.49|13.57|13.52|13.53|29.175|12.755|5561436|781963573 27578|LTL|LTL|74347R263|US74347R2638|ProShares Trust|ProShares Ultra Communication Services|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ProShares Advisors |IMC Chicago, LLC, DBA IMC Financial Markets|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-4|TXN1-8|TXN9-8|TXN1-7|TXN1-7|30000|||Quarterly|||||2008-11-12||LTL.NV|LTL.SO|LTL.EU|LTL.TC|LTL.IV| | | | | | | | | |2x|ProShares Ultra Telecommunications seeks daily investment results, before fees and expenses, that correspond to twice (200%) the daily performance of the Dow Jones U.S. Select Telecommunications Index. This ETF seeks a return of 200% of the return of an index (target) for a single day. Due to the compounding of daily returns, returns over periods other than one day will likely differ in amount and possibly direction from the target return for the same period. Investors should monitor their ProShares holdings consistent with their strategies, as frequently as daily. For more on correlation, leverage and other risks, please read the prospectus. The Dow Jones U.S. Select Telecommunications Index measures providers of fixed-line and mobile telephone services. Fixed-line includes regional and long-distance carriers. Mobile includes cellular, satellite and paging services. 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Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN5-1|TXN10-7|TXN6-1|TXN6-5|10870000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||0.0|0.0|0.0|0.0|3.65|3.65|3.61|0.0|0.0|0.0|3.75|0.0|3.65|0.0|0.0|0.0|0.0|3.61|0.0|3.65|2.8|4.49|2.8|4.49|3.48|3.92|2.8|4.49|0.0|0.0|3.61|3.7|6.2|2.38|17662|8501690 2380|LTRX|LTRX|516548203|US5165482036|Lantronix Inc|COM 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72361|LUNR|LUNR|46125A100|US46125A1007|Intuitive Machines Inc|CL A COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN6-1|TXN11-2|TXN6-5|TXN6-7|21030000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502010|50201010|Industrials|Industrial Goods and Services|Aerospace and Defense|Aerospace|N||N||||||N|0|Y||||||3.31|3.31|0.0|3.32|3.27|3.32|3.325|3.32|0.0|0.0|3.32|3.29|3.33|3.25|3.27|3.28|3.26|3.325|3.3|3.33|3.16|3.38|2.54|4.06|3.19|3.37|3.29|3.35|3.31|3.34|3.32|3.33|136.0|2.552|1239921|157279573 72362|LUNRW|LUNRW|46125A118|US46125A1189|Intuitive Machines Inc|WT EXP 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LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-3|TXN4-4|TXN2-8|TXN4-5|TXN3-4|330000|||Yearly|||||2023-05-11||LUX.NV|LUX.SO|LUX.EU|LUX.TC| | | | | | | | | | ||Under normal circumstances, the Tema Luxury ETF seeks to achieve its investment objective by investing at least 80% of its net assets, which include borrowings for investment purposes, in common and preferred stocks of publicly listed companies that are contained within a recognized global luxury index, such as the S&P 500 Global Luxury Index or other comparable luxury index.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|22.77|22.795|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|22.9042|0.0|22.9042|0.0|0.0|0.0|0.0|22.83|22.97|0.0|0.0|0.0|0.0|22.83|22.97|26.06|21.1811|134|482417 74442|LUXH|LUXH|21985R105|US21985R1059|LuxUrban Hotels Inc|COM USD0.00001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN6-1|TXN10-4|TXN6-8|TXN6-6|36840000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||35|3510|351010|35101010|Real Estate|Real Estate |Real Estate Investment and Services Development|Real Estate Holding and Development |N||N||||||N|0|Y||||||4.47|4.47|0.0|4.34|4.51|4.49|4.46|4.47|0.0|0.0|4.51|4.39|4.48|4.41|4.47|4.5|4.46|4.46|4.47|4.48|4.41|4.64|3.4|5.45|4.42|4.61|4.44|4.5|4.44|4.5|4.46|4.48|5.78|1.41|505420|25405271 76525|LUXHP|LUXHP|21985R204|US21985R2040|LuxUrban Hotels Inc|13.00 CUM RED PFD A||B|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN6-5|TXN14-1|TXN5-4|TXN6-3|280000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|23.9|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|23.66|24.03|25.25|22.0|50|159603 76202|LUXX|LUXX|53656G431|US53656G4313|Listed Funds Trust|Roundhill S&P Global Luxury ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Roundhill Investments|Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-7|TXN3-1|TXN7-8|TXN3-7|TXN4-4|50000|||Yearly|||||2023-08-23||LUXX.IV|LUXX.SO|LUXX.EU|LUXX.TC| | | | | | | | | | |1x|The Roundhill S&P Global Luxury ETF (the Fund) seeks to track the performance, before fees and expenses, of the S&P Global LuxuryIndex (the Index).|N|0|N|N|412C|USA||EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|23.5754|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|23.9707|0.0|23.9707|0.0|0.0|0.0|0.0|23.94|23.99|0.0|0.0|0.0|0.0|23.94|23.99|26.3|21.6324|331|55706 52233|LVHD|LVHD|52468L406|US52468L4068|Franklin US Low Volatility High Dividend Index ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN6-6|TXN11-2|TXN6-6|TXN5-8|24450000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||35.69|35.68|0.0|0.0|35.72|35.68|35.7111|35.65|0.0|0.0|35.6|35.72|35.72|35.65|0.0|0.0|35.71|35.7111|0.0|35.72|35.63|35.79|35.62|35.79|35.63|35.78|35.64|35.8|35.64|35.78|35.7|35.72|39.723|32.58|63064|38944582 53557|LVHI|LVHI|52468L505|US52468L5057|Franklin International Low Volatility High Dividend Index ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-3|TXN1-8|TXN3-8|TXN3-4|TXN1-5|22680000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||28.389|28.38|0.0|0.0|28.39|28.38|28.385|28.38|0.0|0.0|28.39|0.0|28.38|28.389|0.0|0.0|0.0|28.38|0.0|28.38|26.36|30.17|26.36|30.17|28.25|28.4|26.36|30.17|0.0|0.0|28.35|28.39|28.5|25.35|133157|34077730 72349|LVLU|LVLU|55003A108|US55003A1088|Lulus Fashion Lounge Holdings Inc|COM USD0.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN5-2|TXN11-8|TXN5-6|TXN6-5|40470000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4040|404010|40401020|Consumer Discretionary|Retail |Retailers |Apparel Retailers|N||N||||||Y|0|Y|C|||||2.55|2.41|0.0|0.0|2.47|2.47|2.41|2.45|0.0|0.0|2.42|0.0|2.45|2.55|0.0|2.39|0.0|2.41|0.0|2.41|1.89|3.05|1.89|3.05|2.36|2.54|1.89|3.05|0.0|0.0|2.41|2.48|4.04|1.44|36009|17385795 60713|LVO|LVO|53814X102|US53814X1028|LiveOne Inc|COM USD0.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN6-3|TXN14-6|TXN6-3|TXN5-3|91180000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4030|403010|40301010|Consumer Discretionary|Media|Media|Entertainment|N||N||||||Y|0|Y||||||1.06|1.04|0.0|0.0|0.0|1.05|1.04|1.05|0.0|0.0|1.05|1.06|1.06|1.06|1.06|1.06|1.05|1.04|0.0|1.06|1.01|1.1|0.816|1.3|1.02|1.08|1.01|1.09|1.0|1.09|1.04|1.06|2.19|0.483|91595|68544260 68769|LVOL|LVOL|025072513|US0250725134|American Century ETF Trust|American Century Low Volatility ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||American Century Investments|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-3|TXN2-1|TXN3-8|TXN2-6|TXN3-4|225000|||Quarterly|||||2021-01-14||LVOL.NV|LVOL.SO|LVOL.EU|LVOL.TC|LVOL.IV| | | | | | | | | |1x|Portfolio managers utilize quantitative models to select securities with attractive fundamentals that they expect will provide returns that will reasonably track the market over the long term, while realizing less volatility.|N|0|N|N|406B|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|46.5|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|46.5584|0.0|46.5584|36.99|55.88|0.0|0.0|46.53|46.57|36.99|55.88|0.0|0.0|46.53|46.57|46.6702|41.2669|1881|83048 63438|LVOX|LVOX|53838L100|US53838L1008|LiveVox Holding Inc|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN5-4|TXN12-3|TXN5-7|TXN6-1|94640000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||||||3.68|3.7|0.0|0.0|3.69|3.695|3.7|3.69|0.0|0.0|3.695|3.69|3.69|3.69|3.7|3.695|3.69|3.69|0.0|3.69|3.65|3.74|2.86|4.6|3.69|3.73|2.86|4.6|0.0|0.0|3.69|3.7|3.705|2.12|163630|35823877 63160|LVOXU|LVOXU|53838L209|US53838L2097|LiveVox Holding Inc|UNIT EX 030824||R|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN5-2|TXN11-2|TXN5-6|TXN5-6|94640000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|3.92|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|3.23|3.95|4.2|2.46|2|39288 63439|LVOXW|LVOXW|53838L118|US53838L1180|LiveVox Holding Inc|WT EXP 061826||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-6|TXN5-1|TXN11-4|TXN5-5|TXN6-3|94470000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.105|0.1051|0.105|0.0|0.0|0.0|0.0|0.1051|0.0|0.1051|0.0903|0.1311|0.0|0.0|0.095|0.1775|0.0|0.0|0.0|0.0|0.1051|0.115|0.38|0.101|8195|9809570 71905|LVRO|LVRO|G5391L102|KYG5391L1023|Lavoro Ltd|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN5-1|TXN10-7|TXN6-5|TXN6-8|116610000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||BRA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|6.79|0.0|0.0|0.0|6.65|6.66|6.66|0.0|0.0|0.0|0.0|6.66|0.0|0.0|0.0|0.0|6.66|0.0|6.66|0.0|0.0|0.0|0.0|6.18|7.14|0.0|0.0|0.0|0.0|6.65|6.7|15.82|4.72|8755|6909708 71906|LVROW|LVROW|G5391L110|KYG5391L1106|Lavoro Ltd|WT EXP 080926||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-3|TXN5-3|TXN11-2|TXN6-4|TXN6-2|113600000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||BRA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.471|0.0|0.471|0.0|0.0|0.0|0.0|0.4325|0.74|0.0|0.0|0.0|0.0|0.4326|0.47|1.49|0.3875|3900|1504402 7573|LVS|LVS|517834107|US5178341070|Las Vegas Sands Corp.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-1|TXN1-8|TXN9-8|TXN4-4|TXN3-1|759150000|||Quarterly|||||2004-12-15||||||| | | | | | | | | |||N|5|Y|Y|128A|USA|US|||40|4050|405010|40501020|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Casinos and Gambling|N||N||||||Y|0|Y||Y|1|||45.62|45.62|0.0|45.98|45.63|45.62|45.635|45.62|0.0|0.0|45.63|45.63|45.62|45.62|45.66|45.63|45.67|45.63|45.64|45.63|45.63|45.64|42.63|48.57|45.61|45.66|45.58|45.67|45.62|45.67|45.63|45.64|65.58|43.77|5334660|1103101965 69956|LVTX|LVTX|N51517105|NL0015000AG6|LAVA Therapeutics N.V.|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN6-5|TXN11-6|TXN6-3|TXN5-6|26290000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||NLD||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||0.0|1.54|0.0|0.0|0.0|1.53|1.5489|0.0|0.0|0.0|0.0|0.0|1.53|0.0|0.0|0.0|1.52|1.54|0.0|1.54|1.21|1.82|1.21|1.82|1.5|1.82|1.21|1.82|0.0|0.0|1.53|1.54|7.38|1.131|14482|48894787 74673|LVWR|LVWR|53838J105|US53838J1051|LiveWire Group, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|M|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN2-7|TXN1-5|TXN3-6|TXN3-8|202540000|||NotApplicable|||||2022-09-27||||||| | | | | | | | | |||N|0|N|Y|114D|USA|US|||40|4020|402030|40203055|Consumer Discretionary|Consumer Products and Services|Leisure Goods|Recreational Vehicles and Boats|N||N||||||Y|0|Y||Y|2|||10.98|10.96|0.0|11.0|10.98|10.97|11.04|10.98|0.0|0.0|11.05|11.14|10.98|11.1|10.45|11.03|11.23|11.03|0.0|11.03|11.01|11.03|10.85|11.17|10.86|11.12|10.84|11.16|10.94|11.06|11.01|11.03|12.5|4.2|51834|8039710 74674|LVWR WS|LVWR.WS|53838J113|US53838J1135|LiveWire Group, Inc.|Warrants, each whole warrant exercisable for one Class A ordinary share at an exercise price of $11.50|Operating company|C|N|N|N|Y|Y|Y|Y|Y|6|M|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN7-8|TXN2-6|TXN8-8|TXN3-5|TXN4-7|202540000|||NotApplicable|||||2022-09-27|2027-09-26|||||| | | | | | | | | |||N|0|N|N|114D|USA|US|||||||||||N||N||||||N|0|Y|C|N||||0.0|0.31|0.0|0.0|0.0|0.3333|0.3038|0.35|0.0|0.0|0.31|0.31|0.31|0.0|0.0|0.31|0.0|0.31|0.0|0.31|0.2772|0.31|0.0|0.0|0.265|0.3306|0.0|0.0|0.0|0.0|0.2772|0.31|0.7807|0.1925|22921|17265069 54219|LW|LW|513272104|US5132721045|Lamb Weston Holdings, Inc.|Common Stock, $1.00 par value|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|A|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-7|TXN2-6|TXN3-5|TXN3-2|TXN3-6|144930000|||Quarterly|||||2016-10-31||||||| | | | | | | | | |||N|5|Y|Y|118C|USA|US|||45|4510|451020|45102020|Consumer Staples |Food, Beverage and Tobacco |Food Producers|Food Products|N||N||||||Y|0|Y||Y|1|||102.46|102.5|0.0|101.74|102.45|102.45|102.47|102.46|0.0|0.0|102.53|102.455|102.465|102.47|102.54|102.46|102.5|102.47|102.5|102.46|102.46|102.49|95.48|109.04|102.44|102.51|102.37|102.57|102.45|102.55|102.46|102.49|117.3822|81.255|1941113|374164729 2390|LWAY|LWAY|531914109|US5319141090|Lifeway Foods Inc|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN6-1|TXN11-5|TXN6-4|TXN5-8|14690000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||45|4510|451020|45102020|Consumer Staples |Food, Beverage and Tobacco |Food Producers|Food Products|N||N||||||N|0|Y||||||14.42|14.47|0.0|14.52|14.55|14.33|14.535|14.52|0.0|0.0|14.41|14.25|14.5|14.49|14.51|14.49|0.0|14.535|0.0|14.5|14.21|14.8|11.17|17.71|14.26|14.76|14.39|14.66|14.5|14.6|14.5|14.57|17.33|5.26|84042|13507882 27417|LWLG|LWLG|532275104|US5322751042|Lightwave Logic Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN6-7|TXN12-3|TXN5-5|TXN6-6|116890000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||15|1510|151010|15101010|Telecommunications|Telecommunications|Telecommunications Equipment|Telecommunications Equipment|N||N||||||Y|0|Y||||||4.58|4.6|0.0|0.0|4.6|4.595|4.6|4.6|0.0|0.0|4.59|4.59|4.59|4.6|4.57|4.595|4.59|4.6|4.48|4.59|4.59|4.63|3.59|5.64|4.59|4.63|4.56|4.63|4.55|4.64|4.59|4.6|9.18|3.79|1186178|153879614 60346|LX|LX|528877103|US5288771034|LexinFintech Holdings Ltd|ADR||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN5-7|TXN13-1|TXN6-2|TXN6-1|245870000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||30|3020|302010|30201020|Financials|Financial Services |Finance and Credit Services|Consumer Lending|N||N||||||Y|0|Y||||||1.8|1.79|0.0|1.82|1.79|1.79|1.79|1.79|0.0|0.0|1.795|1.79|1.79|1.79|1.84|1.795|0.0|1.8|1.79|1.79|1.79|1.82|1.51|2.16|1.79|1.82|1.76|1.83|1.78|1.81|1.79|1.8|3.86|1.72|346525|125182304 67737|LXEH|LXEH|53934A115|US53934A1152|Lixiang Education Holding Co Ltd|ADR||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-6|TXN5-3|TXN14-5|TXN5-6|TXN6-2|66670000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||40|4020|402010|40201010|Consumer Discretionary|Consumer Products and Services|Consumer Services |Education Services|N||N||||||N|0|Y|C|||||0.6007|0.575|0.0|0.0|0.6169|0.6007|0.611606|0.61|0.0|0.0|0.58|0.58|0.61|0.0|0.61|0.58|0.61|0.611606|0.0|0.611606|0.464|0.7314|0.464|0.7314|0.5695|0.6201|0.464|0.7314|0.0|0.0|0.61|0.617|4.02|0.202|192074|86683315 76559|LXEO|LXEO|52886X107|US52886X1072|Lexeo Therapeutics Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN6-2|TXN14-3|TXN6-8|TXN5-6|25170000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||15.265|15.7|0.0|15.79|16.44|15.71|15.715|15.67|0.0|0.0|15.5|15.11|15.77|15.05|15.64|15.465|0.0|15.8|15.8|15.77|12.03|19.15|12.03|19.15|14.63|16.76|12.03|15.8|15.67|16.02|15.67|15.8|17.7155|9.0|206379|3887776 39354|LXFR|LXFR|G5698W116|GB00BNK03D49|Luxfer Holdings PLC|Ordinary Shares|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|C|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-5|TXN2-2|TXN6-5|TXN3-4|TXN4-3|26870000|||Quarterly|||||2017-12-11||||||| | | | | | | | | |||N|0|N|Y|126E|USA|GB|||50|5020|502030|50203000|Industrials|Industrial Goods and Services|General Industrials|Diversified Industrials|N||N||||||Y|0|Y||Y|2|||8.77|8.765|0.0|8.65|8.78|8.765|8.78|8.765|0.0|0.0|8.775|8.78|8.765|8.72|8.83|8.77|8.83|8.76|8.83|8.77|8.76|8.77|6.83|10.87|8.7|8.85|8.73|8.8|8.74|8.8|8.76|8.77|17.83|7.91|861276|37489294 7575|LXP|LXP|529043101|US5290431015|LXP Industrial Trust|Common Stock (Maryland REIT)|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|6|O|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-2|TXN4-6|TXN6-4|TXN4-6|TXN2-6|292640000|||Quarterly|||||1993-10-22||||||| | | | | | | | | |||N|0|N|Y|412A|USA|US|||35|3510|351020|35102000|Real Estate|Real Estate |Real Estate Investment Trusts|Diversified REITs|N||N||||||N|0|Y||Y|2|||9.17|9.17|0.0|9.17|9.17|9.175|9.18|9.165|0.0|0.0|9.17|9.17|9.175|9.17|9.16|9.17|9.14|9.17|9.17|9.17|9.17|9.18|6.92|11.22|9.17|9.2|9.15|9.2|9.14|9.21|9.17|9.18|11.92|7.75|2202898|479473586 7577|LXP PRC|LXPpC|529043309|US5290433094|LXP Industrial Trust|6.5% Series C Cumulative Convertible Preferred Stock|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|6|H|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN3-1|TXN2-8|TXN3-4|TXN3-2|1940000|||Quarterly|||||2004-12-14||||||| | | | | | | | | |||N|0|N|N|412A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|46.31|46.2431|0.0|0.0|0.0|0.0|0.0|46.57|0.0|0.0|46.2431|0.0|46.2431|0.0|46.2431|46.26|46.72|0.0|0.0|45.36|46.72|0.0|0.0|0.0|0.0|46.26|46.72|49.65|42.18|1084|637971 2304|LXRX|LXRX|528872302|US5288723027|Lexicon Pharmaceuticals Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN6-7|TXN11-5|TXN6-2|TXN5-1|244930000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||1.19|1.2|0.0|1.16|1.19|1.195|1.1905|1.19|0.0|0.0|1.19|1.19|1.2|1.19|1.195|1.2|1.19|1.1905|1.19|1.2|1.18|1.21|0.96|1.45|1.18|1.21|1.16|1.23|1.18|1.2|1.19|1.2|3.789|0.92|2508680|394524830 7578|LXU|LXU|502160104|US5021601043|LSB Industries Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|N|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-3|TXN2-4|TXN9-3|TXN2-6|TXN4-6|74340000|||Adhoc|||||2008-10-28||||||| | | | | | | | | |||N|0|N|Y|106A|USA|US|||55|5520|552010|55201000|Basic Materials|Chemicals|Chemicals|Chemicals: Diversified|N||N||||||Y|0|Y||Y|2|||8.86|8.86|0.0|8.58|8.88|8.865|8.865|8.875|0.0|0.0|8.87|8.87|8.87|8.83|8.89|8.87|8.89|8.88|8.84|8.87|8.87|8.89|6.92|10.85|8.87|8.9|8.85|8.89|8.84|8.9|8.87|8.89|15.3|7.715|284802|157461894 32780|LYB|LYB|N53745100|NL0009434992|LyondellBasell Industries N.V.|Class A Ordinary Shares|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|P|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-3|TXN3-4|TXN7-4|TXN3-7|TXN1-7|324360000|||Quarterly|||||2010-10-14||||||| | | | | | | | | |||N|5|Y|Y|106B|USA|US|||55|5520|552010|55201020|Basic Materials|Chemicals|Chemicals|Specialty Chemicals|N||N||||||Y|0|Y||Y|1|||94.14|94.085|0.0|94.08|94.13|94.11|94.06|94.09|0.0|0.0|94.08|94.08|94.12|94.06|94.08|94.09|94.07|94.07|94.115|94.09|94.07|94.08|89.07|100.36|93.97|94.13|94.01|94.13|94.0|94.14|94.07|94.08|102.045|79.2|2592491|457212930 70890|LYEL|LYEL|55083R104|US55083R1041|Lyell Immunopharma Inc|COM USD.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN5-7|TXN12-6|TXN6-7|TXN5-1|251870000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||1.89|1.88|0.0|2.08|1.89|1.895|1.885|1.89|0.0|0.0|1.885|1.89|1.9|1.885|1.9|1.895|1.895|1.89|1.9|1.9|1.87|1.9|1.58|2.34|1.88|1.9|1.86|1.92|1.87|1.9|1.88|1.89|4.04|1.32|1292582|223924155 63334|LYFT|LYFT|55087P104|US55087P1049|Lyft Inc|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN5-8|TXN11-8|TXN5-1|TXN6-1|384390000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||USA||||40|4020|402010|40201070|Consumer Discretionary|Consumer Products and Services|Consumer Services |Consumer Services: Misc.|N||N||||||Y|0|Y||||||12.66|12.65|0.0|12.66|12.66|12.65|12.6551|12.655|0.0|0.0|12.655|12.66|12.66|12.66|12.66|12.65|12.66|12.6551|12.66|12.66|12.65|12.67|11.99|13.46|12.65|12.66|12.11|12.68|12.62|12.69|12.65|12.66|18.36|7.85|18518893|3977524443 7580|LYG|LYG|539439109|US5394391099|Lloyds Banking Group plc|American Depositary Shares (Each representing four Ordinary Shares of nominal value 10 pence each)|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-7|TXN1-3|TXN7-6|TXN4-4|TXN2-3|63557090000|||BiAnnually|||||2001-11-27||||||| | | | | | | | | |||N|0|N|Y|416A|GBR|GB|||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||Y|2|||2.255|2.25|0.0|2.24|2.255|2.255|2.25|2.25|0.0|0.0|2.255|2.25|2.25|2.26|2.255|2.25|2.255|2.25|2.25|2.25|2.25|2.26|1.73|2.74|2.25|2.26|2.22|2.29|2.24|2.26|2.25|2.26|2.63|1.88|11291657|2328194186 66266|LYRA|LYRA|55234L105|US55234L1052|Lyra Therapeutics Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN5-7|TXN11-4|TXN6-3|TXN5-8|52560000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||3.66|3.57|0.0|0.0|3.55|3.56|3.521|3.54|0.0|0.0|3.55|3.56|3.54|3.59|0.0|3.55|0.0|3.521|0.0|3.54|3.43|3.69|2.72|4.38|3.45|3.62|3.49|3.6|3.48|3.61|3.52|3.55|5.25|1.86|148013|42925083 73843|LYT|LYT|G5851A109|VGG5851A1093|Lytus Technologies Holdings PTV Ltd|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-6|TXN5-1|TXN14-3|TXN5-8|TXN5-1|40570000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||IND||||10|1010|101010|10101020|Technology|Technology|Software and Computer Services|Consumer Digital Services |N||N||||||N|0|Y||||||0.145|0.1455|0.0|0.0|0.1457|0.1462|0.1479|0.148|0.0|0.0|0.1435|0.1456|0.1475|0.146|0.0|0.0|0.146|0.148|0.146|0.1475|0.1128|0.174|0.1128|0.174|0.14|0.148|0.1128|0.174|0.0|0.0|0.146|0.1475|2.27|0.11|129730|169428520 2395|LYTS|LYTS|50216C108|US50216C1080|LSI Industries Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN5-6|TXN13-7|TXN6-8|TXN6-6|28920000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5010|501010|50101035|Industrials|Construction and Materials|Construction and Materials |Building Materials: Other|N||N||||||N|0|Y||||||0.0|13.32|0.0|13.33|13.36|13.32|13.37|13.37|0.0|0.0|13.36|13.37|13.37|0.0|0.0|13.37|13.3|13.37|0.0|13.37|13.35|13.48|10.27|16.41|13.24|13.47|13.34|13.39|13.35|13.39|13.36|13.37|16.97|11.25|110874|54214660 15820|LYV|LYV|538034109|US5380341090|Live Nation Entertainment, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-2|TXN1-6|TXN3-4|TXN1-1|TXN1-3|230330000|||NotApplicable|||||2005-12-14||||||| | | | | | | | | |||N|5|Y|Y|144D|USA|US|||40|4050|405010|40501030|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Recreational Services|N||N||||||Y|0|Y||Y|1|||84.23|84.135|0.0|84.16|84.14|84.22|84.12|84.17|0.0|0.0|84.195|84.16|84.13|84.2|84.07|84.13|84.21|84.13|84.16|84.13|84.13|84.14|79.53|90.33|84.07|84.17|84.05|84.19|84.11|84.21|84.13|84.14|101.74|64.25|1535862|456111254 71025|LZ|LZ|52466B103|US52466B1035|LegalZoom.com Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN6-2|TXN10-5|TXN5-1|TXN6-2|187930000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502050|50205020|Industrials|Industrial Goods and Services|Industrial Support Services|Professional Business Support Services|N||N||||||Y|0|Y||||||11.42|11.41|0.0|11.59|11.43|11.415|11.41|11.415|0.0|0.0|11.42|11.42|11.43|11.41|11.42|11.41|11.42|11.41|11.42|11.43|11.39|11.42|8.93|14.05|11.39|11.44|11.39|11.44|11.38|11.45|11.41|11.42|15.68|6.89|1206164|264443912 7583|LZB|LZB|505336107|US5053361078|La-Z-Boy Incorporated|Common Shares|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|C|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-7|TXN1-3|TXN3-6|TXN3-5|TXN4-8|42780000|||Quarterly|||||1987-08-20||||||| | | | | | | | | |||N|0|N|Y|124B|USA|US|||40|4020|402020|40202015|Consumer Discretionary|Consumer Products and Services|Household Goods and Home Construction|Household Furnishings|N||N||||||Y|0|Y||Y|2|||36.42|36.29|0.0|36.4|36.28|36.3|36.3|36.29|0.0|0.0|36.29|36.275|36.305|36.28|36.26|36.28|36.25|36.28|36.13|36.28|36.28|36.31|36.22|36.36|36.08|36.48|36.24|36.35|36.23|36.36|36.28|36.31|36.8159|22.65|484409|87646090 75979|LZM|LZM|G5568L109|IM00BLCY1J27|Lifezone Metals Limited|Ordinary Shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|5|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN4-5|TXN6-8|TXN3-1|TXN2-1|79920000|||NotApplicable|||||2023-07-06||||||| | | | | | | | | |||N|0|N|N|130E|GBR|IM|||55|5510|551020|55102000|Basic Materials|Basic Resources|Industrial Metals and Mining|General Mining|N||N||||||N|0|Y||Y|2|||10.03|9.87|0.0|0.0|8.41|10.25|9.88|10.0|0.0|0.0|0.0|0.0|10.23|0.0|0.0|9.89|10.25|9.86|10.0|9.89|9.85|10.6|7.81|12.93|9.54|11.0|7.81|12.93|0.0|0.0|9.85|10.6|19.92|6.9|17204|9904914 75978|LZM WS|LZM.WS|G5568L117|IM00BLCY1Q93|Lifezone Metals Limited|Warrants|Operating company|C|N|Y|N|Y|Y|Y|Y|Y|5|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN7-8|TXN1-4|TXN8-8|TXN3-2|TXN1-4|0|||NotApplicable|||||2023-07-06|2028-07-06|||||| | | | | | | | | |||N|0|N|N|130E|GBR|IM|||||||||||N||N||||||N|0|Y||N||||0.54|0.54|0.0|0.0|0.58|0.5413|0.55625|0.0|0.0|0.0|0.54|0.54|0.52|0.0|0.0|0.54|0.54|0.54|0.54|0.54|0.49|0.58|0.0|0.0|0.5375|0.58|0.0|0.0|0.0|0.0|0.49|0.58|1.48|0.4|11947|5552594 6263|M|M|55616P104|US55616P1049|Macy's Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|C|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-1|TXN2-2|TXN8-5|TXN2-3|TXN3-2|274070000|||Quarterly|||||1992-02-05||||||| | | | | | | | | |||N|0|Y|Y|146A|USA|US|||40|4040|404010|40401010|Consumer Discretionary|Retail |Retailers |Diversified Retailers|N||N||||||Y|0|Y||Y|1|||17.48|17.48|0.0|17.66|17.48|17.475|17.4799|17.475|0.0|0.0|17.48|17.46|17.48|17.46|17.45|17.48|17.46|17.48|17.45|17.48|17.47|17.48|16.28|18.41|17.47|17.48|17.44|17.5|17.44|17.5|17.47|17.48|25.12|10.54|15201619|2657278194 16559|MA|MA|57636Q104|US57636Q1040|Mastercard Incorporated|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-5|TXN2-3|TXN4-3|TXN3-1|TXN3-5|930440000|||Quarterly|||||2006-05-25||||||| | | | | | | | | |||N|1|Y|Y|408A|USA|US|||50|5020|502050|50205015|Industrials|Industrial Goods and Services|Industrial Support Services|Transaction Processing Services|N||N||||||Y|0|Y||Y|1|||408.12|408.145|0.0|408.23|408.1|408.17|408.1|408.12|0.0|0.0|408.145|408.14|408.11|408.13|408.04|408.23|408.88|408.23|408.15|408.23|408.22|408.23|387.19|434.73|407.8|408.6|407.89|408.4|408.07|408.27|408.07|408.27|418.6|336.43|3097946|613783336 7585|MAA|MAA|59522J103|US59522J1034|Mid-America Apartment Communities, Inc.|Common Stock|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|8|I|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-6|TXN4-2|TXN8-6|TXN3-1|TXN2-4|116690000|||Quarterly|||||1994-01-28||||||| | | | | | | | | |||N|5|Y|Y|412A|USA|US|||35|3510|351020|35102040|Real Estate|Real Estate |Real Estate Investment Trusts|Residential REITs|N||N||||||Y|0|Y||Y|1|||126.37|126.85|0.0|126.8|126.85|126.845|126.85|126.85|0.0|0.0|126.87|126.26|126.81|126.86|126.82|126.83|126.68|126.81|126.52|126.83|126.8|126.85|117.66|133.87|126.74|126.89|126.72|126.97|126.77|126.85|126.8|126.85|176.36|115.56|888539|162836263 54556|MAA PRI|MAApI|59522J889|US59522J8898|Mid-America Apartment Communities, Inc.|8.50% Series I Cumulative Redeemable Preferred Stock|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|8|I|GTS Securities 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24999|MAG|MAG|55903Q104|CA55903Q1046|MAG Silver Corp|Common Stock|Operating company|A|N|Y|A|Y|Y|Y|Y|Y|||J. Streicher & Co. L.L.C.|JSCO|3856|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-3|TXN4-3|TXN6-6|TXN3-2|TXN4-4|102950000|||NotApplicable|||||2007-07-09||||||| | | | | | | | | |||N|0|N|N|130E|CAN|CA|||55|5510|551030|55103030|Basic Materials|Basic Resources|Precious Metals and Mining|Platinum and Precious Metals|N||N||||||Y|0|Y||Y|2|||11.7|11.7|0.0|11.71|11.705|11.715|11.69|11.7|0.0|0.0|11.705|11.71|11.72|11.72|11.705|11.715|11.72|11.72|11.69|11.72|11.59|11.83|11.69|11.72|11.64|11.78|11.67|11.74|11.67|11.71|11.69|11.7|17.02|9.605|676672|163261889 59521|MAGA|MAGA|26922A628|US26922A6284|Point Bridge America First ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-5|TXN1-3|TXN8-8|TXN4-2|TXN3-7|480000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|40.6267|0.0|0.0|0.0|0.0|39.845|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|40.6267|39.61|40.6267|40.22|41.04|40.55|40.63|40.58|40.66|40.58|40.66|0.0|0.0|40.58|40.66|41.23|35.57|821|316884 76223|MAGG|MAGG|557441300|US5574413002|Madison ETFs Trust|Madison Aggregate Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Tidal ETF Services |Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN2-5|TXN8-8|TXN1-3|TXN2-3|2530000|||Monthly|||||2023-08-29||MAGG.NV|MAGG.SO|MAGG.EU|MAGG.TC| | | | | | | | | | ||-Under normal market conditions, the Fund invests at least 80% of its net assets (plus any borrowings for investment purposes) in bonds. 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NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN5-7|TXN13-8|TXN6-8|TXN6-7|37440000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||45|4510|451020|45102020|Consumer Staples |Food, Beverage and Tobacco |Food Producers|Food Products|N||N||||||Y|0|Y||||||3.9|3.9|0.0|3.83|3.9|3.9|3.92|3.915|0.0|0.0|3.9|3.83|3.93|3.9|3.86|3.92|3.89|3.93|3.88|3.93|3.87|3.97|3.03|4.75|3.87|3.96|3.9|3.94|3.9|3.95|3.91|3.93|4.7|2.94|310692|25643246 69900|MAMB|MAMB|66538H260|US66538H2601|Monarch Ambassador Income ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-3|TXN4-4|TXN6-8|TXN1-2|TXN4-6|2980000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||21.76|21.8|0.0|0.0|21.76|21.76|21.755|21.76|0.0|0.0|21.78|0.0|21.79|21.76|21.76|21.76|21.76|21.8|21.76|21.8|17.43|26.17|21.77|21.78|21.78|21.8|17.43|26.17|0.0|0.0|21.78|21.8|22.71|20.49|27208|2784004 7596|MAN|MAN|56418H100|US56418H1005|ManpowerGroup|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|P|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN2-2|TXN9-8|TXN3-7|TXN4-8|48810000|||BiAnnually|||||1988-05-03||||||| | | | | | | | | |||N|0|Y|Y|104C|USA|US|||50|5020|502050|50205025|Industrials|Industrial Goods and Services|Industrial Support Services|Business Training and Employment Agencies|N||N||||||Y|0|Y||Y|1|||77.32|77.37|0.0|77.02|77.25|77.0|77.25|77.285|0.0|0.0|77.24|76.33|77.235|75.8|76.72|77.26|76.99|77.23|76.6|77.26|77.26|77.27|72.44|81.56|77.06|77.43|77.15|77.33|77.19|77.34|77.26|77.27|92.43|67.35|276970|79916914 2412|MANH|MANH|562750109|US5627501092|Manhattan Associates Inc|COM 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LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-5|TXN4-7|TXN3-8|TXN1-3|TXN1-7|175000|||Yearly|||||2023-09-14||.|.|.|.|.| | | | | | | | | |||N|0|N|N|416A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|19.47|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|20.2547|0.0|20.2547|0.0|0.0|0.0|0.0|20.21|20.29|10.22|30.64|0.0|0.0|20.21|20.29|20.4312|18.9015|34|157326 64719|MAPS|MAPS|92971A109|US92971A1097|WM Technology Inc|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-5|TXN5-7|TXN14-7|TXN5-2|TXN6-4|93880000|||NotApplicable|||||||||||| | | | | | | | 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USD.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN5-1|TXN14-4|TXN5-7|TXN6-8|222630000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302020|30202015|Financials|Financial Services |Investment Banking and Brokerage Services |Investment Services|N||N||||||Y|0|Y||||||14.86|14.865|0.0|14.88|14.87|14.86|14.865|14.87|0.0|0.0|14.87|14.88|14.86|14.88|14.88|14.865|14.89|14.865|14.88|14.86|14.84|14.87|11.61|14.89|14.85|14.87|14.82|14.91|14.82|14.91|14.86|14.87|19.875|3.11|81617851|8392675315 65535|MARB|MARB|33740J203|US33740J2033|First Trust Exchange-Traded Fund III|First Trust Merger Arbitrage ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||First Trust|Wolverine Trading, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-3|TXN1-4|TXN2-8|TXN3-7|TXN4-6|3050002|||Quarterly|||||2020-02-05||MARB.NV|MARB.SO|MARB.EU|MARB.TC|MARB.IV| | | | | | | | | ||The First Trust Vivaldi Merger Arbitrage ETFs investment objective is to seek to provide investors with capital appreciation. 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59925|MATH|MATH|G28365107|KYG283651076|Metalpha Technology Holding Ltd|COM USD.00001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN5-8|TXN14-8|TXN5-6|TXN5-5|26900000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||HKG||||30|3020|302020|30202015|Financials|Financial Services |Investment Banking and Brokerage Services |Investment Services|N||N||||||N|0|Y|C|||||1.44|1.59|0.0|0.0|0.0|1.6|1.592|1.58|0.0|0.0|1.53|0.0|1.57|1.58|0.0|0.0|0.0|1.6|0.0|1.57|1.27|1.81|0.0|0.0|1.46|1.71|1.27|1.81|0.0|0.0|1.56|1.6|1.6099|0.4282|57649|10548439 9379|MATV|MATV|808541106|US8085411069|Mativ Holdings, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-6|TXN2-7|TXN6-5|TXN4-6|TXN4-7|54200000|||Quarterly|||||1995-11-09||||||| | | | | | | | | |||N|0|N|Y|138A|USA|US|||55|5510|551010|55101015|Basic Materials|Basic Resources|Industrial Materials|Paper|N||N||||||Y|0|Y||Y|2|||13.63|13.63|0.0|13.47|13.66|13.63|13.68|13.66|0.0|0.0|13.69|13.55|13.68|13.66|13.64|13.67|13.62|13.69|13.53|13.67|13.67|13.69|10.37|16.54|13.6|13.76|13.64|13.72|13.67|13.72|13.67|13.69|28.99|11.6|587269|99101395 2426|MATW|MATW|577128101|US5771281012|Matthews International Corp|CL A COM USD1||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN5-8|TXN12-8|TXN6-1|TXN6-8|30380000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4020|402010|40201070|Consumer Discretionary|Consumer Products and Services|Consumer Services |Consumer Services: Misc.|N||N||||||Y|0|Y||||||35.05|35.33|0.0|0.0|35.33|35.22|35.34|35.33|0.0|0.0|35.3|0.0|35.33|35.05|35.02|35.06|0.0|35.34|35.14|35.33|34.9|35.67|26.58|43.4|35.19|35.6|35.23|35.4|35.28|35.42|35.3|35.33|48.86|29.775|135671|28226346 161|MATX|MATX|57686G105|US57686G1058|Matson, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|O|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN4-7|TXN6-8|TXN4-7|TXN2-8|34940000|||Quarterly|||||2008-10-01||||||| | | | | | | | | |||N|0|N|Y|200A|USA|US|||50|5020|502060|50206030|Industrials|Industrial Goods and Services|Industrial Transportation|Marine Transportation|N||N||||||Y|0|Y||Y|2|||98.35|99.3|0.0|99.05|99.07|99.455|99.49|99.385|0.0|0.0|99.04|98.225|99.42|99.4|99.19|99.47|94.53|99.47|97.57|99.47|99.47|99.48|75.19|121.8|99.34|99.61|99.21|99.65|99.17|99.69|99.47|99.48|99.65|56.51|273290|59589171 7600|MAV|MAV|723762100|US7237621005|Pioneer Municipal High Income Advantage Fund, Inc.|Common Shares|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN2-4|TXN6-8|TXN4-5|TXN1-1|23910000|||Monthly|||||2003-10-16||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||7.65|7.65|0.0|0.0|7.65|7.61|7.61|7.585|0.0|0.0|7.61|7.65|7.61|7.62|7.535|7.59|7.62|7.59|7.65|7.59|7.59|7.61|5.92|9.43|7.05|7.86|7.57|7.64|0.0|0.0|7.59|7.61|8.87|6.37|106461|16851176 67987|MAX|MAX|58450V104|US58450V1044|MediaAlpha, Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|A|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN1-4|TXN4-8|TXN1-8|TXN1-2|46970000|||NotApplicable|||||2020-10-28||||||| | | | | | | | | |||N|0|N|Y|180B|USA|US|||10|1010|101010|10101020|Technology|Technology|Software and Computer Services|Consumer Digital Services |N||N||||||Y|0|Y||Y|2|||10.39|10.5|0.0|10.39|10.48|10.59|10.5|10.49|0.0|0.0|10.59|10.57|10.49|10.55|10.6|10.5|10.6|10.48|10.48|10.5|10.48|10.51|8.1|12.89|10.4|10.61|10.44|10.54|10.43|10.51|10.48|10.51|17.01|5.08|134536|54362417 74700|MAXI|MAXI|82889N673|US82889N6739|Simplify Bitcoin Strategy Risk-Managed Income ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN6-8|TXN13-8|TXN5-8|TXN5-2|1540000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||23.06|23.52|0.0|0.0|23.31|23.22|23.3599|23.31|0.0|0.0|0.0|0.0|23.45|23.31|0.0|0.0|0.0|23.3599|0.0|23.45|21.76|25.03|0.0|0.0|23.05|23.79|21.76|25.03|0.0|0.0|23.34|23.44|24.28|10.275|23974|1626927 67238|MAXN|MAXN|Y58473102|SGXZ25336314|Maxeon Solar Technologies Ltd|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN6-3|TXN14-6|TXN6-2|TXN5-5|52780000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||SGP||||60|6010|601020|60102020|Energy|Energy|Alternative Energy|Renewable Energy Equipment |N||N||||||Y|0|Y||||||4.84|4.835|0.0|4.85|4.83|4.835|4.83|4.83|0.0|0.0|4.835|4.84|4.84|4.84|4.84|4.835|4.84|4.83|4.84|4.84|4.81|4.85|3.86|5.97|4.81|4.85|4.81|4.86|4.81|4.87|4.83|4.84|38.91|4.01|3187391|297295240 2433|MAYS|MAYS|578473100|US5784731003|J. W. Mays Inc|COM USD1||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN5-4|TXN11-7|TXN6-3|TXN5-4|2020000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||35|3510|351010|35101010|Real Estate|Real Estate |Real Estate Investment and Services Development|Real Estate Holding and Development |N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|43.85|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|41.28|53.14|0.0|0.0|0.0|50.63|43.0|50.63|56.12|41.0|167|69155 75648|MAYT|MAYT|00888H760|US00888H7605|AIM ETF Products Trust|AllianzIM U.S. Large Cap Buffer10 May ETF|Trust|ETS|N|N|P|Y|Y|Y|Y|Y||||||||Allianz Investment Management|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-7|TXN1-6|TXN4-8|TXN4-2|TXN2-4|1725000|||Adhoc|||||2023-05-01||MAYT.IV|MAYT.SO|MAYT.EU|MAYT.TC|MAYT.iv| | | | | | | | | ||Designed to allow investors to participate in the growth potential of the SPDR S&P 500 ETF Trust up to a stated cap, with an explicit 10% downside buffer.|N|0|N|N|408A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||27.17|27.09|0.0|27.09|27.17|27.09|27.1323|27.19|0.0|0.0|0.0|0.0|27.09|27.09|0.0|27.18|0.0|27.1374|27.11|27.1374|0.0|0.0|27.07|27.17|27.07|27.2|27.1|27.19|27.1|27.19|27.07|27.2|27.27|24.53|7293|2484540 75649|MAYW|MAYW|00888H752|US00888H7522|AIM ETF Products Trust|AllianzIM U.S. Large Cap Buffer20 May ETF|Trust|ETS|N|N|P|Y|Y|Y|Y|Y||||||||Allianz Investment Management|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-4|TXN3-8|TXN4-8|TXN4-7|TXN4-4|3150000|||Adhoc|||||2023-05-01||MAYW.IV|MAYW.SO|MAYW.EU|MAYW.TC|MAYW.IV| | | | | | | | | ||Designed to allow investors to participate in the growth potential of the SPDR S&P 500 ETF Trust up to a stated cap, with an explicit 20% downside buffer.|N|0|N|N|408A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|1|||0.0|0.0|0.0|0.0|26.61|26.7|26.63|26.7|0.0|0.0|0.0|0.0|0.0|26.69|0.0|26.7|0.0|26.644|26.61|26.644|0.0|0.0|26.61|26.67|26.6|26.72|26.6|26.72|26.6|26.72|26.6|26.72|26.725|24.67|6238|5499293 70478|MAYZ|MAYZ|53656F797|US53656F7978|TrueShares Structured Outcome (May) ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-4|TXN4-6|TXN1-5|TXN4-1|TXN4-6|170000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|25.8886|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|25.8886|0.0|25.8886|0.0|0.0|0.0|0.0|25.86|25.94|0.0|0.0|0.0|0.0|25.86|25.91|25.9856|23.0|0|86087 70375|MBAC|MBAC|553800103|US5538001034|M3-Brigade Acquisition II Corp.|Class A Common Stock|Special purpose acquisition company|A|N|N|N|Y|Y|Y|Y|Y|6|S|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN3-6|TXN3-8|TXN2-6|TXN4-4|4540000|||NotApplicable|||||2021-04-26||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||10.57|10.56|0.0|0.0|10.57|10.575|10.57|10.57|0.0|0.0|10.57|10.57|10.56|10.57|10.57|10.57|0.0|10.57|10.57|10.57|10.56|10.57|10.56|10.58|9.92|11.22|10.56|10.58|0.0|0.0|10.56|10.57|10.58|9.435|442141|14756037 70376|MBAC WS|MBAC.WS|553800111|US5538001117|M3-Brigade Acquisition II Corp.|Redeemable Warrants, each whole warrant exercisable for one share of Class A common stock at an exercise price of $11.50|Special purpose acquisition company|C|N|N|N|Y|Y|Y|Y|Y|6|C|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN6-8|TXN4-4|TXN5-8|TXN1-8|TXN2-7|0|||NotApplicable|||||2021-04-26||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||||||||||N||N||||||N|0|Y||N||X|P|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.2114|0.0026|0|5181542 69478|MBAC U|MBAC.U|553800202|US5538002024|M3-Brigade Acquisition II Corp.|Units, each consisting of one share of Class A common stock, and one-third of one redeemable warrant|Special purpose acquisition company|R|N|N|N|Y|Y|Y|Y|Y|6|T|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN4-2|TXN2-8|TXN4-2|TXN1-7|0|||NotApplicable|||||2021-03-04||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.28|11.55|0.0|0.0|8.45|13.86|10.28|13.86|0.0|0.0|10.28|11.55|11.02|9.44|0|7527 24598|MBB|MBB|464288588|US4642885887|iShares MBS ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN5-3|TXN11-2|TXN5-1|TXN6-4|307800000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||91.075|91.075|0.0|91.05|91.07|91.08|91.09|91.075|0.0|0.0|91.1|91.09|91.08|91.08|91.08|91.075|91.08|91.1|91.07|91.08|91.08|91.13|85.33|97.27|91.08|91.13|91.08|91.14|90.84|91.16|91.08|91.11|96.7812|85.28|2789364|519017987 68343|MBBB|MBBB|92189H854|US92189H8549|VanEck Moody's Analytics BBB Corporate Bond ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-1|TXN2-1|TXN6-8|TXN1-5|TXN3-4|400000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|20.8104|0.0|0.0|0.0|20.5191|20.7091|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|20.8104|0.0|20.8104|0.0|0.0|0.0|0.0|20.78|20.84|0.0|0.0|0.0|0.0|20.79|20.83|21.6|19.5198|146|90558 75004|MBC|MBC|57638P104|US57638P1049|MasterBrand, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|R|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-5|TXN1-5|TXN8-5|TXN2-1|TXN4-4|126760000|||Quarterly|||||2022-12-09||||||| | | | | | | | | |||N|0|N|Y|154A|USA|US|||50|5010|501010|50101035|Industrials|Construction and Materials|Construction and Materials |Building Materials: Other|N||N||||||Y|0|Y||Y|2|||14.3|14.3|0.0|13.99|14.3|14.295|14.3|14.285|0.0|0.0|14.285|14.29|14.3|14.28|14.3|14.29|14.29|14.31|14.285|14.29|14.29|14.31|10.84|17.33|14.29|14.33|14.27|14.33|14.26|14.34|14.29|14.31|14.41|7.08|588382|283552189 69901|MBCC|MBCC|66538H252|US66538H2528|Monarch Blue Chips Core ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-3|TXN4-5|TXN3-8|TXN3-6|TXN4-6|2050000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|28.14|0.0|0.0|0.0|28.13|28.085|0.0|0.0|0.0|0.0|0.0|28.14|0.0|0.0|0.0|0.0|28.14|0.0|28.14|22.5|33.9|0.0|0.0|28.11|28.14|22.5|33.9|0.0|0.0|28.11|28.14|28.42|23.2006|14367|1701514 44880|MBCN|MBCN|596304204|US5963042040|Middlefield Banc Corp|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN6-7|TXN11-7|TXN6-1|TXN6-1|8090000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|29.65|29.32|29.665|0.0|0.0|29.66|0.0|29.56|0.0|0.0|0.0|0.0|29.32|0.0|29.56|28.4|30.66|0.0|0.0|28.44|30.47|0.0|0.0|0.0|0.0|29.24|29.56|30.21|22.09|8104|4697481 7607|MBI|MBI|55262C100|US55262C1009|MBIA Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|M|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-6|TXN3-7|TXN6-5|TXN1-3|TXN3-2|51140000|||Adhoc|||||1987-07-01||||||| | | | | | | | | |||N|0|N|Y|410B|USA|US|||30|3030|303020|30302025|Financials|Insurance|Non-life Insurance|Property and Casualty Insurance|N||N||||||Y|0|Y||Y|2|||7.41|7.43|0.0|7.49|7.43|7.425|7.43|7.425|0.0|0.0|7.43|7.43|7.425|7.43|7.42|7.43|7.39|7.43|7.43|7.43|7.42|7.43|5.81|9.06|7.37|7.49|7.4|7.46|7.39|7.47|7.42|7.43|14.0|6.07|319314|93505491 59969|MBIN|MBIN|58844R108|US58844R1086|Merchants Bancorp|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN5-7|TXN12-3|TXN5-8|TXN6-2|43240000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||||||34.59|34.58|0.0|34.57|34.54|34.75|34.66|34.56|0.0|0.0|34.65|34.44|34.67|34.7|34.7|34.56|33.69|34.68|34.39|34.67|34.26|35.05|26.11|41.99|34.24|34.77|34.58|34.76|34.56|34.78|34.67|34.68|34.75|21.5|188134|17105502 74676|MBINM|MBINM|58844R884|US58844R8842|Merchants Bancorp|8.25% DEP PFD D||U|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN6-6|TXN13-5|TXN5-5|TXN5-8|5700000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||24.8|0.0|0.0|0.0|0.0|24.63|24.8024|0.0|0.0|0.0|24.95|0.0|24.92|0.0|0.0|24.95|0.0|24.8|0.0|24.8|0.0|0.0|0.0|0.0|24.26|25.46|0.0|0.0|0.0|0.0|24.68|24.92|28.055|20.55|19298|2412033 69892|MBINN|MBINN|58844R702|US58844R7026|Merchants Bancorp|6% FXD PFD SR C||U|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN6-3|TXN14-7|TXN5-4|TXN5-8|7850000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|19.18|19.23|0.0|0.0|0.0|19.2|0.0|19.4|0.0|0.0|0.0|0.0|19.25|0.0|19.4|0.0|0.0|0.0|0.0|18.86|19.84|0.0|0.0|0.0|0.0|19.25|19.45|24.635|15.92|7856|2904878 64339|MBINO|MBINO|58844R603|US58844R6036|Merchants Bancorp|DEP PFD SER B||U|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN5-6|TXN11-8|TXN6-6|TXN5-1|5000000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|22.51|0.0|0.0|0.0|22.635|22.6699|22.53|0.0|0.0|22.5|0.0|22.67|0.0|0.0|0.0|0.0|22.6699|0.0|22.6699|0.0|0.0|0.0|0.0|22.15|23.12|0.0|0.0|0.0|0.0|22.56|22.67|24.32|15.8595|9687|2878316 63335|MBINP|MBINP|58844R405|US58844R4056|Merchants Bancorp|7% NCUM PFD A||B|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN5-6|TXN13-5|TXN5-3|TXN5-8|2080000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|24.7|0.0|0.0|0.0|24.7|24.6036|0.0|0.0|0.0|24.7|0.0|24.7|0.0|0.0|0.0|0.0|24.6036|0.0|24.6036|0.0|0.0|0.0|0.0|22.88|26.34|0.0|0.0|0.0|0.0|24.47|24.7|26.0|16.89|4626|796811 59419|MBIO|MBIO|62818Q203|US62818Q2030|Mustang Bio Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN5-2|TXN11-6|TXN5-8|TXN6-6|8370000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||0.0|1.4|0.0|0.0|1.45|1.44|1.45|1.44|0.0|0.0|1.43|1.45|1.45|0.0|1.4|1.42|0.0|1.45|0.0|1.45|1.38|1.51|1.09|1.75|1.39|1.48|1.33|1.53|1.39|1.49|1.43|1.45|8.17|0.315|57201|38906135 74792|MBLY|MBLY|60741F104|US60741F1049|Mobileye Global Inc|CL A COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN5-1|TXN14-6|TXN6-5|TXN6-1|94650000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||ISR||||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||||||39.7|39.7|0.0|39.71|39.69|39.72|39.685|39.71|0.0|0.0|39.69|39.75|39.72|39.7|39.7|39.73|39.78|39.71|39.83|39.72|39.65|39.75|31.1|48.0|39.63|39.78|39.6|39.77|39.66|39.74|39.7|39.72|48.11|28.7265|1778125|614322277 69036|MBND|MBND|78470P705|US78470P7050|SPDR Nuveen Municipal Bond ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN4-3|TXN6-8|TXN3-6|TXN2-4|1800000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|26.9449|0.0|0.0|0.0|0.0|26.8834|0.0|0.0|0.0|0.0|0.0|0.0|26.88|0.0|0.0|0.0|26.9449|0.0|26.9449|0.0|0.0|0.0|0.0|26.87|27.02|0.0|0.0|0.0|0.0|26.87|27.01|27.425|25.5513|2098|1135188 73842|MBNE|MBNE|78470P853|US78470P8538|SPDR Nuveen Municipal Bond ESG ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-7|TXN2-6|TXN4-8|TXN4-4|TXN4-5|1300000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|29.365|0.0|0.0|0.0|28.004566|29.3911|0.0|0.0|0.0|0.0|0.0|0.0|29.113566|0.0|0.0|0.0|29.365|28.841741|29.365|0.0|0.0|0.0|0.0|29.31|29.44|0.0|0.0|0.0|0.0|29.32|29.41|29.9799|27.91|357|419585 65249|MBNKP|MBNKP|58403B205|US58403B2051|Medallion Bank|NCUM PFD F||B|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN5-7|TXN12-8|TXN5-5|TXN5-8|1840000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302010|30201020|Financials|Financial Services |Finance and Credit Services|Consumer Lending|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|22.9871|0.0|0.0|0.0|0.0|0.0|23.0|0.0|0.0|0.0|0.0|22.9871|0.0|22.9871|0.0|0.0|0.0|0.0|21.8|25.22|0.0|0.0|0.0|0.0|23.35|23.63|28.8|18.6|387|319829 3829|MBOT|MBOT|59503A204|US59503A2042|Microbot Medical Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN6-1|TXN10-7|TXN5-7|TXN6-4|11710000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||Y|0|Y||||||1.28|1.27|0.0|0.0|0.0|1.26|1.2799|0.0|0.0|0.0|0.0|0.0|1.28|0.0|1.27|0.0|1.26|1.28|0.0|1.28|1.23|1.33|1.04|1.56|1.25|1.29|1.24|1.31|1.24|1.31|1.27|1.28|4.65|1.0|21961|261152510 70482|MBOX|MBOX|02072L847|US02072L8476|EA Series Trust|Freedom Day Dividend ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Alpha Architect|RBC Capital Markets, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN4-2|TXN8-5|TXN1-6|TXN4-4|2920000|||Quarterly|||||2021-05-05||MBOX.NV|MBOX.SO|MBOX.EU|MBOX.TC| | | | | | | | | | |1x|The Fund is an actively managed exchange-traded fund (ETF) that seeks to achieve its investment objective by investing in equity securities that the Funds portfolio managers believe have the potential to provide rising dividend income streams to the Fund over time.|N|0|N|N|408A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|27.35|27.3609|27.34|0.0|0.0|27.34|0.0|0.0|0.0|0.0|0.0|0.0|27.3699|0.0|27.3699|0.0|0.0|27.32|27.35|27.31|27.43|27.18|27.39|0.0|0.0|27.31|27.43|27.3699|23.85|12791|1239496 53227|MBRX|MBRX|60855D200|US60855D2009|Moleculin Biotech Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-7|TXN5-5|TXN11-2|TXN6-3|TXN5-5|29810000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||0.588|0.5873|0.0|0.0|0.5851|0.585|0.599878|0.586|0.0|0.0|0.5948|0.5948|0.5926|0.0|0.0|0.0|0.6|0.5802|0.0|0.5926|0.5521|0.6246|0.48|0.714|0.5604|0.6452|0.48|0.702|0.5585|0.6315|0.5802|0.605|1.65|0.3377|58499|38933429 44866|MBSD|MBSD|33939L779|US33939L7799|FlexShares Trust|FlexShares Disciplined Duration MBS Index Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Northern Trust Investments|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-7|TXN4-8|TXN9-6|TXN3-3|TXN3-5|3750001|||Monthly|||||2020-08-28||MBSD.NV|MBSD.SO|MBSD.EU|MBSD.TC|MBSD.IV| | | | | | | | | |1x|The Fund seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the ICE BofAML Constrained Duration US Mortgage Backed Securities Index (Underlying Index). / ICE BofAML Constrained Duration US Mortgage Backed Securities Index tracks the performance of US dollardenominated 30-year, 20-year and 15-year fixed rate residential mortgage pass-through securities publicly issued by USagencies in the US domestic market. Fixed rate mortgage pools are included in the Index provided they have at least oneyear remaining term to final maturity and a minimum amount outstanding of at least $5 billion per generic coupon. Inaddition, individual production years within a generic coupon must have at least $1 billion outstanding face value to enterthe index and at least $250 million outstanding face value to remain in the index. 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USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN5-5|TXN13-2|TXN6-8|TXN6-1|20400000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4020|402030|40203055|Consumer Discretionary|Consumer Products and Services|Leisure Goods|Recreational Vehicles and Boats|N||N||||||Y|0|Y||||||46.99|47.2|0.0|46.94|47.2|47.12|47.13|47.25|0.0|0.0|47.14|47.27|47.16|47.27|47.16|47.18|47.14|47.13|0.0|47.16|46.79|47.63|36.83|57.94|46.82|47.61|47.09|47.22|47.07|47.24|47.13|47.16|65.45|42.065|164738|32397552 2449|MBWM|MBWM|587376104|US5873761044|Mercantile Bank Corp|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN6-5|TXN12-3|TXN5-6|TXN6-6|16030000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||||||36.7|37.07|0.0|0.0|0.0|37.0|37.08|37.0|0.0|0.0|0.0|0.0|37.06|36.96|0.0|36.9|0.0|37.01|0.0|37.06|36.33|37.69|0.0|0.0|36.42|37.58|0.0|0.0|36.85|37.36|36.88|37.06|37.1|23.89|35263|8987830 43975|MC|MC|60786M105|US60786M1053|Moelis & Company|Class A Common Stock, par value $0.01 per share|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN1-1|TXN6-6|TXN4-7|TXN1-5|66670000|||Quarterly|||||2014-04-16||||||| | | | | | | | | |||N|0|N|Y|408A|USA|US|||30|3020|302020|30202015|Financials|Financial Services |Investment Banking and Brokerage Services |Investment Services|N||N||||||Y|0|Y||Y|2|||51.18|51.19|0.0|50.97|51.16|51.22|51.18|51.19|0.0|0.0|51.22|51.25|51.19|51.19|50.97|51.19|51.19|51.19|51.155|51.19|51.17|51.19|38.96|61.81|51.08|51.25|51.11|51.27|51.1|51.28|51.17|51.19|52.5|33.87|833059|170330331 73049|MCAA|MCAA|G6301J104|KYG6301J1040|Mountain & Co I Acquisition Corp|CL A COM 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Corp|UNITS||R|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN6-3|TXN13-6|TXN6-8|TXN6-3|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|9.9|11.97|0.0|0.0|0.0|0.0|9.9|11.97|11.99|10.36|0|79715 73050|MCAAW|MCAAW|G6301J112|KYG6301J1123|Mountain & Co I Acquisition Corp|WT EXP 093026||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-3|TXN6-8|TXN14-1|TXN6-8|TXN5-6|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.04|0.04|0.0|0.0|0.04|0.0|0.0361|0.0|0.0|0.0|0.04|0.04|0.0399|0.04|0.0|0.04|0.0|0.0361|0.0|0.0361|0.0|0.0|0.0|0.0|0.025|0.0|0.0|0.0|0.0|0.0|0.03|0.04|0.2882|0.00989|4900|3740619 74236|MCAC|MCAC|61244M109|US61244M1099|Monterey Capital Acquisition Corporation|CL A COM USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN6-7|TXN12-8|TXN6-2|TXN6-5|7380000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment 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V Right|||D|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-3|TXN6-2|TXN14-7|TXN6-2|TXN6-7|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||50|5020|502040|50204000|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Industrial|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.136|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.12|0.1996|0.3815|0.07|1490|5050820 72366|MCAGU|MCAGU|62404B206|US62404B2060|Mountain Crest Acquisition Corp V|UNITS||R|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN5-3|TXN12-1|TXN6-8|TXN5-1|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.22|11.67|0.0|0.0|0.0|0.0|10.7|11.67|11.27|10.0|0|15462 60046|MCB|MCB|591774104|US5917741044|Metropolitan Bank Holding Corp.|Common Stock, par value $0.01 per share|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|A|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN3-4|TXN9-8|TXN2-3|TXN2-2|11060000|||NotApplicable|||||2017-11-08||||||| | | | | | | | | |||N|0|N|Y|402B|USA|US|||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||Y|2|||42.03|42.0|0.0|42.17|42.2|42.06|42.22|42.115|0.0|0.0|42.5|42.34|42.165|40.72|40.89|42.17|39.3|42.22|39.08|42.17|42.11|42.23|32.98|51.52|41.86|42.43|41.92|42.38|42.12|42.37|42.12|42.37|61.27|13.98|78121|66836766 2451|MCBC|MCBC|554225102|US5542251021|Macatawa Bank Corp|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN5-4|TXN13-4|TXN6-3|TXN6-1|34290000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||||||10.29|10.4|0.0|0.0|10.35|10.3|10.32|10.34|0.0|0.0|10.25|0.0|10.37|0.0|10.31|10.31|0.0|10.37|0.0|10.37|10.2|10.47|0.0|0.0|10.22|10.41|7.62|12.04|0.0|0.0|10.34|10.37|11.16|6.96|74009|12026641 55732|MCBS|MCBS|59165J105|US59165J1051|Metrocity Bankshares Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN5-2|TXN12-5|TXN6-4|TXN5-5|25210000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||||||21.87|21.87|0.0|0.0|21.87|21.92|21.935|21.935|0.0|0.0|21.6|0.0|21.89|0.0|0.0|0.0|0.0|21.915|0.0|21.89|21.18|22.56|0.0|0.0|21.39|22.39|0.0|0.0|0.0|0.0|21.78|21.89|22.47|13.1|32863|6441995 7618|MCD|MCD|580135101|US5801351017|McDonald's Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|N|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-1|TXN4-4|TXN3-2|TXN4-2|TXN1-7|725340000|||Quarterly|||||1966-07-05||||||| | | | | | | | | |||Y|1|Y|Y|128B|USA|US|||40|4050|405010|40501040|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Restaurants and Bars|N||N||||||Y|0|Y||Y|1|||286.18|286.07|0.0|286.09|286.07|286.09|286.125|286.13|0.0|0.0|286.06|286.06|286.14|286.26|286.06|286.13|286.36|286.14|286.06|286.13|286.13|286.18|267.19|303.17|286.03|286.25|285.94|299.65|285.92|286.23|286.13|286.18|299.35|236.77|3522889|623675932 50330|MCFT|MCFT|57637H103|US57637H1032|MasterCraft Boat Holdings Inc|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN6-2|TXN14-5|TXN5-2|TXN6-3|17260000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4020|402030|40203055|Consumer Discretionary|Consumer Products and Services|Leisure Goods|Recreational Vehicles and Boats|N||N||||||Y|0|Y||||||21.02|21.03|0.0|21.41|20.9|21.0|21.07|21.02|0.0|0.0|21.02|21.01|21.07|21.02|20.93|20.93|0.0|21.05|0.0|21.07|20.82|21.25|16.2|25.66|20.87|21.23|21.0|21.12|21.03|21.11|21.05|21.07|35.29|19.25|117983|44236984 74270|MCH|MCH|577125834|US5771258341|Matthews International Funds|Matthews China Active ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Matthews Asia|Jane Street Capital, 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The Fund seeks to invest in companies capable of sustainable growth based on the fundamental characteristics of those companies, including balance sheet information; number of employees; size and stability of cash flow; managements depth, adaptability and integrity; product lines; marketing strategies; corporate governance; and financial health.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|19.1851|0.0|0.0|0.0|0.0|0.0|19.22|0.0|0.0|0.0|0.0|19.2203|0.0|19.2203|0.0|0.0|0.0|0.0|19.19|19.25|0.0|0.0|0.0|0.0|19.19|19.25|28.88|18.94|15826|3487042 37649|MCHI|MCHI|46429B671|US46429B6719|iShares MSCI China ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN5-1|TXN14-8|TXN5-6|TXN5-1|153800000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||41.59|41.6|0.0|0.0|41.59|41.595|41.595|41.595|0.0|0.0|41.595|41.595|41.61|41.59|41.58|41.595|41.595|41.595|41.59|41.61|41.58|41.62|39.08|44.41|41.59|41.6|41.47|41.7|41.47|41.7|41.59|41.6|56.3|40.54|2795140|958473039 2461|MCHP|MCHP|595017104|US5950171042|Microchip Technology Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN5-3|TXN10-3|TXN6-5|TXN6-4|541050000|||NotApplicable|||||||||||| | | | | | | | | |||N|5|Y|N||USA||||10|1010|101020|10102010|Technology|Technology|Technology Hardware and Equipment|Semiconductors|N||N||||||Y|0|Y||||||84.5|84.49|0.0|84.48|84.49|84.5|84.47|84.5|0.0|0.0|84.5|84.48|84.49|84.48|84.39|84.49|84.51|84.49|84.26|84.49|84.47|84.5|78.27|88.88|84.46|84.51|84.41|88.27|84.47|0.0|84.49|84.5|94.3|67.69|4680806|1113931458 2462|MCHX|MCHX|56624R108|US56624R1086|Marchex Inc|CL B COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN5-1|TXN14-3|TXN6-2|TXN5-8|38660000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4030|403010|40301020|Consumer Discretionary|Media|Media|Media Agencies|N||N||||||Y|0|Y||||||0.0|1.52|0.0|0.0|0.0|1.49|1.49|1.52|0.0|0.0|0.0|0.0|1.49|0.0|0.0|0.0|0.0|1.49|0.0|1.49|1.4|1.57|0.0|0.0|1.43|1.56|1.23|1.82|0.0|0.0|1.48|1.49|2.21|1.22|11472|5876759 7621|MCI|MCI|06759X107|US06759X1072|Barings Corporate Investors|Common Shares|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN3-6|TXN9-8|TXN1-1|TXN2-8|20260000|||Quarterly|||||1973-03-09||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||17.41|17.435|0.0|16.85|17.47|17.3|17.47|17.46|0.0|0.0|17.4|17.2|17.47|17.29|0.0|17.4|17.3|17.47|0.0|17.4|17.4|17.48|17.35|17.52|16.29|18.64|0.0|0.0|17.4|17.5|17.4|17.49|17.69|12.9615|29164|8011809 7622|MCK|MCK|58155Q103|US58155Q1031|McKesson Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|D|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN4-7|TXN1-8|TXN4-3|TXN1-3|133060000|||Quarterly|||||1994-11-10||||||| | | | | | | | | |||N|5|Y|Y|154A|USA|US|||45|4520|452010|45201015|Consumer Staples |Personal Care, Drug and Grocery Stores |Personal Care, Drug and Grocery Stores |Drug Retailers|N||N||||||Y|0|Y||Y|1|||459.33|459.275|0.0|459.22|459.33|459.34|459.22|459.35|0.0|0.0|459.29|459.29|459.2|459.38|459.2|459.3|459.94|459.3|459.39|459.3|459.29|459.3|434.16|487.95|459.08|459.53|458.94|459.85|458.78|459.92|459.29|459.3|476.3493|331.75|908990|202468288 7624|MCN|MCN|557437100|US5574371002|Madison Covered Call & Equity Strategy Fund|Common Shares|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN3-6|TXN7-8|TXN1-7|TXN4-4|21040000|||Quarterly|||||2004-07-28||||||| | | | | | | | | |||N|0|N|N|406B|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||7.14|7.16|0.0|0.0|7.17|7.14|7.15|7.145|0.0|0.0|7.15|0.0|7.155|7.15|7.16|7.16|7.19|7.16|0.0|7.16|7.14|7.18|5.51|8.88|6.7|7.65|7.12|7.21|0.0|0.0|7.14|7.18|8.6|6.69|48705|12750549 7625|MCO|MCO|615369105|US6153691059|Moody's Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|N|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-5|TXN3-2|TXN8-6|TXN3-3|TXN1-2|183000000|||Quarterly|||||1998-06-19||||||| | | | | | | | | |||N|5|Y|Y|104C|USA|US|||30|3020|302010|30201030|Financials|Financial Services |Finance and Credit Services|Financial Data Providers|N||N||||||Y|0|Y||Y|1|||374.1|374.1|0.0|374.18|373.99|373.985|373.88|374.01|0.0|0.0|373.95|374.01|373.85|373.7|374.19|373.94|373.94|373.85|374.16|373.94|373.85|373.98|350.25|394.18|373.77|374.17|373.72|374.17|373.8|374.25|373.85|373.98|374.38|272.6975|998258|179295620 65182|MCOM|MCOM|42309B600|US42309B6002|Micromobility.com Inc|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN5-5|TXN14-2|TXN6-8|TXN5-7|285530000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N|||||42309B402|N|0|Y|C|||||1.43|1.42|0.0|0.0|1.5|1.43|1.4194|1.425|0.0|0.0|1.42|1.43|1.4|1.43|1.44|1.41|1.5|1.4194|0.0|1.4|1.37|1.46|1.14|1.74|1.36|1.46|1.39|1.44|1.38|1.45|1.41|1.43|4.49|0.0123|1539651|5694744150 65184|MCOMW|MCOMW|42309B139|US42309B1391|Micromobility.com Inc|WT EXP 081326||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-2|TXN6-1|TXN10-3|TXN5-7|TXN6-2|225730000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y|C|||||0.0|0.0|0.0|0.0|0.0|0.017|0.013823|0.0|0.0|0.0|0.0|0.0|0.0129|0.0|0.0|0.0|0.0|0.013|0.0|0.013|0.0111|0.0212|0.0111|0.0212|0.0111|0.017|0.0111|0.0212|0.0|0.0|0.0138|0.017|0.22|0.0101|77729|41637504 7627|MCR|MCR|552727109|US5527271093|MFS Charter Income Trust|Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN3-8|TXN8-8|TXN4-2|TXN1-6|43210000|||Monthly|||||1989-07-21||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||6.15|6.14|0.0|0.0|0.0|6.16|6.1709|6.17|0.0|0.0|6.16|6.17|6.17|6.15|0.0|6.17|0.0|6.17|0.0|6.17|6.17|6.18|4.75|7.55|5.72|6.55|6.15|6.2|6.15|6.19|6.17|6.18|6.9|5.63|83439|17916356 50214|MCRB|MCRB|81750R102|US81750R1023|Seres Therapeutics Inc|COM USD0.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN5-1|TXN14-4|TXN5-4|TXN6-6|129260000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||1.12|1.125|0.0|1.13|1.13|1.12|1.12|1.125|0.0|0.0|1.125|1.12|1.14|1.13|1.12|1.125|1.12|1.12|1.12|1.14|1.11|1.13|0.872|1.38|1.11|1.13|1.09|1.16|1.11|1.13|1.12|1.13|7.17|0.91|2658359|600068411 2468|MCRI|MCRI|609027107|US6090271072|Monarch Casino & Resort Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN5-3|TXN14-3|TXN5-7|TXN5-1|19070000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4050|405010|40501020|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Casinos and Gambling|N||N||||||Y|0|Y||||||65.42|64.43|0.0|64.63|64.55|64.515|64.56|64.49|0.0|0.0|64.33|64.33|64.49|64.86|0.0|64.425|0.0|64.55|0.0|64.49|63.83|65.11|49.84|79.77|63.85|65.04|64.32|64.8|64.27|64.78|64.49|64.56|83.84|56.25|78314|20612226 7628|MCS|MCS|566330106|US5663301068|The Marcus Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|P|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-6|TXN2-3|TXN6-7|TXN4-8|TXN4-2|24620000|||Quarterly|||||1993-12-14||||||| | | | | | | | | |||N|0|N|Y|128A|USA|US|||40|4030|403010|40301010|Consumer Discretionary|Media|Media|Entertainment|N||N||||||Y|0|Y||Y|2|||14.44|14.44|0.0|14.13|14.44|14.445|14.449|14.43|0.0|0.0|14.445|14.445|14.44|14.47|14.45|14.43|14.4|14.43|14.44|14.43|14.43|14.45|10.93|17.39|14.32|14.54|14.42|14.46|14.43|14.47|14.43|14.45|18.05|13.62|530308|69188553 74820|MCSE|MCSE|35473P454|US35473P4542|Martin Currie Sustainable International Equity ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN6-1|TXN11-2|TXN6-5|TXN5-6|2270000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|13.7886|0.0|0.0|0.0|0.0|0.0|0.0|13.7886|0.0|0.0|0.0|0.0|13.76|13.8|0.0|0.0|0.0|0.0|13.76|13.8|14.995|11.95|55|5750679 52403|MCVT|MCVT|59982U200|US59982U2006|Mill City Ventures III Ltd|COM USD0.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN5-2|TXN13-2|TXN5-8|TXN6-7|6390000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302010|30201020|Financials|Financial Services |Finance and Credit Services|Consumer Lending|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|2.9|0.0|0.0|0.0|0.0|0.0|2.8|0.0|0.0|0.0|0.0|2.9|0.0|2.9|0.0|0.0|0.0|0.0|2.64|3.12|0.0|0.0|0.0|0.0|2.8|3.0|3.77|1.96|1220|1415677 70954|MCW|MCW|60646V105|US60646V1052|Mister Car Wash, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-3|TXN3-3|TXN4-2|TXN2-4|TXN3-8|314070000|||NotApplicable|||||2021-06-25||||||| | | | | | | | | |||N|0|Y|Y|180B|USA|US|||40|4020|402010|40201070|Consumer Discretionary|Consumer Products and Services|Consumer Services |Consumer Services: Misc.|N||N||||||Y|0|Y||Y|1|||7.89|7.89|0.0|7.78|7.89|7.885|7.8894|7.88|0.0|0.0|7.885|7.89|7.88|7.88|7.93|7.89|7.91|7.89|7.89|7.89|7.88|7.89|7.42|8.38|7.86|7.91|7.85|7.92|7.88|7.93|7.88|7.89|10.79|4.8|1383159|339767479 7631|MCY|MCY|589400100|US5894001008|Mercury General Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|A|GTS Securities 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ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-8|TXN4-7|TXN8-8|TXN3-5|TXN3-4|150000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||0.0|18.6959|0.0|0.0|0.0|0.0|18.6679|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|18.6959|0.0|18.6959|0.0|0.0|0.0|0.0|18.67|18.83|0.0|0.0|0.0|0.0|18.66|18.71|21.4499|16.3688|134|178207 18964|MDGL|MDGL|558868105|US5588681057|Madrigal Pharmaceuticals Inc|COM USD.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN5-4|TXN10-2|TXN6-1|TXN5-2|19740000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||217.44|221.71|0.0|221.82|217.03|221.0|221.97|221.98|0.0|0.0|221.23|0.0|221.98|218.37|0.0|220.0|220.0|221.99|217.62|221.98|219.48|224.28|166.85|267.35|219.75|221.99|220.94|222.66|221.6|222.79|221.6|221.99|322.67|57.21|392449|90011883 49955|MDGS|MDGS|58471G409|US58471G4091|Medigus 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SHS||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN6-6|TXN10-6|TXN5-8|TXN5-3|27290000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||BEL||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||3.26|3.26|0.0|0.0|3.21|3.23|3.235|3.23|0.0|0.0|3.16|0.0|3.21|3.16|0.0|0.0|0.0|3.2|3.26|3.2|2.47|4.04|2.47|4.04|3.2|3.35|2.47|4.04|0.0|0.0|3.2|3.25|7.6|2.15|47687|34227083 7646|MDY|MDY|78467Y107|US78467Y1073|SPDR S&P MidCap 400 ETF Trust|Units|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||PDR Services|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-4|TXN3-5|TXN6-8|TXN4-1|TXN2-2|40216249|||Quarterly|||||2009-02-24||MDY.NV|MDY.SO|MDY.EU|MDY.TC|MDY.IV| | | | | | | | | |1x|The SPDR S&P MidCap 400 ETF, before expenses, seeks to generally correspond to the price and yield performance of the S&P MidCap 400 Index. The S&P MidCap 400 covers over 7% of the U.S. equities market, and is part of a series of S&P U.S. indices. Included in the index are companies with market cap in the range of US$ 1 billion to US$ 4.5 billion. This range is reviewed from time to time to ensure consistency with market conditions. The index also includes companies that should have four consecutive quarters of positive as-reported earnings, where as-reported earnings are defined as GAAP Net Income excluding discontinued operations and extraordinary items.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||483.99|483.91|0.0|484.02|483.88|483.89|483.93|483.86|0.0|0.0|483.98|483.94|484.05|484.11|483.95|483.91|484.0|483.93|484.11|483.93|483.21|484.66|483.21|484.66|483.98|484.04|483.97|484.05|483.6|484.4|386.44|579.74|500.78|424.22|1133429|197908571 15691|MDYG|MDYG|78464A821|US78464A8210|SPDR Series Trust|SPDR S&P 400 Mid Cap Growth ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|IMC Chicago, LLC, DBA IMC Financial Markets|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN1-8|TXN4-2|TXN3-8|TXN3-8|29800000|||Quarterly|||||2008-11-06||MDYG.NV|MDYG.SO|MDYG.EU|MDYG.TC|MDYG.IV| | | | | | | | | |1x|The SPDR S&P 400 Mid Cap Growth ETF, before expenses, seeks to closely match the returns and characteristics of the S&P Mid Cap 400 Growth Index. The S&P MidCap 400 Growth Index measures the performance of the mid-capitalization growth sector in the U.S. equity market. The Index consists of those stocks in the S&P MidCap 400 Index exhibiting the strongest growth characteristics based on: (i) sales growth;(ii) earnings change to price; and (iii) momentum. The selection universe for the S&P MidCap 400 Index includes all U.S. common equities listed on the NYSE, NASDAQ Global Select Market, NASDAQ Select Market and NASDAQ Capital Market with market capitalizations between $850 million and $3.8 billion. The Index is market capitalization weighted and rebalanced annually on the third Friday of December.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||72.45|72.77|0.0|0.0|72.34|72.57|72.76|72.12|0.0|0.0|72.37|0.0|72.76|72.59|0.0|0.0|0.0|72.73|0.0|72.73|72.61|72.9|67.78|76.67|72.73|72.78|68.91|76.24|72.49|72.89|72.73|72.78|74.92|64.17|82156|23523865 15690|MDYV|MDYV|78464A839|US78464A8392|SPDR Series Trust|SPDR S&P 400 Mid Cap Value ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|IMC Chicago, LLC, DBA IMC Financial Markets|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN1-5|TXN7-8|TXN4-3|TXN4-8|32650000|||Quarterly|||||2008-11-05||MDYV.NV|MDYV.SO|MDYV.EU|MDYV.TC|MDYV.IV| | | | | | | | | |1x|The SPDR S&P 400 Mid Cap Value ETF, before expenses, seeks to closely match the returns and characteristics of the S&P Mid Cap 400 Value Index. The S&PMidCap 400 Value Index measures the performance of the mid-capitalization value sector in the U.S. equity market. The Index consists ofthose stocks in the S&P MidCap 400 Index exhibiting the strongest value characteristics based on: (i) book value to price ratio; (ii) earnings to price ratio; and (iii) sales to price ratio. The selection universe for the S&P MidCap 400 Index includes all U.S. common equities listed on the NYSE, NASDAQ Global Select Market, NASDAQ Select Market and NASDAQ CapitalMarket with market capitalizations between $850 million and $3.8 billion. The Index is market capitalization weighted and rebalanced annually on the third Friday of December.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||69.35|69.35|0.0|0.0|69.36|69.05|69.34|0.0|0.0|0.0|68.72|68.0|69.35|69.31|68.42|68.97|0.0|69.37|0.0|69.37|69.19|69.5|65.0|73.59|69.32|69.35|65.0|73.59|0.0|0.0|69.32|69.35|75.02|59.6701|62756|62505072 68246|ME|ME|90138Q108|US90138Q1085|23andMe Holding Co|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-7|TXN5-8|TXN10-5|TXN6-2|TXN6-6|311610000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||0.9683|0.9645|0.0|0.968|0.9688|0.9687|0.968|0.9687|0.0|0.0|0.9688|0.9677|0.9737|0.9778|0.968|0.9645|0.97|0.9729|0.9891|0.9737|0.9404|0.9947|0.7948|1.18|0.9631|0.9864|0.9498|0.9911|0.9475|0.9902|0.9675|0.9729|3.43|0.6101|5510328|599408781 49453|MEAR|MEAR|46431W838|US46431W8385|BlackRock Short Maturity Municipal Bond ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-7|TXN2-4|TXN6-8|TXN3-3|TXN4-6|12350000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||49.96|49.95|0.0|0.0|0.0|49.98|49.981|49.985|0.0|0.0|50.01|0.0|49.95|50.01|50.0|50.005|0.0|49.95|50.005|49.95|49.32|50.45|46.73|53.18|49.84|50.09|46.73|53.18|0.0|0.0|49.96|49.99|50.105|49.6|73273|21372493 63567|MEC|MEC|578605107|US5786051079|Mayville Engineering Company, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|L|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN4-8|TXN7-8|TXN3-3|TXN2-8|20310000|||NotApplicable|||||2019-05-09||||||| | | | | | | | | |||N|0|N|Y|180A|USA|US|||50|5020|502040|50204000|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Industrial|N||N||||||Y|0|Y||Y|2|||12.6|13.37|0.0|12.87|13.48|13.3|13.36|13.12|0.0|0.0|13.43|13.46|13.3|12.65|0.0|13.33|0.0|13.23|0.0|13.33|13.22|13.34|10.41|16.31|12.98|13.66|10.41|16.31|0.0|0.0|13.22|13.34|16.66|9.55|48839|22643395 7651|MED|MED|58470H101|US58470H1014|Medifast, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN1-7|TXN2-8|TXN4-5|TXN2-1|10890000|||Quarterly|||||2006-08-25||||||| | | | | | | | | |||N|0|N|Y|118B|USA|US|||45|4510|451020|45102020|Consumer Staples |Food, Beverage and Tobacco |Food Producers|Food Products|N||N||||||Y|0|Y||Y|2|||69.45|69.74|0.0|69.59|69.71|69.69|69.72|69.65|0.0|0.0|69.55|69.66|69.72|69.62|67.01|69.74|69.66|69.72|65.85|69.74|69.7|69.73|53.94|85.26|69.46|69.89|69.47|69.9|69.7|69.94|69.7|69.73|131.42|61.94|161424|45017191 74925|MEDI|MEDI|41151J869|US41151J8696|Harbor ETF Trust|Harbor Health Care ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Harbor Capital Advisors, Inc.|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-3|TXN1-7|TXN5-8|TXN3-8|TXN3-3|200000|||Yearly|||||2022-11-17||MEDI.NV|MEDI.SO|MEDI.EU|MEDI.TC| | | | | | | | | | |1x|The Fund seeks long-term growth of capital. The Fund invests primarily in equity securities, principally common and preferred stocks of companies of any market capitalization. Under normal market conditions, the Fund invests at least 80% of its net assets, plus borrowings for investment purposes, in securities of companies principally engaged in the research, development, production, or distribution of products and services related to the health care industry (health care companies).Health care companies may include, for example, manufacturers of health care equipment and supplies, health care services providers, pharmaceutical companies, biotechnology and life sciences companies, and suppliers of technologies for use by health care companies.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|23.253|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|21.51|23.6133|0.0|23.6133|0.0|0.0|23.48|23.57|23.56|23.64|11.65|34.92|0.0|0.0|23.56|23.64|23.6133|19.6174|516|150835 53656|MEDP|MEDP|58506Q109|US58506Q1094|Medpace Holdings Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN6-4|TXN11-2|TXN5-1|TXN5-5|30680000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||278.96|279.54|0.0|279.43|278.91|279.48|279.52|279.02|0.0|0.0|279.02|278.62|279.52|0.0|0.0|279.41|275.44|279.52|0.0|279.52|276.39|281.78|262.25|297.09|277.03|281.34|278.76|280.13|279.28|0.0|279.28|279.52|286.9999|167.0|236178|75353969 59180|MEDS|MEDS|89846A405|US89846A4058|TRxADE HEALTH Inc|COM USD.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN5-7|TXN12-1|TXN5-4|TXN5-4|1250000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201010|20101025|Health Care |Health Care |Health Care Providers|Health Care Services|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|6.1999|0.0|0.0|0.0|5.98|0.0|6.0|0.0|0.0|0.0|0.0|6.1999|0.0|6.1999|4.6|7.44|0.0|0.0|5.71|6.33|4.6|7.44|0.0|0.0|6.0|6.14|19.7001|0.251|5674|109552866 75171|MEDX|MEDX|53656G563|US53656G5633|Horizon Kinetics Medical ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN5-6|TXN12-7|TXN6-8|TXN6-2|620000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|29.0|0.0|0.0|0.0|29.0|29.12|0.0|0.0|0.0|0.0|0.0|29.205|0.0|0.0|0.0|29.15|29.12|0.0|29.205|28.89|29.5|0.0|0.0|29.12|29.44|29.12|31.22|0.0|0.0|29.15|29.26|32.65|27.0213|3162|273635 67026|MEG|MEG|615111101|US6151111019|Montrose Environmental Group, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN2-4|TXN8-8|TXN2-5|TXN4-1|30190000|||NotApplicable|||||2020-07-23||||||| | | | | | | | | |||N|0|N|Y|100A|USA|US|||50|5020|502050|50205020|Industrials|Industrial Goods and Services|Industrial Support Services|Professional Business Support Services|N||N||||||Y|0|Y||Y|2|||32.22|32.22|0.0|32.17|32.23|32.15|32.2|32.2|0.0|0.0|32.17|32.17|32.23|31.06|32.1|32.19|32.25|32.2|32.01|32.19|32.19|32.23|25.16|39.87|31.88|32.49|32.05|32.36|32.02|32.39|32.19|32.23|55.0|21.96|163718|48851623 72130|MEGI|MEGI|56064Q107|US56064Q1076|MainStay CBRE Global Infrastructure Megatrends Term Fund|Common Shares|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN4-8|TXN7-8|TXN1-6|TXN3-3|52050000|||Monthly|||||2021-10-27||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||12.81|12.79|0.0|0.0|12.8|12.82|12.821|12.81|0.0|0.0|12.78|12.81|12.82|12.81|12.79|12.85|12.84|12.821|12.7|12.85|12.82|12.84|9.83|15.79|12.66|13.64|12.79|12.86|12.79|12.86|12.82|12.85|15.5|10.63|190208|34139752 74346|MEGL|MEGL|G5865E105|VGG5865E1051|Magic Empire Global Ltd|ORD||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-3|TXN5-2|TXN14-1|TXN6-4|TXN5-4|20260000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||HKG||||30|3020|302020|30202000|Financials|Financial Services |Investment Banking and Brokerage Services |Diversified Financial Services |N||N||||||N|0|Y||||||0.8796|0.872|0.0|0.0|0.8796|0.8796|0.88|0.9|0.0|0.0|0.0|0.8798|0.88|0.0|0.0|0.0|0.0|0.872|0.0|0.872|0.6962|1.09|0.6962|1.09|0.8613|0.92|0.6962|1.09|0.0|0.0|0.8701|0.9|5.87|0.7201|57014|251192169 2512|MEI|MEI|591520200|US5915202007|Methode Electronics, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-7|TXN2-4|TXN4-7|TXN2-6|TXN4-4|36010000|||Quarterly|||||2007-10-17||||||| | | | | | | | | |||N|0|N|Y|114D|USA|US|||10|1010|101020|10102015|Technology|Technology|Technology Hardware and Equipment|Electronic Components|N||N||||||Y|0|Y||Y|2|||25.26|25.31|0.0|25.27|25.25|25.32|25.25|25.285|0.0|0.0|25.25|25.28|25.25|25.179|25.27|25.25|23.59|25.25|25.3|25.25|25.25|25.29|19.36|30.69|25.11|25.33|25.21|25.32|25.22|25.28|25.25|25.29|51.38|21.38|286336|55555818 2635|MEIP|MEIP|55279B301|US55279B3015|MEI Pharma Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN6-4|TXN13-1|TXN6-2|TXN5-6|6660000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103015|Health Care |Health Care |Pharmaceuticals and Biotechnology|Pharmaceuticals |N||N||||||N|0|Y||||||0.0|6.43|0.0|0.0|6.39|6.375|6.37|6.39|0.0|0.0|6.39|0.0|6.37|6.41|0.0|6.38|0.0|6.41|0.0|6.37|6.19|6.58|4.86|7.75|6.24|6.55|4.86|7.44|6.35|6.48|6.37|6.41|7.97|0.2|77276|82402935 25277|MELI|MELI|58733R102|US58733R1023|MercadoLibre Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|4|0.01|0.01|5000000|1|100|TXN14-3|TXN5-5|TXN10-5|TXN5-4|TXN6-3|50560000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||URY||||40|4020|402010|40201070|Consumer Discretionary|Consumer Products and Services|Consumer Services |Consumer Services: Misc.|N||N||||||Y|0|Y||||||1597.12|1599.255|0.0|1599.28|1599.025|1596.585|1598.88|1599.255|0.0|0.0|1599.0|1598.06|1599.63|1600.46|1598.3|1598.49|1600.3|1598.88|1599.18|1599.63|1582.85|1612.86|1266.94|1969.48|1591.0|1611.76|1596.46|1601.7|1598.5|1601.75|1598.64|1598.88|1660.0|815.855|574107|112095431 74272|MEM|MEM|577125818|US5771258184|Matthews International Funds|Matthews Emerging Markets Equity Active ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Matthews Asia|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-6|TXN3-1|TXN9-8|TXN3-4|TXN1-7|1940000|||Yearly|||||2022-07-14||MEM.NV|MEM.SO|MEM.EU|MEM.TC|MEM.IV| | | | | | | | | ||Fund seeks long-term capital appreciation by investing at least 80% of its net assets, which include borrowings for investment purposes, in the common and preferred stocks of companies located in emerging market countries. Emerging market countries generally include every country in the world except the United States, Australia, Canada, Hong Kong, Israel, Japan, New Zealand, Singapore and most of the countries in Western Europe. Certain emerging market countries may also be classified as frontier market countries, which are a subset of emerging market countries with newer or even less developed economies and markets, such as Sri Lanka and Vietnam. The list of emerging market countries and frontier market countries may change from time to time. The Fund may also invest in companies located in developed countries; however, the Fund may not invest in any company located in a developed country if, at the time of purchase, more than 20% of the Funds assets are invested in developed market companies.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|27.02|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|26.9673|0.0|26.9673|0.0|0.0|0.0|0.0|26.92|27.02|0.0|0.0|0.0|0.0|26.92|27.02|32.17|24.01|87332|4849758 72797|MEME|MEME|53656F136|US53656F1369|Listed Funds Trust|Roundhill MEME ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Roundhill Investments|Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-2|TXN1-2|TXN8-8|TXN2-6|TXN1-8|80000|||Yearly|||||2021-12-08||MEME.NV|MEME.SO|MEME.EU|MEME.TC| | | | | | | | | | |1x|The Fund uses a passive management (or indexing) approach to seek to track the performance, before fees and expenses, of the Solactive Roundhill Meme Stock Index (the Index) which, in turn, seeks to track the performance of meme stocks. Meme stocks are equity securities, including American depositary receipts (ADRs), of companies that exhibit a combination of elevated social media activity (i.e., the number of times a company or its ticker is mentioned on specific social media platforms) and high short interest (i.e., the number of an issuers shares that have been sold short but which have not yet been covered or closed out), both of which are indicators of market sentiment. Solactive AG acts as the index provider and calculation agent (the Index Provider).|N|0|N|N|412C|USA||EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|38.02|38.0735|36.71|0.0|0.0|0.0|0.0|38.23|38.219|0.0|0.0|0.0|38.0537|0.0|38.0537|0.0|0.0|0.0|0.0|37.98|38.12|0.0|0.0|0.0|0.0|37.98|38.12|43.2|4.875|7796|738146 75093|MEMX|MEMX|577125792|US5771257921|Matthews International Funds|Matthews Emerging Markets ex China Active ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Matthews Asia|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-8|TXN1-8|TXN8-8|TXN3-8|TXN3-4|320000|||Yearly|||||2023-01-11||MEMX.NV|MEMX.SO|MEMX.EU|MEMX.TC|MEMX.IV| | | | | | | | | ||The Matthews Emerging Markets ex China Active ETF seeks long-term capital appreciation by investing at least 80% of its net assets,which include borrowings for investment purposes, in the common and preferred stocks of companies located in emerging market countries excluding China. Emerging marketcountries generally include every country in the world except the United States, Australia, Canada, Hong Kong, Israel, Japan, New Zealand, Singapore and most of the countries in Western Europe. Certain emerging market countries may also be classified as frontier market countries, which are a subset of emerging market countries with newer or even less developed economies and markets, such as Sri Lanka and Vietnam. The list of emerging market countries and frontier market countries may change from time to time. The Fund may also invest in companies located in developed countries or China; however, the Fund may not invest in any company located in a developed country or China if, at the time of purchase, more than 20% of the Funds assets are investedin a combination of developed market and Chinese companies. China includes its administrative and other districts such as Hong Kong and Macau. The Fund may concentrate its investments (meaning more than 25% of its assets) from time to time in a single country, with the exception of China.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|26.5365|0.0|26.5365|0.0|0.0|0.0|0.0|26.51|26.56|0.0|0.0|0.0|0.0|26.51|26.56|27.6|23.735|0|512374 2502|MEOH|MEOH|59151K108|CA59151K1084|Methanex Corp|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN6-3|TXN12-1|TXN5-6|TXN6-4|67380000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CAN||||55|5520|552010|55201020|Basic Materials|Chemicals|Chemicals|Specialty Chemicals|N||N||||||Y|0|Y||||||43.25|43.22|0.0|43.18|43.27|43.28|43.25|43.26|0.0|0.0|43.25|43.43|43.29|0.0|43.27|43.27|43.31|43.27|43.23|43.29|42.99|43.52|33.66|52.74|43.1|43.4|43.16|43.34|43.23|43.31|43.23|43.29|54.83|35.46|134279|67342790 19042|MER PRK|MERpK|060505179|US0605051798|Bank of America Corporation|Income Capital Obligation Notes initially due December 15, 2066|Operating company|B|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN3-2|TXN6-8|TXN2-7|TXN2-6|42000000|||Quarterly|||||2018-10-18|2066-12-15|||||| | | | | | | | | |||N|0|N|N|402B|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|25.48|0.0|0.0|25.41|25.44|25.445|25.43|0.0|0.0|25.43|0.0|25.44|0.0|0.0|25.48|25.43|25.44|25.3|25.48|25.43|25.48|25.43|25.46|25.01|25.93|0.0|0.0|0.0|0.0|25.01|26.08|25.8|24.4|42169|13068598 2504|MERC|MERC|588056101|US5880561015|Mercer International Inc|SHS BEN INT USD1||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN6-6|TXN12-3|TXN5-5|TXN6-3|66530000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CAN||||55|5510|551010|55101015|Basic Materials|Basic Resources|Industrial Materials|Paper|N||N||||||N|0|Y||||||9.64|9.63|0.0|9.52|9.62|9.64|9.59|9.635|0.0|0.0|9.59|9.62|9.59|9.64|9.62|9.63|9.5|9.59|0.0|9.59|9.53|9.73|7.26|11.74|9.54|9.72|9.57|9.64|9.57|9.62|9.59|9.62|13.98|7.37|260401|115831536 61396|MESA|MESA|590479135|US5904791358|Mesa Air Group Inc|COM NEW||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-3|TXN5-6|TXN13-6|TXN5-5|TXN6-7|40830000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4050|405010|40501010|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Airlines|N||N||||||Y|0|Y||||||0.98|0.99|0.0|0.0|0.98|0.99|0.99|1.0|0.0|0.0|0.9951|0.99|0.99|0.99|0.0|0.9901|1.0|0.99|0.971|0.99|0.9589|1.03|0.784|1.2|0.99|1.02|0.9555|1.03|0.9569|1.03|0.99|0.9999|3.82|0.4|1239655|85771409 51938|MESO|MESO|590717104|US5907171046|Mesoblast Ltd|SPONSORED ADR||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN6-7|TXN11-3|TXN6-5|TXN6-4|814210000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||AUS||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|5.12|1.12|17605|54753123 7668|MET|MET|59156R108|US59156R1086|MetLife, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-6|TXN1-6|TXN5-1|TXN4-8|TXN4-5|740190000|||Quarterly|||||2000-04-05||||||| | | | | | | | | |||N|1|Y|Y|410B|USA|US|||30|3030|303010|30301010|Financials|Insurance|Life Insurance|Life Insurance|N||N||||||Y|0|Y||Y|1|||64.54|64.55|0.0|64.43|64.56|64.55|64.545|64.525|0.0|0.0|64.55|64.53|64.55|64.54|64.54|64.55|64.44|64.545|64.525|64.55|64.54|64.55|60.08|68.22|64.51|64.57|64.49|64.6|64.48|64.57|64.54|64.55|76.635|48.95|4201789|1074474564 7669|MET PRA|METpA|59156R504|US59156R5046|MetLife, Inc.|Floating Rate Non-Cumulative Preferred Stock, Series A|Operating company|B|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN4-5|TXN9-8|TXN3-5|TXN3-4|24000000|||Quarterly|||||2005-06-28||||||| | | | | | | | | |||N|0|N|N|410B|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||23.13|23.135|0.0|0.0|22.92|22.93|22.9561|22.97|0.0|0.0|22.92|0.0|22.98|22.688427|0.0|23.0|22.89|23.0|0.0|23.0|22.95|23.0|22.89|22.98|22.53|23.13|0.0|0.0|0.0|0.0|22.95|23.0|24.1989|21.15|19894|8768016 61096|MET PRE|METpE|59156R876|US59156R8768|MetLife, Inc.|Depositary shares, each representing a 1/1000th interest in a share of the Issuers 5.625% Non-Cumulative Preferred Stock, Series E|Operating company|B|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN1-6|TXN3-8|TXN4-3|TXN2-6|32200000|||Quarterly|||||2018-06-08||||||| | | | | | | | | |||N|0|N|N|410B|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|23.78|0.0|0.0|0.0|24.11|24.01|23.98|0.0|0.0|24.05|0.0|23.98|0.0|0.0|24.02|0.0|24.02|24.08|24.02|23.93|24.02|0.0|0.0|23.76|24.05|0.0|0.0|23.94|24.01|23.93|24.02|25.3|21.03|44804|14537834 65423|MET PRF|METpF|59156R850|US59156R8503|MetLife, Inc.|Depositary Shares, each representing a 1/1,000th interest in a share of 4.75% Non-Cumulative Preferred Stock, Series F|Operating company|B|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN1-5|TXN2-8|TXN4-6|TXN1-2|40000000|||Quarterly|||||2020-01-17||||||| | | | | | | | | |||N|0|N|N|410B|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||20.98|20.85|0.0|0.0|20.98|20.825|20.84|20.82|0.0|0.0|20.98|20.89|20.94|20.98|0.0|20.84|20.94|20.84|20.83|20.84|20.82|21.04|16.26|25.83|20.71|21.15|16.26|25.83|0.0|0.0|20.82|21.04|23.3|18.33|77987|20919731 40085|META|META|30303M102|US30303M1027|Meta Platforms Inc|CL A COM USD.000006||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN6-3|TXN11-6|TXN5-7|TXN6-6|2219610000|||NotApplicable|||||||||||| | | | | | | | | |||N|1|Y|N||USA||||10|1010|101010|10101020|Technology|Technology|Software and Computer Services|Consumer Digital Services |N||N||||||Y|0|Y||||||319.99|319.98|0.0|320.05|320.08|319.96|319.965|320.0|0.0|0.0|320.0|320.12|320.02|319.98|320.09|319.93|319.97|320.02|320.04|320.02|319.79|320.2|297.72|320.25|319.94|320.09|304.53|320.25|319.97|320.27|319.97|320.03|342.92|112.46|19037080|5758273820 56594|METC|METC|75134P600|US75134P6007|Ramaco Resources Inc|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN5-7|TXN10-7|TXN6-3|TXN5-4|43900000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||60|6010|601010|60101040|Energy|Energy|Oil, Gas and Coal|Coal|N||N||||||Y|0|Y||||||16.98|16.97|0.0|17.27|16.99|16.98|17.0|16.99|0.0|0.0|16.98|16.98|17.0|16.97|16.96|16.98|16.98|17.0|16.98|17.0|16.84|17.13|13.21|20.76|16.84|17.11|13.89|17.03|16.97|17.02|16.97|17.0|19.94|7.2625|1063597|118974006 75894|METCB|METCB|75134P501|US75134P5017|Ramaco Resources Inc|COM CL B||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN6-7|TXN14-8|TXN6-3|TXN5-8|8780000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||60|6010|601010|60101040|Energy|Energy|Oil, Gas and Coal|Coal|N||N||||||N|0|Y||||||0.0|0.0|0.0|15.9|0.0|15.85|15.8|15.88|0.0|0.0|15.85|0.0|15.8|15.85|0.0|0.0|0.0|15.85|0.0|15.8|15.35|16.43|12.48|19.41|15.42|16.38|15.68|16.07|15.75|15.89|15.8|15.89|19.8|8.84|28690|7712608 71148|METCL|METCL|75134P402|US75134P4028|Ramaco Resources Inc 9.00 Senior Notes due 2026|STRUCT PRODUCT||U|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN6-2|TXN13-1|TXN6-1|TXN6-8|1380000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|25.5699|0.0|0.0|0.0|0.0|0.0|25.52|0.0|0.0|0.0|0.0|25.5699|0.0|25.5699|0.0|0.0|0.0|0.0|23.81|27.28|0.0|0.0|0.0|0.0|25.52|25.57|26.75|24.18|2145|647163 71008|METV|METV|53656F417|US53656F4173|Listed Funds Trust|Roundhill Ball Metaverse ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Roundhill Investments|Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN1-4|TXN2-7|TXN2-4|TXN2-6|40525000|||Yearly|||||2021-06-30||META.NV|META.SO|META.EU|META.TC| | | | | | | | | | |1x|The Roundill Ball Metaverse ETF uses a passive management (or indexing) appraoch to track the perfmrance, before fees and expenses, of the Index. The Index seeks to track the performance of globally-listed equity securities of companies that engage in activities or provide products, services, technologies, or technological capabilities to enable the Metaverse, and benefit from its generated revenues.|N|0|N|N|412C|USA||EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|1|||10.72|10.72|0.0|0.0|10.72|10.715|10.715|10.715|0.0|0.0|10.7|10.7|10.71|10.685|10.61|10.715|0.0|10.72|0.0|10.72|10.7|10.72|10.68|10.77|10.7|10.72|10.7|10.77|10.7|10.77|10.7|10.72|11.0898|6.915|237293|72045090 57225|MEXX|MEXX|25460E281|US25460E2818|Direxion Shares ETF Trust|Direxion Daily MSCI Mexico Bull 3X Shares|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Direxion Shares|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-5|TXN4-1|TXN5-8|TXN2-8|TXN4-3|516025.415|||Quarterly|||||2017-05-03||MEXX.NV|MEXX.SO|MEXX.EU|MEXX.TC|MEXX.IV| | | | | | | | | |3x|The Fund seeks daily investment results, before fees andexpenses, of 300% of the daily performance of the MSCI Mexico IMI 25/50 Index|N|0|N|N|416A|USA|US|EQUITY|LEVERAGED|||||||||N||N||||||Y|0|Y||Y|2|||27.62|0.0|0.0|0.0|0.0|27.8|27.386|27.62|0.0|0.0|27.69|0.0|27.62|27.01|0.0|0.0|0.0|27.49|0.0|27.49|26.54|28.26|0.0|0.0|27.33|27.5|26.86|29.08|26.83|29.07|27.33|27.5|173.69|16.38|11238|1147643 7673|MFA|MFA|55272X607|US55272X6076|MFA Financial, Inc.|Common Stock|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|6|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-1|TXN3-7|TXN6-8|TXN4-2|TXN1-5|101920000|||Quarterly|||||1998-04-13||||||| | | | | | | | | |||N|0|N|Y|412A|USA|US|||30|3020|302030|30203000|Financials|Financial Services |Mortgage Real Estate Investment Trusts|Mortgage REITs: Diversified|N||N||||||Y|0|Y||Y|2|||11.03|11.02|0.0|11.05|11.03|11.025|11.02|11.025|0.0|0.0|11.02|11.03|11.025|11.02|10.98|11.03|11.01|11.03|11.03|11.03|11.02|11.03|8.52|13.53|11.0|11.05|10.99|11.05|10.99|11.05|11.02|11.03|12.38|8.41|610609|265354142 41855|MFA PRB|MFApB|55272X409|US55272X4097|MFA Financial, Inc.|7.50% Series B Cumulative Redeemable Preferred Stock|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN3-4|TXN6-8|TXN4-7|TXN4-6|8000000|||Quarterly|||||2013-04-18||||||| | | | | | | | | |||N|0|N|N|412A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||19.61|19.85|0.0|0.0|0.0|19.55|19.5104|19.61|0.0|0.0|19.78|19.65|19.62|19.66|0.0|19.62|19.65|19.62|0.0|19.62|19.51|19.79|19.55|19.63|19.18|20.07|0.0|0.0|0.0|0.0|19.51|19.79|20.9|16.64|16193|4451135 65733|MFA PRC|MFApC|55272X508|US55272X5086|MFA Financial, Inc.|6.50% Series C Fixed-to-Floating Rate Cumulative Redeemable Preferred Stock|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN2-2|TXN8-8|TXN1-2|TXN1-6|11000000|||Quarterly|||||2020-03-04||||||| | | | | | | | | |||N|0|N|N|412A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|20.44|0.0|0.0|0.0|20.05|19.85|19.8|0.0|0.0|20.5|0.0|19.85|0.0|0.0|19.85|20.11|19.85|0.0|19.85|19.4|19.9|20.1|20.2|19.37|20.3|0.0|0.0|0.0|0.0|19.4|19.9|21.06|16.55|10704|4385466 7676|MFC|MFC|56501R106|CA56501R1064|Manulife Financial Corporation|Common Shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|8|E|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN3-5|TXN7-1|TXN3-6|TXN1-3|1828740000|||Quarterly|||||1999-09-24||||||| | | | | | | | | |||N|0|N|Y|416A|CAN|CA|||30|3030|303010|30301010|Financials|Insurance|Life Insurance|Life Insurance|N||N||||||Y|0|Y||Y|2|||19.84|19.85|0.0|19.85|19.84|19.835|19.845|19.845|0.0|0.0|19.835|19.83|19.85|19.84|19.85|19.84|19.83|19.85|19.84|19.84|19.84|19.85|15.14|24.01|19.84|19.86|19.81|19.87|19.84|19.87|19.84|19.85|20.4|17.07|2871870|757542728 7677|MFD|MFD|55607W100|US55607W1009|Macquarie/First Trust Global Infrastructure/Utilities Dividend & Income Fund|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN1-3|TXN7-8|TXN2-7|TXN1-4|8460000|||Quarterly|||||2004-03-26||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||0.0|7.7|0.0|0.0|7.7|7.7|7.7|7.71|0.0|0.0|7.7|0.0|7.71|7.71|0.0|7.7|0.0|7.7|0.0|7.7|7.7|7.72|0.0|0.0|7.19|8.3|0.0|0.0|0.0|0.0|7.7|7.72|8.84|6.63|36252|5117983 59507|MFDX|MFDX|72202L371|US72202L3713|PIMCO Equity Series|PIMCO RAFI Dynamic Multi-Factor International Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||PIMCO|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-6|TXN3-8|TXN1-5|TXN2-1|TXN4-8|7200000|||Quarterly|||||2017-09-06||MFDX.NV|MFDX.SO|MFDX.EU|MFDX.TC|MFDX.IV| | | | | | | | | |1x|The Fund seeks to achieve its investment objective by investing under normal circumstances at least 80% of its total assets (exclusive of collateral held from securities lending) in the component securities (Component Securities) of the RAFI Dynamic Multi-Factor Developed Ex-U.S. Index (the Underlying Index). The Fund may invest the remainder of its assets in cash, securities and instruments that are not Component Securities, but which the Funds sub-adviser, Parametric Portfolio Associates LLC (Sub-Adviser), believes will help the Fund track its Underlying Index. The Underlying Index is designed to provide long-only exposure to multiple equity factors that seek to produce attractive long-term returns, and which may lower risk compared to less diversified strategies.|N|0|N|N|406A|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|28.13|28.0593|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|28.0636|0.0|28.0636|27.85|28.17|0.0|0.0|28.05|28.08|28.08|28.17|28.09|28.17|28.05|28.08|28.81|25.43|5858|5379227 59506|MFEM|MFEM|72202L389|US72202L3895|PIMCO Equity Series|PIMCO RAFI Dynamic Multi-Factor Emerging Markets Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||PIMCO|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-5|TXN3-6|TXN6-8|TXN3-8|TXN2-7|4920000|||Quarterly|||||2017-09-06||MFEM.NV|MFEM.SO|MFEM.EU|MFEM.TC|MFEM.IV| | | | | | | | | |1x|The Fund seeks to achieve its investment objective by investing under normal circumstances at least 80% of its total assets (exclusive of collateral held from securities lending) in the component securities (Component Securities) of the RAFI Dynamic Multi-Factor Emerging Markets Index (the Underlying Index). The Fund may invest the remainder of its assets in cash, securities and instruments that are not Component Securities, but which the Funds sub-adviser, Parametric Portfolio Associates LLC (Sub-Adviser), believes will help the Fund track its Underlying Index. The Underlying Index is designed to provide long-only exposure to multiple equity factors that seek to produce attractive long-term returns, and which may lower risk compared to less diversified strategies.|N|0|N|N|406A|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|18.35|18.32|0.0|0.0|18.44|0.0|18.34|18.34|0.0|0.0|0.0|18.347|0.0|18.347|18.06|18.69|0.0|0.0|18.33|18.35|0.0|0.0|0.0|0.0|18.33|18.35|19.589|16.91|21659|3796239 17530|MFG|MFG|60687Y109|US60687Y1091|Mizuho Financial Group, Inc.|American Depositary Shares each representing one-fifth of an Ordinary Share|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN1-1|TXN8-7|TXN2-7|TXN2-3|2539250000|||BiAnnually|||||2006-11-08||||||| | | | | | | | | |||N|0|N|Y|402A|JPN|JP|||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||Y|2|||3.38|3.385|0.0|0.0|3.39|3.38|3.385|3.385|0.0|0.0|3.385|3.385|3.38|3.39|3.38|3.39|3.385|3.38|3.435|3.39|3.38|3.39|2.61|4.15|3.37|3.39|3.35|3.42|3.37|3.4|3.38|3.39|3.7|2.38|622301|199660453 49599|MFH|MFH|G59467202|KYG594672027|Mercurity Fintech Holding Inc|ORD USD0.004||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN5-6|TXN14-3|TXN5-5|TXN5-6|46540000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||N|0|Y||||||0.99|1.06|0.0|0.0|0.99|1.18|1.15|1.16|0.0|0.0|1.22|1.08|1.18|0.0|0.0|0.0|0.0|1.18|0.0|1.18|1.09|1.3|0.0|0.0|1.08|1.31|0.0|0.0|0.0|0.0|1.15|1.22|2.99|0.5399|110188|21844323 143|MFIC|MFIC|03761U502|US03761U5020|MidCap Financial Investment Corp|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN5-5|TXN14-8|TXN5-3|TXN5-5|65250000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||Y|0|Y||||||13.64|13.625|0.0|13.51|13.61|13.63|13.61|13.62|0.0|0.0|13.61|13.63|13.63|13.63|13.64|13.635|13.64|13.61|0.0|13.63|13.53|13.63|10.31|16.72|13.54|13.73|13.59|13.66|13.6|13.64|13.61|13.63|14.03|10.39|272202|44180933 3942|MFIN|MFIN|583928106|US5839281061|Medallion Financial Corp.|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN6-5|TXN10-8|TXN6-7|TXN6-3|23360000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302010|30201020|Financials|Financial Services |Finance and Credit Services|Consumer Lending|N||N||||||Y|0|Y||||||9.6|9.58|0.0|0.0|9.6|9.55|9.56|9.595|0.0|0.0|9.58|0.0|9.57|0.0|0.0|9.58|0.0|9.56|9.58|9.57|9.38|9.77|7.32|11.8|9.39|9.73|9.48|9.67|9.47|9.67|9.56|9.61|10.49|5.64|47824|14395406 54011|MFLX|MFLX|33740F508|US33740F5089|First Trust Flexible Municipal High Income ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN6-7|TXN10-7|TXN5-7|TXN6-4|850002|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|16.51|0.0|0.0|16.52|16.51|16.5202|16.51|0.0|0.0|0.0|0.0|16.57|16.52|16.52|0.0|0.0|16.5202|0.0|16.57|0.0|0.0|0.0|0.0|16.52|16.62|0.0|0.0|0.0|0.0|16.52|16.62|18.81|15.172|7328|755948 7681|MFM|MFM|552738106|US5527381066|MFS Municipal Income Trust|Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN4-3|TXN4-8|TXN2-7|TXN4-1|41190000|||Monthly|||||1986-11-18||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||5.08|5.08|0.0|5.19|5.08|5.09|5.08|5.1|0.0|0.0|5.08|5.18|5.085|5.08|0.0|5.08|5.17|5.08|0.0|5.08|5.08|5.09|4.0|6.33|4.76|5.43|5.06|5.11|5.07|5.1|5.08|5.09|5.53|4.37|278067|23191242 72221|MFUL|MFUL|19423L615|US19423L6157|Mindful Conservative ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-4|TXN1-7|TXN2-8|TXN3-3|TXN3-3|2900000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|21.64|0.0|0.0|0.0|0.0|21.641|0.0|0.0|0.0|21.63|0.0|0.0|0.0|0.0|21.58|0.0|21.64|0.0|21.64|21.64|21.67|21.63|21.66|21.53|21.78|21.43|21.89|0.0|0.0|21.64|21.67|21.99|20.83|7241|5585377 59505|MFUS|MFUS|72202L363|US72202L3630|PIMCO Equity Series|PIMCO RAFI Dynamic Multi-Factor U.S. Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||PIMCO|RBC Capital Markets, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-4|TXN3-4|TXN6-8|TXN1-5|TXN3-8|3120000|||Quarterly|||||2017-09-06||MFUS.NV|MFUS.SO|MFUS.EU|MFUS.TC|MFUS.IV| | | | | | | | | |1x|The Fund seeks to achieve its investment objective by investing under normal circumstances at least 80% of its total assets (exclusive of collateral held from securities lending) in the component securities (Component Securities) of the RAFI Dynamic Multi-Factor U.S. Index (the Underlying Index). The Fund may invest the remainder of its assets in cash, securities and instruments that are not Component Securities, but which the Funds sub-adviser, Parametric Portfolio Associates LLC (Sub-Adviser), believes will help the Fund track its Underlying Index. The Underlying Index is designed to provide long-only exposure to multiple equity factors that seek to produce attractive long-term returns, and which may lower risk compared to less diversified strategies.|N|0|N|N|406A|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|39.62|0.0|0.0|0.0|40.17|40.17|0.0|0.0|0.0|39.62|0.0|40.25|0.0|0.0|0.0|0.0|40.2949|0.0|40.2949|31.96|48.21|40.2|40.26|40.2|40.39|31.96|48.21|0.0|0.0|40.2|40.39|40.5|36.21|5221|2163211 7684|MFV|MFV|55274E102|US55274E1029|MFS Special Value Trust|Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN1-7|TXN3-8|TXN3-3|TXN1-3|7300000|||Monthly|||||1989-11-17||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||4.06|0.0|0.0|0.0|0.0|4.06|4.05|4.06|0.0|0.0|0.0|4.01|4.07|0.0|0.0|4.06|0.0|4.06|0.0|4.06|4.06|4.07|4.06|4.96|3.76|4.31|3.12|4.96|0.0|0.0|4.06|4.07|4.74|3.74|10129|4201319 31659|MG|MG|60649T107|US60649T1079|Mistras Group, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|T|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN3-8|TXN8-8|TXN1-4|TXN3-6|30350000|||NotApplicable|||||2009-10-08||||||| | | | | | | | | |||N|0|N|Y|104C|USA|US|||50|5010|501010|50101015|Industrials|Construction and Materials|Construction and Materials |Engineering and Contracting Services|N||N||||||N|0|Y||Y|2|||6.62|6.63|0.0|0.0|6.63|6.63|6.605|6.55|0.0|0.0|6.64|6.5|6.58|6.6|6.83|6.58|0.0|6.6|6.59|6.58|6.59|6.62|5.07|8.15|6.34|6.81|5.36|8.14|0.0|0.0|6.59|6.62|8.31|3.82|37745|21243892 7686|MGA|MGA|559222401|CA5592224011|Magna International Inc.|Common Shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-3|TXN3-3|TXN6-4|TXN3-2|TXN1-3|286360000|||Quarterly|||||1992-10-09||||||| | | | | | | | | |||N|0|N|Y|132B|CAN|CA|||40|4010|401010|40101025|Consumer Discretionary|Automobiles and Parts|Automobiles and Parts|Auto Parts|N||N||||||Y|0|Y||Y|2|||56.04|56.01|0.0|56.01|56.02|56.01|56.02|56.0|0.0|0.0|56.16|55.96|56.03|56.03|56.17|56.04|55.86|56.04|56.15|56.04|56.02|56.04|42.65|69.16|55.95|56.06|56.0|56.08|56.02|56.08|56.02|56.04|68.92|46.71|1281000|268968183 74323|MGAM|MGAM|607371101|US6073711011|Mobile Global Esports Inc|COM USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-5|TXN5-6|TXN13-5|TXN6-3|TXN6-3|20420000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4020|402030|40203040|Consumer Discretionary|Consumer Products and Services|Leisure Goods|Electronic Entertainment|N||N||||||N|0|Y||||||0.3251|0.0|0.0|0.0|0.3251|0.317|0.324353|0.0|0.0|0.0|0.32|0.3328|0.3201|0.0|0.0|0.0|0.0|0.324353|0.0|0.324353|0.264|0.42|0.264|0.42|0.31|0.3626|0.264|0.42|0.0|0.0|0.3202|0.339|4.68|0.28|57047|265402113 26609|MGC|MGC|921910873|US9219108738|Vanguard World Funds|Vanguard Mega Cap ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Vanguard|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-3|TXN3-3|TXN3-1|TXN4-1|TXN2-3|27809267|||Quarterly|||||2007-12-20||MGC.NV|MGC.SO|MGC.EU|MGC.TC|MGC.IV| | | | | | | | | |1x|The fund employs a passive managementor indexinginvestment approach designed to track the performance of the MSCI US Large-Cap 300 Index, a broadly diversified index of stocks of the largest U.S. companies. The fund attempts to replicate the target index by investing all, or substantially all, of its assets in the stocks that make up the index, holding each stock in approximately the same proportion as its weighting in the index.|N|0|N|N|406C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||162.62|161.97|0.0|0.0|162.81|161.99|162.86|162.57|0.0|0.0|162.75|0.0|162.76|162.76|161.97|162.08|162.54|162.79|0.0|162.79|162.46|163.11|162.55|162.87|162.76|162.79|162.54|162.88|162.54|162.87|162.76|162.79|163.94|129.9301|73476|18670316 2525|MGEE|MGEE|55277P104|US55277P1049|MGE Energy Inc|COM USD8||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN5-5|TXN10-3|TXN6-3|TXN5-3|36160000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||65|6510|651010|65101015|Utilities|Utilities|Electricity|Conventional Electricity|N||N||||||N|0|Y||||||0.0|74.52|0.0|73.96|74.5|74.42|74.54|74.45|0.0|0.0|74.445|74.5|74.53|74.39|0.0|74.51|0.0|74.5|0.0|74.53|73.68|75.27|56.33|91.23|74.29|74.66|56.33|89.04|74.28|74.53|74.46|74.53|83.27|65.1|118788|20996450 7691|MGF|MGF|552939100|US5529391006|MFS Government Markets Income Trust|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN2-6|TXN4-8|TXN2-6|TXN1-2|32600000|||Monthly|||||1987-05-20||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||3.15|3.12|0.0|0.0|3.15|3.145|3.14|3.145|0.0|0.0|3.15|3.11|3.145|3.06|0.0|3.13|3.11|3.15|0.0|3.13|3.13|3.15|2.4|3.82|2.93|3.34|3.11|3.17|0.0|0.0|3.13|3.15|3.46|2.91|96728|14679722 2526|MGIC|MGIC|559166103|IL0010823123|Magic Software Enterprises Ltd|ORD NIS.1||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN5-2|TXN12-8|TXN6-5|TXN6-5|49090000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||ISR||||10|1010|101010|10101010|Technology|Technology|Software and Computer Services|Computer Services|N||N||||||Y|0|Y||||||9.43|9.355|0.0|0.0|9.33|9.39|9.4|9.4|0.0|0.0|9.34|0.0|9.39|9.31|0.0|0.0|0.0|9.39|0.0|9.39|9.21|9.57|7.17|11.41|9.21|9.57|7.44|11.24|0.0|0.0|9.39|9.45|17.52|8.15|43036|6157942 75533|MGIH|MGIH|G6169A104|KYG6169A1040|Millennium Group International Holdings Ltd|ORD||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN5-8|TXN12-3|TXN5-8|TXN6-5|11250000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||HKG||||50|5020|502030|50203030|Industrials|Industrial Goods and Services|General Industrials|Containers and Packaging|N||N||||||N|0|Y||||||1.69|1.65|0.0|0.0|1.55|1.63|1.64|1.68|0.0|0.0|1.54|1.65|1.64|1.55|1.53|1.505|1.72|1.63|1.33|1.64|1.25|1.96|1.25|1.96|1.45|1.69|1.25|1.96|0.0|0.0|1.55|1.64|4.6325|0.89|2394406|86919832 26610|MGK|MGK|921910816|US9219108167|Vanguard World Funds|Vanguard Mega Cap Growth ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Vanguard|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-3|TXN1-2|TXN3-5|TXN4-8|TXN4-4|62989192|||Quarterly|||||2007-12-21||MGK.NV|MGK.SO|MGK.EU|MGK.TC|MGK.IV| | | | | | | | | |1x|The fund employs a passive managementor indexinginvestment approach designed to track the performance of the MSCI US Large-Cap Growth Index, which represents the growth companies of the MSCI US Large-Cap 300 Index. The fund attempts to replicate the target index by investing all, or substantially all, of its assets in the stocks that make up the index, holding each stock in approximately the same proportion as its weighting in the index.|N|0|N|N|406C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||248.24|248.29|0.0|0.0|248.3|248.25|248.28|247.71|0.0|0.0|248.33|247.65|248.25|248.3|248.29|248.5|248.31|248.2|248.01|248.2|247.81|248.8|247.95|248.62|248.28|248.33|247.95|248.63|247.93|248.59|248.28|248.33|253.32|167.66|353514|77215432 73657|MGLD|MGLD|57403M104|US57403M1045|The Marygold Companies, Inc.|Common Stock|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN4-4|TXN3-8|TXN3-4|TXN4-3|39380000|||NotApplicable|||||2022-03-10||||||| | | | | | | | | |||N|0|N|N|306A|USA|US|||10|1010|101010|10101020|Technology|Technology|Software and Computer Services|Consumer Digital Services |N||N||||||N|0|Y||Y|2|||1.04|1.08|0.0|0.0|0.0|1.03|1.055|1.06|0.0|0.0|1.11|1.15|1.07|0.0|1.3|0.0|1.03|1.03|1.02|1.03|0.0|0.0|1.01|1.07|0.96|1.14|0.0|0.0|0.0|0.0|1.01|1.07|2.03|0.8119|5457|1266752 7693|MGM|MGM|552953101|US5529531015|MGM Resorts International|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-6|TXN2-6|TXN7-5|TXN2-7|TXN1-5|341580000|||Adhoc|||||1989-12-13||||||| | | | | | | | | |||N|5|Y|Y|128A|USA|US|||40|4050|405010|40501020|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Casinos and Gambling|N||N||||||Y|0|Y||Y|1|||40.34|40.345|0.0|40.65|40.34|40.35|40.35|40.34|0.0|0.0|40.35|40.345|40.35|40.36|40.38|40.35|40.38|40.35|40.355|40.35|40.35|40.36|37.93|43.04|40.35|40.36|40.31|40.39|40.35|40.39|40.35|40.36|51.35|32.43|4936963|1055034649 68329|MGMT|MGMT|90470L550|US90470L5509|Unified Series Trust|Ballast Small/Mid Cap ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Ultimus Fund Solutions (Ballast)|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-4|TXN4-1|TXN8-8|TXN4-1|TXN2-4|3300000|||Yearly|||||2020-12-03||MGMT.NV|MGMT.SO|MGMT.EU|MGMT.TC| | | | | | | | | | ||Small/Mid Cap|N|0|N|N|408A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|35.3899|35.36|0.0|0.0|0.0|0.0|35.34|0.0|0.0|0.0|35.12|35.47|0.0|35.47|35.38|35.5|27.43|43.84|35.39|35.46|27.43|43.84|0.0|0.0|35.39|35.46|37.15|31.15|10536|2794941 43857|MGNI|MGNI|55955D100|US55955D1000|Magnite Inc|COM USD.00001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN6-8|TXN13-4|TXN5-3|TXN6-8|137850000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101010|10101020|Technology|Technology|Software and Computer Services|Consumer Digital Services |N||N||||||Y|0|Y||||||8.565|8.56|0.0|0.0|8.57|8.565|8.57|8.565|0.0|0.0|8.58|8.57|8.56|8.57|8.57|8.585|8.565|8.57|8.57|8.56|8.53|8.66|6.66|10.51|8.53|8.65|8.53|8.6|8.53|8.61|8.56|8.58|15.73|6.28|884446|355379825 42863|MGNX|MGNX|556099109|US5560991094|MacroGenics Inc|COM USD0.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN6-1|TXN11-7|TXN6-4|TXN6-4|62030000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||8.35|8.45|0.0|8.53|8.46|8.46|8.47|8.47|0.0|0.0|8.47|8.45|8.45|8.45|8.27|8.45|8.45|8.47|8.4|8.45|8.37|8.54|6.53|10.3|8.38|8.53|8.44|8.51|8.44|0.0|8.46|8.48|8.65|4.29|446435|134795208 75114|MGOL|MGOL|55317F108|US55317F1084|MGO Global Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-8|TXN6-2|TXN14-5|TXN5-8|TXN5-1|14250000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101010|10101020|Technology|Technology|Software and Computer Services|Consumer Digital Services |N||N||||||N|0|Y|D|||||0.461|0.461|0.0|0.0|0.0|0.461|0.4654|0.4607|0.0|0.0|0.484|0.0|0.4742|0.0|0.0|0.4836|0.0|0.4654|0.0|0.4742|0.3872|0.578|0.3872|0.578|0.4316|0.5161|0.3872|0.578|0.0|0.0|0.4653|0.484|16.61|0.3931|86812|267720329 76107|MGOV|MGOV|33738D838|US33738D8386|First Trust Exchange-Traded Fund IV|First Trust Intermediate Government Opportunities ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||First Trust|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-1|TXN4-4|TXN7-8|TXN4-8|TXN4-4|1000002|||Monthly|||||2023-08-03||MGOV.NV|MGOV.SO|MGOV.EU|MGOV.TC| | | | | | | | | | ||The First Trust Intermediate Government Opportunities ETF seeks to maximize long-term total return.|N|0|N|N|416A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|19.955|19.96|19.955|0.0|0.0|0.0|0.0|0.0|19.93|0.0|0.0|0.0|19.955|0.0|19.955|0.0|0.0|0.0|0.0|19.95|19.96|0.0|0.0|0.0|0.0|19.95|19.96|20.11|18.77|11187|1747653 2528|MGPI|MGPI|55303J106|US55303J1060|MGP Ingredients Inc|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN6-1|TXN11-3|TXN5-1|TXN6-8|22020000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||45|4510|451010|45101015|Consumer Staples |Food, Beverage and Tobacco |Beverages|Distillers and Vintners|N||N||||||Y|0|Y||||||91.08|90.87|0.0|91.23|91.52|91.35|91.55|91.41|0.0|0.0|90.83|0.0|91.53|0.0|90.75|91.41|0.0|91.54|90.61|91.53|90.48|92.25|68.76|110.15|91.07|92.28|91.21|91.75|91.4|91.74|91.4|91.54|124.955|84.9063|183302|26726098 63333|MGR|MGR|008252850||Affiliated Managers Group, Inc.|5.875% Junior Subordinated Notes due 2059|Operating company|G|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN3-8|TXN4-8|TXN3-7|TXN3-1|0|||Quarterly|||||2019-03-29|2059-03-30|||||| | | | | | | | | |||N|0|N|N|416A||US|||50|5020|502040|50204000|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Industrial|N||N||||||N|0|Y||Y|2|||21.64|21.47|0.0|0.0|0.0|21.53|21.51|21.47|0.0|0.0|21.6|21.84|21.55|0.0|0.0|21.59|0.0|21.55|0.0|21.59|21.53|21.63|0.0|0.0|21.38|21.99|0.0|0.0|0.0|0.0|21.53|21.63|25.48|19.43|37921|5151413 67685|MGRB|MGRB|008252843|US0082528433|Affiliated Managers Group, Inc.|4.750% Junior Subordinated Notes due 2060|Operating company|G|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN4-2|TXN2-8|TXN1-5|TXN1-8|11000000|||Quarterly|||||2020-09-29|2060-09-30|||||| | | | | | | | | |||N|0|N|N|416A||US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|17.37|0.0|0.0|17.49|17.35|17.4033|17.38|0.0|0.0|17.45|0.0|17.45|17.49|0.0|17.45|17.39|17.36|0.0|17.45|17.26|17.46|17.39|17.52|16.91|17.86|0.0|0.0|0.0|0.0|17.26|17.46|20.38|15.8315|22335|5498077 2529|MGRC|MGRC|580589109|US5805891091|McGrath RentCorp|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN5-8|TXN10-2|TXN5-1|TXN5-4|24490000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502060|50206050|Industrials|Industrial Goods and Services|Industrial Transportation|Commercial Vehicle-Equipment Leasing|N||N||||||N|0|Y||||||102.51|102.58|0.0|102.26|102.5|102.51|102.345|102.59|0.0|0.0|102.68|0.0|102.35|102.51|102.38|102.65|0.0|102.35|0.0|102.35|101.51|103.63|79.8|126.68|101.59|102.35|102.04|102.65|102.05|102.75|102.27|102.35|111.7|85.63|91529|26276407 71230|MGRD|MGRD|008252835|US0082528359|Affiliated Managers Group, Inc.|4.200% Junior Subordinated Notes due 2061|Operating company|G|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN1-8|TXN5-8|TXN2-6|TXN3-4|8000000|||Quarterly|||||2021-07-23|2061-09-30|||||| | | | | | | | | |||N|0|N|N|416A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||15.83|15.8|0.0|0.0|0.0|15.81|15.8999|15.98|0.0|0.0|0.0|0.0|15.78|0.0|0.0|15.86|0.0|15.78|0.0|15.86|15.74|15.86|0.0|0.0|15.48|16.18|0.0|0.0|0.0|0.0|15.74|15.86|18.19|14.26|41384|2236637 75731|MGRM|MGRM|609786108|US6097861081|Monogram Orthopaedics Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN6-6|TXN13-4|TXN6-6|TXN6-5|31130000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||N|0|Y|C|||||3.57|3.38|0.0|0.0|0.0|3.36|3.3569|3.36|0.0|0.0|3.33|3.6|3.33|0.0|0.0|0.0|0.0|3.33|0.0|3.33|2.6|4.16|2.6|4.16|3.11|3.4|2.6|4.16|0.0|0.0|3.33|3.36|48.99|2.46|72917|20161163 75457|MGRX|MGRX|56270V106|US56270V1061|Mangoceuticals Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-2|TXN5-1|TXN12-6|TXN6-4|TXN5-1|17040000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103015|Health Care |Health Care |Pharmaceuticals and Biotechnology|Pharmaceuticals |N||N||||||N|0|Y|C|||||0.699|0.7499|0.0|0.0|0.72|0.69|0.710409|0.699|0.0|0.0|0.69|0.65|0.687|0.63|0.0|0.0|0.0|0.710409|0.0|0.687|0.536|0.84|0.536|0.84|0.6348|0.7691|0.536|0.84|0.0|0.0|0.686|0.716|4.37|0.42|212628|221003298 61097|MGTX|MGTX|G59665102|KYG596651029|Meiragtx Holdings plc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN6-3|TXN13-4|TXN6-3|TXN6-6|63600000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||5.27|5.22|0.0|5.27|5.24|5.225|5.22|5.225|0.0|0.0|5.28|0.0|5.22|5.28|5.26|5.21|5.26|5.225|5.51|5.22|5.13|5.34|4.07|6.49|5.13|5.32|5.19|5.26|5.18|5.25|5.22|5.23|8.77|3.49|127228|45669326 26611|MGV|MGV|921910840|US9219108407|Vanguard World Funds|Vanguard Mega Cap Value ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Vanguard|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-6|TXN3-2|TXN8-7|TXN1-1|TXN1-5|58641054|||Quarterly|||||2007-12-21||MGV.NV|MGV.SO|MGV.EU|MGV.TC|MGV.IV| | | | | | | | | |1x|The fund employs a passive managementor indexinginvestment approach designed to track the performance of the MSCI US Large-Cap Value Index, which represents the value companies of the MSCI US Large-Cap 300 Index. The fund attempts to replicate the target index by investing all, or substantially all, of its assets in the stocks that make up the index, holding each stock in approximately the same proportion as its weighting in the index.|N|0|N|N|406C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||105.95|105.95|0.0|0.0|105.95|105.95|105.97|105.96|0.0|0.0|105.92|106.0|105.95|105.95|105.87|105.95|0.0|105.95|105.35|105.95|105.75|106.14|105.78|106.07|105.92|105.95|105.86|106.0|105.86|106.05|105.92|105.95|107.86|96.1237|152389|41893174 58819|MGY|MGY|559663109|US5596631094|Magnolia Oil & Gas Corporation|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|A|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-4|TXN1-5|TXN5-6|TXN3-3|TXN1-2|185220000|||Quarterly|||||2017-06-26||||||| | | | | | | | | |||N|0|N|Y|408A|USA|US|||60|6010|601010|60101010|Energy|Energy|Oil, Gas and Coal|Oil: Crude Producers|N||N||||||Y|0|Y||Y|2|||21.4|21.395|0.0|0.0|21.4|21.395|21.381|21.395|0.0|0.0|21.395|21.395|21.38|21.39|21.435|21.39|21.41|21.39|21.395|21.39|21.38|21.39|16.5|26.26|21.37|21.42|20.42|22.56|21.35|21.43|21.38|21.39|26.37|18.72|2801764|457215713 15995|MGYR|MGYR|55977T208|US55977T2087|Magyar Bancorp Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN5-6|TXN14-6|TXN5-5|TXN5-7|6660000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|9.85|9.85|9.85|0.0|0.0|0.0|0.0|9.96|9.85|0.0|0.0|0.0|9.85|0.0|9.85|0.0|0.0|0.0|0.0|9.32|10.37|0.0|0.0|0.0|0.0|9.77|9.98|13.25|9.0001|4152|903298 7701|MHD|MHD|09253N104|US09253N1046|BlackRock MuniHoldings Fund, Inc.|Common Stock|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN2-3|TXN4-8|TXN2-2|TXN2-4|53360000|||Monthly|||||1997-05-06||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||11.63|11.555|0.0|0.0|11.55|11.56|11.56|11.56|0.0|0.0|11.56|11.56|11.555|11.55|0.0|11.55|11.55|11.555|0.0|11.55|11.55|11.56|8.91|14.21|10.81|12.35|11.52|11.59|11.54|11.57|11.55|11.56|12.54|9.92|219666|28131851 7703|MHF|MHF|95766N103|US95766N1037|Western Asset Municipal High Income Fund Inc.|Common Stock|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN2-7|TXN7-8|TXN3-8|TXN4-2|21650000|||Monthly|||||1988-11-18||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||0.0|6.37|0.0|0.0|0.0|6.38|6.38|6.385|0.0|0.0|6.39|0.0|6.38|0.0|0.0|6.38|6.39|6.38|0.0|6.38|6.37|6.38|4.9|7.81|5.92|6.8|6.34|6.41|0.0|0.0|6.37|6.38|6.9|5.92|42251|10024714 28849|MHH|MHH|57633B100|US57633B1008|Mastech Digital, Inc.|Common Stock|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Brendan E. Cryan and Company, L.L.C.|CRYN|0235|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-1|TXN3-4|TXN3-8|TXN3-5|TXN2-6|11600000|||Adhoc|||||2008-09-16||||||| | | | | | | | | |||N|0|N|N|108A|USA|US|||10|1010|101010|10101010|Technology|Technology|Software and Computer Services|Computer Services|N||N||||||N|0|Y||Y|2|||0.0|8.39|0.0|0.0|0.0|8.4|8.33|8.37|0.0|0.0|8.5|0.0|8.4|0.0|0.0|8.31|8.4|8.4|0.0|8.4|7.92|13.1|8.25|8.57|8.16|8.74|0.0|0.0|0.0|0.0|8.25|8.57|14.1564|7.5|15642|5748704 7705|MHI|MHI|723763108|US7237631087|Pioneer Municipal High Income Fund, Inc.|Common Shares|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN4-3|TXN5-8|TXN2-7|TXN4-5|22770000|||Monthly|||||2003-07-18||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||8.2|8.2|0.0|0.0|8.19|8.205|8.1991|8.205|0.0|0.0|8.2|8.2|8.205|8.19|0.0|8.19|8.32|8.19|0.0|8.19|8.19|8.21|6.36|10.16|7.67|8.76|8.17|8.23|8.18|8.21|8.19|8.21|9.53|6.93|76710|22038217 7707|MHK|MHK|608190104|US6081901042|Mohawk Industries, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-4|TXN3-7|TXN9-8|TXN3-7|TXN3-3|63680000|||NotApplicable|||||1997-12-16||||||| | | | | | | | | |||N|5|Y|Y|180A|USA|US|||50|5010|501010|50101035|Industrials|Construction and Materials|Construction and Materials |Building Materials: Other|N||N||||||Y|0|Y||Y|1|||91.92|91.9|0.0|92.04|91.93|91.91|91.91|91.9|0.0|0.0|91.94|91.96|91.905|92.85|91.96|91.89|92.0|91.89|91.9|91.89|91.89|91.9|86.48|97.64|91.7|91.96|91.78|92.05|91.77|92.07|91.89|91.9|130.63|76.02|846173|158586577 53340|MHLA|MHLA|560292302|US5602923022|Maiden Holdings North America, Ltd.|6.625% Notes due 2046|Operating company|G|N|N|N|Y|Y|Y|Y|Y|6|H|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN1-4|TXN8-8|TXN1-3|TXN2-7|4400000|||Quarterly|||||2016-06-15|2046-06-14|||||| | | | | | | | | |||N|0|N|N|410A||US|||||||||||N||N||||||N|0|Y||Y|2|||17.0|0.0|0.0|0.0|0.0|17.0|17.0002|17.02|0.0|0.0|17.0|0.0|17.04|0.0|0.0|17.23|0.0|17.23|0.0|17.23|17.0|17.33|0.0|0.0|17.0|17.68|0.0|0.0|0.0|0.0|17.0|17.33|18.67|13.57|7102|741363 27862|MHLD|MHLD|G5753U112|BMG5753U1128|Maiden Holdings Ltd|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN5-5|TXN12-7|TXN6-5|TXN6-6|100940000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||BMU||||30|3030|303020|30302020|Financials|Insurance|Non-life Insurance|Reinsurance|N||N||||||Y|0|Y||||||1.98|1.98|0.0|0.0|1.98|1.965|1.96|1.945|0.0|0.0|1.97|1.97|1.97|1.965|1.96|1.975|0.0|1.96|1.965|1.97|1.95|2.02|1.51|2.35|1.95|1.97|1.94|1.99|1.93|2.0|1.96|1.97|2.64|1.49|206582|42135406 7710|MHN|MHN|09255C106|US09255C1062|BlackRock MuniHoldings New York Quality Fund, Inc.|Common Stock|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN3-8|TXN2-8|TXN1-4|TXN4-7|31130000|||Monthly|||||1997-09-22||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||10.38|10.33|0.0|10.33|10.17|10.3|10.3|10.305|0.0|0.0|10.33|0.0|10.3|10.3|0.0|10.31|10.35|10.29|0.0|10.31|10.28|10.31|7.93|12.65|9.69|11.04|10.26|10.34|10.28|10.32|10.28|10.31|11.19|8.69|44696|13426527 43216|MHNC|MHNC|56029Q408|US56029Q4082|Maiden Holdings North America, Ltd.|7.75% Notes due 2043|Operating company|G|N|N|N|Y|Y|Y|Y|Y|6|H|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN2-6|TXN2-8|TXN2-1|TXN1-8|6100000|||Quarterly|||||2013-11-27|2043-12-01|||||| | | | | | | | | |||N|0|N|N|410A||US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|19.26|0.0|0.0|0.0|19.28|19.31|19.145|0.0|0.0|19.25|0.0|19.26|19.26|17.05125|19.14|17.675625|19.14|17.6|19.14|19.0|19.45|0.0|0.0|18.99|19.38|0.0|0.0|0.0|0.0|19.0|19.45|19.96|14.84|9973|1627058 7711|MHO|MHO|55305B101|US55305B1017|M/I Homes, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN1-7|TXN3-8|TXN4-7|TXN2-3|27850000|||NotApplicable|||||1993-11-03||||||| | | | | | | | | |||N|0|N|Y|110A|USA|US|||40|4020|402020|40202010|Consumer Discretionary|Consumer Products and Services|Household Goods and Home Construction|Home Construction|N||N||||||Y|0|Y||Y|2|||109.99|109.96|0.0|110.11|110.03|110.08|110.05|109.985|0.0|0.0|110.25|109.0|109.95|108.81|108.74|110.1|108.45|110.1|108.44|110.1|110.1|110.15|83.77|132.91|109.16|111.0|109.77|110.26|109.9|110.28|110.1|110.15|110.45|42.97|327405|70700734 73497|MHUA|MHUA|G5966G108|KYG5966G1082|Meihua International Medical Technologies Co Ltd|ORD SHS||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN6-3|TXN10-8|TXN6-5|TXN5-1|23940000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||20|2010|201020|20102015|Health Care |Health Care |Medical Equipment and Services|Medical Supplies|N||N||||||N|0|Y||||||1.77|1.745|0.0|0.0|1.76|1.745|1.72|1.74|0.0|0.0|1.7|1.71|1.72|0.0|1.73|0.0|0.0|1.72|0.0|1.72|1.37|2.14|1.37|2.14|1.62|1.88|1.37|2.14|0.0|0.0|1.71|1.78|45.49|1.46|206802|20978716 56892|MI|MI|G6363T107|KYG6363T1076|NFT Limited|Class A Ordinary Share|Operating company|A|N|Y|A|Y|Y|Y|Y|Y|||Brendan E. 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USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN6-1|TXN12-6|TXN5-1|TXN6-5|1380000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||60|6010|601010|60101030|Energy|Energy|Oil, Gas and Coal|Oil Equipment and Services|N||N||||||N|0|Y||||||5.19|0.0|0.0|0.0|0.0|5.2|5.2248|0.0|0.0|0.0|0.0|0.0|5.285|0.0|0.0|0.0|0.0|5.23|0.0|5.23|3.95|6.42|0.0|0.0|5.01|5.63|3.95|6.42|0.0|0.0|5.22|5.36|7.83|0.37|4507|20503693 53333|MINDP|MINDP|602566200|US6025662007|Mind Technology Inc|PFD SER A||B|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN5-8|TXN12-6|TXN5-3|TXN5-7|1680000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|12.05|11.9|0.0|0.0|0.0|0.0|0.0|12.0|0.0|0.0|0.0|0.0|12.05|0.0|12.05|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|11.9|12.05|14.0|5.15|3570|1174975 31799|MINM|MINM|60365W201|US60365W2017|Minim Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN5-3|TXN10-7|TXN6-7|TXN6-5|1900000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||15|1510|151010|15101010|Telecommunications|Telecommunications|Telecommunications Equipment|Telecommunications Equipment|N||N||||||N|0|Y|C|||||3.17|3.72|0.0|2.7|3.87|3.75|3.7544|3.745|0.0|0.0|3.75|3.75|3.8|3.31|4.4|3.8|3.81|3.75|3.77|3.8|2.91|4.7|2.91|4.7|3.72|3.85|2.91|4.7|0.0|0.0|3.75|3.8|14.0|0.0815|3739502|266417172 69610|MINN|MINN|89834G836|US89834G8362|Mairs & Power Minnesota Municipal Bond ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-8|TXN2-2|TXN6-8|TXN3-3|TXN1-7|820000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|21.98|0.0|0.0|0.0|0.0|22.015|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|21.98|0.0|21.98|0.0|0.0|0.0|0.0|21.96|22.07|0.0|0.0|0.0|0.0|21.78|22.07|22.665|20.39|2018|513556 71605|MINO|MINO|72201R635|US72201R6356|PIMCO ETF Trust|PIMCO Municipal Income Opportunities Active Exchange-Traded Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||PIMCO|Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-7|TXN1-3|TXN4-8|TXN1-6|TXN2-5|2200000|||Monthly|||||2021-09-09||MINO.NV|MINO.SO|MINO.EU|MINO.TC|MINO.IV| | | | | | | | | |1x|The Fund seeks current income exempt from federal income tax and long-term capital appreciation.The Fund seeks to achieve its investment objective by investing under normal circumstances at least 80% of its assets in debt securities whose interest is, in the opinion of bond counsel for the issuer at the time of issuance, exempt from federal income tax (Municipal Bonds). Municipal Bonds generally are issued by or on behalf of states and local governments and their agencies, authorities and other instrumentalities.The Funds benchmark is the Bloomberg Municipal Bond Index consists of a broad selection of investment-grade general obligation and revenue bonds of maturities ranging from one year to 30 years. It is an unmanaged index representative of the tax-exempt bond market. The index is made up of all investment grade municipal bonds issued after 12/31/90 having a remaining maturity of at least one year.|N|0|N|N|416A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||44.49|44.49|0.0|0.0|44.54|44.51|44.54|44.5|0.0|0.0|44.48|43.278|44.53|44.54|44.48|44.52|0.0|44.53|0.0|44.53|0.0|0.0|0.0|0.0|44.48|44.55|0.0|0.0|0.0|0.0|44.48|44.55|45.14|42.03|35595|3506618 31855|MINT|MINT|72201R833|US72201R8337|PIMCO ETF Trust|PIMCO Enhanced Short Maturity Active Exchange-Traded Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||PIMCO|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-6|TXN1-2|TXN3-8|TXN1-7|TXN1-3|101880000|||Monthly|||||2009-11-16||MINT.NV|MINT.SO|MINT.EU|MINT.TC|MINT.IV| | | | | | | | | ||PIMCO Enhanced Short Maturity Strategy Fund (MINT) seeks maximum current income, consistent with preservation of capital and daily liquidity. The funds focus is on short maturity Fixed Income Instruments. The Fund seeks to achieve its investment objective by investing under normal circumstances at least 65% of its total assets in a diversified portfolio of Fixed Income Instruments of varying maturities, which may be represented by forwards. Fixed Income Instruments include bonds, debt securities and other similar instruments issued by various U.S. and non-U.S. public- or private-sector entities. The average portfolio duration of this Fund will vary based on Pacific Investment Management Company LLCs (PIMCO) forecast for interest rates and will normally not exceed one year. Duration is a measure used to determine the sensitivity of a securitys price to changes in interest rates. The longer a securitys duration, the more sensitive it will be to changes in interest rates. The dollar-weighted average portfolio maturity of the Fund is normally not expected to exceed three years.|N|0|N|N|416A|USA|US|FIXED_INCOME|ACTIVE|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||99.78|99.78|0.0|99.77|99.78|99.77|99.77|99.77|0.0|0.0|99.77|99.77|99.78|99.78|99.77|99.77|99.77|99.76|99.77|99.76|94.79|99.78|99.68|99.91|99.77|99.78|99.68|99.91|99.68|99.91|99.77|99.78|100.19|98.58|2344051|236201796 74271|MINV|MINV|577125826|US5771258267|Matthews International Funds|Matthews Asia Innovators Active ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Matthews Asia|Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN4-8|TXN4-8|TXN4-5|TXN4-6|3600000|||Yearly|||||2022-07-14||MINV.NV|MINV.SO|MINV.EU|MINV.TC|MINV.IV| | | | | | | | | ||Fund seeks long-term captial appreciation by investing at least 80% of its net assets, which include borrowings for investment purposes, in the common and preferred stocks of companies located in Asia that Matthews believes are innovators in their products, services, processes, business models, management, use of technology, or approach to creating, expanding or servicing their markets. The Fund seeks to invest in companies capable of sustainable growth based on the fundamental characteristics of those companies, including balance sheet information; number of employees; size and stability of cash flow; managements depth, adaptability and integrity; product lines; marketing strategies; corporate governance; and financial health.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|22.8699|0.0|0.0|0.0|0.0|0.0|0.0|22.801|0.0|0.0|0.0|22.8539|0.0|22.8539|0.0|0.0|0.0|0.0|22.83|22.87|0.0|0.0|0.0|0.0|22.83|22.87|29.27|21.3922|6164|5968542 71350|MIO|MIO|723760104|US7237601049|Pioneer Municipal High Income Opportunities Fund, Inc.|Common Stock|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|H|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN2-2|TXN7-8|TXN3-1|TXN2-8|16890000|||Monthly|||||2021-08-06||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||10.33|10.285|0.0|0.0|10.28|10.22|10.21|10.22|0.0|0.0|10.23|10.05|10.26|0.0|0.0|10.21|0.0|10.21|0.0|10.21|10.21|10.24|7.95|12.77|9.55|10.99|10.19|10.27|0.0|0.0|10.21|10.25|11.86|9.18|53309|9876488 67295|MIR|MIR|60471A101|US60471A1016|Mirion Technologies, Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-4|TXN1-1|TXN2-4|TXN4-3|TXN3-6|217970000|||NotApplicable|||||2020-08-20||||||| | | | | | | | | |||N|0|N|Y|408A|USA|US|||50|5020|502020|50202025|Industrials|Industrial Goods and Services|Electronic and Electrical Equipment|Electronic Equipment: Gauges and Meters|N||N||||||Y|0|Y||Y|2|||9.11|9.1|0.0|9.03|9.11|9.1|9.095|9.095|0.0|0.0|9.1|9.09|9.095|9.08|9.05|9.11|9.07|9.11|9.11|9.11|9.1|9.11|7.04|11.14|9.07|9.12|9.07|10.69|9.06|9.13|9.1|9.11|9.53|5.59|873480|296454848 67296|MIR WS|MIR.WS|60471A119|US60471A1198|Mirion Technologies, Inc.|Redeemable Warrants, each whole warrant exercisable for one share of Class A common stock at an exercise price of $11.50|Operating company|C|N|N|N|Y|Y|Y|Y|Y|5|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN1-1|TXN8-8|TXN2-5|TXN2-6|217960000|||NotApplicable|||||2020-08-20|2026-10-20|||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||||||||||N||N||||||N|0|Y||N||||0.0|1.62|0.0|0.0|1.52|1.58|1.56|1.57|0.0|0.0|1.62|0.0|1.62|1.53|0.0|1.62|0.0|1.62|0.0|1.62|1.56|1.64|0.0|0.0|1.55|1.74|0.0|0.0|0.0|0.0|1.56|1.65|2.25|0.7499|30989|6787615 76089|MIRA|MIRA|60458C104|US60458C1045|MIRA Pharmaceuticals Inc|COM USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN5-6|TXN13-3|TXN6-7|TXN5-8|14780000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||3.76|3.69|0.0|0.0|3.87|3.69|3.57|3.8|0.0|0.0|3.74|3.98|3.6|3.92|3.8|4.115|0.0|3.57|4.07|3.6|2.78|4.54|2.78|4.54|3.33|3.71|2.78|4.54|0.0|0.0|3.54|3.71|7.9799|1.33|803501|14229525 64086|MIRM|MIRM|604749101|US6047491013|Mirum Pharmaceuticals Inc|COM USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN6-1|TXN13-4|TXN5-2|TXN5-2|46610000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||31.72|31.69|0.0|31.73|31.72|31.73|31.72|31.71|0.0|0.0|31.72|31.73|31.7|31.71|31.83|31.71|31.71|31.72|31.74|31.7|31.38|32.01|24.7|38.69|31.45|32.02|31.62|31.8|31.61|31.81|31.71|31.73|33.3934|17.49|644779|115100927 70964|MIRO|MIRO|60471P108|US60471P1084|Miromatrix Medical Inc|COM USD.00001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN6-4|TXN12-1|TXN6-5|TXN6-7|27420000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||3.4|3.39|0.0|0.0|3.4|3.39|3.395|0.0|0.0|0.0|0.0|3.39|3.4|0.0|0.0|3.385|3.4|3.4|0.0|3.4|3.27|3.5|0.0|0.0|3.35|3.49|2.68|4.08|3.36|3.43|3.39|3.4|4.35|0.906499|13860|17900267 74791|MISL|MISL|33733E831|US33733E8315|First Trust Exchange-Traded Fund|First Trust Indxx Aerospace & Defense ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||First Trust|Old Mission Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-1|TXN2-2|TXN8-8|TXN3-4|TXN4-8|2250002|||Quarterly|||||2022-10-26||MISL.NV|MISL.SO|MISL.EU|MISL.TC| | | | | | | | | | |1x|The First Trust Indxx Aerospace & Defense ETF (the Fund) seeks investment results that correspond generally to the price and yield (before the Funds fees and expenses) of an equity index called the Indxx US Aerospace & Defense Index (the Index).|N|0|N|N|406C|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|24.93|24.23|0.0|0.0|24.24|0.0|24.81|0.0|0.0|0.0|24.79|24.9447|0.0|24.9447|0.0|0.0|24.88|24.92|24.93|24.99|20.0|27.03|0.0|0.0|24.93|24.99|24.9447|21.23|7411|3236497 63594|MIST|MIST|59935V107|CA59935V1076|Milestone Pharmaceuticals USA Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN5-6|TXN10-6|TXN6-2|TXN5-8|33480000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CAN||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||3.39|3.43|0.0|0.0|3.39|3.39|3.4|3.39|0.0|0.0|3.45|3.47|3.39|3.46|0.0|3.45|0.0|3.39|3.46|3.39|2.69|3.9|2.62|4.25|3.17|3.67|3.34|3.5|3.33|3.51|3.39|3.46|4.88|2.12|142823|29030547 71425|MITA|MITA|G2263T123|KYG2263T1233|Coliseum Acquisition Corp|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN6-2|TXN14-8|TXN6-2|TXN5-6|9630000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.5|11.36|0.0|0.0|0.0|0.0|10.62|10.7|11.8|9.975|0|28008114 70949|MITAU|MITAU|G2263T115|KYG2263T1159|Coliseum Acquisition Corp|UNITS||R|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN6-4|TXN13-8|TXN5-2|TXN5-5|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|10.55|0.0|0.0|0.0|0.0|0.0|10.55|0.0|0.0|0.0|0.0|10.55|0.0|10.55|0.0|0.0|0.0|0.0|10.55|11.6|0.0|0.0|0.0|0.0|10.62|11.6|11.41|9.9|200|658034 71426|MITAW|MITAW|G2263T107|KYG2263T1076|Coliseum Acquisition Corp|WT EXP 082228||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-5|TXN6-5|TXN13-8|TXN6-4|TXN5-2|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.055|0.0|0.0|0.0|0.0|0.0|0.055|0.0|0.0|0.0|0.0|0.055|0.0|0.055|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0385|0.055|0.3363|0.0251|2388|1072944 13285|MITK|MITK|606710200|US6067102003|Mitek Systems Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN6-2|TXN12-3|TXN6-7|TXN5-8|45590000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||||||11.36|11.37|0.0|11.19|11.37|11.37|11.36|11.36|0.0|0.0|11.36|11.36|11.35|11.37|11.27|11.365|11.35|11.36|0.0|11.35|11.25|11.45|8.76|13.83|11.35|11.46|11.33|11.38|11.33|11.38|11.35|11.37|13.98|8.6|248148|79868338 71079|MITQ|MITQ|62464R109|US62464R1095|Moving iMage Technologies, Inc.|Common Stock|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN12-4|TXN4-8|TXN9-8|TXN2-8|TXN3-3|10690000|||NotApplicable|||||2021-07-08||||||| | | | | | | | | |||N|0|N|N|108C|USA|US|||40|4020|402030|40203040|Consumer Discretionary|Consumer Products and Services|Leisure Goods|Electronic Entertainment|N||N||||||N|0|Y||Y|2|||0.89|0.8935|0.0|0.0|0.89|0.9|0.9|0.9|0.0|0.0|0.883|0.883|0.8896|0.0|0.0|0.0|0.883|0.883|0.88|0.883|0.712|1.1|0.88|0.9157|0.8403|0.9201|0.712|1.1|0.0|0.0|0.88|0.9157|1.51|0.7|39911|18179682 38436|MITT|MITT|001228501|US0012285013|AG Mortgage Investment Trust, Inc.|Common Stock|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN1-1|TXN5-8|TXN3-5|TXN1-7|20240000|||Quarterly|||||2011-06-30||||||| | | | | | | | | |||N|0|N|Y|414A|USA|US|||30|3020|302030|30203000|Financials|Financial Services |Mortgage Real Estate Investment Trusts|Mortgage REITs: Diversified|N||N||||||Y|0|Y||Y|2|||5.45|5.45|0.0|0.0|5.45|5.45|5.45|5.46|0.0|0.0|5.44|5.45|5.47|5.45|5.44|5.48|5.44|5.48|5.45|5.48|5.46|5.48|5.44|5.5|5.45|5.51|5.44|5.5|5.43|5.51|5.46|5.48|7.05|4.82|105554|25246313 40521|MITT PRA|MITTpA|001228204|US0012282044|AG Mortgage Investment Trust, Inc.|8.25% Series A Cumulative Redeemable Preferred Stock|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|8|I|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN3-1|TXN9-8|TXN3-6|TXN1-5|1660000|||Quarterly|||||2012-08-07||||||| | | | | | | | | |||N|0|N|N|414A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|18.25|18.2501|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|18.2501|0.0|18.2501|0.0|18.2501|18.25|18.73|0.0|0.0|17.75|22.27|0.0|0.0|0.0|0.0|18.25|18.73|20.35|15.18|819|476212 40789|MITT PRB|MITTpB|001228303|US0012283034|AG Mortgage Investment Trust, Inc.|8.00% Series B Cumulative Redeemable Preferred Stock|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|8|I|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN3-4|TXN4-8|TXN4-3|TXN4-2|3730000|||Quarterly|||||2012-09-28||||||| | | | | | | | | |||N|0|N|N|414A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|17.5|17.51|0.0|0.0|0.0|0.0|0.0|17.5|0.0|0.0|17.5|0.0|17.5|0.0|17.5|17.46|17.69|17.5|17.59|16.25|18.71|0.0|0.0|0.0|0.0|16.62|17.59|18.7281|15.0101|9871|2493958 64617|MITT PRC|MITTpC|001228402|US0012284024|AG Mortgage Investment Trust, Inc.|8.00% Series C Fixed-to-Floating Rate Cumulative Redeemable Preferred Stock, $0.01 par value per share|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|8|I|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN3-6|TXN5-8|TXN4-8|TXN4-8|3730000|||Quarterly|||||2019-09-19||||||| | | | | | | | | |||N|0|N|N|414A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||18.86|0.0|0.0|0.0|0.0|20.6|20.5999|0.0|0.0|0.0|20.55|20.51|20.55|0.0|0.0|20.6|20.6|20.6|18.88|20.6|20.48|20.69|20.48|20.6|19.15|22.06|0.0|0.0|0.0|0.0|20.54|21.72|20.75|16.35|10106|2600534 42479|MIXT|MIXT|60688N102|US60688N1028|MiX Telematics Limited|American depositary shares, each representing 25 ordinary shares|Operating company|H|N|N|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN4-3|TXN4-8|TXN4-7|TXN4-2|607840000|||Quarterly|||||2013-08-09||||||| | | | | | | | | |||N|0|N|Y|108A|USA|ZA|||10|1010|101010|10101010|Technology|Technology|Software and Computer Services|Computer Services|N||N||||||N|0|Y||Y|2|||6.57|6.55|0.0|6.55|6.56|6.56|6.535|6.6|0.0|0.0|6.55|0.0|6.55|6.6|0.0|6.6|0.0|6.59|6.55|6.6|6.55|6.6|5.12|8.08|6.47|6.67|6.51|7.92|6.5|6.62|6.55|6.6|9.17|4.75|58043|8602883 7733|MIY|MIY|09254V105|US09254V1052|BlackRock MuniYield Michigan Quality Fund, Inc.|Common Stock|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN2-8|TXN4-8|TXN2-1|TXN2-1|29230000|||Monthly|||||1992-11-04||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||11.14|11.12|0.0|0.0|11.09|11.14|11.13|11.12|0.0|0.0|11.12|11.08|11.12|11.14|0.0|11.12|11.12|11.11|0.0|11.12|11.11|11.13|8.55|13.6|11.11|11.82|11.09|11.15|11.11|11.15|11.11|11.13|12.04|9.45|99709|14478365 52091|MJ|MJ|26924G508|US26924G5080|ETF Managers Trust|ETFMG Alternative Harvest ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ETF Managers Group|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-5|TXN2-8|TXN4-7|TXN4-6|TXN3-2|68900000|||Quarterly|||||2015-12-03||LARE.NV|LARE.SO|LARE.EU|LARE.TC|LARE.IV| | | | | | | | | |1x|The Solactive Latin America Real Estate Index provides a benchmark for investors interested in tracking companies actively involved in the Latin America real estate industry and who derive the majority of their revenues from the operation of real estate and real estate services in the Latin America region.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||3.37|3.37|0.0|0.0|3.37|3.37|3.37|3.38|0.0|0.0|3.37|3.38|3.37|3.36|3.37|3.37|3.385|3.36|3.375|3.36|3.35|3.37|3.13|3.58|3.36|3.37|3.17|3.55|3.28|3.4|3.36|3.37|6.635|2.64|5994772|440449083 70582|MJUS|MJUS|26924G755|US26924G7557|ETF Managers Trust|ETFMG U.S. Alternative Harvest ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ETF Managers Group|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-4|TXN2-3|TXN1-5|TXN3-2|TXN2-7|73830000|||Quarterly|||||2021-05-13||MJUS.NV|MJUS.SO|MJUS.EU|MJUS.TC| | | | | | | | | | |1x|The Fund seeks to achieve its investment objective by investing, under normal circumstances, at least 80% of its net assets (plus any borrowings for investment purposes) in securities of companies that derive at least 50% of their net revenue from the Cannabis Business (as defined below) in the United States, and in derivatives that have economic characteristics similar to such securities. The Cannabis Business is defined as: (i) cultivating, producing, marketing or distributing Cannabis, including industrial hemp (ii) producing, marketing or distributing products containing Cannabis-derived products, (iii) producing, processing, marketing, transporting or distributing prescription drugs, supplements, or food products that include Cannabisderived products, or (iv) providing products or services designed for, or used by, companies in the Cannabis industry, including technology, real estate or financial services.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|1.69|0.0|0.0|0.0|1.68|1.6802|1.64|0.0|0.0|1.69|0.0|1.69|0.0|0.0|1.7|1.71|1.685|0.0|1.685|1.56|1.8|1.69|1.72|1.68|1.69|1.56|1.8|1.68|1.72|1.67|1.69|3.31|1.29|52667|85243873 75594|MKAM|MKAM|02072L490|US02072L4905|MKAM ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN5-7|TXN10-7|TXN5-7|TXN6-4|210000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|26.0416|0.0|0.0|0.0|0.0|0.0|0.0|26.0416|0.0|0.0|0.0|0.0|25.76|26.31|0.0|0.0|0.0|0.0|25.95|26.12|26.5225|24.8446|0|288921 7751|MKC|MKC|579780206|US5797802064|McCormick & Company, Incorporated|Common Stock (Non-Voting)|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN2-1|TXN3-8|TXN3-2|TXN3-2|251290000|||Quarterly|||||1999-05-25||||||| | | | | | | | | |||N|5|Y|Y|118C|USA|US|||45|4510|451020|45102020|Consumer Staples |Food, Beverage and Tobacco |Food Producers|Food Products|N||N||||||Y|0|Y||Y|1|||66.81|66.79|0.0|65.92|66.78|66.79|66.79|66.82|0.0|0.0|66.82|66.83|66.79|66.81|66.72|66.79|66.73|66.8|66.81|66.79|66.78|66.79|62.41|70.76|66.76|66.84|66.75|66.89|66.71|66.87|66.78|66.79|94.39|59.13|2029262|373983774 7752|MKC V|MKC.V|579780107|US5797801074|McCormick & Company, Incorporated|Common Stock (Voting)|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN4-8|TXN4-8|TXN4-5|TXN1-5|17040000|||Quarterly|||||2001-09-17||||||| | | | | | | | | |||N|0|N|Y|118C|USA|US|||45|4510|451020|45102020|Consumer Staples |Food, Beverage and Tobacco |Food Producers|Food Products|N||N||||||N|0|Y||Y|2|||63.7|0.0|0.0|0.0|63.7|66.2|64.49|0.0|0.0|0.0|0.0|0.0|66.2|0.0|0.0|66.2|0.0|66.2|0.0|66.2|64.0|67.0|0.0|0.0|62.12|69.68|0.0|0.0|0.0|0.0|65.79|67.0|94.97|59.12|812|464130 67807|MKFG|MKFG|57064N102|US57064N1028|Markforged Holding Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|Q|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN8-8|TXN2-3|TXN8-8|TXN1-6|TXN3-2|198420000|||NotApplicable|||||2020-10-08||||||| | | | | | | | | |||N|0|N|Y|408A|USA|KY|||50|5020|502040|50204000|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Industrial|N||N||||||Y|2|Y||Y|2|||0.7288|0.7293|0.0|0.0|0.73|0.7293|0.7388|0.7341|0.0|0.0|0.7293|0.7387|0.73|0.0|0.7277|0.7488|0.0|0.7388|0.7395|0.7488|0.7301|0.7388|0.5704|0.864|0.7142|0.7545|0.7056|0.7609|0.7069|0.76|0.7301|0.7388|2.298|0.62|402316|240787143 67808|MKFG WS|MKFG.WS|57064N110|US57064N1101|Markforged Holding Corporation|Warrants, each whole warrant exercisable for one share of Common Stock at an exercise price of $11.50|Operating company|C|N|N|N|Y|Y|Y|Y|Y|6|Q|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN3-8|TXN3-7|TXN4-8|TXN1-1|TXN2-4|197610000|||NotApplicable|||||2020-10-08||||||| | | | | | | | | |||N|0|N|N|408A|USA|KY|||||||||||N||N||||||N|2|Y|D|N||||0.0|0.0|0.0|0.0|0.0|0.0|0.0608|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0608|0.0|0.0608|0.0|0.0608|0.046|0.059|0.0|0.0|0.043|0.0629|0.0|0.0|0.0|0.0|0.046|0.059|0.2825|0.032|751|4349647 7756|MKL|MKL|570535104|US5705351048|Markel Group Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|4|0.01|0.01|5000000|1|10|TXN7-8|TXN2-7|TXN6-8|TXN3-2|TXN2-7|13220000|||NotApplicable|||||1997-06-11||||||| | | | | | | | | |||N|0|Y|Y|410A|USA|US|||30|3030|303020|30302025|Financials|Insurance|Non-life Insurance|Property and Casualty Insurance|N||N||||||Y|0|Y||Y|1|||1410.47|1408.95|0.0|1415.05|1409.73|1408.7|1410.15|1409.73|0.0|0.0|1409.45|1409.65|1409.0|1410.36|1410.28|1410.17|1410.28|1409.73|1409.9|1410.17|1408.98|1408.99|1326.57|1499.88|1406.55|1411.53|1341.69|1499.88|0.0|0.0|1408.98|1408.99|1560.0|1186.5603|88089|9847144 76019|MKOR|MKOR|577125784|US5771257848|Matthews International Funds|Matthews Korea Active ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Matthews Asia|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-3|TXN1-6|TXN9-8|TXN2-1|TXN2-2|2613223|||Yearly|||||2023-07-17||MKOR.NV|MKOR.SO|MKOR.EU|MKOR.TC| | | | | | | | | | ||Fund seeks long-term capital appreciation by investing at least 80% of its net assets, which include borrowings for investment purposes, in the common and preferred stocks of companies located in South Korea. The Fund seeks to invest in companies capable of sustainable growth based on the fundamental characteristics of those companies, including balance sheet information; number of employees; size and stability of cash flow; managements depth, adaptability and integrity; product lines; marketing strategies; corporate governance; and financial health.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|24.14|24.655|0.0|0.0|24.17|0.0|0.0|0.0|0.0|0.0|0.0|24.15|0.0|24.15|0.0|0.0|0.0|0.0|24.15|24.22|0.0|0.0|0.0|0.0|24.15|24.22|26.57|22.02|8747|561174 2552|MKSI|MKSI|55306N104|US55306N1046|MKS Instruments Inc|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN6-8|TXN13-1|TXN5-8|TXN5-4|66880000|||NotApplicable|||||||||||| | | | 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Providers|N||N||||||Y|0|Y||||||3.15|3.21|0.0|0.0|3.16|3.2|3.19|3.19|0.0|0.0|3.2|3.15|3.19|3.27|3.19|3.15|3.19|3.21|0.0|3.19|3.13|3.29|2.47|3.89|3.15|3.24|3.16|3.24|3.16|3.24|3.19|3.2|3.62|1.24|177585|29406364 2555|MKTX|MKTX|57060D108|US57060D1081|MarketAxess Holdings Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN5-4|TXN10-7|TXN5-3|TXN6-5|37910000|||NotApplicable|||||||||||| | | | | | | | | |||N|5|Y|N||USA||||30|3020|302020|30202015|Financials|Financial Services |Investment Banking and Brokerage Services |Investment Services|N||N||||||Y|0|Y||||||238.57|237.8|0.0|237.99|238.36|238.62|238.53|238.49|0.0|0.0|238.0|239.24|238.56|238.6|238.84|238.05|238.64|238.49|238.04|238.56|236.69|240.14|225.11|254.66|236.77|238.7|237.96|239.1|0.0|0.0|238.45|238.56|399.78|200.01|364883|89471478 67231|ML|ML|60938K304|US60938K3041|MoneyLion Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN1-2|TXN7-8|TXN1-7|TXN3-5|10280000|||NotApplicable|||||2020-08-14||||||| | | | | | | | | |||N|0|N|Y|408A|USA|US|||50|5020|502050|50205015|Industrials|Industrial Goods and Services|Industrial Support Services|Transaction Processing 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Meters|N||N||||||N|0|Y||||||95.45|95.49|0.0|91.65|95.3|95.39|95.07|95.51|0.0|0.0|0.0|0.0|95.49|0.0|94.82|93.85|0.0|95.07|0.0|95.49|93.39|97.68|72.17|116.33|93.74|97.34|94.29|96.58|95.05|95.49|95.05|95.49|206.36|82.86|58984|10979357 18479|MLCO|MLCO|585464100|US5854641009|Melco Resorts & Entertainment Ltd|ADR NPV||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN5-4|TXN12-6|TXN6-5|TXN6-3|1329680000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||HKG||||40|4050|405010|40501020|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Casinos and Gambling|N||N||||||Y|0|Y||||||7.16|7.16|0.0|7.08|7.14|7.16|7.15|7.145|0.0|0.0|7.145|7.14|7.16|7.145|7.14|7.14|7.145|7.16|7.14|7.16|7.16|7.19|5.64|8.85|7.16|7.19|6.84|7.19|0.0|7.2|7.16|7.17|14.455|6.8|4838355|721742150 75062|MLEC|MLEC|L64875104|LU2559000059|Moolec Science SA|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN5-2|TXN10-2|TXN5-7|TXN5-3|37560000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||LUX||||45|4510|451020|45102030|Consumer Staples |Food, Beverage and Tobacco |Food Producers|Fruit and Grain Processing|N||N||||||N|0|Y||||||0.0|2.4|0.0|0.0|0.0|2.4|2.4|2.4|0.0|0.0|2.4|0.0|2.45|0.0|0.0|0.0|0.0|2.4|0.0|2.4|1.63|2.94|1.63|2.94|1.97|2.4|1.63|2.94|0.0|0.0|2.1|2.4|22.2|2.14|4348|15293805 75063|MLECW|MLECW|L64875112|LU2558998725|Moolec Science SA|WT EX 011226||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-4|TXN6-3|TXN14-2|TXN5-4|TXN6-1|37560000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||LUX||||||||||||N||N||||||N|0|Y|D|||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0153|0.029|1.63|0.0151|0|4143874 70211|MLGO|MLGO|G6077Y103|KYG6077Y1035|MicroAlgo Inc|ORD||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN6-1|TXN12-7|TXN5-7|TXN5-1|43860000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||10|1010|101010|10101010|Technology|Technology|Software and Computer Services|Computer Services|N||N||||||N|0|Y|C|||||0.0|2.86|0.0|0.0|2.82|2.855|2.851|3.05|0.0|0.0|2.88|2.88|2.86|2.94|0.0|2.88|0.0|2.83|0.0|2.86|2.19|3.5|2.19|3.5|2.79|2.86|2.19|2.91|2.77|2.92|2.82|2.86|71.5|1.12|135433|254645961 7767|MLI|MLI|624756102|US6247561029|Mueller Industries, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|C|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-5|TXN1-5|TXN2-6|TXN1-5|TXN1-6|113520000|||Quarterly|||||1991-02-25||||||| | | | | | | | | |||N|0|N|Y|130D|USA|US|||55|5510|551020|55102015|Basic Materials|Basic Resources|Industrial Metals and Mining|Metal Fabricating|N||N||||||Y|0|Y||Y|2|||43.52|43.515|0.0|43.49|43.48|43.5|43.52|43.5|0.0|0.0|43.5|43.5|43.53|43.51|43.5|43.52|43.49|43.52|43.485|43.52|43.51|43.52|33.48|52.77|43.44|43.55|43.49|43.56|43.51|43.56|43.51|43.52|91.93|35.01|749310|101630278 2560|MLKN|MLKN|600544100|US6005441000|MillerKnoll Inc|COM USD.2||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN6-2|TXN10-6|TXN6-1|TXN5-8|73480000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4020|402020|40202015|Consumer Discretionary|Consumer Products and Services|Household Goods and Home Construction|Household Furnishings|N||N||||||Y|0|Y||||||27.15|27.145|0.0|27.2|27.14|27.14|27.16|27.145|0.0|0.0|27.16|27.18|27.17|27.15|27.17|27.12|27.34|27.16|27.09|27.17|27.12|27.2|20.67|33.49|27.1|27.17|27.11|27.21|27.12|27.21|27.14|27.17|27.46|13.2|608016|152839108 7769|MLM|MLM|573284106|US5732841060|Martin Marietta Materials Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-7|TXN1-6|TXN3-6|TXN3-3|TXN3-1|61810000|||Quarterly|||||1994-02-17||||||| | | | | | | | | |||N|5|Y|Y|110E|USA|US|||50|5010|501010|50101035|Industrials|Construction and Materials|Construction and Materials |Building Materials: Other|N||N||||||Y|0|Y||Y|1|||462.46|464.09|0.0|464.33|465.12|465.325|464.33|464.32|0.0|0.0|466.11|466.96|464.31|464.12|464.63|464.23|464.96|464.08|464.23|464.23|464.08|464.09|437.99|490.63|461.85|464.5|463.7|464.73|463.48|464.86|464.08|464.09|472.0851|317.94|451688|88120816 26728|MLN|MLN|92189F536|US92189F5364|VanEck Long Muni ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-3|TXN3-8|TXN9-8|TXN3-4|TXN2-2|26000000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||17.7|17.7|0.0|0.0|17.7|17.67|17.68|17.675|0.0|0.0|17.66|17.67|17.675|17.7|17.67|17.67|17.66|17.7|17.665|17.7|17.61|17.71|16.49|18.93|17.67|17.7|16.71|18.72|17.31|18.06|17.67|17.7|18.31|16.15|857967|55383234 71253|MLNK|MLNK|58985J105|US58985J1051|MeridianLink, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN3-7|TXN3-8|TXN3-3|TXN2-2|78990000|||NotApplicable|||||2021-07-28||||||| | | | | | | | | |||N|0|N|Y|108B|USA|US|||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||Y|2|||20.69|20.7|0.0|20.41|20.7|20.7|20.7|20.55|0.0|0.0|20.33|20.65|20.705|20.7|20.44|20.7|20.7|20.71|20.35|20.7|20.7|20.71|15.82|24.95|20.51|20.87|20.66|20.74|20.66|20.74|20.7|20.71|22.69|12.9777|175744|33102348 7771|MLP|MLP|577345101|US5773451019|Maui Land & Pineapple Company, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|C|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN3-1|TXN1-5|TXN3-7|TXN2-3|19620000|||NotApplicable|||||2008-04-02||||||| | | | | | | | | |||N|0|N|Y|414A|USA|US|||35|3510|351010|35101010|Real Estate|Real Estate |Real Estate Investment and Services Development|Real Estate Holding and Development |N||N||||||N|0|Y||Y|2|||14.97|14.92|0.0|13.92|14.935|14.91|14.88|14.98|0.0|0.0|15.17|14.59|14.88|14.93|0.0|14.96|15.0|14.89|0.0|14.96|14.88|14.98|0.0|0.0|14.63|15.3|11.77|18.08|0.0|0.0|14.88|14.98|15.95|8.31|69109|5925661 39903|MLPA|MLPA|37954Y343|US37954Y3430|Global X Funds|Global X MLP ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Global X|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-7|TXN3-3|TXN3-8|TXN4-6|TXN2-7|32308637|||Quarterly|||||2012-04-19||MLPA.NV|MLPA.SO|MLPA.EU|MLPA.TC|MLPA.IV| | | | | | | | | |1x|The Global X MLP ETF (Fund) seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the Solactive MLP Composite Index (Underlying Index). The Underlying Index is intended to give investors a means of tracking the overall performance of the United States master limited partnerships (MLP) asset class. As of March 1, 2013, the Underlying Index was comprised of 30 MLPs engaged in the transportation, storage, processing, refining, marketing, exploration, production, and mining of natural resources. The Funds investment objective and Underlying Index may be changed without shareholder approval.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||46.195|46.22|0.0|46.12|46.12|46.17|46.195|46.17|0.0|0.0|46.175|46.18|46.17|46.22|46.18|46.195|46.18|46.17|44.88|46.17|43.74|48.57|44.0|46.47|46.01|46.15|43.99|46.35|43.99|46.47|46.01|46.15|46.37|39.5201|137902|23952050 51636|MLPB|MLPB|90274D382|US90274D3825|UBS AG|ETRACS Alerian MLP Infrastructure Index ETN Series B due April 2, 2040|Operating company|ETN|N|N|P|Y|Y|Y|Y|Y||||||||UBS|IMC Chicago, LLC, DBA IMC Financial Markets|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-7|TXN3-4|TXN4-7|TXN3-3|TXN3-6|10200000|||Quarterly|||||2015-10-09|2040-04-02| |MLPB.SO| | |MLPB.IV| | | | | | | | | |1x|The ETRACS Alerian MLP Infrastructure Index ETN Series B due April 2, 2040 are senior unsecured debt securities issued by UBS that provide exposure to potential price appreciation in the Alerian MLP Infrastructure Index, subject to an Accrued Tracking Fee based on a Quarterly Tracking Fee of 0.2125% (equivalent to 0.85% per annum). Investing in the ETNs involves significant risks. The ETNs do not guarantee any return of your initial investment. You may lose some or all of your principal at maturity, early redemption or upon exercise by UBS of its call right if the level of the Index as measured by the VWAP Level (calculated as described herein) declines or does not increase by an amount sufficient to offset the Accrued Tracking Fee and the Redemption Fee Amount, if applicable. The Securities may pay a quarterly coupon during their term. You will receive a cash payment at maturity or upon exercise by UBS of its call right, based on the performance of the Index less the Accrued Tracking Fee, as described herein. You will receive a cash payment upon early redemption based on the performance of the Index less the Accrued Tracking Fee and the Redemption Fee Amount, as described herein. Payment at maturity or upon early redemption is subject to the creditworthiness of UBS. In addition, the actual and perceived creditworthiness of UBS will affect the market value, if any, of the Securities prior to maturity, call or early redemption. |N|0|N|N|416A||CH|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|22.2101|0.0|0.0|0.0|22.23|0.0|0.0|0.0|0.0|0.0|0.0|22.2424|0.0|22.2424|0.0|0.0|22.12|22.34|22.22|22.28|22.12|22.31|22.12|22.31|22.22|22.28|22.3|17.7309|5116|3494860 66601|MLPR|MLPR|90269A278|US90269A2785|UBS AG|ETRACS Quarterly Pay 1.5X Leveraged Alerian MLP Index ETN|Operating company|ETN|N|N|P|Y|Y|Y|Y|Y||||||||UBS|IMC Chicago, LLC, DBA IMC Financial Markets|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-1|TXN1-4|TXN5-8|TXN3-8|TXN3-4|1000000|||Quarterly|||||2020-06-03|2050-06-10|MLPR.NV|MLPR.SO|MLPR.EU|MLPR.TC|MLPR.IV| | | | | | | | | |1.5x|ETRACS Quarterly Pay 1.5X Leveraged Alerian MLP Index ETN is an exchange-traded note issued in the USA. It provide 1.5 times leveraged long exposure to the compounded quarterly performance of the price return version of the Alerian MLP Index. The underlying index is designed to measure the composite performance of energy master limited partnerships. The Securities are senior unsecured debt securites.|N|0|N|N|416A||CH|EQUITY|LEVERAGED|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|52.661|0.0|0.0|0.0|49.69|0.0|0.0|0.0|0.0|0.0|0.0|51.7357|0.0|51.7357|0.0|0.0|0.0|0.0|51.65|51.87|0.0|0.0|0.0|0.0|51.65|51.87|52.661|38.85|1896|457633 42478|MLPX|MLPX|37954Y293|US37954Y2937|Global X Funds|Global X MLP & Energy Infrastructure ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Global X|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-5|TXN4-3|TXN4-5|TXN1-2|TXN3-7|22207506|||Quarterly|||||2013-08-07||MLPX.NV|MLPX.SO|MLPX.EU|MLPX.TC|MLPX.IV| | | | | | | | | |1x|The Global X MLP & Energy Infrastructure ETF (Fund) seeks to provide investment results that correspond generally to the price and yield performance, before fees and expenses, of the Solactive MLP & Energy Infrastructure Index (Underlying Index).|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||45.3|45.27|0.0|0.0|45.19|45.17|45.2269|0.0|0.0|0.0|45.2|45.22|45.2|45.13|45.27|0.0|45.27|45.2098|0.0|45.2098|44.75|45.69|45.05|45.38|45.19|45.24|45.04|45.33|45.05|45.38|45.19|45.25|45.56|37.0|58025|24024440 7773|MLR|MLR|600551204|US6005512040|Miller Industries, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|J|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN1-3|TXN9-8|TXN3-3|TXN1-7|11450000|||Quarterly|||||1995-12-20||||||| | | | | | | | | |||N|0|N|Y|132A|USA|US|||50|5020|502060|50206015|Industrials|Industrial Goods and Services|Industrial Transportation|Commercial Vehicles and Parts|N||N||||||N|0|Y||Y|2|||40.21|40.04|0.0|40.41|40.22|40.23|40.42|40.29|0.0|0.0|40.47|39.61|40.36|39.89|0.0|40.35|0.0|40.33|39.21|40.35|40.31|40.41|39.88|40.81|39.75|41.13|31.55|48.21|40.31|40.74|40.31|40.41|41.5|26.03|44021|7414128 17300|MLSS|MLSS|59935P209|US59935P2092|Milestone Scientific Inc.|Common Stock par value $.001 per share|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Brendan E. Cryan and Company, L.L.C.|CRYN|0235|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN10-7|TXN3-6|TXN8-8|TXN3-6|TXN3-6|71050000|||NotApplicable|||||2015-06-01||||||| | | | | | | | | |||N|0|N|N|140A|USA|US|||20|2010|201020|20102015|Health Care |Health Care |Medical Equipment and Services|Medical Supplies|N||N||||||Y|0|Y||Y|2|||0.82|0.81|0.0|0.0|0.82|0.79|0.815|0.842|0.0|0.0|0.8|0.8146|0.82|0.0|0.8704|0.9102|0.79|0.79|0.84|0.79|0.76|0.861|0.802|0.82|0.784|0.8364|0.76|0.861|0.0|0.0|0.802|0.82|1.35|0.405|11105|19397433 67927|MLTX|MLTX|61559X104|KY61559X1045|MoonLake Immunotherapeutics|COM USD.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN5-2|TXN13-4|TXN6-4|TXN6-3|59940000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHE||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||46.55|47.23|0.0|47.29|47.25|47.24|47.28|47.29|0.0|0.0|47.1|45.84|47.23|47.1|46.69|47.22|46.11|47.29|46.45|47.23|46.64|47.68|36.4|57.84|47.14|47.35|47.05|47.46|47.21|47.5|47.21|47.29|63.4|9.08|324299|121261260 75235|MLYS|MLYS|603170101|US6031701013|Mineralys Therapeutics Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN6-5|TXN13-4|TXN5-7|TXN5-5|41110000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||6.81|6.83|0.0|6.77|6.76|6.745|6.75|6.75|0.0|0.0|6.75|6.88|6.74|7.07|6.77|6.74|6.77|6.75|6.77|6.74|6.62|6.9|5.22|8.26|6.64|6.88|6.69|6.81|6.72|6.78|6.74|6.76|21.98|5.85|149343|41125555 36538|MMAT|MMAT|59134N104|US59134N1046|Meta Materials Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-5|TXN5-3|TXN13-6|TXN6-8|TXN6-7|490420000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CAN||||10|1010|101020|10102015|Technology|Technology|Technology Hardware and Equipment|Electronic Components|N||N||||||Y|0|Y|C|||||0.0718|0.0701|0.0|0.0718|0.0733|0.0732|0.0701|0.0725|0.0|0.0|0.07|0.0732|0.0699|0.0728|0.0739|0.07|0.0727|0.07|0.07155|0.0699|0.0665|0.0753|0.0572|0.0909|0.0691|0.0751|0.0576|0.0867|0.0|0.0|0.0699|0.073|2.34|0.0699|60570212|1716813201 7783|MMC|MMC|571748102|US5717481023|Marsh & McLennan Companies, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-2|TXN2-6|TXN8-7|TXN4-3|TXN1-6|493070000|||Quarterly|||||1969-06-04||||||| | | | | | | | | |||N|5|Y|Y|410A|USA|US|||30|3030|303020|30302015|Financials|Insurance|Non-life Insurance|Insurance Brokers|N||N||||||Y|0|Y||Y|1|||197.32|197.33|0.0|197.31|197.33|197.39|197.355|197.33|0.0|0.0|197.38|197.4|197.33|197.44|197.36|197.35|197.61|197.355|197.36|197.35|197.35|197.36|183.99|209.73|197.25|197.45|197.22|197.47|197.2|197.48|197.35|197.36|201.96|151.86|1906924|368932046 73003|MMCA|MMCA|45409F777|US45409F7776|IndexIQ Active ETF Trust|IQ MacKay California Municipal Intermediate ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||IndexIQ |Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-3|TXN1-3|TXN3-8|TXN3-4|TXN4-1|1550000|||Monthly|||||2021-12-21||MMCA.NV|MMCA.SO|MMCA.EU|MMCA.TC|MMCA.IV| | | | | | | | | |1x|The Fund seeks current income exempt from federal and California income taxes.|N|0|N|N|406B|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|21.44|0.0|0.0|0.0|0.0|21.42|0.0|0.0|0.0|0.0|0.0|21.44|21.11728|0.0|0.0|0.0|21.445|0.0|21.445|17.16|25.74|0.0|0.0|21.43|21.45|17.16|25.74|0.0|0.0|21.37|21.45|21.97|20.5|843|1826994 40279|MMD|MMD|56064K100|US56064K1007|MainStay MacKay DefinedTerm Municipal Opportunities Fund|Common Shares|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN2-2|TXN8-8|TXN4-3|TXN3-1|27910000|||Monthly|||||2012-06-27||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||15.78|15.76|0.0|0.0|15.79|15.79|15.8|15.79|0.0|0.0|15.78|15.76|15.795|15.78|15.81|15.79|0.0|15.8|15.78|15.79|15.78|15.8|12.22|19.48|14.72|16.93|15.76|15.83|15.76|15.82|15.78|15.8|18.1|14.3|134892|15724776 42976|MMI|MMI|566324109|US5663241090|Marcus & Millichap, Inc.|Common Stock, par value $0.0001|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN3-1|TXN4-8|TXN3-6|TXN4-5|38390000|||BiAnnually|||||2013-10-31||||||| | | | | | | | | |||N|0|N|Y|400A|USA|US|||35|3510|351010|35101015|Real Estate|Real Estate |Real Estate Investment and Services Development|Real Estate Services|N||N||||||N|0|Y||Y|2|||35.63|35.59|0.0|35.61|35.66|35.63|35.605|35.68|0.0|0.0|36.0|35.77|35.62|34.99|36.0|35.62|34.58|35.66|34.97|35.62|35.62|35.69|27.72|43.69|35.34|35.95|35.53|42.09|35.5|35.68|35.63|35.68|39.09|26.805|168407|37798236 59890|MMIN|MMIN|45409F843|US45409F8436|IndexIQ Active ETF Trust|IQ MacKay Municipal Insured ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||IndexIQ |GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN3-2|TXN2-8|TXN2-8|TXN2-8|18300000|||Monthly|||||2017-10-18||MMIN.NV|MMIN.SO|MMIN.EU|MMIN.TC|MMIN.IV| | | | | | | | | ||The IQ MacKay Shields Municipal Insured ETF (the Fund) seeks current income exempt from federal income tax.|N|0|N|N|406B|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|1|||23.89|23.9|0.0|0.0|23.83|23.905|23.905|23.89|0.0|0.0|23.9|0.0|23.9|23.84|23.84|23.84|0.0|23.9|0.0|23.9|23.6|23.92|0.0|0.0|23.89|23.93|0.0|0.0|0.0|0.0|23.84|23.92|24.72|22.33|231241|21679186 59891|MMIT|MMIT|45409F827|US45409F8279|IndexIQ Active ETF Trust|IQ MacKay Municipal Intermediate ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||IndexIQ |GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN1-2|TXN9-8|TXN4-3|TXN2-6|25150000|||Monthly|||||2017-10-18||MMIT.NV|MMIT.SO|MMIT.EU|MMIT.TC|MMIT.IV| | | | | | | | | ||The IQ MacKay Shields Municipal Intermediate ETF (the Fund) seeks current income exempt from federal income tax.|N|0|N|N|406B|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|1|||24.18|24.19|0.0|0.0|24.19|24.18|24.19|24.19|0.0|0.0|24.19|0.0|24.15|24.19|0.0|24.21|0.0|24.22|0.0|24.22|22.63|25.79|22.63|25.79|24.15|24.22|22.63|25.79|0.0|0.0|24.15|24.27|24.7942|23.2101|181763|31015661 67028|MMLG|MMLG|33740F789|US33740F7895|First Trust Exchange-Traded Fund VIII|First Trust Multi-Manager Large Growth ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||First Trust|Latour Trading, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN1-7|TXN4-6|TXN4-4|TXN2-1|2250002|||Quarterly|||||2020-07-22||MMLG.NV|MMLG.SO|MMLG.EU|MMLG.TC|MMLG.IV| | | | | | | | | ||The First Trust Multi-Manager Large Growth ETF (the Fund) seeks to provide long-term capital appreciation. Under normal market conditions, the Fund will invest at least 80% of its net assets (including investment borrowings) in equity securities issued by large capitalization companies. The Fund considers large capitalization companies to be those companies with market capitalizations within the market capitalization range of the companies comprising the Russell 1000 Growth Index (as of the indexs most recent reconstitution). The Funds portfolio will be principally composed of common stocks issued by companies domiciled in the United States, common stocks issued by non-U.S. companies that are principally traded in the United States and American Depositary Receipts.|N|0|N|N|412C|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||22.6|22.65|0.0|0.0|22.57|22.65|22.65|22.595|0.0|0.0|22.595|17.36|22.64|0.0|22.6|22.66|0.0|22.65|0.0|22.65|22.59|22.7|0.0|0.0|22.63|22.65|22.38|22.86|0.0|0.0|22.63|22.65|22.86|16.075|39350|3071154 2566|MMLP|MMLP|573331105|US5733311055|Martin Midstream Partners LP|LP UNIT||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN5-7|TXN10-6|TXN5-1|TXN5-4|38920000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||60|6010|601010|60101035|Energy|Energy|Oil, Gas and Coal|Pipelines|N||N||||||Y|0|Y||||||2.58|2.58|0.0|0.0|2.58|2.595|2.56|2.595|0.0|0.0|2.7|2.6|2.58|2.66|2.6|2.58|0.0|2.56|2.66|2.58|2.47|2.76|1.99|3.2|2.39|2.79|2.12|3.15|0.0|0.0|2.56|2.6|3.35|1.95|117636|14941802 7786|MMM|MMM|88579Y101|US88579Y1010|3M Company|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|P|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-7|TXN1-8|TXN7-2|TXN4-7|TXN4-3|552320000|||Quarterly|||||1946-01-14||||||| | | | | | | | | |||Y|1|Y|Y|170A|USA|US|||50|5020|502030|50203000|Industrials|Industrial Goods and Services|General Industrials|Diversified Industrials|N||N||||||Y|0|Y||Y|1|||103.47|103.43|0.0|103.41|103.42|103.43|103.43|103.42|0.0|103.3|103.425|103.51|103.45|103.43|103.44|103.44|103.44|103.45|103.43|103.44|103.45|103.46|103.38|103.49|103.41|103.48|103.4|103.5|103.36|103.49|103.45|103.46|130.02|85.345|5030211|834454127 7789|MMS|MMS|577933104|US5779331041|MAXIMUS, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN1-3|TXN8-7|TXN2-2|TXN1-1|61000000|||Quarterly|||||1997-06-13||||||| | | | | | | | | |||N|0|N|Y|180B|USA|US|||50|5020|502050|50205020|Industrials|Industrial Goods and Services|Industrial Support Services|Professional Business Support Services|N||N||||||Y|0|Y||Y|2|||86.33|86.86|0.0|86.84|86.73|86.83|86.88|86.84|0.0|0.0|86.79|85.17|86.85|85.86|85.67|86.88|85.62|86.88|82.69|86.88|86.86|86.88|65.48|105.19|86.67|87.01|86.74|86.94|86.72|86.97|86.86|86.88|89.69|69.1|241299|76068497 74313|MMSB|MMSB|45409F744|US45409F7446|IndexIQ Active ETF Trust|IQ MacKay Multi-Sector Income ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||IndexIQ |Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-7|TXN3-2|TXN1-8|TXN2-2|TXN4-4|1000000|||Monthly|||||2022-07-26||MMSB.IV|MMSB.SO|MMSB.EU|MMSB.TC|MMSB.IV| | | | | | | | | ||The Fund seeks to maximize current income and long-term capital appreciation primarily through a flexible multisector investment process that allocates investments across the global fixed-income markets.|N|0|N|N|406B|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|23.295|0.0|23.295|21.72|25.0|0.0|0.0|23.23|23.39|21.72|25.0|0.0|0.0|23.23|23.38|24.925|22.19|0|10390 72021|MMSC|MMSC|33740U794|US33740U7946|First Trust Exchange-Traded Fund VIII|First Trust Multi-Manager Small Cap Opportunities ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||First Trust|Latour Trading, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-5|TXN4-2|TXN4-8|TXN4-4|TXN4-4|500002|||Quarterly|||||2021-10-14||MMSC.NV|MMSC.SO|MMSC.EU|MMSC.TC| | | | | | | | | | |1x|The First Trust Multi-Manager Small Cap Opportunities ETF (the Fund) seeks to provide long-term capital appreciation.|N|0|N|N|412C|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|15.645|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|16.16|16.1852|0.0|16.1852|16.14|16.22|16.12|16.15|16.17|16.19|8.02|24.04|0.0|0.0|16.17|16.19|16.6239|14.06|365|501284 2568|MMSI|MMSI|589889104|US5898891040|Merit Medical Systems Inc|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN6-5|TXN11-6|TXN6-7|TXN5-7|57750000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||Y|0|Y||||||73.72|73.77|0.0|73.72|73.9|73.71|73.9|73.9|0.0|0.0|73.28|73.93|73.94|73.7|73.6|73.75|73.91|73.91|73.08|73.94|73.74|74.6|55.88|90.49|73.3|74.41|73.77|74.02|73.86|74.02|73.86|73.95|85.62|62.58|300365|67981522 7790|MMT|MMT|552737108|US5527371083|MFS Multimarket Income Trust|Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN2-7|TXN7-8|TXN2-2|TXN1-8|60330000|||Monthly|||||1987-03-05||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||4.42|4.43|0.0|0.0|0.0|4.44|4.44|4.45|0.0|0.0|4.44|4.42|4.44|4.41|0.0|4.43|4.44|4.44|4.22882|4.43|4.42|4.44|3.43|5.47|4.42|4.76|4.4|4.46|0.0|0.0|4.42|4.44|4.96|4.04|108043|23498135 40897|MMTM|MMTM|78468R705|US78468R7052|SPDR Series Trust|SPDR S&P 1500 Momentum Tilt ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-8|TXN3-7|TXN6-4|TXN3-6|TXN3-4|450000|||Quarterly|||||2012-10-25||MMTM.NV|MMTM.SO|MMTM.EU|MMTM.TC|MMTM.IV| | | | | | | | | |1x|The S&P 1500 Positive Momentum Tilt Index contains all constituent members of the S&P Composite 1500, weighted so that stocks with relatively strong momentum are overweight relative to the parent S&P 1500 and stocks with relatively weak momentum are underweight. The index is intended to provide diversified exposure to relative positive momentum in the U.S. stock market. In constructing the Index, Standard & Poors, Inc. estimates the momentum of each stock in the S&P 1500 Index based on its price performance over the 11months ending one month before the index rebalancing date, and ranks all 1,500 Index constituents in order of momentum. S&P then forms 20 sub-portfolios of approximately equal market capitalization, grouped by momentum. S&P defines a sub-portfolio allocation factor so that a sub-portfolio with relatively high momentum will have a higher allocation factor than a sub-portfolio with relatively low momentum. The weight of each stock in the Index is proportionate to its market capitalization and to its sub-portfolio allocation factor.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|192.49|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|192.8993|0.0|192.8993|190.95|194.81|0.0|0.0|192.66|193.1|192.61|193.14|0.0|0.0|192.66|193.1|194.3658|161.4676|3485|674609 7791|MMU|MMU|95766M105|US95766M1053|Western Asset Managed Municipals Fund Inc.|Common Stock|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN3-8|TXN3-8|TXN3-5|TXN3-7|54770000|||Monthly|||||1992-07-17||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||9.8|9.86|0.0|0.0|9.86|9.84|9.855|9.81|0.0|0.0|9.83|9.82|9.855|9.841|9.56|9.86|9.82|9.86|0.0|9.86|9.85|9.86|7.62|12.11|9.84|9.87|9.83|9.88|9.84|9.86|9.85|9.86|10.77|8.6|155579|22478001 70798|MMV|MMV|G6360J102|VGG6360J1021|MultiMetaVerse Holdings Ltd|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN6-2|TXN13-4|TXN6-2|TXN5-5|33050000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||40|4030|403010|40301010|Consumer Discretionary|Media|Media|Entertainment|N||N||||||N|0|Y|C|||||0.0|1.19|0.0|0.0|1.19|1.205|1.24|1.205|0.0|0.0|1.2|1.17|1.16|0.0|0.0|0.0|0.0|1.24|0.0|1.24|0.88|1.48|0.88|1.48|1.08|1.25|0.88|1.48|0.0|0.0|1.15|1.24|17.75|0.8472|44455|182071678 70800|MMVWW|MMVWW|G6360J136|VGG6360J1369|MultiMetaVerse Holdings Ltd|WT EXP 040128||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-3|TXN6-4|TXN12-5|TXN5-4|TXN5-2|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0025|0.0|0.0|0.0|0.0|0.0|0.0153|0.04|0.7|0.01|0|8718899 35609|MMYT|MMYT|V5633W109|MU0295S00016|MakeMyTrip Ltd|ORD USD0.0005||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN5-6|TXN11-3|TXN5-8|TXN5-1|66460000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||IND||||40|4050|405010|40501015|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Travel and Tourism|N||N||||||Y|0|Y||||||45.73|44.88|0.0|44.79|44.86|44.92|44.88|44.915|0.0|0.0|44.87|44.92|44.89|44.74|44.82|44.8|45.0|44.89|44.96|44.89|44.78|44.98|35.41|54.96|44.78|44.98|44.83|44.92|44.82|44.93|44.88|44.89|46.04|22.5|1837131|104438968 31854|MNA|MNA|45409B800|US45409B8000|IndexIQ ETF Trust|IQ Merger Arbitrage ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||IndexIQ |Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-8|TXN3-5|TXN9-8|TXN3-8|TXN1-6|13400000|||Yearly|||||2009-11-16||MNA.NV|MNA.SO|MNA.EU|MNA.TC|MNA.IV| | | | | | | | | |1x|The IQ ARB Merger Arbitrage ETF seeks to track, before fees and expenses, the performance of the IQ ARB Merger Arbitrage Index. The Index seeks to achieve capital appreciation by investing in global companies for which there has been a public announcement of a takeover by an acquirer. This differentiated approach is based on a passive strategy of owning certain announced takeover targets with the goal of generating returns that are representative of global merger arbitrage activity. The Index also includes short exposure to global equities as a partial equity market hedge.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||31.11|31.12|0.0|0.0|31.1|31.11|31.116|31.1|0.0|0.0|31.1|0.0|31.12|31.11|0.0|0.0|0.0|31.09|0.0|31.09|29.44|33.1|0.0|0.0|31.11|31.14|29.06|33.44|0.0|0.0|31.11|31.14|31.96|30.77|201355|16994501 74069|MNBD|MNBD|00162Q411|US00162Q4111|ALPS ETF Trust|ALPS Intermediate Municipal Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ALPS|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-7|TXN3-3|TXN7-8|TXN1-5|TXN3-4|1225002|||Monthly|||||2022-05-20||MNBD.NV|MNBD.SO|MNBD.EU|MNBD.TC|MNBD.IV| | | | | | | | | |1x|The Fund seeks to actively achieve its investment objective by applying bottom-up fundamental analysis and investing in a long-term, tax-aware manner. The Fund aims to actively implement the strategy by investing primarily in a diversified portfolio of investment grade municipal bonds rated in the four highest credit ratings categories (AAA to BBB, or equivalent) at the time of purchase by at least one nationally recognized credit rating agency, or, if unrated, deemed to be of comparable quality by Brown Brothers Harriman & Co., through a separately identifiable department, the Funds sub-adviser. Under normal circumstances, the Fund will invest at least 80% of its net assets, plus any borrowings for investment purposes, in municipal bonds that pay interest that is generally excludable from gross income for federal income tax purposes (except that the interest paid by certain municipal securities may be includable in taxable income for purposes of the federal alternative minimum tax).|N|0|N|N|416A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|2|Y||Y|2|||25.58|25.58|0.0|0.0|25.58|25.58|25.5011|25.58|0.0|0.0|25.53|0.0|25.53|25.53|0.0|25.58|0.0|25.5644|0.0|25.5644|0.0|0.0|0.0|0.0|25.54|25.59|0.0|0.0|0.0|0.0|25.48|25.59|25.98|24.3946|5094|48203 2570|MNDO|MNDO|M70240102|IL0010851827|Mind Cti Ltd|ORD NIS.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN5-6|TXN11-7|TXN5-6|TXN6-2|20120000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||ISR||||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||||||0.0|0.0|0.0|0.0|0.0|1.91|1.9|1.91|0.0|0.0|0.0|1.9|1.91|0.0|0.0|0.0|0.0|1.91|0.0|1.91|1.79|2.01|0.0|0.0|1.78|2.03|1.52|2.29|0.0|0.0|1.89|1.91|2.5|1.82|16837|7660910 70829|MNDY|MNDY|M7S64H106|IL0011762130|monday com Ltd|COM USD||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN6-8|TXN11-5|TXN5-5|TXN6-6|47740000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||ISR||||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||||||182.06|182.06|0.0|182.08|182.18|182.09|182.16|182.15|0.0|0.0|182.06|183.36|182.14|182.07|182.24|182.18|182.18|182.18|182.18|182.14|180.33|183.87|139.35|223.56|180.69|182.18|181.8|182.18|181.73|182.49|182.17|182.18|189.15|94.76|1757022|182444302 2572|MNKD|MNKD|56400P706|US56400P7069|MannKind Corp|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN6-7|TXN11-4|TXN5-1|TXN6-2|269580000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||3.75|3.74|0.0|0.0|3.75|3.745|3.745|3.75|0.0|0.0|3.75|3.75|3.75|3.75|3.74|3.75|3.745|3.745|3.74|3.75|3.71|3.78|2.86|4.54|3.71|3.75|3.72|3.77|3.71|3.78|3.74|3.75|5.75|3.375|2630265|672949317 66225|MNMD|MNMD|60255C885|CA60255C8850|Mind Medicine Mindmed Inc|COM SUB VTG||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN5-2|TXN10-4|TXN5-4|TXN6-1|40100000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||3.6|3.6|0.0|3.68|3.61|3.61|3.605|3.61|0.0|0.0|3.61|3.61|3.61|3.61|3.61|3.615|3.64|3.6|3.84|3.61|3.59|3.62|2.8|4.44|3.59|3.62|3.58|3.64|3.59|3.62|3.6|3.61|5.01|2.12|799493|112232862 18399|MNOV|MNOV|58468P206|US58468P2065|Medicinova Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN5-4|TXN14-7|TXN5-3|TXN5-6|49050000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||1.74|1.74|0.0|0.0|0.0|1.74|1.74|0.0|0.0|0.0|1.77|1.78|1.74|0.0|0.0|0.0|1.74|1.74|1.78|1.74|1.64|1.83|1.39|2.08|1.7|1.78|1.63|1.84|0.0|0.0|1.73|1.75|2.71|1.7|77466|9988555 64752|MNPR|MNPR|61023L108|US61023L1089|Monopar Therapeutics Inc|COM USD0.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-1|TXN6-8|TXN11-2|TXN5-1|TXN5-6|14870000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.32|0.310601|0.331|0.0|0.0|0.32|0.3222|0.314|0.0|0.0|0.0|0.0|0.310601|0.0|0.310601|0.2522|0.396|0.2522|0.396|0.2928|0.3412|0.2522|0.3852|0.0|0.0|0.3105|0.32|3.82|0.2739|57089|96264629 76507|MNR|MNR|55445L100|US55445L1008|Mach Natural Resources LP|Common Units representing Limited Partner Interests|Limited partnership|R|N|N|N|Y|Y|Y|Y|Y|5|A|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN3-8|TXN8-8|TXN4-3|TXN3-5|95000000|||NotApplicable|||||2023-10-25||||||| | | | | | | | | |||N|0|N|N|134A|USA|US|||60|6010|601010|60101010|Energy|Energy|Oil, Gas and Coal|Oil: Crude Producers|N||N||||||N|0|Y||Y|2|||18.01|17.87|0.0|18.01|17.95|18.0|17.95|18.04|0.0|0.0|17.9|0.0|17.91|17.957|17.9|17.86|0.0|17.86|0.0|17.86|17.86|18.0|13.78|21.95|17.56|18.42|17.76|18.05|17.76|17.99|17.76|17.99|19.2|16.11|68494|5456332 2577|MNRO|MNRO|610236101|US6102361010|Monro Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN5-5|TXN12-6|TXN6-7|TXN5-3|31450000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4010|401010|40101010|Consumer Discretionary|Automobiles and Parts|Automobiles and Parts|Auto Services |N||N||||||Y|0|Y||||||30.615|30.51|0.0|30.41|30.53|30.54|30.51|30.52|0.0|0.0|30.52|30.52|30.53|30.515|30.63|30.535|30.65|30.52|30.4|30.53|30.32|30.73|23.24|37.49|30.34|30.7|30.46|30.59|30.5|30.58|30.52|30.53|55.7|22.72|507717|82872403 13353|MNSB|MNSB|56064Y100|US56064Y1001|MainStreet Bancshares Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN6-1|TXN14-3|TXN6-7|TXN5-3|7530000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|21.89|22.0|0.0|0.0|0.0|21.95|0.0|22.0|0.0|0.0|0.0|0.0|21.95|0.0|22.0|21.04|22.71|0.0|0.0|21.16|22.54|0.0|0.0|0.0|0.0|21.63|22.02|29.935|18.47|4839|4920468 67505|MNSBP|MNSBP|56064Y308|US56064Y3080|MainStreet Bancshares Inc|7.5% DP SH PFD A||U|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN5-5|TXN11-2|TXN5-6|TXN5-8|1150000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||||||0.0|22.25|0.0|0.0|0.0|22.34|22.19|22.34|0.0|0.0|22.35|22.39|22.5|0.0|0.0|0.0|0.0|22.19|0.0|22.19|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|22.13|22.4|26.15|19.35|6801|263618 67871|MNSO|MNSO|66981J102|US66981J1025|MINISO Group Holding Limited|American Depositary Shares, each representing four Ordinary Shares|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|8|A|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-2|TXN4-8|TXN1-7|TXN2-6|TXN4-2|1263690000|||Adhoc|||||2020-10-15||||||| | | | | | | | | |||N|0|N|Y|146A|CHN|KY|||40|4040|404010|40401010|Consumer Discretionary|Retail |Retailers |Diversified Retailers|N||N||||||Y|0|Y|C|Y|2|||20.75|20.75|0.0|20.76|20.76|20.76|20.76|20.76|0.0|0.0|20.76|20.75|20.75|20.77|20.74|20.76|20.715|20.75|20.77|20.76|20.75|20.76|16.3|25.34|20.74|20.88|20.65|20.78|20.65|20.78|20.75|20.76|29.92|10.23|5462809|350743750 1805|MNST|MNST|61174X109|US61174X1090|Monster Beverage Corp|COM USD.005||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN6-8|TXN14-1|TXN6-3|TXN6-2|1040440000|||NotApplicable|||||||||||| | | | | | | | | |||N|5|Y|N||USA||||45|4510|451010|45101020|Consumer Staples |Food, Beverage and Tobacco |Beverages|Soft Drinks|N||N||||||Y|0|Y||||||55.2|55.175|0.0|55.04|55.18|55.17|55.17|55.18|0.0|0.0|55.17|55.19|55.17|55.18|55.21|55.19|55.18|55.18|55.175|55.17|55.17|55.19|51.47|58.65|55.17|55.19|55.14|55.21|55.16|55.19|55.17|55.18|105.45|47.1301|5413259|960885247 68856|MNTK|MNTK|61218C103|US61218C1036|Montauk Renewables Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN5-4|TXN13-5|TXN6-6|TXN6-5|143610000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||60|6010|601020|60102010|Energy|Energy|Alternative Energy|Alternative Fuels |N||N||||||Y|0|Y||||||9.4|9.25|0.0|9.35|9.25|9.25|9.24|9.23|0.0|0.0|9.24|9.24|9.25|9.24|9.4|9.25|9.25|9.25|9.29|9.25|9.16|9.26|7.15|11.33|9.17|9.33|9.21|9.28|9.2|9.27|9.24|9.25|12.53|5.46|238098|62670357 73215|MNTN|MNTN|29978K102|US29978K1025|Everest Consolidator Acquisition Corporation|Class A Common Stock|Special purpose acquisition company|A|N|N|N|Y|Y|Y|Y|Y|5|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN2-3|TXN6-8|TXN2-7|TXN3-7|17250000|||NotApplicable|||||2022-01-14||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|4|Y||Y|2|||10.86|10.86|0.0|0.0|10.86|10.86|10.86|10.86|0.0|0.0|10.86|0.0|10.86|10.86|0.0|10.86|10.86|10.86|10.86|10.86|10.85|10.86|10.85|10.86|10.19|11.59|0.0|0.0|0.0|0.0|10.85|10.86|11.91|10.13|24534|23554069 73216|MNTN WS|MNTN.WS|29978K110|US29978K1108|Everest Consolidator Acquisition Corporation|Warrants, each whole warrant exercisable for one share of Class A Common Stock, at an exercise price of $11.50|Special purpose acquisition company|C|N|N|N|Y|Y|Y|Y|Y|5|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN6-8|TXN1-7|TXN3-8|TXN4-7|TXN2-4|0|||NotApplicable|||||2022-01-14||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||||||||||N||N||||||N|4|Y|C|N||||0.0|0.0|0.0|0.0|0.0|0.0563|0.0|0.0563|0.0|0.0|0.0557|0.0|0.0563|0.0|0.0|0.0563|0.0|0.0563|0.0|0.0563|0.0481|0.06|0.0|0.0|0.07|0.1097|0.0|0.0|0.0|0.0|0.0481|0.06|0.33|0.011|1344|3316815 72589|MNTN U|MNTN.U|29978K201|US29978K2015|Everest Consolidator Acquisition Corporation|Units, each consisting of one share of Class A common stock and one-half of one redeemable warrant|Special purpose acquisition company|R|N|N|N|Y|Y|Y|Y|Y|5|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN2-8|TXN5-8|TXN2-8|TXN4-6|0|||NotApplicable|||||2021-11-24||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||||||||||N||N||||||N|4|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|9.78|11.94|0.0|0.0|9.78|11.96|7.81|14.35|0.0|0.0|9.78|11.94|11.415|9.16|0|157081 65292|MNTS|MNTS|60879E200|US60879E2000|Momentus Inc|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN6-4|TXN13-4|TXN6-5|TXN5-7|6560000|||NotApplicable|||||||||||| | | | | | | | | 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9820|MNTX|MNTX|563420108|US5634201082|Manitex International Inc|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN5-3|TXN13-5|TXN6-2|TXN6-8|20250000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502040|50204020|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Construction and Handling|N||N||||||Y|0|Y||||||7.39|7.45|0.0|0.0|7.5|7.49|7.45|7.46|0.0|0.0|7.54|7.39|7.5|7.32|7.28|7.44|7.47|7.46|7.5|7.5|7.18|7.68|5.82|9.12|7.23|7.67|7.39|7.53|7.38|7.54|7.43|7.5|7.54|3.48|226634|8487944 68384|MNY|MNY|G6202B101|KYG6202B1014|MoneyHero Ltd|CL A ORD 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ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-1|TXN2-1|TXN9-2|TXN3-6|TXN4-4|148950000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||80.47|80.47|0.0|0.0|80.46|80.47|80.47|80.485|0.0|0.0|80.475|80.48|80.46|80.47|80.47|80.47|80.49|80.47|80.26|80.47|80.41|80.53|80.35|80.58|80.45|80.48|80.35|80.57|80.35|80.53|80.46|80.47|83.87|63.59|1440530|179150426 74191|MOB|MOB|60742B102|US60742B1026|Mobilicom 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| | | | | | | | |||N|0|N|N||USA||||40|4030|403010|40301020|Consumer Discretionary|Media|Media|Media Agencies|N||N||||||N|0|Y|D|||||0.4539|0.4499|0.0|0.0|0.4539|0.44|0.43|0.431|0.0|0.0|0.4489|0.0|0.431|0.0|0.0|0.4599|0.0|0.4539|0.0|0.4539|0.3524|0.5403|0.345|0.5403|0.43|0.4673|0.3524|0.5403|0.0|0.0|0.4301|0.4539|1.45|0.0422|81078|695639172 72756|MOBQW|MOBQW|60743F128|US60743F1286|Mobiquity Technologies Inc|WT EXP 120326||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-1|TXN6-4|TXN12-2|TXN6-6|TXN5-4|2570000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0065|0.01|0.15|0.0025|26|1485804 74669|MOBV|MOBV|60742N106|US60742N1063|Mobiv Acquisition Corp|CL A COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN6-5|TXN10-7|TXN5-7|TXN5-7|840000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||4.7|0.0|0.0|0.0|0.0|4.81|4.8|0.0|0.0|0.0|0.0|0.0|4.8|0.0|0.0|0.0|0.0|4.8|4.8|4.8|3.57|5.88|3.57|5.88|4.41|5.0|3.57|4.8|0.0|0.0|4.7|4.8|11.75|2.66|10223|9997825 74342|MOBVU|MOBVU|60742N205|US60742N2053|Mobiv Acquisition Corp|UNITS||R|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN6-4|TXN11-2|TXN6-3|TXN5-1|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|4.5|0.0|0.0|0.0|0.0|4.5|0.0|4.5|0.0|0.0|0.0|0.0|3.8|5.28|0.0|0.0|0.0|0.0|4.04|4.96|11.29|3.74|106|634633 74670|MOBVW|MOBVW|60742N114|US60742N1147|Mobiv Acquisition Corp|WT EXP||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-1|TXN5-5|TXN13-5|TXN5-6|TXN6-8|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0136|0.048|0.0136|0.048|0.0136|0.048|0.0136|0.048|0.0|0.0|0.017|0.04|0.12|0.0144|0|1394532 7807|MOD|MOD|607828100|US6078281002|Modine Manufacturing Company|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-6|TXN2-2|TXN7-6|TXN4-5|TXN2-6|52240000|||NotApplicable|||||2004-10-14||||||| | | | | | | | | |||N|0|N|Y|126E|USA|US|||50|5010|501010|50101025|Industrials|Construction and Materials|Construction and Materials |Building: Climate Control|N||N||||||N|0|Y||Y|2|||52.7|52.56|0.0|52.59|52.62|52.62|52.61|52.56|0.0|0.0|52.55|52.55|52.56|52.61|52.65|52.6|52.01|52.64|52.6|52.6|52.6|52.64|40.86|64.34|52.13|53.03|40.86|52.71|52.6|52.64|52.6|52.64|53.45|18.8|647766|130502137 17413|MODD|MODD|60785L207|US60785L2079|Modular Med Inc|COM USD0.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN6-2|TXN12-6|TXN5-4|TXN5-5|21230000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||N|0|Y||||||1.37|1.39|0.0|0.0|0.0|1.395|1.3995|1.38|0.0|0.0|1.4|1.34|1.41|1.37|1.4|1.4|1.4|1.395|0.0|1.395|0.0|0.0|0.0|0.0|1.31|1.45|0.0|0.0|0.0|0.0|1.38|1.41|3.84|0.84|42956|28864021 6054|MODG|MODG|131193104|US1311931042|Topgolf Callaway Brands Corp.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|R|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-3|TXN2-7|TXN5-7|TXN2-4|TXN2-4|184520000|||Quarterly|||||1992-02-28||||||| | | | | | | | | |||N|0|N|Y|144C|USA|US|||40|4020|402030|40203050|Consumer Discretionary|Consumer Products and Services|Leisure Goods|Recreational Products|N||N||||||Y|0|Y||Y|2|||13.16|13.16|0.0|13.22|13.16|13.15|13.153|13.16|0.0|0.0|13.15|13.15|13.16|13.16|13.17|13.15|13.19|13.16|13.155|13.15|13.15|13.17|10.2|16.15|13.14|13.18|13.13|13.18|13.15|13.19|13.15|13.17|25.96|9.84|4227052|563442295 74740|MODL|MODL|92647P126|US92647P1268|VictoryShares WestEnd U.S. Sector ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN5-3|TXN11-6|TXN6-4|TXN6-8|7890000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||31.31|31.3|0.0|0.0|31.31|0.0|31.35|0.0|0.0|0.0|0.0|0.0|31.36|0.0|0.0|0.0|0.0|31.35|0.0|31.36|24.07|38.26|24.07|38.26|31.16|31.52|24.07|38.26|0.0|0.0|31.31|31.36|34.1299|26.26|8675|3479423 41678|MODN|MODN|607525102|US6075251024|Model N, Inc.|Common Stock, $0.00015 par value|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|P|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN4-3|TXN8-7|TXN4-2|TXN3-5|38760000|||NotApplicable|||||2013-03-20||||||| | | | | | | | | |||N|0|N|Y|108B|USA|US|||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||Y|2|||23.74|23.74|0.0|23.49|23.75|23.75|23.74|23.74|0.0|0.0|23.75|23.79|23.74|23.73|23.745|23.74|23.35|23.74|23.74|23.74|23.74|23.75|18.16|29.14|23.55|23.95|23.7|23.79|23.68|23.81|23.74|23.75|43.18|20.9|403577|75852076 3253|MODV|MODV|60783X104|US60783X1046|ModivCare Inc|CL A COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN5-4|TXN14-6|TXN6-1|TXN5-6|14190000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201010|20101025|Health Care |Health Care |Health Care Providers|Health Care Services|N||N||||||Y|0|Y||||||40.56|39.42|0.0|39.35|39.83|39.28|39.355|39.45|0.0|0.0|39.31|0.0|39.49|39.19|39.91|39.28|0.0|39.45|0.0|39.49|38.86|40.24|30.44|48.28|38.92|40.19|39.2|39.73|39.15|39.48|39.44|39.48|113.53|26.05|114005|38074961 27519|MOFG|MOFG|598511103|US5985111039|MidWestOne Financial Group Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN6-4|TXN12-7|TXN5-2|TXN5-5|15690000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||||||0.0|23.0|0.0|0.0|0.0|22.94|22.96|22.985|0.0|0.0|22.87|23.0|22.99|0.0|0.0|0.0|0.0|22.9|0.0|22.99|22.22|23.82|0.0|0.0|22.48|23.45|0.0|0.0|0.0|0.0|22.91|23.06|34.69|17.8|32626|7365060 7808|MOG A|MOG.A|615394202|US6153942023|Moog Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN1-7|TXN4-8|TXN4-1|TXN2-8|28720000|||Adhoc|||||2001-08-27||||||| | | | | | | | | |||N|0|N|Y|102B|USA|US|||50|5020|502010|50201010|Industrials|Industrial Goods and Services|Aerospace and Defense|Aerospace|N||N||||||Y|0|Y||Y|2|||139.84|143.185|0.0|143.31|139.16|143.185|143.44|143.2|0.0|0.0|142.61|143.18|143.53|142.86|140.05|143.44|139.775|143.44|143.16|143.44|143.44|143.46|107.8|173.79|142.95|143.61|110.84|170.43|143.2|143.92|143.44|143.46|144.415|81.395|157966|30166145 7809|MOG B|MOG.B|615394301|US6153943013|Moog Inc.|Class B Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|J|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN1-4|TXN5-8|TXN4-6|TXN4-3|3180000|||Adhoc|||||2001-08-27||||||| | | | | | | | | |||N|0|N|Y|102B|USA|US|||50|5020|502010|50201010|Industrials|Industrial Goods and Services|Aerospace and Defense|Aerospace|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|133.71|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|133.71|0.0|0.0|0.0|133.71|134.15|149.97|0.0|0.0|141.78|148.42|0.0|0.0|0.0|0.0|141.78|148.42|136.59|81.11|56|33573 60904|MOGO|MOGO|60800C208|CA60800C2085|Mogo Inc|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN6-4|TXN11-4|TXN6-1|TXN6-3|24740000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CAN||||30|3020|302010|30201020|Financials|Financial Services |Finance and Credit Services|Consumer Lending|N||N||||||Y|0|Y||||||1.59|1.59|0.0|1.6|1.59|1.59|1.61|1.61|0.0|0.0|1.6|1.6|1.58|1.609|1.58|1.61|1.61|1.59|1.59|1.59|1.51|1.68|0.0|0.0|1.51|1.68|1.56|1.63|1.56|1.63|1.58|1.6|2.13|0.4038|178971|26149146 62544|MOGU|MOGU|608012308|US6080123085|MOGU Inc.|American Depositary Shares, each representing three-hundred (300) Class A Ordinary Shares|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN3-2|TXN7-8|TXN4-7|TXN1-6|2161520000|||NotApplicable|||||2018-12-06||||||| | | | | | | | | |||N|0|N|Y|146F|CHN|KY|||10|1010|101010|10101020|Technology|Technology|Software and Computer Services|Consumer Digital Services |N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|2.01|2.0564|0.0|0.0|0.0|0.0|2.01|0.0|0.0|0.0|2.01|0.0|2.01|0.0|2.01|2.01|2.17|0.0|0.0|1.88|2.31|1.62|2.6|0.0|0.0|2.01|2.17|3.4397|1.41|410|1905755 7810|MOH|MOH|60855R100|US60855R1005|Molina Healthcare Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN3-3|TXN3-8|TXN1-1|TXN4-5|58300000|||NotApplicable|||||2003-07-02||||||| | | | | | | | | |||N|5|Y|Y|122A|USA|US|||20|2010|201010|20101020|Health Care |Health Care |Health Care Providers|Health Care Management Services|N||N||||||Y|0|Y||Y|1|||365.24|364.92|0.0|365.31|365.2|365.45|365.579|365.53|0.0|0.0|364.74|364.92|365.43|365.0|364.92|365.56|364.92|365.44|365.06|365.56|365.44|365.45|342.32|386.21|365.18|365.67|365.02|365.83|364.93|365.91|365.44|365.45|372.0|256.19|261558|106836925 72222|MOHR|MOHR|19423L623|US19423L6231|Mohr Growth ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-7|TXN1-8|TXN4-8|TXN1-5|TXN1-5|3900000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|19.1825|0.0|0.0|0.0|19.19|19.1825|19.175|0.0|0.0|19.15|0.0|19.175|19.179|0.0|19.09|0.0|19.1825|0.0|19.1825|19.14|19.19|19.14|19.19|19.06|19.29|18.94|19.38|0.0|0.0|19.06|19.29|21.0|17.32|8897|7633858 70881|MOLN|MOLN|60853G106|US60853G1067|Molecular Partners AG|ADR||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN5-8|TXN12-1|TXN6-1|TXN6-5|36350000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHE||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|4.26|0.0|0.0|0.0|0.0|4.26|0.0|4.26|3.41|4.5|0.0|0.0|4.19|4.5|3.41|5.37|0.0|0.0|4.26|4.5|7.3599|3.53|470|615356 49093|MOMO|MOMO|423403104|US4234031049|Hello Group Inc|ADR||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN6-6|TXN13-4|TXN6-4|TXN5-1|296610000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||10|1010|101010|10101020|Technology|Technology|Software and Computer Services|Consumer Digital Services |N||N||||||Y|0|Y||||||6.61|6.615|0.0|0.0|6.62|6.615|6.6175|6.61|0.0|0.0|6.61|6.605|6.62|6.61|6.61|6.615|6.615|6.6175|6.61|6.62|6.58|6.62|5.04|8.2|6.58|6.62|6.58|6.65|6.58|6.65|6.61|6.62|11.54|5.2|1692347|303709115 69824|MOND|MOND|465712107|US4657121079|Mondee Holdings Inc|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN6-3|TXN12-8|TXN6-1|TXN5-5|85820000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4050|405010|40501015|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Travel and Tourism|N||N||||||N|0|Y||||||3.12|3.105|0.0|3.09|3.1|3.11|3.11|3.095|0.0|0.0|3.1|3.07|3.12|3.11|3.1|3.11|3.09|3.1|3.0|3.12|3.09|3.13|2.44|3.79|3.09|3.13|3.08|3.14|3.1|3.15|3.1|3.12|14.25|2.5|395764|53636040 25501|MOO|MOO|92189F700|US92189F7006|VanEck ETF Trust|VanEck Agribusiness ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||VanEck Vectors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-7|TXN2-4|TXN5-8|TXN3-7|TXN2-4|12400000|||Yearly|||||2008-11-21||MOO.NV|MOO.SO|MOO.EU|MOO.TC|MOO.IV| | | | | | | | | |1x|Market Vectors Agribusiness ETF (the Fund) seeks to replicate as closely as possible, before fees and expenses, the price and yield performance of the Market Vectors Global Agribusiness Index (the Agribusiness Index). The Fund, using a passive or indexing investment approach, attempts to approximate the investment performance of the Agribusiness Index by investing in a portfolio of securities that generally replicates the Agribusiness Index. The Adviser expects that, over time, the correlation between the Funds performance before fees and expenses and that of the Agribusiness Index will be 95% or better. A figure of 100% would indicate perfect correlation.|N|0|N|N|406C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||74.57|73.94|0.0|0.0|74.25|73.76|74.0|73.795|0.0|0.0|74.0|74.0|74.0|73.91|74.32|0.0|0.0|74.0|0.0|74.0|70.49|77.71|73.66|74.34|73.85|74.0|73.74|74.2|73.65|74.2|73.85|74.0|93.1301|71.79|51013|16045918 74060|MOOD|MOOD|02072L813|US02072L8138|Relative Sentiment Tactical Allocation ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN6-3|TXN12-3|TXN6-6|TXN6-4|480000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|26.4089|0.0|0.0|0.0|0.0|0.0|26.43|0.0|0.0|0.0|0.0|26.44|0.0|26.43|0.0|0.0|0.0|0.0|26.24|26.58|0.0|0.0|0.0|0.0|26.38|26.43|26.76|23.93|4961|432514 68120|MOON|MOON|25460G732|US25460G7328|Direxion Shares ETF Trust|Direxion Moonshot Innovators ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Direxion Shares|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-6|TXN1-8|TXN5-8|TXN2-4|TXN4-6|2725001|||Quarterly|||||2020-11-12||MOON.NV|MOON.SO|MOON.EU|MOON.TC|MOON.IV| | | | | | | | | |1x|The Direxion Moonshot Innovators ETF seeks investment results, before fees and expenses, that track the S&P Kensho Moonshots Index.|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||9.97|10.48|0.0|0.0|10.47|10.46|10.51|10.37|0.0|0.0|9.96|0.0|10.48|10.47|10.48|0.0|0.0|10.5|0.0|10.5|10.49|14.95|10.51|10.54|10.5|10.53|10.36|14.95|10.44|10.6|10.5|10.53|14.95|8.57|16828|5286555 60905|MOR|MOR|617760202|US6177602025|Morphosys AG, Martinsried|ADS||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN5-1|TXN14-1|TXN6-1|TXN5-3|34230000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||DEU||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||7.23|7.21|0.0|7.25|7.22|7.22|7.21|7.23|0.0|0.0|7.22|7.22|7.21|7.23|7.22|7.22|7.25|7.21|7.23|7.21|7.19|7.23|5.61|8.89|7.19|7.23|7.18|7.25|7.18|7.23|7.21|7.23|8.67|3.17|1242209|67487262 63940|MORF|MORF|61775R105|US61775R1059|Morphic Holding Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN5-4|TXN10-5|TXN6-2|TXN6-4|49740000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||24.96|24.94|0.0|24.85|24.97|24.97|24.96|24.96|0.0|0.0|24.95|24.95|24.95|24.96|24.37|24.95|24.87|24.93|0.0|24.95|24.67|25.2|19.35|30.24|24.86|25.16|24.84|25.05|24.9|25.01|24.93|24.96|63.0825|19.345|401368|149314063 2593|MORN|MORN|617700109|US6177001095|Morningstar Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN6-5|TXN11-4|TXN5-8|TXN6-7|42700000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||USA||||30|3020|302010|30201030|Financials|Financial Services |Finance and Credit Services|Financial Data Providers|N||N||||||Y|0|Y||||||284.05|283.875|0.0|284.53|284.71|284.24|284.81|284.4|0.0|0.0|283.65|284.04|284.79|284.21|0.0|283.475|282.97|284.8|282.96|284.79|281.83|287.35|265.79|303.87|281.84|287.08|283.98|285.36|283.82|285.01|284.79|284.8|286.525|163.2802|288844|42005750 38652|MORT|MORT|92189F452|US92189F4524|VanEck ETF Trust|VanEck Mortgage REIT Income ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||VanEck Vectors|IMC Chicago, LLC, DBA IMC Financial Markets|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-4|TXN3-6|TXN5-5|TXN2-1|TXN3-3|19050000|||Quarterly|||||2011-08-17||MORT.NV|MORT.SO|MORT.EU|MORT.TC|MORT.IV| | | | | | | | | |1x|The Fund normally invests at least 80% of its total assets in securities that comprise the Funds benchmark index. While publicly traded U.S. and non-U.S. mortgage real estate investment trusts (REITs) that derive at least 50% of their revenues from mortgage-related activity are eligible for inclusion in the Mortgage REITs Index, as of the date of this Prospectus, the Mortgage REITs Index is comprised of stocks of publicly traded U.S. mortgage REITs that derive at least 50% of their revenues from mortgage-related activity. A mortgage REIT makes loans to developers and owners of properties and invests primarily inmortgages and similar real estate interests, and includes companies or trusts that are primarily engaged in the purchasing or servicing of commercial or residential mortgage loans or mortgage-related securities, which may include mortgage-backed securities issued by private issuers and those issued or guaranteed by U.S. Government agencies, instrumentalities or sponsored entities. The Mortgage REITs Index may include small-capitalization and medium-capitalization companies. The Funds 80% investment policy is non-fundamental and requires 60 days prior written notice to shareholders before it can be changed.|N|0|N|N|406C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||11.52|11.65|0.0|0.0|11.64|11.63|11.64|11.625|0.0|0.0|11.62|11.58|11.62|11.59|11.62|0.0|11.61|11.65|0.0|11.65|11.61|11.68|11.59|11.68|11.64|11.65|11.59|11.71|11.61|11.67|11.64|11.65|14.0599|9.4|121964|33259367 7814|MOS|MOS|61945C103|US61945C1036|Mosaic Company, The|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-1|TXN1-4|TXN1-2|TXN3-8|TXN1-3|326840000|||Quarterly|||||2011-05-20||||||| | | | | | | | | |||N|5|Y|Y|106B|USA|US|||55|5520|552010|55201015|Basic Materials|Chemicals|Chemicals|Fertilizers|N||N||||||Y|0|Y||Y|1|||36.11|36.11|0.0|36.56|36.12|36.11|36.105|36.1|0.0|0.0|36.11|36.11|36.11|36.12|36.115|36.11|36.12|36.1|36.12|36.11|36.1|36.11|34.09|38.27|36.09|36.12|34.75|37.88|36.1|36.39|36.1|36.11|57.4597|31.44|3478241|937215679 71966|MOTE|MOTE|92189Y105|US92189Y1055|VanEck Morningstar ESG Moat ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-6|TXN1-2|TXN3-8|TXN4-2|TXN3-4|230000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|24.3802|0.0|0.0|0.0|0.0|24.365|0.0|0.0|0.0|0.0|0.0|24.44|0.0|0.0|0.0|0.0|24.3802|0.0|24.3802|19.32|29.32|24.34|24.37|24.36|24.39|19.32|29.32|0.0|0.0|24.36|24.39|25.41|21.5437|3423|321151 62179|MOTG|MOTG|92189F122|US92189F1223|VanEck Morningstar Global Wide Moat ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-3|TXN4-8|TXN8-8|TXN2-8|TXN3-4|500000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|33.7734|0.0|0.0|0.0|0.0|33.68|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|33.7734|0.0|33.7734|0.0|0.0|0.0|0.0|33.57|33.92|0.0|0.0|0.0|0.0|33.74|33.8|35.809|30.2517|196|638009 50291|MOTI|MOTI|92189F593|US92189F5935|VanEck Morningstar International Moat ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-5|TXN2-6|TXN9-8|TXN1-2|TXN4-8|7750000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|30.58|0.0|0.0|0.0|0.0|30.57|0.0|0.0|0.0|0.0|0.0|0.0|30.93|0.0|0.0|0.0|30.58|0.0|30.58|28.39|32.74|23.37|37.96|30.49|30.84|28.39|32.74|0.0|0.0|30.57|30.65|33.85|27.982|20645|9198753 65052|MOTO|MOTO|402031876|US4020318766|Guinness Atkinson Funds|SmartETFs Smart Transportation & Technology ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Guinness Atkinson|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-7|TXN3-3|TXN9-8|TXN1-7|TXN3-6|275002|||Yearly|||||2019-11-15||MOTO.NV|MOTO.SO|MOTO.EU|MOTO.TC|MOTO.IV| | | | | | | | | ||The SmartETFs Smart Transportation & Technology ETF invests in companies involved in the development and production of products or services for smart transportation products and systems, including autonomous and/or electric vehicles and smart transportation networks. Benchmark: MSCI World Net Return|N|0|N|N|408A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|39.5101|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|39.6032|0.0|39.6032|0.0|0.0|0.0|0.0|39.58|39.61|0.0|0.0|0.0|0.0|39.58|39.61|45.31|33.14|1793|290239 60671|MOTS|MOTS|62014P504|US62014P5044|Motus GI Holdings Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN6-3|TXN10-2|TXN5-5|TXN6-2|580000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||N|0|Y||||||4.67|4.7|0.0|0.0|4.64|4.67|4.8479|4.48|0.0|0.0|4.65|0.0|4.78|4.75|0.0|0.0|0.0|4.7|0.0|4.78|4.53|4.97|3.68|5.92|4.58|4.99|4.12|5.49|0.0|0.0|4.78|4.87|6.29|0.395|69892|56445699 7818|MOV|MOV|624580106|US6245801062|Movado Group, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN3-7|TXN7-8|TXN4-4|TXN4-6|15660000|||Quarterly|||||2001-05-21||||||| | | | | | | | | |||N|0|N|Y|146G|USA|US|||40|4020|402040|40204030|Consumer Discretionary|Consumer Products and Services|Personal Goods|Luxury Items|N||N||||||Y|0|Y||Y|2|||27.06|26.99|0.0|26.08|27.02|26.98|27.11|27.02|0.0|0.0|27.0|26.63|27.11|26.94|26.38|27.11|27.06|27.11|26.97|27.11|27.09|27.11|20.89|33.02|26.78|27.15|26.96|27.19|27.05|27.22|27.09|27.11|37.2804|23.94|230277|33423682 69885|MOVE|MOVE|62459M107|US62459M1071|Movano Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-7|TXN5-8|TXN10-8|TXN6-5|TXN5-4|55040000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||N|0|Y||||||0.811|0.8019|0.0|0.0|0.8019|0.8|0.8|0.8019|0.0|0.0|0.8114|0.8443|0.83|0.0|0.0|0.0|0.0|0.8|0.0|0.8|0.7709|0.8668|0.672|0.96|0.8011|0.8557|0.7756|0.861|0.7733|0.8598|0.8011|0.8332|2.1|0.78|39361|15352714 66790|MP|MP|553368101|US5533681012|MP Materials Corp.|Class A common stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-1|TXN1-7|TXN4-8|TXN3-7|TXN4-3|177820000|||NotApplicable|||||2020-06-22||||||| | | | | | | | | |||N|0|Y|Y|408A|USA|US|||55|5510|551020|55102000|Basic Materials|Basic Resources|Industrial Metals and Mining|General Mining|N||N||||||Y|0|Y||Y|1|||16.9|16.9|0.0|16.84|16.92|16.91|16.9|16.905|0.0|0.0|16.91|16.92|16.91|16.9|16.915|16.92|16.96|16.91|16.92|16.92|16.91|16.93|16.04|18.15|16.9|16.93|16.87|16.95|16.85|16.96|16.91|16.93|36.6699|14.47|2729237|592953376 7823|MPA|MPA|09255G107|US09255G1076|BlackRock MuniYield Pennsylvania Quality Fund|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN3-4|TXN6-8|TXN2-6|TXN2-2|13030000|||Monthly|||||1992-11-04||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||11.46|11.4|0.0|0.0|11.38|11.38|11.37|11.34|0.0|0.0|11.4|0.0|11.38|0.0|0.0|11.34|11.4|11.33|11.46|11.34|11.34|11.37|8.84|13.98|10.68|12.16|8.84|13.98|0.0|0.0|11.34|11.39|11.8999|9.87|39354|6051850 26421|MPAA|MPAA|620071100|US6200711009|Motorcar Parts of America Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN5-1|TXN13-5|TXN5-4|TXN6-2|19610000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4010|401010|40101025|Consumer Discretionary|Automobiles and Parts|Automobiles and Parts|Auto Parts|N||N||||||Y|0|Y||||||0.0|9.81|0.0|9.78|9.8|9.77|9.82|9.77|0.0|0.0|9.77|0.0|9.82|0.0|0.0|9.84|9.78|9.83|0.0|9.82|9.65|9.91|7.48|11.94|9.66|9.9|9.77|9.87|9.76|0.0|9.82|9.86|15.87|4.26|90796|51368136 74005|MPAY|MPAY|30151E582|US30151E5823|Exchange Listed Funds Trust|Akros Monthly Payout ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Exchange Traded Concepts|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-8|TXN2-1|TXN3-8|TXN1-2|TXN4-4|90001|||Monthly|||||2022-05-06||MPAY.NV|MPAY.SO|MPAY.EU|MPAY.TC| | | | | | | | | | |1x|The Akros Monthly Payout ETF (the Fund) seeks to provide investment results that, before fees and expenses, correspond generally to the total return performance of the Akros Multi-Asset Index (the Index).|N|0|N|N|416A|USA|US|HYBRID|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|21.35366|0.0|0.0|0.0|0.0|21.6428|0.0|0.0|0.0|21.6209|0.0|21.8209|0.0|0.0|21.49064|0.0|22.2149|0.0|22.2149|22.17|22.22|22.17|22.22|22.18|22.24|11.14|33.4|0.0|0.0|22.18|22.24|23.23|20.91|70|84300 7610|MPB|MPB|59540G107|US59540G1076|Mid Penn Bancorp Inc|COM USD1||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN5-6|TXN10-7|TXN6-2|TXN5-1|16670000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||||||0.0|22.06|0.0|0.0|22.11|22.1|22.11|22.15|0.0|0.0|22.21|0.0|22.09|0.0|22.0|0.0|0.0|21.94|0.0|22.09|21.38|22.85|0.0|0.0|21.51|22.1|0.0|0.0|0.0|0.0|21.95|22.09|33.0|18.25|26984|8236165 38410|MPC|MPC|56585A102|US56585A1025|Marathon Petroleum Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|P|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-5|TXN3-2|TXN7-5|TXN4-6|TXN4-4|379700000|||Quarterly|||||2011-06-23||||||| | | | | | | | | |||N|5|Y|Y|134C|USA|US|||60|6010|601010|60101020|Energy|Energy|Oil, Gas and Coal|Oil Refining and Marketing|N||N||||||Y|0|Y||Y|1|||151.36|151.33|0.0|151.3|151.38|151.38|151.315|151.3|0.0|0.0|151.49|151.12|151.325|151.38|151.33|151.39|151.32|151.39|151.33|151.39|151.39|151.4|142.22|159.98|151.32|151.43|151.14|151.56|151.17|151.4|151.39|151.4|159.65|104.32|3075239|836635010 66044|MPLN|MPLN|62548M100|US62548M1009|MultiPlan Corporation|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN2-8|TXN1-8|TXN3-2|TXN2-5|649490000|||NotApplicable|||||2020-04-03||||||| | | | | | | | | |||N|0|N|Y|408A|USA|US|||20|2010|201010|20101025|Health Care |Health Care |Health Care Providers|Health Care Services|N||N||||||Y|0|Y||Y|2|||1.35|1.35|0.0|1.38|1.35|1.345|1.345|1.345|0.0|0.0|1.345|1.35|1.345|1.34|1.345|1.35|1.34|1.345|1.35|1.35|1.34|1.35|1.12|1.63|1.34|1.35|1.31|1.38|1.34|1.36|1.34|1.35|2.29|0.6104|573183|349511327 66045|MPLN WS|MPLN.WS|62548M118|US62548M1181|MultiPlan Corporation|Warrants, each exercisable for one share of Class A common stock at an exercise price of $11.50 per share|Operating company|C|N|N|N|Y|Y|Y|Y|Y|5|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN8-8|TXN2-7|TXN9-8|TXN2-3|TXN4-2|649490000|||NotApplicable|||||2020-04-03||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||||||||||N||N||||||N|0|Y|D|N||||0.0|0.0|0.0|0.0|0.0|0.0|0.025|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0101|0.011|0.0269|0.0|0.0|0.01|0.0284|0.0|0.0|0.0|0.0|0.011|0.0269|0.2075|0.0101|1|2429022 40910|MPLX|MPLX|55336V100|US55336V1008|MPLX LP|Common units representing limited partner interests|Limited partnership|A|N|N|N|Y|Y|Y|Y|Y|5|A|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-7|TXN1-8|TXN4-1|TXN3-1|TXN1-4|1001220000|||Quarterly|||||2012-10-26||||||| | | | | | | | | |||N|0|N|N|304C|USA|US|||60|6010|601010|60101035|Energy|Energy|Oil, Gas and Coal|Pipelines|N||N||||||Y|0|Y||Y|2|||36.66|36.655|0.0|36.54|36.66|36.68|36.65|36.655|0.0|0.0|36.65|36.685|36.655|36.65|36.66|36.66|36.65|36.65|36.65|36.66|36.65|36.66|28.29|44.77|36.64|36.68|36.63|36.68|36.63|36.69|36.65|36.66|36.8|29.64|1154883|425004027 69902|MPRO|MPRO|66538H245|US66538H2452|Monarch Procap ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-3|TXN2-6|TXN7-8|TXN3-8|TXN4-6|3880000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||25.92|25.96|0.0|0.0|0.0|25.92|25.9199|25.92|0.0|0.0|25.91|0.0|25.92|25.92|25.92|25.92|25.92|25.96|25.92|25.96|20.7|31.09|20.04|31.75|25.94|25.96|20.7|31.09|0.0|0.0|25.94|25.96|26.53|24.04|26522|4787345 74690|MPTI|MPTI|55380K109|US55380K1097|M-tron Industries, Inc.|Common Stock|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Brendan E. Cryan and Company, L.L.C.|CRYN|0235|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-4|TXN1-2|TXN1-5|TXN1-8|TXN3-2|2790000|||NotApplicable|||||2022-09-29||||||| | | | | | | | | |||N|0|N|N|108A|USA|US|||50|5020|502020|50202010|Industrials|Industrial Goods and Services|Electronic and Electrical Equipment|Electrical Components |N||N||||||N|0|Y||Y|2|||34.78|35.71|0.0|35.08|35.95|35.52|34.85|34.89|0.0|0.0|35.86|35.0|35.22|36.07|34.61|36.58|35.98|35.98|36.07|35.98|31.59|37.78|34.79|35.94|33.46|37.58|34.34|36.15|34.41|36.55|34.79|35.94|39.765|7.99|218834|4016093 4600|MPU|MPU|007737109|US0077371096|Mega Matrix Corp.|Common Stock|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Brendan E. Cryan and Company, L.L.C.|CRYN|0235|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-8|TXN3-5|TXN8-8|TXN2-7|TXN1-6|31730000|||Adhoc|||||1998-01-16||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||50|5020|502060|50206050|Industrials|Industrial Goods and Services|Industrial Transportation|Commercial Vehicle-Equipment Leasing|N||N||||||N|0|Y||Y|2|||1.3|1.45|0.0|0.0|0.0|1.48|1.47|1.47|0.0|0.0|1.46|1.46|1.47|1.449|0.0|0.0|1.47|1.47|0.0|1.47|1.08|1.62|1.45|1.47|1.44|1.47|1.08|1.62|0.0|0.0|1.45|1.47|1.95|0.5503|70450|9132293 7838|MPV|MPV|06761A103|US06761A1034|Barings Participation Investors|Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN3-7|TXN3-8|TXN2-4|TXN1-8|10600000|||Quarterly|||||1988-10-21||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||14.21|14.39|0.0|0.0|14.2|14.29|14.299|14.49|0.0|0.0|14.45|0.0|14.29|14.21|0.0|14.33|0.0|14.29|0.0|14.33|14.29|14.5|11.13|17.82|13.35|15.46|11.13|17.82|0.0|0.0|11.45|17.2|14.75|11.18|14811|4520990 7839|MPW|MPW|58463J304|US58463J3041|Medical Properties Trust, Inc.|Common Stock|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-6|TXN1-4|TXN7-7|TXN2-1|TXN3-7|598400000|||Quarterly|||||2005-07-08||||||| | | | | | | | | |||N|0|Y|Y|412A|USA|US|||35|3510|351020|35102010|Real Estate|Real Estate |Real Estate Investment Trusts|Health Care REITs|N||N||||||Y|0|Y||Y|1|||5.35|5.35|0.0|5.31|5.34|5.34|5.345|5.34|0.0|0.0|5.34|5.35|5.345|5.34|5.35|5.35|5.35|5.34|5.35|5.35|5.34|5.35|5.0|5.66|5.34|5.37|5.32|5.38|5.32|5.35|5.34|5.35|14.0|4.041|16037734|3243457606 2602|MPWR|MPWR|609839105|US6098391054|Monolithic Power Systems Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|4|0.01|0.01|5000000|1|100|TXN13-4|TXN6-3|TXN11-6|TXN5-4|TXN5-2|47910000|||NotApplicable|||||||||||| | | | | | | | | |||N|5|Y|N||USA||||10|1010|101020|10102010|Technology|Technology|Technology Hardware and Equipment|Semiconductors|N||N||||||Y|0|Y||||||559.94|559.82|0.0|557.96|552.66|559.67|559.68|558.25|0.0|0.0|560.0|555.64|559.54|559.24|558.51|555.46|556.5|559.82|560.15|559.54|554.2|564.54|522.94|591.1|555.3|564.11|558.39|560.85|559.35|559.92|559.35|559.84|595.98|336.63|399737|127636716 7840|MPX|MPX|568427108|US5684271084|Marine Products Corp.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN2-6|TXN8-8|TXN4-5|TXN2-5|34470000|||Quarterly|||||2005-06-24||||||| | | | | | | | | |||N|0|N|Y|144E|USA|US|||40|4020|402030|40203055|Consumer Discretionary|Consumer Products and Services|Leisure Goods|Recreational Vehicles and Boats|N||N||||||N|0|Y||Y|2|||10.13|10.16|0.0|10.23|10.19|10.2|10.18|10.18|0.0|0.0|10.17|10.18|10.23|10.13|9.47|10.24|0.0|10.24|10.13|10.24|10.23|10.26|7.89|12.54|10.04|10.38|7.89|12.54|0.0|0.0|10.23|10.26|17.81|9.18|75925|9806765 70813|MQ|MQ|57142B104|US57142B1044|Marqeta Inc|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN5-5|TXN14-6|TXN5-4|TXN5-2|467460000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502050|50205015|Industrials|Industrial Goods and Services|Industrial Support Services|Transaction Processing Services|N||N||||||Y|0|Y||||||6.28|6.28|0.0|6.41|6.29|6.28|6.28|6.29|0.0|0.0|6.28|6.3|6.28|6.3|6.28|6.28|6.275|6.27|6.285|6.28|6.24|6.35|4.85|7.69|6.26|6.34|6.26|6.31|6.27|6.32|6.27|6.28|7.51|3.46|4596510|1321037456 7842|MQT|MQT|09254G108|US09254G1085|BlackRock MuniYield Quality Fund II, Inc.|Common Stock|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN1-3|TXN6-8|TXN4-1|TXN3-8|22570000|||Monthly|||||1992-09-21||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||10.1|10.1|0.0|10.1|10.1|10.1|10.0689|10.12|0.0|0.0|10.1|0.0|10.1|10.08|10.1|10.12|10.19|10.12|0.0|10.12|10.1|10.12|7.76|12.43|9.41|10.77|10.08|10.13|10.09|10.14|10.1|10.12|11.01|8.59|107987|11104099 7843|MQY|MQY|09254F100|US09254F1003|BlackRock MuniYield Quality Fund, Inc.|Common Stock|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-6|TXN2-2|TXN4-5|TXN2-4|TXN3-4|73220000|||Monthly|||||1992-07-20||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||11.57|11.575|0.0|11.6|11.57|11.58|11.575|11.575|0.0|0.0|11.58|11.57|11.575|11.569|11.58|11.58|11.58|11.57|11.57|11.58|11.57|11.58|8.93|14.24|11.57|11.61|11.54|11.61|11.56|11.59|11.57|11.58|12.53|9.8187|410940|41456029 68628|MRAD|MRAD|402031868|US4020318683|Guinness Atkinson Funds|SmartETFs Advertising & Marketing Technology ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Guinness Atkinson|RBC Capital Markets, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-4|TXN2-1|TXN2-8|TXN4-7|TXN4-3|80001|||Yearly|||||2020-12-31||MRAD.NV|MRAD.SO|MRAD.EU|MRAD.TC| | | | | | | | | | |1x|The SmartETFs Advertising & Marketing Technology ETF is the ETF for investing in companies which are using technology to disrupt the advertising and marketing industries. These companies include those involved in programmatic advertising, targeted digital advertising, consumer data and targeting, customer relationship management, marketing automation, and other technologies that aid in advertising and marketing.|N|0|N|N|408A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|14.5401|14.54|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|14.455|0.0|14.455|0.0|0.0|0.0|0.0|14.43|14.48|0.0|0.0|0.0|0.0|14.43|14.48|16.1195|12.0443|29|62203 72115|MRAI|MRAI|571354208|US5713542083|Marpai Inc|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN5-8|TXN10-4|TXN6-5|TXN6-3|7810000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201010|20101025|Health Care |Health Care |Health Care Providers|Health 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LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-5|TXN1-3|TXN4-5|TXN4-5|TXN4-4|84300000|||NotApplicable|||||2012-04-12||||||| | | | | | | | | |||N|0|N|Y|102B|USA|US|||60|6010|601010|60101030|Energy|Energy|Oil, Gas and Coal|Oil Equipment and Services|N||N||||||Y|0|Y||Y|2|||10.59|10.55|0.0|10.57|10.56|10.565|10.56|10.55|0.0|0.0|10.56|10.58|10.555|10.59|10.58|10.56|10.59|10.56|10.59|10.56|10.56|10.57|8.01|12.82|10.55|10.57|10.54|10.58|10.54|10.59|10.56|10.57|13.9|8.15|401171|150874875 40900|MRCC|MRCC|610335101|US6103351010|Monroe Capital Corp|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN6-7|TXN12-1|TXN6-5|TXN6-7|21670000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||Y|0|Y||||||7.14|7.1|0.0|0.0|7.13|7.13|7.115|7.115|0.0|0.0|7.13|7.12|7.12|7.14|0.0|7.16|7.14|7.1|0.0|7.12|6.71|7.55|5.48|8.8|6.68|7.64|7.06|7.18|7.06|7.21|7.1|7.15|9.1899|6.69|105906|13275947 2607|MRCY|MRCY|589378108|US5893781089|Mercury Systems Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN5-3|TXN13-1|TXN6-3|TXN6-3|59280000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||USA||||50|5020|502010|50201020|Industrials|Industrial Goods and Services|Aerospace and Defense|Defense|N||N||||||Y|0|Y||||||35.9|35.89|0.0|35.9|35.91|35.91|35.88|35.82|0.0|0.0|35.9|35.78|35.91|35.71|35.56|35.87|35.56|35.9|35.83|35.91|35.82|35.98|33.3|37.78|35.82|35.98|35.83|35.97|35.87|35.97|35.89|35.92|59.13|28.9|376977|122171172 75033|MRDB|MRDB|G5920M100|IE0008908NI4|MariaDB plc|Ordinary Shares|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN9-8|TXN2-6|TXN4-8|TXN4-3|TXN3-8|67690000|||NotApplicable|||||2022-12-19||||||| | | | | | | | | |||N|0|N|Y|108B|USA|IE|||10|1010|101010|10101010|Technology|Technology|Software and Computer Services|Computer Services|N||N||||||N|2|Y||Y|2|||0.3698|0.3698|0.0|0.0|0.3698|0.34|0.350101|0.3395|0.0|0.0|0.35|0.0|0.356|0.0|0.0|0.3698|0.0|0.3698|0.0|0.3698|0.358|0.3698|0.2864|0.4388|0.3342|0.3914|0.2864|0.4388|0.0|0.0|0.358|0.3698|11.55|0.3008|21828|15357576 75034|MRDB WS|MRDB.WS|G5920M118|IE000UJTXLQ2|MariaDB plc|Warrants, each whole warrant exercisable for one Ordinary Share at an exercise price of $11.50 per share|Operating company|C|N|N|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN7-8|TXN4-7|TXN5-8|TXN1-2|TXN2-2|0|||NotApplicable|||||2022-12-19|2027-12-16|||||| | | | | | | | | |||N|0|N|N|108B|USA|IE|||||||||||N||N||||||N|2|Y||N||||0.0|0.0|0.0|0.0|0.0|0.0|0.042615|0.0|0.0|0.0|0.0426|0.0426|0.0|0.0|0.0|0.04|0.0|0.04|0.0|0.04|0.035|0.042|0.0|0.0|0.04|0.042|0.0|0.0|0.0|0.0|0.035|0.042|0.7441|0.0299|6534|2362534 60906|MREO|MREO|589492107|US5894921072|Mereo BioPharma Group Plc|ADS||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN5-5|TXN10-4|TXN5-2|TXN5-8|701220000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||GBR||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||2.09|2.08|0.0|2.13|2.09|2.085|2.08|2.09|0.0|0.0|2.09|2.09|2.08|2.09|2.1|2.085|2.09|2.08|2.09|2.08|2.07|2.09|1.64|2.58|2.08|2.09|2.06|2.12|2.07|2.1|2.08|2.09|2.39|0.4945|1459573|307316626 41205|MRGR|MRGR|74348A566|US74348A5662|ProShares Merger ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-5|TXN4-3|TXN2-8|TXN4-2|TXN2-3|300001|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|39.915|0.0|0.0|0.0|0.0|40.0387|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|39.915|0.0|39.915|39.84|40.0|0.0|0.0|39.83|40.0|0.0|0.0|0.0|0.0|39.83|40.0|40.25|35.99|30|1120210 41699|MRIN|MRIN|56804T205|US56804T2050|Marin Software Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-5|TXN6-5|TXN11-7|TXN5-2|TXN6-5|18040000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||||||0.35|0.3521|0.0|0.0|0.3488|0.3453|0.3451|0.3521|0.0|0.0|0.3481|0.3487|0.3461|0.0|0.0|0.0|0.0|0.3451|0.0|0.3451|0.3277|0.3657|0.2771|0.4228|0.326|0.3732|0.2828|0.4158|0.0|0.0|0.346|0.35|1.84|0.27|210661|121070403 7850|MRK|MRK|58933Y105|US58933Y1055|Merck & Co., Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|D|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-5|TXN4-8|TXN5-3|TXN2-2|TXN3-5|2534020000|||Quarterly|||||1946-05-15||||||| | | | | | | | | |||Y|1|Y|Y|140A|USA|US|||20|2010|201030|20103015|Health Care |Health Care |Pharmaceuticals and Biotechnology|Pharmaceuticals |N||N||||||Y|0|Y||Y|1|||105.07|105.07|0.0|105.09|105.1|105.06|105.06|105.09|0.0|0.0|105.07|105.07|105.07|105.17|105.09|105.06|105.14|105.07|105.07|105.06|105.06|105.07|98.65|111.75|105.04|105.13|105.0|105.13|104.99|105.14|105.06|105.07|119.65|96.36|10169907|1755035242 24951|MRKR|MRKR|57055L206|US57055L2060|Marker Therapeutics Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN6-1|TXN13-8|TXN6-1|TXN5-3|8890000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||2.82|0.0|0.0|0.0|2.81|2.83|2.8168|2.82|0.0|0.0|2.83|0.0|2.78|2.82|0.0|0.0|0.0|2.805|0.0|2.805|2.59|2.97|2.12|3.44|2.67|2.93|2.59|2.97|0.0|0.0|2.78|2.82|9.6799|0.22|13865|72288816 68617|MRM|MRM|58510H103|US58510H1032|Medirom Healthcare Technologies Inc|ADR||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN6-8|TXN11-8|TXN6-3|TXN5-2|4880000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||JPN||||40|4040|404010|40401030|Consumer Discretionary|Retail |Retailers |Specialty Retailers |N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|4.6994|4.54|0.0|0.0|0.0|0.0|4.57|0.0|0.0|0.0|0.0|4.69|0.0|4.69|3.63|5.76|0.0|0.0|4.23|5.01|3.63|5.76|0.0|0.0|4.55|4.7|7.4|4.0101|2412|894397 62596|MRNA|MRNA|60770K107|US60770K1079|Moderna Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN5-7|TXN11-7|TXN6-2|TXN5-4|381280000|||NotApplicable|||||||||||| | | | | | | | | |||N|5|Y|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||79.89|79.89|0.0|79.84|79.86|79.89|79.89|79.88|0.0|0.0|79.875|79.87|79.87|79.88|79.95|79.895|79.89|79.89|79.86|79.87|79.8|79.95|79.5|84.43|79.78|79.96|79.77|79.97|79.86|80.01|79.88|79.9|217.25|62.55|3171966|861009654 73429|MRND|MRND|45409B271|US45409B2714|IQ U.S. Mid Cap R&D Leaders ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN6-4|TXN10-5|TXN6-8|TXN6-4|200000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|23.0327|0.0|0.0|0.0|0.0|0.0|0.0|23.0327|0.0|0.0|0.0|0.0|22.97|23.28|0.0|0.0|0.0|0.0|23.01|23.05|23.84|19.0761|0|8806 44715|MRNS|MRNS|56854Q200|US56854Q2003|Marinus Pharmaceuticals Inc|COM USD0.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN6-6|TXN14-6|TXN6-7|TXN5-6|54570000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||7.49|7.47|0.0|7.58|7.48|7.485|7.49|7.495|0.0|0.0|7.47|7.47|7.5|7.47|7.49|7.48|7.47|7.49|7.48|7.5|7.41|7.61|5.85|9.18|7.42|7.6|7.46|7.52|7.46|7.52|7.48|7.5|11.15|3.465|405225|146213048 76506|MRNY|MRNY|88634T469|US88634T4691|Tidal Trust II|YieldMax MRNA Option Income Strategy ETF|Trust|ETS|N|N|P|Y|Y|Y|Y|Y||||||||Tidal ETF Services |Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-1|TXN4-2|TXN3-8|TXN4-3|TXN3-4|100000|||Monthly|||||2023-10-24||MRNY.NV|MRNY.SO|MRNY.EU|MRNY.TC| | | | | | | | | | ||the Fund uses a synthetic covered call strategy to provide income and exposure to the share price returns of MRNA, subject to a limit on potential investment gains as a result of the nature of the options strategy it employs.|N|0|N|N|416A|USA|US|HYBRID|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|19.67|0.0|0.0|0.0|19.675|19.7002|19.53|0.0|0.0|19.675|0.0|19.71|0.0|0.0|0.0|0.0|19.7274|0.0|19.7274|0.0|0.0|0.0|0.0|19.67|19.74|0.0|0.0|0.0|0.0|19.67|19.74|21.59|16.79|11600|230322 7853|MRO|MRO|565849106|US5658491064|Marathon Oil Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|P|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN2-8|TXN5-8|TXN2-4|TXN1-2|585250000|||Quarterly|||||1965-11-26||||||| | | | | | | | | |||N|5|Y|Y|134D|USA|US|||60|6010|601010|60101010|Energy|Energy|Oil, Gas and Coal|Oil: Crude Producers|N||N||||||Y|0|Y||Y|1|||25.06|25.065|0.0|25.1|25.075|25.06|25.06|25.07|0.0|0.0|25.06|25.07|25.07|25.06|25.09|25.06|25.085|25.06|25.06|25.06|25.06|25.07|23.55|26.75|25.06|25.08|25.03|25.11|25.06|25.11|25.06|25.07|32.54|20.57|8269860|2510732948 66837|MRSK|MRSK|66538J720|US66538J7202|Northern Lights Fund Trust|Toews Agility Shares Managed Risk ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Ultimus Fund Solutions (Toews)|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-6|TXN1-5|TXN2-8|TXN4-5|TXN4-4|4075000|||Yearly|||||2023-04-24||.|.|.|.|.| | | | | | | | | |||N|0|N|N|416A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|28.11|0.0|0.0|0.0|27.98|28.2299|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|28.2008|0.0|28.2008|0.0|0.0|28.04|29.31|28.14|28.25|0.0|0.0|0.0|0.0|28.14|28.25|30.01|24.63|37019|6150375 58905|MRSN|MRSN|59045L106|US59045L1061|Mersana Therapeutics Inc|COM 0.0001USD||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN6-4|TXN14-3|TXN6-6|TXN6-7|120580000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y|D|||||2.04|2.04|0.0|1.98|2.03|2.04|2.0304|2.035|0.0|0.0|2.04|2.03|2.04|2.05|2.04|2.04|2.03|2.04|2.04|2.04|2.01|2.06|1.57|2.46|2.01|2.06|2.0|2.06|2.02|2.06|2.03|2.04|9.62|0.8014|3605732|785430221 71377|MRT|MRT|573134103|US5731341039|Marti Technologies, Inc.|Class A Ordinary Shares|Operating company|A|N|Y|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN12-5|TXN1-4|TXN7-8|TXN4-3|TXN3-3|48580000|||NotApplicable|||||2021-08-11||||||| | | | | | | | | |||N|0|N|N|408A|TUR|KY|||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|2|Y||Y|2|||0.705|0.7051|0.0|0.0|0.705|0.7182|0.7151|0.7|0.0|0.0|0.71|0.7194|0.7213|0.0|0.67|0.6648|0.7182|0.7182|0.0|0.7182|0.5467|0.84|0.715|0.7213|0.7|0.73|0.6871|0.7435|0.6882|0.76|0.715|0.7213|8.69|0.464|66740|55106165 71378|MRT WS|MRT.WS|573134111|US5731341112|Marti Technologies, Inc.|Warrants, each whole warrant exercisable for one class A ordinary share at an exercise price of $11.50|Operating company|C|N|Y|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN12-5|TXN1-2|TXN4-8|TXN3-5|TXN2-1|0|||NotApplicable|||||2021-08-11||||||| | | | | | | | | |||N|0|N|N|408A|TUR|KY|||||||||||N||N||||||N|2|Y||N||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0921|0.0921|0.0|0.0921|0.0721|0.114|0.0926|0.0941|0.0721|0.095|0.0721|0.114|0.0|0.0|0.0926|0.0941|0.1599|0.0049|11000|2236172 2621|MRTN|MRTN|573075108|US5730751089|Marten Transport Ltd|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN6-1|TXN14-2|TXN6-7|TXN6-3|81310000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502060|50206010|Industrials|Industrial Goods and Services|Industrial Transportation|Trucking|N||N||||||Y|0|Y||||||19.61|19.62|0.0|0.0|19.62|19.62|19.62|19.63|0.0|0.0|19.62|19.61|19.62|19.56|0.0|19.635|0.0|19.625|0.0|19.62|19.59|19.78|14.91|23.69|19.46|19.78|19.59|19.64|19.59|19.65|19.62|19.63|23.38|17.34|207744|66007355 42339|MRTX|MRTX|60468T105|US60468T1051|Mirati Therapeutics Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN5-2|TXN12-1|TXN6-1|TXN6-8|70150000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||56.91|56.93|0.0|0.0|56.94|56.92|56.95|56.92|0.0|57.0|56.95|56.93|56.94|57.0|57.05|56.9|56.99|56.95|56.945|56.94|56.66|57.19|53.07|60.72|56.73|57.16|54.17|59.9|0.0|0.0|56.92|56.94|96.47|27.3|840410|334908886 53131|MRUS|MRUS|N5749R100|NL0011606264|Merus NV|COM EUR.05||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN5-5|TXN12-2|TXN5-8|TXN6-2|57730000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||NLD||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||23.735|23.59|0.0|23.77|23.65|23.635|23.615|23.615|0.0|0.0|23.63|23.34|23.59|23.77|23.65|23.64|24.03|23.59|23.625|23.59|22.75|23.96|18.54|29.16|23.15|23.88|23.49|23.83|23.47|23.69|23.59|23.69|27.7|12.44|1992591|79715031 68218|MRVI|MRVI|56600D107|US56600D1072|Maravai LifeSciences Holdings Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN6-1|TXN13-8|TXN5-4|TXN6-3|132190000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||5.39|5.38|0.0|5.51|5.39|5.385|5.38|5.38|0.0|0.0|5.39|5.39|5.38|5.4|5.42|5.38|5.39|5.38|5.41|5.38|5.36|5.4|5.08|5.72|5.36|5.4|5.35|5.42|5.34|5.4|5.38|5.39|16.9|4.52|2297573|530342849 2623|MRVL|MRVL|573874104|US5738741041|Marvell Technology Inc|COM USD.002||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN6-5|TXN14-6|TXN6-8|TXN6-3|862800000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||USA||||10|1010|101020|10102010|Technology|Technology|Technology Hardware and Equipment|Semiconductors|N||N||||||Y|0|Y||||||52.01|52.0|0.0|52.01|52.02|52.0|51.995|52.01|0.0|0.0|52.0|52.02|52.01|52.02|52.02|52.0|52.02|52.01|52.005|52.01|52.0|52.03|48.18|54.82|51.98|52.03|51.96|52.05|52.0|52.06|52.01|52.02|67.99|33.75|13407517|2743549732 7919|MS|MS|617446448|US6174464486|Morgan Stanley|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|A|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-4|TXN4-4|TXN2-2|TXN4-8|TXN3-7|1641310000|||Quarterly|||||1986-03-21||||||| | | | | | | | | |||N|1|Y|Y|404A|USA|US|||30|3020|302020|30202015|Financials|Financial Services |Investment Banking and Brokerage Services |Investment Services|N||N||||||Y|0|Y||Y|1|||81.2|81.22|0.0|81.2|81.195|81.2|81.2|81.21|0.0|0.0|81.21|81.21|81.205|81.19|81.19|81.21|81.2|81.2|81.18|81.21|81.18|81.21|76.18|86.36|81.17|81.22|81.13|81.27|81.18|81.21|81.18|81.21|100.99|69.42|6713828|1778249050 16808|MS PRA|MSpA|61747S504|US61747S5047|Morgan Stanley|Depositary Shares (Each representing 1/1,000th interest in a share of Floating Rate Non-Cumulative Preferred Stock, Series A)|Operating company|B|N|N|N|Y|Y|Y|Y|Y|8|I|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN4-6|TXN1-5|TXN2-3|TXN4-3|44000000|||Quarterly|||||2006-07-07|2099-12-31|||||| | | | | | | | | |||N|0|N|N|404A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||21.65|21.6|0.0|0.0|21.69|21.55|21.59|21.6|0.0|0.0|21.62|0.0|21.58|0.0|0.0|21.55|21.67|21.55|0.0|21.55|21.55|21.65|16.68|26.63|21.09|22.06|16.68|26.63|0.0|0.0|20.07|21.64|22.2|18.7228|71404|15398321 42807|MS PRE|MSpE|61762V200|US61762V2007|Morgan Stanley|Depositary Shares, each representing 1/1,000th of a share of Fixed-to-Floating Rate Non-Cumulative Preferred Stock, Series E|Operating company|B|N|N|N|Y|Y|Y|Y|Y|8|I|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN3-3|TXN1-5|TXN1-7|TXN2-5|34500000|||Quarterly|||||2013-10-02||||||| | | | | | | | | |||N|0|N|N|404A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||25.25|25.26|0.0|25.255|25.27|25.25|25.24|25.255|0.0|0.0|25.255|25.25|25.255|25.26|25.26|25.26|25.25|25.24|0.0|25.26|25.24|25.25|25.25|25.26|24.75|25.27|0.0|0.0|0.0|0.0|25.24|25.25|26.28|24.89|176917|25754164 43275|MS PRF|MSpF|61763E207|US61763E2072|Morgan Stanley|Depositary shares, each representing 1/1,000 th ownership interest in a share of Fixed-to-Floating Rate Non-Cumulative Preferred Stock, Series F|Operating company|B|N|N|N|Y|Y|Y|Y|Y|8|I|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN2-2|TXN9-8|TXN4-3|TXN4-4|34000000|||Quarterly|||||2013-12-13||||||| | | | | | | | | |||N|0|N|N|404A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||25.25|25.31|0.0|0.0|25.25|25.24|25.25|25.245|0.0|0.0|25.26|0.0|25.28|25.23|25.04|25.25|25.24|25.25|25.25|25.25|25.25|25.29|25.24|25.26|24.74|25.83|0.0|0.0|0.0|0.0|25.25|25.29|26.05|24.33|75431|29841296 44994|MS PRI|MSpI|61761J406|US61761J4067|Morgan Stanley|Depositary shares, each representing 1/1,000th of a share of Fixed-to-Floating Rate Non-Cumulative Preferred Stock, Series I|Operating company|B|N|N|N|Y|Y|Y|Y|Y|8|I|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN4-4|TXN8-8|TXN2-7|TXN2-1|40000000|||Quarterly|||||2014-09-23||||||| | | | | | | | | |||N|0|N|N|404A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||24.91|24.95|0.0|0.0|24.95|24.95|24.91|24.92|0.0|0.0|24.9|24.9|24.95|24.95|24.34|24.91|24.92|24.91|0.0|24.91|24.91|24.97|19.31|30.55|24.41|25.4|19.31|30.55|0.0|0.0|24.91|24.97|25.7|23.25|71190|21604863 56593|MS PRK|MSpK|61762V606|US61762V6065|Morgan Stanley|Depositary Shares, each representing 1/1,000th of a share of Fixed-to-Floating Rate Non-Cumulative Preferred Stock, Series K|Operating company|B|N|N|N|Y|Y|Y|Y|Y|8|I|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN3-5|TXN7-8|TXN2-2|TXN4-3|40000000|||Quarterly|||||2017-02-03||||||| | | | | | | | | |||N|0|N|N|404A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||23.54|23.57|0.0|0.0|23.53|23.54|23.5421|23.57|0.0|0.0|23.54|0.0|23.56|0.0|23.28|23.59|23.55|23.53|0.0|23.59|23.53|23.61|18.22|29.22|23.49|23.62|18.22|29.22|0.0|0.0|23.53|23.88|25.41|15.76|81383|22302116 65138|MS PRL|MSpL|61762V804|US61762V8046|Morgan Stanley|Depositary Shares, each representing 1/1,000th of a share of 4.875% Non-Cumulative Preferred Stock, Series L|Operating company|B|N|N|N|Y|Y|Y|Y|Y|8|I|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN1-8|TXN8-8|TXN1-1|TXN3-3|20000000|||Quarterly|||||2019-11-27||||||| | | | | | | | | |||N|0|N|N|404A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||20.98|20.94|0.0|0.0|21.04|20.95|20.97|20.92|0.0|0.0|20.96|21.15|20.99|21.0|0.0|20.98|20.95|20.98|0.0|20.98|20.92|21.04|20.95|20.99|20.92|21.4|0.0|0.0|0.0|0.0|20.95|21.04|23.63|18.155|31228|7364895 72176|MS PRO|MSpO|61762V861|US61762V8616|Morgan Stanley|Depositary Shares, each representing 1/1,000th of a share of 4.250% Non-Cumulative Preferred Stock, Series O|Operating company|B|N|N|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN2-1|TXN9-8|TXN1-7|TXN4-7|52000000|||Quarterly|||||2021-10-29||||||| | | | | | | | | |||N|0|N|N|404A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||18.54|18.49|0.0|0.0|18.53|18.53|18.53|18.52|0.0|0.0|18.48|0.0|18.53|18.39|18.0|18.53|18.49|18.55|18.38|18.53|18.52|18.55|14.32|22.73|18.27|18.84|14.32|22.73|0.0|0.0|18.52|18.55|20.1572|15.7|178134|27724183 74351|MS PRP|MSpP|61762V853|US61762V8533|Morgan Stanley|Depositary shares, each representing 1/1,000th ownership interest in a share of 6.500% Non-Cumulative Preferred Stock, Series P|Operating company|B|N|N|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN4-6|TXN1-5|TXN3-4|TXN1-1|40000000|||Quarterly|||||2022-08-08||||||| | | | | | | | | |||N|0|N|N|404A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||25.78|25.8|0.0|0.0|25.8|25.8|25.78|25.8|0.0|0.0|25.8|25.99|25.8|25.79|25.87|25.77|25.77|25.81|25.78|25.77|25.77|25.94|25.77|25.87|25.31|26.03|0.0|0.0|0.0|0.0|25.77|25.87|26.78|24.25|70324|31295111 7862|MSA|MSA|553498106|US5534981064|MSA Safety Incorporated|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN1-2|TXN7-8|TXN3-5|TXN3-5|39310000|||Quarterly|||||2004-07-12||||||| | | | | | | | | |||N|0|Y|Y|122A|USA|US|||50|5020|502020|50202020|Industrials|Industrial Goods and Services|Electronic and Electrical Equipment|Electronic Equipment: Control and Filter|N||N||||||Y|0|Y||Y|1|||176.83|176.87|0.0|176.83|177.335|176.79|176.87|176.86|0.0|0.0|178.82|177.37|176.77|177.335|178.46|176.78|173.93|176.75|167.1|176.78|176.74|176.86|165.86|189.1|175.59|177.19|176.36|177.17|176.27|176.81|176.74|176.86|185.57|122.57|141835|29812406 7863|MSB|MSB|590672101|US5906721015|Mesabi Trust|Units of Beneficial Interest|Royalty trust|A|N|N|N|Y|Y|Y|Y|Y|6|P|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN1-2|TXN5-8|TXN2-2|TXN3-3|13120000|||Quarterly|||||1961-07-28||||||| | | | | | | | | |||N|0|N|Y|412C|USA|US|||55|5510|551020|55102010|Basic Materials|Basic Resources|Industrial Metals and Mining|Iron and Steel|N||N||||||Y|0|Y||Y|2|||0.0|18.2|0.0|0.0|18.01|18.175|18.12|18.16|0.0|0.0|17.97|18.12|18.17|0.0|0.0|18.13|0.0|18.2|18.04|18.13|18.12|18.22|14.05|22.31|17.82|18.55|14.05|22.31|0.0|0.0|18.12|18.22|28.995|17.13|49770|9293366 38627|MSBI|MSBI|597742105|US5977421057|Midland States Bancorp Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN6-5|TXN10-5|TXN6-1|TXN5-7|21540000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||||||24.29|24.25|0.0|24.3|24.34|24.28|24.34|24.33|0.0|0.0|0.0|0.0|24.28|24.25|0.0|24.27|0.0|24.25|0.0|24.28|24.04|24.62|18.33|29.68|24.11|24.58|18.33|24.36|0.0|24.3|24.28|24.3|27.73|17.98|48582|15708321 74541|MSBIP|MSBIP|597742303|US5977423038|Midland States Bancorp Inc|7.75% DEP PFD A||B|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN5-5|TXN14-4|TXN6-2|TXN6-3|4600000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|24.44|0.0|0.0|0.0|24.445|24.4499|0.0|0.0|0.0|24.3|0.0|24.44|0.0|0.0|0.0|0.0|24.44|0.0|24.44|0.0|0.0|0.0|0.0|23.77|24.98|0.0|0.0|0.0|0.0|24.26|24.45|27.1|18.25|3437|2093031 61993|MSC|MSC|86389T106|US86389T1060|Studio City International Holdings Limited|American depositary shares, each representing four Class A ordinary shares|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|5|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN3-4|TXN6-8|TXN4-3|TXN3-4|770350000|||NotApplicable|||||2018-10-18||||||| | | | | | | | | |||N|0|N|Y|144B|HKG|KY|||40|4050|405010|40501020|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Casinos and Gambling|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|5.2|5.22|0.0|0.0|0.0|0.0|0.0|0.0|0.0|5.2|0.0|5.2|0.0|5.2|5.2|5.34|0.0|0.0|4.86|5.67|0.0|0.0|0.0|0.0|5.2|5.41|9.5699|2.73|401|4126385 26253|MSCI|MSCI|55354G100|US55354G1004|MSCI Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|I|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|4|0.01|0.01|5000000|1|100|TXN5-8|TXN2-7|TXN3-8|TXN4-3|TXN2-2|79090000|||Quarterly|||||2007-11-15||||||| | | | | | | | | |||N|5|Y|Y|408A|USA|US|||30|3020|302010|30201030|Financials|Financial Services |Finance and Credit Services|Financial Data Providers|N||N||||||Y|0|Y||Y|1|||525.27|525.67|0.0|525.36|525.78|526.17|525.09|525.44|0.0|0.0|524.73|525.67|525.14|525.28|525.55|525.49|524.86|525.17|525.71|525.49|525.48|525.49|490.74|560.89|521.5|525.75|524.35|526.22|524.16|525.49|525.48|525.49|572.5|450.0|259149|100443211 7865|MSD|MSD|61744H105|US61744H1059|Morgan Stanley Emerging Markets Debt Fund, Inc.|Common Stock|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN4-1|TXN9-8|TXN3-2|TXN2-4|20360000|||Quarterly|||||1993-07-16||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||6.64|6.64|0.0|0.0|6.66|6.64|6.64|6.615|0.0|0.0|6.64|6.64|6.64|6.66|6.66|6.62|6.62|6.62|6.64|6.62|6.62|6.65|5.13|8.19|6.19|6.69|6.6|6.67|0.0|0.0|6.62|6.65|7.07|6.11|151266|17589123 2631|MSEX|MSEX|596680108|US5966801087|Middlesex Water Co|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN5-4|TXN12-2|TXN6-6|TXN6-3|17810000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||65|6510|651020|65102030|Utilities|Utilities|Gas, Water and Multi-utilities |Water|N||N||||||Y|0|Y||||||67.53|68.28|0.0|68.55|0.0|68.12|68.53|68.52|0.0|0.0|67.74|0.0|68.61|0.0|0.0|68.39|0.0|68.53|0.0|68.61|67.78|69.28|51.99|83.33|67.77|68.62|68.28|68.83|68.48|68.8|68.48|68.61|93.68|61.34|65312|28186024 74557|MSFD|MSFD|25461A403|US25461A4031|Direxion Daily MSFT Bear 1X Shares|ETF||ETS|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN5-6|TXN13-3|TXN5-2|TXN5-2|525001|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|15.965|0.0|0.0|0.0|15.96|15.96|0.0|0.0|0.0|15.965|15.96|15.97|16.149|0.0|15.97|0.0|15.965|0.0|15.97|15.94|15.97|15.93|16.0|15.95|15.97|15.93|16.0|0.0|0.0|15.96|15.97|27.51|15.24|46055|12354205 76218|MSFO|MSFO|88634T428|US88634T4287|Tidal Trust II|YieldMax MSFT Option Income Strategy ETF|Trust|ETS|N|N|P|Y|Y|Y|Y|Y||||||||Tidal ETF Services |Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-6|TXN2-7|TXN9-8|TXN1-8|TXN4-4|550000|||Monthly|||||2023-08-25||MSFO.NV|MSFO.SO|MSFO.EU|MSFO.TC| | | | | | | | | | |1x|the Fund uses a synthetic covered call strategy to provide income and exposure to the share price returns of MSFT, subject to a limit on potential investment gains as a result of the nature of the options strategy it employs.|N|0|N|N|416A|USA|US|HYBRID|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||22.36|22.38|0.0|0.0|22.15|22.35|22.43|22.38|0.0|0.0|22.1|22.82|22.37|22.01|0.0|0.0|0.0|22.36|0.0|22.36|0.0|0.0|0.0|0.0|22.31|22.53|0.0|0.0|0.0|0.0|22.31|22.53|23.045|19.53|28843|1681132 2633|MSFT|MSFT|594918104|US5949181045|Microsoft Corp|COM USD.00000625||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN6-7|TXN12-3|TXN5-3|TXN6-4|7432260000|||NotApplicable|||||||||||| | | | | | | | | |||Y|1|Y|N||USA||||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||||||369.13|369.26|0.0|369.1|369.15|369.26|369.155|369.24|0.0|0.0|369.26|369.17|369.14|369.25|369.22|369.15|369.03|369.27|369.03|369.14|368.96|369.43|342.32|388.62|369.23|369.45|368.84|369.44|368.78|369.47|369.26|369.27|384.3|219.35|32063305|6463213836 74558|MSFU|MSFU|25461A866|US25461A8669|Direxion Daily MSFT Bull 1.5X Shares|ETF||ETS|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN5-6|TXN12-4|TXN5-5|TXN5-5|1500001|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||38.551|39.1|0.0|0.0|38.57|39.09|39.01|39.03|0.0|0.0|39.04|39.06|39.04|39.1|39.11|39.12|39.02|39.07|0.0|39.04|39.02|39.11|30.35|47.06|39.04|39.07|30.35|47.06|0.0|0.0|39.04|39.06|41.5|19.429|250606|23782751 76531|MSFY|MSFY|78433H782|US78433H7825|Kurv Yield Premium Strategy Microsoft (MSFT) ETF|ETF||ETS|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-5|TXN1-2|TXN3-8|TXN4-3|TXN3-4|20000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|25.8821|0.0|0.0|0.0|0.0|26.48|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|25.8821|0.0|25.8821|0.0|0.0|25.78|25.88|25.84|25.95|0.0|0.0|0.0|0.0|25.84|25.91|26.78|24.92|250|17569 75609|MSGE|MSGE|558256103|US5582561032|Madison Square Garden Entertainment Corp.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN3-7|TXN7-8|TXN4-1|TXN3-5|41100000|||NotApplicable|||||2023-04-17||||||| | | | | | | | | |||N|0|N|Y|144D|USA|US|||40|4050|405010|40501030|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Recreational Services|N||N||||||Y|0|Y||Y|2|||30.9|30.89|0.0|30.86|30.96|30.9|30.965|30.97|0.0|0.0|30.89|30.84|30.98|30.88|30.86|30.98|30.26|30.98|30.45|30.98|30.96|30.98|23.77|37.82|30.88|31.03|30.93|31.01|30.96|31.02|30.96|30.98|62.79|27.55|392124|89101716 68733|MSGM|MSGM|62011B201|US62011B2016|Motorsport Games Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN5-3|TXN13-4|TXN5-1|TXN5-4|2720000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4020|402030|40203040|Consumer Discretionary|Consumer Products and Services|Leisure Goods|Electronic Entertainment|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|2.6|2.6997|2.66|0.0|0.0|0.0|0.0|2.63|0.0|0.0|2.68|0.0|2.6997|0.0|2.6997|2.16|3.15|0.0|0.0|2.43|2.81|2.16|3.15|0.0|0.0|2.56|2.7|49.5|2.01|8477|135538759 51463|MSGS|MSGS|55825T103|US55825T1034|Madison Square Garden Sports Corp.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN4-8|TXN6-8|TXN1-6|TXN3-4|19400000|||Adhoc|||||2015-09-17||||||| | | | | | | | | |||N|0|Y|Y|144D|USA|US|||40|4050|405010|40501030|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Recreational Services|N||N||||||Y|0|Y||Y|1|||172.0|172.4|0.0|172.02|171.0|171.01|172.57|172.5|0.0|0.0|172.4|172.37|172.56|171.99|171.0|172.58|169.25|172.57|169.12|172.58|172.57|172.58|159.85|182.68|170.99|173.86|172.2|172.81|172.45|172.92|172.57|172.58|215.785|157.4|113763|40640711 7816|MSI|MSI|620076307|US6200763075|Motorola Solutions, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|A|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-4|TXN1-1|TXN5-5|TXN3-7|TXN2-7|165970000|||Quarterly|||||2010-12-17||||||| | | | | | | | | |||N|5|Y|Y|114B|USA|US|||15|1510|151010|15101010|Telecommunications|Telecommunications|Telecommunications Equipment|Telecommunications Equipment|N||N||||||Y|0|Y||Y|1|||323.63|323.63|0.0|323.65|323.65|323.67|323.64|323.65|0.0|0.0|323.7|323.7|323.67|323.33|323.7|323.66|321.93|323.66|323.7|323.66|323.62|323.63|301.25|341.56|323.42|324.0|323.37|323.92|323.35|323.91|323.62|323.63|325.895|251.0|786205|167129681 7871|MSM|MSM|553530106|US5535301064|MSC Industrial Direct Co., Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-7|TXN2-4|TXN7-5|TXN1-3|TXN1-4|57240000|||Quarterly|||||1995-12-15||||||| | | | | | | | | |||N|0|Y|Y|126E|USA|US|||50|5020|502050|50205010|Industrials|Industrial Goods and Services|Industrial Support Services|Industrial Suppliers|N||N||||||Y|0|Y||Y|1|||98.01|98.36|0.0|97.67|98.36|98.26|98.2|98.37|0.0|0.0|98.36|98.17|98.22|97.78|97.94|98.22|98.0|98.2|98.22|98.22|98.2|98.22|91.38|103.68|97.8|98.89|98.15|98.29|98.14|98.31|98.2|98.22|105.7706|76.7478|495610|91866679 72405|MSMR|MSMR|26922B774|US26922B7745|McElhenny Sheffield Managed Risk ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-4|TXN4-7|TXN4-8|TXN3-4|TXN1-3|1580000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|24.49|0.0|0.0|0.0|0.0|24.43|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|24.49|0.0|24.49|24.43|24.5|0.0|0.0|24.3|24.61|12.28|36.84|0.0|0.0|24.42|24.49|26.97|20.35|44772|944405 7872|MSN|MSN|291087203|US2910872033|Emerson Radio Corp|Common Stock|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN10-6|TXN1-5|TXN7-8|TXN1-1|TXN3-6|21040000|||Adhoc|||||1994-12-22||||||| | | | | | | | | |||N|0|N|N|144A|USA|US|||40|4020|402030|40203010|Consumer Discretionary|Consumer Products and Services|Leisure Goods|Consumer Electronics|N||N||||||N|0|Y||Y|2|||0.5501|0.0|0.0|0.0|0.0|0.0|0.5501|0.0|0.0|0.0|0.5501|0.5557|0.0|0.0|0.0|0.5501|0.5585|0.5585|0.0|0.5585|0.0|0.0|0.551|0.5598|0.5136|0.56|0.0|0.0|0.0|0.0|0.551|0.5598|0.6574|0.51|930|2457887 67414|MSOS|MSOS|00768Y453|US00768Y4531|AdvisorShares Trust|AdvisorShares Pure US Cannabis ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||AdvisorShares|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-6|TXN4-3|TXN6-8|TXN1-1|TXN3-7|82635000|||Quarterly|||||2020-09-02||MSOS.NV|MSOS.SO|MSOS.EU|MSOS.TC|MSOS.IV| | | | | | | | | ||he Fund is an actively managed exchange-traded fund that seeks to achieve its investment objective by investing at least 80% of its net assets in securities of companies that derive at least 50% of their net revenue from the marijuana and hemp business in the United States and in derivatives that have economic characteristics similar to such securities.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||Y|0|Y||Y|1|||7.26|7.27|0.0|7.25|7.25|7.245|7.2404|7.24|0.0|0.0|7.24|7.25|7.23|7.25|7.245|7.24|7.235|7.24|7.245|7.24|6.76|7.74|6.75|7.74|7.23|7.25|6.76|7.74|7.09|7.33|7.23|7.25|14.595|4.78|8913939|890981800 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Streicher & Co. L.L.C.|JSCO|3856|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-1|TXN2-7|TXN4-8|TXN3-5|TXN3-7|52840000|||Adhoc|||||2020-01-08||||||| | | | | | | | | |||N|0|N|N|130E|CAN|CA|||55|5510|551020|55102000|Basic Materials|Basic Resources|Industrial Metals and Mining|General Mining|N||N||||||Y|0|Y||Y|2|||3.18|3.16|0.0|0.0|3.17|3.165|3.16|3.17|0.0|0.0|3.17|3.18|3.165|3.16|3.17|3.165|3.19|3.19|3.26|3.19|3.15|3.18|3.16|3.17|3.16|3.18|3.15|3.19|3.14|3.17|3.16|3.17|5.89|2.585|316436|51054545 71738|MTAL|MTAL|G60409110|JE00BQBC8469|Metals Acquisition Limited|Ordinary Shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|6|P|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN3-6|TXN3-8|TXN2-3|TXN4-4|48410000|||NotApplicable|||||2023-06-16||||||| | | | | | | | | |||N|0|N|Y|130E|JEY|JE|||55|5510|551020|55102000|Basic Materials|Basic Resources|Industrial Metals and Mining|General Mining|N||N||||||N|0|Y||Y|2|||9.98|0.0|0.0|0.0|0.0|9.89|10.225|9.61|0.0|0.0|0.0|0.0|10.67|0.0|0.0|10.3|0.0|10.1|0.0|10.3|10.1|10.5|0.0|0.0|9.9|10.64|0.0|0.0|0.0|0.0|10.1|10.5|13.1|8.49|11651|15425066 71739|MTAL WS|MTAL.WS|G60409102|JE00BQBC9988|Metals Acquisition Limited|Warrants to purchase one share of Ordinary Share, each at an exercise price of $11.50 per share|Operating company|C|N|Y|N|Y|Y|Y|Y|Y|6|P|Citadel Securities 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It provides 2 times leveraged long exposure to the compounded quarterly performance of the total return version of the MSCI USA Momentum GR USD. The underlying index is designed to reflect the performance of an equity momentum strategy over the MSCI USA Index by emphasizing stocks with high price momentum, while maintaining reasonably high trading liquidity, investment capacity and moderate index turnover. The MSCI USA Index is designed to measure the performance of the large and mid-cap segments of the U.S. equity market. The Securities are senior unsecured debt securites.|N|0|N|N|416A||CH|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|16.8884|0.0|16.8884|0.0|0.0|0.0|0.0|16.84|16.92|16.32|17.42|0.0|0.0|16.84|16.92|17.6592|13.53|0|77762 41858|MTUM|MTUM|46432F396|US46432F3964|iShares MSCI USA Momentum Factor ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-5|TXN1-3|TXN2-8|TXN2-3|TXN1-1|54100000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||148.93|148.84|0.0|148.03|148.85|148.88|148.89|148.92|0.0|0.0|148.86|148.85|148.85|148.03|148.89|148.89|148.89|148.84|148.03|148.84|148.55|149.21|148.65|149.02|148.84|148.9|148.76|149.03|148.76|148.99|148.84|148.9|152.43|132.05|529073|116196980 7897|MTW|MTW|563571405|US5635714059|The Manitowoc Company, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN2-1|TXN1-8|TXN4-8|TXN3-7|35090000|||NotApplicable|||||2017-11-20||||||| | | | | | | | | |||N|0|N|Y|126A|USA|US|||50|5020|502040|50204020|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Construction and Handling|N||N||||||Y|0|Y||Y|2|||15.94|15.82|0.0|15.84|15.84|15.82|15.82|15.84|0.0|0.0|15.82|15.8|15.84|15.73|15.75|15.84|15.81|15.84|15.73|15.84|15.83|15.84|12.37|19.55|15.68|15.96|15.81|15.86|15.8|15.87|15.83|15.84|20.2|9.0|498613|72616049 7898|MTX|MTX|603158106|US6031581068|Minerals Technologies Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN1-2|TXN1-5|TXN3-8|TXN4-8|32540000|||Quarterly|||||1992-10-23||||||| | | | | | | | | |||N|0|N|Y|104B|USA|US|||55|5510|551010|55101000|Basic Materials|Basic Resources|Industrial Materials|Diversified Materials|N||N||||||N|0|Y||Y|2|||64.09|63.82|0.0|63.86|64.01|64.23|64.3|64.245|0.0|0.0|63.9|64.0|64.245|63.91|64.45|64.3|63.905|64.3|64.14|64.3|64.19|64.3|49.02|78.91|64.05|64.39|64.04|64.44|64.19|64.45|64.19|64.3|73.57|48.61|134501|37224323 7900|MTZ|MTZ|576323109|US5763231090|MasTec, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|M|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-6|TXN2-7|TXN5-4|TXN3-3|TXN2-3|78820000|||NotApplicable|||||1997-02-14||||||| | | | | | | | | |||N|0|Y|Y|114D|USA|US|||50|5010|501010|50101015|Industrials|Construction and Materials|Construction and Materials |Engineering and Contracting Services|N||N||||||Y|0|Y||Y|1|||64.59|64.37|0.0|64.36|64.36|64.37|64.37|64.385|0.0|0.0|64.42|64.58|64.36|64.52|64.5|64.36|64.53|64.36|64.46|64.36|64.36|64.37|60.82|68.76|64.23|64.53|64.25|64.5|64.25|64.51|64.36|64.37|123.33|44.65|1190180|186756137 7901|MU|MU|595112103|US5951121038|Micron Technology Inc.|COM USD.1||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN5-3|TXN14-5|TXN6-4|TXN6-5|1103730000|||NotApplicable|||||||||||| | | | | | | | | |||N|5|Y|N||USA||||10|1010|101020|10102010|Technology|Technology|Technology Hardware and Equipment|Semiconductors|N||N||||||Y|0|Y||||||74.29|74.31|0.0|74.26|74.31|74.31|74.28|74.28|0.0|0.0|74.31|74.3|74.29|74.27|74.31|74.3|74.29|74.31|74.285|74.29|74.28|74.32|73.83|79.06|74.29|74.32|74.22|74.33|74.25|74.33|74.31|74.32|79.02|48.43|11659334|3516953665 7902|MUA|MUA|09254J102|US09254J1025|BlackRock MuniAssets Fund, Inc.|Common Stock|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN4-5|TXN9-8|TXN1-4|TXN3-3|38440000|||Monthly|||||1993-07-16||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||10.5|10.45|0.0|10.46|10.46|10.45|10.45|10.45|0.0|0.0|10.43|0.0|10.44|10.44|10.33|10.43|10.46|10.44|10.44|10.43|10.43|10.45|7.92|12.92|10.28|10.55|10.4|10.47|10.42|10.45|10.43|10.45|11.605|8.61|135166|21151881 25548|MUB|MUB|464288414|US4642884146|iShares Trust|iShares National Muni Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-1|TXN3-4|TXN1-7|TXN4-6|TXN3-5|350500000|||Monthly|||||2008-11-06||MUB.NV|MUB.SO|MUB.EU|MUB.TC|MUB.IV| | | | | | | | | |1x|The iShares National Muni Bond ETF seeks results that correspond generally to the price and yield performance, before fees and expenses, of the municipal bond sector of the United States as defined by the S&P National AMT-Free Municipal Bond Index. THE UNDERLYING INDEX MEASURES THE PERFORMANCE OF THE investment-GRADE SEGMENT OF THE U.S. MUNICIPAL BOND MARKET. AS OF MAY 31, 2009, THERE WERE 8,079 ISSUES IN THE UNDERLYING INDEX. THE UNDERLYING INDEX INCLUDES MUNICIPAL BONDS FROM ISSUERS THAT ARE PRIMARILY STATE OR LOCAL GOVERNMENTS OR AGENCIES (INCLUDING THE COMMONWEALTH OF PUERTO RICO AND U.S. TERRITORIES SUCH AS THE U.S. VIRGIN ISLANDS AND GUAM) SUCH THAT THE INTEREST ON THE BOND IS EXEMPT FROM U.S. FEDERAL INCOME TAXES AND THE FEDERAL ALTERNATIVE MINIMUM TAX (AMT) AS DETERMINED BY THE INDEX PROVIDER IN ACCORDANCE WITH ITS METHODOLOGY. EACH BOND MUST HAVE A RATING OF AT LEAST BBB- BY STANDARD & POORS, BAA3 BY MOODYS INVESTORS SERVICE, INC., OR BBB- BY FITCH INC. EACH BOND MUST BE DENOMINATED IN U.S. DOLLARS. EACH BOND IN THE UNDERLYING INDEX MUST BE A CONSTITUENT OF AN OFFERING WHERE THE OFFERINGS ORIGINAL OFFERING AMOUNT WAS AT LEAST $100 MILLION. THE BOND MUST HAVE A MINIMUM PAR AMOUNT OF $25 MILLION TO BE ELIGIBLE FOR INCLUSION. TO REMAIN IN THE UNDERLYING INDEX, BONDS MUST MAINTAIN A MINIMUM PAR AMOUNT GREATER THAN OR EQUAL TO $25 MILLION AS OF THE NEXT REBALANCING DATE. IN ADDITION, EACH BOND MUST HAVE A MINIMUM TERM TO MATURITY ANDOR PRE-REFUNDED OR CALL DATE GREATER THAN OR EQUAL TO ONE CALENDAR MONTH TO BE INCLUDED IN THE UNDERLYING INDEX. THE UNDERLYING INDEX IS A MARKET VALUE WEIGHTED INDEX, AND THE SECURITIES IN THE UNDERLYING INDEX ARE UPDATED AFTER THE CLOSE ON THE LAST BUSINESS DAY OF EACH MONTH.|N|0|N|N|412C|USA|US|FIXED_INCOME|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||106.7|106.72|0.0|106.67|106.715|106.72|106.73|106.72|0.0|0.0|106.72|106.72|106.73|106.71|106.71|106.72|106.71|106.7|106.7|106.7|101.29|111.96|99.87|113.68|106.71|106.73|101.29|111.96|104.43|108.87|106.71|106.73|108.66|100.78|4100306|817122104 7903|MUC|MUC|09254L107|US09254L1070|BlackRock MuniHoldings California Quality Fund, Inc.|Common Stock|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN3-5|TXN8-8|TXN1-1|TXN1-5|97530000|||Monthly|||||1998-03-02||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||10.74|10.74|0.0|0.0|10.75|10.745|10.745|10.745|0.0|0.0|10.745|10.75|10.75|10.74|10.77|10.74|10.74|10.75|10.77|10.74|10.74|10.75|8.23|13.16|10.74|10.76|10.71|10.78|10.73|10.76|10.74|10.75|11.71|9.19|323638|56343551 7904|MUE|MUE|09254C107|US09254C1071|BlackRock MuniHoldings Quality Fund II, Inc.|Common Stock|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN4-3|TXN5-8|TXN3-6|TXN1-2|22520000|||Monthly|||||1999-03-08||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||9.8|9.81|0.0|9.83|9.79|9.83|9.8205|9.86|0.0|0.0|9.81|0.0|9.825|9.83|9.81|9.82|9.91|9.83|9.88|9.82|9.82|9.83|7.59|12.06|9.23|10.54|9.79|9.86|9.81|9.84|9.82|9.83|10.58|8.53|92821|15264370 7896|MUFG|MUFG|606822104|US6068221042|Mitsubishi UFJ Financial Group, Inc.|American Depositary Shares (Each Representing one share of Common Stock)|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-3|TXN4-7|TXN7-2|TXN1-2|TXN4-6|12687710000|||BiAnnually|||||1989-09-19||||||| | | | | | | | | |||N|0|N|Y|402B|JPN|JP|||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||Y|2|||8.52|8.515|0.0|8.66|8.51|8.515|8.515|8.515|0.0|0.0|8.52|8.52|8.515|8.52|8.52|8.51|8.51|8.52|8.52|8.51|8.51|8.52|8.49|8.54|8.51|8.52|8.51|8.54|8.48|8.53|8.51|8.52|9.04|5.3725|2527737|939650758 7906|MUI|MUI|09253X102|US09253X1028|BlackRock Municipal Income Fund, Inc.|Common Stock|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN3-4|TXN6-8|TXN1-1|TXN3-7|38300000|||Monthly|||||2003-07-30||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||0.0|11.38|0.0|11.38|11.38|11.385|11.385|11.38|0.0|0.0|11.385|11.38|11.39|11.39|11.46|11.39|11.38|11.385|0.0|11.39|11.38|11.39|8.82|13.97|10.7|11.55|11.35|11.42|11.38|11.4|11.38|11.39|12.15|9.73|219472|39112864 7907|MUJ|MUJ|09254X101|US09254X1019|BlackRock MuniHoldings New Jersey Quality Fund, Inc.|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN2-4|TXN7-8|TXN1-2|TXN1-2|30090000|||Monthly|||||1998-03-12||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||11.14|11.145|0.0|11.16|11.14|11.14|11.15|11.14|0.0|0.0|11.15|11.16|11.15|11.16|0.0|11.15|11.13|11.145|0.0|11.15|11.14|11.16|8.62|13.7|11.04|11.28|11.12|11.18|11.13|11.17|11.14|11.17|12.38|9.735|225069|27108116 40801|MULN|MULN|62526P307|US62526P3073|Mullen Automotive Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-5|TXN6-5|TXN10-2|TXN5-2|TXN6-1|413100000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4010|401010|40101020|Consumer Discretionary|Automobiles and Parts|Automobiles and Parts|Automobiles|N||N||||||Y|0|Y||||||0.2072|0.2072|0.0|0.2094|0.2073|0.2071|0.207|0.2072|0.0|0.0|0.2073|0.2083|0.2074|0.1894|0.2093|0.2071|0.1885|0.2071|0.20735|0.2074|0.2029|0.2126|0.1612|0.2468|0.2064|0.2071|0.1618|0.2468|0.0|0.0|0.207|0.2071|1.62|0.06|103804158|45495712811 31929|MUNI|MUNI|72201R866|US72201R8667|PIMCO ETF Trust|PIMCO Intermediate Municipal Bond Active Exchange-Traded Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||PIMCO|Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-3|TXN4-7|TXN6-8|TXN4-5|TXN2-2|24650000|||Monthly|||||2009-11-30||MUNI.NV|MUNI.SO|MUNI.EU|MUNI.TC|MUNI.IV| | | | | | | | | ||PIMCO Intermediate Municipal Bond Strategy Fund (MUNI) seeks attractive tax-exempt income, consistent with preservation of capital. The funds focus is on intermediate maturity municipal securities (exempt from federal income tax). The Fund seeks to achieve its investment objective by investing under normal circumstances at least 80% of its assets in a diversified portfolio of debt securities whose interest is, in the opinion of bond counsel for the issuer at the time of issuance, exempt from federal income tax (Municipal Bonds). Municipal Bonds generally are issued by or on behalf of states and local governments and their agencies, authorities and other instrumentalities.|N|0|N|N|416A|USA|US|FIXED_INCOME|ACTIVE|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||51.77|51.79|0.0|0.0|51.78|51.75|51.77|51.77|0.0|0.0|51.77|0.0|51.75|51.71|51.76|51.74|51.74|51.69|51.665|51.69|51.62|51.9|48.37|55.17|51.7|51.81|48.37|55.17|50.67|52.81|51.62|51.9|52.62|49.36|287085|37197198 7910|MUR|MUR|626717102|US6267171022|Murphy Oil Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|A|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-5|TXN3-6|TXN1-8|TXN2-7|TXN1-5|154470000|||Quarterly|||||1961-12-04||||||| | | | | | | | | |||N|0|N|Y|134D|USA|US|||60|6010|601010|60101010|Energy|Energy|Oil, Gas and Coal|Oil: Crude Producers|N||N||||||Y|0|Y||Y|2|||42.86|42.84|0.0|43.07|42.82|42.835|42.83|42.895|0.0|0.0|42.9|42.88|42.835|42.86|42.87|42.84|42.87|42.83|42.87|42.84|42.83|42.84|33.1|52.68|42.76|42.95|42.81|42.88|42.83|42.89|42.83|42.84|48.47|32.8|792201|379016793 76557|MURA|MURA|G63365103|IE000LK2BOB4|Mural Oncology plc|ORD||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN5-3|TXN11-4|TXN5-4|TXN6-8|16690000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||IRL||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||3.68|3.68|0.0|3.65|3.68|3.67|3.67|3.68|0.0|0.0|3.67|3.67|3.68|3.665|3.75|3.68|3.74|3.68|3.7|3.68|3.56|3.79|2.87|4.52|3.57|3.77|3.64|3.7|3.66|3.72|3.66|3.68|17.0|3.4|739129|16674310 42550|MUSA|MUSA|626755102|US6267551025|Murphy USA Inc|Common Stock, par value $0.01 per share|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN1-2|TXN1-8|TXN2-8|TXN3-3|21280000|||Quarterly|||||2013-08-19||||||| | | | | | | | | |||N|0|Y|Y|304A|USA|US|||40|4040|404010|40401030|Consumer Discretionary|Retail |Retailers |Specialty Retailers |N||N||||||Y|0|Y||Y|1|||366.93|367.37|0.0|367.43|367.16|367.61|367.48|367.27|0.0|0.0|367.25|367.21|367.57|368.84|367.16|367.52|369.5|367.51|373.63|367.52|367.51|367.52|345.1|389.64|365.14|369.24|366.93|367.87|366.7|367.92|367.51|367.52|382.04|231.65|282256|61391964 71034|MUSI|MUSI|025072398|US0250723980|American Century ETF Trust|American Century Multisector Income ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||American Century Investments|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-7|TXN4-7|TXN4-8|TXN2-1|TXN2-7|4200000|||Monthly|||||2021-07-01||MUSI.NV|MUSI.SO|MUSI.EU|MUSI.TC|MUSI.IV| | | | | | | | | |1x|American Century Multisector Income ETF (MUSI) seeks to balance interest rate and credit risk in pursuit of attractive income and total return with less interest rate sensitivity than typical core or core plus bond offerings. Seeking diversified sources of income in all interest rate environments, MUSI has the flexibility to tactically adjust sector exposures and credit quality in an effort to help enhance yield and actively reduce risk.|N|0|N|N|406B|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|42.6|0.0|0.0|0.0|0.0|42.59|42.57|0.0|0.0|0.0|0.0|42.57|42.4984|0.0|41.2584|0.0|42.6|0.0|42.6|0.0|0.0|0.0|0.0|42.58|42.6|0.0|0.0|0.0|0.0|42.57|42.6|44.28|40.74|15717|2691525 75984|MUSQ|MUSQ|301505483|US3015054832|Exchange Traded Concepts Trust|MUSQ Global Music Industry ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Exchange Traded Concepts|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-8|TXN3-3|TXN1-5|TXN1-5|TXN3-4|570000|||Yearly|||||2023-07-07||MUSQ.NV|MUSQ.SO|MUSQ.EU|MUSQ.TC| | | | | | | | | | |1x|The Fund invests in securities comprising the Index. The Index is comprised of publicly-traded global companies that generate at least 50% of theirannual revenue or $1 billion in annual sales from one or more of the following sub-segments of the global music industry: (A) music streaming, (B)music content and distribution, (C) live music events and ticketing, (D) satellite and broadcast radio, and (E) music equipment and technology, as wellas publicly-traded music funds and music related royalty trusts (collectively, Global Music Investments).Under normal circumstances, the Fund willinvest at least 80% of its net assets, plus the amount of any borrowings for investment purposes, in securities of Global Music Investments.|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|24.07|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|24.104|0.0|24.104|0.0|0.0|0.0|0.0|24.05|24.15|0.0|0.0|0.0|0.0|24.05|24.15|26.0|21.8337|3400|666663 61930|MUST|MUST|19761L607|US19761L6074|Columbia ETF Trust I|Columbia Multi-Sector Municipal Income ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Columbia Management Investment Advisers|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-5|TXN4-2|TXN8-8|TXN1-7|TXN4-2|19200000|||Monthly|||||2018-10-10||MUST.NV|MUST.SO|MUST.EU|MUST.TC|MUST.IV| | | | | | | | | |1x|Fund- The Columbia Multi-Sector Municipal Income ETF (MUST) seeks investment results that, before fees and expenses, closely correspond to the performance of the Beta Advantage Multi-Sector Municipal Bond Index. |N|0|N|N|416A|USA|US|FIXED_INCOME|INDEX|||||||||N||N||||||N|0|Y||Y|2|||20.4|20.43|0.0|0.0|0.0|20.39|20.345|20.4|0.0|0.0|20.39|20.04613|20.43|20.4|20.35|20.4|0.0|20.41|0.0|20.41|20.09|20.64|15.72|25.07|20.32|20.41|18.94|21.8|0.0|0.0|20.33|21.29|20.92|19.17|56570|21900196 15269|MUX|MUX|58039P305|US58039P3055|McEwen Mining Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-6|TXN2-2|TXN5-3|TXN2-1|TXN4-5|47490000|||BiAnnually|||||2010-11-02||||||| | | | | | | | | |||N|0|N|Y|130C|CAN|US|||55|5510|551030|55103025|Basic Materials|Basic Resources|Precious Metals and Mining|Gold Mining|N||N||||||Y|0|Y||Y|2|||7.41|7.41|0.0|7.38|7.4|7.41|7.405|7.41|0.0|0.0|7.41|7.37|7.41|7.4|7.31|7.42|7.4|7.4|7.4|7.42|7.4|7.42|5.59|9.1|7.34|7.46|7.37|7.44|7.36|7.43|7.4|7.42|10.0|5.01|696006|102486759 60254|MVBF|MVBF|553810102|US5538101024|MVB Financial Corp|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN5-6|TXN10-5|TXN6-1|TXN5-2|12740000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||||||0.0|20.89|0.0|0.0|20.85|20.82|20.82|20.86|0.0|0.0|20.87|0.0|20.86|0.0|0.0|20.84|0.0|20.86|0.0|20.86|20.09|21.58|0.0|0.0|20.42|21.24|0.0|0.0|0.0|0.0|20.85|20.86|27.4899|16.26|29070|8302568 7913|MVF|MVF|09253R105|US09253R1059|BlackRock MuniVest Fund, Inc.|Shares of Common Stock, par value $0.10|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN3-6|TXN6-8|TXN1-1|TXN2-2|64840000|||Monthly|||||2018-05-31||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||6.87|6.825|0.0|6.81|6.82|6.83|6.83|6.82|0.0|0.0|6.83|6.85|6.825|6.82|6.82|6.82|6.83|6.825|0.0|6.82|6.82|6.83|6.78|6.89|6.4|7.32|6.79|6.86|6.81|6.84|6.82|6.83|7.25|5.8499|194380|30768064 2684|MVIS|MVIS|594960304|US5949603048|Microvision Inc WA|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN5-1|TXN14-4|TXN6-1|TXN5-8|189990000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101020|10102015|Technology|Technology|Technology Hardware and Equipment|Electronic Components|N||N||||||Y|0|Y||||||2.71|2.72|0.0|0.0|2.715|2.72|2.715|2.71|0.0|0.0|2.715|2.705|2.71|2.715|2.71|2.715|2.705|2.72|2.7|2.71|2.71|2.74|2.1|3.27|2.71|2.74|2.69|2.73|2.71|2.74|2.71|2.72|8.2|1.82|2151436|729594267 70172|MVLA|MVLA|62459N105|US62459N1054|Movella Holdings Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-7|TXN6-2|TXN14-8|TXN5-3|TXN6-4|50910000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4020|402030|40203010|Consumer Discretionary|Consumer Products and Services|Leisure Goods|Consumer Electronics|N||N||||||N|0|Y||||||0.485|0.471|0.0|0.0|0.471|0.471|0.474|0.471|0.0|0.0|0.471|0.4697|0.485|0.471|0.0|0.473|0.0|0.485|0.0|0.485|0.4585|0.4993|0.3641|0.5851|0.47|0.4962|0.3641|0.5851|0.0|0.0|0.473|0.485|9.35|0.35|341835|100820906 70173|MVLAW|MVLAW|62459N113|US62459N1138|Movella Holdings Inc|WT EXP 021028||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-6|TXN5-3|TXN12-2|TXN5-5|TXN6-1|50910000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0172|0.0|0.0|0.0|0.0162|0.0163|0.0|0.0|0.0|0.0172|0.0163|0.0162|0.0|0.0|0.02|0.0|0.0163|0.0|0.0163|0.0|0.0|0.0|0.0|0.005|0.0399|0.0|0.0|0.0|0.0|0.0163|0.0172|0.4748|0.016|20652|2947199 18817|MVO|MVO|553859109|US5538591091|MV Oil Trust|Units of Beneficial Interests|Royalty trust|A|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN4-5|TXN5-8|TXN4-1|TXN1-3|11500000|||Quarterly|||||2007-01-19||||||| | | | | | | | | |||N|0|N|N|134A|USA|US|||60|6010|601010|60101010|Energy|Energy|Oil, Gas and Coal|Oil: Crude Producers|N||N||||||Y|0|Y||Y|2|||12.07|12.07|0.0|0.0|0.0|12.07|12.065|12.07|0.0|0.0|12.12|11.82|12.07|11.96|0.0|12.05|0.0|12.07|0.0|12.05|12.02|12.1|12.03|12.13|11.26|12.95|9.72|14.72|0.0|0.0|11.55|12.88|16.41|8.38|26492|12928159 71203|MVPS|MVPS|032108797|US0321087977|Amplify ETF Trust|Amplify Thematic All-Stars ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Amplify Investments|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-8|TXN1-5|TXN4-8|TXN1-2|TXN3-7|150000|||Yearly|||||2021-07-21||MVPS.NV|MVPS.SO|MVPS.EU|MVPS.TC| | | | | | | | | | |1x|MVPS is an ETF which holds a diversified basket of global companies (Thematic ETF All-Stars) most widely owned by ETFs included in the Index Providers qualifying thematic universe.|N|0|N|N|406B|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|18.73|19.1299|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|19.1031|0.0|19.1031|0.0|0.0|0.0|0.0|19.06|19.13|0.0|0.0|0.0|0.0|19.06|19.13|20.8814|14.27|267|156380 66603|MVRL|MVRL|90269A344|US90269A3445|UBS AG|ETRACS Monthly Pay 1.5X Leveraged Mortgage REIT ETN|Operating company|ETN|N|N|P|Y|Y|Y|Y|Y||||||||UBS|IMC Chicago, LLC, DBA IMC Financial Markets|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-3|TXN4-3|TXN2-8|TXN4-1|TXN1-1|1000000|||Monthly|||||2020-06-03|2050-06-10|MVRL.NV|MVRL.SO|MVRL.EU|MVRL.TC|MVRL.IV| | | | | | | | | |1.5x|ETRACS Monthly Pay 1.5X Leveraged Mortgage REIT ETN is an exchange-traded note issued in the USA. It provide 1.5 times leveraged long exposure to the compounded quarterly performance of the price return version of the MVIS US Mortgage REITs Index (Price). The underlying index is designed to track the overall performance of publicly-traded mortgage REITS that are listed and incorporated in the United States and derive at least 50% of their revenues from mortgage-related activities.|N|0|N|N|416A||CH|EQUITY|LEVERAGED|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|18.42|18.4575|0.0|0.0|0.0|18.42|18.31|0.0|0.0|0.0|0.0|0.0|18.5329|0.0|18.5329|0.0|0.0|0.0|0.0|18.5|18.66|18.1|18.73|0.0|0.0|18.5|18.66|27.46|13.68|4338|2304369 63319|MVST|MVST|59516C106|US59516C1062|Microvast Holdings Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN6-8|TXN13-7|TXN5-1|TXN5-2|316540000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502020|50202010|Industrials|Industrial Goods and Services|Electronic and Electrical Equipment|Electrical Components |N||N||||||Y|0|Y||||||1.28|1.27|0.0|1.31|1.28|1.275|1.275|1.27|0.0|0.0|1.27|1.27|1.28|1.28|1.28|1.275|1.27|1.28|1.275|1.28|1.26|1.28|1.03|1.54|1.26|1.28|1.25|1.3|1.25|1.28|1.27|1.28|2.91|0.8401|3439600|827106325 63320|MVSTW|MVSTW|59516C114|US59516C1146|Microvast Holdings Inc|WT EXP 040126||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-7|TXN5-8|TXN11-4|TXN5-1|TXN6-6|314850000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.1538|0.1481|0.0|0.0|0.0|0.1538|0.1538|0.1362|0.0|0.0|0.0|0.0|0.1481|0.0|0.1481|0.1273|0.16|0.1231|0.181|0.1383|0.164|0.1231|0.181|0.0|0.0|0.1481|0.1538|0.4|0.1|31785|10705894 7916|MVT|MVT|09253T101|US09253T1016|BlackRock MuniVest Fund II, Inc.|Common Stock|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN3-3|TXN6-8|TXN4-6|TXN4-8|21350000|||Monthly|||||1993-04-12||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||10.64|10.63|0.0|10.49|10.63|10.56|10.54|10.55|0.0|0.0|10.6|10.64|10.56|10.64|0.0|10.55|10.6|10.57|0.0|10.55|10.54|10.57|8.2|13.04|9.87|11.29|10.52|10.59|10.54|10.59|10.54|10.57|11.33|8.96|82968|11844560 16713|MVV|MVV|74347R404|US74347R4048|ProShares Trust|ProShares Ultra MidCap400|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ProShares Advisors |Latour Trading, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-3|TXN2-1|TXN6-6|TXN4-1|TXN1-6|2675000|||Quarterly|||||2008-11-12||MVV.NV|MVV.SO|MVV.EU|MVV.TC|MVV.IV| | | | | | | | | |2x|ProShares Ultra MidCap400 seeks daily investment results, before fees and expenses, that correspond to twice (200%) the daily performance of the S&P MidCap 400 Index. This ETF seeks a return of 200% of the return of an index (target) for a single day. Due to the compounding of daily returns, returns over periods other than one day will likely differ in amount and possibly direction from the target return for the same period. Investors should monitor their ProShares holdings consistent with their strategies, as frequently as daily. For more on correlation, leverage and other risks, please read the prospectus. The S&P MidCap 400 Index is a widely used measure of mid-size company U.S. stock market performance. Companies are selected for inclusion in the Index by Standard & Poors based on adequate liquidity, appropriate market capitalization, financial viability and public float. It is not possible to invest directly in an index.|N|0|N|N|416A|USA|US|EQUITY|LEVERAGED|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||52.73|52.7|0.0|0.0|52.73|52.67|52.71|52.55|0.0|0.0|0.0|0.0|52.71|0.0|0.0|52.62|52.53|52.71|0.0|52.71|52.55|52.98|0.0|0.0|52.7|52.77|50.1|54.59|0.0|0.0|52.7|52.77|60.052|40.9686|31342|3262908 16568|MWA|MWA|624758108|US6247581084|Mueller Water Products, Inc.|Series A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|Q|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-3|TXN1-6|TXN7-6|TXN1-4|TXN3-1|156490000|||Quarterly|||||2006-05-26||||||| | | | | | | | | |||N|0|N|Y|308A|USA|US|||50|5010|501010|50101035|Industrials|Construction and Materials|Construction and Materials |Building Materials: Other|N||N||||||Y|0|Y||Y|2|||13.7|13.7|0.0|13.53|13.69|13.7|13.7|13.695|0.0|0.0|13.7|13.7|13.7|13.695|13.69|13.7|13.69|13.7|13.695|13.7|13.69|13.71|10.38|16.62|13.69|13.72|13.69|13.72|13.67|13.73|13.69|13.71|16.62|10.55|557828|209933154 75550|MWG|MWG|G6362F108|KYG6362F1081|Multi Ways Holdings Limited|Ordinary Shares|Operating company|A|N|Y|A|Y|Y|Y|Y|Y|||Brendan E. Cryan and Company, L.L.C.|CRYN|0235|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN10-2|TXN3-8|TXN9-8|TXN1-8|TXN1-4|30840000|||NotApplicable|||||2023-04-03||||||| | | | | | | | | |||N|0|N|N|126A|SGP|KY|||50|5020|502040|50204020|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Construction and Handling|N||N||||||N|0|Y|D|Y|2|||0.2656|0.269|0.0|0.0|0.272|0.269|0.2691|0.2656|0.0|0.0|0.2655|0.2655|0.0|0.2656|0.0|0.269|0.2691|0.2691|0.2656|0.2691|0.216|0.324|0.266|0.279|0.25|0.272|0.216|0.324|0.0|0.0|0.25|0.272|16.33|0.1925|11781|104366187 37402|MX|MX|55933J203|US55933J2033|Magnachip Semiconductor Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN4-6|TXN1-5|TXN1-7|TXN3-1|38760000|||NotApplicable|||||2011-03-11||||||| | | | | | | | | |||N|0|N|Y|114A|KOR|US|||10|1010|101020|10102010|Technology|Technology|Technology Hardware and Equipment|Semiconductors|N||N||||||Y|0|Y||Y|2|||6.57|6.63|0.0|6.63|6.61|6.63|6.63|6.61|0.0|0.0|6.63|6.6|6.635|6.58|6.6|6.64|6.53|6.63|6.71|6.64|6.63|6.64|5.16|8.08|6.59|6.65|6.61|6.66|6.62|6.66|6.63|6.64|11.68|6.46|204417|58822893 7936|MXC|MXC|592770101|US5927701012|Mexco Energy Corporation|Common Stock|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Brendan E. Cryan and Company, L.L.C.|CRYN|0235|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-8|TXN3-3|TXN3-8|TXN3-2|TXN4-7|2110000|||Adhoc|||||2003-09-08||||||| | | | | | | | | |||N|0|N|N|134A|USA|US|||60|6010|601010|60101010|Energy|Energy|Oil, Gas and Coal|Oil: Crude Producers|N||N||||||N|0|Y||Y|2|||10.0|12.35|0.0|0.0|0.0|10.5|10.135|11.0|0.0|0.0|11.0|0.0|9.99|0.0|0.0|0.0|10.135|10.135|0.0|10.135|7.45|12.5|10.14|10.42|9.8|10.83|7.45|12.5|0.0|0.0|10.14|10.42|15.39|9.6197|5385|1056233 71292|MXCT|MXCT|57777K106|US57777K1060|MaxCyte Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN5-4|TXN13-6|TXN6-7|TXN5-8|103580000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||5.0|5.01|0.0|4.91|5.01|5.005|5.015|5.005|0.0|0.0|5.01|5.01|5.02|5.01|5.01|5.005|4.945|5.015|5.0|5.02|5.01|5.06|5.0|6.07|5.01|5.04|4.98|5.04|5.0|5.05|5.01|5.02|6.02|2.45|928537|138275808 7937|MXE|MXE|592834105|US5928341057|The Mexico Equity and Income Fund, Inc.|Common Stock|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN3-8|TXN3-8|TXN4-4|TXN1-7|4400000|||Yearly|||||1990-08-15||||||| | | | | | | | | |||N|0|N|N|406C|MEX|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||10.28|10.25|0.0|0.0|10.28|10.25|10.2579|10.09|0.0|0.0|10.25|10.28|10.25|10.28|0.0|10.26|0.0|10.2579|10.28|10.26|10.25|10.36|10.14|10.26|9.57|10.96|0.0|0.0|0.0|0.0|10.25|10.36|10.73|8.4|56097|1634039 7938|MXF|MXF|592835102|US5928351023|The Mexico Fund, Inc.|Common Stock|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN2-5|TXN7-8|TXN3-1|TXN2-2|15010000|||Quarterly|||||1981-06-04||||||| | | | | | | | | |||N|0|N|N|406B|MEX|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|17.61|17.91|17.5299|17.15|0.0|0.0|17.74|0.0|17.53|0.0|0.0|17.52|0.0|17.52|0.0|17.52|17.52|17.58|17.45|17.57|16.26|18.71|0.0|0.0|0.0|0.0|17.52|17.58|18.03|14.67|7351|7542030 17182|MXI|MXI|464288695|US4642886950|iShares Trust|iShares Global Materials ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-8|TXN3-2|TXN4-8|TXN4-1|TXN2-8|3150000|||BiAnnually|||||2007-12-06||MXI.NV|MXI.SO|MXI.EU|MXI.TC|MXI.IV| | | | | | | | | |1x|The iShares S&P Global Materials Index Fund seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the S&P Global Materials Index. THE UNDERLYING INDEX MEASURES THE PERFORMANCE OF COMPANIES THAT S&P DEEMS TO BE PART OF THE MATERIALS SECTOR OF THE ECONOMY AND THAT S&P BELIEVES ARE IMPORTANT TO GLOBAL MARKETS. IT IS A SUBSET OF THE S&P GLOBAL 1200 INDEX. COMPONENT COMPANIES INCLUDE THOSE COMPANIES ENGAGED IN A WIDE VARIETY OF COMMODITY-RELATED MANUFACTURING AND MINING ACTIVITIES. AS OF MAY 29, 2009, THE UNDERLYING INDEX WAS COMPRISED OF STOCKS OF COMPANIES IN THE FOLLOWING COUNTRIES: AUSTRALIA, AUSTRIA, BELGIUM, BRAZIL, CANADA, CHIL, DENMARK, FINLAND, FRANCE, GERMANY, IRELAND, JAPAN, LUXEMBOURG, MEXICO, THE NETHERLANDS, NORWAY, PERU, PORTUGAL, SOUTH KOREA, SPAIN, SWEDEN, SWITZERLAND, TAIWAN, THE UNITED KINGDOM AND THE UNITED STATES.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||0.0|79.21|0.0|0.0|0.0|84.32|82.7945|0.0|0.0|0.0|82.88|0.0|82.78|0.0|0.0|0.0|0.0|82.8806|0.0|82.8806|79.09|87.38|0.0|0.0|82.8|82.87|79.09|87.38|0.0|0.0|82.8|82.87|88.76|74.24|36649|4335091 32454|MXL|MXL|57776J100|US57776J1007|MaxLinear Inc|CL A COM USD.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN6-6|TXN11-5|TXN6-5|TXN5-6|81560000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101020|10102010|Technology|Technology|Technology Hardware and Equipment|Semiconductors|N||N||||||Y|0|Y||||||19.27|19.26|0.0|19.2|19.26|19.26|19.25|19.25|0.0|0.0|19.26|19.26|19.25|19.26|19.2|19.25|19.27|19.25|19.26|19.25|19.23|19.28|14.88|23.38|19.22|19.29|19.23|19.29|19.21|19.3|19.25|19.26|43.66|13.43|600175|200831693 7946|MYD|MYD|09253W104|US09253W1045|BlackRock MuniYield Fund, Inc.|Common Stock|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN4-6|TXN3-8|TXN2-6|TXN1-2|46920000|||Monthly|||||1991-12-16||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||10.5|10.43|0.0|0.0|10.44|10.445|10.45|10.445|0.0|0.0|10.45|10.49|10.445|10.5|10.5|10.46|10.44|10.44|10.5|10.46|10.44|10.45|8.13|12.93|9.79|11.18|10.41|10.48|10.43|10.46|10.44|10.45|11.34|8.76|208109|27133971 7947|MYE|MYE|628464109|US6284641098|Myers Industries, Inc.|Common Shares|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN1-6|TXN6-8|TXN3-4|TXN1-6|36840000|||Quarterly|||||2001-05-01||||||| | | | | | | | | |||N|0|N|Y|180A|USA|US|||50|5020|502030|50203030|Industrials|Industrial Goods and Services|General Industrials|Containers and Packaging|N||N||||||N|0|Y||Y|2|||17.94|17.93|0.0|17.97|17.94|17.93|17.92|17.97|0.0|0.0|17.92|17.96|17.92|17.92|17.75|17.92|17.79|17.92|17.94|17.92|17.92|17.94|13.72|21.86|17.79|17.98|17.9|17.95|17.9|17.94|17.92|17.94|26.49|15.65|198920|34105191 61274|MYFW|MYFW|33751L105|US33751L1052|First Western Financial Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN6-7|TXN14-8|TXN6-7|TXN5-8|9560000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||||||0.0|17.405|0.0|0.0|0.0|17.02|17.28|17.4|0.0|0.0|17.49|0.0|17.47|0.0|0.0|0.0|0.0|17.26|0.0|17.47|16.57|18.29|0.0|0.0|16.91|17.85|0.0|0.0|0.0|0.0|17.25|17.5|30.53|12.85|21095|4189754 2694|MYGN|MYGN|62855J104|US62855J1043|Myriad Genetics Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN5-3|TXN14-3|TXN5-1|TXN5-2|82200000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||18.605|18.6|0.0|18.63|18.6|18.59|18.6|18.6|0.0|0.0|18.6|18.52|18.61|18.6|18.67|18.595|18.59|18.6|18.59|18.61|18.55|18.63|14.42|22.57|18.55|18.64|18.57|18.65|18.55|18.66|18.58|18.6|24.21|13.82|696775|134749357 7950|MYI|MYI|09254E103|US09254E1038|BlackRock MuniYield Quality Fund III, Inc.|Common Stock|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN1-7|TXN6-8|TXN3-4|TXN4-7|68150000|||Monthly|||||1992-04-13||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||10.99|10.995|0.0|0.0|11.0|10.99|10.99|10.995|0.0|0.0|10.99|11.0|10.995|10.99|11.04|11.0|11.01|10.995|0.0|11.0|10.99|11.0|8.49|13.47|10.29|11.76|10.96|11.03|10.98|11.01|10.99|11.0|11.72|9.32|264668|44222726 43435|MYMD|MYMD|62856X102|US62856X1028|MyMD Pharmaceuticals Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-4|TXN5-5|TXN13-7|TXN6-4|TXN5-6|50900000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201020|20102015|Health Care |Health Care |Medical Equipment and Services|Medical Supplies|N||N||||||Y|0|Y||||||0.282|0.282|0.0|0.0|0.2778|0.282|0.282|0.2835|0.0|0.0|0.282|0.2777|0.285|0.282|0.2778|0.2778|0.0|0.2837|0.282|0.285|0.2686|0.2972|0.224|0.3372|0.2701|0.292|0.224|0.3372|0.0|0.0|0.282|0.285|2.9795|0.2602|710275|136300161 7955|MYN|MYN|09255E102|US09255E1029|BlackRock MuniYield New York Quality Fund, Inc.|Common Stock|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN3-2|TXN6-8|TXN2-7|TXN1-8|39590000|||Monthly|||||1992-03-16||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||10.08|10.0|0.0|10.04|9.99|9.99|9.99|10.02|0.0|0.0|10.0|10.06|9.995|10.03|10.06|10.0|10.02|9.99|0.0|10.0|9.99|10.01|7.72|12.31|9.35|10.68|9.97|12.12|9.97|10.02|9.99|10.01|10.8|8.47|98951|19297759 72350|MYNA|MYNA|62857X101|US62857X1019|Mynaric AG|ADS||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN6-7|TXN11-5|TXN5-5|TXN5-3|6230000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||DEU||||15|1510|151010|15101010|Telecommunications|Telecommunications|Telecommunications Equipment|Telecommunications Equipment|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|4.8|4.999|0.0|0.0|0.0|4.71|0.0|4.72|0.0|0.0|0.0|0.0|4.999|0.0|4.999|0.0|0.0|0.0|0.0|4.4|5.26|0.0|0.0|0.0|0.0|4.65|5.0|7.6|3.01|3735|1378996 72246|MYNZ|MYNZ|N5436L101|NL0015000LC2|Mainz Biomed N.V.|ORD SHS||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN6-3|TXN11-2|TXN5-5|TXN6-1|16750000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||DEU||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||1.55|1.59|0.0|1.56|1.59|1.61|1.59|1.61|0.0|0.0|1.57|1.57|1.59|1.62|1.61|1.55|1.55|1.59|1.61|1.59|1.53|1.81|1.24|1.93|1.53|1.7|1.53|1.62|1.53|1.63|1.55|1.59|8.9516|1.03|1372831|20694011 58681|MYO|MYO|62857J201|US62857J2015|Myomo Inc.|Common Stock|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Brendan E. 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A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN5-6|TXN11-8|TXN5-1|TXN5-6|117570000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4050|405010|40501020|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Casinos and Gambling|N||N||||||Y|0|Y||||||2.56|2.58|0.0|0.0|2.57|2.575|2.575|2.575|0.0|0.0|2.57|2.57|2.58|2.57|2.57|2.57|2.57|2.57|2.6|2.58|2.54|2.58|1.98|3.18|2.55|2.58|2.54|2.61|2.56|2.58|2.57|2.58|5.005|2.38|290150|73275701 68460|MYPSW|MYPSW|72815G116|US72815G1168|PLAYSTUDIOS Inc|WT EXP 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| | |||N|0|N|N||USA||||50|5010|501010|50101015|Industrials|Construction and Materials|Construction and Materials |Engineering and Contracting Services|N||N||||||N|0|Y||||||129.08|129.07|0.0|128.76|128.7|129.15|128.77|129.17|0.0|0.0|0.0|127.85|128.92|0.0|128.51|127.61|128.23|128.77|0.0|128.92|128.54|129.35|97.42|158.94|128.52|129.39|128.56|129.21|128.45|129.27|128.86|128.93|156.63|84.75|77401|26138449 53532|MYSZ|MYSZ|62844N307|US62844N3070|My Size Inc|COM USD0.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-5|TXN5-3|TXN13-4|TXN5-4|TXN5-4|2980000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||ISR||||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||N|0|Y||||||0.712|0.72|0.0|0.0|0.7|0.7366|0.710101|0.72|0.0|0.0|0.712|0.7342|0.71|0.0|0.0|0.0|0.0|0.710101|0.0|0.710101|0.6745|0.776|0.5836|0.888|0.6745|0.776|0.5836|0.888|0.0|0.0|0.71|0.73|4.49|0.1418|96708|33627506 68822|MYTE|MYTE|55406W103|US55406W1036|MYT Netherlands Parent B.V.|American Depositary Shares, each representing one Ordinary Share|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|8|A|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN2-2|TXN1-5|TXN4-6|TXN4-4|84890000|||NotApplicable|||||2021-01-21||||||| | | | | | | | | |||N|0|N|Y|146F|DEU|NL|||40|4040|404010|40401020|Consumer Discretionary|Retail |Retailers |Apparel Retailers|N||N||||||Y|0|Y||Y|2|||3.0|3.16|0.0|0.0|3.16|3.18|3.14|3.17|0.0|0.0|3.29|0.0|3.17|2.74|0.0|3.2|0.0|3.14|3.16|3.2|3.13|3.19|2.45|3.9|2.93|3.41|3.1|3.22|3.09|3.23|3.13|3.19|12.54|2.05|39355|26065793 16715|MYY|MYY|74347B250|US74347B2503|ProShares Trust|ProShares Short MidCap400|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ProShares Advisors |Latour Trading, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-7|TXN4-1|TXN1-8|TXN2-8|TXN3-8|443667|||Quarterly|||||2008-11-12||MYY.NV|MYY.SO|MYY.EU|MYY.TC|MYY.IV| | | | | | | | | |-1x|ProShares Short MidCap400 seeks daily investment results, before fees and expenses, that correspond to the inverse (opposite) of the daily performance of the S&P MidCap 400 Index. This ETF seeks a return of -100% of the return of an index (target) for a single day. Due to the compounding of daily returns, returns over periods other than one day will likely differ in amount and possibly direction from the target return for the same period. Investors should monitor their ProShares holdings consistent with their strategies, as frequently as daily. For more on correlation, leverage and other risks, please read the prospectus. The S&P MidCap 400 Index is a widely used measure of mid-size company U.S. stock market performance. Companies are selected for inclusion in the Index by Standard & Poors based on adequate liquidity, appropriate market capitalization, financial viability and public float. It is not possible to invest directly in an index.|N|0|N|N|416A|USA|US|EQUITY|INVERSE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|23.75|22.9933|0.0|0.0|0.0|0.0|0.0|23.0|23.699|0.0|0.0|0.0|22.98|0.0|22.98|22.92|23.02|22.99|23.0|22.96|22.98|21.97|24.4|0.0|0.0|22.96|22.98|26.09|22.0701|3207|4021177 16838|MZZ|MZZ|74347G580|US74347G5808|ProShares Trust|ProShares UltraShort MidCap400|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ProShares Advisors |Latour Trading, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-4|TXN2-1|TXN7-4|TXN1-4|TXN4-4|163510|||Quarterly|||||2011-02-24||MZZ.NV|MZZ.SO|MZZ.EU|MZZ.TC|MZZ.IV| | | | | | | | | |-2x|ProShares UltraShort MidCap400 seeks daily investment results, before fees and expenses, that correspond to twice (200%) the inverse (opposite) of the daily performance of the S&P MidCap 400 Index. This ETF seeks a return of -200% of the return of an index (target) for a single day. Due to the compounding of daily returns, returns over periods other than one day will likely differ in amount and possibly direction from the target return for the same period. Investors should monitor their ProShares holdings consistent with their strategies, as frequently as daily. For more on correlation, leverage and other risks, please read the prospectus. The S&P MidCap 400 Index is a widely used measure of mid-size company U.S. stock market performance. Companies are selected for inclusion in the Index by Standard & Poors based on adequate liquidity, appropriate market capitalization, financial viability and public float. It is not possible to invest directly in an index.|N|0|N|N|416A|USA|US|EQUITY|INVERSE|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|15.21|0.0|0.0|0.0|15.06|14.2499|0.0|0.0|0.0|0.0|0.0|14.12|0.0|0.0|0.0|0.0|14.1074|0.0|14.1074|14.04|14.16|0.0|0.0|14.1|14.12|0.0|0.0|0.0|0.0|14.1|14.12|18.34|13.21|849|896472 74263|NA|NA|63011A102|US63011A1025|Nano Labs Ltd|ADS||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN5-4|TXN13-3|TXN5-7|TXN5-3|54320000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||10|1010|101020|10102010|Technology|Technology|Technology Hardware and 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71099|NABL|NABL|62878D100|US62878D1000|N-able, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-5|TXN2-6|TXN9-6|TXN2-4|TXN2-4|182930000|||NotApplicable|||||2021-07-09||||||| | | | | | | | | |||N|0|N|Y|108B|USA|US|||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||Y|2|||12.27|12.265|0.0|12.18|12.26|12.26|12.26|12.265|0.0|0.0|12.265|12.25|12.265|12.26|12.25|12.27|12.27|12.265|12.25|12.27|12.27|12.28|9.37|15.04|12.27|12.29|12.25|12.29|12.26|12.31|12.27|12.28|15.44|9.26|396099|122852154 7966|NAC|NAC|67066Y105|US67066Y1055|Nuveen California Quality Municipal Income Fund|Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN2-2|TXN1-8|TXN3-2|TXN3-5|144740000|||Monthly|||||1999-05-26||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||10.69|10.7|0.0|0.0|10.7|10.695|10.7|10.695|0.0|0.0|10.695|10.7|10.69|10.69|10.72|10.7|10.7|10.7|0.0|10.7|10.69|10.7|8.2|13.05|10.67|10.7|10.66|10.73|10.68|10.71|10.69|10.7|11.82|9.32|500319|81263868 61253|NACP|NACP|45259A209|US45259A2096|Impact Shares Trust I|Impact Shares NAACP Minority Empowerment ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Impact Shares|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-4|TXN3-5|TXN9-8|TXN3-8|TXN4-5|1225000|||Quarterly|||||2018-07-19||NACP.NV|NACP.SO|NACP.EU|NACP.TC|NACP.IV| | | | | | | | | |1x|Designed to provide exposure to U.S. companies that have strong racial and ethnic diversity policies opportunities to employees irrespective of their race or nationality. embedded in their corporate culture and that ensure equal opportunities to employees irrespective of their race or nationality.|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|32.5099|0.0|0.0|0.0|32.44|0.0|32.53|0.0|0.0|0.0|0.0|32.5449|0.0|32.5449|0.0|0.0|32.45|32.5|32.51|32.56|29.62|35.9|0.0|0.0|32.51|32.56|33.08|26.27|1929|915080 7967|NAD|NAD|67066V101|US67066V1017|Nuveen Quality Municipal Income Fund|Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN2-6|TXN5-5|TXN4-7|TXN1-8|233410000|||Monthly|||||1999-05-26||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||11.06|11.06|0.0|0.0|11.06|11.06|11.06|11.06|0.0|0.0|11.06|11.06|11.06|11.06|11.07|11.05|11.06|11.06|11.06|11.05|11.06|11.07|8.57|13.56|11.06|11.07|11.05|11.09|11.05|11.08|11.06|11.07|12.15|9.555|1123674|155191073 2702|NAII|NAII|638842302|US6388423021|Natural Alternatives International Inc|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN6-3|TXN10-2|TXN5-6|TXN6-7|6090000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||45|4510|451020|45102020|Consumer Staples |Food, Beverage and Tobacco |Food Producers|Food Products|N||N||||||N|0|Y||||||0.0|6.18|0.0|0.0|0.0|6.05|6.3|6.17|0.0|0.0|0.0|0.0|6.38|0.0|0.0|0.0|0.0|6.38|6.05|6.38|0.0|0.0|0.0|0.0|5.94|6.72|0.0|0.0|0.0|0.0|6.23|6.4|10.12|5.06|10785|1885259 50527|NAIL|NAIL|25490K596|US25490K5965|Direxion Shares ETF Trust|Direxion Daily Homebuilders & Supplies Bull 3X Shares|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Direxion Shares|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-1|TXN2-8|TXN1-7|TXN3-7|TXN2-6|3200000|||Quarterly|||||2015-08-19||NAIL.NV|NAIL.SO|NAIL.EU|NAIL.TC|NAIL.IV| | | | | | | | | |3x|The Fund seeks daily investment results, before fees and expenses, of 300% of the performance of the Dow Jones U.S. Select Home Builders Total Return Index. The Fund seeks daily leveraged investment results and does not seek to achieve its stated investment objective over a period of time greater than one day. The Fund is different and much riskier than most exchange-traded funds.|N|0|N|N|416A|USA|US|EQUITY|LEVERAGED|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||75.75|77.73|0.0|77.27|77.43|77.7|77.76|75.9|0.0|0.0|77.7|77.73|77.74|76.321|77.83|77.45|77.27|77.69|77.6|77.69|77.22|78.21|59.73|77.92|77.69|77.81|77.25|78.1|77.43|77.9|77.69|77.81|86.91|28.08|290230|62319861 7970|NAK|NAK|66510M204|CA66510M2040|Northern Dynasty Minerals Ltd|Common Shares|Operating company|A|N|Y|A|Y|Y|Y|Y|Y|||J. Streicher & Co. L.L.C.|JSCO|3856|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN10-4|TXN2-5|TXN2-8|TXN1-8|TXN3-5|529920000|||NotApplicable|||||2004-11-04||||||| | | | | | | | | |||N|0|N|N|130E|CAN|CA|||55|5510|551020|55102000|Basic Materials|Basic Resources|Industrial Metals and Mining|General Mining|N||N||||||Y|0|Y||Y|2|||0.3401|0.3401|0.0|0.0|0.34|0.3402|0.3406|0.3401|0.0|0.0|0.3402|0.3404|0.3406|0.3281|0.3402|0.3401|0.341|0.341|0.0|0.341|0.3211|0.3567|0.3403|0.3409|0.3377|0.3425|0.3211|0.3567|0.335|0.345|0.3211|0.35|0.43|0.205|1020401|297314205 69092|NAMS|NAMS|N62509109|NL00150012L7|NewAmsterdam Pharma Company NV|ORD||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN5-5|TXN10-2|TXN6-2|TXN6-8|82320000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||NLD||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||0.0|9.77|0.0|0.0|0.0|9.79|9.78|9.69|0.0|0.0|9.75|0.0|9.77|0.0|0.0|0.0|0.0|9.77|0.0|9.77|0.0|0.0|0.0|0.0|8.94|10.0|0.0|0.0|0.0|0.0|9.5|9.77|18.7|5.6326|28119|19040910 69093|NAMSW|NAMSW|N62509117|NL00150012K9|NewAmsterdam Pharma Company NV|WT EXP 112227||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN6-7|TXN11-6|TXN6-1|TXN5-4|81560000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||NLD||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|1.0|2.39|0.0|0.0|0.0|0.0|2.16|2.35|3.62|0.464|0|3635926 7972|NAN|NAN|67066X107|US67066X1072|Nuveen New York Quality Municipal Income Fund|Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN2-7|TXN7-8|TXN3-5|TXN3-5|30850000|||Monthly|||||1999-05-26||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||10.5|10.505|0.0|10.5|10.5|10.5|10.51|10.505|0.0|0.0|10.5|0.0|10.505|10.51|10.51|10.5|10.51|10.5|10.5|10.5|10.5|10.51|8.09|12.96|9.8|11.25|10.47|10.54|10.48|10.53|10.5|10.51|12.06|9.11|157832|14464632 75213|NANC|NANC|81752T510|US81752T5103|Unusual Whales Subversive Democratic Trading ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-3|TXN2-6|TXN8-8|TXN4-4|TXN3-6|350000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|29.3517|0.0|0.0|0.0|29.4|29.2|0.0|0.0|0.0|0.0|0.0|29.065|28.901|0.0|0.0|0.0|29.3517|0.0|29.3517|0.0|0.0|29.25|29.31|29.13|29.56|0.0|0.0|0.0|0.0|29.32|29.38|29.63|23.03|1476|986312 52172|NANR|NANR|78463X152|US78463X1524|SPDR Index Shares Funds|SPDR S&P North American Natural Resources ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN2-1|TXN4-7|TXN2-8|TXN2-1|10225000|||BiAnnually|||||2015-12-16||NANR.NV|NANR.SO|NANR.EU|NANR.TC|NANR.IV| | | | | | | | | |1x|The SPDR S&P North American Natural Resources ETF (the Fund) seeks to provide investment results that, before fees and expenses, correspond generally to the total return performance of an index that tracks publicly-traded North American companies in natural resources and/or commodities businesses. The Index comprises publicly traded U.S. and Canadian domiciled companies in the natural resources and commodities businesses (as described below) that meet certain investability requirements. The Index is a sub-set of the S&P Global LargeMidCap Commodity and Resources Index (the Underlying Index). The Index component securities represent a combination of securities of companies in the following three natural resources categories: energy, materials, and agriculture, with energy capped at 45%, materials capped at 35%, and agriculture capped at 20% of the total weight of the Index. Membership in the Index is classified according to the Global Industry Classification Standard (GICS) sub-industries. Companies in natural resources and commodities businesses include those significantly engaged, directly or indirectly, in the following sub-industries: agricultural products; fertilizers and agricultural chemicals; forest products; integrated oil and gas; oil and gas exploration and production; coal and consumable fuels; aluminum; diversified metals and mining; gold; silver; and precious metals and minerals. The Index includes U.S. and Canadian domiciled publicly traded companies with stock traded on a developed market exchange, float adjusted market capitalizations of a minimum of $1 billion and at least $5 million three-month average daily trading values. The Index uses a modified market capitalization weighting scheme, which means that modifications are made to the market capitalization weights, if required, to conform to requirements of the Internal Revenue Code of 1986, as amended (the Code), and reduce single stock concentration. All Index constituents are weighted proportionate to their float-adjusted market capitalization within the Underlying Index and are capped so that no stock exceeds 10% of the Index. Market capitalization and liquidity criteria are subject to change on an annual basis according to market conditions. The Index is rebalanced quarterly. The Index is float-adjusted, meaning that only those shares publicly available to investors are included in the Index calculation. As of September 30, 2015, a significant portion of the Index comprised companies in the energy and materials sectors and companies organized in the United States and Canada, although this may change from time to time. As of September 30, 2015, the Index comprised 72 securities. |N|0|N|N|406C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||50.57|50.72|0.0|0.0|0.0|50.73|50.51|50.48|0.0|0.0|0.0|0.0|50.53|50.634|0.0|0.0|0.0|50.55|0.0|50.55|0.0|0.0|50.4|50.66|50.49|50.54|50.4|50.67|50.4|50.67|50.49|50.54|58.7859|48.3039|14026|13554885 60003|NAOV|NAOV|63008J603|US63008J6038|NanoVibronix Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN6-4|TXN13-8|TXN5-1|TXN5-1|2050000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||N|0|Y||||||1.04|1.05|0.0|0.0|1.08|1.05|1.0537|1.01|0.0|0.0|1.06|1.05|1.05|0.0|0.0|0.0|0.0|1.0537|0.0|1.0537|0.988|1.14|0.848|1.27|1.02|1.1|1.02|1.1|1.01|1.11|1.05|1.07|7.6|0.22|188298|113396888 69763|NAPA|NAPA|26414D106|US26414D1063|The Duckhorn Portfolio, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|C|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN4-8|TXN9-5|TXN4-8|TXN3-6|115370000|||NotApplicable|||||2021-03-18||||||| | | | | | | | | |||N|0|N|Y|118A|USA|US|||45|4510|451010|45101015|Consumer Staples |Food, Beverage and Tobacco |Beverages|Distillers and Vintners|N||N||||||Y|2|Y||Y|2|||10.48|10.46|0.0|10.47|10.48|10.475|10.47|10.465|0.0|0.0|10.47|10.48|10.465|10.46|10.45|10.48|10.47|10.48|10.46|10.48|10.47|10.48|8.03|12.78|10.47|10.49|10.45|10.49|10.43|10.49|10.47|10.48|17.92|9.32|803438|147228050 66002|NAPR|NAPR|45782C334|US45782C3346|Innovator Growth-100 Power Buffer ETF - April|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-5|TXN1-3|TXN4-8|TXN2-8|TXN2-4|3100000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|43.7057|0.0|0.0|0.0|0.0|43.64|0.0|0.0|0.0|43.55|0.0|0.0|0.0|0.0|0.0|43.63|43.7057|0.0|43.7057|0.0|0.0|43.47|43.75|43.66|43.76|43.58|43.76|43.63|43.76|43.66|43.76|43.885|33.4707|22886|5672695 66522|NARI|NARI|45332Y109|US45332Y1091|Inari Medical Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN6-8|TXN12-3|TXN6-3|TXN6-5|57590000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||Y|0|Y||||||62.82|62.79|0.0|62.77|62.81|62.82|62.78|62.77|0.0|0.0|62.78|62.96|62.77|62.8|62.63|62.81|62.98|62.78|62.82|62.77|62.29|63.4|47.58|76.47|62.36|63.37|62.66|62.88|62.66|62.84|62.77|62.84|73.1|47.81|739172|184846462 7975|NAT|NAT|G65773106|BMG657731060|Nordic American Tankers Limited|Common Shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-3|TXN3-4|TXN8-4|TXN2-6|TXN2-4|208800000|||Quarterly|||||2004-11-16||||||| | | | | | | | | |||N|0|N|Y|304A|BMU|BM|||50|5020|502060|50206030|Industrials|Industrial Goods and Services|Industrial Transportation|Marine Transportation|N||N||||||Y|0|Y||Y|2|||3.99|3.99|0.0|0.0|3.99|3.99|3.988|3.99|0.0|0.0|3.99|3.99|3.99|3.99|3.98|3.99|3.98|3.988|3.98|3.99|3.98|3.99|3.15|4.87|3.98|3.99|3.95|4.02|3.98|4.02|3.98|3.99|4.83|2.825|2825118|689862773 2710|NATH|NATH|632347100|US6323471002|Nathan's Famous Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN5-5|TXN10-5|TXN5-3|TXN6-4|4080000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4050|405010|40501040|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Restaurants and Bars|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|68.76|0.0|0.0|0.0|0.0|0.0|68.87|0.0|0.0|0.0|0.0|68.76|0.0|68.87|66.03|71.12|0.0|0.0|66.38|70.96|0.0|0.0|0.0|0.0|68.39|68.95|83.0|61.35|3760|1968893 76464|NATL|NATL|63001N106|US63001N1063|NCR Atleos Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|O|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN3-5|TXN2-8|TXN3-2|TXN2-4|70600000|||NotApplicable|||||2023-10-11||||||| | | | | | | | | |||N|0|Y|Y|108A|USA|US|||50|5020|502050|50205015|Industrials|Industrial Goods and Services|Industrial Support Services|Transaction Processing Services|N||N||||||Y|0|Y||Y|1|||22.25|22.31|0.0|22.37|22.245|22.3|22.3|22.3|0.0|0.0|22.21|22.17|22.32|22.32|22.3|22.31|22.24|22.32|22.3|22.31|22.31|22.32|20.98|23.61|22.1|22.47|22.23|22.38|22.26|22.39|22.31|22.32|25.18|19.75|432172|46905302 31260|NATR|NATR|639027101|US6390271012|Nature's Sunshine Products Inc|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN6-5|TXN12-5|TXN5-6|TXN6-6|19080000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||45|4510|451020|45102020|Consumer Staples |Food, Beverage and Tobacco |Food Producers|Food Products|N||N||||||Y|0|Y||||||17.28|17.4|0.0|17.49|17.36|17.4|17.36|17.235|0.0|0.0|17.36|0.0|17.4|17.38|17.69|0.0|0.0|17.38|17.51|17.4|17.19|17.6|13.53|21.46|17.19|17.58|13.53|21.46|0.0|17.45|17.38|17.41|19.2|7.93|90988|11571399 67167|NAUT|NAUT|63909J108|US63909J1088|Nautilus Biotechnology Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN5-1|TXN14-8|TXN6-2|TXN6-5|124950000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||2.93|2.97|0.0|0.0|2.97|2.9|2.935|2.88|0.0|0.0|2.88|2.89|2.93|0.0|0.0|2.88|0.0|2.93|2.88|2.93|2.79|3.02|2.2|3.62|2.86|2.99|2.82|3.45|2.8|3.04|2.91|2.93|4.65|1.5|119882|23931930 44045|NAVI|NAVI|63938C108|US63938C1080|Navient Corporation|COM0.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN5-5|TXN12-6|TXN6-6|TXN5-5|117570000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302010|30201020|Financials|Financial Services |Finance and Credit Services|Consumer Lending|N||N||||||Y|0|Y||||||17.875|17.875|0.0|17.76|17.87|17.88|17.88|17.87|0.0|0.0|17.87|17.87|17.88|17.87|17.855|17.87|17.87|17.88|17.87|17.88|17.84|17.89|13.78|21.8|17.84|17.89|17.85|17.89|17.86|17.9|17.86|17.88|19.6911|14.1|891747|250152865 7980|NAZ|NAZ|67061W104|US67061W1045|Nuveen Arizona Quality Municipal Income Fund|Common Stock|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN2-5|TXN7-8|TXN4-2|TXN4-2|11590000|||Monthly|||||1992-11-19||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||0.0|10.6|0.0|0.0|10.67|10.6|10.5775|10.61|0.0|0.0|10.58|10.6|10.585|0.0|0.0|10.57|10.6|10.57|0.0|10.57|10.57|10.6|10.6|10.66|9.85|11.31|0.0|0.0|0.0|0.0|10.57|10.6|12.23|9.22|37499|4790923 75466|NB|NB|654484609|CA6544846091|Niocorp Developments Ltd|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN6-6|TXN12-7|TXN6-3|TXN5-5|33140000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||55|5510|551020|55102000|Basic Materials|Basic Resources|Industrial Metals and Mining|General Mining|N||N||||||Y|0|Y||||||3.44|3.26|0.0|0.0|3.25|3.23|3.255|3.255|0.0|0.0|3.3|3.25|3.25|3.34|0.0|3.31|3.25|3.26|3.34|3.25|3.16|3.34|2.54|4.01|3.19|3.31|3.2|3.31|3.19|3.31|3.25|3.27|7.83|3.07|199565|19664218 32620|NBB|NBB|67074C103|US67074C1036|Nuveen Taxable Municipal Income Fund|Common Shares, $.001 par value|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN1-2|TXN9-8|TXN3-5|TXN2-6|29400000|||Monthly|||||2010-04-28||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||15.38|15.41|0.0|15.39|15.41|15.41|15.4047|15.38|0.0|0.0|15.3|15.35|15.4|15.4|0.0|15.4|15.42|15.4|0.0|15.4|15.4|15.41|11.75|18.71|15.23|16.39|15.37|15.44|15.4|15.41|15.4|15.41|17.0966|13.67|119456|17654155 73854|NBCC|NBCC|64135A309|US64135A3095|Neuberger Berman ETF Trust|Neuberger Berman Next Generation Connected Consumer ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Neuberger Berman|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN1-7|TXN4-8|TXN1-3|TXN4-4|200000|||Yearly|||||2022-04-07||NBCC.NV|NBCC.SO|NBCC.EU|NBCC.TC| | | | | | | | | | |1x|Neuberger Berman Carbon Transition Infrastructure ETF is a transparent, actively managed exchange-traded fund incorporated in the USA. The Fund seeks long term capital appreciation and invests in companies the investment team believes provide infrastructure at the foundation of the carbon transition megatrend. Benchmark: ACWI|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|21.4967|0.0|21.4967|0.0|0.0|0.0|0.0|21.47|21.52|0.0|0.0|0.0|0.0|21.47|21.52|22.7873|18.6044|0|28682 76475|NBCE|NBCE|64135A507|US64135A5074|Neuberger Berman ETF Trust|Neuberger Berman China Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Neuberger Berman|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-3|TXN3-2|TXN1-5|TXN2-8|TXN1-2|62000|||Yearly|||||2023-10-16||NBCE.NV|NBCE.SO|NBCE.EU|NBCE.TC| | | | | | | | | | ||The Neuberger Berman China Equity ETF is an actively managed Exchange Traded Fund (ETF) that seeks long-term capital appreciation by investing in what the Portfolio Managers believe are high quality, China A-Share companies such as those with solid balance sheets, potential for good returns on equity, and the prospect for above-average earnings growth.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|23.86|0.0|23.81|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|23.7799|0.0|23.7799|0.0|0.0|0.0|0.0|23.7|23.84|0.0|0.0|0.0|0.0|23.7|23.84|24.7166|23.1491|8610|137601 74771|NBCM|NBCM|64135A408|US64135A4085|Neuberger Berman ETF Trust|Neuberger Berman Commodity Strategy ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Neuberger Berman|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN4-3|TXN7-3|TXN4-4|TXN3-6|9659537|||Yearly|||||2022-10-24||NBCM.NV|NBCM.SO|NBCM.EU|NBCM.TC| | | | | | | | | | |1x|NB Commodity Strategy ETF seeks total return by investing in a risk-weighted, diversified group of commodity-linked derivative instruments and fixed income instruments. The Fund seeks to gain long and short exposure to the commodity markets by investing, directly or indirectly, in futures contracts on individual commodities and other commodity-linked derivative instruments.|N|0|N|N|416A|USA|US|COMMODITIES_AND_FUTURES|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||21.81|21.76|0.0|0.0|21.86|21.81|21.79|21.81|0.0|0.0|21.81|0.0|21.795|21.781|21.81|21.819|21.81|21.76|21.81|21.76|21.74|21.85|21.76|21.85|21.76|21.82|21.76|21.83|21.76|21.83|21.76|21.81|23.58|20.47|26081|12467164 73853|NBCT|NBCT|64135A101|US64135A1016|Neuberger Berman ETF Trust|Neuberger Berman Carbon Transition & Infrastructure ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Neuberger Berman|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-6|TXN1-8|TXN9-8|TXN4-6|TXN4-8|200000|||Yearly|||||2022-04-07||NBCT.NV|NBCT.SO|NBCT.EU|NBCT.TC| | | | | | | | | | |1x|Neuberger Berman Carbon Transition Infrastructure ETF is a transparent, actively managed exchange-traded fund incorporated in the USA. The Fund seeks long term capital appreciation and invests in companies the investment team believes provide infrastructure at the foundation of the carbon transition megatrend. Benchmark:|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|23.8545|0.0|23.8545|0.0|0.0|0.0|0.0|23.83|23.87|0.0|0.0|0.0|0.0|23.83|23.87|26.47|21.1648|2|846456 73852|NBDS|NBDS|64135A200|US64135A2006|Neuberger Berman ETF Trust|Neuberger Berman Disrupters ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Neuberger Berman|RBC Capital Markets, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-6|TXN3-5|TXN9-8|TXN3-5|TXN4-4|200000|||Yearly|||||2022-04-07||NBDS.NV|NBDS.SO|NBDS.EU|NBDS.TC| | | | | | | | | | |1x|Neuberger Berman Disrupters ETF is a transparent, actively managed exchange-traded fund incorporated in the USA. The Fund seeks long term capital appreciation and invests in companies the investment team believes help create transformative change in their industries. Benchmark:Russel 100G|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|23.6664|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|23.703|0.0|23.703|0.0|0.0|23.6|23.64|23.65|23.75|23.41|23.69|0.0|0.0|23.65|23.75|24.566|17.7275|121|831214 76476|NBGR|NBGR|64135A606|US64135A6064|Neuberger Berman ETF Trust|Neuberger Berman Global Real Estate ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Neuberger Berman|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-3|TXN3-2|TXN6-8|TXN4-3|TXN3-4|91000|||Quarterly|||||2023-10-16||NBGR.NV|NBGR.SO|NBGR.EU|NBGR.TC| | | | | | | | | | ||Neuberger Berman Global Real Estate Fund seeks total return through investment in securities of real estate companies located in the U.S. and other countries, emphasizing both capital appreciation and current income.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|23.92|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|26.0127|0.0|26.0127|0.0|0.0|0.0|0.0|25.94|26.09|0.0|0.0|0.0|0.0|25.94|26.09|26.0127|22.445|20|147057 7983|NBH|NBH|64124P101|US64124P1012|Neuberger Berman Municipal Fund Inc.|Common Stock|Closed end fund|P|N|N|A|Y|Y|Y|Y|Y|||Brendan E. Cryan and Company, L.L.C.|CRYN|0235|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-7|TXN4-5|TXN7-8|TXN4-4|TXN1-4|23680000|||Monthly|||||2002-09-25||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||9.93|9.93|0.0|10.0|9.94|9.935|9.93|9.935|0.0|0.0|9.93|0.0|9.93|9.93|0.0|9.95|9.92|9.92|0.0|9.92|9.85|10.27|9.93|9.95|9.41|10.17|9.92|9.96|9.91|9.95|9.91|9.95|12.16|8.75|135771|14113646 40731|NBHC|NBHC|633707104|US6337071046|National Bank Holdings Corporation|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|O|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN4-3|TXN4-8|TXN1-2|TXN2-7|37760000|||Quarterly|||||2012-09-20||||||| | | | | | | | | |||N|0|N|Y|402B|USA|US|||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||Y|2|||35.16|35.27|0.0|34.67|35.14|35.14|35.16|35.17|0.0|0.0|35.17|35.18|35.12|35.16|34.46|35.12|34.36|35.12|34.49|35.12|35.12|35.14|27.25|43.16|35.08|35.28|35.06|35.21|35.04|35.17|35.12|35.14|47.29|26.48|202616|49594801 2720|NBIX|NBIX|64125C109|US64125C1099|Neurocrine Biosciences Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN5-4|TXN10-7|TXN5-2|TXN6-3|98250000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||116.53|116.505|0.0|116.53|116.53|116.53|116.51|116.49|0.0|0.0|116.51|116.46|116.53|116.52|116.625|116.48|116.335|116.47|116.89|116.53|116.37|116.65|108.9|124.42|116.4|116.7|116.36|116.63|116.33|116.54|116.47|116.54|126.295|89.04|699901|172446158 7987|NBN|NBN|66405S100|US66405S1006|Northeast Bank|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN6-1|TXN14-6|TXN6-8|TXN6-2|8350000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||||||0.0|53.64|0.0|0.0|0.0|0.0|53.69|54.125|0.0|0.0|0.0|0.0|53.51|0.0|0.0|0.0|0.0|53.51|0.0|53.51|52.59|54.71|0.0|0.0|52.74|54.25|0.0|0.0|0.0|53.76|53.51|53.68|54.25|33.15|21381|6343313 7991|NBR|NBR|G6359F137|BMG6359F1370|Nabors Industries Ltd.|Common Shares|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|E|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN2-2|TXN7-8|TXN2-7|TXN2-1|9470000|||Quarterly|||||2020-04-23||||||| | | | | | | | | |||N|0|N|Y|134B|BMU|US|||60|6010|601010|60101030|Energy|Energy|Oil, Gas and Coal|Oil Equipment and Services|N||N||||||Y|0|Y||Y|2|||87.52|87.51|0.0|87.52|87.53|87.28|87.61|87.515|0.0|0.0|87.15|86.0|87.47|87.51|89.08|87.46|87.79|87.58|87.31|87.46|87.42|87.47|66.65|106.84|86.58|88.27|87.31|87.79|87.39|87.78|87.39|87.78|190.9|83.05|253385|54015189 31570|NBSE|NBSE|64132K201|US64132K2015|NeuBase Therapeutics Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN5-1|TXN14-1|TXN6-7|TXN5-5|3730000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y|D|||||1.09|1.085|0.0|0.0|1.08|1.11|1.09|1.095|0.0|0.0|1.1|1.09|1.09|1.08|0.0|1.04|1.02|1.09|1.08|1.09|1.03|1.15|0.856|1.33|1.07|1.11|1.03|1.15|0.0|0.0|1.08|1.09|4.44|0.1206|724212|220763362 70258|NBST|NBST|65101L104|US65101L1044|Newbury Street Acquisition Corp|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN6-1|TXN13-2|TXN6-7|TXN6-1|5860000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|10.61|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.68|0.0|0.0|0.0|0.0|10.61|0.0|10.61|0.0|0.0|0.0|0.0|9.96|11.35|0.0|0.0|0.0|0.0|10.61|10.7|11.83|9.88|1225|7595086 69886|NBSTU|NBSTU|65101L203|US65101L2034|Newbury Street Acquisition Corp|UNITS||R|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN6-4|TXN14-3|TXN5-4|TXN5-4|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|11.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|9.89|12.11|11.19|9.26|2|330490 70259|NBSTW|NBSTW|65101L112|US65101L1127|Newbury Street Acquisition Corp|WT EXP 043028||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-7|TXN5-2|TXN11-2|TXN6-2|TXN6-6|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y|C|||||0.0|0.0299|0.0|0.0|0.0|0.0299|0.027721|0.0|0.0|0.0|0.025|0.0252|0.0231|0.0|0.0|0.0|0.0|0.0231|0.03|0.0231|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.02|0.03|0.2518|0.0001|13340|1760485 2723|NBTB|NBTB|628778102|US6287781024|NBT Bancorp Inc|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN5-5|TXN10-5|TXN5-5|TXN6-2|47090000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||||||0.0|38.07|0.0|37.76|38.06|38.09|38.06|38.105|0.0|0.0|38.05|38.0|38.03|38.1|0.0|37.56|0.0|38.06|0.0|38.03|37.76|38.45|28.81|45.93|37.95|38.17|37.96|45.93|38.02|38.18|38.02|38.11|45.85|27.525|158426|45233297 68467|NBTX|NBTX|63009J107|US63009J1079|Nanobiotix SA|SPONSORED ADS||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN6-4|TXN10-8|TXN6-2|TXN6-4|46230000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||FRA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||6.0|0.0|0.0|0.0|0.0|6.13|5.955|0.0|0.0|0.0|0.0|0.0|6.05|0.0|0.0|0.0|0.0|5.955|5.79|5.955|0.0|6.13|0.0|0.0|5.58|6.13|0.0|0.0|0.0|0.0|5.65|6.13|11.0|1.75|11162|60469946 70722|NBXG|NBXG|64133Q108|US64133Q1085|Neuberger Berman Next Generation Connectivity Fund Inc.|Common Stock|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN1-5|TXN3-7|TXN1-5|TXN1-7|78760000|||Monthly|||||2021-05-26||||||| | | | | | | | | |||N|0|N|N|406B|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||10.72|10.72|0.0|0.0|10.72|10.725|10.7201|10.715|0.0|0.0|10.72|10.72|10.73|10.72|10.72|10.72|10.72|10.73|0.0|10.72|10.72|10.73|8.32|13.25|10.72|10.75|10.7|10.75|10.71|10.74|10.72|10.73|11.31|7.7|227939|55414879 26058|NBY|NBY|66987P300|US66987P3001|NovaBay Pharmaceuticals Inc.|Common Stock|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Brendan E. Cryan and Company, L.L.C.|CRYN|0235|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN11-1|TXN4-5|TXN7-8|TXN1-8|TXN2-8|6530000|||NotApplicable|||||2015-12-21||||||| | | | | | | | | |||N|0|N|N|140A|USA|US|||20|2010|201020|20102015|Health Care |Health Care |Medical Equipment and Services|Medical Supplies|N||N||||||N|0|Y||Y|2|||0.2955|0.2958|0.0|0.0|0.2955|0.2955|0.2955|0.296|0.0|0.0|0.2959|0.2959|0.296|0.376|0.0|0.3|0.29|0.29|0.0|0.29|0.2864|0.3192|0.298|0.3015|0.2955|0.304|0.2864|0.3192|0.0|0.0|0.2864|0.3065|2.66|0.28|101557|115124599 7995|NC|NC|629579103|US6295791031|NACCO Industries, Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|J|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN2-2|TXN1-5|TXN1-5|TXN3-3|5940000|||Quarterly|||||1961-09-13||||||| | | | | | | | | |||N|0|N|Y|130B|USA|US|||60|6010|601010|60101040|Energy|Energy|Oil, Gas and Coal|Coal|N||N||||||N|0|Y||Y|2|||33.85|34.79|0.0|0.0|34.2325|34.9|34.19|34.62|0.0|0.0|34.32|0.0|34.16|33.84|34.68|34.89|0.0|34.19|34.5|34.89|34.17|34.88|0.0|0.0|33.46|35.73|27.1|42.96|0.0|0.0|34.17|34.88|48.0|29.37|11131|3117714 7996|NCA|NCA|67062C107|US67062C1071|Nuveen California Municipal Value Fund|Common Stock|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities 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LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN4-6|TXN9-8|TXN4-1|TXN1-1|4000000|||Quarterly|||||2018-09-20||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||21.31|21.28|0.0|21.33|21.31|0.0|21.33|21.31|0.0|0.0|21.33|0.0|21.32|0.0|0.0|21.26|0.0|21.33|0.0|21.26|21.1|21.34|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|21.1|21.34|22.795|20.6|3675|845380 8013|NCZ|NCZ|92838U108|US92838U1088|Virtus Convertible & Income Fund II|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN4-1|TXN1-8|TXN2-6|TXN2-5|76120000|||Monthly|||||2003-07-29||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||2.82|2.83|0.0|2.8|2.82|2.82|2.825|2.825|0.0|0.0|2.83|2.83|2.825|2.83|2.83|2.82|2.83|2.82|0.0|2.82|2.82|2.83|2.17|3.49|2.82|2.83|2.8|2.85|2.81|2.84|2.82|2.83|3.45|2.5|378245|122288497 61757|NCZ PRA|NCZpA|92838U702|US92838U7028|Virtus Convertible & Income Fund II|5.50% Series A Cumulative Preferred Shares|Closed end fund|B|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities 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LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-8|TXN2-1|TXN6-8|TXN1-1|TXN4-4|400000|||Quarterly|||||2021-08-05||NDVG.NV|NDVG.SO|NDVG.EU|NDVG.TC|NDVG.IV| | | | | | | | | |1x|An actively managed equity exchange traded fund that focuses on high-quality, mid- to large-cap companies with the potential for sustainable dividend growth in an effort to provide attractive total return composed of income and capital appreciation while also managing risk.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|27.1799|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|27.138|0.0|27.138|21.55|32.53|0.0|0.0|27.11|27.16|21.55|32.53|0.0|0.0|27.12|27.14|27.2553|23.8492|47|183526 70808|NE|NE|G65431127|GB00BMXNWH07|Noble Corporation plc|A Ordinary Shares|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|A|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN1-8|TXN8-7|TXN1-2|TXN4-1|141050000|||Quarterly|||||2022-09-30||||||| | | | | | | | | |||N|0|N|Y|134F|USA|GB|||60|6010|601010|60101015|Energy|Energy|Oil, Gas and Coal|Offshore Drilling and Other Services|N||N||||||Y|0|Y||Y|2|||44.66|44.67|0.0|44.67|44.68|44.65|44.71|44.71|0.0|0.0|44.62|44.55|44.7|44.67|44.54|44.7|44.64|44.7|44.67|44.7|44.68|44.69|35.36|55.17|44.6|44.76|44.63|44.74|44.68|44.77|44.68|44.69|55.34|33.41|1726416|345912582 75950|NE WS|NE.WS|G65431135|GB00BKPBJ119|Noble Corporation plc|Tranche 1 Warrants|Operating company|C|N|N|N|Y|Y|Y|Y|Y|5|A|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN4-4|TXN5-8|TXN3-2|TXN2-3|141050000|||NotApplicable|||||2023-06-28|2028-02-04|||||| | | | | | | | | |||N|0|N|N|134F|USA|GB|||||||||||N||N||||||N|0|Y||N||||28.33|29.14|0.0|0.0|0.0|0.0|26.2301|28.41|0.0|0.0|0.0|0.0|0.0|26.25|0.0|26.25|0.0|26.25|0.0|26.25|20.65|57.04|0.0|0.0|25.61|27.54|0.0|0.0|0.0|0.0|25.61|48.88|36.0|23.56|352|145829 75949|NE WSA|NE.WS.A|G65431150|GB00BKPBJ226|Noble Corporation plc|Tranche 2 Warrants|Operating company|C|N|N|N|Y|Y|Y|Y|Y|5|A|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN4-2|TXN2-8|TXN1-5|TXN2-2|141050000|||NotApplicable|||||2023-06-28|2028-02-04|||||| | | | | | | | | |||N|0|N|N|134F|USA|GB|||||||||||N||N||||||N|0|Y||N||||0.0|0.0|0.0|0.0|0.0|0.0|22.88|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|22.88|0.0|22.88|0.0|22.88|17.72|27.74|0.0|0.0|22.14|23.28|0.0|0.0|0.0|0.0|17.72|27.74|33.31|21.85|353|124383 8020|NEA|NEA|670657105|US6706571055|Nuveen AMT-Free Quality Municipal Income Fund|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN3-7|TXN5-8|TXN4-2|TXN1-3|299040000|||Monthly|||||2014-01-27||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||10.71|10.705|0.0|10.7|10.7|10.705|10.71|10.71|0.0|0.0|10.705|10.705|10.705|10.71|10.69|10.7|10.69|10.705|10.7|10.7|10.7|10.71|8.27|13.13|10.7|10.72|10.67|10.74|10.69|10.72|10.7|10.71|11.79|9.2|1215139|196564449 42751|NEAR|NEAR|46431W507|US46431W5076|BlackRock Short Duration Bond ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-1|TXN2-7|TXN3-8|TXN4-3|TXN1-5|61200000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||50.22|50.24|0.0|0.0|50.22|50.23|50.225|50.225|0.0|0.0|50.23|50.23|50.24|50.22|50.23|50.23|50.23|50.24|50.26|50.24|50.23|50.24|50.16|50.29|50.23|50.24|50.19|50.29|50.16|50.29|50.23|50.24|50.42|49.13|829785|150762925 16796|NECB|NECB|664121100|US6641211007|Northeast Community Bancorp Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN5-5|TXN13-3|TXN6-7|TXN5-3|14200000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||||||0.0|16.93|0.0|17.04|16.93|16.97|16.97|17.045|0.0|0.0|0.0|0.0|16.95|17.08|0.0|0.0|0.0|16.97|0.0|16.95|16.8|17.12|13.23|20.99|16.88|17.01|16.9|16.99|16.91|17.0|16.95|16.98|17.31|12.5|38046|19898744 6359|NEE|NEE|65339F101|US65339F1012|NextEra Energy, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|J|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-4|TXN4-8|TXN3-3|TXN3-8|TXN3-4|2051710000|||Quarterly|||||1950-02-15|2023-08-31|||||| | | | | | | | | |||N|1|Y|Y|302A|USA|US|||65|6510|651010|65101015|Utilities|Utilities|Electricity|Conventional Electricity|N||N||||||Y|0|Y||Y|1|||58.65|58.67|0.0|58.66|58.65|58.66|58.67|58.66|0.0|0.0|58.66|58.66|58.67|58.66|58.66|58.67|58.66|58.66|58.66|58.67|58.66|58.67|55.68|62.46|58.65|58.69|58.62|58.71|58.61|58.71|58.66|58.67|92.4|47.145|10239553|2335444400 63253|NEE PRN|NEEpN|65339K860|US65339K8606|NextEra Energy, Inc.|Series N Junior Subordinated Debentures due March 1, 2079|Operating company|G|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN2-8|TXN8-8|TXN2-3|TXN4-3|27500000|||Quarterly|||||2019-03-18|2079-03-01|||||| | | | | | | | | |||N|0|N|N|302A||US|||||||||||N||N||||||N|0|Y||Y|2|||24.87|24.95|0.0|23.196875|24.77|24.74|24.7935|24.77|0.0|0.0|24.75|25.0|24.77|25.01|0.0|24.74|24.82|24.74|0.0|24.74|24.74|24.86|24.79|24.82|24.55|25.25|0.0|0.0|0.0|0.0|24.74|24.79|26.03|21.92|67598|10678935 74734|NEE PRR|NEEpR|65339F713|US65339F7134|NextEra Energy, Inc.|6.926% Corporate Units|Operating company|G|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-7|TXN4-7|TXN6-6|TXN4-4|TXN1-1|40000000|||Quarterly|||||2022-10-11|2025-09-01|||||| | | | | | | | | |||N|0|N|N|302A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||37.06|37.05|0.0|0.0|37.05|37.05|37.01|37.08|0.0|0.0|37.5|37.1|37.05|37.26|37.37|37.01|37.08|37.01|37.05|37.01|36.81|37.01|28.68|45.79|36.82|37.87|28.68|45.79|0.0|0.0|36.82|38.95|53.38|32.0|182614|74169725 32599|NEGG|NEGG|G6483G100|VGG6483G1000|Newegg Commerce Inc|COM SHS||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN6-4|TXN14-3|TXN5-7|TXN5-1|377760000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101010|10101020|Technology|Technology|Software and Computer Services|Consumer Digital Services |N||N||||||Y|0|Y|C|||||1.47|1.465|0.0|1.5|1.475|1.465|1.47|1.465|0.0|0.0|1.47|1.47|1.48|1.475|1.51|1.475|1.465|1.47|1.465|1.48|1.46|1.48|1.24|1.77|1.46|1.48|1.36|1.76|1.45|1.48|1.46|1.47|3.09|0.516|11892793|240227897 8023|NEM|NEM|651639106|US6516391066|Newmont Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|A|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-2|TXN1-7|TXN5-8|TXN4-3|TXN3-6|1152490000|||Quarterly|||||1940-01-27||||||| | | | | | | | | |||N|5|Y|Y|130E|USA|US|||55|5510|551030|55103025|Basic Materials|Basic Resources|Precious Metals and Mining|Gold Mining|N||N||||||Y|0|Y||Y|1|||40.54|40.545|0.0|40.54|40.55|40.545|40.55|40.53|0.0|0.0|40.54|40.55|40.55|40.54|40.57|40.54|40.56|40.55|40.55|40.54|40.54|40.55|38.09|43.15|40.52|40.56|38.95|40.58|40.51|40.58|40.54|40.55|60.08|33.585|14411977|2229047791 8024|NEN|NEN|644206104|US6442061049|New England Realty Associates LP|Class A Depositary Receipts evidencing Units of Limited Partnership|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Brendan E. Cryan and Company, L.L.C.|CRYN|0235|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-2|TXN4-3|TXN5-8|TXN4-8|TXN2-2|2860000|||Quarterly|||||2002-12-13||||||| | | | | | | | | |||N|0|N|N|412A|USA|US|||35|3510|351010|35101010|Real Estate|Real Estate |Real Estate Investment and Services Development|Real Estate Holding and Development |N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|68.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|70.0|0.0|0.0|70.0|0.0|0.0|70.0|72.0|65.12|72.0|0.0|0.0|0.0|0.0|70.0|72.0|77.36|64.0|7|169234 13563|NEO|NEO|64049M209|US64049M2098|Neogenomics Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN5-4|TXN11-5|TXN6-2|TXN5-4|127470000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201020|20102020|Health Care |Health Care |Medical Equipment and Services|Medical Services|N||N||||||Y|0|Y||||||19.08|19.11|0.0|19.34|19.08|19.12|19.1|19.1|0.0|0.0|19.09|19.09|19.09|19.08|19.07|19.07|19.15|19.1|19.14|19.09|18.92|19.15|14.56|23.4|18.92|19.16|19.08|19.14|19.08|19.12|19.09|19.12|20.54|8.7|828201|225892274 2746|NEOG|NEOG|640491106|US6404911066|Neogen Corp|COM USD.16||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN5-2|TXN10-3|TXN6-7|TXN6-5|216310000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201020|20102015|Health Care |Health Care |Medical Equipment and Services|Medical Supplies|N||N||||||Y|0|Y||||||17.76|17.765|0.0|17.67|17.76|17.77|17.76|17.76|0.0|0.0|17.75|17.77|17.75|17.75|17.71|17.76|17.77|17.76|17.77|17.75|17.75|17.79|13.61|21.52|17.75|17.79|17.73|17.79|17.74|17.79|17.75|17.76|24.095|14.37|969335|397247191 25305|NEON|NEON|64051M709|US64051M7092|Neonode Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN5-7|TXN11-3|TXN5-3|TXN6-2|15360000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||SWE||||10|1010|101020|10102030|Technology|Technology|Technology Hardware and Equipment|Computer Hardware|N||N||||||Y|0|Y||||||1.41|1.44|0.0|0.0|1.48|1.44|1.411|1.44|0.0|0.0|1.45|0.0|1.43|1.499|0.0|1.47|0.0|1.411|0.0|1.43|1.24|1.72|1.19|1.72|1.37|1.5|1.24|1.72|0.0|0.0|1.42|1.44|14.75|1.02|82866|35768007 66629|NEOV|NEOV|640655106|US6406551068|NeoVolta Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN6-3|TXN13-3|TXN5-5|TXN6-4|33240000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502020|50202010|Industrials|Industrial Goods and Services|Electronic and Electrical Equipment|Electrical Components |N||N||||||N|0|Y||||||0.0|1.76|0.0|0.0|0.0|1.77|1.7645|0.0|0.0|0.0|0.0|0.0|1.76|0.0|0.0|0.0|0.0|1.77|0.0|1.76|0.0|0.0|0.0|0.0|1.68|1.84|0.0|0.0|0.0|0.0|1.76|1.79|4.4|1.11|21035|14648454 74321|NEOVW|NEOVW|640655114|US6406551142|NeoVolta Inc|WT EXP 4/01/2027||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-6|TXN6-2|TXN13-3|TXN6-8|TXN6-8|33160000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.332|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.332|0.0|0.332|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.25|0.4|1.25|0.0728|100|814029 44527|NEP|NEP|65341B106|US65341B1061|NextEra Energy Partners, LP|Common Units representing limited partner interests|Limited partnership|A|N|N|N|Y|Y|Y|Y|Y|5|J|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-4|TXN2-5|TXN9-6|TXN4-6|TXN3-5|93430000|||Quarterly|||||2014-06-27||||||| | | | | | | | | |||N|0|N|N|134F|USA|US|||65|6510|651010|65101010|Utilities|Utilities|Electricity|Alternative Electricity|N||N||||||Y|0|Y||Y|2|||24.23|24.22|0.0|24.25|24.23|24.21|24.225|24.235|0.0|0.0|24.22|24.26|24.23|24.23|24.26|24.21|24.26|24.21|24.23|24.21|24.2|24.21|18.78|29.66|24.09|24.37|24.15|24.29|24.13|24.32|24.2|24.21|79.56|20.17|2256588|339921725 8025|NEPH|NEPH|640671400|US6406714005|Nephros Inc.|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN5-3|TXN14-2|TXN6-8|TXN6-2|10490000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||N|0|Y||||||2.16|0.0|0.0|0.0|0.0|2.16|2.2499|2.16|0.0|0.0|0.0|0.0|2.18|2.12|0.0|0.0|0.0|2.2499|0.0|2.2499|0.0|0.0|0.0|0.0|2.04|2.34|0.0|0.0|0.0|0.0|2.12|2.21|2.5|0.95|13695|7127361 25306|NEPT|NEPT|64079L303|CA64079L3039|Neptune Wellness Solution Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-3|TXN5-2|TXN14-7|TXN6-8|TXN6-6|4530000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CAN||||20|2010|201030|20103015|Health Care |Health Care |Pharmaceuticals and Biotechnology|Pharmaceuticals |N||N||||||N|0|Y|D|||||0.72|0.72|0.0|0.0|0.7226|0.721|0.7237|0.725|0.0|0.0|0.721|0.7202|0.7297|0.0|0.0|0.0|0.0|0.7202|0.7297|0.7202|0.6764|0.7665|0.576|0.876|0.6764|0.7297|0.6901|0.7533|0.6866|0.7572|0.7201|0.7297|8.0|0.11|133312|397750943 63739|NERD|NERD|53656F706|US53656F7069|Roundhill Video Games ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN5-4|TXN13-2|TXN5-4|TXN5-4|1430000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|15.1299|0.0|0.0|0.0|0.0|0.0|15.09|0.0|0.0|0.0|0.0|15.1299|0.0|15.09|0.0|15.14|0.0|0.0|15.11|15.14|0.0|0.0|0.0|0.0|15.11|15.14|16.3999|13.22|1474|1016384 44529|NERV|NERV|603380205|US6033802058|Minerva Neurosciences Inc|COM USD.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN6-3|TXN11-2|TXN6-2|TXN6-2|6990000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y|C|||||6.04|6.02|0.0|0.0|6.81|5.96|6.2308|6.49|0.0|0.0|6.29|0.0|6.51|0.0|0.0|5.99|0.0|6.2308|6.3|6.51|5.85|6.88|0.0|0.0|5.92|6.77|5.24|7.48|0.0|0.0|6.15|6.51|13.2199|1.26|79037|76566783 64479|NET|NET|18915M107|US18915M1071|Cloudflare, Inc.|Class A common stock, par value $0.001 per share|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|A|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-4|TXN2-3|TXN8-4|TXN1-6|TXN4-3|295900000|||NotApplicable|||||2019-09-13||||||| | | | | | | | | |||N|0|Y|Y|180B|USA|US|||10|1010|101010|10101010|Technology|Technology|Software and Computer Services|Computer Services|N||N||||||Y|0|Y||Y|1|||79.81|79.795|0.0|79.47|79.83|79.8|79.81|79.8|0.0|0.0|79.8|79.92|79.81|79.81|79.8|79.82|79.9|79.85|79.805|79.82|79.86|79.87|74.39|84.55|79.73|79.92|79.7|79.95|79.68|79.96|79.86|79.87|80.17|37.56|3998036|1086417954 73126|NETC|NETC|629567108|US6295671084|Nabors Energy Transition Corp.|Class A Common Stock|Special purpose acquisition company|A|N|N|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN2-3|TXN1-5|TXN1-2|TXN1-4|9850000|||NotApplicable|||||2022-01-07||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|11.02|0.0|0.0|0.0|0.0|11.0|0.0|0.0|0.0|0.0|0.0|10.98|0.0|0.0|10.99|0.0|10.99|0.0|10.99|10.98|11.0|0.0|0.0|10.32|11.0|0.0|0.0|0.0|0.0|10.98|11.0|11.59|10.13|420|19156660 73127|NETC WS|NETC.WS|629567116|US6295671167|Nabors Energy Transition Corp.|Warrants, exercisable for one share of Class A Common Stock|Special purpose acquisition company|C|N|N|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN8-8|TXN2-3|TXN2-8|TXN3-3|TXN2-4|0|||NotApplicable|||||2022-01-07||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||||||||||N||N||||||N|0|Y|C|N||||0.16|0.16|0.0|0.0|0.16|0.1734|0.0|0.0|0.0|0.0|0.16|0.16|0.16|0.16|0.0|0.16|0.0|0.16|0.0|0.16|0.13|0.16|0.0|0.0|0.13|0.18|0.0|0.0|0.0|0.0|0.13|0.16|0.27|0.0101|6850|6798936 72391|NETC U|NETC.U|629567207|US6295672074|Nabors Energy Transition Corp.|Units, each consisting of one share of Class A common stock and one-half of one warrant|Special purpose acquisition company|R|N|N|N|Y|Y|Y|Y|Y|8|D|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN4-7|TXN6-8|TXN1-7|TXN4-5|0|||NotApplicable|||||2021-11-18||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|11.03|0.0|0.0|0.0|11.03|9.6|11.36|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|9.6|11.36|11.335|10.145|1|64854 76236|NETD|NETD|G6363K106|KYG6363K1067|Nabors Energy Transition Corp II|CL A ORD NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN6-2|TXN11-2|TXN6-7|TXN5-1|30500000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||10.29|10.29|0.0|0.0|10.29|10.29|10.29|10.29|0.0|0.0|10.29|0.0|10.29|10.29|0.0|10.29|10.29|10.29|0.0|10.29|0.0|0.0|0.0|0.0|10.22|11.0|0.0|0.0|0.0|0.0|10.29|10.3|11.0|10.12|74724|7504763 76016|NETDU|NETDU|G6363K122|KYG6363K1224|Nabors Energy Transition Corp II|UNITS||R|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN6-6|TXN12-8|TXN5-3|TXN6-2|0|||NotApplicable|||||||||||| | | | | | | | | 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LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-7|TXN1-6|TXN1-8|TXN1-7|TXN1-7|38650000|||Quarterly|||||2020-04-07||||||| | | | | | | | | |||N|0|N|Y|208A|MCO|MH|||50|5020|502060|50206030|Industrials|Industrial Goods and Services|Industrial Transportation|Marine Transportation|N||N||||||Y|0|Y||Y|2|||10.51|10.5|0.0|10.39|10.51|10.5|10.5|10.51|0.0|0.0|10.47|10.49|10.505|10.52|10.44|10.5|10.46|10.5|10.64|10.5|10.5|10.51|8.0|12.8|10.41|10.6|10.48|10.53|10.48|10.54|10.5|10.51|13.54|7.75|647081|91829841 63293|NETL|NETL|26922A248|US26922A2481|ETF Series Solutions|NETLease Corporate Real Estate ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Exchange Traded Concepts (ETF Series Solutions Trust)|Jane Street Capital, 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Streicher & Co. 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PRODUCT||U|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN6-4|TXN11-5|TXN5-6|TXN6-4|1530000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|24.65|24.74|0.0|0.0|0.0|0.0|24.75|0.0|0.0|0.0|0.0|24.65|0.0|24.65|0.0|0.0|0.0|0.0|22.98|26.39|0.0|0.0|0.0|0.0|24.65|24.75|25.0|24.0|1685|468408 68872|NEWTZ|NEWTZ|652526708|US6525267083|Newtek Business Services Corp 5.50 Notes Due 2026|ETN||U|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN5-2|TXN10-7|TXN6-4|TXN6-8|4600000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||||||||||N||N||||||N|0|Y||||||24.06|0.0|0.0|0.0|0.0|0.0|24.025|0.0|0.0|0.0|0.0|0.0|24.09|0.0|0.0|0.0|23.9|23.9|0.0|23.9|0.0|0.0|0.0|0.0|23.2|24.58|0.0|0.0|0.0|0.0|23.67|24.1|25.53|22.83|4093|674919 59962|NEXA|NEXA|L67359106|LU1701428291|Nexa Resources S.A.|Common shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|6|Q|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN3-8|TXN3-8|TXN2-4|TXN4-4|132440000|||Yearly|||||2017-10-27||||||| | | | | | | | | |||N|0|N|Y|180B|LUX|LU|||55|5510|551020|55102000|Basic Materials|Basic Resources|Industrial Metals and Mining|General Mining|N||N||||||Y|0|Y||Y|2|||5.86|5.84|0.0|0.0|5.82|5.85|5.835|5.835|0.0|0.0|5.83|0.0|5.85|5.85|0.0|5.8|5.85|5.85|5.85|5.8|5.84|5.86|4.56|7.12|5.83|5.91|5.82|5.88|5.82|5.88|5.78|5.91|7.7|4.135|52650|26372298 69210|NEXI|NEXI|65344D208|US65344D2080|NexImmune Inc|COM 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Corp|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN6-4|TXN10-5|TXN6-7|TXN6-2|256580000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||60|6010|601010|60101035|Energy|Energy|Oil, Gas and Coal|Pipelines|N||N||||||Y|0|Y||||||5.23|5.24|0.0|0.0|5.22|5.235|5.24|5.23|0.0|0.0|5.24|5.215|5.23|5.21|5.21|5.24|5.22|5.24|5.24|5.23|5.17|5.25|4.03|6.46|5.18|5.25|5.2|5.27|5.19|5.28|5.23|5.24|8.7385|3.925|1012075|282969905 26175|NFBK|NFBK|66611T108|US66611T1088|Northfield Bancorp Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN5-8|TXN12-2|TXN6-6|TXN5-4|44960000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||||||10.72|10.715|0.0|0.0|10.72|10.715|10.72|10.715|0.0|0.0|10.72|10.72|10.72|10.69|0.0|10.72|10.72|10.715|10.72|10.72|10.69|10.72|8.1|13.07|10.63|10.72|10.68|10.74|10.69|10.75|10.7|10.72|16.1|8.39|368204|42461732 62919|NFE|NFE|644393100|US6443931000|New Fortress Energy Inc|COM CL A||U|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN6-6|TXN11-4|TXN5-6|TXN5-6|205030000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||USA||||60|6010|601010|60101000|Energy|Energy|Oil, Gas and Coal|Integrated Oil and Gas|N||N||||||Y|0|Y||||||39.22|39.21|0.0|39.13|39.22|39.22|39.22|39.24|0.0|0.0|39.23|39.19|39.24|39.24|39.22|39.23|39.18|39.25|39.22|39.24|39.15|39.46|36.3|41.33|39.21|39.46|39.19|39.28|39.22|39.29|39.24|39.25|52.13|25.06|1826059|342662149 8035|NFG|NFG|636180101|US6361801011|National Fuel Gas Company|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|A|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN1-5|TXN8-7|TXN2-1|TXN2-7|91830000|||Quarterly|||||1955-07-25||||||| | | | | | | | | |||N|0|Y|Y|304A|USA|US|||65|6510|651020|65102020|Utilities|Utilities|Gas, Water and Multi-utilities |Gas Distribution|N||N||||||Y|0|Y||Y|1|||51.49|51.46|0.0|51.36|51.43|51.48|51.46|51.465|0.0|0.0|51.48|51.49|51.445|51.45|50.84|51.45|51.38|51.45|51.46|51.45|51.43|51.44|48.47|54.71|51.28|51.67|51.38|51.51|51.39|51.52|51.43|51.44|66.61|48.6|307413|122356691 71835|NFGC|NFGC|64440N103|CA64440N1033|New Found Gold Corp|Common Shares|Operating company|A|N|Y|A|Y|Y|Y|Y|Y|||J. Streicher & Co. L.L.C.|JSCO|3856|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-4|TXN1-1|TXN8-5|TXN1-8|TXN2-4|186870000|||NotApplicable|||||2021-09-29||||||| | | | | | | | | |||N|0|N|N|130C|CAN|CA|||55|5510|551030|55103025|Basic Materials|Basic Resources|Precious Metals and Mining|Gold Mining|N||N||||||Y|0|Y||Y|2|||3.72|3.72|0.0|3.69|3.73|3.73|3.73|3.71|0.0|0.0|3.71|3.7|3.715|3.69|3.69|3.72|3.74|3.74|3.64|3.74|3.7|3.75|3.72|3.74|3.71|3.75|3.7|3.75|3.72|3.76|3.72|3.74|5.7|3.25|378262|53042270 8038|NFJ|NFJ|92840R101|US92840R1014|Virtus Dividend, Interest & Premium Strategy Fund|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN1-6|TXN8-8|TXN2-5|TXN1-3|94800000|||Quarterly|||||2005-02-24||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||11.88|11.88|0.0|11.86|11.88|11.88|11.88|11.885|0.0|0.0|11.88|11.88|11.885|11.88|0.0|11.89|11.88|11.88|11.86|11.89|11.87|11.89|9.13|14.5|11.06|12.63|11.86|11.91|11.86|11.89|11.87|11.89|12.86|10.45|180784|45384003 76523|NFLP|NFLP|78433H774|US78433H7742|Kurv Yield Premium Strategy Netflix (NFLX) ETF|ETF||ETS|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-7|TXN4-1|TXN5-8|TXN1-1|TXN3-4|20000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|26.1885|0.0|0.0|0.0|27.035|27.02|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|26.1885|0.0|26.1885|0.0|0.0|0.0|0.0|26.16|26.23|0.0|0.0|0.0|0.0|26.13|26.21|27.4958|25.01|417|16617 50479|NFLT|NFLT|26923G707|US26923G7079|ETFis Series Trust I|Virtus Newfleet Multi-Sector Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Virtus ETF Advisers |Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-4|TXN2-1|TXN7-8|TXN1-2|TXN1-7|2250004|||Monthly|||||2015-08-11||NFLT.NV|NFLT.SO|NFLT.EU|NFLT.TC|NFLT.IV| | | | | | | | | ||Newfleet Multi-Sector Unconstrained Bond ETF (Ticker: NFLT) (the Fund) seeks to provide a high level of current income and, secondarily, capital appreciation.|N|0|N|N|416A|USA|US|FIXED_INCOME|ACTIVE|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|21.98|21.9208|21.94|0.0|0.0|21.98|21.98|21.97|21.98|0.0|0.0|0.0|21.945|0.0|21.945|21.62|22.32|0.0|0.0|21.91|21.98|20.59|23.08|0.0|0.0|21.91|21.98|22.7|21.05|9486|4169365 2763|NFLX|NFLX|64110L106|US64110L1061|Netflix Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN5-3|TXN13-1|TXN5-4|TXN5-8|437680000|||NotApplicable|||||||||||| | | | | | | | | |||N|1|Y|N||USA||||40|4030|403010|40301010|Consumer Discretionary|Media|Media|Entertainment|N||N||||||Y|0|Y||||||453.71|453.91|0.0|453.62|453.74|453.75|453.87|453.85|0.0|0.0|453.76|453.76|453.9|453.73|454.01|453.795|454.14|453.89|454.08|453.9|453.39|454.21|427.6|480.71|453.67|454.05|453.37|454.16|453.73|453.96|453.77|453.91|485.0|273.41|5157713|1529918820 76118|NFLY|NFLY|88634T782|US88634T7827|Tidal Trust II|YieldMax NFLX Option Income Strategy ETF|Trust|ETS|N|N|P|Y|Y|Y|Y|Y||||||||Tidal ETF Services |Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-5|TXN2-5|TXN1-5|TXN2-7|TXN2-5|650000|||Monthly|||||2023-08-08||NFLY.NV|NFLY.SO|NFLY.EU|NFLY.TC| | | | | | | | | | ||the Fund uses a synthetic covered call strategy to provide income and exposure to the share price returns of NFLX, subject to a limit on potential investment gains as a result of the nature of the options strategy it employs.|N|0|N|N|416A|USA|US|HYBRID|ACTIVE|||||||||N||N||||||Y|0|Y||Y|2|||18.11|18.05|0.0|0.0|18.16|18.0|18.0802|17.985|0.0|0.0|18.02|18.68|18.1|18.16|18.02|0.0|0.0|18.31|18.16|18.31|0.0|0.0|0.0|0.0|17.99|18.31|0.0|0.0|0.0|0.0|17.2|18.17|20.36|14.981|34456|2566033 42850|NFRA|NFRA|33939L795|US33939L7955|FlexShares Trust|FlexShares STOXX Global Broad Infrastructure Index Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Northern Trust Investments|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-4|TXN4-4|TXN6-8|TXN2-7|TXN3-8|42050001|||Quarterly|||||2013-10-09||NFRA.NV|NFRA.SO|NFRA.EU|NFRA.TC|NFRA.IV| | | | | | | | | |1x|The Fund seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the STOXX Global Broad Infrastructure Index. The Underlying Index reflects the performance of a selection of equity securities of infrastructure-related companies that are domiciled or traded in developed and emerging markets around the world (including the U.S.). The companies included in the Underlying Index derive at least 50% of their revenues from the ownership, development, construction, financing or operation of infrastructure assets,as determined by STOXX (the Index Provider) pursuant to its index methodology.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||0.0|52.02|0.0|0.0|51.98|0.0|52.0436|52.11|0.0|0.0|0.0|0.0|52.06|52.06|0.0|0.0|0.0|52.02|0.0|52.02|49.52|54.62|51.85|52.24|52.02|52.05|51.85|52.25|51.85|52.24|52.02|52.05|53.6398|46.4203|34915|19308607 75270|NFTG|NFTG|62911P201|US62911P2011|NFT Gaming Co Inc (The)|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-4|TXN5-7|TXN10-5|TXN6-1|TXN5-3|12070000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4020|402030|40203040|Consumer Discretionary|Consumer Products and Services|Leisure Goods|Electronic Entertainment|N||N||||||N|0|Y|C|||||0.39|0.35|0.0|0.0|0.362|0.381|0.38|0.368|0.0|0.0|0.38|0.38|0.39|0.0|0.0|0.0|0.0|0.362|0.0|0.362|0.2921|0.4598|0.2921|0.4598|0.3409|0.4159|0.2921|0.4598|0.0|0.0|0.362|0.39|5.15|0.2694|417016|100201282 39598|NFTY|NFTY|33737J802|US33737J8027|First Trust India Nifty 50 Equal Weight ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN5-6|TXN10-2|TXN6-2|TXN6-2|2250002|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|51.5947|51.52|0.0|0.0|0.0|0.0|51.5|51.629|0.0|0.0|0.0|51.52|0.0|51.5|0.0|0.0|0.0|0.0|51.29|51.92|0.0|0.0|0.0|0.0|51.5|51.66|51.79|40.7401|5819|3295213 72637|NFYS|NFYS|G3167L109|KYG3167L1095|Enphys Acquisition Corp.|Class A Ordinary Shares|Special purpose acquisition company|A|N|N|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN3-1|TXN4-8|TXN3-3|TXN4-3|17010000|||NotApplicable|||||2021-11-26||||||| | | | | | | | | |||N|0|N|N|170A|USA|KY|||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|10.6|0.0|0.0|10.6|10.61|10.61|10.61|0.0|0.0|0.0|0.0|10.61|0.0|0.0|10.61|0.0|10.61|0.0|10.61|10.6|10.63|0.0|0.0|10.39|10.84|0.0|0.0|0.0|0.0|10.6|10.63|10.85|9.91|34202|27069691 72638|NFYS WS|NFYS.WS|G3167L117|KYG3167L1178|Enphys Acquisition Corp.|Redeemable Warrants, each whole warrant exercisable for one Class A ordinary share at an exercise price of $11.50|Special purpose acquisition company|C|N|N|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN6-8|TXN3-6|TXN3-8|TXN1-2|TXN1-3|0|||NotApplicable|||||2021-11-26||||||| | | | | | | | | |||N|0|N|N|170A|USA|KY|||||||||||N||N||||||N|0|Y|C|N||||0.0251|0.0278|0.0|0.0|0.0278|0.025|0.025|0.0278|0.0|0.0|0.0211|0.0211|0.0222|0.0|0.0|0.0222|0.0|0.0222|0.0278|0.0222|0.021|0.027|0.0|0.0|0.0159|0.05|0.0|0.0|0.0|0.0|0.021|0.027|0.1527|0.0211|12249|4989608 71951|NFYS U|NFYS.U|G3167L125|KYG3167L1251|Enphys Acquisition Corp.|Units, each consisting of one Class A ordinary share and one-half of one redeemable warrant|Special purpose acquisition company|R|N|N|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN4-4|TXN5-8|TXN2-3|TXN1-7|0|||NotApplicable|||||2021-10-06||||||| | | | | | | | | |||N|0|N|N|170A|USA|KY|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.6|11.13|0.0|0.0|9.9|11.13|0.0|0.0|0.0|0.0|10.6|11.13|10.915|9.77|0|161646 8046|NG|NG|66987E206|CA66987E2069|NovaGold Resources Inc|Common Stock|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Brendan E. Cryan and Company, L.L.C.|CRYN|0235|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-3|TXN3-5|TXN7-5|TXN2-6|TXN3-4|334180000|||Monthly|||||2003-12-02||||||| | | | | | | | | |||N|0|N|N|130E|CAN|CA|||55|5510|551030|55103025|Basic Materials|Basic Resources|Precious Metals and Mining|Gold Mining|N||N||||||Y|0|Y||Y|2|||4.21|4.205|0.0|0.0|4.21|4.205|4.2|4.2|0.0|0.0|4.205|4.21|4.205|4.2|4.205|4.205|4.2|4.2|4.21|4.2|4.2|4.26|4.2|4.21|4.2|4.24|4.18|4.23|4.18|4.22|4.2|4.21|6.98|3.285|2435005|278261906 8049|NGD|NGD|644535106|CA6445351068|New Gold Inc|Common Stock|Operating company|A|N|Y|A|Y|Y|Y|Y|Y|||Brendan E. Cryan and Company, L.L.C.|CRYN|0235|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-1|TXN3-3|TXN5-6|TXN1-4|TXN2-4|684500000|||NotApplicable|||||2004-11-18||||||| | | | | | | | | |||N|0|N|N|130E|CAN|CA|||55|5510|551030|55103025|Basic Materials|Basic Resources|Precious Metals and Mining|Gold Mining|N||N||||||Y|0|Y||Y|2|||1.42|1.41|0.0|1.42|1.42|1.41|1.41|1.41|0.0|0.0|1.41|1.41|1.41|1.42|1.41|1.41|1.41|1.41|1.42|1.41|1.39|1.42|1.41|1.42|1.39|1.42|1.39|1.44|1.38|1.42|1.39|1.42|1.52|0.82|4845710|721321503 41745|NGE|NGE|37954Y665|US37954Y6656|Global X Funds|Global X MSCI Nigeria ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Global X|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-2|TXN3-1|TXN6-8|TXN1-2|TXN1-4|2962135|||BiAnnually|||||2013-04-03||NGE.NV|NGE.SO|NGE.EU|NGE.TC|NGE.IV| | | | | | | | | |1x|The Global X Nigeria Index ETF (Fund) seeks to provide investment results that correspond generally to the price and yield performance, before fees and expenses, of the Solactive Nigeria Index (Underlying Index). The Underlying Index is designed to reflect broad based equity market performance in Nigeria. As of January 1, 2013, the Underlying Index had 25 constituents. 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Gambling|N||N||||||Y|0|Y||||||27.85|27.87|0.0|0.0|27.88|27.845|27.88|27.885|0.0|0.0|0.0|0.0|27.9|0.0|0.0|27.85|0.0|27.88|0.0|27.9|27.62|28.12|21.32|34.67|27.63|28.1|22.02|33.96|0.0|0.0|27.87|27.9|27.97|10.85|99759|37172011 8056|NGS|NGS|63886Q109|US63886Q1094|Natural Gas Services Group, Inc.|Common Stock,|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN3-8|TXN7-8|TXN4-5|TXN3-7|12440000|||NotApplicable|||||2008-10-30||||||| | | | | | | | | |||N|0|N|Y|134F|USA|US|||60|6010|601010|60101030|Energy|Energy|Oil, Gas and Coal|Oil Equipment and 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|N||N||||||N|0|Y||Y|2|||0.0|16.76|0.0|16.66|16.71|16.68|16.65|16.74|0.0|0.0|16.73|16.77|16.67|16.77|16.3|16.66|0.0|16.7|15.68|16.66|16.64|16.7|12.83|20.39|16.51|16.75|12.83|19.56|16.65|16.86|16.65|20.39|17.49|8.0|73122|10889727 52993|NGVT|NGVT|45688C107|US45688C1071|Ingevity Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|P|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN4-7|TXN7-8|TXN1-1|TXN4-7|36230000|||NotApplicable|||||2016-05-02||||||| | | | | | | | | |||N|0|N|Y|106B|USA|US|||55|5520|552010|55201000|Basic Materials|Chemicals|Chemicals|Chemicals: Diversified|N||N||||||Y|0|Y||Y|2|||40.36|40.2|0.0|40.28|40.31|40.28|40.16|40.18|0.0|0.0|40.3|40.2|40.17|40.16|40.2|40.18|40.67|40.17|40.21|40.18|40.17|40.18|31.18|49.15|39.9|40.18|40.09|40.28|40.07|40.29|40.17|40.18|90.81|36.66|310035|71973367 8060|NHC|NHC|635906100|US6359061008|National Healthcare Corporation|Common Stock|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-5|TXN1-1|TXN7-8|TXN3-5|TXN1-5|15330000|||Quarterly|||||1986-11-21||||||| | | | | | | | | |||N|0|N|N|140A|USA|US|||20|2010|201010|20101010|Health Care |Health Care |Health Care Providers|Health Care Facilities|N||N||||||N|0|Y||Y|2|||85.99|86.18|0.0|85.97|85.1|86.17|86.19|86.055|0.0|0.0|86.66|84.96|86.23|86.0|86.0|86.16|86.3|86.3|86.58|86.3|85.27|86.65|85.99|86.24|85.44|87.16|85.94|105.16|86.04|86.32|85.99|86.24|87.0|51.555|471051|12397561 8061|NHI|NHI|63633D104|US63633D1046|National Health Investors, Inc.|Common Stock|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN3-1|TXN8-8|TXN2-2|TXN4-8|43410000|||Quarterly|||||1991-10-09||||||| | | | | | | | | |||N|0|N|Y|122B|USA|US|||35|3510|351020|35102010|Real Estate|Real Estate |Real Estate Investment Trusts|Health Care 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Investments|N||N||||||N|0|Y||Y|2|||7.53|7.515|0.0|7.53|7.57|7.52|7.515|7.53|0.0|0.0|7.52|7.52|7.515|7.53|7.55|7.52|7.51|7.51|0.0|7.51|5.79|9.31|7.51|7.52|7.51|7.67|7.48|7.55|7.5|7.53|7.51|7.52|9.4|6.95|178995|27772219 44820|NHTC|NHTC|63888P406|US63888P4063|Natural Health Trends Corp|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN6-4|TXN13-1|TXN6-5|TXN6-5|11520000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||HKG||||45|4520|452010|45201010|Consumer Staples |Personal Care, Drug and Grocery Stores |Personal Care, Drug and Grocery Stores |Food Retailers and Wholesalers 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Investments|N||N||||||N|0|Y||Y|2|||11.29|11.31|0.0|11.33|11.31|11.31|11.3|11.3|0.0|0.0|11.31|11.3|11.3|11.3|11.3|11.3|11.28|11.3|0.0|11.3|11.3|11.31|8.72|13.89|11.28|12.06|11.28|11.33|11.28|11.32|11.3|11.31|12.95|9.78|163849|25695543 8087|NL|NL|629156407|US6291564077|NL Industries, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN3-8|TXN1-5|TXN3-3|TXN2-4|48830000|||Quarterly|||||1909-01-13||||||| | | | | | | | | |||N|0|N|Y|134F|USA|US|||40|4020|402020|40202025|Consumer Discretionary|Consumer Products and Services|Household Goods and Home Construction|Household Equipment and 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LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-5|TXN2-3|TXN6-7|TXN4-4|TXN3-1|500090000|||Quarterly|||||1997-10-08||||||| | | | | | | | | |||N|0|Y|Y|412A|USA|US|||30|3020|302030|30203020|Financials|Financial Services |Mortgage Real Estate Investment Trusts|Mortgage REITs: Residential|N||N||||||Y|0|Y||Y|1|||18.53|18.54|0.0|18.46|18.53|18.54|18.54|18.535|0.0|0.0|18.53|18.54|18.54|18.54|18.545|18.53|18.545|18.53|18.545|18.53|18.53|18.54|17.25|19.57|18.53|18.55|18.51|18.57|18.52|18.57|18.53|18.54|27.18|14.5201|5667678|1109046016 59277|NLY PRF|NLYpF|035710870|US0357108705|Annaly Capital Management, Inc.|6.95% Series F Fixed-to-Floating Rate Cumulative Redeemable Preferred Stock|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN4-1|TXN4-8|TXN3-6|TXN4-8|28800000|||Quarterly|||||2017-08-01||||||| | | | | | | | | |||N|0|N|N|412A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||24.96|24.97|0.0|0.0|24.98|24.94|24.9689|24.95|0.0|0.0|24.95|24.95|24.95|25.03|24.774707|24.99|24.94|24.98|24.95|24.99|24.94|25.0|19.4|30.73|24.9|25.46|19.4|30.73|0.0|0.0|24.94|24.99|25.84|23.5|92222|18083094 60422|NLY PRG|NLYpG|035710862|US0357108622|Annaly Capital Management, Inc.|6.50% Series G Fixed-to-Floating Rate Cumulative Redeemable Preferred Stock|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN4-4|TXN5-8|TXN1-7|TXN2-6|17000000|||Quarterly|||||2018-01-17||||||| | | | | | | | | |||N|0|N|N|412A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||24.63|24.77|0.0|0.0|0.0|24.73|24.73|24.75|0.0|0.0|24.72|0.0|24.73|0.0|24.089197|24.76|24.67|24.73|0.0|24.76|24.66|24.76|19.11|30.42|24.4|24.76|19.11|30.42|0.0|0.0|24.66|24.76|25.43|22.0|27749|8387911 63965|NLY PRI|NLYpI|035710847|US0357108473|Annaly Capital Management, Inc.|6.750% Series I Fixed-to-Floating Rate Cumulative Redeemable Preferred Stock|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN2-3|TXN4-8|TXN3-3|TXN3-4|17700000|||Quarterly|||||2019-07-01||||||| | | | | | | | | |||N|0|N|N|412A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||24.05|24.18|0.0|0.0|0.0|24.3|24.3|24.2|0.0|0.0|24.13|0.0|24.22|0.0|0.0|24.3|24.25|24.3|0.0|24.3|24.16|24.29|24.23|24.3|24.15|24.83|0.0|0.0|0.0|0.0|24.16|24.29|24.63|21.17|32262|9967846 604|NM|NM|Y62197119|MHY621971198|Navios Maritime Holdings Inc.|Common Stock|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|5|A|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN2-2|TXN9-8|TXN1-1|TXN1-5|22830000|||NotApplicable|||||2019-01-03||||||| | | | | | | | | |||N|0|N|Y|200A|CYM|MH|||50|5020|502060|50206030|Industrials|Industrial Goods and Services|Industrial Transportation|Marine Transportation|N||N||||||Y|0|Y||Y|2|||2.24|2.245|0.0|0.0|2.25|2.24|2.25|2.245|0.0|0.0|2.245|2.25|2.245|2.24|0.0|2.25|2.245|2.25|2.24|2.25|2.24|2.25|1.74|2.75|2.24|2.26|2.22|2.27|2.21|2.28|2.24|2.25|2.97|1.47|198001|25708100 43445|NM PRG|NMpG|63938Y100|US63938Y1001|Navios Maritime Holdings Inc.|American Depositary Shares (each representing 1/100th of one share of 8.75% Series G Cumulative Redeemable Perpetual Preferred Stock)|Operating company|B|N|Y|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN2-2|TXN6-8|TXN1-6|TXN3-3|520000|||NotApplicable|||||2014-01-29||||||| | | | | | | | | |||N|0|N|N|200A|CYM|MH|||50|5020|502060|50206030|Industrials|Industrial Goods and Services|Industrial Transportation|Marine Transportation|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|18.51|20.47|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|18.51|20.47|23.75|12.2489|0|178109 44584|NM PRH|NMpH|63938Y308|US63938Y3080|Navios Maritime Holdings Inc.|American Depositary Shares (each representing 1/100th of one share of 8.625% Series H Cumulative Redeemable Perpetual Preferred Stock)|Operating company|B|N|Y|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN4-7|TXN3-8|TXN4-6|TXN3-3|1180000|||NotApplicable|||||2014-07-09||||||| | | | | | | | | |||N|0|N|N|200A|CYM|MH|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|17.1|0.0|0.0|17.5|0.0|17.5|0.0|17.5|17.5|18.9|0.0|0.0|17.5|19.15|0.0|0.0|0.0|0.0|17.5|18.5|24.0|11.6|21|418084 72520|NMAI|NMAI|670750108|US6707501085|Nuveen Multi-Asset Income Fund|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN2-7|TXN8-8|TXN4-8|TXN1-5|33430000|||Quarterly|||||2021-11-22||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||11.96|11.9|0.0|0.0|11.96|11.885|11.95|11.885|0.0|0.0|11.87|0.0|11.91|11.94|11.94|11.96|0.0|11.95|11.94|11.96|11.91|12.0|9.13|14.62|11.78|12.78|11.89|14.62|11.91|11.99|11.91|12.0|13.02|10.6|177737|17926149 64506|NMCO|NMCO|670663103|US6706631032|Nuveen Municipal Credit Opportunities Fund|Common Shares, $0.01 par value|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN3-2|TXN5-8|TXN4-7|TXN1-4|53320000|||Monthly|||||2019-09-17||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||10.07|10.09|0.0|10.1|10.06|10.12|10.075|10.09|0.0|0.0|10.09|10.11|10.09|10.04|10.05|10.06|10.09|10.06|0.0|10.06|10.06|10.09|7.84|12.49|10.01|10.79|7.84|10.11|10.06|10.1|10.06|10.09|12.54|8.521|360749|42321085 38216|NMFC|NMFC|647551100|US6475511001|New Mountain Finance Corp|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN6-7|TXN13-1|TXN6-4|TXN6-4|101440000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||Y|0|Y||||||12.78|12.79|0.0|0.0|12.78|12.785|12.78|12.785|0.0|0.0|12.78|12.79|12.78|12.78|12.8|12.785|12.77|12.78|0.0|12.78|12.67|12.89|9.95|15.92|12.78|12.87|12.75|12.82|12.77|12.8|12.78|12.79|13.2|11.2701|395535|72848965 76677|NMFCZ|NMFCZ|647551308|US6475513080|New Mountain Finance Corporation 8.250 Notes due 2028|STRUCT PRODUCT||U|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN5-8|TXN11-8|TXN5-8|TXN6-6|4600000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||||||||||N||N||||||N|0|Y||||||0.0|26.05|0.0|26.05|0.0|0.0|26.0|25.955|0.0|0.0|0.0|0.0|26.05|26.05|0.0|26.0|26.0|26.0|0.0|26.05|20.03|26.0|20.03|32.34|25.47|26.57|20.03|32.34|0.0|0.0|25.91|26.0|26.74|25.14|18834|988494 70709|NMG|NMG|66979W842|CA66979W8429|Nouveau Monde Graphite Inc.|Common Shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|8|E|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN3-1|TXN1-5|TXN1-6|TXN1-6|60750000|||NotApplicable|||||2021-05-24||||||| | | | | | | | | |||N|0|N|Y|130E|CAN|CA|||55|5510|551020|55102000|Basic Materials|Basic Resources|Industrial Metals and Mining|General Mining|N||N||||||Y|0|Y||Y|2|||2.59|2.48|0.0|0.0|2.5|2.51|2.52|2.49|0.0|0.0|2.49|2.47|2.5|2.47|2.51|2.48|0.0|2.48|2.5|2.48|2.48|2.52|1.96|3.06|2.43|2.57|1.96|2.55|2.45|2.51|2.45|2.51|5.97|1.85|52701|21329517 8101|NMI|NMI|67062J102|US67062J1025|Nuveen Municipal Income Fund, Inc.|Common Stock|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN4-7|TXN2-8|TXN1-6|TXN2-5|10050000|||Monthly|||||1988-05-04||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||8.86|0.0|0.0|0.0|8.84|8.87|8.85|8.84|0.0|0.0|8.86|0.0|8.87|8.92|0.0|8.89|0.0|8.84|8.86|8.89|8.84|8.89|8.86|8.91|8.8|9.48|0.0|0.0|0.0|0.0|8.84|8.89|10.61|8.3|27568|4632274 43080|NMIH|NMIH|629209305|US6292093050|NMI Holdings Inc|CL A COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN5-2|TXN14-4|TXN6-6|TXN6-2|81080000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3030|303020|30302025|Financials|Insurance|Non-life Insurance|Property and Casualty Insurance|N||N||||||Y|0|Y||||||27.76|27.76|0.0|27.56|27.76|27.76|27.76|27.75|0.0|0.0|27.77|27.76|27.75|27.77|27.77|27.78|27.79|27.76|27.77|27.75|27.72|27.81|21.32|34.31|27.73|27.81|27.71|27.8|27.73|27.8|27.75|27.77|30.14|19.02|479714|100942949 8102|NMK PRB|NMKpB|653522300||Niagara Mohawk Power Corporation|Preferred Stock, 3.60% Series|Other|B|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|10|TXN1-8|TXN1-1|TXN8-8|TXN2-1|TXN1-6|0|||Quarterly|||||1950-01-06||||||| | | | | | | | | |||N|0|N|N|302A||CA|||50|5020|502040|50204000|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Industrial|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|84.02|0.0|84.02|0.0|84.02|84.02|88.0|0.0|0.0|84.02|90.5|0.0|0.0|0.0|0.0|84.02|88.0|103.06|68.1|60|204072 8103|NMK PRC|NMKpC|653522409||Niagara Mohawk Power Corporation|Preferred Stock, 3.90% Series|Other|B|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|10|TXN3-8|TXN3-1|TXN6-8|TXN4-8|TXN2-6|0|||Quarterly|||||1950-01-06||||||| | | | | | | | | |||N|0|N|N|302A||CA|||50|5020|502040|50204000|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Industrial|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|77.55|78.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|77.55|0.0|77.55|0.0|77.55|76.0|77.55|0.0|0.0|76.0|80.05|0.0|0.0|0.0|0.0|76.0|77.55|98.52|69.84|98|71833 41721|NML|NML|64129H104|US64129H1041|Neuberger Berman Energy Infrastructure and Income Fund Inc.|Common Stock|Closed end fund|P|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN2-1|TXN8-8|TXN3-4|TXN4-6|56660000|||Monthly|||||2013-03-26||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||6.98|6.93|0.0|0.0|6.94|6.93|6.93|6.92|0.0|0.0|6.93|6.93|6.935|7.05|6.9|6.9|6.94|6.94|0.0|6.94|6.55|7.4|6.92|6.93|6.72|7.4|6.9|6.96|6.91|6.94|5.54|8.31|7.515|6.0897|149561|39755748 26228|NMM|NMM|Y62267409|MHY622674098|Navios Maritime Partners L.P.|Common Units representing Limited Partner Interests|Limited partnership|A|N|Y|N|Y|Y|Y|Y|Y|5|A|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN4-3|TXN6-8|TXN4-3|TXN2-7|30180000|||Quarterly|||||2019-05-21||||||| | | | | | | | | |||N|0|N|N|200A|MCO|MH|||50|5020|502060|50206030|Industrials|Industrial Goods and Services|Industrial Transportation|Marine Transportation|N||N||||||Y|0|Y||Y|2|||25.77|25.79|0.0|25.71|25.77|25.78|25.8|25.8|0.0|0.0|25.77|25.79|25.77|25.66|25.66|25.77|25.43|25.77|26.14|25.77|25.75|25.8|19.96|31.92|25.33|27.37|25.7|25.85|25.68|25.86|25.11|26.27|28.8029|19.23|111842|22540011 8108|NMR|NMR|65535H208|US65535H2085|Nomura Holdings, Inc.|American Depositary Shares (Each representing one share of Common Stock)|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN1-1|TXN5-8|TXN4-7|TXN3-5|3163560000|||BiAnnually|||||2001-12-17||||||| | | | | | | | | |||N|0|N|Y|416A|JPN|JP|||30|3020|302020|30202015|Financials|Financial Services |Investment Banking and Brokerage Services |Investment Services|N||N||||||Y|0|Y||Y|2|||4.11|4.1|0.0|0.0|4.11|4.105|4.105|4.1|0.0|0.0|4.1|4.1|4.105|4.1|4.11|4.1|4.095|4.11|4.1|4.1|4.1|4.11|3.19|5.07|4.1|4.11|4.07|4.14|4.09|4.14|4.09|4.11|4.47|3.38|4148037|612164317 76307|NMRA|NMRA|640979100|US6409791000|Neumora Therapeutics Inc|COM USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN5-5|TXN13-7|TXN6-8|TXN5-2|152700000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y|C|||||11.8|11.86|0.0|11.68|11.87|11.79|11.84|11.79|0.0|0.0|11.86|11.63|11.79|11.86|11.78|11.69|11.84|11.84|11.92|11.79|9.03|14.55|9.03|14.55|11.02|12.64|11.77|11.9|11.79|11.9|11.81|11.85|17.7394|9.35|518714|21028178 60577|NMRD|NMRD|640442208|US6404422080|Nemaura Medical Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-3|TXN6-2|TXN11-3|TXN5-7|TXN6-5|28900000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||Y|0|Y||||||0.221|0.2201|0.0|0.0|0.2352|0.221|0.2201|0.221|0.0|0.0|0.24|0.0|0.236|0.0|0.0|0.0|0.0|0.2201|0.0|0.2201|0.1932|0.2821|0.1761|0.3018|0.2112|0.26|0.1932|0.2821|0.0|0.0|0.2191|0.25|3.43|0.21|115052|31455083 60318|NMRK|NMRK|65158N102|US65158N1028|Newmark Group Inc|Cl A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN6-4|TXN10-2|TXN5-2|TXN5-6|151410000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||35|3510|351010|35101015|Real Estate|Real Estate |Real Estate Investment and Services Development|Real Estate Services|N||N||||||Y|0|Y||||||8.52|8.525|0.0|8.38|8.53|8.525|8.53|8.505|0.0|0.0|8.52|8.5|8.52|8.52|8.51|8.525|8.505|8.525|8.52|8.52|8.51|8.55|6.46|10.42|8.51|8.55|8.49|8.55|8.49|8.55|8.52|8.53|9.36|5.065|849282|211486435 46105|NMS|NMS|670734102|US6707341029|Nuveen Minnesota Quality Municipal Income Fund|Common Shares of beneficial interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN2-8|TXN1-5|TXN2-8|TXN1-8|5780000|||Monthly|||||2014-10-06||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||10.87|0.0|0.0|0.0|10.88|10.85|10.83|10.86|0.0|0.0|0.0|0.0|10.75|10.87|0.0|10.88|0.0|10.88|0.0|10.88|10.8|10.88|10.78|10.88|10.1|11.56|0.0|0.0|0.0|0.0|10.8|10.88|12.49|9.21|3725|3002933 8109|NMT|NMT|67061E104|US67061E1047|Nuveen Massachusetts Quality Municipal Income Fund|Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities 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Streicher & Co. L.L.C.|JSCO|3856|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-6|TXN1-4|TXN7-8|TXN3-7|TXN2-1|11750000|||NotApplicable|||||2019-09-24||||||| | | | | | | | | |||N|0|N|N|140A|USA|US|||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||Y|2|||1.19|0.0|0.0|0.0|0.0|1.16|1.171|1.19|0.0|0.0|1.15|1.18|1.21|1.176|0.0|0.0|1.176|1.176|0.0|1.176|1.11|1.25|1.16|1.19|1.12|1.18|0.976|1.36|0.0|0.0|1.08|1.27|2.0|1.0|37449|12999349 8121|NNY|NNY|67062M105|US67062M1053|Nuveen New York Municipal Value Fund|Common Stock|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN2-2|TXN8-8|TXN1-7|TXN3-4|18890000|||Monthly|||||1987-10-07||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||8.07|8.09|0.0|0.0|8.07|8.08|8.07|8.08|0.0|0.0|8.07|8.1|8.08|8.1|0.0|8.09|8.09|8.07|8.07|8.09|8.07|8.09|6.21|9.98|7.51|8.69|8.03|8.13|0.0|0.0|8.07|8.09|8.93|7.58|111440|9201121 18311|NOA|NOA|656811106|CA6568111067|North American Construction Group Ltd.|Common Shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|5|A|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-6|TXN3-5|TXN6-7|TXN4-7|TXN2-1|27830000|||Quarterly|||||2006-11-22||||||| | | | | | | | | |||N|0|N|Y|134F|CAN|CA|||50|5010|501010|50101010|Industrials|Construction and Materials|Construction and Materials |Construction|N||N||||||Y|0|Y||Y|2|||20.15|20.17|0.0|20.18|20.15|20.16|20.15|20.15|0.0|0.0|20.53|20.66|20.16|0.0|20.64|20.16|0.0|20.15|20.53|20.16|20.13|20.17|15.81|24.78|20.06|20.24|18.95|21.29|20.1|20.22|20.13|24.21|26.3|12.48|26479|14616921 36039|NOAH|NOAH|65487X102|US65487X1028|Noah Holdings Limited|American Depositary Shares (each representing 5 Ordinary Share)|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN1-8|TXN4-8|TXN2-5|TXN1-7|315690000|||Yearly|||||2010-11-10||||||| | | | | | | | | |||N|0|N|Y|408A|CHN|KY|||30|3020|302020|30202010|Financials|Financial Services |Investment Banking and Brokerage Services |Asset Managers and Custodians|N||N||||||Y|0|Y||Y|2|||13.22|13.13|0.0|0.0|13.18|13.25|13.055|13.19|0.0|0.0|13.25|13.06|13.195|13.22|0.0|13.14|0.0|13.14|13.17|13.14|13.05|13.19|10.03|16.25|12.89|13.42|10.03|15.64|0.0|0.0|13.05|13.19|21.53|10.875|98459|15561377 42860|NOBL|NOBL|74348A467|US74348A4673|PROSHARES S&P 500 DIVIDEND ARISTOCRATS ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-3|TXN3-5|TXN1-7|TXN2-7|TXN1-6|123800001|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||92.34|92.31|0.0|0.0|92.3|92.3|92.3|92.17|0.0|0.0|92.31|92.3|92.3|92.32|92.31|92.34|92.27|92.31|92.21|92.31|92.13|92.48|92.19|92.42|92.28|92.31|92.27|92.32|92.14|92.43|92.29|92.3|97.33|83.855|618829|111283604 8122|NOC|NOC|666807102|US6668071029|Northrop Grumman Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|P|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-7|TXN1-2|TXN4-5|TXN3-1|TXN2-8|150790000|||Quarterly|||||1951-12-10||||||| | | | | | | | | |||N|5|Y|Y|102A|USA|US|||50|5020|502010|50201020|Industrials|Industrial Goods and Services|Aerospace and Defense|Defense|N||N||||||Y|0|Y||Y|1|||479.88|480.45|0.0|480.4|480.35|480.4|480.39|480.31|0.0|0.0|480.4|477.74|480.31|479.88|479.7|480.33|480.36|480.35|480.4|480.33|480.31|480.33|447.19|509.66|480.15|480.86|480.06|480.71|479.97|480.65|480.31|480.33|547.8|414.56|1079102|197544175 64718|NOCT|NOCT|45782C615|US45782C6158|Innovator Growth-100 Power Buffer ETF- October|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN2-2|TXN8-8|TXN3-5|TXN1-3|3590000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||44.51|44.522|0.0|0.0|0.0|0.0|44.53|44.5|0.0|0.0|0.0|0.0|44.53|44.52|0.0|0.0|0.0|44.522|44.5|44.522|0.0|0.0|44.42|44.5|44.47|44.61|44.38|44.63|44.39|44.64|44.47|44.64|44.85|34.5471|18705|4810136 56862|NODK|NODK|65342T106|US65342T1060|NI Holdings Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN5-5|TXN10-2|TXN5-6|TXN5-3|20580000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3030|303020|30302025|Financials|Insurance|Non-life Insurance|Property and Casualty Insurance|N||N||||||N|0|Y||||||13.13|13.01|0.0|0.0|0.0|0.0|13.155|13.16|0.0|0.0|0.0|0.0|13.15|0.0|0.0|0.0|0.0|13.13|0.0|13.15|12.49|13.7|0.0|0.0|12.87|13.61|0.0|0.0|0.0|0.0|13.13|13.34|15.28|12.01|7377|2793186 19471|NOG|NOG|665531307|US6655313079|Northern Oil & Gas Inc|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|A|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-4|TXN1-4|TXN9-8|TXN3-7|TXN1-8|100510000|||Quarterly|||||2022-02-17||||||| | | | | | | | | |||N|0|N|Y|134A|USA|US|||60|6010|601010|60101010|Energy|Energy|Oil, Gas and Coal|Oil: Crude Producers|N||N||||||Y|0|Y||Y|2|||37.45|37.445|0.0|37.29|37.43|37.43|37.44|37.435|0.0|0.0|37.46|37.4|37.435|37.44|37.4|37.44|37.43|37.435|37.45|37.44|37.43|37.44|28.92|46.3|37.38|37.5|37.4|37.47|37.39|37.48|37.43|37.44|43.6389|25.5612|1089283|354442872 71733|NOGN|NOGN|65528N204|US65528N2045|Nogin Inc|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-1|TXN5-7|TXN14-6|TXN6-2|TXN5-3|11290000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502050|50205020|Industrials|Industrial Goods and Services|Industrial Support Services|Professional Business Support Services|N||N||||||N|0|Y|D|||||0.212|0.211|0.0|0.0|0.212|0.2102|0.210923|0.2054|0.0|0.0|0.2054|0.2054|0.2088|0.0|0.0|0.2107|0.0|0.210923|0.0|0.210923|0.1696|0.2123|0.1696|0.2534|0.1921|0.2123|0.1696|0.2534|0.0|0.0|0.2054|0.2123|10.64|0.1699|205371|159524639 71734|NOGNW|NOGNW|65528N113|US65528N1138|Nogin Inc|WT EXP 082627||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-6|TXN6-4|TXN14-2|TXN5-4|TXN5-7|11290000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0124|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0124|0.0|0.0124|0.0|0.0|0.0|0.0|0.0117|0.0124|0.0|0.0|0.0|0.0|0.0117|0.0124|0.1928|0.005|38187|113812112 8125|NOK|NOK|654902204|US6549022043|Nokia Corporation|American Depositary Shares (each representing one Share, 0.06 euro par value)|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-3|TXN4-8|TXN5-1|TXN1-7|TXN1-2|5691800000|||Quarterly|||||1994-07-01||||||| | | | | | | | | |||N|0|N|Y|306A|FIN|FI|||15|1510|151010|15101010|Telecommunications|Telecommunications|Telecommunications Equipment|Telecommunications Equipment|N||N||||||Y|0|Y||Y|2|||3.16|3.165|0.0|3.18|3.16|3.16|3.165|3.16|0.0|0.0|3.165|3.17|3.16|3.17|3.165|3.16|3.175|3.16|3.16|3.16|3.16|3.17|2.51|3.96|3.16|3.17|3.14|3.2|3.13|3.17|3.16|3.17|5.11|3.05|63662299|3970358400 8126|NOM|NOM|67060Q108|US67060Q1085|Nuveen Missouri Quality Municipal Income Fund|Common shares of beneficial interest, par value $0.01 per share|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|11|Q|Virtu Americas LLC|NITC|295|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN1-6|TXN6-8|TXN2-8|TXN3-3|2350000|||Monthly|||||2016-08-26||||||| | | | | | | | | |||N|0|N|N|406B|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||0.0|9.65|0.0|0.0|0.0|9.85|9.905|9.9|0.0|0.0|9.9|0.0|9.9|0.0|0.0|9.9|9.9|9.9|0.0|9.9|9.85|9.91|9.86|9.9|9.24|10.55|0.0|0.0|0.0|0.0|9.85|9.9|10.94|8.52|15161|929279 52238|NOMD|NOMD|G6564A105|VGG6564A1057|Nomad Foods Limited|Ordinary shares, no par value|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-3|TXN4-6|TXN2-6|TXN2-2|TXN3-4|172550000|||Quarterly|||||2016-01-05||||||| | | | | | | | | |||N|0|N|Y|118B|GBR|VG|||45|4510|451020|45102020|Consumer Staples |Food, Beverage and Tobacco |Food Producers|Food Products|N||N||||||Y|0|Y||Y|2|||16.46|16.49|0.0|16.46|16.48|16.485|16.485|16.485|0.0|0.0|16.48|16.46|16.49|16.24|16.44|16.5|16.47|16.5|16.515|16.5|16.48|16.5|12.43|19.9|16.33|16.61|16.48|16.52|16.45|16.5|16.48|16.5|19.76|13.56|515883|146769805 31325|NORW|NORW|37950E101|US37950E1010|Global X Funds|Global X MSCI Norway ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Global X|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN4-8|TXN5-8|TXN1-7|TXN4-2|2266111|||BiAnnually|||||2009-08-18||GXF.NV|GXF.SO|GXF.EU|GXF.TC|GXF.IV| | | | | | | | | |1x|The Global X FTSE Nordic Region ETF seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the FTSE Nordic 30 Index (Underlying Index). The FTSE Nordic 30 Index tracks the performance of the 30 largest and most liquid companies in Sweden, Denmark, Norway and Finland. The Fund invests at least 80% of its total assets in the securities of the Underlying Index and in ADRs and GDRs based on the securities in the Underlying Index. The Fund also invests at least 80% of its total assets in securities of companies that are domiciled in, principally traded in or whose revenues are primarily from Sweden, Denmark, Norway and Finland. The Funds 80% investment policies are non-fundamental and require 60 days prior written notice to shareholders before they can be changed. The Fund may lend securities representing up to one-third of the value of the Funds total assets (including the value of the collateral received).|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|24.71|0.0|0.0|24.48|24.03|24.01|24.03|0.0|0.0|24.69|0.0|24.05|0.0|0.0|0.0|0.0|24.0227|0.0|24.0227|22.33|25.69|0.0|0.0|24.03|24.07|22.33|25.69|0.0|0.0|24.03|24.07|26.96|22.55|7824|4773032 68325|NOTE|NOTE|337655104|US3376551046|FiscalNote Holdings, Inc.|Class A common stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|P|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN3-8|TXN4-7|TXN3-3|TXN2-6|120940000|||NotApplicable|||||2022-08-01||||||| | | | | | | | | |||N|0|N|Y|104C|USA|US|||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||Y|2|||1.14|1.135|0.0|1.16|1.135|1.135|1.14|1.14|0.0|0.0|1.135|1.135|1.135|1.13|1.15|1.14|1.15|1.14|1.135|1.14|1.13|1.14|0.88|1.38|1.13|1.16|1.1|1.16|1.13|1.17|1.13|1.14|6.8699|0.65|1160416|355498314 68326|NOTE WS|NOTE.WS|337655112|US3376551129|FiscalNote Holdings, Inc.|Warrants to purchase one share of Class A common stock, each at an exercise price of $11.50 per share|Operating company|C|N|N|N|Y|Y|Y|Y|Y|6|P|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN3-8|TXN1-8|TXN1-5|TXN2-5|TXN4-1|128900000|||NotApplicable|||||2022-08-01|2027-08-01|||||| | | | | | | | | |||N|0|N|N|104C|USA|US|||||||||||N||N||||||N|0|Y||N||||0.2825|0.29|0.0|0.0|0.3201|0.2895|0.2825|0.0|0.0|0.0|0.0|0.29|0.3146|0.0|0.0|0.3201|0.0|0.3201|0.0|0.3201|0.2846|0.2892|0.0|0.0|0.2825|0.3084|0.0|0.0|0.0|0.0|0.2846|0.2892|1.4299|0.0516|11773|4005977 430|NOTV|NOTV|45783Q100|US45783Q1004|Inotiv Inc|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN5-4|TXN10-2|TXN6-1|TXN5-4|25780000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201020|20102020|Health Care |Health Care |Medical Equipment and Services|Medical Services|N||N||||||Y|0|Y||||||2.81|2.81|0.0|0.0|2.84|2.82|2.79|2.79|0.0|0.0|2.85|2.82|2.82|2.813|2.83|2.81|3.035|2.79|0.0|2.82|2.73|2.95|2.19|3.51|2.79|2.91|2.76|2.85|2.76|2.9|2.79|2.85|8.88|1.61|268350|107403971 8129|NOV|NOV|62955J103|US62955J1034|NOV Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|P|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-4|TXN3-4|TXN4-5|TXN4-1|TXN1-4|393930000|||Quarterly|||||1996-10-29||||||| | | | | | | | | |||N|0|Y|Y|134F|USA|US|||60|6010|601010|60101030|Energy|Energy|Oil, Gas and Coal|Oil Equipment and Services|N||N||||||Y|0|Y||Y|1|||19.03|19.025|0.0|19.08|19.03|19.02|19.025|19.03|0.0|0.0|19.025|19.03|19.025|19.03|19.035|19.03|18.93|19.03|19.025|19.03|19.02|19.03|18.98|19.07|19.0|19.04|18.98|19.07|18.98|19.07|19.02|19.03|24.83|14.05|3869925|950869412 64150|NOVA|NOVA|86745K104|US86745K1043|Sunnova Energy International Inc.|Common Stock, $0.01 par value per share|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|P|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN2-7|TXN4-3|TXN2-7|TXN1-5|122420000|||NotApplicable|||||2019-07-25||||||| | | | | | | | | |||N|0|N|Y|302A|USA|US|||65|6510|651010|65101010|Utilities|Utilities|Electricity|Alternative Electricity|N||N||||||Y|0|Y||Y|2|||12.26|12.26|0.0|12.13|12.25|12.26|12.265|12.25|0.0|0.0|12.26|12.23|12.265|12.25|12.25|12.26|12.235|12.27|12.24|12.26|12.26|12.27|9.6|15.05|12.23|12.29|12.22|12.29|12.21|12.3|12.26|12.27|24.5599|7.615|7958668|1049966963 35513|NOVT|NOVT|67000B104|CA67000B1040|Novanta Inc|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN5-5|TXN11-2|TXN5-1|TXN6-7|35810000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101020|10102020|Technology|Technology|Technology Hardware and Equipment|Production Technology Equipment|N||N||||||N|0|Y||||||147.75|149.1|0.0|147.93|149.45|149.26|149.18|149.2|0.0|0.0|0.0|0.0|149.2|0.0|148.86|147.98|0.0|149.2|0.0|149.2|147.56|150.74|113.8|183.73|147.8|150.66|148.69|149.65|148.76|149.67|149.09|149.2|187.605|111.2|169447|33093602 71877|NOVV|NOVV|G6759A100|VGG6759A1003|Nova Vision Acquisition Corp|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN6-7|TXN12-3|TXN5-7|TXN6-5|3320000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||SGP||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|11.5|0.0|11.56|0.0|0.0|0.0|0.0|11.69|0.0|0.0|0.0|0.0|11.56|0.0|11.56|0.0|0.0|0.0|0.0|10.84|12.44|0.0|0.0|0.0|0.0|11.49|11.7|11.6|10.4|3362|409764 71878|NOVVR|NOVVR|G6759A134||Nova Vision Acquisition Corp. Rights|||D|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-7|TXN5-3|TXN11-2|TXN5-1|TXN6-3|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||50|5020|502040|50204000|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Industrial|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.03|0.0|0.0|0.0|0.0|0.0|0.03|0.3|0.39|0.0898|0|3369653 71352|NOVVU|NOVVU|G6759A126|VGG6759A1268|Nova Vision Acquisition Corp|UNITS||R|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN5-8|TXN14-8|TXN6-6|TXN5-7|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||SGP||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|11.85|0.0|0.0|0.0|0.0|11.65|11.6|11.65|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|11.1|12.41|12.0|10.2|691|14138 71879|NOVVW|NOVVW|G6759A118|VGG6759A1185|Nova Vision Acquisition Corp|WT EXP 123128||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-4|TXN5-7|TXN13-6|TXN6-4|TXN6-6|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||SGP||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.3999|0.0|0.0|0.0|0.0|0.02|0.0249|0.05|0.0025|0|1796818 68047|NOVZ|NOVZ|53656F680|US53656F6806|TrueShares Structured Outcome (November) ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-1|TXN2-1|TXN7-8|TXN3-7|TXN4-4|520000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|34.3039|0.0|0.0|0.0|0.0|34.3399|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|34.3039|0.0|34.3039|0.0|0.0|34.23|34.29|34.27|34.33|0.0|0.0|0.0|0.0|34.27|34.51|36.0|29.8278|816|524800 40296|NOW|NOW|81762P102|US81762P1021|ServiceNow, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|4|0.01|0.01|5000000|1|100|TXN2-4|TXN1-8|TXN2-4|TXN4-3|TXN1-4|205000000|||NotApplicable|||||2012-06-29||||||| | | | | | | | | |||N|5|Y|Y|108B|USA|US|||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||Y|1|||688.43|687.56|0.0|687.37|688.185|687.72|687.71|687.39|0.0|0.0|687.43|687.43|687.65|688.53|687.43|687.62|688.03|687.81|687.43|687.62|687.63|687.88|641.16|727.87|687.06|688.05|687.07|721.35|687.63|687.95|687.63|687.88|694.765|353.62|1166075|326309950 73051|NPAB|NPAB|64823D102|US64823D1028|New Providence Acquisition Corp II|CL A COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN5-7|TXN14-1|TXN6-3|TXN5-1|8270000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|10.66|10.6299|0.0|0.0|0.0|0.0|0.0|10.5|0.0|0.0|0.0|0.0|10.66|10.68|10.66|0.0|0.0|0.0|0.0|10.0|11.26|10.6|0.0|0.0|0.0|10.6|10.78|11.67|10.12|9737|6740400 72261|NPABU|NPABU|64823D201|US64823D2018|New Providence Acquisition Corp II|UNIT||R|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN6-7|TXN11-4|TXN6-7|TXN6-7|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||10.66|10.66|0.0|0.0|0.0|10.68|10.65|10.72|0.0|0.0|10.72|0.0|10.68|10.66|0.0|10.72|0.0|10.68|10.8|10.68|0.0|0.0|0.0|0.0|0.0|11.33|10.7|0.0|0.0|0.0|10.7|11.33|11.2|9.9301|14610|20063 73052|NPABW|NPABW|64823D110|US64823D1101|New Providence Acquisition Corp II|WT EXP 110928||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-1|TXN5-7|TXN10-2|TXN6-7|TXN5-6|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.05|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0387|0.0|0.0|0.0|0.0|0.05|0.0|0.05|0.0|0.0|0.0|0.0|0.0|0.06|0.0|0.0|0.0|0.0|0.0311|0.0513|0.2588|0.016|941|1819733 70309|NPCE|NPCE|641288105|US6412881053|Neuropace Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN5-2|TXN11-4|TXN6-8|TXN5-6|26280000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||N|0|Y|C|||||0.0|8.13|0.0|0.0|8.5|8.22|8.21|8.1|0.0|0.0|8.11|8.35|8.13|8.139|0.0|8.13|8.29|8.21|0.0|8.13|7.76|8.51|6.32|10.04|7.8|8.54|6.96|10.04|0.0|0.0|8.0|8.24|9.73|1.22|58233|10463945 70401|NPCT|NPCT|67080D103|US67080D1037|Nuveen Core Plus Impact Fund|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN4-2|TXN4-8|TXN3-1|TXN4-2|28760000|||Monthly|||||2021-04-28|2033-05-02|||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||0.0|9.9|0.0|0.0|9.91|9.895|9.895|9.9|0.0|0.0|9.91|0.0|9.9|9.834|0.0|9.9|0.0|9.895|0.0|9.9|9.89|9.9|7.6|12.15|9.24|10.51|9.87|9.92|9.88|9.91|9.89|9.9|11.74|8.58|71109|19733740 72917|NPFD|NPFD|67080R102|US67080R1023|Nuveen Variable Rate Preferred & Income Fund|Common Shares|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN4-3|TXN2-8|TXN3-3|TXN3-3|22000000|||Monthly|||||2021-12-16||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||16.07|16.07|0.0|16.07|16.21|16.05|16.03|16.07|0.0|0.0|16.07|16.07|16.04|16.04|16.12|16.03|16.08|16.03|16.21|16.03|16.03|16.04|12.45|19.97|15.08|17.1|16.01|16.06|16.04|16.08|16.03|16.04|19.22|14.5|106093|17410606 8136|NPK|NPK|637215104|US6372151042|National Presto Industries, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|P|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN2-6|TXN5-8|TXN1-4|TXN2-1|7080000|||Yearly|||||1969-03-03||||||| | | | | | | | | |||N|0|N|Y|124A|USA|US|||50|5020|502010|50201020|Industrials|Industrial Goods and Services|Aerospace and Defense|Defense|N||N||||||N|0|Y||Y|2|||78.9|79.09|0.0|78.82|78.52|78.0|79.06|78.94|0.0|0.0|78.0|78.37|79.01|74.35|74.35|79.08|74.35|79.06|74.35|79.08|78.97|79.08|78.19|79.88|77.59|80.25|60.18|95.9|78.85|79.08|78.1|79.08|82.59|66.18|18702|5892143 8138|NPO|NPO|29355X107|US29355X1072|Enpro Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN3-3|TXN4-8|TXN2-5|TXN3-7|20910000|||Quarterly|||||2002-05-24||||||| | | | | | | | | |||N|0|N|Y|126A|USA|US|||50|5020|502040|50204000|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Industrial|N||N||||||Y|0|Y||Y|2|||128.4|132.82|0.0|132.64|127.57|133.11|132.986|132.9|0.0|0.0|133.04|129.62|133.01|131.6|128.33|133.16|128.095|133.21|127.75|133.16|133.05|133.21|100.96|164.06|132.51|133.66|132.52|133.6|133.05|133.7|133.05|133.21|144.86|91.74|78938|23030730 8141|NPV|NPV|67064R102|US67064R1023|Nuveen Virginia Quality Municipal Income Fund|Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN3-6|TXN8-8|TXN4-3|TXN2-3|17890000|||Monthly|||||1993-03-18||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||10.66|10.66|0.0|0.0|10.65|10.68|10.6614|10.65|0.0|0.0|10.49|0.0|10.68|10.71|10.52|10.66|10.7|10.66|0.0|10.66|10.66|10.69|8.17|13.3|9.99|11.42|8.17|13.3|0.0|0.0|10.66|10.69|12.48|8.9201|97249|7237438 71358|NPWR|NPWR|64107A105|US64107A1051|NET Power Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|T|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN4-6|TXN6-8|TXN4-8|TXN1-4|71030000|||NotApplicable|||||2021-06-16||||||| | | | | | | | | |||N|0|N|Y|408A|USA|KY|||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||9.3|9.37|0.0|9.36|9.34|9.37|9.38|9.38|0.0|0.0|9.37|9.07|9.36|9.3|9.4|9.34|9.3|9.34|9.38|9.34|9.33|9.37|7.23|11.53|9.25|9.49|9.32|9.39|9.33|9.39|9.33|9.38|17.62|8.25|399392|40249698 71359|NPWR WS|NPWR.WS|64107A113|US64107A1135|NET Power Inc.|Redeemable warrants, each whole warrant exercisable for one share of Class A Common Stock at an exercise price of $11.50|Operating company|C|N|N|N|Y|Y|Y|Y|Y|6|T|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN2-2|TXN3-8|TXN4-4|TXN4-5|71010000|||NotApplicable|||||2021-08-06|2028-06-08|||||| | | | | | | | | |||N|0|N|N|408A|USA|KY|||||||||||N||N||||||N|0|Y||N||||0.0|2.28|0.0|0.0|0.0|2.15|2.2|0.0|0.0|0.0|2.15|0.0|0.0|0.0|0.0|2.2|0.0|2.2|0.0|2.2|2.16|2.3|0.0|0.0|2.14|2.45|0.0|0.0|0.0|0.0|2.16|2.3|5.5|1.9|10976|5206413 8153|NQP|NQP|670972108|US6709721087|Nuveen Pennsylvania Quality Municipal Income Fund|Common Shares|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN2-6|TXN7-8|TXN1-6|TXN4-7|37380000|||Monthly|||||1991-02-21||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||11.13|11.135|0.0|11.17|11.115|11.13|11.13|11.125|0.0|0.0|11.12|11.19|11.14|11.13|11.12|11.14|11.125|11.14|11.11|11.14|11.13|11.14|11.1|11.17|11.13|11.94|11.1|11.17|11.11|11.16|11.13|11.43|12.0092|9.65|114560|13291352 8156|NR|NR|651718504|US6517185046|Newpark Resources, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-4|TXN4-6|TXN1-4|TXN4-5|TXN4-8|85090000|||NotApplicable|||||1995-12-06||||||| | | | | | | | | |||N|0|N|Y|134F|USA|US|||60|6010|601010|60101030|Energy|Energy|Oil, Gas and Coal|Oil Equipment and Services|N||N||||||N|0|Y||Y|2|||7.39|7.4|0.0|7.35|7.39|7.395|7.395|7.4|0.0|0.0|7.39|7.39|7.4|7.39|7.36|7.4|7.39|7.395|7.365|7.4|7.39|7.4|5.72|8.88|7.37|7.42|7.36|7.43|7.36|7.42|7.39|7.4|7.54|3.4|1288873|170668483 69953|NRAC|NRAC|G6546R101|KYG6546R1011|Northern Revival Acquisition Corp|CL A ORD||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN5-6|TXN10-6|TXN5-5|TXN6-6|7950000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.88|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.18|11.05|0.0|0.0|0.0|0.0|10.87|10.91|11.98|10.03|1|3803015 68997|NRACU|NRACU|G6546R127|KYG6546R1276|Northern Revival Acquisition Corp|UNITS||R|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN6-6|TXN10-8|TXN5-7|TXN5-6|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|9.43|12.82|0.0|0.0|0.0|0.0|10.1|12.03|11.45|9.22|0|764412 69954|NRACW|NRACW|G6546R119|KYG6546R1193|Northern Revival Acquisition Corp|WT EXP 013128||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-8|TXN5-8|TXN11-2|TXN6-6|TXN5-1|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0202|0.03|0.1499|0.0141|0|3454447 53612|NRBO|NRBO|64132R206|US64132R2067|NeuroBo Pharmaceuticals Inc|COM USD0.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-1|TXN5-2|TXN11-5|TXN6-7|TXN6-2|38810000|||NotApplicable|||||||||||| | | | 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Services|N||N||||||N|0|Y||||||0.0|41.49|0.0|41.48|41.47|41.48|41.48|41.47|0.0|0.0|41.48|41.48|41.5|41.51|41.51|41.49|0.0|41.47|0.0|41.5|40.96|41.98|32.17|51.13|41.08|41.92|41.37|41.62|41.42|41.64|41.48|41.5|47.6|36.61|99457|8688376 72248|NRDS|NRDS|64082B102|US64082B1026|NerdWallet Inc|COM CL A USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN6-3|TXN10-2|TXN6-2|TXN5-3|44440000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101010|10101020|Technology|Technology|Software and Computer Services|Consumer Digital Services 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052426||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-4|TXN5-2|TXN12-8|TXN6-4|TXN5-7|83920000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0996|0.1|0.0|0.0|0.0|0.0|0.0|0.05|0.0|0.0|0.0|0.0|0.0996|0.0|0.0996|0.0731|0.114|0.0|0.0|0.0794|0.1066|0.0|0.0|0.0|0.0|0.085|0.1|0.4394|0.05|2103|790848 76120|NRXS|NRXS|64134X201|US64134X2018|Neuraxis, Inc.|Common Stock|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-4|TXN2-1|TXN4-8|TXN2-7|TXN3-7|5290000|||NotApplicable|||||2023-08-09||||||| | | | | | | | | |||N|0|N|N|122A|USA|US|||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||N|0|Y|C|Y|2|||2.9|2.93|0.0|0.0|2.93|2.94|3.04|3.04|0.0|0.0|2.935|3.03|3.01|3.16|0.0|0.0|3.01|3.01|3.25|3.01|2.34|3.77|3.01|3.13|2.88|3.18|2.34|3.77|0.0|0.0|3.01|3.1|6.93|1.8|16184|3613477 9866|NS|NS|67058H102|US67058H1023|NuStar Energy L.P.|Common Units, representing limited partner interests|Limited partnership|A|N|N|N|Y|Y|Y|Y|Y|5|A|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-5|TXN2-8|TXN8-4|TXN4-7|TXN4-7|125900000|||Quarterly|||||2001-04-10||||||| | | | | | | | | |||N|0|N|N|134F|USA|US|||60|6010|601010|60101035|Energy|Energy|Oil, Gas and Coal|Pipelines|N||N||||||Y|0|Y||Y|2|||19.2|19.18|0.0|19.23|19.17|19.17|19.175|19.175|0.0|0.0|19.17|19.2|19.175|19.175|19.2|19.18|19.195|19.17|19.17|19.18|19.17|19.18|14.74|23.45|19.06|19.31|19.15|19.2|19.14|19.21|19.17|19.18|19.32|14.3|568517|117450293 54538|NS PRA|NSpA|67058H201|US67058H2013|NuStar Energy L.P.|8.50% Series A Fixed-to-Floating Rate Cumulative Redeemable Perpetual Preferred Units|Limited partnership|B|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN2-4|TXN8-8|TXN4-4|TXN2-3|9060000|||Quarterly|||||2016-11-30||||||| | | | | | | | | |||N|0|N|N|134F|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||25.83|25.83|0.0|0.0|0.0|25.82|25.785|25.19|0.0|0.0|25.75|0.0|25.83|0.0|0.0|25.82|25.74|25.82|0.0|25.82|25.71|25.83|25.82|25.84|25.2|26.4|0.0|0.0|0.0|0.0|25.71|25.83|26.1|21.91|7653|2734077 57234|NS PRB|NSpB|67058H300|US67058H3003|NuStar Energy L.P.|7.625% Series B Fixed-to-Floating Rate Cumulative Redeemable Perpetual Preferred Units|Limited partnership|B|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN4-8|TXN1-5|TXN4-6|TXN1-5|15400000|||Quarterly|||||2017-05-03||||||| | | | | | | | | |||N|0|N|N|134F|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|25.65|0.0|0.0|0.0|25.65|25.65|25.54|0.0|0.0|25.59|0.0|25.63|0.0|0.0|25.61|25.55|25.61|0.0|25.61|25.63|25.66|25.55|25.59|25.03|26.11|0.0|0.0|0.0|0.0|25.63|25.66|26.4|19.9901|20528|7182770 60240|NS PRC|NSpC|67058H409|US67058H4092|NuStar Energy L.P.|9.00% Series C Fixed-to-Floating Rate Cumulative Redeemable Perpetual Preferred Units representing limited partner interests|Limited partnership|B|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN1-6|TXN9-8|TXN4-3|TXN3-3|6900000|||Quarterly|||||2017-12-04||||||| | | | | | | | | |||N|0|N|N|134F|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|24.41552|25.55|25.5796|25.17|0.0|0.0|25.55|0.0|0.0|0.0|0.0|25.58|25.52|25.56|0.0|25.58|25.52|25.58|25.52|25.58|24.94|26.03|0.0|0.0|0.0|0.0|23.77|26.79|28.35|22.0|11620|4199501 49695|NSA|NSA|637870106|US6378701063|National Storage Affiliates Trust|Common Shares of Beneficial Interest|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-3|TXN2-7|TXN7-3|TXN1-7|TXN1-7|83080000|||Quarterly|||||2015-04-23||||||| | | | | | | | | |||N|0|Y|Y|412A|USA|US|||35|3510|351020|35102050|Real Estate|Real Estate |Real Estate Investment Trusts|Storage REITs|N||N||||||Y|0|Y||Y|1|||35.71|35.72|0.0|35.35|35.72|35.74|35.74|35.75|0.0|0.0|35.74|35.63|35.73|35.75|35.72|35.74|35.6|35.74|35.7|35.74|35.73|35.74|33.13|37.98|35.65|35.95|35.68|35.8|35.71|35.79|35.73|35.74|44.785|27.8608|1385709|187520118 59860|NSA PRA|NSApA|637870205|US6378702053|National Storage Affiliates Trust|6.000% Series A Cumulative Redeemable Preferred Shares of Beneficial Interest (Liquidation Preference $25.00 per share)|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|8|I|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN1-4|TXN6-8|TXN4-1|TXN4-4|9020000|||Quarterly|||||2017-10-13||||||| | | | | | | | | |||N|0|N|N|412A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||23.54|23.58|0.0|0.0|0.0|23.25|23.673|23.35|0.0|0.0|0.0|0.0|23.58|0.0|0.0|23.59|0.0|23.59|0.0|23.59|23.58|23.73|0.0|0.0|23.17|24.23|0.0|0.0|0.0|0.0|23.58|23.73|25.18|20.162|12602|2739463 76373|NSA PRB|NSApB|637870304|US6378703044|National Storage Affiliates Trust|6.000% Series B Cumulative Redeemable Preferred Shares of Beneficial Interest|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN2-2|TXN6-2|TXN2-2|TXN2-2|5670000|||Quarterly|||||2023-09-27||||||| | | | | | | | | |||N|0|N|N|412A|USA|US|||||||||||N||N||||||N|0|N||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|23.28|37.02|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|23.28|37.02|0.0|0.0|0|0 8173|NSC|NSC|655844108|US6558441084|Norfolk Southern Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-6|TXN3-2|TXN1-4|TXN4-7|TXN2-8|226140000|||Quarterly|||||1982-06-02||||||| | | | | | | | | |||N|5|Y|Y|204A|USA|US|||50|5020|502060|50206020|Industrials|Industrial Goods and Services|Industrial Transportation|Railroads|N||N||||||Y|0|Y||Y|1|||228.05|228.08|0.0|227.97|228.0|228.285|227.97|227.97|0.0|0.0|228.21|228.17|228.04|228.05|228.07|228.03|228.28|227.97|228.14|228.03|227.98|228.03|213.9|240.52|227.76|228.16|227.83|228.27|227.98|228.29|227.98|228.03|261.71|183.09|1444409|320896486 71339|NSCS|NSCS|67092P839|US67092P8398|NuShares ETF Trust|Nuveen Small Cap Select ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Nuveen|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-5|TXN1-7|TXN5-8|TXN4-5|TXN4-4|260000|||Yearly|||||2021-08-05||NSCS.NV|NSCS.SO|NSCS.EU|NSCS.TC|NSCS.IV| | | | | | | | | |1x|An actively managed, diversified small-cap equity exchange traded fund that buys companies trading at a discount to their intrinsic value only when a forthcoming catalyst is apparent.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|22.1301|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|23.2617|0.0|23.2617|18.13|27.98|0.0|0.0|23.24|23.29|18.13|27.98|0.0|0.0|23.25|23.28|23.6681|20.4304|4|15201 2844|NSIT|NSIT|45765U103|US45765U1034|Insight Enterprises Inc|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN6-6|TXN13-7|TXN6-4|TXN6-1|32580000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101020|10102030|Technology|Technology|Technology Hardware and Equipment|Computer Hardware|N||N||||||N|0|Y||||||166.46|166.19|0.0|166.34|166.4|166.23|166.37|166.4|0.0|0.0|165.84|166.23|166.44|166.16|165.96|166.46|166.08|166.44|166.08|166.44|166.0|167.65|127.43|200.9|165.97|166.77|127.43|166.63|166.01|166.69|166.4|166.45|166.47|95.01|480352|58546145 4849|NSP|NSP|45778Q107|US45778Q1076|Insperity, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|P|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN4-3|TXN6-8|TXN3-6|TXN3-1|37280000|||Quarterly|||||1997-01-29||||||| | | | | | | | | |||N|0|N|Y|104C|USA|US|||50|5020|502050|50205025|Industrials|Industrial Goods and Services|Industrial Support Services|Business Training and Employment Agencies|N||N||||||Y|0|Y||Y|2|||115.65|117.19|0.0|117.41|117.48|117.2|117.46|117.45|0.0|0.0|117.6|113.72|117.43|117.07|117.08|117.42|115.46|117.41|117.36|117.42|117.41|117.42|88.77|142.1|117.05|117.61|117.24|117.61|117.41|117.64|117.41|117.42|131.085|93.56|195311|57228475 72960|NSPI|NSPI|26922B766|US26922B7661|ETF Series Solutions|Nationwide S&P 500 Risk Managed Income ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Nationwide Fund Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN4-7|TXN3-8|TXN4-6|TXN4-7|800000|||Monthly|||||2021-12-17||NSPI.NV|NSPI.SO|NSPI.EU|NSPI.TC| | | | | | | | | | |1x|The Fund is an actively-managed exchange-traded fund (ETF) that seeks to achieve its investment objective principally by investing in a portfolio of the stocks included in the S&P 500 Index (the S&P 500 or the Reference Index) and an options collar (i.e., a mix of written (sold) call options and long (bought) put options) on the S&P 500.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|21.05|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|21.0621|0.0|21.0621|20.85|21.29|21.01|21.05|21.03|21.08|19.64|22.61|0.0|0.0|21.03|21.08|21.39|19.1|5|1023390 32509|NSPR|NSPR|45779A846|US45779A8466|InspireMD Ltd|COM USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN6-1|TXN12-4|TXN6-3|TXN5-2|21550000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||ISR||||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||Y|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|2.48|2.45|0.0|0.0|0.0|0.0|2.48|0.0|0.0|0.0|0.0|2.45|0.0|2.45|2.29|2.62|1.87|3.09|2.29|2.62|2.29|2.62|0.0|0.0|2.43|2.48|3.85|0.84|35703|14200520 41365|NSS|NSS|67059T204|US67059T2042|NuStar Energy L.P.|7.625% Fixed- to- Floating Rate Subordinated Notes due 2043|Limited partnership|G|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN4-1|TXN4-8|TXN2-6|TXN3-5|16100000|||Quarterly|||||2013-01-29|2043-01-15|||||| | | | | | | | | |||N|0|N|N|134F|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||26.88|26.9|0.0|0.0|26.9|26.93|26.92|26.925|0.0|0.0|26.9|0.0|26.95|0.0|0.0|26.93|26.91|26.86|0.0|26.93|26.72|26.95|26.91|26.95|26.18|27.52|0.0|0.0|0.0|0.0|26.73|26.94|26.96|24.2|36386|7209962 2845|NSSC|NSSC|630402105|US6304021057|NAPCO Security Technologies Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN5-2|TXN14-4|TXN5-2|TXN5-8|36770000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502020|50202020|Industrials|Industrial Goods and Services|Electronic and Electrical Equipment|Electronic Equipment: Control and Filter|N||N||||||Y|0|Y||||||31.56|31.78|0.0|31.68|31.78|31.79|31.78|31.76|0.0|0.0|31.78|31.66|31.77|31.76|31.71|31.79|31.69|31.79|31.78|31.77|31.47|32.05|24.08|39.17|31.53|32.01|31.72|31.85|31.75|31.85|31.77|31.8|41.25|17.76|573903|117381982 69150|NSTB|NSTB|66573W107|US66573W1071|Northern Star Investment Corp. II|Class A Common Stock|Special purpose acquisition company|A|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-3|TXN4-6|TXN6-8|TXN2-3|TXN2-3|11330000|||NotApplicable|||||2023-03-01||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|10.2972|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.2972|0.0|0.0|10.2972|8.21|12.36|10.28|10.3|10.26|10.32|8.21|12.36|0.0|0.0|9.75|10.3|10.7|9.84|11|1878419 69151|NSTB WS|NSTB.WS|66573W115|US66573W1154|Northern Star Investment Corp. II|Redeemable Warrants, each whole warrant exercisable for shares of Class A common stock at an exercise price of $11.50 per share|Special purpose acquisition company|C|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN11-8|TXN1-2|TXN1-5|TXN1-6|TXN3-5|0|||NotApplicable|||||2023-03-01||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||||||||||N||N||||||N|0|Y||N||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0101|0.0256|0.0|0.0|0.0|0.0|0.0|0.0|0.0101|0.03|0.1|0.0101|0|1384103 68873|NSTB U|NSTB.U|66573W206|US66573W2061|Northern Star Investment Corp. II|Units, each consisting of one share of Class A common stock and one-fifth of one redeemable warrant|Special purpose acquisition company|R|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-1|TXN3-8|TXN3-8|TXN4-4|TXN3-3|0|||NotApplicable|||||2023-03-01||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|10.27|0.0|0.0|0.0|0.0|0.0|10.38|10.565|0.0|0.0|10.31|10.31|0.0|10.31|10.22|12.48|10.22|10.4|9.55|10.6|8.18|12.48|0.0|0.0|10.22|10.4|10.9|9.562|533|160395 42283|NSTG|NSTG|63009R109|US63009R1095|NanoString Technologies Inc|COM USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-7|TXN6-8|TXN12-3|TXN6-1|TXN6-6|48120000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||0.595|0.6004|0.0|0.5958|0.5922|0.5985|0.5988|0.5958|0.0|0.0|0.5984|0.5984|0.5941|0.5935|0.6004|0.5958|0.6024|0.595|0.5984|0.5941|0.5785|0.6147|0.478|0.7034|0.5932|0.6077|0.5709|0.6207|0.5941|0.6008|0.5941|0.5958|13.2|0.471|1622723|303238146 73246|NSTS|NSTS|6293JP109|US6293JP1094|NSTS Bancorp Inc|COM USD0.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN6-6|TXN13-3|TXN6-7|TXN5-7|5320000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|9.02|0.0|0.0|0.0|0.0|0.0|9.02|0.0|0.0|0.0|0.0|9.02|0.0|9.02|0.0|0.0|0.0|0.0|8.63|9.41|0.0|0.0|0.0|0.0|9.02|9.04|10.6999|8.25|1373|1528712 2848|NSYS|NSYS|656553104|US6565531042|Nortech Systems Inc|COM USD.05||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN5-5|TXN13-5|TXN6-8|TXN6-3|2740000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101020|10102015|Technology|Technology|Technology Hardware and Equipment|Electronic Components|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|9.4|9.04|0.0|0.0|0.0|9.39|0.0|9.09|0.0|0.0|0.0|0.0|9.04|0.0|9.04|8.74|9.87|0.0|0.0|8.68|9.77|0.0|0.0|0.0|0.0|9.04|9.54|16.52|7.45|3457|1440323 2849|NTAP|NTAP|64110D104|US64110D1046|NetApp Inc|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN5-4|TXN10-8|TXN6-4|TXN6-7|206030000|||NotApplicable|||||||||||| | | | | | | | | |||N|5|Y|N||USA||||10|1010|101020|10102030|Technology|Technology|Technology Hardware and Equipment|Computer Hardware|N||N||||||Y|0|Y||||||90.27|90.3|0.0|90.28|90.29|90.3|90.3|90.3|0.0|0.0|90.26|90.33|90.31|90.28|90.27|90.29|90.32|90.26|90.0|90.31|90.23|90.37|84.95|95.9|90.25|90.32|90.2|90.32|90.23|90.3|90.25|90.3|91.78|58.08|2450687|466015840 53912|NTB|NTB|G0772R208|BMG0772R2087|The Bank of N.T. Butterfield & Son Limited|Common shares, BM$0.01 par value|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|8|A|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN1-1|TXN7-8|TXN4-5|TXN1-5|48690000|||Quarterly|||||2016-09-16||||||| | | | | | | | | |||N|0|N|Y|402A|BMU|BM|||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||Y|2|||29.49|29.51|0.0|29.42|29.51|29.49|29.524|29.49|0.0|0.0|29.47|29.25|29.52|29.52|29.51|29.53|28.91|29.524|28.79|29.53|29.51|29.55|22.81|36.19|29.27|29.73|22.81|29.6|29.52|29.61|29.51|29.55|38.31|22.93|164995|55381414 46080|NTBL|NTBL|M7517R107|IL0012002452|Notable Labs Ltd|ORD ILS.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN5-3|TXN11-6|TXN6-1|TXN6-1|9000000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||0.0|3.51|0.0|0.0|0.0|3.59|3.6348|0.0|0.0|0.0|3.58|0.0|3.63|0.0|0.0|0.0|0.0|3.6348|0.0|3.6348|3.37|3.83|2.76|4.45|3.32|3.64|2.8|4.23|0.0|0.0|3.56|3.63|5.27|2.25|15851|1924240 65315|NTCO|NTCO|63884N108|US63884N1081|Natura &Co Holding S.A.|American Depositary Shares (each representing two Common shares)|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|5|C|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-1|TXN2-8|TXN7-5|TXN3-6|TXN2-4|1386850000|||Adhoc|||||2020-01-06||||||| | | | | | | | | |||N|0|N|Y|180B|BRA|BR|||40|4020|402040|40204035|Consumer Discretionary|Consumer Products and Services|Personal Goods|Cosmetics|N||N||||||N|0|Y||Y|2|||6.7|6.7|0.0|0.0|6.71|6.705|6.71|6.7|0.0|0.0|6.705|6.705|6.71|6.725|6.71|6.71|6.705|6.71|6.66|6.71|6.71|6.72|5.14|8.3|6.71|6.72|6.67|6.74|6.66|6.75|6.71|6.73|7.675|3.61|614736|199462863 2851|NTCT|NTCT|64115T104|US64115T1043|NetScout Systems Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN6-4|TXN11-6|TXN5-5|TXN6-6|71000000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101010|10101010|Technology|Technology|Software and Computer Services|Computer Services|N||N||||||Y|0|Y||||||20.73|20.75|0.0|20.55|20.74|20.75|20.73|20.73|0.0|0.0|20.74|20.75|20.74|20.72|20.79|20.75|20.75|20.73|20.75|20.74|20.7|20.77|15.92|25.46|20.7|20.79|20.7|20.76|20.7|20.77|20.73|20.74|37.46|19.74|702655|104890823 2853|NTES|NTES|64110W102|US64110W1027|Netease Inc|SPONSORED ADR||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN6-1|TXN12-3|TXN5-7|TXN5-2|3273840000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||40|4020|402030|40203040|Consumer Discretionary|Consumer Products and Services|Leisure Goods|Electronic Entertainment|N||N||||||Y|0|Y||||||104.41|104.16|0.0|104.41|104.17|104.15|104.16|104.17|0.0|0.0|104.17|104.39|104.18|104.16|104.4|104.17|104.81|104.16|104.18|104.18|104.1|104.27|82.93|128.79|104.14|104.28|103.73|110.57|103.72|104.22|104.16|104.22|118.895|66.32|1991956|276716238 53810|NTEST|NTEST|||NYSE Test Ticker|||A|Y|N|N|Y|Y|Y|Y|N|7|A|TBOX Test Firm|TXXX|9997|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN1-1|TXN7-8|TXN1-3||0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||||||||||N||N||||||Y|0|Y||Y|1|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|22.51|25.05|0.0|25.05|0.0|0.0|0.0|0.0|24.97|25.05|0.0|0.0|0.0|0.0|24.97|25.05|32.11|24.5|10500|2513799 64045|NTEST G|NTEST.G|||NYSE Pillar Test Symbol|||A|Y|N|N|Y|Y|Y|Y|Y|8|Z|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|3|0.01|0.01|5000000|1|100|TXN2-8|TXN2-4|TXN6-5|TXN2-5|TXN2-5|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0|1520 64028|NTEST H|NTEST.H|||Dedicated Test Symbol for Citadel|||A|Y|N|N|Y|Y|Y|Y|Y|5|Z|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN2-2|TXN5-8|TXN2-2|TXN2-2|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|25.06|0.0|25.06|0.0|25.06|24.96|25.15|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|24.96|25.15|25.12|24.97|2160|325160 64029|NTEST I|NTEST.I|||Dedicated Test Symbol for Citadel|||ETF|Y|N|N|Y|Y|Y|Y|Y|5|Z|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN3-2|TXN8-2|TXN1-5|TXN4-8|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|25.0601|0.0|25.06|0.0|25.0601|24.99|25.15|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|24.99|25.15|26.0|24.97|1680|340840 64030|NTEST J|NTEST.J|||Dedicated Test Symbol for IMC|||A|Y|N|N|Y|Y|Y|Y|Y|6|A|TBOX Test Firm|TXXX|9997|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN2-4|TXN6-3|TXN2-4|TXN2-4|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0|1960 64031|NTEST K|NTEST.K|||Dedicated Test Symbol for IMC|||A|Y|N|N|Y|Y|Y|Y|Y|6|A|TBOX Test Firm|TXXX|9997|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN2-5|TXN6-8|TXN2-5|TXN2-5|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0|2080 64032|NTEST L|NTEST.L|||Dedicated Test Symbol for GTS Securities|||ETF|Y|N|N|Y|Y|Y|Y|Y|8|Z|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN2-6|TXN7-3|TXN2-6|TXN2-6|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|25.085|25.085|0|1640 64033|NTEST M|NTEST.M|||Dedicated Test Symbol for GTS Securities|||A|Y|N|N|Y|Y|Y|Y|Y|8|Z|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN2-7|TXN8-3|TXN2-7|TXN2-7|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0|2320 64064|NTEST N|NTEST.N|||Dedicated Test Symbol for Virtu|||A|Y|N|N|Y|Y|Y|Y|Y|11|Y|Virtu Americas LLC|NITC|295|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN9-8|TXN2-7|TXN8-4|TXN2-5|TXN2-5|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0|1840 64066|NTEST O|NTEST.O|||Dedicated Test Symbol for Virtu|||ETF|Y|N|N|Y|Y|Y|Y|Y|11|Y|Virtu Americas LLC|NITC|295|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN2-3|TXN6-4|TXN2-7|TXN2-7|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|25.0905|25.08|0|2160 64034|NTEST P|NTEST.P|||Dedicated Test Symbol for Cryan|||A|Y|N|N|Y|Y|Y|Y|Y|11|Z|Brendan E. Cryan and Company, L.L.C.|RBC|235|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN2-8|TXN5-4|TXN2-8|TXN2-8|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0|0 64035|NTEST Q|NTEST.Q|||Dedicated Test Symbol for Cryan|||A|Y|N|N|Y|Y|Y|Y|Y|11|Z|Brendan E. Cryan and Company, L.L.C.|RBC|235|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN2-8|TXN5-5|TXN2-8|TXN2-8|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0|1840 30185|NTEST Y|NTEST.Y|||NY Test Symbol|||A|Y|N|N|Y|Y|Y|Y|Y|6|A|TBOX Test Firm|TXXX|9997|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN2-3|TXN5-8|TXN2-3|TXN2-3|0|||NotApplicable|||||||||||| | | | | | | | | 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LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN2-7|TXN2-8|TXN4-7|TXN1-5|5640000|||Quarterly|||||2010-07-28||||||| | | | | | | | | |||N|0|N|N|406B|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||34.53|34.44|0.0|0.0|34.61|34.46|34.486|34.52|0.0|0.0|34.49|0.0|34.49|34.53|0.0|34.486|0.0|34.486|34.37|34.486|34.43|34.5|0.0|0.0|34.43|36.75|32.69|36.75|34.39|34.52|34.43|34.5|38.15|29.64|22368|3960637 2854|NTGR|NTGR|64111Q104|US64111Q1040|NETGEAR Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN6-3|TXN14-4|TXN6-5|TXN6-2|29610000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||15|1510|151010|15101010|Telecommunications|Telecommunications|Telecommunications Equipment|Telecommunications Equipment|N||N||||||Y|0|Y||||||14.075|14.07|0.0|13.88|14.08|14.075|14.07|14.08|0.0|0.0|14.08|0.0|14.08|14.08|0.0|14.075|0.0|14.08|14.06|14.08|13.93|14.22|10.69|17.08|14.04|14.2|14.05|14.11|14.04|14.1|14.07|14.08|21.785|10.4|355427|64862552 8192|NTIC|NTIC|665809109|US6658091094|Northern Technologies International Corp|COM USD.02||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN5-1|TXN14-2|TXN5-8|TXN5-3|9430000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||55|5520|552010|55201020|Basic Materials|Chemicals|Chemicals|Specialty Chemicals|N||N||||||N|0|Y||||||0.0|11.17|0.0|0.0|0.0|11.05|11.0001|11.095|0.0|0.0|0.0|11.05|10.99|0.0|0.0|0.0|0.0|11.01|0.0|10.99|10.56|11.58|0.0|0.0|10.67|11.5|0.0|0.0|0.0|0.0|10.99|11.25|14.18|10.1|25593|2585046 13639|NTIP|NTIP|64121N109|US64121N1090|Network-1 Technologies Inc.|Common Stock $.01 par value|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-6|TXN2-8|TXN5-8|TXN1-3|TXN2-8|23630000|||BiAnnually|||||2014-11-19||||||| | | | | | | | | |||N|0|N|N|310A|USA|US|||15|1510|151010|15101010|Telecommunications|Telecommunications|Telecommunications Equipment|Telecommunications Equipment|N||N||||||N|0|Y||Y|2|||2.12|2.16|0.0|0.0|2.2|2.16|2.121|2.18|0.0|0.0|2.12|0.0|2.15|0.0|0.0|0.0|2.2|2.2|0.0|2.2|1.69|2.69|2.15|2.21|2.11|2.21|1.69|2.69|0.0|0.0|2.15|2.21|2.6|2.02|4902|2862069 72962|NTKI|NTKI|26922B741|US26922B7414|ETF Series Solutions|Nationwide Russell 2000 Risk Managed Income ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Nationwide Fund Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-7|TXN2-7|TXN9-8|TXN1-1|TXN1-1|650000|||Monthly|||||2021-12-17||NTKI.NV|NTKI.SO|NTKI.EU|NTKI.TC| | | | | | | | | | |1x|The Fund is an actively-managed exchange-traded fund (ETF) that seeks to achieve its investment objective principally by investing in a portfolio of the stocks included in the Russell 2000 Index (the Russell 2000 or the Reference Index) and an options collar (i.e., a mix of written (sold) call options and long (bought) put options) on the Russell 2000.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|18.260654|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|19.04|0.0|19.04|18.84|19.25|19.01|19.05|19.0|19.07|17.63|20.3|0.0|0.0|19.0|19.07|20.7743|17.82|4|68928 53024|NTLA|NTLA|45826J105|US45826J1051|Intellia Therapeutics Inc|COM USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN6-3|TXN11-5|TXN6-3|TXN5-3|89560000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||30.885|30.86|0.0|30.79|30.86|30.875|30.89|30.89|0.0|0.0|30.87|30.88|30.89|30.9|0.0|30.85|30.82|30.89|30.87|30.89|30.81|30.94|23.87|38.35|30.8|30.95|30.82|30.96|30.85|30.97|30.87|30.89|47.48|22.665|1306937|249968992 54032|NTNX|NTNX|67059N108|US67059N1081|Nutanix Inc|CL A COM 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LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-6|TXN1-7|TXN8-1|TXN1-5|TXN3-7|494550000|||Quarterly|||||2018-01-02||||||| | | | | | | | | |||N|0|N|Y|106A|CAN|CA|||55|5520|552010|55201015|Basic Materials|Chemicals|Chemicals|Fertilizers|N||N||||||Y|0|Y||Y|2|||54.28|54.28|0.0|54.02|54.25|54.26|54.28|54.275|0.0|0.0|54.26|54.27|54.28|54.25|54.29|54.27|54.26|54.27|54.27|54.27|54.27|54.28|42.48|67.33|54.21|54.28|52.38|57.32|54.26|54.28|54.27|54.28|85.16|52.229|1094166|505200620 50249|NTRA|NTRA|632307104|US6323071042|Natera Inc|COM USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN6-4|TXN11-1|TXN6-6|TXN6-6|120150000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||USA||||20|2010|201020|20102020|Health Care |Health Care |Medical Equipment and Services|Medical Services|N||N||||||Y|0|Y||||||59.32|59.29|0.0|58.6|59.32|59.29|59.31|59.3|0.0|58.16|59.31|59.24|59.31|59.24|59.21|59.24|59.04|59.3|59.27|59.31|59.2|59.64|54.94|62.61|59.27|59.63|59.19|59.39|59.17|59.39|59.27|59.31|63.0|35.02|2188460|284787569 59816|NTRB|NTRB|67092M208|US67092M2089|Nutriband Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN5-6|TXN10-7|TXN5-2|TXN5-2|7830000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||0.0|2.69|0.0|0.0|0.0|2.58|2.43|0.0|0.0|0.0|2.54|0.0|2.5|0.0|0.0|0.0|0.0|2.6|2.56|2.6|2.07|3.04|0.0|0.0|2.4|2.65|2.07|3.04|0.0|0.0|2.5|2.55|5.15|1.53|8163|5142924 71868|NTRBW|NTRBW|67092M125|US67092M1255|Nutriband Inc|WT EXP 093026||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-8|TXN5-8|TXN10-5|TXN6-8|TXN6-4|7830000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.321543|0.0|0.0|0.0|0.3001|0.0|0.0|0.0|0.0|0.0|0.0|0.3001|0.0|0.3001|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.1997|0.39|4.2|0.1963|5960|738575 75783|NTRL|NTRL|37960A586|US37960A5864|Global X Funds|Global X Carbon Credits Strategy ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Global X|Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-5|TXN2-3|TXN7-8|TXN1-3|TXN3-3|50000|||BiAnnually|||||2023-05-25||NTRL.NV|NTRL.SO|NTRL.EU|NTRL.TC|NTRL.IV| | | | | | | | | ||Carbon Credit Futures|N|0|N|N|416A|USA|US|COMMODITIES_AND_FUTURES|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|32.7518|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|30.9902|0.0|30.9902|0.0|0.0|0.0|0.0|30.82|31.18|0.0|0.0|0.0|0.0|30.83|31.17|37.8382|30.9902|13|19940 2866|NTRS|NTRS|665859104|US6658591044|Northern Trust Corp|COM USD3.17||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN6-7|TXN14-6|TXN5-1|TXN6-6|207040000|||NotApplicable|||||||||||| | | | | | | | | |||N|5|Y|N||USA||||30|3020|302020|30202010|Financials|Financial Services |Investment Banking and Brokerage Services |Asset Managers and Custodians|N||N||||||Y|0|Y||||||80.75|80.76|0.0|80.7|80.77|80.755|80.78|80.735|0.0|0.0|80.76|80.76|80.77|80.74|80.55|80.74|80.77|80.78|80.76|80.77|80.69|80.84|75.82|85.52|80.73|80.79|80.7|80.8|80.7|80.8|80.77|80.78|100.25|62.435|1288819|308001062 65131|NTRSO|NTRSO|665859856|US6658598569|Northern Trust Corp|DP RP PFD E||B|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN6-8|TXN10-5|TXN5-6|TXN6-1|16000000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||22.94|0.0|0.0|0.0|22.93|22.96|22.92|22.95|0.0|0.0|22.96|0.0|22.94|0.0|0.0|22.94|0.0|22.92|0.0|22.94|0.0|23.0|0.0|0.0|22.37|23.1|0.0|0.0|0.0|0.0|22.83|22.94|23.15|18.105|37921|9327574 70681|NTSE|NTSE|97717Y642|US97717Y6427|WisdomTree Trust|WisdomTree Emerging Markets Efficient Core Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||WisdomTree|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-6|TXN3-3|TXN3-8|TXN2-8|TXN1-2|1900000|||Quarterly|||||2021-05-20||NTSE.NV|NTSE.SO|NTSE.EU|NTSE.TC| | | | | | | | | | |1x|The WisdomTree Emerging Markets Efficient Core Fund seeks total return by investing in emerging markets equity securities and U.S. Treasury futures contracts.|N|0|N|N|406C|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|26.79|26.755|0.0|0.0|27.19|26.79|26.92|0.0|0.0|0.0|0.0|26.7753|0.0|26.7753|0.0|0.0|0.0|0.0|26.76|26.79|0.0|0.0|0.0|0.0|26.76|26.79|30.14|24.59|16682|2054778 70680|NTSI|NTSI|97717Y634|US97717Y6344|WisdomTree Trust|WisdomTree International Efficient Core Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||WisdomTree|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN4-6|TXN7-8|TXN4-7|TXN1-8|8250000|||Quarterly|||||2021-05-20||NTSI.NV|NTSI.SO|NTSI.EU|NTSI.TC| | | | | | | | | | |1x|The WisdomTree International Efficient Core Fund seeks total return by investing in international equity securities and U.S. Treasury futures contracts|N|0|N|N|406C|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|33.84|33.82|0.0|0.0|0.0|33.75|0.0|0.0|0.0|0.0|0.0|0.0|33.8689|0.0|33.8689|0.0|0.0|0.0|0.0|33.84|33.89|0.0|0.0|0.0|0.0|33.84|33.89|35.43|30.26|31897|4534129 67203|NTST|NTST|64119V303|US64119V3033|NETSTREIT Corp.|Common Stock|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN2-7|TXN1-4|TXN2-2|TXN1-4|68700000|||Quarterly|||||2020-08-13||||||| | | | | | | | | |||N|0|N|Y|414A|USA|US|||35|3510|351020|35102045|Real Estate|Real Estate |Real Estate Investment Trusts|Retail REITs|N||N||||||Y|0|Y||Y|2|||16.64|16.65|0.0|16.65|16.66|16.66|16.65|16.64|0.0|0.0|16.65|16.65|16.655|16.64|16.64|16.63|16.625|16.63|16.645|16.63|16.63|16.65|12.82|20.24|16.62|16.67|16.61|16.68|16.63|16.66|16.63|16.65|20.64|13.49|1102127|163784227 61355|NTSX|NTSX|97717Y790|US97717Y7904|WisdomTree Trust|WisdomTree U.S. Efficient Core Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||WisdomTree|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-8|TXN2-5|TXN8-8|TXN2-2|TXN3-8|23850000|||Quarterly|||||2018-08-02||NTSX.NV|NTSX.SO|NTSX.EU|NTSX.TV|NTSX.IV| | | | | | | | | ||The Fund is actively managed. The Fund seeks to achieve its investment objective by investing in large-capitalization U.S. equity securities and U.S. Treasury futures contracts.|N|0|N|N|406C|USA|US|HYBRID|ACTIVE|||||||||N||N||||||Y|0|Y||Y|1|||36.775|37.45|0.0|0.0|37.56|37.48|37.51|37.475|0.0|0.0|37.5|0.0|37.47|37.73|0.0|0.0|37.44|37.51|0.0|37.51|35.22|39.69|35.22|39.69|37.51|37.59|35.22|39.69|0.0|0.0|37.51|37.59|38.2399|31.92|247484|23393609 2871|NTWK|NTWK|64115A402|US64115A4022|NetSol Technologies Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN5-7|TXN13-4|TXN6-1|TXN5-4|11370000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||N|0|Y|C|||||2.07|0.0|0.0|0.0|2.07|1.96|1.97|2.07|0.0|0.0|0.0|0.0|1.97|2.07|0.0|0.0|0.0|1.96|0.0|1.96|1.87|2.17|0.0|0.0|1.86|2.14|1.64|2.59|0.0|0.0|1.96|2.06|3.3|1.7163|12703|2930596 8200|NTZ|NTZ|63905A200|US63905A2006|Natuzzi S.p.A.|American Depositary Shares (each representing five Ordinary Shares)|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN2-1|TXN5-8|TXN4-7|TXN4-2|55070000|||NotApplicable|||||2019-02-21||||||| | | | | | | | | |||N|0|N|Y|154A|ITA|IT|||40|4020|402020|40202015|Consumer Discretionary|Consumer Products and Services|Household Goods and Home Construction|Household Furnishings|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|6.35|6.515|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|6.29|0.0|6.35|0.0|6.29|6.25|6.29|0.0|0.0|5.84|6.7|0.0|0.0|0.0|0.0|6.25|6.29|8.71|4.76|336|1042740 74206|NTZG|NTZG|67092P789|US67092P7895|Nuveen Global Net Zero Transition ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN5-5|TXN14-8|TXN5-4|TXN6-4|200000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|28.79|0.0|0.0|0.0|0.0|0.0|0.0|28.79|0.0|0.0|0.0|0.0|28.66|29.04|0.0|0.0|0.0|0.0|28.79|28.86|29.4954|25.4749|2|4807 72801|NU|NU|G6683N103|KYG6683N1034|Nu Holdings Ltd.|Class A Ordinary Shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-7|TXN1-2|TXN1-7|TXN3-5|TXN3-8|3602860000|||NotApplicable|||||2021-12-09||||||| | | | | | | | | |||N|0|Y|Y|104B|BRA|KY|||30|3020|302010|30201020|Financials|Financial Services |Finance and Credit Services|Consumer Lending|N||N||||||Y|0|Y||Y|1|||8.18|8.17|0.0|8.19|8.18|8.17|8.1725|8.175|0.0|0.0|8.175|8.18|8.17|8.18|8.17|8.18|8.175|8.17|8.18|8.18|8.17|8.18|7.68|8.73|8.17|8.18|8.14|8.21|8.14|8.18|8.17|8.18|8.87|3.39|23181317|6175015038 53891|NUAG|NUAG|67092P102|US67092P1021|NuShares ETF Trust|Nuveen Enhanced Yield U.S. Aggregate Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Nuveen|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-7|TXN2-2|TXN4-8|TXN4-7|TXN4-8|1700000|||Monthly|||||2016-09-15||NUAG.NV|NUAG.SO|NUAG.EU|NUAG.TC|NUAG.IV| | | | | | | | | |1x|The Index, and thus the ETF, is designed to capture the U.S. investment grade, fixed income market and seeks to enhance yield and performance while targeting the risk levels and the credit quality of BofA Merrill Lynch U.S. Broad Market Index. Rather than weighting by size of issuance, the strategy will use a rules-based methodology to allocate more or less weight to a subgroups within the eligible universe as a means of enhancing returns.|N|0|N|N|416A|USA|US|FIXED_INCOME|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|20.4542|0.0|0.0|0.0|0.0|0.0|20.48|0.0|0.0|0.0|0.0|20.4871|0.0|20.4871|16.38|24.61|0.0|0.0|20.47|20.5|16.38|24.61|0.0|0.0|20.42|20.51|21.34|19.4176|2360|1631189 59677|NUBD|NUBD|67092P870|US67092P8703|NuShares ETF Trust|Nuveen ESG U.S. Aggregate Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Nuveen|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-3|TXN3-4|TXN2-8|TXN1-8|TXN3-4|13500000|||Monthly|||||2017-10-02||NUBD.NV|NUBD.SO|NUBD.EU|NUBD.TC|NUBD.IV| | | | | | | | | |1x|The investment strategy of the NuShares ESG US Aggregate Bond ETF will be to provide exposure to the US aggregate bond market while adhering to predetermined ESG screens as designed within the index methodolgy|N|0|N|N|416A|USA|US|FIXED_INCOME|INDEX|||||||||N||N||||||N|0|Y||Y|2|||21.59|21.59|0.0|0.0|21.59|21.6|21.605|21.58|0.0|0.0|21.59|0.0|21.58|21.63|0.0|21.6|0.0|21.57|0.0|21.57|17.3|25.98|16.65|26.64|21.62|21.65|17.3|25.98|0.0|0.0|21.57|21.65|22.6387|20.56|27624|14132482 73972|NUBI|NUBI|67022R103|US67022R1032|Nubia Brand International Corp|CL A COM USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN6-5|TXN14-7|TXN5-6|TXN5-1|4040000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|10.79|0.0|0.0|0.0|0.0|10.95|0.0|0.0|0.0|0.0|0.0|10.95|0.0|0.0|0.0|0.0|10.95|0.0|10.95|0.0|0.0|0.0|0.0|10.79|11.5|0.0|0.0|0.0|0.0|10.79|10.95|12.1|10.15|4083|9254798 73670|NUBIU|NUBIU|67022R202|US67022R2022|Nubia Brand International Corp|UNITS||R|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN6-1|TXN13-5|TXN5-2|TXN5-5|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|9.52|11.3|14.69|9.78|0|88968 73973|NUBIW|NUBIW|67022R111|US67022R1115|Nubia Brand International Corp|WT EXP 111626||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-6|TXN6-1|TXN10-7|TXN6-7|TXN6-4|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.055|0.1|0.3875|0.02|0|2445155 58624|NUDM|NUDM|67092P805|US67092P8059|Nuveen ESG International Developed Markets Equity ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN2-3|TXN3-8|TXN2-3|TXN2-2|13600000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|28.69|0.0|0.0|28.72|28.67|28.69|28.635|0.0|0.0|28.72|0.0|28.7|28.9|0.0|0.0|0.0|28.69|0.0|28.69|28.68|28.75|22.1|35.19|28.68|28.75|22.1|35.19|0.0|0.0|28.68|28.75|29.78|25.5646|67085|14331258 71821|NUDV|NUDV|67092P813|US67092P8133|Nuveen ESG Dividend ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN2-2|TXN1-5|TXN2-7|TXN4-5|500000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|24.7516|0.0|0.0|0.0|24.7|24.6583|0.0|0.0|0.0|0.0|0.0|24.73|0.0|0.0|0.0|0.0|24.7516|0.0|24.7516|24.69|24.8|0.0|0.0|24.74|24.76|19.62|29.67|0.0|0.0|24.74|24.76|25.5027|21.9763|1247|800961 8203|NUE|NUE|670346105|US6703461052|Nucor Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|O|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-4|TXN1-4|TXN4-6|TXN2-2|TXN3-8|245840000|||Quarterly|||||1972-07-12||||||| | | | | | | | | |||N|5|Y|Y|130D|USA|US|||55|5510|551020|55102010|Basic Materials|Basic Resources|Industrial Metals and Mining|Iron and Steel|N||N||||||Y|0|Y||Y|1|||167.42|167.35|0.0|167.37|167.33|167.35|167.35|167.35|0.0|0.0|167.38|167.38|167.38|167.58|167.35|167.4|167.35|167.4|167.38|167.4|167.4|167.47|157.8|167.45|167.24|167.45|167.19|167.62|167.36|167.45|167.4|167.47|182.68|129.465|1580645|362826265 58627|NUEM|NUEM|67092P888|US67092P8885|Nuveen ESG Emerging Markets Equity ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-3|TXN3-1|TXN1-5|TXN3-7|TXN4-3|8600000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||26.25|26.13|0.0|0.0|26.25|26.25|26.18|26.29|0.0|0.0|0.0|0.0|26.25|26.25|0.0|26.195|0.0|26.13|0.0|26.13|20.26|32.37|20.26|32.37|25.88|26.75|20.26|32.37|0.0|0.0|26.19|26.43|29.07|24.84|107532|11885246 71819|NUGO|NUGO|67092P797|US67092P7978|NuShares ETF Trust|Nuveen Growth Opportunities ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Nuveen|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-6|TXN3-2|TXN3-8|TXN2-3|TXN3-3|112100000|||Yearly|||||2021-09-28||NUGO.NV|NUGO.SO|NUGO.EU|NUGO.TC|NUGO.IV| | | | | | | | | |1x|The Fund seeks long-term capital appreciation through a concentrated growth portfolio that primarily invests in U.S. companies with market capitalizations of at least $1 billion. The Fund is a semi-transparent, actively managed exchange-traded fund.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|1|||0.0|0.0|0.0|0.0|0.0|0.0|24.2895|24.28|0.0|0.0|24.5|0.0|24.25|24.29|0.0|24.5|0.0|24.25|0.0|24.25|24.26|25.46|0.0|0.0|24.26|24.28|23.05|25.46|0.0|0.0|24.26|24.28|24.78|17.09|17648|28219159 36211|NUGT|NUGT|25460G781|US25460G7815|Direxion Shares ETF Trust|Direxion Daily Gold Miners Index Bull 2X Shares|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Direxion Shares|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-1|TXN3-1|TXN9-5|TXN4-8|TXN4-7|15401908.0005|||Quarterly|||||2010-12-08||NUGT.NV|NUGT.SO|NUGT.EU|NUGT.TC|NUGT.IV| | | | | | | | | |2x|The Fund seeks daily investment results, before fees and expenses, of 200% of the performance of the NYSE Arca Gold Miners Index. The Index is composed of equity securities of issuers involved in the exploration and production of gold and does not track changes in the spot price of gold as a commodity.|N|0|N|N|416A|USA|US|EQUITY|LEVERAGED|||||||||N||N||||||Y|0|Y||Y|2|||34.47|34.42|0.0|34.5|34.25|34.44|34.4492|34.48|0.0|0.0|34.47|34.44|34.42|34.5|34.44|34.47|34.46|34.5|34.5|34.5|34.28|34.59|34.36|34.51|34.39|34.45|34.35|34.51|34.36|34.51|34.39|34.45|51.89|24.185|4021029|571738658 64689|NUHY|NUHY|67092P854|US67092P8547|NuShares ETF Trust|Nuveen ESG High Yield Corporate Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Nuveen|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-7|TXN4-3|TXN1-5|TXN1-8|TXN3-2|4900000|||Monthly|||||2019-09-26||NUHY.NV|NUHY.SO|NUHY.EU|NUHY.TC|NUHY.IV| | | | | | | | | |1x|NUHY seeks to track the investment results of the Index. The Index utilizes certain environmental, social, andgovernance (ESG) criteria to select from the securities included in the Bloomberg Barclays US High Yield Very Liquid Index , which is designed to broadly capture the U.S. dollar-denominated, high yield, fixed-ratecorporate bond market.|N|0|N|N|416A|USA|US|FIXED_INCOME|INDEX|||||||||N||N||||||N|0|Y||Y|2|||20.62|0.0|0.0|0.0|20.62|0.0|20.62|20.6|0.0|0.0|20.59|0.0|0.0|20.61|0.0|0.0|0.0|20.6002|0.0|20.6002|16.4|24.66|0.0|0.0|20.58|20.62|16.4|24.66|0.0|0.0|20.58|20.62|21.28|19.505|2443|3948350 63740|NULC|NULC|67092P862|US67092P8620|Nushares ETF Trust - Nuveen ESG Large Cap ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN4-1|TXN1-5|TXN1-1|TXN3-4|650000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|37.8393|0.0|0.0|0.0|0.0|38.079|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|37.8393|0.0|37.8393|37.76|37.91|0.0|0.0|37.82|37.84|37.36|38.2|0.0|0.0|37.82|37.84|38.09|31.7301|372|336793 54670|NULG|NULG|67092P201|US67092P2011|Nuveen ESG Large-Cap Growth ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-3|TXN3-5|TXN2-5|TXN4-3|TXN3-1|22850000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||65.8|65.79|0.0|0.0|65.8|65.82|65.815|65.68|0.0|0.0|65.81|65.61|65.81|65.78|0.0|65.82|0.0|65.79|65.35|65.79|65.68|65.95|65.68|65.97|65.79|65.84|65.68|65.97|65.68|65.97|65.82|65.84|66.3285|47.93|369898|17410846 54671|NULV|NULV|67092P300|US67092P3001|Nuveen ESG Large-Cap Value ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN3-4|TXN6-5|TXN3-6|TXN1-7|44400000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||35.37|35.37|0.0|0.0|35.38|35.41|35.39|35.405|0.0|0.0|35.38|0.0|35.4|35.39|35.41|35.38|35.36|35.37|0.0|35.37|35.39|35.47|35.32|35.47|35.39|35.41|35.32|35.48|35.32|35.48|35.39|35.41|36.87|31.96|184850|44445956 54672|NUMG|NUMG|67092P409|US67092P4090|Nuveen ESG Mid-Cap Growth ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-8|TXN2-3|TXN4-7|TXN3-2|TXN2-1|11000000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||39.9|39.91|0.0|0.0|39.95|39.87|39.93|39.94|0.0|0.0|39.88|0.0|39.95|39.89|39.93|38.99|0.0|39.91|0.0|39.91|39.91|40.02|0.0|0.0|39.91|39.95|39.82|40.05|39.82|40.05|39.91|39.95|41.0075|33.8609|27264|9832821 54673|NUMV|NUMV|67092P508|US67092P5089|Nuveen ESG Mid-Cap Value ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-4|TXN3-5|TXN2-8|TXN4-1|TXN1-5|12200000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||30.26|30.25|0.0|0.0|30.14|30.26|30.26|30.205|0.0|0.0|30.2|0.0|30.25|30.26|30.21|0.0|0.0|30.25|0.0|30.25|30.25|30.33|30.25|30.3|30.25|30.27|0.0|0.0|0.0|0.0|30.25|30.27|33.5|26.37|50521|10557629 54709|NURE|NURE|67092P706|US67092P7069|Nuveen Short-Term REIT ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN4-1|TXN4-8|TXN4-6|TXN2-7|1550000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||28.92|29.0227|0.0|0.0|28.85|28.72|29.0178|0.0|0.0|0.0|28.72|28.67|28.9|28.92|0.0|28.72|0.0|29.0227|0.0|29.0227|29.01|29.09|28.96|29.1|29.01|29.04|28.95|29.1|28.96|29.1|29.01|29.04|32.87|24.9969|41729|3119086 2878|NURO|NURO|641255880|US6412558800|NeuroMetrix Inc|COM USD.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN5-6|TXN14-7|TXN6-4|TXN5-4|1070000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|3.78|3.78|3.74|0.0|0.0|3.79|3.85|3.79|0.0|0.0|0.0|0.0|3.74|0.0|3.74|3.53|3.99|2.89|4.65|3.66|3.94|2.99|4.64|0.0|0.0|3.74|3.79|4.4|0.45|33096|14718845 8210|NUS|NUS|67018T105|US67018T1051|Nu Skin Enterprises, Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|M|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-7|TXN3-1|TXN6-6|TXN2-2|TXN1-5|49410000|||Quarterly|||||1996-11-22||||||| | | | | | | | | |||N|0|N|Y|120B|USA|US|||45|4520|452010|45201020|Consumer Staples |Personal Care, Drug and Grocery Stores |Personal Care, Drug and Grocery Stores |Personal Products|N||N||||||Y|0|Y||Y|2|||17.63|17.61|0.0|17.56|17.6|17.69|17.62|17.62|0.0|0.0|17.61|17.72|17.61|17.62|17.68|17.62|17.67|17.61|17.6|17.62|17.61|17.62|13.95|21.87|17.57|17.67|17.59|17.64|17.58|17.64|17.61|17.62|45.55|16.15|441070|136347904 56963|NUSA|NUSA|67092P110|US67092P1104|NuShares ETF Trust|Nuveen ESG 1-5 Year U.S. Aggregate Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Nuveen|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-4|TXN3-8|TXN3-8|TXN3-4|TXN1-1|1400000|||Monthly|||||2017-04-03||NUSA.NV|NUSA.SO|NUSA.EU|NUSA.TC|NUSA.IV| | | | | | | | | |1x|The NuShares Enhanced Yield 1-5 Year U.S. Aggregate Bond ETF, NUSA, seeks to provide investment results, before fees and expenses, similar to those of the Index. The Index is designed to capture the 1-5 year U.S. investment grade, fixed income market and seeks to enhance yield and performance while targeting the risk levels and the credit quality of a traditional 1-5 Year U.S. Aggregate Bond Index. Rather than weighting by size of issuance, the strategy will use a rules-based methodology to allocate more or less weight to various subgroups (25 in total) within the eligible universe|N|0|N|N|416A|USA|US|FIXED_INCOME|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|22.8001|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|22.8279|0.0|22.8279|18.26|27.42|0.0|0.0|22.81|22.85|18.26|27.42|0.0|0.0|22.81|22.85|23.2|22.41|226011|3376716 54674|NUSC|NUSC|67092P607|US67092P6079|Nuveen ESG Small-Cap ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-7|TXN1-8|TXN1-7|TXN2-7|TXN3-7|29850000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||36.79|36.78|0.0|0.0|36.79|36.79|36.78|36.69|0.0|0.0|36.725|0.0|36.79|36.7|36.71|36.79|36.8|36.78|0.0|36.78|36.78|36.86|34.39|38.97|36.78|36.82|36.71|36.88|36.72|36.88|36.78|36.8|39.32|31.725|154898|22028188 65266|NUSI|NUSI|26922A172|US26922A1723|ETF Series Solutions|Nationwide Nasdaq-100 Risk-Managed Income ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Nationwide Fund Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-3|TXN4-5|TXN7-8|TXN1-6|TXN3-7|18950000|||Monthly|||||2019-12-20||NUSI.NV|NUSI.SO|NUSI.EU|NUSI.TC|NUSI.IV| | | | | | | | | ||The Nationwide Risk-Manged Income ETF (the Fund) seeks current income with downside protection. The Fund is an actively-managed exchange-traded fund (ETF) that seeks ti achieve its investment objective principally by investing in a portfolio of the stocks included in teh Nasdaq-100 Index (the Nasdaq-100 or the Reference Index) and an options collar on the Nasdaq-100. The Fund seeks to genereate high current income on a monthly basis from a combination of the dividends received from the Funds equity holdings and the premiums earned from the options collar.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||Y|0|Y||Y|2|||21.54|21.51|0.0|0.0|21.55|21.55|21.59|21.51|0.0|0.0|21.54|0.0|21.525|21.54|0.0|0.0|0.0|21.58|21.48|21.58|21.37|21.86|16.44|26.59|21.57|21.59|20.06|21.64|0.0|0.0|21.57|21.59|22.26|18.3|40404|16266170 73825|NUTX|NUTX|67079U108|US67079U1088|Nutex Health Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-3|TXN5-1|TXN11-5|TXN5-7|TXN6-6|670780000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101010|10101010|Technology|Technology|Software and Computer Services|Computer Services|N||N||||||N|0|Y||||||0.2056|0.2062|0.0|0.1991|0.2|0.205|0.205|0.2046|0.0|0.0|0.206|0.2062|0.204|0.2021|0.0|0.2062|0.201|0.204|0.2039|0.204|0.197|0.2114|0.1592|0.249|0.1989|0.2106|0.1624|0.238|0.0|0.0|0.204|0.2064|2.46|0.18|1207750|428131135 8212|NUV|NUV|670928100|US6709281009|Nuveen Municipal Value Fund, Inc.|Common Stock|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN1-6|TXN4-7|TXN3-3|TXN4-5|207540000|||Monthly|||||1987-06-17||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||8.45|8.44|0.0|8.46|8.45|8.445|8.44|8.45|0.0|0.0|8.45|8.45|8.445|0.0|8.5|8.44|8.455|8.44|8.46|8.44|8.44|8.45|6.59|10.42|8.43|8.45|8.42|8.48|8.43|8.46|8.44|8.45|9.34|7.855|736794|97873926 67323|NUVB|NUVB|67080N101|US67080N1019|Nuvation Bio Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|S|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN4-5|TXN8-8|TXN2-1|TXN4-7|218940000|||NotApplicable|||||2020-08-21||||||| | | | | | | | | |||N|0|N|Y|408A|USA|US|||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||Y|2|||1.33|1.33|0.0|0.0|1.325|1.33|1.33|1.33|0.0|0.0|1.33|1.33|1.325|1.325|1.33|1.32|1.32|1.33|1.33|1.32|1.32|1.33|1.05|1.6|1.32|1.34|1.3|1.35|1.32|1.34|1.32|1.33|2.545|0.95|815253|179390493 67324|NUVB WS|NUVB.WS|67080N119|US67080N1191|Nuvation Bio Inc.|Redeemable warrants, each whole warrant exercisable for one share of Class A common stock at an exercise price of $11.50|Operating company|C|N|N|N|Y|Y|Y|Y|Y|6|O|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN6-8|TXN1-5|TXN9-8|TXN1-7|TXN2-3|218940000|||NotApplicable|||||2020-08-21||||||| | | | | | | | | 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30055|NUW|NUW|670695105|US6706951059|Nuveen AMT-Free Municipal Value Fund|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN2-4|TXN8-8|TXN3-5|TXN4-6|17960000|||Monthly|||||2009-02-25||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||13.43|13.5|0.0|13.48|13.46|13.455|13.45|13.47|0.0|0.0|0.0|0.0|13.475|13.52|0.0|13.455|13.46|13.455|0.0|13.455|13.45|13.46|10.34|16.66|12.55|14.36|13.41|13.5|13.45|13.48|13.45|13.46|14.69|12.45|57024|8666902 39616|NUWE|NUWE|67113Y405|US67113Y4052|Nuwellis Inc|COM USD.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-6|TXN5-4|TXN14-6|TXN6-1|TXN6-4|3260000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||N|0|Y||||||0.585|0.6|0.0|0.0|0.5978|0.5886|0.593169|0.5919|0.0|0.0|0.585|0.585|0.5903|0.0|0.0|0.58|0.62|0.585|0.5947|0.585|0.5557|0.6279|0.4802|0.7196|0.5558|0.6279|0.559|0.6226|0.5601|0.6215|0.585|0.595|16.5399|0.1021|225062|59554710 55858|NUZE|NUZE|67073S307|US67073S3076|Nuzee Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN6-2|TXN10-8|TXN6-1|TXN6-5|1210000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||45|4510|451010|45101020|Consumer Staples |Food, Beverage and Tobacco |Beverages|Soft Drinks|N||N||||||N|0|Y||||||3.35|3.42|0.0|0.0|0.0|3.4|3.4|3.41|0.0|0.0|3.48|3.4|3.41|3.24|0.0|0.0|0.0|3.4|3.28|3.4|2.73|3.72|0.0|0.0|3.19|3.6|2.73|3.72|0.0|0.0|3.32|3.48|20.0|0.22|335095|7317056 73307|NVAC|NVAC|66718N103|US66718N1037|NorthView Acquisition Corp|COM USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN6-8|TXN10-8|TXN6-8|TXN6-7|6170000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|10.9001|0.0|0.0|0.0|0.0|0.0|10.9|0.0|0.0|0.0|0.0|10.9001|0.0|10.9|0.0|0.0|0.0|0.0|10.9|11.67|0.0|0.0|0.0|0.0|10.9|10.91|10.9001|10.01|21587|2041085 73308|NVACR|NVACR|66718N129||NorthView Acquisition Corporation Rights|||D|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-5|TXN5-7|TXN10-3|TXN6-1|TXN5-3|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||50|5020|502040|50204000|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Industrial|N||N||||||N|0|Y|C|||||0.0|0.0|0.0|0.0|0.0|0.086|0.09|0.0|0.0|0.0|0.08|0.09|0.09|0.0|0.0|0.0|0.0|0.09|0.0|0.09|0.08|0.0|0.0|0.0|0.0|0.15|0.0|0.0|0.0|0.0|0.08|0.09|0.2|0.0601|36782|5002885 73309|NVACW|NVACW|66718N111|US66718N1110|NorthView Acquisition Corp|WT EXP 080227||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-2|TXN5-4|TXN13-3|TXN5-6|TXN5-4|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y|C|||||0.0199|0.0|0.0|0.0|0.0|0.0135|0.0165|0.0|0.0|0.0|0.0163|0.0199|0.0164|0.0|0.0|0.0|0.0|0.0164|0.0|0.0164|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0163|0.0164|0.105|0.006|49799|4702609 2885|NVAX|NVAX|670002401|US6700024010|Novavax Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN6-8|TXN11-4|TXN5-7|TXN5-5|118790000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||5.74|5.75|0.0|5.77|5.74|5.75|5.75|5.745|0.0|0.0|5.74|5.74|5.75|5.745|5.73|5.73|5.74|5.75|5.745|5.75|5.73|5.76|4.47|6.99|5.73|5.76|5.71|5.78|5.73|5.78|5.74|5.75|18.55|5.3|6231702|1675949387 74824|NVBT|NVBT|00888H851|US00888H8512|AIM ETF Products Trust|AllianzIM U.S. Large Cap Buffer10 Nov ETF|Trust|ETS|N|N|P|Y|Y|Y|Y|Y||||||||Allianz Investment Management|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-6|TXN3-6|TXN6-8|TXN4-3|TXN1-2|475000|||Adhoc|||||2022-11-01||NVBT.NV|NVBT.SO|NVBT.EU|NVBT.TC|NVBT.IV| | | | | | | | | ||Designed to allow investors to participate in the growth potential of the SPDR S&P 500 ETF Trust up to a stated cap, with an explicit 10% downside buffer.|N|0|N|N|408A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|28.4199|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|28.4662|0.0|28.4662|0.0|0.0|28.43|28.53|28.48|28.49|28.44|28.56|28.44|28.56|28.48|28.49|29.43|24.76|526|917304 74825|NVBW|NVBW|00888H844|US00888H8447|AIM ETF Products Trust|AllianzIM U.S. Large Cap Buffer20 Nov ETF|Trust|ETS|N|N|P|Y|Y|Y|Y|Y||||||||Allianz Investment Management|Citadel Securities 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NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN5-7|TXN13-6|TXN5-4|TXN6-7|106860000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||JEY||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||12.99|12.99|0.0|13.19|12.99|12.985|12.98|12.99|0.0|0.0|12.98|12.85|12.99|12.99|12.93|12.99|13.09|12.98|12.99|12.99|12.92|13.12|12.14|13.78|12.85|13.09|12.97|13.03|12.94|13.04|12.97|12.99|120.03|10.87|1608296|322850059 72709|NVCT|NVCT|67080T108|US67080T1088|Nuvectis Pharma Inc|COM USD0.00001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN5-1|TXN10-2|TXN6-1|TXN6-7|17330000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||0.0|8.27|0.0|0.0|0.0|8.25|8.26|8.32|0.0|0.0|8.35|0.0|8.38|8.08|0.0|0.0|0.0|8.25|0.0|8.38|7.96|8.73|6.48|10.35|7.98|8.66|6.48|10.35|0.0|0.0|8.24|8.42|18.65|7.14|23369|11999172 76197|NVD|NVD|38747R793|US38747R7935|GraniteShares 1.5x Short NVDA Daily 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Shares|ETF||ETS|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN5-8|TXN11-2|TXN6-1|TXN6-4|500000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||24.261|0.0|0.0|0.0|0.0|24.58|24.38|0.0|0.0|0.0|0.0|0.0|24.3933|24.439|0.0|24.27|0.0|24.38|0.0|24.3933|24.38|24.47|24.37|24.47|24.38|24.44|24.37|24.47|0.0|0.0|24.38|24.44|28.21|22.02|31162|818537 75015|NVDL|NVDL|38747R827|US38747R8271|GraniteShares 1.5x Long NVDA Daily 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ETF|ETF||ETS|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN6-5|TXN12-7|TXN6-7|TXN5-8|2540000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|36.96|0.0|0.0|36.72|36.97|36.99|37.12|0.0|0.0|36.94|36.9|36.94|37.351|0.0|36.95|37.12|36.97|0.0|36.94|36.94|37.0|36.89|37.09|36.94|37.0|36.89|37.09|0.0|0.0|36.94|36.99|44.51|7.171|637643|537910331 76284|NVDU|NVDU|25461A833|US25461A8339|Direxion Daily NVDA Bull 1.5X 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ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-4|TXN3-7|TXN4-7|TXN2-5|TXN3-4|280000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||29.86|28.25|0.0|0.0|28.28|28.36|28.1|27.9|0.0|0.0|27.78|27.78|28.38|28.061|0.0|28.38|31.1|28.25|27.98|28.25|21.71|34.17|21.71|34.17|28.23|28.33|21.71|34.17|0.0|0.0|28.23|28.33|35.1199|21.41|72397|1520719 75687|NVDY|NVDY|88634T774|US88634T7744|Tidal Trust II|YieldMax NVDA Option Income Strategy ETF|Trust|ETS|N|N|P|Y|Y|Y|Y|Y||||||||Tidal ETF Services |Wolverine Trading, 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USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN5-6|TXN14-4|TXN5-3|TXN5-6|4830000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101020|10102010|Technology|Technology|Technology Hardware and Equipment|Semiconductors|N||N||||||N|0|Y||||||0.0|0.0|0.0|74.06|0.0|73.45|74.01|73.355|0.0|0.0|73.44|0.0|73.84|73.92|0.0|0.0|0.0|74.01|0.0|73.84|72.47|75.31|56.58|89.52|72.77|75.09|56.58|89.52|73.74|74.34|73.74|73.94|100.19|61.48|19638|9207820 42762|NVEE|NVEE|62945V109|US62945V1098|NV5 Global Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN6-1|TXN13-8|TXN6-7|TXN5-8|15900000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502050|50205020|Industrials|Industrial Goods and Services|Industrial Support Services|Professional Business Support Services|N||N||||||N|0|Y||||||0.0|103.29|0.0|0.0|0.0|103.63|103.56|103.645|0.0|0.0|103.37|103.42|103.66|0.0|0.0|103.48|0.0|103.56|0.0|103.66|102.47|104.78|79.8|125.26|102.58|104.62|79.8|103.99|103.2|104.09|103.5|103.73|151.31|89.2994|68383|21162334 71957|NVEI|NVEI|67079A102|CA67079A1021|Nuvei Corp|SUB VTG SHS||U|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN5-6|TXN13-3|TXN5-4|TXN6-3|63080000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CAN||||50|5020|502050|50205015|Industrials|Industrial Goods and Services|Industrial Support Services|Transaction Processing Services|N||N||||||Y|0|Y||||||22.43|22.42|0.0|22.43|22.45|22.435|22.4376|22.445|0.0|0.0|22.44|22.44|22.43|22.449|22.31|22.44|22.44|22.44|22.45|22.43|22.31|22.6|16.94|27.07|22.37|22.51|22.37|22.48|22.4|22.5|22.42|22.44|43.81|13.32|640503|115795901 43397|NVFY|NVFY|66979P300|US66979P3001|Nova Lifestyle Inc|COM USD0.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN5-3|TXN12-1|TXN6-8|TXN6-2|1640000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4020|402020|40202015|Consumer Discretionary|Consumer Products and Services|Household Goods and Home Construction|Household Furnishings|N||N||||||N|0|Y||||||2.18|2.15|0.0|0.0|0.0|2.25|2.25|2.18|0.0|0.0|0.0|0.0|2.33|0.0|0.0|0.0|0.0|2.25|0.0|2.25|2.13|2.49|0.0|0.0|2.16|2.5|1.91|2.89|0.0|0.0|2.25|2.37|3.99|0.39|6700|10908976 8216|NVG|NVG|67071L106|US67071L1061|Nuveen AMT-Free Municipal Credit Income Fund|Common shares of beneficial interest, par value $0.01 per share|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN2-6|TXN1-8|TXN4-5|TXN2-8|213520000|||Monthly|||||2016-04-11||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||11.47|11.47|0.0|0.0|11.47|11.465|11.4699|11.47|0.0|0.0|11.465|11.46|11.47|11.46|11.44|11.47|11.45|11.47|11.455|11.47|11.46|11.47|8.88|14.05|11.46|11.48|11.44|11.49|11.44|11.49|11.46|11.47|12.83|9.68|797587|135587575 43159|NVGS|NVGS|Y62132108|MHY621321089|Navigator Holdings Ltd.|Common Stock|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|11|Q|Virtu Americas LLC|NITC|295|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN1-4|TXN9-8|TXN3-2|TXN4-6|73290000|||Quarterly|||||2013-11-21||||||| | | | | | | | | |||N|0|N|Y|200A|GBR|GB|||50|5020|502060|50206030|Industrials|Industrial Goods and Services|Industrial Transportation|Marine Transportation|N||N||||||Y|0|Y||Y|2|||14.95|14.77|0.0|14.95|14.66|14.69|14.66|14.67|0.0|0.0|14.72|14.9|14.68|14.69|0.0|14.69|15.12|14.7|14.61|14.69|14.67|14.7|11.51|18.28|14.56|14.83|14.64|14.73|14.64|14.7|14.67|14.7|15.22|11.09|74256|37077040 75291|NVIR|NVIR|53656G514|US53656G5146|Listed Funds Trust|Horizon Kinetics Energy and Remediation ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Horizon Kinetics|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-4|TXN1-3|TXN6-8|TXN2-7|TXN3-6|125000|||Yearly|||||2023-02-22||NVIR.NV|NVIR.SO|NVIR.EU|NVIR.TC| | | | | | | | | | |1x|The Fund is an actively managed exchange-traded fund (ETF) that seeks to achieve its investment objective by investing primarily in the equity securities of domestic and foreign companies that are expected to benefit, either directly or indirectly, from the increasing focus on climate and environmentally sensitive carbon-based energy production. The Fund will invest in both companies attempting to produce carbon-based energy with less environmental impact and companies developing technologies that will support such production.|N|0|N|N|412C|USA||EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|26.1498|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|26.1499|0.0|26.1499|24.32|28.04|0.0|0.0|26.09|26.2|24.32|28.04|0.0|0.0|26.09|26.2|29.49|22.24|22|368027 35931|NVIV|NVIV|46186M605|US46186M6057|InVivo Therapeutics Holdings Corp|COM USD.00001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-8|TXN6-8|TXN14-8|TXN5-6|TXN6-6|3110000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||0.682|0.0|0.0|0.0|0.0|0.71|0.73|0.683|0.0|0.0|0.73|0.73|0.71|0.0|0.0|0.0|0.0|0.71|0.0|0.71|0.6479|0.7455|0.5401|0.8589|0.6479|0.7455|0.6479|0.7455|0.0|0.0|0.682|0.71|2.8|0.6015|30462|11194381 2892|NVMI|NVMI|M7516K103|IL0010845571|Nova Ltd|ORD||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN6-1|TXN12-6|TXN6-3|TXN6-3|28680000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||ISR||||10|1010|101020|10102020|Technology|Technology|Technology Hardware and Equipment|Production Technology Equipment|N||N||||||Y|0|Y||||||127.9|127.87|0.0|127.41|127.19|127.62|127.43|127.505|0.0|0.0|126.17|126.94|127.46|126.37|125.9|127.62|0.0|127.505|0.0|127.46|126.14|129.04|98.89|156.86|126.5|128.83|127.06|154.16|127.37|127.69|127.43|127.69|131.51|79.21|117443|28382841 73055|NVNI|NVNI|G50716102|KYG507161027|Nvni Group Ltd|ORD USD0.00001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN6-7|TXN13-3|TXN5-5|TXN6-7|9700000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||BRA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||1.82|1.84|0.0|0.0|0.0|1.81|1.81|1.83|0.0|0.0|1.84|1.81|1.77|0.0|0.0|0.0|0.0|1.81|0.0|1.81|0.0|0.0|0.0|0.0|1.72|1.96|0.0|0.0|0.0|0.0|1.75|1.84|10.9999|1.72|19039|1207711 73056|NVNIW|NVNIW|G50716110|KYG507161100|Nvni Group Ltd|WT EXP||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-3|TXN5-7|TXN12-8|TXN6-3|TXN6-4|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||BRA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0302|0.03|0.0|0.0|0.0|0.0301|0.0301|0.0|0.0|0.0|0.0|0.0|0.03|0.0|0.03|0.0241|0.06|0.0241|0.06|0.0241|0.06|0.0241|0.06|0.0|0.0|0.0301|0.05|0.21|0.024|200000|1179509 61069|NVNO|NVNO|29415J106|US29415J1060|enVVeno Medical Corporation|COM USD.00001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN5-6|TXN12-2|TXN6-8|TXN6-7|13320000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||Y|0|Y||||||3.52|3.58|0.0|0.0|3.58|3.59|3.54|3.52|0.0|0.0|3.5|3.62|3.59|3.47|3.57|3.63|0.0|3.54|0.0|3.59|3.42|3.72|2.69|4.44|3.43|3.7|3.49|3.64|3.48|3.65|3.54|3.59|6.49|2.51|90648|11066196 8223|NVO|NVO|670100205|US6701002056|Novo-Nordisk A/S|American Depositary Shares (Representing one Ordinary B Share)|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN4-8|TXN9-2|TXN1-3|TXN2-1|3435130000|||BiAnnually|||||1981-07-09||||||| | | | | | | | | |||N|0|N|Y|106B|DNK|DK|||20|2010|201030|20103015|Health Care |Health Care |Pharmaceuticals and Biotechnology|Pharmaceuticals |N||N||||||Y|0|Y||Y|2|||100.96|100.92|0.0|100.53|100.93|100.96|100.92|100.925|0.0|0.0|100.95|100.96|100.94|100.92|101.13|100.92|100.95|100.92|100.91|100.92|100.94|100.95|77.93|123.22|100.87|101.01|100.9|100.98|100.88|100.99|100.94|100.95|201.76|86.96|2987971|524805195 56324|NVOS|NVOS|67011T300|US67011T3005|Novo Integrated Sciences Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN5-8|TXN13-2|TXN6-8|TXN5-1|16810000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201010|20101010|Health Care |Health Care |Health Care Providers|Health Care Facilities|N||N||||||N|0|Y|D|||||1.32|1.33|0.0|1.32|1.32|1.32|1.3|1.32|0.0|0.0|1.33|1.34|1.34|1.32|1.33|1.33|1.425|1.33|1.34|1.34|1.31|1.34|1.06|1.58|1.31|1.34|1.06|1.58|1.31|1.34|1.31|1.34|2.1208|0.069|3698220|6446275208 68359|NVQ|NVQ|30151E673|US30151E6730|Exchange Listed Funds Trust|QRAFT AI-Enhanced US Next Value ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Exchange Traded Concepts|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-8|TXN4-2|TXN4-8|TXN3-6|TXN3-4|150000|||Quarterly|||||2020-12-03||NVQ.NV|NVQ.SO|NVQ.EU|NVQ.TC|NVQ.IV| | | | | | | | | ||The QRAFT AI-Enhanced US Next Value ETF (the Fund) seeks capital appreciation. In pursuing the Funds investment objective, the Adviser consults a database generated by Qrafts AI Quantitative Investment System (AQUA), which applies its artificial intelligence to develop a portfolio of investments based on the theory that a value investing strategy that adjusts a companys book value by taking into account future intangible assets (e.g. a companys investment in research and development, marketing and advertising, and intellectual property) in addition to typical factors, may outperform more conventional value investing strategies that do not take such assets into account in comparing a companys book value to its intrinsic value.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|31.1801|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|31.6585|0.0|31.6585|31.35|32.0|31.56|31.62|31.63|31.69|31.61|31.69|0.0|0.0|31.6|31.69|33.99|28.5644|14|180560 8226|NVR|NVR|62944T105|US62944T1051|NVR, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|4|0.01|0.01|5000000|1|10|TXN8-8|TXN3-3|TXN8-8|TXN2-4|TXN1-7|3180000|||NotApplicable|||||2008-01-02||||||| | | | | | | | | |||N|5|Y|Y|110A|USA|US|||40|4020|402020|40202010|Consumer Discretionary|Consumer Products and Services|Household Goods and Home Construction|Home Construction|N||N||||||N|0|Y||Y|1|||6383.77|6381.5|0.0|6270.15|6143.14|6380.0|6383.29|6385.775|0.0|0.0|6359.95|6396.0|6392.81|6391.71|6300.0|6388.05|6220.22|6394.13|6409.98|6388.05|6394.13|6394.14|5957.83|6736.25|6326.51|6434.55|5999.25|6722.73|6331.16|6351.0|6394.13|6394.14|6525.0|4515.2|16944|5259270 6870|NVRI|NVRI|415864107|US4158641070|Enviri Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|T|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-5|TXN4-5|TXN3-5|TXN2-8|TXN4-5|79830000|||NotApplicable|||||1956-05-01||||||| | | | | | | | | |||N|0|N|Y|130D|USA|US|||65|6510|651030|65103035|Utilities|Utilities|Waste and Disposal Services|Waste and Disposal Services|N||N||||||Y|0|Y||Y|2|||6.68|6.675|0.0|6.58|6.69|6.69|6.685|6.69|0.0|0.0|6.68|6.69|6.68|6.68|6.71|6.68|6.71|6.67|6.69|6.68|6.67|6.68|5.18|8.09|6.65|6.71|5.18|6.7|6.66|6.71|6.67|6.68|10.005|5.635|700635|47451370 48711|NVRO|NVRO|64157F103|US64157F1030|Nevro Corp.|Common Stock, $0.001 par value per share|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-7|TXN4-6|TXN5-8|TXN1-1|TXN4-4|36210000|||NotApplicable|||||2014-11-06||||||| | | | | | | | | |||N|0|N|Y|122A|USA|US|||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||Y|0|Y||Y|2|||18.86|18.86|0.0|18.89|18.86|18.865|18.87|18.87|0.0|0.0|18.86|18.66|18.86|18.86|18.73|18.88|18.88|18.88|18.85|18.88|18.86|18.88|14.43|23.21|18.78|18.9|18.81|18.91|18.81|18.94|18.86|18.88|45.2|13.98|834117|134622910 8227|NVS|NVS|66987V109|US66987V1098|Novartis AG|American Depositary Shares (each representing one Ordinary Share)|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|6|T|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-4|TXN2-2|TXN8-3|TXN2-4|TXN1-4|2277480000|||Yearly|||||2000-05-11||||||| | | | | | | | | |||N|0|N|Y|140A|CHE|CH|||20|2010|201030|20103015|Health Care |Health Care |Pharmaceuticals and Biotechnology|Pharmaceuticals |N||N||||||Y|0|Y||Y|2|||98.99|98.98|0.0|98.53|99.0|98.995|98.97|99.0|0.0|0.0|98.99|98.99|98.99|98.99|98.97|98.99|98.97|99.01|99.02|98.99|98.98|99.02|76.05|120.25|98.92|99.03|98.91|99.08|98.98|99.05|98.98|99.02|105.61|79.98|1785491|417885881 64554|NVST|NVST|29415F104|US29415F1049|Envista Holdings Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|E|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN4-1|TXN2-5|TXN3-4|TXN1-1|171400000|||Adhoc|||||2019-09-18||||||| | | | | | | | | |||N|0|Y|Y|122A|USA|US|||20|2010|201020|20102015|Health Care |Health Care |Medical Equipment and Services|Medical Supplies|N||N||||||Y|0|Y||Y|1|||24.125|24.13|0.0|24.26|24.13|24.13|24.12|24.135|0.0|0.0|24.13|24.13|24.125|24.13|24.19|24.13|24.18|24.13|24.13|24.13|24.13|24.14|22.73|25.88|24.11|24.16|24.1|24.16|24.1|24.15|24.13|24.14|43.29|20.0|2266927|491058143 60894|NVT|NVT|G6700G107|IE00BDVJJQ56|nVent Electric plc|Ordinary Shares, nominal value $0.01|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|A|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-7|TXN3-3|TXN6-4|TXN2-7|TXN2-2|165910000|||Adhoc|||||2018-04-16||||||| | | | | | | | | |||N|0|Y|Y|114D|GBR|IE|||50|5020|502020|50202010|Industrials|Industrial Goods and Services|Electronic and Electrical Equipment|Electrical Components |N||N||||||Y|0|Y||Y|1|||54.57|54.53|0.0|54.54|54.57|54.6|54.54|54.57|0.0|0.0|54.53|54.64|54.53|54.64|54.61|54.55|54.62|54.54|54.59|54.55|54.53|54.54|50.84|57.95|54.52|54.58|54.5|54.59|54.53|54.61|54.53|54.54|58.98|36.7|799987|277739239 49344|NVTA|NVTA|46185L103|US46185L1035|Invitae Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|T|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN9-7|TXN3-8|TXN5-5|TXN1-8|TXN4-1|286490000|||NotApplicable|||||2015-02-12||||||| | | | | | | | | |||N|0|N|Y|140A|USA|US|||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|2|Y||Y|2|||0.5899|0.5929|0.0|0.5924|0.5899|0.5903|0.5928|0.5925|0.0|0.0|0.5928|0.5926|0.5926|0.5931|0.593|0.5929|0.5897|0.5928|0.5907|0.5929|0.5936|0.5943|0.4789|0.7137|0.5793|0.6052|0.575|0.6122|0.5685|0.596|0.5936|0.5943|2.94|0.36|8088588|2086919547 68863|NVTS|NVTS|63942X106|US63942X1063|Navitas Semiconductor Corp|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN5-8|TXN14-3|TXN6-3|TXN6-6|178490000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101020|10102010|Technology|Technology|Technology Hardware and Equipment|Semiconductors|N||N||||||Y|0|Y||||||7.25|7.25|0.0|7.24|7.25|7.245|7.245|7.245|0.0|0.0|7.25|7.245|7.26|7.25|7.25|7.245|7.255|7.26|7.245|7.26|7.24|7.27|5.48|8.89|7.24|7.27|5.64|7.28|7.24|7.29|7.25|7.26|11.165|3.11|1180926|451473014 66246|NVVE|NVVE|67079Y100|US67079Y1001|Nuvve Holding Corp|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-4|TXN6-7|TXN10-2|TXN6-8|TXN6-1|44950000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502020|50202040|Industrials|Industrial Goods and Services|Electronic and Electrical Equipment|Electronic Equipment: Other|N||N||||||Y|0|Y||||||0.172|0.172|0.0|0.168|0.1715|0.172|0.172599|0.168|0.0|0.0|0.1721|0.1721|0.172|0.171|0.0|0.1715|0.17|0.172|0.165|0.172|0.14|0.197|0.14|0.206|0.1686|0.175|0.14|0.197|0.0|0.0|0.172|0.1722|2.64|0.132|637520|331399721 66248|NVVEW|NVVEW|67079Y118|US67079Y1183|Nuvve Holding Corp|WT EXP 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Limited|ADS||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN6-8|TXN14-8|TXN6-8|TXN5-8|488620000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||AUS||||50|5020|502020|50202010|Industrials|Industrial Goods and Services|Electronic and Electrical Equipment|Electrical Components |N||N||||||Y|0|Y||||||1.93|1.935|0.0|0.0|1.94|1.94|1.94|1.96|0.0|0.0|1.94|1.94|1.935|1.95|0.0|0.0|0.0|1.94|1.94|1.935|1.51|2.37|1.51|2.37|1.89|1.98|1.51|2.37|0.0|0.0|1.93|1.94|6.21|1.5705|40995|20923390 2904|NWBI|NWBI|667340103|US6673401039|Northwest Bancshares Inc|COM USD.1||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN6-5|TXN11-3|TXN5-6|TXN6-7|127100000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||||||11.82|11.82|0.0|11.82|11.82|11.82|11.83|11.82|0.0|0.0|11.81|11.81|11.81|11.81|11.8|11.815|11.8|11.83|11.81|11.81|11.79|11.84|9.06|14.32|11.79|11.85|11.79|11.86|11.79|11.86|11.82|11.83|15.06|9.8|813717|157430723 2896|NWE|NWE|668074305|US6680743050|NorthWestern Energy Group Inc|COM NEW||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN5-1|TXN10-4|TXN6-6|TXN6-6|61240000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||65|6510|651010|65101015|Utilities|Utilities|Electricity|Conventional Electricity|N||N||||||N|0|Y||||||51.28|51.29|0.0|51.32|51.32|51.34|51.32|51.28|0.0|0.0|51.25|51.34|51.32|51.35|51.52|51.68|51.34|51.32|51.28|51.32|51.0|51.43|39.41|63.08|51.04|51.44|51.26|51.36|51.26|51.33|51.29|51.33|61.24|45.97|427172|83765586 2899|NWFL|NWFL|669549107|US6695491075|Norwood Financial Corp.|COM USD.1||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN6-8|TXN13-4|TXN5-5|TXN6-3|8070000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|29.3|29.33|0.0|0.0|0.0|28.8|0.0|29.83|0.0|0.0|28.82|0.0|29.49|0.0|29.83|27.96|30.36|0.0|0.0|28.45|30.18|0.0|0.0|0.0|0.0|28.99|29.86|34.75|23.0|16313|4822612 74546|NWG|NWG|639057207|US6390572070|NatWest Group plc|American Depositary Shares, (each representing two (2) Ordinary Shares)|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-7|TXN4-6|TXN4-6|TXN1-5|TXN2-4|8805210000|||Adhoc|||||2022-08-30||||||| | | | | | | | | |||N|0|N|Y|402A|GBR|GB|||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||Y|2|||5.49|5.49|0.0|5.51|5.49|5.49|5.495|5.5|0.0|0.0|5.5|5.49|5.49|5.51|5.5|5.49|5.5|5.49|5.51|5.49|5.49|5.5|4.21|6.65|5.48|5.5|5.45|5.53|5.44|5.54|5.49|5.5|7.795|4.295|4590672|371164637 76265|NWGL|NWGL|63903R106|US63903R1068|Nature Wood Group Ltd|ADS||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN5-6|TXN12-2|TXN5-3|TXN6-2|111350000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||MAC||||55|5510|551010|55101010|Basic Materials|Basic Resources|Industrial Materials|Forestry|N||N||||||N|0|Y||||||0.0|9.51|0.0|0.0|0.0|9.61|9.16|9.15|0.0|0.0|0.0|0.0|9.21|9.14|0.0|0.0|9.69|9.16|0.0|9.16|7.23|12.61|7.23|12.61|8.64|10.98|7.23|12.61|0.0|0.0|9.16|10.3|14.3|7.0|21634|4373464 8240|NWL|NWL|651229106|US6512291062|Newell Brands Inc|COM USD1||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN5-1|TXN10-3|TXN5-3|TXN5-2|414200000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||USA||||40|4020|402020|40202025|Consumer Discretionary|Consumer Products and Services|Household Goods and Home Construction|Household Equipment and Products|N||N||||||Y|0|Y||||||8.23|8.23|0.0|8.28|8.23|8.235|8.235|8.235|0.0|0.0|8.23|8.23|8.24|8.25|8.25|8.23|8.25|8.235|8.235|8.24|8.22|8.24|7.78|8.82|8.22|8.24|8.2|8.27|8.2|8.24|8.23|8.24|16.755|6.495|5503797|1378696374 71340|NWLG|NWLG|67092P847|US67092P8471|NuShares ETF Trust|Nuveen Winslow Large-Cap Growth ESG ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Nuveen|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN2-5|TXN1-5|TXN1-3|TXN4-4|250000|||Yearly|||||2021-08-05||NWLG.NV|NWLG.SO|NWLG.EU|NWLG.TC|NWLG.IV| | | | | | | | | |1x|An actively managed exchange traded fund that invests at least 80% of its net assets in equity securities of U.S. companies with market capitalization in excess of $4 billion at the time of purchase, and demonstrates sustainable environmental, social and governance (ESG) characteristics.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|24.6501|0.0|24.6501|19.68|29.66|0.0|0.0|24.62|24.67|19.68|29.66|0.0|0.0|24.64|24.66|24.8548|17.816|0|28139 2901|NWLI|NWLI|638517102|US6385171029|National Western Life Group Inc|CL A COM 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LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN3-5|TXN1-8|TXN2-8|TXN3-6|32990000|||Quarterly|||||2008-04-14||||||| | | | | | | | | |||N|0|N|Y|130D|USA|US|||50|5010|501010|50101035|Industrials|Construction and Materials|Construction and Materials |Building Materials: Other|N||N||||||N|0|Y||Y|2|||32.36|32.13|0.0|31.98|32.13|32.13|32.13|32.18|0.0|0.0|32.36|31.69|32.18|32.17|32.15|32.17|32.38|32.17|32.17|32.17|32.17|32.19|25.08|39.07|32.04|32.31|32.08|32.25|32.06|32.19|32.17|32.19|32.45|18.71|232540|34176668 8247|NXC|NXC|67063R103|US67063R1032|Nuveen California Select Tax-Free Income Portfolio|Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN3-2|TXN3-8|TXN1-1|TXN1-3|6360000|||Monthly|||||1992-06-19||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||12.41|12.4|0.0|0.0|0.0|12.455|12.46|12.44|0.0|0.0|12.42|12.42|12.41|12.45|0.0|12.43|12.43|12.42|12.41|12.43|12.41|12.46|0.0|0.0|11.53|13.25|0.0|0.0|0.0|0.0|12.41|12.46|15.28|11.86|61010|2922759 16744|NXDT|NXDT|65340G205|US65340G2057|NexPoint Diversified Real Estate Trust|Common Stock|Real estate investment trust|P|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN2-7|TXN5-8|TXN1-7|TXN2-8|37170000|||Quarterly|||||2015-10-06||||||| | | | | | | | | |||N|0|N|Y|406B|USA|US|||30|3020|302030|30203000|Financials|Financial Services |Mortgage Real Estate Investment Trusts|Mortgage REITs: Diversified|N||N||||||N|0|Y||Y|2|||8.93|8.93|0.0|0.0|8.93|8.9|8.935|8.92|0.0|0.0|8.93|8.87|8.93|8.93|8.88|8.93|8.82|8.935|8.72|8.93|8.92|8.94|6.7|10.8|8.84|9.02|8.89|8.97|8.9|8.98|8.92|8.94|13.85|7.24|92583|32462635 68671|NXDT PRA|NXDTpA|65340G304|US65340G3048|NexPoint Diversified Real Estate Trust|5.50% Series A Cumulative Preferred Shares ($25.00 liquidation preference per share)|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN2-6|TXN3-8|TXN2-5|TXN4-5|3360000|||Quarterly|||||2021-01-08||||||| | | | | | | | | |||N|0|N|N|406B|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|15.3|15.2899|0.0|0.0|0.0|0.0|0.0|15.31|0.0|0.0|15.2899|0.0|15.2899|0.0|15.2899|15.2|15.27|15.25|15.4|14.19|15.27|0.0|0.0|0.0|0.0|15.2|15.27|17.08|13.95|3769|1849131 52413|NXE|NXE|65340P106|CA65340P1062|NexGen Energy Ltd.|Common Shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|5|A|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-2|TXN3-5|TXN3-7|TXN1-6|TXN4-2|522270000|||NotApplicable|||||2022-03-04||||||| | | | | | | | | |||N|0|N|Y|134A|CAN|CA|||55|5510|551020|55102000|Basic Materials|Basic Resources|Industrial Metals and Mining|General Mining|N||N||||||Y|0|Y||Y|2|||6.69|6.69|0.0|6.7|6.69|6.69|6.7|6.695|0.0|0.0|6.7|6.69|6.695|6.69|6.69|6.69|6.695|6.69|6.69|6.69|6.69|6.7|5.09|8.23|6.69|6.72|6.27|6.97|6.64|6.75|6.69|6.7|6.825|3.49|5060678|707389801 40768|NXG|NXG|231647207|US2316472073|NXG NextGen Infrastructure Income Fund|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN4-2|TXN7-4|TXN4-3|TXN2-1|2600000|||Monthly|||||2012-09-26||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||33.68|33.34|0.0|0.0|33.7|33.24|33.43|33.38|0.0|0.0|0.0|33.12|33.43|33.71|0.0|33.34|0.0|33.34|0.0|33.34|33.23|33.35|25.4|40.93|30.95|35.6|25.4|40.93|33.12|33.47|33.23|33.35|43.36|30.32|19987|2918925 72969|NXGL|NXGL|65344E107|US65344E1073|NEXGEL 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LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN1-6|TXN7-8|TXN1-6|TXN1-8|20600000|||Quarterly|||||2017-03-22||||||| | | | | | | | | |||N|0|N|N|402C|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|23.4|0.0|0.0|23.54|23.5|23.55|23.51|0.0|0.0|23.55|0.0|23.45|0.0|0.0|23.47|23.54|23.47|0.0|23.47|23.45|23.6|0.0|0.0|23.03|24.13|0.0|0.0|0.0|0.0|23.45|23.6|25.2|15.6|48026|15372487 8266|NYCB PRU|NYCBpU|64944P307|US64944P3073|New York Community Bancorp, Inc.|Bifurcated Option Note Unit Securities (BONUSES)|Operating company|B|N|N|N|Y|Y|Y|Y|Y|8|A|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN1-3|TXN2-8|TXN4-5|TXN2-4|2900000|||Quarterly|||||2003-05-05|2051-05-07|||||| | | | | | | | | |||N|0|N|N|402C|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|38.7|0.0|0.0|0.0|38.5|38.6201|0.0|0.0|0.0|0.0|0.0|39.0|0.0|0.0|38.6201|0.0|38.6201|0.0|38.6201|38.62|39.49|0.0|0.0|37.85|39.49|0.0|0.0|0.0|0.0|38.62|39.49|48.44|33.46|4952|3262066 25787|NYF|NYF|464288323|US4642883239|iShares Trust|iShares New York Muni Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Jane Street Capital, 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The bond must have a minimum par amount of $25 million to be eligible for inclusion. To remain in the Underlying Index, bonds must maintain a minimum par amount greater than or equal to $25 million as of the next rebalancing date. In addition, each bond must have a minimum term to maturity and/or pre-refunded or call date greater than or equal to one calendar month to be included in the Underlying Index. 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E||B|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN6-8|TXN12-2|TXN6-7|TXN5-5|7340000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|22.5|0.0|0.0|0.0|22.2|0.0|0.0|0.0|0.0|22.2|0.0|22.5|0.0|0.0|0.0|0.0|22.5|0.0|22.5|21.09|23.89|0.0|0.0|22.1|23.0|0.0|0.0|0.0|0.0|22.5|22.75|23.82|17.55|2457|2539371 59861|NYMTN|NYMTN|649604881|US6496048819|New York Mortgage Trust Inc|PFD 8 SER D||B|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN6-1|TXN13-3|TXN6-1|TXN6-1|6110000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|20.29|0.0|0.0|0.0|20.305|20.2925|20.1|0.0|0.0|20.12|20.12|20.24|0.0|0.0|0.0|0.0|20.29|0.0|20.29|0.0|0.0|0.0|0.0|19.7|20.79|0.0|0.0|0.0|0.0|20.19|20.44|21.75|17.5|14188|2248265 72630|NYMTZ|NYMTZ|649604857|US6496048579|New York Mortgage Trust Inc|PFD SER 7.5%||U|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN6-5|TXN14-2|TXN5-1|TXN5-3|2970000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|16.81|16.58|0.0|0.0|0.0|0.0|0.0|16.79|0.0|0.0|0.0|16.71|16.58|0.0|16.58|0.0|0.0|0.0|0.0|15.52|17.92|0.0|0.0|0.0|0.0|16.6|16.81|19.2589|14.815|5729|1455883 8270|NYT|NYT|650111107|US6501111073|The New York Times Company|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|C|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-3|TXN1-7|TXN1-8|TXN1-3|TXN1-1|163630000|||Quarterly|||||1997-09-25||||||| | | | | | | | | |||N|0|Y|Y|142A|USA|US|||40|4030|403010|40301030|Consumer Discretionary|Media|Media|Publishing|N||N||||||Y|0|Y||Y|1|||47.65|47.68|0.0|47.89|47.65|47.605|47.655|47.66|0.0|0.0|47.67|47.6|47.68|47.67|47.605|47.67|47.62|47.67|47.61|47.67|47.66|47.67|44.96|51.0|47.63|47.73|47.58|47.72|47.59|47.72|47.66|47.67|48.88|31.46|1364955|246642061 71053|NYXH|NYXH|B6S7WD106|BE0974358906|Nyxoah S A|ORD SHS||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN5-1|TXN10-2|TXN5-6|TXN6-5|28670000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||BEL||||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||N|0|Y||||||4.92|0.0|0.0|0.0|0.0|4.9|4.9|0.0|0.0|0.0|0.0|0.0|4.9|0.0|0.0|0.0|0.0|4.9|0.0|4.9|4.75|4.98|0.0|0.0|4.75|4.98|0.0|0.0|0.0|0.0|4.75|4.98|10.34|4.36|24237|4033403 48951|NZAC|NZAC|78463X194|US78463X1946|SPDR MSCI ACWI Climate Paris Aligned ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN6-7|TXN12-6|TXN5-3|TXN5-7|8200000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|30.0079|0.0|0.0|0.0|0.0|0.0|30.09|0.0|0.0|0.0|0.0|30.05|0.0|30.09|23.96|37.2|0.0|0.0|30.04|30.09|23.96|37.2|0.0|0.0|30.04|30.09|30.75|25.66|1626|1533648 8271|NZF|NZF|67070X101|US67070X1019|Nuveen Municipal Credit Income Fund|Common shares of beneficial interest, par value $0.01 per share|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-7|TXN3-8|TXN1-8|TXN3-1|TXN2-7|193750000|||Monthly|||||2016-04-11||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||11.6|11.59|0.0|11.63|11.6|11.595|11.595|11.585|0.0|0.0|11.6|11.6|11.6|11.6|11.61|11.61|11.595|11.595|11.575|11.61|11.59|11.6|8.99|14.25|11.59|12.39|11.56|11.63|11.57|11.62|11.59|11.6|12.63|9.82|798618|122574451 73921|NZUS|NZUS|78468R473|US78468R4737|SPDR MSCI USA Climate Paris Aligned ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN6-1|TXN11-3|TXN5-2|TXN6-1|4120000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|25.74|0.0|0.0|0.0|0.0|0.0|0.0|25.74|20.48|30.92|0.0|0.0|25.74|25.75|20.48|30.92|0.0|0.0|25.74|25.75|25.97|20.8059|8|59989 8277|O|O|756109104|US7561091049|Realty Income Corporation|Common Stock|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|6|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-7|TXN1-1|TXN3-3|TXN4-7|TXN1-8|723920000|||Monthly|||||1994-10-18||||||| | | | | | | | | |||N|5|Y|Y|412A|USA|US|||35|3510|351020|35102045|Real Estate|Real Estate |Real Estate Investment Trusts|Retail REITs|N||N||||||Y|0|Y||Y|1|||55.53|55.54|0.0|55.45|55.53|55.535|55.535|55.535|0.0|0.0|55.53|55.545|55.54|55.53|55.54|55.53|55.55|55.53|55.545|55.53|55.53|55.54|51.7|58.54|55.52|55.56|55.49|55.56|55.49|55.58|55.53|55.54|68.85|45.035|7323500|1097902574 71871|OABI|OABI|68218J103|US68218J1034|OmniAb Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN6-6|TXN13-2|TXN5-3|TXN5-2|116240000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||4.71|4.705|0.0|4.61|4.71|4.705|4.71|4.71|0.0|0.0|4.71|4.71|4.71|4.71|4.7|4.705|4.71|4.71|4.43|4.71|4.69|4.73|3.56|5.75|4.69|4.74|4.68|4.74|4.69|4.74|4.7|4.71|5.975|3.0601|452335|131975371 71872|OABIW|OABIW|68218J111|US68218J1117|OmniAb Inc|WT EXP 110127||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-7|TXN5-5|TXN12-6|TXN5-1|TXN6-1|116230000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.475|0.0|0.0|0.0|0.0|0.0|0.475|0.6397|1.5|0.353|0|5661830 73798|OACP|OACP|90470L519|US90470L5194|Unified Series Trust|OneAscent Core Plus Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Ultimus Fund Solutions (OneAscent Investment Solutions)|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-6|TXN4-6|TXN7-8|TXN3-3|TXN4-6|4950000|||Monthly|||||2022-03-31||OACP.NV|OACP.SO|OACP.EU|OACP.TC| | | | | | | | | | |2x|Under normal circumstances, the Fund invests at least 80% of its assets in bonds. For these purposes, bonds include fixed-income securities of all types. The Fund primarily invests in a broad range of investment-grade bonds and fixed-income securities, including, but not limited to, U.S. Government securities, corporate bonds, taxable municipal securities and mortgage-backed or other asset-backed securities. The Fund may also invest in other fixed-income securities, including those of non-investment- grade quality (usually called high-yield or junk bonds). Securities of non-investment-grade quality are speculative in nature. The Fund may invest in fixed-income securities of any duration. For purposes of the 80% investment policy, the term assets means net assets, plus the amount of any borrowings for investment purposes|N|0|N|N|408A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||Y|0|Y||Y|2|||22.35|22.27|0.0|0.0|0.0|0.0|22.34|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|22.3365|0.0|22.3365|17.19|27.48|17.19|27.48|22.32|22.35|17.19|27.48|0.0|0.0|22.27|22.35|23.465|21.23|22556|3891648 74614|OAEM|OAEM|90470L469|US90470L4692|Unified Series Trust|OneAscent Emerging Markets ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Ultimus Fund Solutions (OneAscent Investment Solutions)|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN3-8|TXN4-8|TXN4-4|TXN3-6|1675000|||Yearly|||||2022-09-15||OAEM.NV|OAEM.SO|OAEM.EU|OAEM.TC| | | | | | | | | | ||The OneAscent Emerging Markets ETF (the Fund or the Emerging Markets Fund) seeks to achieve long-term capital appreciation.|N|0|N|N|408A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|28.26|28.115|0.0|0.0|0.0|28.54|0.0|0.0|0.0|0.0|0.0|0.0|28.2|0.0|28.2|0.0|0.0|0.0|0.0|28.09|28.21|0.0|0.0|0.0|0.0|28.08|28.21|30.29|24.9964|7929|2846888 75035|OAIA|OAIA|53656G522|US53656G5229|Listed Funds Trust|Teucrium AiLA Long-Short Agriculture Strategy ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Teucrium|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN2-5|TXN5-7|TXN2-5|TXN4-2|275000|||Yearly|||||2022-12-20||OAIA.NV|OAIA.SO|OAIA.EU|OAIA.TC|OAIA.IV| | | | | | | | | |1x|The Fund uses a passive management (or indexing) approach to seek to track the total return performance, before fees and expenses, of the Index. The Index was developed by AiLA Indices, the Funds index provider (the Index Provider), and is designed to track the performance of a fully liquid, absolute return strategy utilizing futures to provide exposure to the global agriculture market.|N|0|N|N|412C|USA||COMMODITIES_AND_FUTURES|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|23.37|22.92|22.65|23.03|0.0|0.0|0.0|0.0|22.67|0.0|0.0|0.0|0.0|22.645|0.0|22.645|22.6|22.73|22.62|22.66|22.64|22.66|22.62|22.66|22.62|22.66|22.64|22.66|25.239|21.4|1015|523451 75572|OAIB|OAIB|53656G530|US53656G5302|Listed Funds Trust|Teucrium AiLA Long/Short Base Metals Strategy ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Teucrium|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-4|TXN4-8|TXN3-7|TXN3-3|TXN2-3|150000|||Yearly|||||2023-04-05||OAIB.NV|OAIB.SO|OAIB.EU|OAIB.TC|OAIB.IV| | | | | | | | | |1x|The Fund seeks to track the total return performance, before fees and expenses, of the Index, and is designed to track the performance of a portfolio of base metals commodities futures contracts designed to provide absolute returns through the implementation of a long/short trading strategy used to seek to achieve market neutral exposure to the global metals market.|N|0|N|N|412C|USA||COMMODITIES_AND_FUTURES|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|25.15|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|25.04|0.0|25.04|25.01|25.2|25.01|25.2|25.07|25.13|25.03|25.13|25.03|25.13|25.07|25.13|26.2001|24.8151|1312|439331 74162|OAIE|OAIE|81752T577|US81752T5772|Series Portfolios Trust|Optimize AI Smart Sentiment Event-Driven ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Optimize Advisors|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-8|TXN3-5|TXN9-8|TXN1-6|TXN3-6|20000|||Yearly|||||2022-06-16||OAIE.NV|OAIE.SO|OAIE.EU|OAIE.TC| | | | | | | | | | ||The Fund is an actively-managed, exchange-traded fund (ETF) its investment objective by investing primarily in the equity securities of U.S. listed companies. The Fund will also invest in the securities of other investment companies, including other ETFs and mutual funds, that invest in equity securities.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|29.0501|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|28.9999|0.0|28.9999|0.0|0.0|0.0|0.0|28.95|29.03|14.58|43.71|0.0|0.0|28.95|29.03|29.54|24.9332|511|18464 74613|OAIM|OAIM|90470L444|US90470L4445|Unified Series Trust|OneAscent International Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Ultimus Fund Solutions (OneAscent Investment Solutions)|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-6|TXN2-1|TXN6-8|TXN4-8|TXN2-5|2850000|||Yearly|||||2022-09-15||OAIM.NV|OAIM.SO|OAIM.EU|OAIM.TC| | | | | | | | | | ||The OneAscent International Equity ETF (the Fund or the International Equity Fund) seeks to achieve long-term capital appreciation.|N|0|N|N|408A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|29.5796|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|29.6041|0.0|29.6041|0.0|0.0|0.0|0.0|29.55|29.66|0.0|0.0|0.0|0.0|29.55|29.66|31.7999|26.23|9958|4998911 61051|OAK PRA|OAKpA|674001300||Oaktree Capital Group, LLC|6.625% Series A Preferred Units|Operating company|B|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN3-4|TXN5-8|TXN1-4|TXN4-7|0|||Quarterly|||||2018-05-24||||||| | | | | | | | | |||N|0|N|N|408A||US|||50|5020|502040|50204000|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Industrial|N||N||||||N|0|Y||Y|2|||21.17|21.17|0.0|0.0|21.17|21.5|21.62|21.48|0.0|0.0|21.09|20.025937|21.49|0.0|0.0|21.62|0.0|21.62|0.0|21.62|21.49|21.62|0.0|0.0|21.04|21.97|0.0|0.0|0.0|0.0|21.49|21.62|24.76|19.02|19472|2832340 61421|OAK PRB|OAKpB|674001409||Oaktree Capital Group, LLC|6.550% Series B Preferred Units|Operating company|B|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN2-3|TXN6-8|TXN3-2|TXN2-8|0|||Quarterly|||||2018-08-14||||||| | | | | | | | | |||N|0|N|N|408A||US|||50|5020|502040|50204000|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Industrial|N||N||||||N|0|Y||Y|2|||20.8|20.9|0.0|0.0|0.0|21.41|21.41|21.45|0.0|0.0|21.41|21.0|21.41|0.0|20.520625|21.41|0.0|21.41|0.0|21.41|21.41|21.49|0.0|0.0|20.88|21.91|0.0|0.0|0.0|0.0|21.41|21.49|25.4|18.63|35158|3306681 75748|OAKU|OAKU|67190B104|KY67190B1043|Oak Woods Acquisition Corp|CL A ORD USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN5-7|TXN11-2|TXN6-1|TXN6-7|6090000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CAN||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||10.5|0.0|0.0|0.0|10.5|0.0|0.0|0.0|0.0|0.0|10.5|0.0|0.0|0.0|0.0|0.0|0.0|10.5|10.5|10.5|0.0|0.0|0.0|0.0|10.48|11.25|10.5|0.0|0.0|0.0|10.5|10.53|10.545|10.1|3023|4520306 75749|OAKUR|OAKUR|67190B120||Oak Woods Acquisition Corporation Right|||D|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-8|TXN6-6|TXN14-5|TXN6-6|TXN5-7|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||50|5020|502040|50204000|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Industrial|N||N||||||N|0|Y|C|||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.1501|0.0|0.0|0.0|0.0|0.1501|0.0|0.1501|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.15|0.2|0.4242|0.13|800|2929238 75493|OAKUU|OAKUU|67190B203|KY67190B2033|Oak Woods Acquisition Corp|UNIT||R|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN5-3|TXN10-6|TXN5-5|TXN6-6|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CAN||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|9.99|11.78|0.0|0.0|0.0|0.0|10.7|11.78|11.205|10.02|0|6049984 75750|OAKUW|OAKUW|67190B112|KY67190B1126|Oak Woods Acquisition Corp|WRRT||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-8|TXN6-3|TXN13-2|TXN5-5|TXN6-6|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CAN||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.026|0.04|0.08|0.02|0|2549419 72378|OALC|OALC|90470L527|US90470L5277|Unified Series Trust|OneAscent Large Cap Core ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Ultimus Fund Solutions (OneAscent Investment Solutions)|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-5|TXN1-4|TXN1-5|TXN2-2|TXN2-2|2325000|||Yearly|||||2021-11-16||OALC.NV|OALC.SO|OALC.EU|OALC.TC| | | | | | | | | | |1x|OneAscent Investment Solutions, LLC, the Funds investment adviser (the Adviser), seeks to achieve its investment objective by applying its proprietary OneAscent Navigator process to a pre-screened subset of companies in the Russell 1000 Index.|N|0|N|N|408A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|24.15|0.0|0.0|0.0|0.0|24.115|0.0|0.0|0.0|24.21|0.0|0.0|0.0|0.0|0.0|0.0|24.1637|0.0|24.1637|0.0|0.0|24.09|24.14|24.14|24.18|12.14|36.4|0.0|0.0|24.14|24.18|24.28|19.64|15731|3401013 74954|OARK|OARK|88634T600|US88634T6001|Tidal Trust II|YieldMax Innovation Option Income Strategy ETF|Trust|ETS|N|N|P|Y|Y|Y|Y|Y||||||||Tidal ETF Services |Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-4|TXN4-4|TXN6-3|TXN2-6|TXN4-8|5550000|||Monthly|||||2022-11-23||OARK.NV|OARK.SO|OARK.EU|OARK.TC| | | | | | | | | | |1x|The fund seeks to deliver participation in the price returns of the common stock of ARKK (NYSE Arca: ARKK) (ARKK) whil providing current monthly income through a portfolio substantially composed of short-term U.S. Treasury securities, cash and cash equivalents, and in option contracts that reference the price performance of ARKK.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||Y|0|Y||Y|2|||13.37|13.44|0.0|0.0|13.43|13.44|13.435|13.44|0.0|0.0|13.38|13.45|13.44|13.37|13.43|0.0|0.0|13.45|13.37|13.45|10.37|16.45|10.37|16.45|13.42|13.44|10.37|16.45|0.0|0.0|13.42|13.44|20.82|11.61|161022|21741346 71233|OB|OB|69002R103|US69002R1032|Outbrain Inc|COM USD0.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN6-6|TXN11-6|TXN6-2|TXN6-7|50160000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4030|403010|40301020|Consumer Discretionary|Media|Media|Media Agencies|N||N||||||Y|0|Y||||||3.94|3.94|0.0|0.0|3.94|3.95|3.94|3.945|0.0|0.0|3.94|4.09|3.95|3.94|4.03|0.0|3.95|3.94|3.97|3.95|3.9|3.99|3.04|4.9|3.91|3.98|3.91|3.98|3.91|3.98|3.94|3.95|5.95|3.33|148091|29981761 64074|OBDC|OBDC|69121K104|US69121K1043|Blue Owl Capital Corporation|Common Stock|Business development company|A|N|N|N|Y|Y|Y|Y|Y|5|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-6|TXN2-3|TXN6-6|TXN3-7|TXN1-5|389730000|||Quarterly|||||2019-07-18||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||Y|0|Y||Y|2|||14.76|14.76|0.0|14.77|14.77|14.77|14.76|14.76|0.0|0.0|14.765|14.77|14.765|14.76|14.77|14.76|14.765|14.765|14.77|14.76|14.76|14.77|11.4|18.04|14.75|14.77|14.74|14.79|14.73|14.77|14.76|14.77|14.84|12.99|1760797|182250514 73348|OBE|OBE|674482203|CA6744822033|Obsidian Energy Ltd.|Common Shares|Operating company|A|N|Y|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-3|TXN2-7|TXN1-7|TXN1-6|TXN3-5|79070000|||NotApplicable|||||2022-01-31||||||| | | | | | | | | |||N|0|N|N|134B|CAN|CA|||60|6010|601010|60101010|Energy|Energy|Oil, Gas and Coal|Oil: Crude Producers|N||N||||||Y|0|Y||Y|2|||7.37|7.38|0.0|7.45|7.375|7.375|7.375|7.39|0.0|0.0|7.37|7.38|7.37|7.39|7.43|7.37|7.38|7.38|7.38|7.38|7.35|7.38|7.36|7.38|7.35|7.38|7.33|7.41|7.35|7.41|7.36|7.39|8.82|5.33|472122|101268543 74910|OBIL|OBIL|74933W478|US74933W4785|US Treasury 12 Month Bill ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN6-6|TXN11-3|TXN6-6|TXN5-4|4000000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|49.82|0.0|0.0|0.0|49.82|49.815|0.0|0.0|0.0|49.82|49.82|49.8211|49.83|0.0|49.82|0.0|49.815|0.0|49.8211|49.81|49.82|0.0|0.0|49.81|49.82|49.81|49.83|0.0|0.0|49.81|49.82|50.61|49.66|44840|9398519 67129|OBIO|OBIO|68572M106|US68572M1062|Orchestra BioMed Holdings Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN6-7|TXN10-8|TXN6-7|TXN6-3|35740000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||0.0|7.33|0.0|0.0|0.0|7.33|7.31|7.28|0.0|0.0|7.31|7.3|7.31|7.165|0.0|7.25|0.0|7.31|7.51|7.31|6.95|7.63|5.6|9.1|6.98|7.51|5.6|7.51|0.0|0.0|7.16|7.32|23.39|4.2552|52248|19974646 60968|OBK|OBK|68621T102|US68621T1025|Origin Bancorp, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|Q|GTS Securities 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LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN4-2|TXN7-8|TXN2-8|TXN2-8|1169980000|||Adhoc|||||2019-12-13||||||| | | | | | | | | |||N|0|N|Y|108B|CHN|KY|||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||Y|2|||3.16|3.16|0.0|3.16|3.21|3.185|3.13|3.185|0.0|0.0|3.19|0.0|3.16|0.0|0.0|3.13|0.0|3.13|0.0|3.13|3.14|3.24|0.0|0.0|3.07|3.3|2.44|3.9|0.0|0.0|3.14|3.24|9.64|0.7009|13890|17742184 68501|OCG|OCG|G6796W115|KYG6796W1151|Oriental Culture Holding LTD|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN6-3|TXN12-3|TXN6-4|TXN6-7|4250000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||HKG||||40|4030|403010|40301020|Consumer Discretionary|Media|Media|Media Agencies|N||N||||||N|0|Y||||||0.0|1.31|0.0|0.0|0.0|1.27|0.0|1.27|0.0|0.0|0.0|0.0|1.32|0.0|0.0|0.0|0.0|1.31|0.0|1.32|1.0|1.59|0.0|0.0|1.25|1.4|1.0|1.59|0.0|0.0|1.25|1.32|1.72|0.25|1891|11425668 48981|OCGN|OCGN|67577C105|US67577C1053|Ocugen Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-5|TXN6-2|TXN10-7|TXN6-8|TXN6-4|256500000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||0.3975|0.3975|0.0|0.396|0.3951|0.3947|0.3962|0.3929|0.0|0.0|0.3975|0.395|0.394|0.39|0.3921|0.3962|0.392|0.3962|0.3915|0.394|0.3822|0.3962|0.308|0.468|0.39|0.3962|0.3705|0.4176|0.0|0.0|0.3941|0.3962|1.62|0.345|1186476|1186196136 58861|OCIO|OCIO|26922A727|US26922A7274|ETF Series Solutions|ClearShares OCIO ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ClearShares|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-5|TXN4-2|TXN4-8|TXN2-4|TXN3-8|4300000|||Quarterly|||||2017-06-27||OCIO.NV|OCIO.SO|OCIO.EU|OCIO.TC|OCIO.IV| | | | | | | | | ||The Fund is an actively-managed fund of funds and seeks to achieve its objective by investing primarily in other registered investment companies, including other actively-managed exchange-traded funds (ETFs) and index-based ETFs (collectively, Underlying Funds), that provide exposure to a broad range of asset classes. The Fund is expected to typically invest approximately 40% to 70% of its total assets in Underlying Funds that principally invest in equity securities of any market capitalization.|N|0|N|N|416A|USA|US|HYBRID|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|29.99|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|29.9196|0.0|29.9196|0.0|0.0|29.84|29.93|29.86|29.97|29.86|29.97|0.0|0.0|29.86|29.97|30.57|27.8784|12|293744 8283|OCN|OCN|675746606|US6757466064|Ocwen Financial Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN1-4|TXN4-8|TXN2-2|TXN3-5|7680000|||NotApplicable|||||2006-05-15||||||| | | | | | | | | |||N|0|N|Y|408A|USA|US|||30|3020|302010|30201025|Financials|Financial Services |Finance and Credit Services|Mortgage Finance|N||N||||||Y|0|Y||Y|2|||27.19|27.0|0.0|0.0|26.66|27.25|27.2342|26.925|0.0|0.0|27.25|27.25|27.59|26.63|27.58|27.21|0.0|27.56|27.57|27.21|27.35|27.57|0.0|0.0|26.75|28.14|25.77|29.07|0.0|0.0|27.35|27.57|36.9684|21.15|18047|7249198 70555|OCS|OCS|H5870P102|CH1242303498|Oculis Holding AG|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN6-6|TXN14-5|TXN5-6|TXN5-8|36390000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHE||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||10.1|10.4|0.0|0.0|0.0|10.1|10.46|10.4|0.0|0.0|0.0|10.34|10.4|0.0|0.0|10.4|0.0|10.46|10.1|10.46|0.0|0.0|0.0|0.0|9.71|11.42|0.0|0.0|0.0|0.0|10.4|10.7|14.5|6.26|9725|3961536 70556|OCSAW|OCSAW|H5870P110|CH1246223429|Oculis Holding AG|WT EXP 030228||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN6-1|TXN10-4|TXN6-5|TXN5-4|36600000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHE||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|1.07|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|1.05|0.0|0.0|0.0|0.0|0.0|1.05|1.3|2.85|0.33|203|2207005 28204|OCSL|OCSL|67401P405|US67401P4054|Oaktree Specialty Lending Corp|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN5-3|TXN13-4|TXN6-7|TXN5-8|77230000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||Y|0|Y||||||20.07|20.08|0.0|20.02|20.06|20.08|20.075|20.06|0.0|0.0|20.07|20.07|20.07|20.07|20.08|20.075|20.06|20.08|20.08|20.07|20.07|20.11|15.51|24.58|20.07|20.11|20.04|20.11|20.03|20.12|20.07|20.08|21.29|6.61|962440|131182686 76418|OCTD|OCTD|45783Y517|US45783Y5179|Innovator Premium Income 10 Barrier ETF - October|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-6|TXN1-6|TXN1-5|TXN1-1|TXN2-4|180000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|24.62|0.0|0.0|0.0|0.0|24.7|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|24.62|0.0|24.62|24.57|24.67|24.57|24.66|24.57|24.67|24.57|24.67|24.54|24.67|24.57|24.67|24.7|23.54|2|232890 76419|OCTH|OCTH|45783Y525|US45783Y5252|Innovator Premium Income 20 Barrier ETF - October|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-6|TXN3-3|TXN4-8|TXN4-8|TXN1-8|730000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||24.55|24.49|0.0|0.0|24.5|0.0|24.5399|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|24.49|24.54|24.49|24.44|24.54|24.44|24.53|24.44|24.54|24.41|24.54|24.44|24.54|24.44|24.54|24.5593|23.65|813|865090 76420|OCTJ|OCTJ|45783Y491|US45783Y4917|Innovator Premium Income 30 Barrier ETF - October|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-1|TXN3-1|TXN6-8|TXN4-2|TXN2-4|930000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||24.38|24.34|0.0|0.0|0.0|0.0|24.3799|0.0|0.0|0.0|0.0|0.0|0.0|24.38|24.38|0.0|0.0|24.34|24.38|24.34|24.29|24.38|24.29|24.38|24.29|24.39|24.26|24.43|24.26|24.39|24.29|24.39|24.4|23.69|3825|1254834 74042|OCTO|OCTO|22890A203|US22890A2033|Eightco Holdings Inc|COM USD0.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-8|TXN5-3|TXN12-5|TXN5-8|TXN5-6|4340000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||N|0|Y||||||0.64|0.64|0.0|0.0|0.66|0.64|0.6399|0.64|0.0|0.0|0.64|0.0|0.635|0.0|0.0|0.0|0.0|0.6399|0.0|0.6399|0.5122|0.7705|0.5122|0.7705|0.5985|0.64|0.6024|0.6591|0.6035|0.6665|0.62|0.64|4.46|0.4298|97708|83107793 76421|OCTQ|OCTQ|45783Y483|US45783Y4834|Innovator Premium Income 40 Barrier ETF - October|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-2|TXN4-7|TXN2-8|TXN2-4|TXN4-7|330000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|24.2098|0.0|0.0|0.0|0.0|24.24|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|24.2098|0.0|24.2098|24.16|24.25|24.16|24.25|24.16|24.26|24.11|24.31|24.13|24.26|24.16|24.24|24.26|23.6973|954|453555 67711|OCTT|OCTT|00888H604|US00888H6045|AIM ETF Products Trust|AllianzIM U.S. Large Cap Buffer10 Oct ETF|Trust|ETS|N|N|P|Y|Y|Y|Y|Y||||||||Allianz Investment Management|Jane Street Capital, 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LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-7|TXN2-3|TXN2-7|TXN1-2|TXN3-7|58040000|||Quarterly|||||2014-07-25||||||| | | | | | | | | |||N|0|N|Y|106B|USA|DE|||55|5520|552010|55201020|Basic Materials|Chemicals|Chemicals|Specialty Chemicals|N||N||||||Y|0|Y||Y|2|||24.65|24.61|0.0|24.62|24.62|24.62|24.62|24.615|0.0|0.0|24.65|24.61|24.62|24.74|24.61|24.61|24.66|24.61|24.7|24.61|24.61|24.63|18.84|30.25|24.58|24.7|24.58|24.67|24.59|24.68|24.61|24.63|26.905|16.82|303362|92789500 8294|OEF|OEF|464287101|US4642871010|iShares Trust|iShares S&P 100 ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Latour Trading, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-6|TXN3-7|TXN6-6|TXN3-5|TXN3-7|55700000|||Quarterly|||||2008-09-23||OEF.NV|OEF.SO|OEF.EU|OEF.TC|OEF.IV| | | | | | | | | |1x|The iShares S&P 100 ETF (the Fund) seeks to track the investment results of an index composed of 100 large-capitalization U.S. equities. The Fund seeks to track the investment results of the S&P 100 (the Underlying Index), which measures the performance of the large-capitalization sector of the U.S. equity market. It is a subset of the S& P 500 and consists of blue chip stocks from diverse industries in the S&P 500 with exchange listed options. As of March 31, 2013, the Underlying Index represented approximately 53% of the market capitalization of U.S. equities. The Underlying Index consists of stocks from a broad range of industries. Components primarily include consumer staples, energy, financial, healthcare and information technology companies. The components of the Underlying Index, and the degree to which these components represent certain industries, may change over time.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||214.19|214.59|0.0|199.63|214.59|214.62|214.66|214.445|0.0|0.0|214.76|214.76|214.58|214.299|214.25|214.209|0.0|214.53|214.18|214.53|214.23|215.05|199.83|227.88|214.58|214.63|203.6|224.11|214.15|215.07|214.49|214.63|217.0|167.2|391411|65059142 26589|OESX|OESX|686275108|US6862751087|Orion Energy Systems Inc|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-3|TXN6-4|TXN13-7|TXN6-1|TXN5-4|32510000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5010|501010|50101035|Industrials|Construction and Materials|Construction and Materials |Building Materials: Other|N||N||||||Y|0|Y||||||0.91|0.88|0.0|0.0|0.8955|0.9099|0.91|0.9099|0.0|0.0|0.9003|0.9099|0.91|0.88|0.0|0.0|0.91|0.91|0.0|0.91|0.8814|0.9385|0.7476|1.11|0.8889|0.9281|0.8823|0.9376|0.8834|0.9365|0.9099|0.91|2.45|0.855|116839|12289307 50524|OEUR|OEUR|00162Q379|US00162Q3790|ALPS O'Shares Europe Quality Dividend ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-8|TXN2-1|TXN9-8|TXN4-6|TXN3-7|1330000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|27.7222|0.0|0.0|0.0|27.72|27.6201|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|27.7222|0.0|27.7222|21.9|33.32|0.0|0.0|27.68|27.75|21.9|33.32|0.0|0.0|27.68|27.75|28.7|23.48|767|1665667 8303|OFG|OFG|67103X102|PR67103X1020|OFG Bancorp|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|A|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN2-1|TXN3-7|TXN4-5|TXN3-2|47060000|||Quarterly|||||1994-12-29||||||| | | | | | | | | |||N|0|N|Y|402B|USA|PR|||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||Y|2|||35.24|35.24|0.0|35.15|35.28|35.23|35.26|35.225|0.0|0.0|35.12|34.54|35.25|34.86|34.84|35.25|33.59|35.25|35.24|35.25|35.25|35.26|26.58|42.5|34.93|35.55|35.16|35.32|35.24|35.33|35.25|35.26|35.28|22.34|216040|55567858 2936|OFIX|OFIX|68752M108|US68752M1080|Orthofix Medical Inc|COM USD.1||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN6-3|TXN14-3|TXN5-7|TXN5-7|36760000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||Y|0|Y||||||10.78|10.78|0.0|10.64|10.77|10.78|10.775|10.77|0.0|0.0|10.78|10.76|10.79|10.78|10.74|10.77|10.76|10.77|10.78|10.79|10.66|10.9|8.26|13.1|10.68|10.89|10.74|10.82|10.73|10.83|10.78|10.79|23.19|9.575|1674776|100654181 2937|OFLX|OFLX|682095104|US6820951043|Omega Flex Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN6-4|TXN12-6|TXN5-7|TXN6-1|10090000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||55|5510|551020|55102015|Basic Materials|Basic Resources|Industrial Metals and Mining|Metal Fabricating|N||N||||||N|0|Y||||||0.0|76.14|0.0|0.0|0.0|76.29|75.63|0.0|0.0|0.0|75.75|0.0|76.27|0.0|0.0|0.0|0.0|75.63|0.0|76.27|73.43|79.09|0.0|0.0|74.22|76.3|75.34|0.0|0.0|0.0|75.59|76.3|128.505|63.43|13890|3630731 40962|OFS|OFS|67103B100|US67103B1008|OFS Capital Corporation|COM USD0.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN6-7|TXN12-7|TXN6-8|TXN6-1|13400000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||Y|0|Y||||||11.1|0.0|0.0|0.0|10.97|11.08|11.005|11.055|0.0|0.0|0.0|0.0|11.13|11.1|0.0|0.0|0.0|11.005|0.0|11.13|0.0|0.0|0.0|0.0|10.27|11.92|0.0|0.0|0.0|0.0|11.0|11.18|12.44|9.1|43249|8643776 72163|OFSSH|OFSSH|67103B704|US67103B7047|OFS Capital Corporation 4.95 Notes due 2028|ETN||U|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN5-8|TXN12-5|TXN5-2|TXN6-4|2200000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|21.4465|0.0|0.0|0.0|0.0|0.0|21.16|0.0|0.0|0.0|0.0|21.4465|0.0|21.4465|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|21.16|21.45|22.48|20.08|2403|106784 42805|OGCP|OGCP|292102209|US2921022099|Empire State Realty OP, L.P.|Series 60 Operating Partnership Units Representing Limited Partnership Interests|Limited partnership|R|N|N|P|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN3-3|TXN8-8|TXN3-1|TXN4-3|5350000|||Quarterly|||||2013-10-11||||||| | | | | | | | | |||N|0|N|N|412A|USA|US|||35|3510|351010|35101015|Real Estate|Real Estate |Real Estate Investment and Services Development|Real Estate Services|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|9.25|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|9.4|0.0|9.4|0.0|0.0|0.0|0.0|8.99|9.49|0.0|0.0|0.0|0.0|8.99|9.49|9.6106|4.7|1264|463740 8307|OGE|OGE|670837103|US6708371033|OGE Energy Corp.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|I|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN3-5|TXN8-3|TXN2-8|TXN4-8|200290000|||Quarterly|||||1950-09-27||||||| | | | | | | | | |||N|0|Y|Y|302A|USA|US|||65|6510|651010|65101015|Utilities|Utilities|Electricity|Conventional Electricity|N||N||||||Y|0|Y||Y|1|||35.56|35.565|0.0|35.63|35.57|35.575|35.58|35.56|0.0|0.0|35.57|35.58|35.57|35.58|35.59|35.58|35.58|35.57|35.57|35.58|35.56|35.58|33.47|37.62|35.55|35.58|35.52|35.62|35.52|35.6|35.56|35.58|41.0|31.245|1654963|280837101 38407|OGEN|OGEN|684023500|US6840235005|Oragenics Inc|Common Stock|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Brendan E. Cryan and Company, L.L.C.|CRYN|0235|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-5|TXN4-3|TXN5-8|TXN1-2|TXN3-2|2570000|||Monthly|||||2018-01-22||||||| | | | | | | | | |||N|0|N|N|140A|USA|US|||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||Y|2|||3.68|0.0|0.0|0.0|0.0|3.5|3.6499|3.69|0.0|0.0|3.58|0.0|3.62|0.0|0.0|0.0|3.6499|3.6499|0.0|3.6499|3.32|3.84|3.5|3.62|3.4|3.62|3.32|3.84|0.0|0.0|3.5|3.62|8.23|0.1006|3483|19669601 53752|OGI|OGI|68620P705|CA68620P7056|OrganiGram Holdings Inc|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN5-5|TXN12-7|TXN6-2|TXN6-1|81160000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CAN||||20|2010|201030|20103020|Health Care |Health Care |Pharmaceuticals and Biotechnology|Cannabis Producers|N||N||||||Y|0|Y||||||1.44|1.44|0.0|0.0|1.44|1.435|1.44|1.43|0.0|0.0|1.43|1.43|1.44|1.381|1.43|1.435|1.43|1.435|1.44|1.44|1.41|1.46|1.12|1.68|1.41|1.45|1.4|1.47|1.39|1.48|1.43|1.44|2.0|0.37|843641|234864830 61087|OGIG|OGIG|00162Q361|US00162Q3618|ALPS O'Shares Global Internet Giants ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-5|TXN2-1|TXN6-8|TXN4-1|TXN1-7|3950000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|34.58|0.0|0.0|34.46|34.49|34.6|34.58|0.0|0.0|34.55|0.0|0.0|34.524|30.33|0.0|0.0|34.58|34.47|34.58|27.53|41.54|34.56|34.71|34.56|34.69|34.56|34.71|34.56|34.71|34.56|34.71|34.8999|23.25|9532|5176307 70621|OGN|OGN|68622V106|US68622V1061|Organon & Co.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|A|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-4|TXN4-4|TXN6-4|TXN3-7|TXN3-5|255610000|||Quarterly|||||2021-05-14||||||| | | | | | | | | |||N|0|Y|Y|140A|USA|US|||20|2010|201030|20103015|Health Care |Health Care |Pharmaceuticals and Biotechnology|Pharmaceuticals |N||N||||||Y|0|Y||Y|1|||11.82|11.82|0.0|11.72|11.82|11.815|11.8112|11.82|0.0|0.0|11.82|11.815|11.82|11.83|11.815|11.83|11.82|11.83|11.82|11.83|11.81|11.83|10.99|12.6|11.81|11.83|11.79|11.85|11.77|11.86|11.81|11.83|32.43|10.905|4417775|658710957 43376|OGS|OGS|68235P108|US68235P1084|ONE Gas, Inc.|Common Stock,|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN1-5|TXN3-5|TXN4-5|TXN4-7|55450000|||Quarterly|||||2014-01-16||||||| | | | | | | | | |||N|0|N|Y|300A|USA|US|||65|6510|651020|65102020|Utilities|Utilities|Gas, Water and Multi-utilities |Gas Distribution|N||N||||||N|0|Y||Y|2|||61.81|61.84|0.0|61.83|61.86|61.925|61.85|61.86|0.0|0.0|61.83|61.85|61.865|61.88|61.85|61.88|61.64|61.86|61.85|61.88|61.85|61.86|47.14|74.98|61.74|62.3|61.79|61.92|61.78|61.92|61.85|61.86|84.255|55.5|861494|113604363 72995|OHAA|OHAA|671005106|US6710051060|OPY Acquisition Corp I|COM CL A USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN6-2|TXN11-5|TXN6-2|TXN6-3|5290000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|9.77|11.12|0.0|0.0|0.0|0.0|10.44|10.49|11.02|9.8|0|1900638 72149|OHAAU|OHAAU|671005205|US6710052050|OPY Acquisition Corp I|UNITS||R|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN5-1|TXN10-2|TXN5-7|TXN6-1|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|9.67|10.8|0.0|0.0|0.0|0.0|9.67|10.8|10.74|9.6|0|49817 72996|OHAAW|OHAAW|671005114|US6710051144|OPY Acquisition Corp I|WT EXP 092226||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-1|TXN5-7|TXN14-2|TXN5-6|TXN6-2|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y|D|||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0466|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0141|0.0598|0.0141|0.0598|0.0141|0.0598|0.0141|0.0598|0.0|0.0|0.0176|0.0499|0.2444|0.019871|403|1743222 8311|OHI|OHI|681936100|US6819361006|Omega Healthcare Investors, Inc.|Common Stock|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-2|TXN2-6|TXN6-7|TXN3-4|TXN2-2|244990000|||Quarterly|||||1992-08-07||||||| | | | | | | | | |||N|0|Y|Y|412A|USA|US|||35|3510|351020|35102010|Real Estate|Real Estate |Real Estate Investment Trusts|Health Care REITs|N||N||||||Y|0|Y||Y|1|||31.54|31.52|0.0|31.52|31.55|31.535|31.54|31.54|0.0|0.0|31.52|31.52|31.53|31.55|31.645|31.53|31.54|31.55|31.52|31.53|31.52|31.55|29.63|33.62|31.51|31.55|31.49|31.57|31.48|31.55|31.52|31.55|34.77|25.61|3592540|465016757 8316|OI|OI|67098H104|US67098H1041|O-I Glass, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|M|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-4|TXN2-3|TXN8-5|TXN1-4|TXN3-2|154730000|||Adhoc|||||1991-12-11||||||| | | | | | | | | |||N|0|N|Y|136A|USA|US|||50|5020|502030|50203030|Industrials|Industrial Goods and Services|General Industrials|Containers and Packaging|N||N||||||Y|0|Y||Y|2|||15.68|15.675|0.0|0.0|15.69|15.675|15.6895|15.675|0.0|0.0|15.68|15.675|15.685|15.68|15.68|15.68|15.68|15.69|15.68|15.68|15.68|15.69|11.94|19.41|15.68|15.71|15.65|15.71|15.65|15.71|15.68|15.69|23.57|13.56|1497849|287457785 8318|OIA|OIA|46132X101|US46132X1019|Invesco Municipal Income Opportunities Trust|Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN2-5|TXN7-8|TXN3-4|TXN2-6|47600000|||Monthly|||||1988-09-19||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||6.25|6.24|0.0|0.0|6.27|6.27|6.26|6.27|0.0|0.0|6.25|0.0|6.27|6.2|6.23|6.25|6.23|6.25|5.94|6.25|6.23|6.26|4.79|7.63|5.78|6.69|6.22|6.29|6.25|6.27|6.25|6.27|7.12|4.93|188351|23209490 39374|OIH|OIH|92189H607|US92189H6071|VanEck ETF Trust|VanEck Oil Services ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||VanEck Vectors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-5|TXN2-1|TXN5-2|TXN2-6|TXN1-7|7100543|||Yearly|||||2011-12-21||OIH.NV|OIH.SO|OIH.EU|OIH.TC|OIH.IV| | | | | | | | | |1x|The Market Vectors US Listed Oil Services 25 Index is a blue-chip sector index that tracks the performance of the largest and most liquid US-listed companies that generate at least 50% of their revenues from oil services. The pure-play index contains only companies that meet strict size and liquidity requirements and are engaged primarily in oil equipment, oil services or oil drilling. The index has a fix number of 25 components.|N|0|N|N|406C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||312.03|312.65|0.0|312.1|313.18|312.78|312.68|312.81|0.0|0.0|312.89|311.52|312.81|312.29|318.2|312.77|312.92|312.61|312.19|312.61|312.09|313.43|290.66|333.62|312.68|312.94|311.76|313.73|311.79|313.6|312.6|312.94|364.08|246.04|291190|143170879 8321|OII|OII|675232102|US6752321025|Oceaneering International, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|A|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-2|TXN4-8|TXN7-1|TXN2-5|TXN2-5|100730000|||Quarterly|||||1991-12-17||||||| | | | | | | | | |||N|0|N|Y|180B|USA|US|||60|6010|601010|60101030|Energy|Energy|Oil, Gas and Coal|Oil Equipment and Services|N||N||||||Y|0|Y||Y|2|||20.69|20.67|0.0|20.68|20.7|20.695|20.69|20.69|0.0|0.0|20.69|20.65|20.69|20.68|20.66|20.69|20.52|20.69|20.69|20.69|20.68|20.69|15.83|25.28|20.6|20.74|20.64|20.72|20.68|20.72|20.68|20.69|27.46|13.38|1007864|222886382 72288|OILD|OILD|06368L205|US06368L2051|Bank of Montreal|MicroSectors Oil & Gas Exp. & Prod. -3x Inverse Leveraged ETNs due June 28, 2041|Operating company|ETN|N|N|P|Y|Y|Y|Y|Y||||||||Bank of Montreal|Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-5|TXN3-4|TXN7-8|TXN4-5|TXN2-2|1000000|||NotApplicable|||||2021-11-09|2041-06-28|OILD.NV|OILD.SO|OILD.EU|OILD.TC|OILD.IV| | | | | | | | | |1x|The Solactive MicroSectors Oil & Gas Exploration & Production Index (SOLOILT) is a total return index that tracks the stock prices of large capitalization companies that are domiciled and listed in the U.S. and that are active in the exploration and production of oil and gas.|N|0|N|N|416A||CA|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||20.86|20.85|0.0|0.0|20.91|20.7|20.835|21.19|0.0|0.0|20.7|20.7|20.85|21.1|21.19|20.84|0.0|20.91|21.18|20.91|20.72|21.04|15.91|25.71|20.85|20.91|20.82|20.95|20.82|20.95|20.82|20.92|37.369|15.87|85762|27269883 53995|OILK|OILK|74347G804|US74347G8042|ProShares K-1 Free Crude Oil Strategy ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-5|TXN4-8|TXN4-4|TXN1-6|TXN3-7|2984034|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||43.33|43.36|0.0|43.1|43.22|43.64|43.3664|43.64|0.0|0.0|43.35|43.14|43.33|43.31|43.14|0.0|43.14|43.36|43.31|43.36|41.59|45.82|43.31|43.36|43.31|43.36|43.31|43.36|43.26|43.37|43.31|43.36|51.0|37.5744|150442|10826686 72287|OILU|OILU|063679583|US0636795835|Bank of Montreal|MicroSectors Oil & Gas Exp. & Prod. 3x Leveraged ETNs due June 28, 2041|Operating company|ETN|N|N|P|Y|Y|Y|Y|Y||||||||Bank of Montreal|Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-5|TXN4-3|TXN2-2|TXN2-3|TXN2-7|1500000|||NotApplicable|||||2021-11-09|2041-06-28|OILU.NV|OILU.SO|OILU.EU|OILU.TC|OILU.IV| | | | | | | | | |1x|The Solactive MicroSectors Oil & Gas Exploration & Production Index (SOLOILT) is a total return index that tracks the stock prices of large capitalization companies that are domiciled and listed in the U.S. and that are active in the exploration and production of oil and gas.|N|0|N|N|416A||CA|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||36.04|35.81|0.0|0.0|35.93|35.81|35.64|37.08|0.0|0.0|35.64|35.75|35.81|35.669|0.0|35.69|35.67|35.8393|36.26|35.8393|35.52|36.04|27.55|43.74|35.75|35.85|35.68|35.9|35.68|35.9|35.75|35.85|62.4218|29.18|107995|30747118 8322|OIS|OIS|678026105|US6780261052|Oil States International, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|A|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-5|TXN1-3|TXN9-4|TXN3-4|TXN4-7|63890000|||NotApplicable|||||2001-02-09||||||| | | | | | | | | |||N|0|N|Y|134F|USA|US|||60|6010|601010|60101030|Energy|Energy|Oil, Gas and Coal|Oil Equipment and Services|N||N||||||Y|0|Y||Y|2|||7.04|7.05|0.0|7.06|7.05|7.045|7.06|7.05|0.0|0.0|7.05|7.05|7.06|7.04|7.04|7.06|7.04|7.06|7.04|7.06|7.05|7.06|5.38|8.63|7.05|7.08|7.02|7.08|7.04|7.08|7.05|7.06|10.47|6.02|491983|157457569 8324|OKE|OKE|682680103|US6826801036|ONEOK, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|T|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-3|TXN2-6|TXN6-2|TXN1-1|TXN1-7|582550000|||Quarterly|||||1954-05-24||||||| | | | | | | | | |||N|5|Y|Y|304A|USA|US|||60|6010|601010|60101035|Energy|Energy|Oil, Gas and Coal|Pipelines|N||N||||||Y|0|Y||Y|1|||70.21|70.21|0.0|70.21|70.19|70.2|70.21|70.225|0.0|0.0|70.2|70.2|70.21|70.2|70.235|70.21|70.265|70.21|70.26|70.21|70.2|70.21|65.91|74.85|70.2|70.23|70.13|70.28|70.13|70.28|70.2|70.21|71.5737|55.91|4073511|795303407 56999|OKTA|OKTA|679295105|US6792951054|OKTA INC|CL A COM USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN6-3|TXN13-5|TXN6-6|TXN5-7|156750000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||USA||||10|1010|101010|10101010|Technology|Technology|Software and Computer Services|Computer Services|N||N||||||Y|0|Y||||||72.48|72.49|0.0|71.98|72.48|72.485|72.465|72.45|0.0|0.0|72.48|72.55|72.5|72.45|72.58|72.49|72.0|72.46|72.58|72.5|72.38|72.52|68.05|77.26|72.44|72.56|72.37|72.57|72.43|72.6|72.45|72.47|91.5|60.22|3207645|600978297 74033|OKYO|OKYO|G6724L116|GG00BMFG5F62|OKYO Pharma Limited|ORD||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN6-2|TXN11-3|TXN5-4|TXN5-6|28830000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||GBR||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||1.72|1.68|0.0|0.0|1.7|1.705|1.68|1.69|0.0|0.0|0.0|0.0|1.73|0.0|0.0|0.0|0.0|1.68|0.0|1.73|0.0|0.0|0.0|0.0|1.6|2.3|0.0|0.0|0.0|0.0|1.69|1.73|7.0|0.9201|63754|69419096 55880|OLB|OLB|67086U307|US67086U3077|OLB Group Inc (The)|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-6|TXN6-3|TXN10-5|TXN6-4|TXN5-2|15220000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502050|50205015|Industrials|Industrial Goods and Services|Industrial Support Services|Transaction Processing Services|N||N||||||N|0|Y||||||0.88|0.899|0.0|0.0|0.0|0.95|0.9599|0.881|0.0|0.0|0.95|0.9405|0.959|0.0|0.0|0.0|0.0|0.9599|0.0|0.9599|0.704|1.08|0.0|0.0|0.8412|1.02|0.704|1.08|0.0|0.0|0.9011|0.9599|1.3|0.5346|104870|41590189 3034|OLED|OLED|91347P105|US91347P1057|Universal Display Corporation|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN5-6|TXN12-4|TXN5-4|TXN5-7|47360000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||USA||||10|1010|101020|10102015|Technology|Technology|Technology Hardware and Equipment|Electronic Components|N||N||||||Y|0|Y||||||176.29|177.07|0.0|176.99|177.37|177.1|177.02|177.33|0.0|0.0|176.3|0.0|177.07|177.06|177.0|177.34|177.23|177.02|0.0|177.07|175.53|178.81|165.1|187.45|176.91|178.6|176.8|177.27|0.0|177.15|177.0|177.11|180.0|103.3169|342618|76752105 69952|OLK|OLK|680710100|US6807101000|Olink Holding AB (publ)|ADR||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN6-6|TXN14-4|TXN6-8|TXN6-3|124340000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||SWE||||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||Y|0|Y||||||25.85|25.84|0.0|0.0|25.84|25.85|25.85|25.84|0.0|0.0|25.84|25.84|25.84|25.84|25.86|25.84|25.86|25.84|25.87|25.84|25.78|25.91|19.96|31.78|25.78|25.91|20.66|31.08|0.0|0.0|25.84|25.85|26.47|14.1|344937|122531930 50323|OLLI|OLLI|681116109|US6811161099|Ollie's Bargain Outlet Holdings Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN5-5|TXN10-2|TXN6-5|TXN6-7|61700000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||USA||||40|4040|404010|40401010|Consumer Discretionary|Retail |Retailers |Diversified Retailers|N||N||||||Y|0|Y||||||76.26|76.26|0.0|76.37|76.32|76.23|76.3|76.32|0.0|0.0|76.26|76.47|76.28|76.3|76.28|76.26|76.34|76.29|76.32|76.28|75.83|76.83|71.61|81.34|76.28|76.76|76.18|76.4|76.27|76.41|76.29|76.34|83.1857|44.72|1375488|227164215 68206|OLMA|OLMA|68062P106|US68062P1066|Olema Pharmaceuticals Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN5-6|TXN12-4|TXN5-8|TXN6-2|54770000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||15.23|15.22|0.0|15.15|15.22|15.23|15.25|15.24|0.0|0.0|15.22|15.25|15.25|15.15|15.06|15.2|15.2|15.25|15.14|15.25|15.05|15.41|11.8|18.52|15.19|15.28|15.2|15.32|15.2|15.33|15.22|15.25|17.7911|2.19|578059|75710784 8329|OLN|OLN|680665205|US6806652052|Olin Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|Q|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-5|TXN4-6|TXN3-5|TXN1-7|TXN2-7|122550000|||Quarterly|||||1917-02-15||||||| | | | | | | | | |||N|0|Y|Y|106A|USA|US|||55|5520|552010|55201000|Basic Materials|Chemicals|Chemicals|Chemicals: Diversified|N||N||||||Y|0|Y||Y|1|||50.2|50.2|0.0|50.41|50.19|50.22|50.217|50.19|0.0|0.0|50.2|50.22|50.14|50.22|50.19|50.19|50.21|50.14|50.285|50.19|50.16|50.22|46.87|53.33|50.14|50.25|50.15|52.78|50.15|50.22|50.17|50.26|64.7|41.71|2112484|331275333 69730|OLO|OLO|68134L109|US68134L1098|Olo Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-7|TXN4-8|TXN3-6|TXN1-3|TXN1-3|109290000|||NotApplicable|||||2021-03-17||||||| | | | | | | | | |||N|0|N|Y|180B|USA|US|||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||Y|2|||5.85|5.845|0.0|5.56|5.84|5.845|5.8425|5.845|0.0|0.0|5.85|5.85|5.845|5.85|5.84|5.85|5.84|5.845|5.82|5.85|5.84|5.85|4.62|7.23|5.84|5.86|5.82|5.87|5.81|5.87|5.84|5.85|9.1205|4.25|2067477|268172248 8330|OLP|OLP|682406103|US6824061039|One Liberty Properties, Inc.|Common Stock|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|6|Q|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN4-7|TXN4-8|TXN3-2|TXN2-6|21070000|||Quarterly|||||2004-01-15||||||| | | | | | | | | |||N|0|N|Y|412A|USA|US|||35|3510|351020|35102000|Real Estate|Real Estate |Real Estate Investment Trusts|Diversified REITs|N||N||||||N|0|Y||Y|2|||20.76|20.43|0.0|20.88|21.45|21.47|21.5|20.9|0.0|0.0|21.34|21.34|21.48|21.5|20.45|21.48|19.76|21.47|19.75|21.48|21.46|21.48|16.2|25.88|21.28|21.64|21.4|21.56|21.46|21.55|21.46|21.48|24.77|17.55|50635|14062913 71850|OLPX|OLPX|679369108|US6793691089|Olaplex Holdings Inc|COM USD0.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN5-3|TXN14-4|TXN5-6|TXN6-1|654730000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||USA||||45|4520|452010|45201020|Consumer Staples |Personal Care, Drug and Grocery Stores |Personal Care, Drug and Grocery Stores |Personal Products|N||N||||||Y|0|Y||||||2.59|2.59|0.0|2.31|2.6|2.59|2.592|2.59|0.0|0.0|2.59|2.59|2.6|2.6|2.595|2.59|2.595|2.592|2.59|2.6|2.57|2.61|2.45|2.78|2.57|2.61|2.56|2.63|2.56|2.63|2.59|2.6|7.1|1.345|4893026|567715270 67489|OM|OM|690145107|US6901451079|Outset Medical Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN5-7|TXN11-2|TXN6-4|TXN5-8|50210000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||Y|0|Y||||||5.72|5.71|0.0|5.74|5.715|5.705|5.692|5.705|0.0|0.0|5.69|5.725|5.69|5.72|5.71|5.71|5.7|5.69|5.72|5.69|5.64|5.77|4.48|7.05|5.65|5.76|5.64|5.76|0.0|5.7|5.69|5.7|30.55|2.9|608108|174651802 18351|OMAB|OMAB|400501102|US4005011022|Grupo Aeroportuario del Centro Norte SAB de CV|ADR NPV||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN6-6|TXN11-4|TXN6-2|TXN5-1|340350000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||MEX||||50|5020|502060|50206060|Industrials|Industrial Goods and Services|Industrial Transportation|Transportation Services|N||N||||||Y|0|Y||||||0.0|71.68|0.0|0.0|71.48|71.7|71.63|71.69|0.0|0.0|71.44|71.72|71.76|71.8|71.73|71.71|0.0|71.63|0.0|71.76|70.94|72.43|56.2|87.64|71.03|72.36|71.33|72.06|0.0|0.0|71.62|71.76|100.21|50.23|146804|20536641 8332|OMC|OMC|681919106|US6819191064|Omnicom Group Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|N|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-3|TXN2-6|TXN8-4|TXN1-8|TXN3-7|197930000|||Quarterly|||||1990-06-27||||||| | | | | | | | | |||N|5|Y|Y|104C|USA|US|||40|4030|403010|40301020|Consumer Discretionary|Media|Media|Media Agencies|N||N||||||Y|0|Y||Y|1|||82.37|82.39|0.0|82.4|82.4|82.4|82.41|82.395|0.0|0.0|82.4|82.4|82.4|82.37|82.37|82.39|82.4|82.41|82.4|82.39|82.39|82.4|77.25|88.02|82.35|82.43|82.34|82.44|82.31|82.47|82.39|82.4|99.23|72.2|957927|385164826 2951|OMCL|OMCL|68213N109|US68213N1090|Omnicell Inc|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN5-4|TXN13-6|TXN5-3|TXN6-1|45470000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201010|20101025|Health Care |Health Care |Health Care Providers|Health Care Services|N||N||||||Y|0|Y||||||35.06|35.055|0.0|35.08|35.06|34.97|35.075|35.08|0.0|0.0|35.06|34.61|35.08|35.07|34.5|35.07|34.77|35.075|35.07|35.08|34.66|35.47|29.75|42.75|34.94|35.38|35.02|35.11|35.0|35.12|35.07|35.08|77.135|28.72|718117|122849631 31661|OMER|OMER|682143102|US6821431029|Omeros Corp|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN6-5|TXN11-2|TXN6-1|TXN6-1|62870000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103015|Health Care |Health Care |Pharmaceuticals and Biotechnology|Pharmaceuticals |N||N||||||Y|0|Y|D|||||2.54|2.535|0.0|2.49|2.53|2.535|2.539|2.515|0.0|0.0|2.53|2.54|2.54|2.53|2.5|2.535|2.52|2.539|2.54|2.54|2.51|2.54|1.97|3.07|2.51|2.54|2.51|2.56|2.5|2.55|2.53|2.54|7.7975|0.92|1149903|165942546 8338|OMEX|OMEX|676118201|US6761182012|Odyssey Marine Exploration Inc.|COM USD.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN6-5|TXN14-5|TXN6-1|TXN5-7|19980000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502060|50206030|Industrials|Industrial Goods and Services|Industrial Transportation|Marine Transportation|N||N||||||Y|0|Y||||||3.55|3.55|0.0|3.48|3.57|3.57|3.57|3.48|0.0|0.0|3.5|0.0|3.56|3.46|3.57|0.0|0.0|3.57|3.55|3.56|3.36|3.69|2.67|4.33|3.39|3.67|3.44|3.63|3.43|3.63|3.48|3.57|4.68|2.77|59566|12253523 42888|OMF|OMF|68268W103|US68268W1036|OneMain Holdings, Inc.|Common Stock, par value $0.01 per share|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-7|TXN3-3|TXN5-2|TXN3-7|TXN3-8|119900000|||Quarterly|||||2013-10-16||||||| | | | | | | | | |||N|0|Y|Y|408A|USA|US|||30|3020|302010|30201020|Financials|Financial Services |Finance and Credit Services|Consumer Lending|N||N||||||Y|0|Y||Y|1|||43.37|43.35|0.0|43.4|43.37|43.365|43.4|43.38|0.0|0.0|43.38|43.32|43.39|43.37|43.33|43.38|43.34|43.39|43.4|43.38|43.37|43.38|40.87|45.95|43.33|43.43|43.35|43.46|43.37|43.46|43.37|43.38|48.64|31.97|1410612|233986952 60078|OMFL|OMFL|46138J619|US46138J6192|Invesco Russell 1000 Dynamic Multifactor ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-7|TXN1-7|TXN8-4|TXN2-1|TXN1-5|102810000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||48.91|48.94|0.0|0.0|48.95|48.94|48.9263|48.9|0.0|0.0|48.94|48.88|48.94|48.87|48.94|48.94|48.94|48.94|47.69|48.94|48.87|48.99|48.84|49.0|48.92|48.95|48.84|49.01|48.84|49.01|48.93|48.94|50.73|41.9|489230|142982058 60079|OMFS|OMFS|46138J593|US46138J5939|Invesco Russell 2000 Dynamic Multifactor ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-7|TXN1-1|TXN3-6|TXN1-8|TXN1-4|10130000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||34.81|36.23|0.0|0.0|0.0|34.87|36.1943|0.0|0.0|0.0|0.0|0.0|36.06|0.0|0.0|0.0|0.0|36.23|0.0|36.23|36.03|36.09|0.0|0.0|36.01|36.23|35.9|36.54|35.9|36.54|36.02|36.23|38.9535|31.5899|49858|11053163 71293|OMGA|OMGA|68217N105|US68217N1054|Omega Therapeutics Inc|COM USD0.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN5-5|TXN12-1|TXN5-2|TXN6-6|55140000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||2.15|2.15|0.0|0.0|2.18|2.17|2.17|2.16|0.0|0.0|2.19|2.18|2.17|2.19|2.31|2.19|2.16|2.17|2.26|2.17|2.09|2.26|1.7|2.71|2.12|2.18|2.14|2.71|2.13|2.21|2.17|2.18|11.98|1.3|306923|34271975 75453|OMH|OMH|G6S38M107|KYG6S38M1078|Ohmyhome Ltd|ORD 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LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-4|TXN3-2|TXN1-8|TXN4-4|TXN2-2|76500000|||Quarterly|||||1988-01-29||||||| | | | | | | | | |||N|0|N|Y|122A|USA|US|||20|2010|201020|20102015|Health Care |Health Care |Medical Equipment and Services|Medical Supplies|N||N||||||Y|0|Y||Y|2|||22.69|22.69|0.0|22.51|22.69|22.74|22.69|22.69|0.0|0.0|22.72|22.76|22.69|22.7|22.75|22.69|22.75|22.69|22.69|22.69|22.69|22.7|17.14|27.81|22.65|22.76|22.65|22.75|22.67|22.75|22.69|22.7|22.86|11.79|872054|193404838 70744|OMIC|OMIC|82933R100|US82933R1005|Singular Genomics Systems Inc|COM USD.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-8|TXN5-1|TXN10-5|TXN6-8|TXN5-6|73390000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||0.4299|0.4299|0.0|0.4299|0.429|0.4299|0.4182|0.4299|0.0|0.0|0.4299|0.4299|0.4299|0.429|0.0|0.0|0.0|0.4299|0.4299|0.4299|0.3945|0.4506|0.324|0.504|0.4098|0.4366|0.324|0.504|0.0|0.0|0.4182|0.4299|3.0|0.3101|87354|75302706 44771|OMQS|OMQS|68217M107|US68217M1071|OMNIQ Corp|COM 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USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN6-1|TXN12-5|TXN6-7|TXN5-7|430700000|||NotApplicable|||||||||||| | | | | | | | | |||N|5|Y|N||USA||||10|1010|101020|10102010|Technology|Technology|Technology Hardware and Equipment|Semiconductors|N||N||||||Y|0|Y||||||73.11|73.08|0.0|73.04|73.07|73.08|73.085|73.085|0.0|0.0|73.08|73.12|73.1|73.1|73.11|73.09|73.12|73.08|73.05|73.1|73.03|73.14|68.64|77.94|73.06|73.11|73.07|73.14|73.07|73.15|73.07|73.09|111.35|59.61|5499775|1542145520 8341|ONB|ONB|680033107|US6800331075|Old National Bancorp|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN6-7|TXN13-5|TXN5-8|TXN5-6|292620000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||||||15.97|15.98|0.0|15.79|15.98|15.975|15.98|15.975|0.0|0.0|15.98|15.975|15.98|15.97|15.96|15.98|15.96|15.975|15.97|15.98|15.97|16.0|12.03|19.55|15.97|16.0|15.94|16.01|15.97|0.0|15.97|15.98|19.375|11.66|3146991|477072065 66909|ONBPO|ONBPO|68003D303|US68003D3035|Old National Bancorp|7 DP SH PF C||U|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN6-5|TXN14-2|TXN5-1|TXN6-5|4900000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|24.0|24.03|0.0|0.0|0.0|0.0|24.0|23.84|0.0|0.0|0.0|0.0|24.03|0.0|24.03|0.0|0.0|0.0|0.0|23.32|24.52|0.0|0.0|0.0|0.0|23.8|24.04|27.0|19.16|17139|2352657 66671|ONBPP|ONBPP|68003D204|US68003D2045|Old National Bancorp|DP 1/40 NC PPF A||B|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN5-1|TXN13-3|TXN6-7|TXN5-2|4320000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|24.035|0.0|0.0|0.0|24.02|24.0834|24.035|0.0|0.0|24.03|0.0|23.91|0.0|0.0|24.035|24.035|24.0834|0.0|24.0834|0.0|0.0|0.0|0.0|23.37|24.68|0.0|0.0|0.0|0.0|23.91|24.19|26.048|18.5301|12280|2693736 1790|ONCT|ONCT|68236P107|US68236P1075|Oncternal Therapeutics Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-6|TXN6-1|TXN12-6|TXN5-7|TXN6-4|58970000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y|D|||||0.341|0.35|0.0|0.0|0.3435|0.3425|0.3449|0.3355|0.0|0.0|0.3476|0.3401|0.345|0.0|0.0|0.0|0.0|0.3449|0.0|0.345|0.323|0.3656|0.272|0.4086|0.3264|0.3588|0.272|0.3961|0.0|0.0|0.3406|0.345|1.33|0.261|265315|68942919 61080|ONCY|ONCY|682310875|CA6823108759|Oncolytics Biotech Inc|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN6-1|TXN10-8|TXN5-3|TXN5-1|73400000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CAN||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||1.39|1.39|0.0|0.0|1.39|1.4|1.39|1.4|0.0|0.0|1.4|1.4|1.41|0.0|0.0|1.395|1.4|1.4|0.0|1.41|1.37|1.41|1.16|1.72|1.37|1.41|1.37|1.43|1.36|1.41|1.39|1.41|3.3942|1.09|318768|122952820 72138|OND|OND|74347G523|US74347G5238|ProShares Trust|ProShares On-Demand ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ProShares Advisors |Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-1|TXN4-6|TXN7-8|TXN2-4|TXN2-1|25001|||Quarterly|||||2021-10-27||OND.NV|OND.SO|OND.EU|OND.TC|OND.IV| | | | | | | | | |1x|ProShares On-Demand ETF (the Fund) seeks investment results, before fees and expenses, that track the performance of the FactSet On-Demand Index (the Index).|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|24.37|0.0|0.0|0.0|0.0|0.0|24.55|0.0|0.0|0.0|0.0|24.56|0.0|24.56|0.0|0.0|0.0|0.0|24.49|24.62|0.0|0.0|0.0|0.0|24.49|24.62|25.2895|18.9098|23|29603 61929|ONDS|ONDS|68236H204|US68236H2040|Ondas Holdings Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN5-8|TXN13-7|TXN6-8|TXN5-5|58310000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4020|402030|40203010|Consumer Discretionary|Consumer Products and Services|Leisure Goods|Consumer Electronics|N||N||||||Y|0|Y||||||1.29|1.28|0.0|1.26|1.28|1.28|1.275|1.275|0.0|0.0|1.28|1.1|1.27|1.29|1.28|1.28|1.12|1.275|1.29|1.27|1.25|1.28|1.01|1.53|1.27|1.28|1.25|1.31|1.25|1.29|1.27|1.28|2.47|0.3146|469642|115549651 52093|ONEO|ONEO|78468R762|US78468R7623|SPDR Series Trust|SPDR Russell 1000 Momentum Focus ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-4|TXN3-4|TXN2-8|TXN4-7|TXN1-3|1560000|||Quarterly|||||2015-12-03||ONEO.NV|ONEO.SO|ONEO.EU|ONEO.TC|ONEO.IV| | | | | | | | | |1x|The SPDR Russell 1000 Momentum Focus ETF seeks to provide investment results that, before fees and expenses, correspond generally to the total return performance of the Russell 1000 Momentum Focused Factor Index. The Index is designed to measure the performance of a subset of companies of the Russell 1000 Index demonstrating higher value, higher quality and lower size core factor traits whose securities exhibit higher momentum.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|99.51|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|99.7238|0.0|99.7238|79.24|119.4|0.0|0.0|99.69|99.75|99.65|100.03|99.65|100.03|99.69|99.75|100.9818|88.6302|266|1817658 2956|ONEQ|ONEQ|315912808|US3159128087|Fidelity Nasdaq Composite Index ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN5-8|TXN10-2|TXN5-2|TXN6-1|92900000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||56.03|56.01|0.0|55.96|56.03|56.02|56.03|55.86|0.0|0.0|56.04|56.05|56.01|56.03|0.0|56.02|55.83|56.03|56.03|56.01|55.39|56.56|52.38|59.57|55.89|56.09|53.02|56.11|0.0|56.11|55.94|56.01|56.9036|40.0|220660|60825235 52094|ONEV|ONEV|78468R754|US78468R7540|SPDR Series Trust|SPDR Russell 1000 Low Volatility Focus ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-4|TXN1-2|TXN1-8|TXN4-5|TXN4-3|5190000|||Quarterly|||||2015-12-03||ONEV.NV|ONEV.SO|ONEV.EU|ONEV.TC|ONEV.IV| | | | | | | | | |1x|The SPDR Russell 1000 Low Volatility Focus ETF seeks to provide investment results that, before fees and expenses, correspond generally to the total return performance of the Russell 1000 Low Volatility Focused Factor Index. The Index is designed to measure the performance of a subset of companies of the Russell 1000 Index demonstrating higher value, higher quality and lower size core factor traits whose securities exhibit lower volatility.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||0.0|108.03|0.0|0.0|0.0|108.03|110.93|110.89|0.0|0.0|0.0|0.0|110.89|110.8|0.0|0.0|0.0|111.0212|0.0|111.0212|110.96|111.23|0.0|0.0|110.97|111.04|110.51|111.25|110.51|111.24|110.97|111.04|112.82|99.56|5457|2445943 65544|ONEW|ONEW|68280L101|US68280L1017|OneWater Marine Inc|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN6-4|TXN10-2|TXN5-5|TXN5-5|14360000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4040|404010|40401030|Consumer Discretionary|Retail |Retailers |Specialty Retailers |N||N||||||N|0|Y||||||28.2|27.94|0.0|0.0|27.95|27.96|27.945|27.93|0.0|0.0|28.04|0.0|27.99|27.94|27.93|28.14|0.0|27.945|0.0|27.99|27.58|28.26|21.36|34.28|27.66|28.21|27.81|28.07|27.94|28.08|27.96|27.99|39.15|21.78|58451|21819694 52092|ONEY|ONEY|78468R770|US78468R7706|SPDR Series Trust|SPDR Russell 1000 Yield Focus ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|IMC Chicago, LLC, DBA IMC Financial Markets|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-6|TXN1-6|TXN3-5|TXN4-6|TXN1-8|7770000|||Quarterly|||||2015-12-03||ONEY.NV|ONEY.SO|ONEY.EU|ONEY.TC|ONEY.IV| | | | | | | | | |1x|The SPDR Russell 1000 Yield Focus ETF seeks to provide investment results that, before fees and expenses, correspond generally to the total return performance of the Russell 1000 Yield Focused Factor Index. The Index is designed to measure the performance of a subset of companies of the Russell 1000 Index demonstrating higher value, higher quality and lower size core factor traits whose securities provide higher yields.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||96.74|96.78|0.0|0.0|96.73|96.3|96.8534|96.49|0.0|0.0|0.0|0.0|96.84|96.78|96.74|0.0|0.0|96.8405|0.0|96.8405|96.61|97.02|0.0|0.0|96.79|96.85|96.58|97.1|96.58|97.1|96.79|96.85|102.74|86.09|10857|7926308 74539|ONFO|ONFO|68277K207|US68277K2078|Onfolio Holdings Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-7|TXN5-7|TXN11-3|TXN5-1|TXN6-4|5110000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101010|10101020|Technology|Technology|Software and Computer Services|Consumer Digital Services |N||N||||||N|0|Y||||||0.52|0.52|0.0|0.0|0.52|0.52|0.52|0.543|0.0|0.0|0.52|0.0|0.5485|0.0|0.0|0.52|0.0|0.545|0.52|0.545|0.4396|0.6813|0.4396|0.6813|0.4855|0.6125|0.4396|0.6813|0.0|0.0|0.52|0.5767|2.4|0.4632|18283|93470332 74540|ONFOW|ONFOW|68277K124|US68277K1245|Onfolio Holdings Inc|WT EXP 010227||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-4|TXN6-7|TXN10-8|TXN5-5|TXN5-2|5110000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0404|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.04|0.0498|0.4171|0.0399|1|1932009 72202|ONL|ONL|68629Y103|US68629Y1038|Orion Office REIT Inc.|Common Stock|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|6|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-6|TXN3-6|TXN9-5|TXN2-8|TXN2-3|55780000|||Quarterly|||||2021-11-01||||||| | | | | | | | | |||N|0|N|Y|412A|USA|US|||35|3510|351020|35102030|Real Estate|Real Estate |Real Estate Investment Trusts|Office REITs|N||N||||||Y|0|Y||Y|2|||5.62|5.625|0.0|5.6|5.63|5.625|5.63|5.63|0.0|0.0|5.62|5.61|5.63|5.63|5.6|5.63|5.625|5.63|5.62|5.63|5.61|5.63|4.31|6.86|5.61|5.65|5.59|5.65|5.62|5.65|5.61|5.63|9.75|4.41|367177|147358790 61250|ONLN|ONLN|74347B169|US74347B1695|ProShares Trust|ProShares Online Retail ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ProShares Advisors |SG Americas Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-8|TXN3-5|TXN5-5|TXN3-7|TXN4-4|3040001|||Quarterly|||||2018-07-16||ONLN.NV|ONLN.SO|ONLN.EU|ONLN.TC|ONLN.IV| | | | | | | | | |1x|The ProShares Online Retail ETF seeks investment results, before fees and expenses, that track the performance of the ProShares Online Retail Index. The Index seeks to measure the performance of publicly traded companies that principally sell online or through other non-store sales channels (Online Retailers). The Index includes U.S. and non-U.S. companies. To be included in the Index, an online retailers securities must be listed on a U.S. stock exchange and must meet certain liquidity and market capitalization requirements. Non-U.S. companies may not make up more than 25% of the Index. Companies are weighted in the Index using a modified market capitalization approach.|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||33.44|33.7|0.0|0.0|33.44|33.6|33.5583|0.0|0.0|0.0|33.61|32.44|33.56|33.4|0.0|33.5|0.0|33.61|0.0|33.61|33.61|33.68|0.0|0.0|33.61|33.62|0.0|0.0|0.0|0.0|33.61|33.62|38.98|27.38|18827|7032078 70966|ONMD|ONMD|68270C103|US68270C1036|OneMedNet Corp|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN5-7|TXN10-6|TXN5-2|TXN6-3|32260000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment 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Vehicles|N||N||||||N|4|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|10.72|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.72|0.0|10.72|0.0|10.72|10.71|10.93|0.0|0.0|10.05|11.45|0.0|0.0|0.0|0.0|10.71|10.93|11.08|10.02|746|11045324 70619|OPA WS|OPA.WS|G5S70A112|KYG5S70A1122|Magnum Opus Acquisition Limited|Redeemable Warrants, each warrant exercisable for one Class A ordinary share at an exercise price of $11.50|Special purpose acquisition company|C|N|N|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN2-8|TXN3-3|TXN5-8|TXN1-8|TXN4-3|0|||NotApplicable|||||2021-05-14||||||| | | | | | | | | 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|||N|0|N|N|408A|HKG|KY|||||||||||N||N||||||N|4|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.67|11.23|0.0|0.0|10.65|11.23|0.0|0.0|0.0|0.0|10.69|11.23|10.925|9.91|0|48832 68452|OPAD|OPAD|67623L307|US67623L3078|Offerpad Solutions Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN1-1|TXN2-8|TXN4-6|TXN3-8|27230000|||NotApplicable|||||2020-12-11||||||| | | | | | | | | |||N|0|N|Y|408A|USA|US|||35|3510|351010|35101015|Real Estate|Real Estate |Real Estate Investment and Services Development|Real Estate Services|N||N||||||Y|0|Y||Y|2|||8.97|10.2|0.0|0.0|0.0|10.13|10.13|10.24|0.0|0.0|0.0|0.0|10.06|9.24|0.0|10.1|0.0|10.01|0.0|10.1|9.97|10.15|0.0|0.0|9.8|10.35|7.35|12.0|0.0|0.0|9.97|10.15|15.195|0.3752|11849|92980007 70672|OPAL|OPAL|68347P103|US68347P1030|OPAL Fuels Inc|CL A COM USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN5-7|TXN10-4|TXN6-7|TXN6-6|27980000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||60|6010|601020|60102010|Energy|Energy|Alternative Energy|Alternative Fuels |N||N||||||Y|0|Y||||||5.52|5.37|0.0|5.38|5.38|5.36|5.35|5.37|0.0|0.0|5.505|0.0|5.35|5.38|5.37|0.0|0.0|5.35|0.0|5.35|5.28|5.48|4.21|6.63|5.28|5.47|5.33|5.41|5.32|5.38|5.35|5.38|10.1|5.155|57524|27359513 60840|OPBK|OPBK|67109R109|US67109R1095|OP Bancorp|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN5-7|TXN14-4|TXN6-3|TXN5-8|15000000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||||||9.6|0.0|0.0|0.0|9.65|9.64|9.66|9.64|0.0|0.0|0.0|0.0|9.66|9.59|0.0|9.64|0.0|9.66|0.0|9.66|9.39|9.79|0.0|0.0|9.42|9.78|0.0|0.0|0.0|0.0|9.57|9.67|11.9999|7.5|21338|6513857 499|OPCH|OPCH|68404L201|US68404L2016|Option Care Health Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN5-6|TXN14-7|TXN5-6|TXN6-7|177130000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201010|20101020|Health Care |Health Care |Health Care Providers|Health Care Management Services|N||N||||||Y|0|Y||||||30.26|30.25|0.0|29.93|30.26|30.25|30.26|30.245|0.0|0.0|30.25|30.26|30.26|30.0|30.25|30.255|30.26|30.26|30.27|30.26|30.21|30.28|23.33|36.72|30.19|30.3|30.22|30.29|30.21|30.3|30.24|30.26|35.74|24.23|1646831|500577211 66754|OPEN|OPEN|683712103|US6837121036|Opendoor Technologies Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN6-1|TXN10-2|TXN6-4|TXN6-4|670030000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||35|3510|351010|35101010|Real Estate|Real Estate |Real Estate Investment and Services Development|Real Estate Holding and Development |N||N||||||Y|0|Y||||||3.41|3.41|0.0|3.33|3.4|3.41|3.41|3.41|0.0|0.0|3.41|3.41|3.41|3.41|3.41|3.41|3.405|3.41|3.41|3.41|3.4|3.41|3.07|3.82|3.4|3.41|3.38|3.43|3.4|3.44|3.4|3.41|5.41|0.917|19999914|5069715772 61237|OPER|OPER|26922A453|US26922A4537|ETF Series Solutions|ClearShares Ultra-Short Maturity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ClearShares|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-4|TXN3-1|TXN8-8|TXN2-5|TXN4-7|1950000|||Monthly|||||2018-07-11||OPER.NV|OPER.SO|OPER.EU|OPER.TC|OPER.IV| | | | | | | | | ||The ClearShares Ultra-Short Maturity ETF (the Fund) seeks current income. The Fund is an actively-managed exchange-traded fund (ETF) that seeks to achieve its investment objective primarily by investing in repurchase agreements collateralized by U.S. government securities and, to a lesser extent, directly in individual fixed income instruments.|N|0|N|N|416A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|100.185|0.0|0.0|0.0|100.18|0.0|100.18|100.15|0.0|0.0|0.0|100.14|100.18|100.14|0.0|0.0|0.0|0.0|100.17|100.2|0.0|0.0|0.0|0.0|100.17|100.2|100.99|99.95|16056|4636859 68210|OPFI|OPFI|68386H103|US68386H1032|OppFi Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|11|Q|Virtu Americas LLC|NITC|295|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN2-3|TXN5-8|TXN3-4|TXN1-7|17730000|||NotApplicable|||||2020-11-20||||||| | | | | | | | | |||N|0|N|Y|408A|USA|US|||30|3020|302010|30201020|Financials|Financial Services |Finance and Credit Services|Consumer Lending|N||N||||||Y|0|Y||Y|2|||3.95|3.94|0.0|3.92|3.95|3.94|3.94|3.95|0.0|0.0|3.95|3.95|3.94|3.91|3.68|3.94|3.9|3.94|3.9|3.94|3.94|3.95|2.98|4.77|3.92|3.96|3.92|3.96|3.92|3.96|3.94|3.95|3.99|1.7|701486|21581473 68211|OPFI WS|OPFI.WS|68386H111|US68386H1115|OppFi Inc.|Warrants, each whole warrant exercisable for one share of Class A common stock at an exercise price of $11.50 per share|Operating company|C|N|N|N|Y|Y|Y|Y|Y|11|Q|Virtu Americas LLC|NITC|295|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN9-8|TXN4-3|TXN3-8|TXN3-1|TXN1-1|17410000|||NotApplicable|||||2020-11-20||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||||||||||N||N||||||N|0|Y|C|N||||0.0|0.13|0.0|0.0|0.0|0.1386|0.14|0.0|0.0|0.0|0.13|0.0|0.13|0.0|0.0|0.14|0.0|0.14|0.0|0.14|0.13|0.14|0.0|0.0|0.1214|0.1493|0.0|0.0|0.0|0.0|0.13|0.14|0.234|0.025|16175|3128380 49738|OPGN|OPGN|68373L406|US68373L4068|OpGen Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-8|TXN5-2|TXN12-4|TXN5-8|TXN5-1|10010000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||0.4399|0.4349|0.0|0.0|0.4399|0.435|0.437899|0.43|0.0|0.0|0.4349|0.4187|0.4351|0.416|0.0|0.4349|0.0|0.437899|0.416|0.437899|0.4132|0.4568|0.34|0.5068|0.43|0.4489|0.344|0.48|0.0|0.0|0.43|0.438|3.84|0.111|409595|361224284 2970|OPHC|OPHC|68401P403|US68401P4037|OptimumBank Holdings Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN6-7|TXN13-6|TXN6-5|TXN6-6|7250000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|3.46|3.4537|0.0|0.0|0.0|0.0|0.0|3.43|0.0|0.0|0.0|0.0|3.46|0.0|3.46|0.0|0.0|0.0|0.0|3.24|3.61|0.0|0.0|0.0|0.0|3.43|3.46|4.45|2.77|3011|1573455 31029|OPI|OPI|67623C109|US67623C1099|Office Properties Income Trust|COM USD.01 SBI||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN5-6|TXN12-5|TXN5-1|TXN6-6|48760000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||35|3510|351020|35102030|Real Estate|Real Estate |Real Estate Investment Trusts|Office REITs|N||N||||||Y|0|Y||||||6.21|6.2|0.0|0.0|6.21|6.215|6.2|6.21|0.0|0.0|6.22|6.22|6.2|6.21|6.21|6.22|6.21|6.21|6.21|6.2|6.2|6.22|4.78|7.53|6.2|6.22|6.17|6.24|6.19|6.23|6.2|6.22|18.1|3.75|1107430|239334805 66815|OPINL|OPINL|67623C208|US67623C2089|Office Properties Income Trust 6.375 Senior Notes Due 2050|STRUCTPROD||U|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN6-8|TXN11-6|TXN6-7|TXN5-3|6480000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||||||||||N||N||||||N|0|Y||||||0.0|13.89|0.0|0.0|13.89|13.89|13.915|0.0|0.0|0.0|13.9|14.02|13.9|0.0|0.0|13.91|0.0|13.915|0.0|13.915|0.0|0.0|0.0|0.0|13.52|14.29|0.0|0.0|0.0|0.0|13.86|14.02|21.7|11.23|17775|4677161 24789|OPK|OPK|68375N103|US68375N1037|Opko Health Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN6-7|TXN10-2|TXN5-6|TXN5-5|773060000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201020|20102020|Health Care |Health Care |Medical Equipment and Services|Medical Services|N||N||||||Y|0|Y||||||1.62|1.63|0.0|1.57|1.625|1.625|1.63|1.63|0.0|0.0|1.63|1.62|1.62|1.625|1.62|1.625|1.62|1.63|1.62|1.62|1.61|1.63|1.3|1.92|1.61|1.63|1.59|1.65|1.61|1.65|1.62|1.63|2.24|1.0|2443382|677512582 2975|OPOF|OPOF|680194107|US6801941070|Old Point Financial Corp|COM USD5.0||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN5-2|TXN10-6|TXN5-2|TXN6-1|5040000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N|Y|N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|16.8008|0.0|0.0|0.0|0.0|0.0|17.07|0.0|0.0|0.0|0.0|16.8008|0.0|16.8008|15.61|17.96|0.0|0.0|15.79|17.78|0.0|0.0|0.0|0.0|16.65|17.1|28.87|14.0|3339|905745 53994|OPP|OPP|76882G107|US76882G1076|RiverNorth/DoubleLine Strategic Opportunity Fund, Inc.|Common Stock|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN2-5|TXN3-8|TXN4-4|TXN3-2|22970000|||Monthly|||||2016-09-28||||||| | | | | | | | | |||N|0|N|N|406B|USA|US|||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||8.05|8.055|0.0|8.03|8.05|8.055|8.05|8.075|0.0|0.0|8.06|8.02|8.055|8.07|0.0|8.05|8.07|8.05|0.0|8.05|8.05|8.06|6.26|9.84|7.48|8.56|8.02|8.09|8.03|8.07|8.05|8.06|9.74|7.2601|207177|29348622 67982|OPP PRA|OPPpA|76882G206|US76882G2066|RiverNorth/DoubleLine Strategic Opportunity Fund, Inc.|4.375% Series A Cumulative Preferred Stock|Closed end fund|B|N|N|N|Y|Y|Y|Y|Y|6|H|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN2-8|TXN4-8|TXN4-7|TXN2-7|2400000|||Quarterly|||||2020-10-27||||||| | | | | | | | | |||N|0|N|N|406B|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|17.52|17.61|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|17.64|17.66|17.64|0.0|17.64|17.58|17.65|17.58|17.65|16.44|18.87|0.0|0.0|0.0|0.0|16.51|17.65|19.6|16.745|2827|981142 72641|OPP PRB|OPPpB|76882G404|US76882G4047|RiverNorth/DoubleLine Strategic Opportunity Fund, Inc.|4.75% Series B Cumulative Preferred Stock|Closed end fund|B|N|N|N|Y|Y|Y|Y|Y|6|H|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN3-5|TXN9-8|TXN2-2|TXN3-3|2400000|||Quarterly|||||2021-11-26||||||| | | | | | | | | |||N|0|N|N|406B|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|19.39|0.0|0.0|0.0|0.0|0.0|19.38|0.0|0.0|19.52|19.38|19.52|18.64312|19.52|18.94|19.46|19.11|19.49|17.84|20.8|0.0|0.0|0.0|0.0|18.94|19.46|20.67|18.25|1208|1115534 69318|OPPX|OPPX|30151E665|US30151E6656|Exchange Listed Funds Trust|Corbett Road Tactical Opportunity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Exchange Traded Concepts|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-8|TXN3-5|TXN6-8|TXN2-8|TXN4-6|925000|||Yearly|||||2021-02-25||OPPX.NV|OPPX.SO|OPPX.EU|OPPX.TC| | | | | | | | | | ||The Corbett Road Tactical Opportunity ETF (the Fund) seeks to provide long-term total return. The Fund seeks to achieve its investment objective by investing in equity securities of companies listed on a U.S. securities exchange, including common stocks and ADRs.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|23.7609|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|23.793|0.0|23.793|18.94|28.63|0.0|0.0|23.78|23.8|18.94|28.63|0.0|0.0|23.78|23.8|23.97|21.4281|667|702244 61329|OPRA|OPRA|68373M107|US68373M1071|Opera Ltd|ADR||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN5-2|TXN12-1|TXN5-6|TXN5-6|177580000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||NOR||||10|1010|101010|10101020|Technology|Technology|Software and Computer Services|Consumer Digital Services |N||N||||||Y|0|Y||||||11.21|11.17|0.0|11.2|11.21|11.215|11.17|11.2|0.0|0.0|11.2|11.2|11.17|11.18|11.18|11.215|11.215|11.17|11.205|11.17|11.08|11.31|8.89|13.72|11.1|11.3|11.15|11.22|11.15|11.22|11.17|11.19|28.58|5.01|402938|191061725 64670|OPRT|OPRT|68376D104|US68376D1046|Oportun Financial Corp|COM USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN6-8|TXN11-7|TXN6-4|TXN6-8|34230000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302010|30201020|Financials|Financial Services |Finance and Credit Services|Consumer Lending|N||N||||||Y|0|Y||||||2.7|2.695|0.0|2.66|2.71|2.695|2.705|2.695|0.0|0.0|2.7|2.68|2.7|2.69|2.71|2.7|2.69|2.695|2.71|2.7|2.67|2.71|2.04|3.27|2.64|2.75|2.67|3.27|2.67|2.72|2.69|2.71|8.06|2.1305|563417|72443385 61163|OPRX|OPRX|68401U204|US68401U2042|OptimizeRX Corp|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN6-7|TXN12-1|TXN5-8|TXN5-1|18150000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201010|20101025|Health Care |Health Care |Health Care Providers|Health Care Services|N||N||||||Y|0|Y||||||10.02|9.965|0.0|10.03|9.98|9.965|9.99|9.985|0.0|0.0|9.97|10.03|9.98|10.01|9.99|10.0|9.99|9.98|0.0|9.98|9.87|10.08|7.68|12.32|9.87|10.07|9.94|10.04|9.95|10.03|9.97|9.98|20.13|6.92|140022|41110000 39208|OPT|OPT|68386J208|US68386J2087|Opthea Ltd|SPONSORED ADR||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN6-8|TXN11-8|TXN5-6|TXN5-6|662810000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||AUS||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y|D|||||0.0|0.0|0.0|0.0|0.0|0.0|2.59|2.59|0.0|0.0|2.51|0.0|2.54|0.0|0.0|0.0|0.0|2.59|0.0|2.59|0.0|0.0|0.0|0.0|2.46|2.72|0.0|0.0|0.0|0.0|2.51|2.65|6.09|1.6|5893|1951985 59862|OPTN|OPTN|68404V100|US68404V1008|Optinose Inc|COM USD0.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN5-2|TXN13-8|TXN5-4|TXN6-7|112310000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103015|Health Care |Health Care |Pharmaceuticals and Biotechnology|Pharmaceuticals |N||N||||||N|0|Y||||||1.44|1.45|0.0|0.0|1.44|1.45|1.46|1.45|0.0|0.0|1.45|1.45|1.46|1.45|0.0|1.44|1.44|1.45|1.45|1.46|1.41|1.48|1.11|1.7|1.44|1.48|1.41|1.48|1.4|1.49|1.44|1.46|2.07|0.9|820577|80541382 24415|OPTT|OPTT|674870506|US6748705067|Ocean Power Technologies Inc.|Common Stock|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN10-3|TXN2-7|TXN7-8|TXN1-5|TXN3-6|60830000|||NotApplicable|||||2021-06-18||||||| | | | | | | | | |||N|0|N|N|302A|USA|US|||60|6010|601020|60102020|Energy|Energy|Alternative Energy|Renewable Energy Equipment |N||N||||||Y|0|Y||Y|2|||0.3833|0.3864|0.0|0.0|0.3833|0.3857|0.3857|0.3856|0.0|0.0|0.3856|0.3856|0.3814|0.381|0.0|0.3861|0.39|0.39|0.0|0.39|0.3701|0.398|0.385|0.39|0.38|0.3967|0.3168|0.4558|0.37|0.39|0.385|0.39|0.77|0.247|447742|44690387 73303|OPTX|OPTX|87169M105|US87169M1053|Syntec Optics Holdings Inc|CL A COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN6-8|TXN11-8|TXN6-8|TXN5-7|6110000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||5.75|5.4|0.0|0.0|5.57|5.7|5.71|5.55|0.0|0.0|5.62|5.67|5.8|0.0|0.0|5.68|5.67|5.78|0.0|5.8|4.38|7.21|4.38|7.21|5.23|6.18|4.38|7.21|0.0|0.0|5.54|5.8|10.43|3.6501|80833|15782129 73304|OPTXW|OPTXW|87169M113|US87169M1137|Syntec Optics Holdings Inc|WRRTS||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-5|TXN5-8|TXN12-5|TXN6-8|TXN6-6|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0842|0.0|0.0|0.0|0.0|0.085|0.0|0.079|0.0|0.0|0.0|0.0|0.085|0.0|0.085|0.0388|0.102|0.0388|0.102|0.04|0.102|0.0388|0.102|0.0|0.0|0.05|0.085|0.1412|0.0261|1193|1674566 27845|OPXS|OPXS|68384X209|US68384X2099|Optex Systems Holdings Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN6-3|TXN12-1|TXN6-4|TXN6-7|6760000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502010|50201020|Industrials|Industrial Goods and Services|Aerospace and Defense|Defense|N||N||||||N|0|Y||||||0.0|4.39|0.0|0.0|0.0|4.39|4.3936|4.39|0.0|0.0|0.0|0.0|4.4|0.0|0.0|0.0|0.0|4.31|0.0|4.31|0.0|0.0|0.0|0.0|4.14|4.57|0.0|0.0|0.0|0.0|4.31|4.4|4.4|2.87|8054|2637325 8356|OPY|OPY|683797104|US6837971042|Oppenheimer Holdings Inc.|Class A Non-Voting Shares|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|O|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN1-6|TXN9-8|TXN1-1|TXN2-6|10280000|||Quarterly|||||1996-08-28||||||| | | | | | | | | |||N|0|N|Y|404A|USA|US|||30|3020|302020|30202010|Financials|Financial Services |Investment Banking and Brokerage Services |Asset Managers and Custodians|N||N||||||Y|0|Y||Y|2|||40.8|40.79|0.0|40.89|40.74|40.73|40.81|40.845|0.0|0.0|40.43|40.49|40.8|40.56|39.5|40.85|40.17|40.86|40.64|40.85|40.79|40.89|30.9|49.86|40.18|41.42|40.57|41.16|40.44|40.89|40.79|40.89|49.32|32.8249|40804|15232588 53430|OR|OR|68827L101|CA68827L1013|Osisko Gold Royalties Ltd|Common Shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|6|P|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-2|TXN3-1|TXN5-7|TXN3-2|TXN4-1|185170000|||Quarterly|||||2016-07-06||||||| | | | | | | | | |||N|0|N|Y|130C|CAN|CA|||55|5510|551030|55103025|Basic Materials|Basic Resources|Precious Metals and Mining|Gold Mining|N||N||||||Y|0|Y||Y|2|||14.37|14.27|0.0|14.7|14.27|14.28|14.26|14.26|0.0|0.0|14.27|14.28|14.27|14.3|14.28|14.26|14.28|14.26|14.28|14.26|14.26|14.28|11.22|17.41|14.25|14.28|14.23|14.3|14.23|14.3|14.26|14.28|17.96|11.24|1386386|205362642 8357|ORA|ORA|686688102|US6866881021|Ormat Technologies, Inc.|Common Shares|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|I|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN2-7|TXN1-8|TXN3-5|TXN4-1|60350000|||Quarterly|||||2004-11-11||||||| | | | | | | | | |||N|0|N|Y|100A|USA|US|||65|6510|651010|65101010|Utilities|Utilities|Electricity|Alternative Electricity|N||N||||||N|0|Y||Y|2|||69.79|69.77|0.0|69.46|69.78|69.76|69.8|69.8|0.0|0.0|69.79|69.49|69.8|69.8|70.6|69.8|70.11|69.8|69.74|69.8|69.8|69.81|53.53|85.06|69.62|69.9|69.7|69.9|69.7|69.91|69.8|69.81|94.49|58.73|461688|102829333 6419|ORAN|ORAN|684060106|US6840601065|Orange|American Depositary Shares (Each representing one Ordinary Share)|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-7|TXN4-8|TXN1-8|TXN3-2|TXN1-2|2660060000|||BiAnnually|||||1997-10-20||||||| | | | | | | | | |||N|0|N|Y|306A|FRA|FR|||15|1510|151020|15102015|Telecommunications|Telecommunications|Telecommunications Service Providers |Telecommunications Services|N||N||||||N|0|Y||Y|2|||12.02|12.025|0.0|11.95|12.02|12.025|12.03|12.025|0.0|0.0|12.02|12.02|12.025|0.0|12.0|12.01|11.119519|12.025|12.03|12.01|12.02|12.03|9.25|14.63|11.99|12.06|11.99|12.06|11.99|12.06|12.02|12.03|13.08|9.62|402789|92352181 38554|ORC|ORC|68571X301|US68571X3017|Orchid Island Capital, Inc.|Common Stock, $0.01 par value per share|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN3-8|TXN2-3|TXN3-6|TXN4-5|52330000|||Monthly|||||2014-10-08||||||| | | | | | | | | |||N|0|N|Y|400A|USA|US|||30|3020|302030|30203020|Financials|Financial Services |Mortgage Real Estate Investment Trusts|Mortgage REITs: Residential|N||N||||||Y|0|Y||Y|2|||7.86|7.86|0.0|7.86|7.85|7.86|7.86|7.85|0.0|0.0|7.855|7.85|7.855|7.81|7.83|7.86|7.845|7.86|7.85|7.86|7.85|7.86|5.91|9.57|7.84|7.86|7.83|7.88|7.82|7.89|7.85|7.86|12.66|5.9|1196615|244521537 2990|ORCL|ORCL|68389X105|US68389X1054|Oracle Corporation|Common Stock, $0.01 par value|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|A|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-1|TXN2-7|TXN2-5|TXN4-8|TXN3-5|2739380000|||Quarterly|||||2013-07-15||||||| | | | | | | | | |||N|1|Y|Y|108B|USA|US|||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||Y|1|||115.77|115.76|0.0|115.79|115.77|115.77|115.75|115.77|0.0|0.0|115.78|115.82|115.78|115.85|115.76|115.78|115.91|115.79|115.77|115.78|115.78|115.79|107.51|122.06|115.78|115.82|115.74|115.85|115.76|115.88|115.78|115.79|127.54|78.06|5587538|2030386426 67442|ORGN|ORGN|68622D106|US68622D1063|Origin Materials Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-2|TXN6-5|TXN13-2|TXN6-1|TXN6-3|144280000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||55|5520|552010|55201020|Basic Materials|Chemicals|Chemicals|Specialty Chemicals|N||N||||||Y|0|Y||||||0.695|0.6944|0.0|0.6872|0.69|0.6944|0.6937|0.6943|0.0|0.0|0.6944|0.6944|0.695|0.6991|0.6932|0.6944|0.695|0.695|0.686|0.695|0.6758|0.7126|0.55|0.828|0.69|0.7075|0.6655|0.7219|0.6666|0.6966|0.6938|0.695|6.26|0.678|2960335|393013617 67443|ORGNW|ORGNW|68622D114|US68622D1147|Origin Materials Inc|WT EXP 062426||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-6|TXN6-5|TXN11-7|TXN5-5|TXN5-6|139700000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0425|0.037|0.0|0.0|0.0|0.0424|0.0424|0.0331|0.0|0.0|0.0|0.0|0.0331|0.0|0.0331|0.0284|0.0414|0.0265|0.0435|0.0309|0.0387|0.0265|0.0435|0.0|0.0|0.0331|0.0363|1.3|0.03|124964|17870329 54590|ORGO|ORGO|68621F102|US68621F1021|Organogenesis Holdings Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN5-2|TXN12-1|TXN5-7|TXN6-1|132040000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201020|20102015|Health Care |Health Care |Medical Equipment and Services|Medical Supplies|N||N||||||Y|0|Y||||||2.74|2.74|0.0|0.0|2.74|2.735|2.735|2.735|0.0|0.0|2.74|2.73|2.74|0.0|2.73|2.735|2.735|2.735|2.73|2.74|2.73|2.77|2.7|2.77|2.73|2.77|2.7|2.77|2.72|2.78|2.73|2.74|4.5|1.795|453949|241028027 60763|ORGS|ORGS|68619K204|US68619K2042|Orgenesis Inc|COM USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-2|TXN6-1|TXN14-4|TXN5-8|TXN5-4|31880000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||0.499|0.4934|0.0|0.0|0.4903|0.4875|0.4997|0.476|0.0|0.0|0.4752|0.0|0.4753|0.4903|0.0|0.4738|0.0|0.4997|0.4999|0.4997|0.441|0.5286|0.376|0.5828|0.4561|0.52|0.376|0.5828|0.0|0.0|0.4753|0.4997|2.64|0.3841|83150|15822047 8363|ORI|ORI|680223104|US6802231042|Old Republic International Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-4|TXN2-3|TXN5-8|TXN2-4|TXN3-8|280380000|||Quarterly|||||1990-09-19||||||| | | | | | | | | |||N|0|Y|Y|410A|USA|US|||30|3030|303020|30302025|Financials|Insurance|Non-life Insurance|Property and Casualty Insurance|N||N||||||Y|0|Y||Y|1|||29.59|29.6|0.0|29.52|29.58|29.595|29.6|29.6|0.0|0.0|29.59|29.59|29.59|29.6|29.6|29.6|29.6|29.6|29.59|29.6|29.59|29.6|27.61|31.46|29.57|29.62|29.57|29.62|29.56|29.63|29.59|29.6|29.89|23.3|1021663|360995271 66204|ORIC|ORIC|68622P109|US68622P1093|ORIC Pharmaceuticals Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN5-4|TXN11-5|TXN5-8|TXN6-8|54550000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||8.44|8.45|0.0|8.39|8.44|8.44|8.45|8.45|0.0|0.0|8.45|8.44|8.45|8.45|8.39|8.45|8.45|8.45|0.0|8.45|8.36|8.53|6.41|10.3|8.37|8.51|8.42|8.48|8.42|8.48|8.45|8.46|9.788|2.91|342500|78785991 68575|ORLA|ORLA|68634K106|CA68634K1066|Orla Mining Ltd.|Common Shares|Operating company|A|N|Y|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN2-5|TXN3-6|TXN2-3|TXN3-1|314430000|||NotApplicable|||||2020-12-22||||||| | | | | | | | | |||N|0|N|N|130C|CAN|CA|||55|5510|551020|55102000|Basic Materials|Basic Resources|Industrial Metals and Mining|General Mining|N||N||||||Y|0|Y||Y|2|||3.03|3.02|0.0|2.99|3.03|3.025|3.02|3.035|0.0|0.0|3.025|3.03|3.025|3.01|3.04|3.02|3.01|3.01|3.04|3.01|3.01|3.05|3.02|3.03|3.01|3.07|3.0|3.05|3.0|3.04|3.02|3.03|5.02|2.79|899081|82055274 2994|ORLY|ORLY|67103H107|US67103H1077|O'Reilly Automotive Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|4|0.01|0.01|5000000|1|100|TXN13-3|TXN5-7|TXN13-4|TXN6-2|TXN5-5|59160000|||NotApplicable|||||||||||| | | | | | | | | |||N|5|Y|N||USA||||40|4040|404010|40401030|Consumer Discretionary|Retail |Retailers |Specialty Retailers |N||N||||||Y|0|Y||||||983.01|983.37|0.0|982.96|983.22|984.08|983.43|983.6|0.0|0.0|981.32|980.9|983.22|983.55|983.46|983.44|983.82|983.11|983.5|983.22|977.72|988.94|912.31|1040.74|982.76|983.76|982.52|984.15|0.0|983.44|983.11|983.22|1005.96|767.27|470040|97720372 16328|ORMP|ORMP|68403P203|US68403P2039|Oramed Pharmaceuticals Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN6-1|TXN11-2|TXN6-5|TXN5-7|40340000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||2.17|2.16|0.0|0.0|2.17|2.16|2.16|2.165|0.0|0.0|2.16|2.17|2.14|2.15|2.16|2.15|2.19|2.17|0.0|2.14|2.1|2.22|1.69|2.68|2.14|2.17|2.12|2.2|2.11|2.2|2.14|2.17|13.73|1.67|142288|190435264 30925|ORN|ORN|68628V308|US68628V3087|Orion Group Holdings, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN1-5|TXN1-5|TXN4-4|TXN1-2|32490000|||NotApplicable|||||2009-05-14||||||| | | | | | | | | |||N|0|N|Y|126E|USA|US|||50|5010|501010|50101010|Industrials|Construction and Materials|Construction and Materials |Construction|N||N||||||Y|0|Y||Y|2|||4.73|4.63|0.0|0.0|4.68|4.625|4.68|4.64|0.0|0.0|4.61|4.7|4.65|4.81|4.69|4.68|4.69|4.68|4.66|4.68|4.64|4.68|3.58|5.69|4.59|4.71|4.6|4.71|4.6|4.71|4.64|4.68|6.07|2.2|81351|26155027 13824|ORRF|ORRF|687380105|US6873801053|Orrstown Financial Services Inc|COM USD1.25||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN5-4|TXN10-8|TXN5-5|TXN5-6|10610000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||||||0.0|0.0|0.0|0.0|0.0|24.74|24.69|24.695|0.0|0.0|0.0|0.0|24.79|0.0|0.0|0.0|0.0|24.69|0.0|24.79|23.87|25.59|0.0|0.0|23.95|25.29|0.0|0.0|0.0|0.0|24.51|24.79|28.4175|15.52|9811|4063101 62185|ORTX|ORTX|68570P200|US68570P2002|Orchard Therapeutics plc|ADR||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN5-6|TXN14-8|TXN5-3|TXN5-4|181910000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||GBR||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||16.23|16.22|0.0|0.0|0.0|16.22|16.22|16.2|0.0|0.0|16.21|0.0|16.22|16.22|0.0|16.22|0.0|16.22|0.0|16.22|15.31|17.01|12.5|19.84|15.13|17.28|12.9|19.84|0.0|0.0|16.22|16.23|16.3|0.3601|67076|78108539 71238|OSA|OSA|50535E108|US50535E1082|ProSomnus Inc|COM USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-1|TXN5-4|TXN12-4|TXN6-7|TXN5-3|16400000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||N|0|Y|C|||||0.6484|0.6298|0.0|0.6423|0.6484|0.6487|0.6668|0.6649|0.0|0.0|0.6434|0.5427|0.65|0.642|0.0|0.6308|0.0|0.6668|0.63|0.6668|0.52|0.8128|0.52|0.8128|0.6068|0.7208|0.6166|0.703|0.6169|0.7129|0.65|0.6748|9.41|0.34505|165225|9791381 71239|OSAAW|OSAAW|50535E116|US50535E1165|ProSomnus Inc|WT EXP 120627||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-6|TXN5-3|TXN10-6|TXN6-3|TXN5-7|16290000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.02|0.0795|0.0|0.0|0.0|0.0|0.035|0.0795|0.9|0.0125|0|1808329 2997|OSBC|OSBC|680277100|US6802771005|Old Second Bancorp Inc|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN6-7|TXN12-6|TXN6-2|TXN5-4|44700000|||NotApplicable|||||||||||| | | | | | 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Insurance|N||N||||||Y|0|Y|D|Y|2|||8.3|8.295|0.0|8.38|8.29|8.295|8.295|8.29|0.0|0.0|8.3|8.3|8.295|8.29|8.28|8.3|8.295|8.295|8.29|8.3|8.29|8.3|6.53|10.14|8.28|8.31|8.26|8.32|8.25|8.33|8.29|8.3|9.89|2.05|2063910|528546425 61259|OSCV|OSCV|26922A446|US26922A4461|Opus Small Cap Value Plus ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-8|TXN4-4|TXN5-4|TXN3-5|TXN2-7|6650000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|32.37|0.0|0.0|32.21|0.0|32.4184|32.19|0.0|0.0|32.21|0.0|32.315|32.15|0.0|31.49|0.0|32.37|0.0|32.37|24.63|39.27|24.63|39.27|32.28|32.46|24.63|39.27|0.0|0.0|32.28|32.46|33.54|28.901|9376|7338702 74560|OSEA|OSEA|41151J885|US41151J8852|Harbor ETF Trust|Harbor International Compounders ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Harbor Capital Advisors, Inc.|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-3|TXN3-5|TXN8-8|TXN1-3|TXN4-6|1125000|||Yearly|||||2022-09-08||OSEA.NV|OSEA.SO|OSEA.EU|OSEA.TC| | | | | | | | | | |1x|The Fund seeks long-term growth of capital. The Fund invests primarily in equity securities of non-U.S. companies, including those located in emergingmarket countries.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|24.754|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|24.8145|0.0|24.8145|22.95|26.44|0.0|0.0|24.79|24.86|22.95|26.44|0.0|0.0|24.79|24.86|26.25|21.5238|5034|1123195 52078|OSG|OSG|69036R863|US69036R8631|Overseas Shipholding Group, Inc.|Class A common stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|A|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-7|TXN3-1|TXN9-8|TXN1-1|TXN1-7|72370000|||Adhoc|||||2016-06-28||||||| | | | | | | | | |||N|0|N|Y|208A|USA|US|||50|5020|502060|50206030|Industrials|Industrial Goods and Services|Industrial Transportation|Marine Transportation|N||N||||||N|0|Y||Y|2|||4.79|4.79|0.0|0.0|4.78|4.78|4.785|4.78|0.0|0.0|4.78|4.78|4.785|4.78|4.88|4.78|4.82|4.78|4.79|4.78|4.78|4.79|4.76|4.81|4.76|4.8|4.76|4.81|4.75|4.8|4.78|4.79|5.36|2.65|406169|101165757 71067|OSI|OSI|68829A103|US68829A1034|Osiris Acquisition Corp.|Class A Common Stock|Special purpose acquisition company|A|N|N|N|Y|Y|Y|Y|Y|5|C|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN4-3|TXN3-8|TXN4-3|TXN4-3|3100000|||NotApplicable|||||2021-07-06||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|10.4|0.0|0.0|10.4|10.4|10.4|10.33|0.0|0.0|0.0|0.0|10.4|0.0|0.0|10.4|0.0|10.4|0.0|10.4|10.4|10.94|0.0|0.0|9.71|11.05|0.0|0.0|0.0|0.0|10.4|10.42|12.12|9.63|12350|1153824 71068|OSI WS|OSI.WS|68829A111|US68829A1117|Osiris Acquisition Corp.|Warrants, each exercisable for one share of Class A common stock at an exercise price of $11.50 per share|Special purpose acquisition company|C|N|N|N|Y|Y|Y|Y|Y|5|C|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN4-8|TXN3-4|TXN9-8|TXN4-3|TXN1-3|0|||NotApplicable|||||2021-07-06||||||| | | | | | | | | 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USD5||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN6-6|TXN11-4|TXN5-3|TXN6-7|41710000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502030|50203000|Industrials|Industrial Goods and Services|General Industrials|Diversified Industrials|N||N||||||Y|0|Y||||||77.17|77.19|0.0|77.06|76.94|76.77|77.21|77.185|0.0|0.0|77.19|77.09|77.2|76.81|0.0|77.13|76.63|77.17|76.94|77.2|76.39|77.91|58.31|94.75|76.83|77.8|77.02|77.31|76.94|77.39|77.14|77.21|92.74|56.56|218225|59716612 44231|OUNZ|OUNZ|921078101|US9210781012|VanEck Merk Gold Trust|VanEck Merk Gold Trust|Trust|ETV|N|N|P|Y|Y|Y|Y|Y||||||||Merk Investments |Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-3|TXN4-7|TXN3-8|TXN1-4|TXN2-4|38820550|||NotApplicable|||||2014-05-16||OUNZ.NV|OUNZ.SO| | |OUNZ.IV| | | | | | | | | |1x|Merk Gold Trust is a grantor trust investing in gold. 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Vehicles|N||N||||||Y|0|Y||||||37.17|37.22|0.0|0.0|37.23|37.14|37.225|36.04|0.0|0.0|37.02|0.0|37.16|37.16|37.17|37.16|0.0|37.22|0.0|37.22|37.2|37.28|37.14|37.28|37.2|37.23|37.15|37.29|37.14|37.29|37.2|37.29|37.7999|33.2299|48644|12724541 67830|OUST|OUST|68989M202|US68989M2026|Ouster, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|M|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-5|TXN2-2|TXN5-4|TXN2-1|TXN3-8|40690000|||NotApplicable|||||2020-10-09||||||| | | | | | | | | |||N|0|N|Y|408A|USA|KY|||10|1010|101020|10102015|Technology|Technology|Technology Hardware and Equipment|Electronic Components|N||N||||||Y|0|Y||Y|2|||6.02|6.03|0.0|5.96|6.02|6.03|6.03|6.03|0.0|0.0|6.02|5.99|6.03|6.02|5.95|6.03|5.98|6.03|6.02|6.03|6.01|6.03|4.59|7.25|5.97|6.07|5.99|6.03|5.98|6.07|6.01|6.03|7.64|0.3752|1314432|461696296 67831|OUST WS|OUST.WS|68989M111|US68989M1119|Ouster, Inc.|Warrants, every 10 warrants are exercisable for one share of Common Stock at an exercise price of $115 per share of common stock|Operating company|C|N|N|N|Y|Y|Y|Y|Y|6|M|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN2-8|TXN1-8|TXN2-8|TXN4-8|TXN2-3|40630000|||NotApplicable|||||2020-10-09|9999-12-02|||||| | | | | | | | | |||N|0|N|N|408A|USA|KY|||||||||||N||N||||||N|0|Y|D|N||||0.0|0.0|0.0|0.0|0.0|0.103|0.1|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.1|0.0|0.1|0.0|0.1|0.1|0.102|0.0|0.0|0.0934|0.1087|0.0|0.0|0.0|0.0|0.1|0.102|0.2395|0.0287|23422|5775979 75263|OUST WSA|OUST.WS.A|68989M129|US68989M1291|Ouster, Inc.|Warrants, every 10 warrants are exercisable for 0.6153 shares of Common Stock at an exercise price of $140.20 per 0.6153 shares of common stock|Operating company|C|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN11-8|TXN4-7|TXN5-8|TXN4-2|TXN3-5|40630000|||NotApplicable|||||2023-02-14|9999-02-15|||||| | | | | | | | | |||N|0|N|N|408A|USA|KY|||||||||||N||N||||||N|0|Y||N||||0.0|0.0|0.0|0.0|0.0|0.044|0.057|0.0|0.0|0.0|0.0569|0.044|0.0|0.0|0.0|0.0|0.057|0.057|0.0|0.057|0.0|0.0|0.044|0.057|0.025|0.057|0.0|0.0|0.0|0.0|0.044|0.057|4.94|0.0121|13630|1406839 43823|OUT|OUT|69007J106|US69007J1060|OUTFRONT Media Inc.|Common stock, par value $ 0.01per share|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|8|R|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-4|TXN2-6|TXN6-5|TXN2-2|TXN2-3|165050000|||Quarterly|||||2014-03-28||||||| | | | | | | | | |||N|0|N|Y|412A|USA|US|||35|3510|351020|35102070|Real Estate|Real Estate |Real Estate Investment Trusts|Other Specialty REITs|N||N||||||Y|0|Y||Y|2|||12.95|12.94|0.0|12.88|12.95|12.94|12.94|12.94|0.0|0.0|12.95|12.95|12.94|12.95|12.95|12.94|12.95|12.95|12.95|12.94|12.94|12.95|9.93|15.87|12.92|12.96|12.9|12.98|12.89|12.99|12.94|12.95|21.65|8.18|1568113|554286376 64713|OVB|OVB|53656F862|US53656F8620|Listed Funds Trust|Overlay Shares Core Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Liquid Strategies|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-4|TXN3-6|TXN3-8|TXN2-7|TXN3-8|2225000|||Quarterly|||||2019-10-01||OVB.NV|OVB.SO|OVB.EU|OVB.TC|OVB.IV| | | | | | | | | ||The Fund is an actively-managed exchange-traded fund (ETF) that seeks to achieve its objective by (i) investing in one or more otherETFs that seek to obtain exposure to the performance of municipal bonds or directly in the securities held by such ETFs (collectively,the Underlying Investments) and (ii) selling and purchasing listed short-term put options to generate income to the Fund (the OverlayStrategy).|N|0|N|N|412C|USA||FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||20.07|0.0|0.0|0.0|20.07|0.0|20.145|0.0|0.0|0.0|0.0|0.0|20.11|0.0|0.0|0.0|0.0|20.166|20.07|20.166|19.46|20.18|0.0|0.0|20.13|20.2|0.0|0.0|0.0|0.0|20.13|20.2|22.39|18.69|18345|2976212 3014|OVBC|OVBC|677719106|US6777191064|Ohio Valley Banc Corp.|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN5-1|TXN10-5|TXN6-6|TXN5-1|4770000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|24.0|24.1|0.0|0.0|0.0|24.0|0.0|23.9|0.0|0.0|0.0|0.0|24.0|0.0|24.0|22.48|25.46|0.0|0.0|22.72|24.24|0.0|0.0|0.0|0.0|23.67|24.24|27.99|21.6901|3939|679315 64712|OVF|OVF|53656F870|US53656F8703|Listed Funds Trust|Overlay Shares Foreign Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Liquid Strategies|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-2|TXN3-1|TXN1-5|TXN2-4|TXN3-6|675000|||Quarterly|||||2019-10-01||OVF.NV|OVF.SO|OVF.EU|OVF.TC|OVF.IV| | | | | | | | | ||The Fund is an actively-managed exchange-traded fund (ETF) that seeks to achieve its objective by (i) investing in one or more otherETFs that seek to obtain exposure to the performance of investment grade, U.S. dollar-denominated, fixed-rate taxable bonds or directlyin the securities held by such ETFs (collectively, the Underlying Investments) and (ii) selling and purchasing listed short-term putoptions to generate income to the Fund (the Overlay Strategy).|N|0|N|N|412C|USA||EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|22.37|22.41|0.0|0.0|0.0|0.0|22.3|0.0|0.0|0.0|0.0|22.3|22.3818|0.0|22.3818|0.0|0.0|22.32|22.39|22.34|22.42|17.97|26.42|0.0|0.0|22.34|22.42|23.4|19.64|5338|930533 57272|OVID|OVID|690469101|US6904691010|Ovid Therapeutics Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN6-5|TXN11-6|TXN5-8|TXN5-5|70680000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care 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is an actively-managed exchange-traded fund (ETF)that seeks to achieve its objective by (i) investing in one or more other ETFs that seeks to obtain exposure to the performance of U.S. large-cap equity securities or directly in the securities held by such ETFs collectively, the Undelying Investments), (ii) selling and purchasing listed short-term put options (put spreads) to generate income to the Fund ( the Overlay Strategy), and (iii) purchasing lon-term out-of-the-money put options (i.e. put options with a strike price below the current price of reference asset) to seek to hedge against significant declines in U.S. large-cap equities.|N|0|N|N|412C|USA||EQUITY|ACTIVE|||||||||N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|28.11|27.91|0.0|0.0|27.97|0.0|0.0|0.0|0.0|0.0|0.0|28.0983|0.0|28.0983|0.0|0.0|0.0|0.0|28.05|28.14|0.0|0.0|0.0|0.0|28.05|28.14|28.5099|24.12|7564|4258713 28652|OVLY|OVLY|671807105|US6718071052|Oak Valley Bancorp|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN6-2|TXN12-6|TXN6-3|TXN5-8|8290000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|26.2|26.38|0.0|0.0|0.0|0.0|0.0|26.38|26.49|26.38|26.35|0.0|26.38|0.0|26.38|25.26|27.19|0.0|0.0|26.28|26.38|0.0|0.0|0.0|0.0|26.28|26.38|28.685|19.5|24799|6095036 64714|OVM|OVM|53656F854|US53656F8547|Listed Funds Trust|Overlay Shares Municipal Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Liquid Strategies|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-6|TXN3-1|TXN4-8|TXN4-5|TXN3-2|625000|||Quarterly|||||2019-10-01||OVM.NV|OVM.SO|OVM.EU|OVM.TC|OVM.IV| | | | | | | | | ||The Fund is an actively-managed exchange-traded fund (ETF) that seeks to achieve its objective by (i) investing in one or more otherETFs that seek to obtain exposure to the performance of municipal bonds or directly in the securities held by such ETFs (collectively,the Underlying Investments) and (ii) selling and purchasing listed short-term put options to generate income to the Fund (the OverlayStrategy).|N|0|N|N|412C|USA||FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|21.86|0.0|0.0|0.0|21.74|21.7401|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|21.8569|0.0|21.8569|0.0|0.0|0.0|0.0|21.79|21.87|17.74|32.81|0.0|0.0|21.79|21.87|24.03|19.6|1436|700301 64711|OVS|OVS|53656F888|US53656F8885|Listed Funds Trust|Overlay Shares Small Cap Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Liquid Strategies|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-6|TXN4-4|TXN7-8|TXN4-7|TXN3-2|275000|||Quarterly|||||2019-10-01||OVS.NV|OVS.SO|OVS.EU|OVS.TC|OVS.IV| | | | | | | | | ||The Fund is an actively-managed exchange-traded fund (ETF) that seeks to achieve its objective by (i) investing in one or more otherETFs that seek exposure to the performance of non-U.S. equity securities (from both developed and emerging markets) or directly in thesecurities held by such ETFs (collectively, the Underlying Investments) and (ii) selling and purchasing listed short-term put options togenerate income to the Fund (the Overlay Strategy).|N|0|N|N|412C|USA||EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|30.31|0.0|30.35|26.84|0.0|0.0|0.0|0.0|0.0|30.31|0.0|0.0|0.0|30.3984|30.31|30.3984|0.0|0.0|0.0|0.0|30.35|30.43|0.0|0.0|0.0|0.0|30.35|30.43|33.13|25.8756|2233|270474 68790|OVT|OVT|53656F573|US53656F5733|Listed Funds Trust|Overlay Shares Short Term Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Liquid Strategies|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-3|TXN1-1|TXN5-8|TXN4-6|TXN2-8|2725000|||Quarterly|||||2021-01-15||OVT.NV|OVT.SO|OVT.EU|OVT.TC| | | | | | | | | | ||The Fund is an actively-managed exchange-traded fund (ETF) that seeks to achieve its objective by (i) investing in one or more other ETFs that seek to obtain exposure to the performance of short-term, investment grade, U.S. dollar-denomiated, fixed-rate taxable bonds woth a dollar-weighted average maturity typically between 1 and 5 years or directly in the securities held by such ETFs (collectively, the Underlying Investments) and (ii) selling and purchasing listed short-term putoptions (put spreads) to generate income to teh Fund (the Overlay Strategy).|N|0|N|N|412C|USA||EQUITY|ACTIVE|||||||||N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|21.56|0.0|0.0|0.0|21.52|0.0|0.0|0.0|0.0|0.0|21.52|21.54|0.0|21.54|0.0|0.0|0.0|0.0|21.54|21.62|0.0|0.0|0.0|0.0|21.54|21.62|21.87|20.4601|3597|2616347 5964|OVV|OVV|69047Q102|US69047Q1022|Ovintiv Inc.|Common Stock, par value $0.01|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-2|TXN3-3|TXN1-4|TXN2-7|TXN1-8|272900000|||Quarterly|||||2020-01-27||||||| | | | | | | | | |||N|0|Y|Y|134A|USA|US|||60|6010|601010|60101010|Energy|Energy|Oil, Gas and Coal|Oil: Crude Producers|N||N||||||Y|0|Y||Y|1|||43.69|43.68|0.0|43.71|43.695|43.68|43.69|43.68|0.0|0.0|43.68|43.695|43.685|43.69|43.74|43.69|43.71|43.69|43.69|43.69|43.68|43.69|40.89|46.52|43.64|43.74|43.63|43.74|43.63|43.76|43.68|43.69|56.98|32.07|3060161|790120733 68482|OWL|OWL|09581B103|US09581B1035|Blue Owl Capital Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN3-8|TXN4-3|TXN2-7|TXN4-3|455750000|||Quarterly|||||2020-12-14||||||| | | | | | | | | |||N|0|Y|Y|408A|USA|KY|||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||13.34|13.34|0.0|13.29|13.34|13.34|13.335|13.335|0.0|0.0|13.34|13.34|13.335|13.34|13.33|13.34|13.33|13.335|13.34|13.34|13.33|13.34|13.32|14.11|13.32|13.34|13.31|13.35|13.3|13.35|13.33|13.34|14.04|9.7|7525533|910122658 68078|OWLT|OWLT|69120X206|US69120X2062|Owlet, Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|C|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN4-5|TXN6-8|TXN4-8|TXN3-4|8570000|||NotApplicable|||||2020-11-05||||||| | | | | | | | | |||N|0|N|Y|408A|USA|US|||40|4020|402020|40202025|Consumer Discretionary|Consumer Products and Services|Household Goods and Home Construction|Household Equipment and Products|N||N||||||N|2|Y||Y|2|||5.06|5.37|0.0|0.0|5.06|5.22|5.07|5.09|0.0|0.0|5.19|5.06|5.06|0.0|0.0|5.11|0.0|5.05|0.0|5.11|5.05|5.18|3.89|6.35|4.96|5.28|3.89|6.35|0.0|0.0|5.05|5.18|7.0|0.18005|17174|149357675 71243|OWNS|OWNS|45259R103|US45259R1032|Impact Shares Trust I|Impact Shares Affordable Housing MBS ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Impact Shares|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-7|TXN3-1|TXN1-5|TXN2-1|TXN3-6|6900000|||Quarterly|||||2021-07-27||OWNS.NV|OWNS.SO|OWNS.EU|OWNS.TC| | | | | | | | | | |1x|The Impact Shares Affordable Housing MBS ETF (NYSE: OWNS), an exchange-traded fund that invests in agency mortgage-backed securities (MBS) backed by pools of mortgage loans made to minority families, low- and moderate-income (LMI) families, and/or families that live in persistent poverty areas. Decades of economic inequality and discriminatory homeownership policies have created a prominent racial wealth gap. The Fund seeks to invest in the dignity of homeownership for these traditionally underserved communities while tracking the risk and performance of the broader Agency MBS market.|N|0|N|N|416A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|16.77|0.0|0.0|0.0|0.0|16.7657|0.0|0.0|0.0|16.77|16.66|16.79|0.0|0.0|0.0|0.0|16.785|0.0|16.785|16.73|16.8|0.0|0.0|16.77|16.8|16.72|16.81|0.0|0.0|16.77|16.8|17.77|15.67|3601|2262772 44131|OXBR|OXBR|G6856M106|KYG6856M1069|Oxbridge Re Holdings Ltd|ORD USD0.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN5-6|TXN14-6|TXN5-3|TXN5-5|5870000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CYM||||30|3030|303020|30302020|Financials|Insurance|Non-life Insurance|Reinsurance|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|1.06|0.0|0.0|0.0|0.0|0.0|1.06|0.0|0.0|0.0|0.0|1.06|0.0|1.06|0.969|1.16|0.0|0.0|0.9841|1.14|0.84|1.29|0.0|0.0|1.02|1.09|2.87|0.96|8937|3999418 44132|OXBRW|OXBRW|G6856M114|KYG6856M1143|Oxbridge Re Holdings Ltd|WRRT||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-4|TXN6-6|TXN13-6|TXN5-4|TXN6-3|5870000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CYM||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.024|0.0588|0.0|0.0|0.024|0.0588|0.024|0.0588|0.0|0.0|0.0303|0.049|0.16|0.0201|0|917926 36400|OXLC|OXLC|691543102|US6915431026|Oxford Lane Capital Corp|COM USD0.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN6-3|TXN12-7|TXN5-2|TXN5-1|208870000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||||||5.01|5.005|0.0|5.01|5.01|5.005|5.02|5.005|0.0|0.0|5.0|5.01|5.02|5.005|4.99|5.01|5.01|5.02|5.01|5.02|4.99|5.06|3.82|6.05|4.99|5.05|4.98|5.04|5.0|5.03|5.01|5.02|6.27|4.41|1637515|326598753 69777|OXLCL|OXLCL|691543706|US6915437064|Oxford Lane Capital Corp|6.75 PFD SR 2031||U|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN5-5|TXN10-5|TXN5-4|TXN6-3|4000000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|23.34|0.0|0.0|0.0|23.37|0.0|23.36|0.0|0.0|0.0|0.0|23.34|0.0|23.34|0.0|0.0|0.0|0.0|21.8|24.92|0.0|0.0|0.0|0.0|23.34|23.37|24.47|21.9|3843|1051883 58752|OXLCM|OXLCM|691543508|US6915435084|Oxford Lane Capital Corp|PFD SER 2024||B|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN5-6|TXN12-4|TXN5-3|TXN6-3|2730000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|24.8458|0.0|0.0|0.0|0.0|0.0|24.85|0.0|0.0|0.0|24.85|24.8458|0.0|24.8458|0.0|0.0|0.0|0.0|23.16|26.5|0.0|0.0|0.0|0.0|24.81|24.85|25.195|24.27|1375|971336 74172|OXLCN|OXLCN|691543870|US6915438708|Oxford Lane Capital Corp|7.125 PFD SR 29||B|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN5-4|TXN12-3|TXN5-6|TXN5-5|2550000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|23.3|23.28|0.0|0.0|0.0|0.0|0.0|23.4|0.0|0.0|0.0|23.4|23.28|0.0|23.28|0.0|0.0|0.0|0.0|21.71|24.95|0.0|0.0|0.0|0.0|23.3|23.4|24.2999|21.85|2377|543822 71458|OXLCO|OXLCO|691543805|US6915438054|Oxford Lane Capital Corp Preferred Stock Shares 6.00 Series 2029|STRUC PROD||U|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN5-2|TXN14-1|TXN6-3|TXN6-6|2690000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|22.05|22.0|22.02|22.02|0.0|0.0|22.05|0.0|21.99|0.0|0.0|0.0|0.0|21.99|0.0|21.99|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|21.99|22.05|22.05|19.99|4866|321481 41100|OXLCP|OXLCP|691543607|US6915436074|Oxford Lane Capital Corp|6.25 PFD SR 2027||B|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN6-7|TXN11-5|TXN6-5|TXN6-8|3530000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|23.15|23.1075|0.0|0.0|0.0|0.0|0.0|23.3|0.0|0.0|0.0|23.24|23.25|0.0|23.25|0.0|0.0|0.0|0.0|21.25|24.78|0.0|0.0|0.0|0.0|22.95|23.3|23.31|21.7201|6016|1061728 73220|OXLCZ|OXLCZ|691543888|US6915438880|Oxford Lane Capital Corp. 5.00 Notes due 2027|ETN||U|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN6-5|TXN12-6|TXN5-7|TXN5-2|4000000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|22.8301|0.0|0.0|0.0|22.83|0.0|22.8|0.0|0.0|0.0|22.8|22.8301|0.0|22.8301|0.0|0.0|0.0|0.0|21.2|24.35|0.0|0.0|0.0|0.0|22.8|22.81|23.38|21.73|4415|1141602 8375|OXM|OXM|691497309|US6914973093|Oxford Industries, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|C|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN3-5|TXN4-8|TXN2-4|TXN1-4|15620000|||Quarterly|||||1964-03-20||||||| | | | | | | | | |||N|0|N|Y|148B|USA|US|||40|4020|402040|40204020|Consumer Discretionary|Consumer Products and Services|Personal Goods|Clothing and Accessories|N||N||||||Y|0|Y||Y|2|||92.26|92.25|0.0|92.4|92.05|92.27|92.41|92.315|0.0|0.0|92.35|92.245|92.43|93.01|93.49|92.41|91.67|92.41|90.37|92.41|92.27|92.41|71.8|112.79|91.98|92.59|92.08|92.58|92.27|92.63|92.27|92.41|123.37|82.33|225492|41252780 4007|OXSQ|OXSQ|69181V107|US69181V1070|Oxford Square Capital Corp|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN6-7|TXN11-6|TXN5-8|TXN5-8|58130000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||Y|0|Y||||||2.96|0.0|0.0|0.0|2.95|2.97|2.96|2.97|0.0|0.0|2.96|2.97|2.98|0.0|2.93|2.93|2.96|2.96|0.0|2.98|2.78|3.1|2.28|3.61|2.96|3.02|2.93|3.0|2.93|3.0|2.96|2.97|3.7|2.6|171075|54573767 70706|OXSQG|OXSQG|69181V503||Oxford Square Capital Corp. 5.50% Notes due 2028|||U|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN6-4|TXN12-8|TXN6-5|TXN6-6|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||50|5020|502040|50204000|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Industrial|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|22.2|0.0|0.0|0.0|22.2|22.2|0.0|22.2|0.0|0.0|0.0|0.0|20.38|23.67|0.0|0.0|0.0|0.0|21.75|22.2|22.63|20.7|1901|187050 57112|OXSQL|OXSQL|69181V206|US69181V2060|Oxford Square Capital Corp 6.50 Notes due 2024|STRUCT PRODUCT||U|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN6-3|TXN10-2|TXN6-7|TXN6-7|300000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|25.25|25.36|25.3|24.1575|0|601492 63383|OXSQZ|OXSQZ|69181V305|US69181V3050|Oxford Square Capital Corp NT|ETN||U|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN5-1|TXN10-4|TXN5-5|TXN6-7|1790000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|23.69|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|23.69|0.0|23.69|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|23.75|24.1|24.3899|22.62|500|429554 71955|OXUS|OXUS|G6859L105|KYG6859L1059|Oxus Acquisition Corp|ORD SHS CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN5-7|TXN12-6|TXN5-2|TXN6-1|3750000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||KAZ||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|11.16|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.49|11.98|11.23|0.0|0.0|0.0|11.23|11.25|11.25|9.51|70|3971559 71544|OXUSU|OXUSU|G6859L113|KYG6859L1133|Oxus Acquisition Corp|UNITS||R|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN6-6|TXN14-6|TXN5-6|TXN5-5|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||KAZ||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|11.31|0.0|0.0|0.0|0.0|11.6|11.6|11.6|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|11.19|12.77|11.6|9.7003|201|163693 71956|OXUSW|OXUSW|G6859L121|KYG6859L1216|Oxus Acquisition Corp|WRTTS||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-2|TXN5-7|TXN12-8|TXN6-1|TXN6-8|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||KAZ||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.1|0.1|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.1|0.0|0.1|0.0|0.0|0.0|0.0|0.0|1.0|0.0|0.0|0.0|0.0|0.0445|0.1|0.1999|0.0057|200|7393221 8376|OXY|OXY|674599105|US6745991058|Occidental Petroleum Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|A|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-3|TXN2-7|TXN5-6|TXN1-8|TXN4-7|880370000|||Quarterly|||||1964-03-03||||||| | | | | | | | | |||N|5|Y|Y|134A|USA|US|||60|6010|601010|60101010|Energy|Energy|Oil, Gas and Coal|Oil: Crude Producers|N||N||||||Y|0|Y||Y|1|||57.85|57.855|0.0|57.91|57.855|57.855|57.86|57.85|0.0|0.0|57.86|57.87|57.855|57.89|57.915|57.86|57.89|57.86|57.855|57.86|57.86|57.87|54.72|62.0|57.85|57.88|57.82|57.89|57.81|57.9|57.86|57.87|70.25|55.51|11467604|2520686636 67088|OXY WS|OXY.WS|674599162|US6745991629|Occidental Petroleum Corporation|Warrants to Purchase Common Stock|Operating company|C|N|N|N|Y|Y|Y|Y|Y|6|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-3|TXN3-1|TXN3-8|TXN4-5|TXN1-4|877700000|||NotApplicable|||||2020-07-30|2027-08-03|||||| | | | | | | | | |||N|0|N|N|134A|USA|US|||||||||||N||N||||||N|0|Y||N||||35.96|35.89|0.0|0.0|36.13|35.89|35.9005|38.49|0.0|0.0|35.89|0.0|35.92|35.94|0.0|35.8|0.0|35.92|0.0|35.8|35.84|35.89|28.14|44.54|35.84|38.46|28.14|44.54|0.0|0.0|35.84|35.89|48.25|34.09|243115|34594225 72059|OZ|OZ|080694102|US0806941029|Belpointe PREP, LLC|Class A Units|Operating company|R|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-1|TXN3-6|TXN7-8|TXN3-4|TXN4-3|3580000|||NotApplicable|||||2021-10-18||||||| | | | | | | | | |||N|0|N|N|414A|USA|US|||35|3510|351010|35101010|Real Estate|Real Estate |Real Estate Investment and Services Development|Real Estate Holding and Development |N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|68.1|67.515|67.53|0.0|0.0|0.0|68.25|67.5|0.0|0.0|0.0|67.05|67.05|0.0|67.05|0.0|0.0|67.0|67.4|62.55|71.88|0.0|0.0|0.0|0.0|67.0|67.4|100.95|62.85|5508|1562644 3023|OZK|OZK|06417N103|US06417N1037|Bank OZK|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN6-2|TXN13-3|TXN6-4|TXN5-5|115080000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||||||45.38|45.36|0.0|44.44|45.36|45.38|45.39|45.36|0.0|0.0|45.39|45.42|45.35|45.4|45.34|45.37|45.37|45.35|45.28|45.35|45.27|45.47|42.47|48.02|45.27|45.39|45.29|45.45|45.34|45.44|45.35|45.38|49.52|30.72|1471887|325267285 72257|OZKAP|OZKAP|06417N202|US06417N2027|Bank OZK|4.625% PER PFD A||B|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN6-7|TXN13-4|TXN6-2|TXN6-4|14000000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||15.42|15.475|0.0|0.0|15.51|15.4|15.5466|15.36|0.0|0.0|15.4|15.4|15.4|15.36|0.0|15.29|15.33|15.4|0.0|15.4|15.26|0.0|0.0|0.0|15.09|15.87|0.0|0.0|0.0|0.0|15.4|15.56|19.12|12.765|58276|9462624 8380|PAA|PAA|726503105|US7265031051|Plains All American Pipeline LP|LP UNTS NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN5-8|TXN13-7|TXN6-5|TXN5-8|700990000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||60|6010|601010|60101035|Energy|Energy|Oil, Gas and Coal|Pipelines|N||N||||||Y|0|Y||||||15.795|15.79|0.0|15.81|15.79|15.79|15.785|15.795|0.0|0.0|15.79|15.79|15.8|15.79|15.77|15.785|15.775|15.8|15.79|15.8|15.79|15.92|12.31|19.47|15.79|15.92|15.76|15.83|15.76|15.83|15.8|15.81|16.045|11.16|2762405|890071853 76047|PAAA|PAAA|69344A834|US69344A8348|PGIM ETF Trust|PGIM AAA CLO ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||PGIM Investments|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-8|TXN2-8|TXN4-8|TXN1-5|TXN4-7|3150000|||Monthly|||||2023-07-26||PAAA.NV|PAAA.SO|PAAA.EU|PAAA.TC| | | | | | | | | | ||The PGIM AAA CLO ETF is an exchange-traded fund incorporated in the USA. The Fund seeks to maximize total return through a combination fo current income and capital appreciation.|N|0|N|N|416A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||50.42|50.4|0.0|0.0|50.42|50.395|50.425|0.0|0.0|0.0|0.0|0.0|0.0|50.42|0.0|0.0|0.0|50.425|0.0|50.425|0.0|0.0|0.0|0.0|50.41|50.44|0.0|0.0|0.0|0.0|50.41|50.44|50.73|49.9705|2934|1712112 3025|PAAS|PAAS|697900108|CA6979001089|Pan American Silver Corp.|Common Shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|6|O|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-3|TXN3-4|TXN5-5|TXN4-2|TXN1-8|364440000|||Quarterly|||||2023-04-18||||||| | | | | | | | | |||N|0|N|Y|130C|CAN|CA|||55|5510|551030|55103030|Basic Materials|Basic Resources|Precious Metals and Mining|Platinum and Precious Metals|N||N||||||Y|0|Y||Y|2|||15.915|15.91|0.0|15.93|15.91|15.91|15.91|15.915|0.0|0.0|15.91|15.91|15.9|15.95|15.97|15.91|15.945|15.9|15.945|15.91|15.9|15.92|12.26|19.41|15.89|15.92|15.89|15.95|15.89|15.95|15.9|15.92|19.845|13.13|3928876|888051104 70224|PAB|PAB|69344A701|US69344A7019|PGIM ETF Trust|PGIM Active Aggregate Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||PGIM Investments|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-6|TXN3-6|TXN3-8|TXN4-2|TXN4-7|1075000|||Monthly|||||2021-04-15||PAB.NV|PAB.SO|PAB.EU|PAB.TC| | | | | | | | | | |1x|PAB is a diversified, actively managed ETF that seeks total return, through a combination of current income and capital appreciation.|N|0|N|N|416A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|41.07|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|41.1632|0.0|41.1632|0.0|0.0|0.0|0.0|41.13|41.2|0.0|0.0|0.0|0.0|41.13|41.24|43.19|39.1153|9638|130133 73450|PABU|PABU|46436E411|US46436E4118|iShares Paris-Aligned Climate MSCI USA ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN6-8|TXN12-1|TXN6-2|TXN5-7|29700000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|50.39|0.0|0.0|0.0|50.42|50.42|0.0|0.0|0.0|0.0|0.0|50.4059|0.0|0.0|0.0|0.0|50.41|0.0|50.4059|50.3|50.52|0.0|0.0|50.38|50.41|0.0|0.0|0.0|0.0|50.38|50.41|50.8799|40.3988|3194|8140644 16145|PAC|PAC|400506101|US4005061019|Grupo Aeroportuario del Pacifico S.A.B de C.V.|American Depositary Shares (Each representing 10 Series B Shares)|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN3-6|TXN5-8|TXN2-8|TXN4-6|435460000|||BiAnnually|||||2006-02-24||||||| | | | | | | | | |||N|0|N|Y|200A|MEX|MX|||50|5020|502060|50206060|Industrials|Industrial Goods and Services|Industrial Transportation|Transportation Services|N||N||||||N|0|Y||Y|2|||150.52|149.74|0.0|150.11|150.51|150.7|150.0767|149.72|0.0|0.0|148.06|151.57|149.6|150.5|146.19|149.59|151.42|149.6|152.12|149.59|149.59|149.94|116.59|187.33|148.5|150.99|148.99|150.65|149.11|149.9|149.59|149.94|200.85|107.25|39054|16063909 35921|PACB|PACB|69404D108|US69404D1081|Pacific Biosciences of California Inc|COM USD.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN5-7|TXN12-8|TXN6-7|TXN5-7|267440000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||8.93|8.925|0.0|8.78|8.93|8.93|8.925|8.93|0.0|0.0|8.93|8.93|8.92|8.93|8.93|8.925|8.91|8.925|8.93|8.92|8.92|8.94|7.04|11.01|8.92|8.94|8.89|8.96|8.92|8.96|8.92|8.93|14.55|5.74|3915936|954948382 60722|PACK|PACK|75321W103|US75321W1036|Ranpak Holdings Corp.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN1-2|TXN2-8|TXN3-2|TXN3-7|79680000|||NotApplicable|||||2018-02-26||||||| | | | | | | | | |||N|0|N|Y|408A|USA|US|||50|5020|502030|50203030|Industrials|Industrial Goods and Services|General Industrials|Containers and Packaging|N||N||||||Y|0|Y||Y|2|||4.45|4.42|0.0|4.1|4.43|4.44|4.42|4.425|0.0|0.0|4.43|4.43|4.43|4.5|4.5|4.42|4.5|4.42|4.45|4.42|4.42|4.44|3.5|5.53|4.4|4.47|4.39|4.46|4.41|4.47|4.42|4.44|8.24|2.63|315035|104213807 9713|PAG|PAG|70959W103|US70959W1036|Penske Automotive Group, Inc.|Voting Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN1-4|TXN5-8|TXN1-3|TXN3-5|67210000|||Quarterly|||||1996-10-23||||||| | | | | | | | | |||N|0|Y|Y|146G|USA|US|||40|4040|404010|40401030|Consumer Discretionary|Retail |Retailers |Specialty Retailers |N||N||||||Y|0|Y||Y|1|||154.37|154.44|0.0|154.22|154.35|154.43|154.475|154.42|0.0|0.0|154.01|154.46|154.45|154.3|150.65|154.49|153.83|154.51|148.68|154.49|154.51|154.52|145.05|164.64|153.14|155.64|145.12|154.75|154.47|154.74|154.51|154.52|180.84|105.97|197377|77333365 42884|PAGP|PAGP|72651A207|US72651A2078|Plains GP Holdings LP|CL A LP NPV||U|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN5-6|TXN12-6|TXN6-2|TXN6-2|196420000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||60|6010|601010|60101035|Energy|Energy|Oil, Gas and Coal|Pipelines|N||N||||||Y|0|Y||||||16.17|16.18|0.0|16.13|16.18|16.18|16.175|16.18|0.0|0.0|16.18|16.18|16.18|16.18|16.15|16.18|16.15|16.18|16.17|16.18|16.17|16.19|12.65|20.01|16.17|16.18|16.14|16.21|16.14|16.21|16.17|16.18|16.7|11.79|1156132|596623598 60544|PAGS|PAGS|G68707101|KYG687071012|PagSeguro Digital Ltd.|Class A Common Shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-2|TXN4-7|TXN7-4|TXN2-1|TXN4-8|209150000|||NotApplicable|||||2018-01-24||||||| | | | | | | | | |||N|0|N|Y|180B|BRA|KY|||50|5020|502050|50205015|Industrials|Industrial Goods and Services|Industrial Support Services|Transaction Processing Services|N||N||||||Y|0|Y||Y|2|||10.78|10.77|0.0|10.79|10.77|10.765|10.77|10.77|0.0|0.0|10.78|10.77|10.77|10.78|10.78|10.77|10.78|10.775|10.76|10.77|10.77|10.78|8.25|13.16|10.76|10.78|10.74|10.81|10.73|10.82|10.77|10.78|13.185|6.93|3147127|977134612 43926|PAHC|PAHC|71742Q106|US71742Q1067|Phibro Animal Health Corp|CL A COM USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN6-8|TXN11-6|TXN5-6|TXN6-5|20340000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103015|Health Care |Health Care |Pharmaceuticals and Biotechnology|Pharmaceuticals |N||N||||||N|0|Y||||||11.2|11.2|0.0|11.24|11.24|11.2|11.24|11.23|0.0|0.0|11.22|11.19|11.24|11.21|11.16|11.19|11.21|11.24|11.18|11.24|11.2|11.32|8.62|13.79|11.11|11.3|11.18|11.26|11.17|11.27|11.2|11.24|16.52|9.4|576432|26717052 8382|PAI|PAI|95766T100|US95766T1007|Western Asset Investment Grade Income Fund Inc.|Common Stock|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN3-7|TXN8-8|TXN2-4|TXN2-7|9510000|||Monthly|||||1973-07-18||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|11.81|11.81|11.8|11.68|0.0|0.0|0.0|0.0|0.0|0.0|0.0|11.8|0.0|11.8|0.0|11.8|11.76|11.8|9.0|14.5|10.9|12.61|9.0|14.5|0.0|0.0|11.76|11.8|12.7499|10.59|4687|3638326 49693|PAK|PAK|37954Y335|US37954Y3356|Global X Funds|Global X MSCI Pakistan ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Global X|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-1|TXN3-2|TXN8-8|TXN3-3|TXN2-2|1992293|||BiAnnually|||||2015-04-23||PAK.NV|PAK.SO|PAK.EU|PAK.TC|PAK.IV| | | | | | | | | |1x|The MSCI All Pakistan Select 25/50 Index is designed to represent the performance of the broad Pakistan equityuniverse, while including a minimum number of constituents. |N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|17.72|17.7|17.59|0.0|0.0|0.0|0.0|17.76|0.0|0.0|0.0|0.0|17.73|0.0|17.73|13.71|21.31|0.0|0.0|17.66|17.75|13.71|21.31|0.0|0.0|17.66|17.75|17.795|12.0|20608|3949567 66832|PALC|PALC|69374H816|US69374H8161|Pacer Funds Trust|Pacer Lunt Large Cap Multi-Factor Alternator ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Pacer Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-2|TXN2-4|TXN4-8|TXN4-4|TXN1-8|6900000|||Quarterly|||||2020-06-25||PALC.NV|PALC.SO|PALC.EU|PALC.TC|PALC.IV| | | | | | | | | |1x|-|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||38.61|38.91|0.0|0.0|38.92|38.85|38.8103|38.94|0.0|0.0|38.85|0.0|38.86|39.04|0.0|0.0|0.0|38.88|0.0|38.88|38.52|39.31|38.84|39.0|38.88|38.93|38.81|39.0|38.8|39.0|38.88|38.93|39.92|31.69|10322|10746705 18827|PALI|PALI|696389204|US6963892046|Palisade Bio Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-8|TXN5-5|TXN13-5|TXN6-7|TXN5-2|9220000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||0.665|0.67|0.0|0.0|0.665|0.67|0.679|0.6775|0.0|0.0|0.665|0.6694|0.6617|0.0|0.0|0.67|0.0|0.6617|0.607|0.6617|0.6317|0.7035|0.5456|0.828|0.6317|0.7035|0.5456|0.7332|0.6385|0.7055|0.6606|0.679|8.54|0.5|519771|345883335 32107|PALL|PALL|003262102|US0032621023|abrdn Palladium ETF Trust|abrdn Physical Palladium Shares ETF|Trust|ETV|N|N|P|Y|Y|Y|Y|Y||||||||Aberdeen Standard Investments|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-1|TXN1-5|TXN2-7|TXN2-4|TXN2-3|2050000|||NotApplicable|||||2010-01-08||PALL.NV|PALL.SO| | |PALL.IV| | | | | | | | | |1x|Aberdeen Standard Palladium ETF Trust (PALL) seeks to reflect the performance of the price of physical palladium, less the Trusts expenses. The Shares are intended to offer investors an opportunity to participate in the palladium market through an investment in securities. The logistics of storing and insuring palladium are dealt with by the Custodian and the related expenses are built into the price of the Shares. Therefore, the investor does not have any additional tasks or costs over and above those associated with dealing in any other publicly traded security.|N|0|N|N|416A|USA|US|COMMODITIES_AND_FUTURES|INDEX|||||||||N||N||||||N|0|Y||Y|1|||91.73|89.8|0.0|89.8|92.15|89.85|89.9415|90.49|0.0|0.0|92.15|90.5|90.01|98.89|0.0|99.93|0.0|89.94|93.12|89.94|85.46|94.58|89.7|90.29|89.93|90.21|89.69|90.3|89.69|90.19|89.93|90.21|185.0|88.07|50937|8330862 26542|PALT|PALT|69764K106|US69764K1060|Paltalk Inc|COM USD0.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN6-7|TXN11-7|TXN6-3|TXN5-5|9220000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||N|0|Y||||||0.0|1.85|0.0|0.0|1.9|1.89|1.89|1.9|0.0|0.0|0.0|0.0|1.9|0.0|0.0|0.0|0.0|1.89|0.0|1.89|1.48|2.22|1.48|2.22|1.82|1.97|1.48|2.22|0.0|0.0|1.89|1.91|4.6|1.28|31462|39088620 31670|PAM|PAM|697660207|US6976602077|Pampa Energía S.A.|American Depositary Shares (each representing 25 shares of Common Stock)|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN1-7|TXN7-8|TXN1-2|TXN4-8|1363520000|||NotApplicable|||||2009-10-09||||||| | | | | | | | | |||N|0|N|Y|302A|ARG|AR|||65|6510|651010|65101015|Utilities|Utilities|Electricity|Conventional Electricity|N||N||||||Y|0|Y||Y|2|||45.9|46.17|0.0|46.19|46.1|46.12|46.15|46.19|0.0|0.0|46.1|46.1|46.15|46.12|45.75|46.14|0.0|46.19|46.09|46.14|46.13|46.19|35.51|56.33|45.12|46.96|43.51|46.3|46.14|46.35|46.13|46.19|48.7899|24.87|166924|42475485 66831|PAMC|PAMC|69374H725|US69374H7254|Pacer Funds Trust|Pacer Lunt MidCap Multi-Factor Alternator ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Pacer Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-1|TXN3-5|TXN4-8|TXN2-3|TXN2-7|1050000|||Quarterly|||||2020-06-25||PAMC.NV|PAMC.SO|PAMC.EU|PAMC.TC|PAMC.IV| | | | | | | | | 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Transportation|N||N||||||Y|0|Y||||||7.15|7.14|0.0|7.15|7.16|7.15|7.16|7.155|0.0|0.0|7.15|7.15|7.16|7.15|7.17|7.155|7.19|7.15|7.16|7.16|7.07|7.24|5.51|8.8|7.1|7.21|7.11|7.17|7.1|7.17|7.15|7.16|7.4399|4.81|235797|48895915 40372|PANW|PANW|697435105|US6974351057|Palo Alto Networks Inc|COM USD.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN6-2|TXN12-1|TXN6-1|TXN5-6|315300000|||NotApplicable|||||||||||| | | | | | | | | |||N|5|Y|N||USA||||10|1010|101010|10101015|Technology|Technology|Software and Computer 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NVTG||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN6-2|TXN11-1|TXN5-6|TXN5-2|610700000|||NotApplicable|||||||||||| | | | | | | | | |||N|5|Y|N||USA||||40|4030|403010|40301035|Consumer Discretionary|Media|Media|Radio and TV Broadcasters|N||N||||||Y|0|Y||||||15.96|15.96|0.0|15.99|15.95|15.96|15.96|15.965|0.0|0.0|15.96|15.96|15.95|15.95|15.965|15.96|15.965|15.96|15.97|15.95|15.95|15.96|14.89|16.87|15.95|15.97|15.93|15.99|15.95|0.0|15.95|15.96|25.93|10.51|13153203|2966923526 15768|PARAA|PARAA|92556H107|US92556H1077|Paramount Global|CL A COM 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A||B|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN5-6|TXN13-4|TXN6-3|TXN5-3|10000000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||21.44|21.57|0.0|21.77|21.58|21.59|21.56|21.67|0.0|0.0|21.59|21.61|21.67|21.21|0.0|21.58|0.0|21.56|0.0|21.67|16.63|26.26|16.63|26.26|21.13|22.24|16.63|26.26|0.0|0.0|21.56|21.73|35.81|15.125|96464|15118482 41669|PARR|PARR|69888T207|US69888T2078|Par Pacific Holdings, Inc.|Common Stock, par value $0.01 per share|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|A|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-6|TXN4-2|TXN7-7|TXN2-5|TXN4-5|60500000|||NotApplicable|||||2018-02-20||||||| | | | | | | | | |||N|0|N|Y|304C|USA|US|||60|6010|601010|60101020|Energy|Energy|Oil, Gas and Coal|Oil Refining and Marketing|N||N||||||Y|0|Y||Y|2|||34.29|34.26|0.0|34.06|34.25|34.33|34.28|34.28|0.0|0.0|34.31|34.23|34.25|34.29|34.11|34.27|34.27|34.26|34.04|34.27|34.26|34.28|26.45|41.73|34.19|34.35|34.21|34.32|34.21|34.33|34.26|34.28|37.5|19.39|804077|209853100 65713|PASG|PASG|702712100|US7027121000|Passage Bio Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-7|TXN5-4|TXN11-7|TXN6-8|TXN6-3|54820000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||0.63|0.635|0.0|0.635|0.641|0.641|0.6349|0.6325|0.0|0.0|0.635|0.0|0.635|0.0|0.0|0.635|0.0|0.6325|0.0|0.635|0.6065|0.6658|0.5173|0.7626|0.6174|0.6477|0.6171|0.6529|0.6132|0.6614|0.63|0.635|1.92|0.5751|220449|47979742 70300|PATH|PATH|90364P105|US90364P1057|UiPath, Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-4|TXN1-2|TXN6-5|TXN4-2|TXN1-1|484290000|||NotApplicable|||||2021-04-21||||||| | | | | | | | | |||N|0|Y|Y|180B|USA|US|||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||Y|1|||25.24|25.25|0.0|24.92|25.25|25.25|25.26|25.26|0.0|0.0|25.25|25.24|25.25|25.25|25.24|25.25|25.245|25.25|25.25|25.25|25.25|25.26|23.74|26.9|25.24|25.27|25.21|25.29|25.21|25.3|25.25|25.26|25.47|10.98|28106828|1826699002 49165|PATI|PATI|70338W105|US70338W1053|Patriot Transportation Holding Inc|COM 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NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN5-1|TXN11-8|TXN6-5|TXN6-3|22130000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5010|501010|50101035|Industrials|Construction and Materials|Construction and Materials |Building Materials: Other|N||N||||||Y|0|Y||||||86.14|86.58|0.0|86.16|86.51|86.24|86.56|86.57|0.0|0.0|0.0|86.5|86.47|85.88|0.0|86.36|86.33|86.58|0.0|86.47|85.52|87.38|66.82|104.38|86.23|87.29|86.27|86.79|86.47|0.0|86.47|86.63|87.36|55.34|91163|32160761 64216|PAUG|PAUG|45782C680|US45782C6802|Innovator US Equity Power Buffer ETF - August|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-6|TXN3-2|TXN3-7|TXN3-4|TXN3-7|29450000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|32.44|0.0|0.0|32.44|32.39|32.45|32.4|0.0|0.0|32.41|32.38|32.43|32.4|32.4|32.39|32.53|32.44|0.0|32.44|30.26|34.46|30.26|34.46|32.36|32.45|32.33|32.49|32.33|32.44|32.39|32.44|32.55|27.9752|45861|42914462 56773|PAVE|PAVE|37954Y673|US37954Y6730|Global X US Infrastructure Development ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-5|TXN2-3|TXN4-6|TXN1-4|TXN4-4|163590000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||32.06|32.12|0.0|0.0|32.15|32.145|32.1401|32.155|0.0|0.0|32.14|32.14|32.13|32.15|32.14|32.15|32.15|32.12|32.06|32.12|32.12|32.19|32.08|32.19|32.12|32.15|32.07|32.19|32.08|32.19|32.12|32.14|32.66|26.2|833470|202588819 53550|PAVM|PAVM|70387R106|US70387R1068|PAVmed Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-2|TXN6-7|TXN13-4|TXN5-7|TXN5-8|120760000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||Y|0|Y||||||0.3025|0.3096|0.0|0.0|0.308|0.3028|0.3047|0.3025|0.0|0.0|0.3056|0.3026|0.31|0.308|0.0|0.0|0.0|0.31|0.0|0.31|0.2955|0.3145|0.248|0.3781|0.2964|0.315|0.248|0.3432|0.0|0.0|0.3026|0.31|0.7182|0.2|545939|124786766 60872|PAVMZ|PAVMZ|70387R122|US70387R1225|PAVmed Inc|Wt Exp 30/04/2024||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-8|TXN6-4|TXN13-7|TXN6-4|TXN5-5|119700000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y|C|||||0.0|0.0|0.0|0.0|0.0|0.06|0.06|0.0|0.0|0.0|0.0|0.0|0.06|0.0|0.0|0.0|0.0|0.06|0.0|0.06|0.0434|0.0686|0.0|0.0|0.0472|0.06|0.0|0.0|0.0|0.0|0.0505|0.06|0.399|0.0012|50790|3306132 64899|PAVS|PAVS|G4289N205|KYG4289N2050|Paranovus Entertainment Technology Ltd|ORD CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN5-4|TXN11-3|TXN5-7|TXN5-3|6730000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||45|4510|451020|45102020|Consumer Staples |Food, Beverage and Tobacco |Food Producers|Food Products|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|2.03|2.23|2.03|0.0|0.0|0.0|0.0|0.0|2.04|0.0|0.0|0.0|0.0|2.03|0.0|2.03|1.9|2.42|1.55|2.81|1.88|2.36|1.55|2.81|0.0|0.0|2.0|2.3|5.4293|1.4|750|4214381 62240|PAWZ|PAWZ|74348A145|US74348A1455|ProShares Trust - ProShares Pet Care ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN1-7|TXN2-8|TXN1-5|TXN1-2|1675001|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||0.0|48.51|0.0|0.0|0.0|47.5|48.665|0.0|0.0|0.0|0.0|0.0|0.0|48.43|0.0|0.0|0.0|48.51|0.0|48.51|0.0|0.0|0.0|0.0|48.15|49.12|0.0|0.0|0.0|0.0|48.46|48.81|55.68|41.66|4803|1681734 68859|PAX|PAX|G69451105|KYG694511059|Patria Investments Limited|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN6-5|TXN14-6|TXN6-8|TXN6-3|54930000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CYM||||30|3020|302020|30202010|Financials|Financial Services |Investment Banking and Brokerage Services |Asset Managers and Custodians|N||N||||||Y|0|Y||||||14.39|14.42|0.0|14.41|14.41|14.42|14.415|14.42|0.0|0.0|14.41|14.5|14.41|14.41|14.47|14.42|14.46|14.4|14.49|14.41|14.37|14.54|11.1|17.88|14.36|14.46|14.37|14.46|14.39|14.44|14.41|14.43|17.46|12.81|146126|59050581 73323|PAXS|PAXS|72203T100|US72203T1007|PIMCO Access Income Fund|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN1-5|TXN3-8|TXN3-7|TXN4-4|44000000|||Monthly|||||2022-01-27|2034-01-27|||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||14.5|14.43|0.0|14.45|14.48|14.45|14.49|14.46|0.0|0.0|14.45|14.43|14.465|14.5|14.48|14.48|14.49|14.5|14.45|14.48|14.46|14.5|11.15|17.7|13.52|15.48|14.45|14.51|14.46|14.5|14.46|14.5|17.1399|12.57|387260|40218803 70721|PAY|PAY|70439P108|US70439P1084|Paymentus Holdings, Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN4-8|TXN1-5|TXN2-5|TXN3-4|20390000|||NotApplicable|||||2021-05-26||||||| | | | | | | | | |||N|0|N|Y|408A|USA|US|||50|5020|502050|50205015|Industrials|Industrial Goods and Services|Industrial Support Services|Transaction Processing Services|N||N||||||Y|0|Y||Y|2|||18.26|18.29|0.0|18.12|18.29|18.25|18.32|18.33|0.0|0.0|18.25|18.34|18.33|18.27|18.25|18.31|18.27|18.33|18.31|18.31|18.28|18.33|18.25|18.38|18.14|18.47|18.24|21.45|18.29|18.35|18.29|18.35|18.35|6.75|265853|21615150 43911|PAYC|PAYC|70432V102|US70432V1026|Paycom Software, Inc.|Common Stock, $0.01 par value per share|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-5|TXN4-4|TXN8-4|TXN4-1|TXN3-5|60230000|||Quarterly|||||2014-04-15||||||| | | | | | | | | |||N|5|Y|Y|114D|USA|US|||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||Y|1|||186.17|186.105|0.0|186.13|186.11|186.07|186.19|186.15|0.0|0.0|186.075|185.91|186.2|186.15|186.12|186.2|179.42|186.2|186.075|186.2|186.1|186.2|174.84|196.88|186.01|187.31|185.81|186.38|186.1|186.44|186.1|186.2|374.04|146.15|727837|152990791 67904|PAYO|PAYO|70451X104|US70451X1046|Payoneer Global 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062526||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-6|TXN5-1|TXN13-1|TXN6-2|TXN5-2|359010000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y|C|||||0.0|0.0|0.0|0.0|0.0|0.3563|0.3599|0.0|0.0|0.0|0.0|0.0|0.3591|0.3225|0.0|0.0|0.0|0.3599|0.0|0.3599|0.0|0.0|0.0|0.0|0.3025|0.4159|0.0|0.0|0.0|0.0|0.322|0.3899|1.28|0.3225|1808|20229904 61402|PAYS|PAYS|70451A104|US70451A1043|Paysign Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN5-7|TXN14-3|TXN6-6|TXN5-7|52750000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502050|50205015|Industrials|Industrial Goods and Services|Industrial Support Services|Transaction Processing Services|N||N||||||Y|0|Y||||||2.31|2.3|0.0|0.0|2.3|2.29|2.3|2.29|0.0|0.0|2.29|2.29|2.305|2.31|2.31|2.32|0.0|2.3|0.0|2.305|2.25|2.33|1.75|2.86|2.25|2.33|2.26|2.34|2.25|2.34|2.3|2.31|3.99|1.6704|69055|34900768 3040|PAYX|PAYX|704326107|US7043261079|Paychex Inc.|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN5-7|TXN13-4|TXN5-8|TXN5-4|361230000|||NotApplicable|||||||||||| | | | | | | | | |||N|5|Y|N||USA||||50|5020|502050|50205020|Industrials|Industrial Goods and Services|Industrial Support Services|Professional Business Support Services|N||N||||||Y|0|Y||||||124.24|124.23|0.0|124.23|124.23|124.2|124.2|124.21|0.0|0.0|124.24|124.17|124.18|124.23|124.17|124.22|124.2|124.23|124.17|124.18|124.08|124.31|116.26|131.64|124.13|124.33|124.15|124.26|124.17|0.0|124.17|124.22|129.7|104.09|1610639|441667591 3256|PB|PB|743606105|US7436061052|Prosperity Bancshares, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|O|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-7|TXN4-7|TXN7-4|TXN1-3|TXN4-5|93720000|||Quarterly|||||2011-12-28||||||| | | | | | | | | |||N|0|Y|Y|402B|USA|US|||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||Y|1|||63.05|63.19|0.0|63.2|63.16|63.195|63.24|63.215|0.0|0.0|63.17|63.19|63.215|63.09|63.18|63.26|63.1|63.26|62.65|63.26|63.24|63.26|59.12|67.66|63.22|63.56|63.17|63.31|63.24|63.32|63.24|63.26|78.76|49.6|685564|164149347 8770|PBA|PBA|706327103|CA7063271034|Pembina Pipeline Corporation|Common Shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-1|TXN2-4|TXN8-7|TXN1-6|TXN3-3|549230000|||Quarterly|||||2012-04-02||||||| | | | | | | | | |||N|0|N|Y|412B|CAN|CA|||60|6010|601010|60101035|Energy|Energy|Oil, Gas and Coal|Pipelines|N||N||||||Y|0|Y||Y|2|||33.9|33.91|0.0|33.65|33.9|33.89|33.909|33.9|0.0|0.0|33.9|33.9|33.905|33.9|33.8|33.9|33.9|33.909|33.88|33.9|33.9|33.91|26.06|41.25|33.88|33.92|33.88|33.93|33.88|33.94|33.9|33.91|36.8|28.15|1105721|186245100 72675|PBAX|PBAX|71902K105|US71902K1051|Phoenix Biotech Acquisition Corp|COM CL A USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN5-3|TXN11-2|TXN5-3|TXN5-5|6250000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.9|0.0|0.0|0.0|0.0|10.9|10.94|10.9|0.0|0.0|0.0|0.0|10.24|11.25|0.0|0.0|0.0|0.0|10.9|10.99|11.83|10.22|800|732756 71950|PBAXU|PBAXU|71902K204|US71902K2042|Phoenix Biotech Acquisition Corp|UNITS||R|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN5-8|TXN14-2|TXN6-1|TXN6-6|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.94|0.0|0.0|0.0|0.0|10.94|11.1|10.94|0.0|0.0|0.0|0.0|10.83|12.13|0.0|0.0|0.0|0.0|10.83|12.13|11.73|9.87|409|16451 72676|PBAXW|PBAXW|71902K113|US71902K1135|Phoenix Biotech Acquisition Corp|WT EXP 090126||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-7|TXN6-3|TXN13-8|TXN5-6|TXN6-3|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.026|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0232|0.05|0.09|0.01|16|1957390 71157|PBBK|PBBK|69318V103|US69318V1035|PB Bankshares Inc|COM USD0.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN6-5|TXN11-2|TXN6-5|TXN6-6|2720000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||||||0.0|12.02|0.0|0.0|0.0|11.94|11.9401|0.0|0.0|0.0|11.93|0.0|11.93|0.0|0.0|0.0|0.0|11.9401|0.0|11.9401|0.0|0.0|0.0|0.0|11.7|12.5|0.0|0.0|0.0|0.0|11.92|12.02|14.6399|10.99|3431|729889 24751|PBD|PBD|46138G847|US46138G8472|Invesco Exchange-Traded Fund Trust II|Invesco Global Clean Energy ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Invesco|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-7|TXN4-6|TXN6-8|TXN1-5|TXN3-2|9475000|||Quarterly|||||2008-11-03||PBD.NV|PBD.SO|PBD.EU|PBD.TC|PBD.IV| | | | | | | | | |1x|The PowerShares Global Clean Energy Portfolio (Fund) is based on the WilderHill New Energy Global Innovation Index (Index). The Fund will normally invest at least 90% of its total assets in securities that comprise the Index and ADRs based on the securities in the Index. The Index seeks to deliver capital appreciation and is composed of companies that focus on greener and generally renewable sources of energy and technologies facilitating cleaner energy. The modified equal weighted portfolio is rebalanced and reconstituted quarterly.|N|0|N|N|406C|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||15.05|15.06|0.0|0.0|15.04|15.04|15.0599|15.025|0.0|0.0|0.0|0.0|15.05|0.0|0.0|0.0|0.0|15.04|0.0|15.04|11.99|18.03|14.87|15.25|15.0|15.09|14.87|15.25|14.87|15.25|15.0|15.09|21.83|13.1301|19942|6673623 74696|PBDC|PBDC|746729508|US7467295082|Putnam ETF Trust|Putnam BDC Income ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Putnam|RBC Capital Markets, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-3|TXN1-3|TXN8-8|TXN4-7|TXN3-6|1500000|||Quarterly|||||2022-09-30||PBDC.NV|PBDC.SO|PBDC.EU|PBDC.TC| | | | | | | | | | ||Putnam BDC Income ETF seeks current income.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|31.33|0.0|0.0|0.0|31.42|31.4435|31.48|0.0|0.0|31.47|29.85|31.45|0.0|0.0|0.0|0.0|31.4635|0.0|31.4635|0.0|0.0|31.43|31.48|31.37|31.48|28.37|47.07|0.0|0.0|31.38|31.47|31.9|26.62|15290|2082204 8389|PBE|PBE|46137V787|US46137V7872|Invesco Exchange-Traded Fund Trust|Invesco Biotechnology & Genome ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Invesco|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-4|TXN3-6|TXN4-4|TXN3-1|TXN1-1|3900000|||Quarterly|||||2008-11-03||PBE.NV|PBE.SO|PBE.EU|PBE.TC|PBE.IV| | | | | | | | | |1x|The PowerShares Dynamic Biotechnology & Genome Portfolio (Fund) is based on the Dynamic Biotechnology & Genome Intellidex Index (Index). The Fund will normally invest at least 90% of its total assets in common stocks that comprise the Index. The Index is designed to provide capital appreciation by thoroughly evaluating companies based on a variety of investment merit criteria, including fundamental growth, stock valuation, investment timeliness and risk factors.|N|0|N|N|406C|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|60.54|60.37|55.395|0.0|0.0|0.0|0.0|60.42|0.0|0.0|0.0|0.0|60.4238|0.0|60.4238|56.92|63.37|0.0|0.0|60.37|60.46|60.16|60.68|60.16|60.68|60.38|60.46|68.5|52.47|5437|1700030 41214|PBF|PBF|69318G106|US69318G1067|PBF Energy Inc.|Class A common stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|A|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-1|TXN4-5|TXN1-4|TXN1-2|TXN1-1|122200000|||Quarterly|||||2012-12-13||||||| | | | | | | | | |||N|0|N|Y|134F|USA|US|||60|6010|601010|60101020|Energy|Energy|Oil, Gas and Coal|Oil Refining and Marketing|N||N||||||Y|0|Y||Y|2|||43.96|43.96|0.0|44.13|43.96|43.955|43.955|43.955|0.0|0.0|43.96|44.0|43.96|43.96|43.96|43.96|45.17|43.96|43.95|43.96|43.96|43.97|34.41|54.63|43.91|44.02|43.89|44.02|43.89|44.04|43.96|43.97|56.38|31.255|1717756|589392667 64087|PBFS|PBFS|723561106|US7235611065|Pioneer Bancorp Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN6-3|TXN13-6|TXN5-7|TXN6-6|25980000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||||||9.225|8.895|0.0|0.0|9.06|8.9|9.0|9.225|0.0|0.0|9.0|0.0|9.03|0.0|0.0|8.855|0.0|9.0|0.0|9.03|8.9|9.62|0.0|0.0|8.72|9.21|0.0|0.0|0.0|0.0|8.9|9.03|11.97|7.81|66324|3243150 8392|PBH|PBH|74112D101|US74112D1019|Prestige Consumer Healthcare Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|E|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN1-8|TXN6-8|TXN3-2|TXN4-2|49620000|||NotApplicable|||||2005-02-10||||||| | | | | | | | | |||N|0|N|Y|120A|USA|US|||20|2010|201030|20103015|Health Care |Health Care |Pharmaceuticals and Biotechnology|Pharmaceuticals |N||N||||||Y|0|Y||Y|2|||58.6|60.52|0.0|60.54|60.48|60.38|60.52|60.5|0.0|0.0|60.31|60.38|60.46|60.25|56.85|60.55|59.99|60.56|60.42|60.55|60.51|60.56|46.6|74.01|60.27|60.61|60.31|60.66|60.51|60.66|60.51|60.56|68.535|52.9|216213|55869090 3045|PBHC|PBHC|70319R109|US70319R1095|Pathfinder Bancorp Inc|COM USD1||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN5-1|TXN12-6|TXN5-7|TXN6-2|4720000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|12.68|0.0|0.0|0.0|0.0|0.0|12.67|0.0|0.0|0.0|0.0|12.62|0.0|12.62|0.0|0.0|0.0|0.0|12.16|13.67|0.0|0.0|0.0|0.0|12.66|13.15|19.7|12.099|1691|495742 8393|PBI|PBI|724479100|US7244791007|Pitney Bowes Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-5|TXN2-6|TXN6-8|TXN2-6|TXN2-7|176330000|||Quarterly|||||1950-09-18||||||| | | | | | | | | |||N|0|N|Y|104A|USA|US|||50|5020|502050|50205020|Industrials|Industrial Goods and Services|Industrial Support Services|Professional Business Support Services|N||N||||||Y|0|Y||Y|2|||4.3|4.29|0.0|4.31|4.3|4.295|4.29|4.295|0.0|0.0|4.29|4.29|4.295|4.3|4.295|4.3|4.305|4.29|4.3|4.3|4.29|4.31|3.27|5.26|4.29|4.31|4.26|4.33|4.25|4.34|4.29|4.31|4.85|2.8|1398176|316351533 41646|PBI PRB|PBIpB|724479506|US7244795065|Pitney Bowes Inc.|6.70% Notes Due 2043|Operating company|B|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN4-6|TXN7-8|TXN4-7|TXN4-6|17000000|||Quarterly|||||2013-03-15|2043-03-07|||||| | | | | | | | | |||N|0|N|N|104A||US|||||||||||N||N||||||N|0|Y||Y|2|||16.76|16.88|0.0|0.0|16.69|16.85|16.78|16.86|0.0|0.0|0.0|0.0|16.85|16.5|0.0|16.79|0.0|16.79|16.20125|16.79|16.79|17.0|0.0|0.0|16.43|17.34|0.0|0.0|0.0|0.0|16.79|17.0|20.7993|12.86|28272|6375765 8395|PBJ|PBJ|46137V753|US46137V7534|Invesco Exchange-Traded Fund Trust|Invesco Food & Beverage ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Invesco|Latour Trading, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-5|TXN2-4|TXN8-8|TXN3-3|TXN4-2|4210000|||Quarterly|||||2008-11-03||PBJ.NV|PBJ.SO|PBJ.EU|PBJ.TC|PBJ.IV| | | | | | | | | |1x|The PowerShares Dynamic Food & Beverage Portfolio (Fund) is based on the Dynamic Food & Beverage Intellidex Index (Index). The Fund will normally invest at least 90% of its total assets in common stocks that comprise the Index. The Index is designed to provide capital appreciation by thoroughly evaluating companies based on a variety of investment merit criteria, including fundamental growth, stock valuation, investment timeliness and risk factors.|N|0|N|N|406C|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|1|||0.0|43.85|0.0|0.0|0.0|44.74|44.778|0.0|0.0|0.0|44.76|0.0|44.78|44.79|0.0|0.0|0.0|44.74|0.0|44.74|44.75|44.87|44.64|44.94|44.75|44.79|44.64|44.94|44.64|44.94|44.75|44.79|48.23|40.05|30188|12085163 75020|PBL|PBL|69344A859|US69344A8595|PGIM Portfolio Ballast ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN3-2|TXN8-8|TXN3-6|TXN3-6|1060000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|26.7968|0.0|0.0|0.0|0.0|26.817|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|26.7968|0.0|26.7968|0.0|0.0|0.0|0.0|26.63|26.96|13.46|40.36|0.0|0.0|26.77|26.82|27.0902|23.51|2500|86469 56181|PBLA|PBLA|69833W305|US69833W3051|Panbela Therapeutics Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-8|TXN6-5|TXN11-5|TXN6-6|TXN5-5|5130000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y|C|||||0.52|0.5261|0.0|0.0|0.52|0.519|0.528173|0.5516|0.0|0.0|0.52|0.52|0.5298|0.0|0.0|0.0|0.0|0.5191|0.5363|0.5191|0.4103|0.6314|0.4103|0.6314|0.51|0.557|0.4933|0.5586|0.4926|0.5565|0.5191|0.5365|9.04|0.0521|638912|650727271 26600|PBP|PBP|46137V399|US46137V3996|Invesco Exchange-Traded Fund Trust|Invesco S&P 500 BuyWrite ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Invesco|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-5|TXN1-6|TXN8-8|TXN3-4|TXN2-1|4450000|||Monthly|||||2007-12-20||PBP.NV|PBP.SO|PBP.EU|PBP.TC|MNV.IV| | | | | | | | | |1x|The PowerShares S&P 500 BuyWrite Portfolio (Fund) is based on the CBOE S&P 500 BuyWrite Index (Index). The Fund will normally invest at least 80% of its total assets in common stocks of the 500 companies included in the S&P 500 Index and will write (sell) call options thereon. The Index measures the total rate of return of an S&P 500 covered call strategy. This strategy consists of holding a portfolio indexed to the S&P 500 (Reference Index) and selling a succession of written options, each with an exercise price at or above the prevailing price level of the S&P 500. The CBOE S&P 500 BuyWrite Index provides a benchmark measure of the total return performance of this hypothetical strategy. Dividends paid on the component stocks underlying the S&P 500 and the dollar value of option premiums received from written options are reinvested.|N|0|N|N|406C|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||21.37|21.39|0.0|21.37|21.37|21.38|21.375|21.375|0.0|0.0|21.37|21.37|21.36|21.37|21.37|21.38|0.0|21.375|21.37|21.375|20.26|22.57|0.0|0.0|21.38|21.39|21.31|21.48|21.36|21.46|21.38|21.39|22.3869|19.43|92654|6492988 42823|PBPB|PBPB|73754Y100|US73754Y1001|Potbelly Corp|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN5-1|TXN10-2|TXN6-2|TXN6-6|29360000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4050|405010|40501040|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Restaurants and Bars|N||N||||||Y|0|Y||||||0.0|9.26|0.0|9.54|9.26|9.26|9.26|9.25|0.0|0.0|9.26|0.0|9.27|0.0|9.31|9.28|9.31|9.26|0.0|9.27|9.17|9.36|7.28|11.31|9.26|9.34|9.23|9.3|9.23|9.28|9.26|9.27|11.14|5.0952|115804|39740396 8396|PBR|PBR|71654V408|US71654V4086|Petroleo Brasileiro S.A.-Petrobras|American Depositary Shares(Each representing 2 Common Shares)|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-7|TXN4-3|TXN3-7|TXN1-3|TXN4-7|7442450000|||Quarterly|||||2000-08-10||||||| | | | | | | | | |||N|0|N|Y|134A|BRA|BR|||60|6010|601010|60101000|Energy|Energy|Oil, Gas and Coal|Integrated Oil and Gas|N||N||||||Y|0|Y||Y|2|||14.76|14.76|0.0|14.77|14.77|14.76|14.765|14.765|0.0|0.0|14.76|14.76|14.76|14.77|14.76|14.76|14.775|14.76|14.765|14.76|14.76|14.77|11.66|18.05|14.76|14.77|14.7|14.84|14.75|14.84|14.76|14.77|16.545|8.88|18746953|4874897945 8397|PBR A|PBR.A|71654V101|US71654V1017|Petroleo Brasileiro S.A.-Petrobras|American Depository Shares (Each representing 2 Preferred Shares)|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-1|TXN1-6|TXN8-6|TXN2-6|TXN4-5|5602040000|||Adhoc|||||2001-02-22||||||| | | | | | | | | |||N|0|N|Y|134A|BRA|BR|||60|6010|601010|60101000|Energy|Energy|Oil, Gas and Coal|Integrated Oil and Gas|N||N||||||Y|0|Y||Y|2|||14.09|14.095|0.0|14.1|14.09|14.1|14.105|14.095|0.0|0.0|14.1|14.1|14.11|14.11|14.14|14.1|14.11|14.11|14.095|14.1|14.1|14.11|11.17|17.29|14.1|14.12|13.44|14.91|14.1|14.16|14.1|14.11|15.31|7.86|9686697|1996188363 8399|PBT|PBT|714236106|US7142361069|Permian Basin Royalty Trust|Units of Beneficial Interest|Royalty trust|A|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN4-8|TXN6-8|TXN2-7|TXN2-4|46610000|||Monthly|||||1980-10-24||||||| | | | | | | | | |||N|0|N|Y|412B|USA|US|||60|6010|601010|60101010|Energy|Energy|Oil, Gas and Coal|Oil: Crude Producers|N||N||||||N|0|Y||Y|2|||16.61|16.5|0.0|16.56|16.59|16.49|16.55|16.5|0.0|0.0|16.51|16.9|16.55|16.62|0.0|16.53|18.042829|16.56|0.0|16.53|16.53|16.56|13.0|20.37|16.41|16.73|16.41|16.69|16.41|16.56|16.53|16.56|27.77|15.05|102772|33305228 59626|PBTP|PBTP|46138E495|US46138E4952|Invesco 0-5 Yr US TIPS ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-7|TXN1-8|TXN1-8|TXN4-7|TXN4-5|3030001|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|24.8|0.0|0.0|0.0|0.0|24.8|0.0|0.0|0.0|24.82|0.0|24.795|0.0|0.0|24.8|0.0|24.8|0.0|24.8|24.79|24.8|0.0|0.0|24.79|24.8|24.79|24.81|0.0|0.0|24.79|24.8|25.13|24.28|7504|6138174 63358|PBTS|PBTS|G72007126|KYG720071268|Powerbridge Technologies Co Ltd|ORD||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN5-2|TXN12-6|TXN5-8|TXN6-8|4670000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||10|1010|101010|10101010|Technology|Technology|Software and Computer Services|Computer Services|N||N||||||N|0|Y||||||0.98|1.01|0.0|0.0|1.0|0.99|0.9801|0.9982|0.0|0.0|0.99|0.99|1.01|1.0|0.0|0.0|0.0|0.9801|0.0|1.01|0.848|1.17|0.8|1.21|0.95|1.07|0.848|1.17|0.0|0.0|0.99|1.01|1.72|0.0462|455472|1990737890 59627|PBUS|PBUS|46138E461|US46138E4614|Invesco MSCI USA ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-8|TXN2-3|TXN3-5|TXN3-1|TXN3-4|79150001|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|45.76|0.0|0.0|45.52|45.74|45.75|45.96|0.0|0.0|45.74|0.0|45.74|45.74|45.97|45.74|0.0|45.76|45.48|45.76|45.67|45.85|45.65|45.84|45.74|45.76|45.65|49.22|45.65|45.84|45.74|45.76|46.03|37.45|5876|44299182 8400|PBW|PBW|46137V134|US46137V1347|Invesco Exchange-Traded Fund Trust|Invesco WilderHill Clean Energy ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Invesco|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-6|TXN2-2|TXN7-5|TXN3-6|TXN2-7|16598273|||Quarterly|||||2008-11-03||PBW.NV|PBW.SO|PBW.EU|PBW.TC|PBW.IV| | | | | | | | | |1x|The PowerShares WilderHill Clean Energy Portfolio (Fund) is based on the WilderHill Clean Energy Index (Index). 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The Underlying Index tracks the overall performance of a global universe of U.S.-listed closed-end funds that are organized under the laws of the United States selected by S-Network Global Indexes LLC. The Underlying Index currently includes 71 closed-end funds, of which 27 Underlying Funds invest primarily in taxable investment grade fixed-income securities, 15 Underlying Funds invest primarily in taxable high yield fixed-income securities and 29 Underlying Funds primarily utilize an equity option writing (selling) strategy.|N|0|N|N|406C|USA|US|FIXED_INCOME|INDEX|||||||||N||N||||||N|0|Y||Y|1|||17.67|17.65|0.0|17.67|17.67|17.64|17.67|17.655|0.0|0.0|17.67|17.67|17.67|17.66|17.67|0.0|17.67|17.67|17.65|17.67|17.45|17.84|17.59|17.71|17.64|17.67|17.59|17.71|17.59|17.71|17.64|17.67|20.0|15.9699|266892|30513581 8407|PCF|PCF|42968F108|US42968F1084|High Income Securities Fund|Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN4-5|TXN2-8|TXN3-1|TXN3-5|17530000|||Monthly|||||1987-07-09||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||6.38|6.36|0.0|0.0|0.0|6.39|6.4197|6.385|0.0|0.0|6.4|6.34|6.39|0.0|0.0|6.42|0.0|6.42|0.0|6.42|6.4|6.42|4.95|7.84|5.95|6.82|5.1|7.76|0.0|0.0|6.4|6.42|7.23|5.71|48852|13917242 8408|PCG|PCG|69331C108|US69331C1080|PG&E Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|N|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN1-3|TXN8-3|TXN1-5|TXN2-6|2133510000|||Quarterly|||||1919-07-24||||||| | | | | | | | | |||N|5|Y|Y|310A|USA|US|||65|6510|651010|65101015|Utilities|Utilities|Electricity|Conventional Electricity|N||N||||||Y|0|Y||Y|1|||17.27|17.27|0.0|17.39|17.27|17.27|17.27|17.27|0.0|0.0|17.27|17.27|17.28|17.275|17.27|17.27|17.27|17.27|17.275|17.27|17.27|17.28|17.09|17.43|17.27|17.28|17.24|17.3|17.27|17.28|17.27|17.28|18.19|14.71|16207888|3799488435 8409|PCG PRA|PCGpA|694308206|US6943082064|Pacific Gas & Electric Company|6% Perferred Stock|Other|B|N|N|A|Y|Y|Y|Y|Y|||Brendan E. Cryan and Company, L.L.C.|CRYN|0235|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-7|TXN1-8|TXN3-8|TXN2-6|TXN4-2|4210000|||Quarterly|||||1978-03-01||||||| | | | | | | | | |||N|0|N|N|300A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||20.18|20.61|0.0|0.0|20.11|20.26|20.13|20.11|0.0|0.0|20.19|0.0|20.36|0.0|20.36|20.1|20.11|20.11|0.0|20.11|0.0|0.0|20.14|20.3|20.1|20.71|0.0|0.0|0.0|0.0|20.14|20.3|23.0|19.34|4996|1987397 8410|PCG PRB|PCGpB|694308305|US6943083054|Pacific Gas & Electric Company|5.5% Preferred Stock|Other|B|N|N|A|Y|Y|Y|Y|Y|||Brendan E. Cryan and Company, L.L.C.|CRYN|0235|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-3|TXN1-3|TXN5-8|TXN3-6|TXN2-4|1120000|||Quarterly|||||1978-03-01||||||| | | | | | | | | |||N|0|N|N|300A|USA|US|||65|6510|651010|65101015|Utilities|Utilities|Electricity|Conventional Electricity|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|17.5|17.5|0.0|0.0|0.0|17.5|0.0|17.78|0.0|0.0|0.0|17.5|17.5|0.0|17.5|0.0|0.0|17.54|17.86|17.3|18.08|0.0|0.0|0.0|0.0|17.54|17.86|22.0|16.72|7787|561390 8411|PCG PRC|PCGpC|694308404|US6943084045|Pacific Gas & Electric Company|5% 1st Preferred Stock|Other|B|N|N|A|Y|Y|Y|Y|Y|||Brendan E. Cryan and Company, L.L.C.|CRYN|0235|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-7|TXN1-4|TXN5-8|TXN1-3|TXN3-3|390000|||Quarterly|||||1978-03-01||||||| | | | | | | | | |||N|0|N|N|300A|USA|US|||65|6510|651010|65101015|Utilities|Utilities|Electricity|Conventional Electricity|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|16.15|0.0|0.0|0.0|0.0|16.2|0.0|0.0|0.0|0.0|0.0|16.2|16.2|0.0|16.2|0.0|0.0|16.03|16.46|16.01|16.46|0.0|0.0|0.0|0.0|16.03|16.46|20.33|15.6|983|341681 8412|PCG PRD|PCGpD|694308503|US6943085034|Pacific Gas & Electric Company|5% 1st Red. Preferred Stock|Other|B|N|N|A|Y|Y|Y|Y|Y|||Brendan E. Cryan and Company, L.L.C.|CRYN|0235|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-6|TXN2-3|TXN9-8|TXN4-7|TXN3-3|930000|||Quarterly|||||1978-03-01||||||| | | | | | | | | |||N|0|N|N|300A|USA|US|||65|6510|651010|65101015|Utilities|Utilities|Electricity|Conventional Electricity|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|16.1|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|16.1|16.1|0.0|16.1|0.0|0.0|16.15|16.24|15.77|16.75|0.0|0.0|0.0|0.0|16.15|16.24|19.25|14.17|1524|708554 8413|PCG PRE|PCGpE|694308602|US6943086024|Pacific Gas & Electric Company|5% 1st A Preferred Stock|Other|B|N|N|A|Y|Y|Y|Y|Y|||Brendan E. Cryan and Company, L.L.C.|CRYN|0235|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-3|TXN4-1|TXN2-8|TXN3-4|TXN3-8|900000|||Quarterly|||||1978-03-01||||||| | | | | | | | | |||N|0|N|N|300A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|16.3873|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|16.3873|16.3873|0.0|16.3873|0.0|0.0|16.34|16.45|15.77|17.42|0.0|0.0|0.0|0.0|16.34|16.45|18.8699|14.74|208|337727 8414|PCG PRG|PCGpG|694308701|US6943087014|Pacific Gas & Electric Company|4.8% 1st Preferred Stock|Other|B|N|N|A|Y|Y|Y|Y|Y|||Brendan E. Cryan and Company, L.L.C.|CRYN|0235|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-2|TXN4-5|TXN5-8|TXN4-3|TXN1-1|790000|||Quarterly|||||1978-03-01||||||| | | | | | | | | |||N|0|N|N|300A|USA|US|||65|6510|651010|65101015|Utilities|Utilities|Electricity|Conventional Electricity|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|15.94|0.0|0.0|15.94|0.0|0.0|15.28|15.81|15.28|16.0|0.0|0.0|0.0|0.0|15.28|16.0|19.5|14.71|22|376096 8415|PCG PRH|PCGpH|694308800|US6943088004|Pacific Gas & Electric Company|4.5% 1st Preferred Stock|Other|B|N|N|A|Y|Y|Y|Y|Y|||Brendan E. Cryan and Company, L.L.C.|CRYN|0235|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-3|TXN4-3|TXN1-5|TXN3-8|TXN1-7|590000|||Quarterly|||||1978-03-01||||||| | | | | | | | | |||N|0|N|N|300A|USA|US|||65|6510|651010|65101015|Utilities|Utilities|Electricity|Conventional Electricity|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|14.51|14.51|0.0|0.0|0.0|0.0|0.0|15.235|0.0|0.0|0.0|14.51|14.51|0.0|14.51|0.0|0.0|14.51|15.76|14.33|15.76|0.0|0.0|0.0|0.0|14.51|15.76|19.5|14.09|3220|165766 8416|PCG PRI|PCGpI|694308883|US6943088830|Pacific Gas & Electric Company|4.36% 1st Preferred Stock|Other|B|N|N|A|Y|Y|Y|Y|Y|||Brendan E. Cryan and Company, L.L.C.|CRYN|0235|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-6|TXN1-4|TXN8-8|TXN1-5|TXN1-4|400000|||Quarterly|||||1978-03-01||||||| | | | | | | | | |||N|0|N|N|300A|USA|US|||65|6510|651010|65101015|Utilities|Utilities|Electricity|Conventional Electricity|N||N||||||N|0|Y||Y|2|||14.0|0.0|0.0|0.0|0.0|0.0|14.0|0.0|0.0|0.0|14.0|0.0|0.0|0.0|0.0|0.0|14.0|14.0|0.0|14.0|0.0|0.0|14.0|14.5|13.36|14.0|0.0|0.0|0.0|0.0|14.0|14.5|17.34|13.63|3305|145760 76225|PCGG|PCGG|53700T744|US53700T7440|Litman Gregory Funds Trust|Polen Capital Global Growth ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Litman Gregory|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-8|TXN4-6|TXN6-8|TXN4-2|TXN4-6|2300000|||Quarterly|||||2023-08-30||PCGG.NV|PCGG.SO|PCGG.EU|PCGG.TC| | | | | | | | | | ||Global Growth Equity ETF seeks long term growth of capital. Benchmark is MSCI ACWI|N|0|N|N|406C|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|10.15|0.0|10.19|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.19|0.0|10.19|9.47|10.93|0.0|0.0|10.19|10.23|10.18|10.24|0.0|0.0|10.19|10.23|10.3179|9.0025|39978|2618559 8421|PCH|PCH|737630103|US7376301039|PotlatchDeltic Corp|COM USD1||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN6-3|TXN11-4|TXN5-6|TXN5-8|79360000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||35|3510|351020|35102060|Real Estate|Real Estate |Real Estate Investment Trusts|Timber REITs|N||N||||||Y|0|Y||||||45.81|45.79|0.0|45.62|45.82|45.69|45.81|45.81|0.0|0.0|45.81|45.66|45.79|45.82|45.71|45.81|0.0|45.82|45.71|45.79|45.73|45.88|35.34|56.2|45.72|45.91|45.74|48.26|0.0|45.87|45.81|45.84|54.44|41.31|662736|92563712 8422|PCK|PCK|72200M108|US72200M1080|PIMCO California Municipal Income Fund II|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN4-6|TXN9-8|TXN3-6|TXN4-2|32230000|||Monthly|||||2002-06-26||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||5.69|5.71|0.0|0.0|5.7|5.71|5.71|5.71|0.0|0.0|5.7|5.7|5.71|5.699|5.64|5.69|5.69|5.69|0.0|5.69|5.69|5.71|4.35|6.97|5.33|6.08|5.68|5.73|0.0|0.0|5.69|5.71|7.3|4.85|159674|20361243 8424|PCM|PCM|69323T101|US69323T1016|PCM Fund, Inc.|Common Stock|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN2-3|TXN5-8|TXN2-1|TXN2-2|11870000|||Monthly|||||1993-08-27||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||7.98|8.0|0.0|0.0|7.84|7.91|8.055|7.845|0.0|0.0|7.92|8.1|8.06|7.95|0.0|8.055|0.0|8.055|0.0|8.055|8.04|8.07|0.0|0.0|7.48|8.58|6.05|9.48|0.0|0.0|8.04|8.07|10.2|6.88|38711|6244932 8425|PCN|PCN|72200U100|US72200U1007|PIMCO Corporate & Income Strategy Fund|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN3-3|TXN7-8|TXN3-7|TXN4-3|47730000|||Monthly|||||2001-12-19||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||12.38|12.45|0.0|0.0|12.44|12.45|12.44|12.42|0.0|0.0|12.46|12.45|12.46|12.41|12.205|12.46|12.42|12.44|12.38|12.46|12.44|12.46|9.61|15.17|11.57|12.6|12.42|12.49|12.44|12.46|12.44|12.46|14.48|10.6984|192776|36749802 70671|PCOR|PCOR|74275K108|US74275K1088|Procore Technologies, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-5|TXN1-7|TXN3-6|TXN1-4|TXN2-4|143490000|||NotApplicable|||||2021-05-20||||||| | | | | | | | | |||N|0|Y|Y|180B|USA|US|||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||Y|1|||61.96|61.9|0.0|62.21|61.91|61.95|61.96|61.975|0.0|0.0|61.94|61.91|61.94|61.94|61.98|61.95|61.95|61.94|62.09|61.95|61.95|61.96|57.9|65.9|61.84|62.05|61.91|62.07|61.82|62.06|61.95|61.96|76.86|41.8|1685055|254695568 8428|PCQ|PCQ|72200N106|US72200N1063|PIMCO California Municipal Income Fund|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN2-4|TXN9-8|TXN3-6|TXN4-2|18960000|||Monthly|||||2001-06-27||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||0.0|9.39|0.0|9.42|9.37|9.38|9.375|9.41|0.0|0.0|9.39|0.0|9.37|9.4|9.29|9.39|9.36|9.39|0.0|9.39|9.36|9.39|7.2|11.44|8.75|10.01|9.34|9.42|9.34|9.39|9.36|9.39|17.44|8.19|108540|15974643 75131|PCRB|PCRB|746729607|US7467296072|Putnam ETF Trust|Putnam ESG Core Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Putnam|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-4|TXN4-6|TXN6-8|TXN4-1|TXN4-6|9850000|||Monthly|||||2023-01-20||PCRB.NV|PCRB.SO|PCRB.EU|PCRB.TC|PCRB.IV| | | | | | | | | ||Putnam ESG Core Bond ETF seeks high current income consistent with what Putnam Investment Management, LLC (Putnam Management) believes to be prudent risk.|N|0|N|N|416A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|1|||0.0|0.0|0.0|0.0|0.0|0.0|48.03|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|48.0444|0.0|48.0444|0.0|0.0|0.0|0.0|48.01|48.08|0.0|0.0|0.0|0.0|48.01|48.08|50.3242|45.53|17796|11717354 36480|PCRX|PCRX|695127100|US6951271005|Pacira BioSciences Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN5-8|TXN13-7|TXN5-1|TXN5-4|46440000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103015|Health Care |Health Care |Pharmaceuticals and Biotechnology|Pharmaceuticals |N||N||||||Y|0|Y||||||28.66|28.56|0.0|28.67|28.47|28.58|28.46|28.46|0.0|0.0|28.47|28.56|28.49|28.56|28.46|28.46|28.46|28.47|28.67|28.49|28.22|28.82|22.24|35.1|28.4|28.75|22.24|28.55|28.44|28.54|28.46|28.5|48.6|25.93|393793|126089759 43045|PCSA|PCSA|74275C205|US74275C2052|Processa Pharmaceuticals Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-3|TXN5-8|TXN10-6|TXN6-5|TXN5-2|24630000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||0.7397|0.729|0.0|0.0|0.738|0.7385|0.7468|0.7374|0.0|0.0|0.7435|0.7452|0.7326|0.731|0.0|0.7469|0.0|0.7468|0.0|0.7326|0.74|0.8914|0.5976|0.8914|0.74|0.7864|0.7221|0.7622|0.7186|0.7714|0.7452|0.7469|2.24|0.1801|618935|168169414 66696|PCT|PCT|74623V103|US74623V1035|PureCycle Technologies Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN6-7|TXN13-5|TXN6-8|TXN6-1|164060000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502030|50203015|Industrials|Industrial Goods and Services|General Industrials|Plastics|N||N||||||Y|0|Y|C|||||4.64|4.64|0.0|4.68|4.64|4.65|4.645|4.635|0.0|0.0|4.64|4.64|4.65|4.61|4.635|4.64|4.61|4.65|4.64|4.65|4.63|4.69|3.6|5.63|4.64|4.68|4.6|4.67|4.62|4.66|4.64|4.65|11.89|3.045|4474889|525378365 3073|PCTI|PCTI|69325Q105|US69325Q1058|PCTEL Inc|COM 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USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN6-2|TXN11-8|TXN5-2|TXN6-2|92660000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201020|20102015|Health Care |Health Care |Medical Equipment and Services|Medical Supplies|N||N||||||Y|0|Y||||||26.08|26.08|0.0|25.9|26.07|26.085|26.08|26.06|0.0|0.0|26.07|26.07|26.07|26.06|26.045|26.07|26.045|26.08|26.07|26.07|26.04|26.11|20.35|32.0|26.02|26.13|26.07|26.1|26.03|26.1|26.07|26.09|34.53|25.0|1608690|195094661 61320|PDD|PDD|722304102|US7223041028|PDD Holdings 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NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN5-7|TXN10-2|TXN5-8|TXN5-6|3550000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|16.25|16.32|16.17|0.0|0.0|0.0|0.0|16.16|0.0|0.0|0.0|0.0|16.25|0.0|16.25|15.1|17.16|0.0|0.0|15.12|16.99|12.0|20.02|0.0|0.0|15.75|16.34|19.682|14.51|4106|925978 3080|PDFS|PDFS|693282105|US6932821050|PDF Solutions Inc|COM USD.00015||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN5-5|TXN10-4|TXN5-6|TXN5-1|38260000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||||||30.8|30.78|0.0|30.24|30.8|30.79|30.8056|30.795|0.0|0.0|30.79|0.0|30.79|30.87|30.57|30.84|30.81|30.8056|0.0|30.79|30.51|31.12|23.58|37.33|30.56|31.09|30.72|30.85|30.72|30.88|30.78|30.82|48.0171|26.12|269341|43993802 40117|PDI|PDI|72201Y101|US72201Y1010|PIMCO Dynamic Income Fund|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-3|TXN3-7|TXN2-4|TXN1-8|TXN4-1|273690000|||Monthly|||||2012-05-25||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||18.13|18.1|0.0|18.11|18.11|18.105|18.1|18.11|0.0|0.0|18.11|18.11|18.11|18.101|18.11|18.11|18.16|18.1|18.11|18.11|18.1|18.11|13.78|21.9|18.1|18.12|18.07|18.14|18.09|18.12|18.1|18.11|21.15|15.45|2126981|287618088 59688|PDLB|PDLB|732344106|US7323441060|Ponce Financial Group Inc|COM USD 0.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN5-5|TXN10-4|TXN6-3|TXN5-3|23650000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||||||9.31|0.0|0.0|0.0|9.3|9.31|9.31|9.34|0.0|0.0|9.3|9.3|9.31|0.0|9.29|9.31|0.0|9.31|0.0|9.31|9.13|9.46|7.06|11.25|9.14|9.43|7.06|11.25|0.0|0.0|9.3|9.31|10.0417|6.51|73845|22300068 32260|PDM|PDM|720190206|US7201902068|Piedmont Office Realty Trust, Inc.|Class A Common Stock|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-1|TXN1-7|TXN4-5|TXN4-3|TXN2-5|123710000|||Quarterly|||||2010-02-10||||||| | | | | | | | | |||N|0|N|Y|414A|USA|US|||35|3510|351020|35102030|Real Estate|Real Estate |Real Estate Investment Trusts|Office REITs|N||N||||||Y|0|Y||Y|2|||6.73|6.725|0.0|5.96|6.73|6.725|6.725|6.74|0.0|0.0|6.73|6.74|6.72|6.73|6.72|6.72|6.745|6.72|6.74|6.72|6.72|6.73|5.24|8.31|6.71|6.73|6.7|6.75|6.71|6.76|6.72|6.73|11.37|4.91|1431006|314116544 25707|PDN|PDN|46138E735|US46138E7351|Invesco Exchange-Traded Fund Trust II|Invesco FTSE RAFI Developed Markets ex-U.S. Small-Mid ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Invesco|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-6|TXN3-4|TXN8-8|TXN3-6|TXN1-2|16350000|||Quarterly|||||2008-11-03||PDN.NV|PDN.SO|PDN.EU|PDN.TC|PDN.IV| | | | | | | | | |1x|The PowerShares FTSE RAFI Developed Markets ex-U.S. Small-Mid Portfolio (Fund) is based on the FTSE RAFI Developed Markets ex-U.S. Mid-Small 1500 Index (Index). The Fund will normally invest at least 90% of its total assets in securities that comprise the Index and ADRs based on the securities in the Index. The Index is designed to track the performance of small and mid capitalization equities of companies domiciled in developed international markets (excluding the U.S.), selected based on the following four fundamental measures of firm size: book value, cash flow, sales and dividends. The equities with the highest fundamental strength are weighted according to their fundamental scores. The Fundamentals Weighted portfolio is rebalanced and reconstituted annually.|N|0|N|N|406C|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||30.85|30.85|0.0|0.0|30.85|30.85|30.82|30.84|0.0|0.0|30.78|0.0|30.85|30.85|30.43|0.0|0.0|30.82|0.0|30.82|24.62|37.18|0.0|0.0|30.83|30.88|23.97|37.39|0.0|0.0|30.83|30.88|32.44|27.675|44695|9872682 68890|PDO|PDO|69355M107|US69355M1071|PIMCO Dynamic Income Opportunities Fund|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-6|TXN2-8|TXN8-7|TXN4-6|TXN2-4|110380000|||Monthly|||||2021-01-27||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||12.47|12.47|0.0|0.0|12.47|12.48|12.475|12.48|0.0|0.0|12.48|12.48|12.475|12.48|12.48|12.48|12.47|12.48|12.35|12.48|12.47|12.48|9.5|15.06|12.47|12.51|12.44|12.51|12.46|12.5|12.47|12.48|15.72|10.65|973210|107409732 19133|PDP|PDP|46137V837|US46137V8375|Invesco Dorsey Wright Momentum ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN6-2|TXN11-6|TXN5-6|TXN5-7|12990000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||81.26|81.27|0.0|0.0|81.22|81.26|81.295|81.51|0.0|0.0|81.35|0.0|81.5|81.22|0.0|81.25|0.0|81.47|81.2|81.5|81.46|81.64|81.38|81.62|81.46|81.51|81.37|81.63|81.37|81.62|81.46|81.51|82.76|69.69|27377|8055369 8449|PDS|PDS|74022D407|CA74022D4075|Precision Drilling Corporation|Common Shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|6|O|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-1|TXN1-1|TXN2-5|TXN3-2|TXN2-6|14560000|||NotApplicable|||||2010-06-02||||||| | | | | | | | | |||N|0|N|Y|134B|CAN|CA|||60|6010|601010|60101030|Energy|Energy|Oil, Gas and Coal|Oil Equipment and Services|N||N||||||Y|0|Y||Y|2|||57.36|57.09|0.0|57.04|57.25|57.11|57.13|57.14|0.0|0.0|57.72|57.16|57.09|56.97|57.31|57.19|0.0|57.09|57.36|57.19|57.08|57.19|44.08|70.7|56.96|57.29|57.0|57.27|57.08|57.19|57.08|57.19|86.94|41.56|54928|16435507 51461|PDSB|PDSB|70465T107|US70465T1079|PDS Biotechnology Corp|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN6-3|TXN12-4|TXN6-2|TXN6-7|31110000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||5.27|5.28|0.0|5.3|5.27|5.275|5.275|5.28|0.0|0.0|5.27|5.32|5.28|5.3|5.28|5.28|5.3|5.27|5.3|5.28|5.22|5.34|4.07|6.44|5.23|5.33|5.26|5.29|5.26|5.3|5.27|5.28|13.65|3.8|458595|141444458 8451|PDT|PDT|41013T105|US41013T1051|John Hancock Premium Dividend Fund|Common Shares|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN4-4|TXN4-8|TXN4-5|TXN1-6|48800000|||Monthly|||||1989-12-15||||||| | | | | | | | | |||N|0|N|N|406B|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||10.98|10.97|0.0|11.04|10.99|10.97|10.98|10.97|0.0|0.0|10.97|10.82|10.98|10.95|11.02|10.99|11.03|10.99|0.0|10.99|10.97|10.99|8.57|13.56|10.95|11.1|10.95|11.01|10.97|11.0|10.97|10.99|13.99|8.77|107911|31126444 62888|PDX|PDX|69346N107|US69346N1072|PIMCO Dynamic Income Strategy Fund|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN3-4|TXN5-8|TXN4-5|TXN3-7|44710000|||Quarterly|||||2019-01-30||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302020|30202010|Financials|Financial Services |Investment Banking and Brokerage Services |Asset Managers and Custodians|N||N||||||N|0|Y||Y|2|||20.34|20.43|0.0|20.36|20.36|20.34|20.36|20.33|0.0|0.0|20.43|20.3|20.34|20.36|20.38|20.36|20.5|20.36|0.0|20.36|20.36|20.39|15.83|25.19|20.34|21.6|20.33|20.42|20.36|20.39|20.36|20.39|20.75|20.15|144100|1848786 6736|PEAK|PEAK|42250P103|US42250P1030|Healthpeak Properties, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-5|TXN2-2|TXN7-3|TXN4-4|TXN4-3|547070000|||Quarterly|||||1985-05-23||||||| | | | | | | | | |||N|5|Y|Y|412A|USA|US|||35|3510|351020|35102010|Real Estate|Real Estate |Real Estate Investment Trusts|Health Care REITs|N||N||||||Y|0|Y||Y|1|||18.47|18.475|0.0|18.46|18.47|18.475|18.475|18.475|0.0|0.0|18.47|18.47|18.47|18.48|18.49|18.47|18.46|18.47|18.475|18.47|18.47|18.48|17.17|19.49|18.47|18.48|18.45|18.5|18.46|18.51|18.47|18.48|28.43|15.24|6098327|1060588234 31983|PEB|PEB|70509V100|US70509V1008|Pebblebrook Hotel Trust|Common Shares of Beneficial Interest|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-4|TXN1-2|TXN5-2|TXN1-4|TXN2-4|120500000|||Quarterly|||||2009-12-09||||||| | | | | | | | | |||N|0|N|Y|414A|USA|US|||35|3510|351020|35102015|Real Estate|Real Estate |Real Estate Investment Trusts|Hotel and Lodging REITs|N||N||||||Y|0|Y||Y|2|||13.57|13.6|0.0|13.45|13.6|13.605|13.605|13.595|0.0|0.0|13.61|13.58|13.61|13.565|13.56|13.62|13.59|13.6|13.58|13.62|13.6|13.61|10.41|16.42|13.58|13.62|13.57|13.63|13.6|13.63|13.6|13.61|17.38|11.385|2511040|526866529 62514|PEB PRE|PEBpE|70509V605|US70509V6056|Pebblebrook Hotel Trust|6.375% Series E Cumulative Redeemable Preferred Shares of Beneficial Interest, $0.01 par value per share|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN4-4|TXN6-8|TXN3-4|TXN3-7|4400000|||Quarterly|||||2018-12-03||||||| | | | | | | | | |||N|0|N|N|414A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|20.228|20.29|0.0|0.0|0.0|0.0|20.0|0.0|0.0|20.06|0.0|20.06|0.0|20.06|19.71|20.2|0.0|0.0|19.32|20.62|0.0|0.0|0.0|0.0|19.71|20.2|22.0099|17.1301|2981|1529703 62513|PEB PRF|PEBpF|70509V704|US70509V7047|Pebblebrook Hotel Trust|6.3% Series F Cumulative Redeemable Preferred Shares of Beneficial Interest, $0.01 par value per share|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN4-5|TXN9-8|TXN4-5|TXN3-1|6000000|||Quarterly|||||2018-12-03||||||| | | | | | | | | |||N|0|N|N|414A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||18.95|19.51|0.0|0.0|18.01|19.51|20.22|20.04|0.0|0.0|0.0|0.0|20.01|19.31|0.0|19.51|0.0|19.51|0.0|19.51|19.78|20.18|0.0|0.0|19.53|20.59|0.0|0.0|0.0|0.0|19.78|20.18|21.92|17.23|1779|2261799 70622|PEB PRG|PEBpG|70509V803|US70509V8037|Pebblebrook Hotel Trust|6.375% Series G Cumulative Redeemable Preferred Shares of Beneficial Interest|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN3-7|TXN4-8|TXN2-3|TXN3-5|9200000|||Quarterly|||||2021-05-14||||||| | | | | | | | | |||N|0|N|N|414A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||19.83|19.4|0.0|0.0|19.95|19.89|19.8162|19.59|0.0|0.0|19.015|0.0|19.14|19.14|0.0|19.83|0.0|19.83|0.0|19.83|19.69|19.83|0.0|0.0|19.3|20.25|0.0|0.0|0.0|0.0|19.69|19.83|21.788|17.01|9594|3433934 71289|PEB PRH|PEBpH|70509V886|US70509V8862|Pebblebrook Hotel Trust|5.700% Series H Cumulative Redeemable Preferred Shares of Beneficial Interest|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN3-3|TXN8-8|TXN1-8|TXN2-1|8000000|||Quarterly|||||2021-07-30||||||| | | | | | | | | |||N|0|N|N|414A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||17.88|18.15|0.0|0.0|18.2|18.18|18.49|0.0|0.0|0.0|18.39|0.0|18.42|0.0|0.0|18.29|0.0|18.35|0.0|18.29|18.12|18.29|0.0|0.0|17.76|18.66|0.0|0.0|0.0|0.0|18.12|19.3|19.85|15.0201|10170|12629757 3090|PEBK|PEBK|710577107|US7105771072|Peoples Bancorp of North Carolina Inc.|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN6-8|TXN11-4|TXN5-3|TXN6-4|5540000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|27.11|27.5|27.3|0.0|0.0|0.0|0.0|27.25|0.0|0.0|0.0|0.0|27.25|0.0|27.25|25.65|28.62|0.0|0.0|25.92|28.76|0.0|0.0|0.0|0.0|27.0|27.25|34.88|16.35|10431|2137407 3091|PEBO|PEBO|709789101|US7097891011|Peoples Bancorp Inc|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN5-4|TXN12-7|TXN6-8|TXN6-4|35360000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||||||0.0|30.84|0.0|0.0|30.96|30.945|30.98|30.94|0.0|0.0|30.95|30.59|30.95|30.96|0.0|30.48|30.48|30.98|30.86|30.95|30.64|31.21|23.56|37.76|30.66|31.21|23.56|37.76|30.88|31.02|30.95|30.98|31.36|23.05|105553|27982397 71160|PECO|PECO|71844V201|US71844V2016|Phillips Edison & Company Inc|COM 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LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN10-3|TXN2-1|TXN5-8|TXN1-4|TXN1-4|87250000|||Monthly|||||2017-04-10||||||| | | | | | | | | |||N|0|N|N|134A|USA|US|||60|6010|601010|60101010|Energy|Energy|Oil, Gas and Coal|Oil: Crude Producers|N||N||||||N|0|Y||Y|2|||0.0|0.83|0.0|0.0|0.0|0.8224|0.829825|0.8266|0.0|0.0|0.825|0.8201|0.8225|0.0|0.8201|0.0|0.829825|0.829825|0.0|0.829825|0.7962|0.8508|0.822|0.8331|0.81|0.8331|0.7924|0.8521|0.7935|0.8598|0.822|0.8331|1.2|0.79745|79137|30487650 8464|PEG|PEG|744573106|US7445731067|Public Service Enterprise Group Incorporated|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|I|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-7|TXN4-3|TXN4-3|TXN2-1|TXN2-5|498310000|||Quarterly|||||1948-03-31||||||| | | | | | | | | |||N|5|Y|Y|310A|USA|US|||65|6510|651010|65101015|Utilities|Utilities|Electricity|Conventional Electricity|N||N||||||Y|0|Y||Y|1|||63.27|63.27|0.0|63.54|63.26|63.28|63.275|63.28|0.0|0.0|63.27|63.36|63.27|63.27|63.31|63.28|63.31|63.28|63.305|63.28|63.28|63.29|59.7|67.88|63.22|63.31|63.25|63.34|63.22|63.35|63.28|63.29|65.4591|53.71|2563239|593477552 3097|PEGA|PEGA|705573103|US7055731035|Pegasystems Inc|COM 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A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN5-6|TXN12-8|TXN5-1|TXN6-8|17470000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|10.525|0.0|0.0|0.0|10.525|10.53|0.0|0.0|0.0|0.0|0.0|10.525|0.0|0.0|0.0|0.0|10.53|0.0|10.53|0.0|0.0|0.0|0.0|10.29|10.78|0.0|0.0|0.0|0.0|10.52|10.53|10.9|9.96|21446|30467380 72182|PEGRU|PEGRU|G72556122|KYG725561222|Project Energy Reimagined Acquisition 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102826||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-2|TXN6-8|TXN12-3|TXN6-7|TXN6-2|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0151|0.02|0.1996|0.008|0|2312192 7185|PEGY|PEGY|72303P107|US72303P1075|Pineapple Energy Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-8|TXN6-2|TXN10-4|TXN5-5|TXN6-8|10200000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||60|6010|601020|60102020|Energy|Energy|Alternative Energy|Renewable Energy Equipment |N||N||||||N|0|Y||||||0.6495|0.65|0.0|0.0|0.6495|0.6495|0.67|0.65|0.0|0.0|0.63|0.0|0.63|0.66|0.0|0.0|0.0|0.63|0.0|0.63|0.5985|0.7035|0.504|0.815|0.5985|0.7035|0.5985|0.7035|0.0|0.0|0.63|0.66|2.77|0.5675|51605|23883866 8476|PEJ|PEJ|46137V720|US46137V7203|Invesco Exchange-Traded Fund Trust|Invesco Leisure and Entertainment ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Invesco|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-6|TXN1-5|TXN3-4|TXN1-6|TXN3-3|7690000|||Quarterly|||||2008-11-03||PEJ.NV|PEJ.SO|PEJ.EU|PEJ.TC|PEJ.IV| | | | | | | | | |1x|The PowerShares Dynamic Leisure and Entertainment Portfolio (Fund) is based on the Dynamic Leisure and Entertainment Intellidex Index (Index). The Fund will normally invest at least 90% of its total assets in common stocks that comprise the Index. The Index is designed to provide capital appreciation by thoroughly evaluating companies based on a variety of investment merit criteria, including fundamental growth, stock valuation, investment timeliness and risk factors.|N|0|N|N|406C|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|1|||40.17|40.29|0.0|0.0|40.31|40.29|40.28|40.04|0.0|0.0|40.1|40.1|40.29|40.31|0.0|40.2|0.0|40.31|0.0|40.31|40.2|40.38|40.13|40.37|40.28|40.3|40.13|40.37|40.2|40.37|40.28|40.3|43.33|34.9|90875|17989863 75730|PEMX|PEMX|746729847|US7467298474|Putnam ETF Trust|Putnam Emerging Markets ex-China ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Putnam|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-5|TXN4-4|TXN9-8|TXN1-4|TXN3-6|150000|||Yearly|||||2023-05-18||PEMX.NV|PEMX.SO|PEMX.EU|PEMX.TC| | | | | | | | | | ||Putnam Emerging Markets ex-China ETF seeks long term capital appreciation. MSCI Emerging Markets ex-China Index.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|43.51|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|44.1422|0.0|44.1422|0.0|0.0|0.0|0.0|44.1|44.17|0.0|0.0|0.0|0.0|44.1|44.17|44.4654|39.5651|3|44197 50691|PEN|PEN|70975L107|US70975L1070|Penumbra, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|J|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-5|TXN2-3|TXN9-6|TXN3-2|TXN4-3|38600000|||NotApplicable|||||2015-09-18||||||| | | | | | | | | |||N|0|Y|Y|122A|USA|US|||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||Y|0|Y||Y|1|||225.89|228.82|0.0|227.5|226.15|228.8|228.41|228.735|0.0|0.0|228.28|228.48|228.46|227.09|227.29|228.54|229.02|228.41|228.54|228.54|228.49|228.54|213.24|242.98|228.35|230.97|228.0|228.88|227.94|228.75|228.49|228.54|348.67|180.93|554285|87625085 3101|PENN|PENN|707569109|US7075691094|PENN Entertainment Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN5-1|TXN13-6|TXN6-5|TXN5-8|151760000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||USA||||40|4050|405010|40501020|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Casinos and Gambling|N||N||||||Y|0|Y||||||24.9|24.91|0.0|0.0|24.9|24.915|24.905|24.91|0.0|0.0|24.91|24.91|24.9|24.91|24.91|24.91|24.91|24.91|24.91|24.9|24.88|24.93|23.2|26.39|24.89|24.93|24.86|24.97|0.0|0.0|24.9|24.91|36.66|18.35|5607439|883158192 8478|PEO|PEO|00548F105|US00548F1057|Adams Natural Resources Fund, Inc.|Common Stock|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN1-7|TXN7-8|TXN1-1|TXN2-3|25030000|||Quarterly|||||1930-05-29||||||| | | | | | | | | |||N|0|N|N|406B|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||20.45|20.45|0.0|0.0|20.45|20.455|20.455|20.45|0.0|0.0|20.42|20.46|20.455|20.44|20.47|20.45|20.43|20.46|20.45|20.45|20.45|20.46|15.78|25.28|19.13|21.9|20.4|20.51|20.43|20.48|20.45|20.46|23.8|18.93|66405|13487458 8479|PEP|PEP|713448108|US7134481081|PepsiCo Inc|COM USD.0166||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN6-4|TXN14-5|TXN6-2|TXN6-7|1374860000|||NotApplicable|||||||||||| | | | | | | | | |||N|1|Y|N||USA||||45|4510|451010|45101020|Consumer Staples |Food, Beverage and Tobacco |Beverages|Soft Drinks|N||N||||||Y|0|Y||||||169.15|169.15|0.0|169.15|169.15|169.15|169.145|169.14|0.0|0.0|169.145|169.16|169.14|169.16|169.13|169.14|169.12|169.15|169.06|169.14|169.13|169.21|157.97|179.49|169.13|169.18|169.05|169.24|169.11|169.26|169.14|169.16|196.88|155.83|5323333|1130972303 74006|PEPG|PEPG|713317105|US7133171055|PepGen Inc|COM USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN6-3|TXN11-3|TXN5-4|TXN6-4|23810000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||6.39|6.22|0.0|6.38|6.38|6.17|6.34|6.2|0.0|0.0|5.8|5.6|6.14|6.39|0.0|6.06|0.0|6.34|6.38|6.14|5.72|6.5|4.75|7.65|5.79|6.46|4.75|7.65|0.0|0.0|6.13|6.33|20.0|3.72|171954|12636429 72840|PEPL|PEPL|G70021103|KYG700211033|PepperLime Health Acquisition Corporation|ORD SHS CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN5-2|TXN11-6|TXN6-5|TXN6-7|4640000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|10.85|0.0|0.0|0.0|0.0|0.0|0.0|10.99|0.0|0.0|0.0|0.0|10.85|0.0|10.85|0.0|0.0|0.0|0.0|10.18|11.66|0.0|0.0|0.0|0.0|10.83|11.0|10.99|10.1|250|1569742 72052|PEPLU|PEPLU|G70021129|KYG700211298|PepperLime Health Acquisition Corporation|UNITS||R|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN6-4|TXN14-6|TXN5-4|TXN5-7|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|7.06|14.07|0.0|0.0|8.82|13.55|7.06|14.07|0.0|0.0|9.58|11.73|10.9895|9.8|0|70720 72841|PEPLW|PEPLW|G70021111|KYG700211116|PepperLime Health Acquisition Corporation|WT EXP 100126||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-6|TXN6-4|TXN10-5|TXN6-3|TXN6-8|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y|D|||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0072|0.018|0.0072|0.018|0.0072|0.018|0.0072|0.018|0.0|0.0|0.0089|0.015|0.34|0.0076|0|2768022 69405|PERF|PERF|G7006A109|KYG7006A1094|Perfect Corp.|Class A Ordinary Share|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN2-8|TXN2-8|TXN4-3|TXN1-3|101220000|||NotApplicable|||||2022-10-31||||||| | | | | | | | | |||N|0|N|Y|108B|TWN|KY|||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||N|0|Y|C|Y|2|||0.0|2.87|0.0|0.0|0.0|2.85|2.85|2.83|0.0|0.0|2.88|2.92|2.85|0.0|0.0|2.85|0.0|2.85|0.0|2.85|2.85|2.88|2.17|3.52|2.67|3.07|2.17|3.52|0.0|0.0|2.85|2.88|8.383|2.2|36604|3894570 69406|PERF WS|PERF.WS|G7006A117|KYG7006A1177|Perfect Corp.|Warrants, each exercisable for one Class A Ordinary Share at a price of $11.50 per share|Operating company|C|N|Y|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN2-8|TXN1-5|TXN9-8|TXN3-6|TXN4-5|118260000|||NotApplicable|||||2022-10-31|2027-10-31|||||| | | | | | | | | |||N|0|N|N|108B|TWN|KY|||||||||||N||N||||||N|0|Y||N||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0352|0.124|0.0|0.0|0.044|0.1225|0.0|0.0|0.0|0.0|0.0374|0.1225|0.21|0.015|0|4210434 16031|PERI|PERI|M78673114|IL0010958192|Perion Network Ltd|ORD USD||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN5-7|TXN10-3|TXN5-2|TXN6-4|47040000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||ISR||||10|1010|101010|10101020|Technology|Technology|Software and Computer Services|Consumer Digital Services |N||N||||||Y|0|Y||||||28.32|28.305|0.0|28.45|28.32|28.305|28.29|28.31|0.0|0.0|28.31|28.24|28.32|28.31|28.22|0.0|28.35|28.29|28.32|28.32|28.07|28.58|21.79|34.58|28.12|28.52|28.25|28.39|28.23|28.33|28.29|28.33|42.75|24.095|264168|155320583 3104|PESI|PESI|714157203|US7141572039|Perma Fix Environmental Services Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN6-6|TXN11-2|TXN6-8|TXN5-4|13610000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||65|6510|651030|65103035|Utilities|Utilities|Waste and Disposal Services|Waste and Disposal Services|N||N||||||Y|0|Y||||||7.45|7.425|0.0|7.25|7.51|7.37|7.48|7.47|0.0|0.0|7.5|7.17|7.425|7.2|0.0|0.0|0.0|7.425|0.0|7.425|7.11|7.72|5.73|9.02|7.12|7.67|5.98|8.72|0.0|0.0|7.37|7.48|13.869|3.2|65997|18479101 71805|PET|PET|93042P109|US93042P1093|Wag Group Co|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN5-4|TXN11-2|TXN6-7|TXN5-7|39250000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4020|402010|40201070|Consumer Discretionary|Consumer Products and Services|Consumer Services |Consumer Services: Misc.|N||N||||||N|0|Y||||||1.76|1.76|0.0|0.0|1.76|1.76|1.7592|1.77|0.0|0.0|1.76|1.76|1.77|1.76|0.0|1.76|1.76|1.74|1.76|1.77|1.69|1.83|1.42|2.13|1.7|1.82|1.42|2.13|0.0|0.0|1.75|1.78|3.4|1.5811|88715|21179006 59236|PETQ|PETQ|71639T106|US71639T1060|PetIQ Inc|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN5-6|TXN14-3|TXN6-4|TXN6-8|29190000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103015|Health Care |Health Care |Pharmaceuticals and Biotechnology|Pharmaceuticals |N||N||||||Y|0|Y||||||18.08|18.08|0.0|18.11|18.05|18.12|17.99|18.01|0.0|0.0|18.02|18.14|18.02|18.12|18.23|18.01|18.02|17.99|18.135|18.02|17.82|18.21|14.02|22.23|17.87|18.18|17.98|18.05|17.97|0.0|18.01|18.02|22.98|8.75|245076|68103184 3108|PETS|PETS|716382106|US7163821066|PetMed Express Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN5-5|TXN10-5|TXN6-6|TXN5-3|21150000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||45|4520|452010|45201015|Consumer Staples |Personal Care, Drug and Grocery Stores |Personal Care, Drug and Grocery Stores |Drug Retailers|N||N||||||Y|0|Y||||||7.67|7.675|0.0|7.73|7.68|7.675|7.68|7.675|0.0|0.0|7.68|7.7|7.69|7.66|7.69|7.68|7.69|7.68|7.67|7.69|7.6|7.75|5.99|9.48|7.61|7.74|7.64|7.71|7.66|7.71|7.67|7.69|22.64|5.5|422785|114952422 44351|PETV|PETV|716817408|US7168174081|PetVivo Holdings 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February|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-6|TXN1-8|TXN9-4|TXN2-6|TXN3-3|14600000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||31.91|31.9644|0.0|0.0|0.0|0.0|31.97|31.91|0.0|0.0|31.92|31.91|31.89|31.94|31.91|31.91|31.93|31.9644|31.84|31.9644|31.93|32.0|31.82|32.0|31.92|32.01|31.93|32.02|31.88|32.05|31.94|31.99|32.07|28.0|21181|29816121 24600|PFF|PFF|464288687|US4642886877|iShares Preferred and Income Securities ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN6-3|TXN11-2|TXN5-3|TXN6-5|429300000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||30.64|30.64|0.0|30.63|30.64|30.63|30.635|30.655|0.0|0.0|30.63|30.66|30.62|30.625|30.65|30.63|30.63|30.64|30.625|30.62|30.61|30.64|28.8|32.7|30.62|30.64|29.24|32.28|0.0|0.0|30.62|30.64|33.9|28.15|3707295|903112434 60995|PFFA|PFFA|26923G822|US26923G8226|ETFis Series Trust I|Virtus InfraCap U.S. Preferred Stock ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Virtus ETF Advisers |GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-7|TXN3-2|TXN5-8|TXN2-2|TXN3-2|34400004|||Monthly|||||2018-05-16||PFFA.NV|PFFA.SO|PFFA.TC|PFFA.EU|PFFA.IV| | | | | | | | | ||Virtus InfraCap U.S. Preferred Stock ETF seeks current income and, secondarily, capital appreciation.|N|0|N|N|416A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||Y|0|Y||Y|2|||19.76|19.78|0.0|0.0|19.75|19.75|19.779|19.715|0.0|0.0|19.76|19.74|19.75|19.75|0.0|19.74|19.75|19.78|0.0|19.78|15.27|24.37|15.27|24.37|19.77|19.78|15.27|24.37|19.29|20.14|19.77|19.78|21.71|17.83|221065|38949910 59550|PFFD|PFFD|37954Y657|US37954Y6573|Global X Funds|Global X U.S. Preferred ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Global X|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-8|TXN3-8|TXN9-6|TXN1-1|TXN1-5|119090000|||Monthly|||||2020-01-14||PFFD.NV|PFFD.SO|PFFD.EU|PFFD.TC|PFFD.IV| | | | | | | | | |1x|The Global X U.S. Preferred ETF seeks to provide investment results that correspond generally to the price and yield performance, before fees and expenses, of the ICE BofAML Diversified Core U.S. Preferred Securities Index (Underlying Index). The Underlying Index is designed to track the broad-based performance of the U.S. preferred securities market.|N|0|N|N|416A|USA|US|FIXED_INCOME|INDEX|||||||||N||N||||||Y|0|Y||Y|1|||19.18|19.175|0.0|0.0|19.21|19.175|19.175|19.215|0.0|0.0|19.18|19.19|19.175|19.18|19.21|19.175|19.19|19.17|19.17|19.17|19.17|20.0|17.98|20.58|19.18|19.19|19.12|19.26|19.12|19.26|19.17|19.19|21.97|17.37|873472|167978923 61836|PFFL|PFFL|90274E174|US90274E1745|UBS AG|ETRACS 2xMonthly Pay Leveraged Preferred Stock Index ETN due September 25, 2048|Operating company|ETN|N|N|P|Y|Y|Y|Y|Y||||||||UBS|IMC Chicago, LLC, DBA IMC Financial Markets|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-3|TXN1-8|TXN1-5|TXN1-1|TXN3-3|1000000|||Monthly|||||2018-09-26|2048-09-25| |PFFL.SO| | |PFFL.IV| | | | | | | | | |2x|The ETRACS Monthly Pay 2xLeveraged Preferred Stock ETN (NYSE: PFFL) (PFFL or the ETN) is an Exchange Traded Note linked to the performance of the Solactive Preferred Stock ETF Index less investor fees. The ETN pays a variable monthly coupon linked to the cash distributions on the constituents in the Index.|N|0|N|N|416A|GBR|CH|FIXED_INCOME|LEVERAGED|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|9.805|9.03|0.0|0.0|0.0|0.0|9.6|0.0|0.0|0.0|0.0|9.5809|0.0|9.5809|9.5|9.59|9.53|9.66|9.51|9.85|0.0|0.0|0.0|0.0|9.51|9.85|12.8895|7.86|5725|1223844 56624|PFFR|PFFR|26923G400|US26923G4001|ETFis Series Trust I|InfraCap REIT Preferred ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Virtus ETF Advisers |GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-1|TXN3-4|TXN6-8|TXN2-6|TXN3-3|3500004|||Monthly|||||2017-02-08||PFFR.NV|PFFR.SO|PFFR.EU|PFFR.TC|PFFR.IV| | | | | | | | | |1x|PFFRs index will target U.S.-listed preferred securities issued by real estate investment trusts (REITs). Each security must have at least $75 million in market capitalization and a six-month average monthly trading volume of at least 250,000 shares. The yield-to-worst on each security must be at least 3%, and diversification rules limit the weight of any REIT subsector to 30% of the index; however, the diversified REIT subsector is limited to 35%. Issuer weights are capped at 10%.|N|0|N|N|416A|USA|US|FIXED_INCOME|INDEX|||||||||N||N||||||N|0|Y||Y|2|||17.89|17.8|0.0|0.0|0.0|17.8|17.91|17.82|0.0|0.0|17.8|17.8|17.8|17.8|0.0|0.0|17.8|17.78|0.0|17.78|0.0|0.0|17.76|17.94|17.78|17.96|0.0|0.0|0.0|0.0|17.78|17.96|19.32|16.07|23860|4004844 66812|PFFV|PFFV|37954Y376|US37954Y3760|Global X Funds|Global X Variable Rate Preferred ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Global X|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-3|TXN4-2|TXN4-8|TXN4-1|TXN1-6|9610000|||Monthly|||||2020-06-24||PFFV.NV|PFFV.SO|PFFV.EU|PFFV.TC|PFFV.IV| | | | | | | | | |1x|The Global X Variable Rate Preferred ETF seeks to provide investment results that correspond generally to the price and yield performance, before fees and expenses, of the ICE U.S. Variable Rate Preferred Securities Index.|N|0|N|N|416A|USA|US|FIXED_INCOME|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||23.16|23.31|0.0|0.0|23.31|23.28|23.2899|23.3|0.0|0.0|23.3|0.0|23.3|23.276|0.0|23.3|23.3|23.31|0.0|23.31|17.8|28.78|17.8|28.78|23.22|23.29|17.8|28.78|0.0|0.0|23.22|23.29|24.72|20.8|20321|15477711 8491|PFG|PFG|74251V102|US74251V1026|Principal Financial Group Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN5-5|TXN10-3|TXN5-7|TXN5-3|238410000|||NotApplicable|||||||||||| | | | | | | | | |||N|5|Y|N||USA||||30|3030|303010|30301010|Financials|Insurance|Life Insurance|Life Insurance|N||N||||||Y|0|Y||||||75.11|75.09|0.0|75.14|75.07|75.08|75.09|75.08|0.0|0.0|75.06|75.07|75.1|75.1|74.97|75.06|74.92|75.1|75.1|75.1|75.02|75.14|70.43|79.93|75.06|75.11|75.05|75.14|0.0|0.0|75.09|75.1|93.87|65.165|1238568|332215163 51460|PFGC|PFGC|71377A103|US71377A1034|Performance Food Group Company|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|P|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-6|TXN4-6|TXN8-6|TXN3-7|TXN3-1|155600000|||NotApplicable|||||2015-10-01||||||| | | | | | | | | |||N|0|Y|Y|118D|USA|US|||45|4520|452010|45201010|Consumer Staples |Personal Care, Drug and Grocery Stores |Personal Care, Drug and Grocery Stores |Food Retailers and Wholesalers |N||N||||||Y|0|Y||Y|1|||65.35|65.35|0.0|65.39|65.35|65.355|65.35|65.35|0.0|0.0|65.275|65.34|65.35|65.35|65.27|65.36|65.28|65.36|65.34|65.36|65.35|65.36|61.53|69.16|65.25|65.36|65.3|65.39|65.3|65.4|65.35|65.36|65.76|52.32|797502|231576267 67415|PFH|PFH|744320888|US7443208886|Prudential Financial, Inc.|4.125% Junior Subordinated Notes due 2060|Operating company|G|N|N|N|Y|Y|Y|Y|Y|6|H|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN1-4|TXN1-5|TXN3-4|TXN1-2|20000000|||Quarterly|||||2020-09-02|2060-09-01|||||| | | | | | | | | |||N|0|N|N|416A||US|||||||||||N||N||||||N|0|Y||Y|2|||19.15|19.28|0.0|0.0|19.24|19.16|19.17|19.17|0.0|0.0|0.0|0.0|19.15|18.93|0.0|19.16|0.0|19.16|17.542187|19.16|19.16|19.25|0.0|0.0|18.81|19.67|0.0|0.0|0.0|0.0|19.16|19.25|21.18|17.2|26775|7190821 17332|PFI|PFI|46137V860|US46137V8607|Invesco Dorsey Wright Financial Momentum ETF|FINCL SECT||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN6-6|TXN13-4|TXN5-7|TXN5-1|610000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|43.751|0.0|0.0|0.0|0.0|0.0|43.85|0.0|0.0|0.0|0.0|43.751|0.0|43.85|43.34|44.24|43.57|43.98|43.54|43.98|43.57|43.91|43.57|43.91|43.7|43.84|46.21|37.65|1260|1270820 19055|PFIE|PFIE|74316X101|US74316X1019|Profire Energy Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN5-1|TXN14-4|TXN5-8|TXN5-7|47590000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||60|6010|601010|60101030|Energy|Energy|Oil, Gas and Coal|Oil Equipment and Services|N||N||||||N|0|Y||||||1.67|1.68|0.0|1.7|1.68|1.68|1.67|1.675|0.0|0.0|1.68|1.68|1.67|1.67|1.69|1.67|1.69|1.67|1.72|1.67|1.66|1.7|1.36|2.04|1.66|1.7|1.64|1.71|1.66|1.71|1.67|1.68|3.2899|0.98|297189|81502742 38761|PFIG|PFIG|46138E693|US46138E6932|Invesco Exchange-Traded Fund Trust II|Invesco Fundamental Investment Grade Corporate Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Invesco|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-6|TXN2-6|TXN5-8|TXN3-7|TXN4-4|1800000|||Monthly|||||2011-09-15||PFIG.NV|PFIG.SO|PFIG.EU|PFIG.TC|PFIG.IV| | | | | | | | | |1x|The Fund seeks investment results that correspond generally to the price and yield of the RAFI Investment Grade Bond Index. The Underlying Index represents the performance of a theoretical portfolio of investment grade corporate bonds that must be rated BBB/Baa or higher by both Moodys and S&P. The Underlying Index is comprised of U.S. dollar-denominated bonds registered for sale in the United States whose issuers are public companie listed on a major U.S. stock exchange. Only securities with greater than one year to maturity qualify for inclusion in the Underlying Index.|N|0|N|N|406C|USA|US|FIXED_INCOME|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|23.18|0.0|0.0|0.0|0.0|23.195|23.19|0.0|0.0|0.0|0.0|23.2|23.2|0.0|0.0|0.0|23.195|0.0|23.195|0.0|0.0|0.0|0.0|23.17|23.22|0.0|0.0|0.0|0.0|23.17|23.22|23.7776|21.3772|9258|4654287 3120|PFIN|PFIN|692830508|US6928305084|P&F Industries Inc|CL A COM USD1||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN6-1|TXN12-2|TXN6-3|TXN5-4|3200000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502040|50204040|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Tools|N||N||||||N|0|Y||||||0.0|12.95|0.0|0.0|0.0|12.92|12.95|0.0|0.0|0.0|0.0|0.0|12.93|0.0|0.0|0.0|0.0|12.91|0.0|12.91|12.56|13.27|0.0|0.0|12.6|13.23|0.0|0.0|0.0|0.0|12.91|12.93|12.95|4.9|5087|1416803 13937|PFIS|PFIS|711040105|US7110401053|Penseco Financial Services Corp|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN5-5|TXN12-4|TXN6-2|TXN6-6|7040000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||||||0.0|44.8|0.0|0.0|0.0|44.6|44.65|0.0|0.0|0.0|44.07|0.0|44.83|0.0|0.0|44.32|0.0|44.8|0.0|44.83|42.72|46.31|0.0|0.0|44.1|46.03|0.0|0.0|0.0|0.0|44.1|44.99|55.575|30.6|9157|2803943 70551|PFIX|PFIX|82889N855|US82889N8552|Simplify Exchange Traded Funds|Simplify Interest Rate Hedge ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Simplify|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-7|TXN1-1|TXN8-8|TXN1-2|TXN3-5|2250001|||Monthly|||||2021-05-11||PFIX.NV|PFIX.SO|PFIX.EU|PFIX.TC|PFIX.IV| | | | | | | | | |1x|The Simplify Interest Rate Hedge ETF is an actively managed ETF that seeks to hedge interest rate movements arising from rising long-term interest rates, and to benefit from market stress when fixed income volatility increases, while providing the potential for income.|N|0|N|N|416A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||Y|0|Y||Y|1|||85.88|85.62|0.0|0.0|85.86|85.98|85.9|85.88|0.0|0.0|86.14|0.0|85.53|85.88|0.0|85.91|0.0|85.79|85.88|85.79|80.47|91.52|80.47|91.52|84.96|85.8|80.47|91.52|0.0|0.0|84.86|85.9|114.4238|56.8844|52630|32394900 8495|PFL|PFL|72201H108|US72201H1086|PIMCO Income Strategy Fund|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN3-2|TXN5-8|TXN2-3|TXN3-4|35380000|||Monthly|||||2003-08-27||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||8.23|8.22|0.0|8.19|8.21|8.225|8.2275|8.225|0.0|0.0|8.22|8.22|8.22|0.0|0.0|8.23|8.21|8.225|0.0|8.23|8.22|8.23|6.32|10.03|7.64|8.75|8.19|8.26|8.2|8.24|8.22|8.23|9.07|6.98|133846|24331014 65088|PFLD|PFLD|26922A198|US26922A1988|ETF Series Solutions|AAM Low Duration Preferred and Income Securities ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Advisors Asset Management|RBC Capital Markets, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-6|TXN4-1|TXN5-8|TXN3-1|TXN2-6|10000000|||Monthly|||||2019-11-20||PFLD.NV|PFLD.SO|PFLD.EU|PFLD.TC|PFLD.IV| | | | | | | | | |1x|The AAM Low Duration Preferred and Income Securities ETF (the Fund) seeks to track the total return performance, before fees and expenses, of the ICE 0-5 Year Duration Exchange-Listed Preferred & Hybrid Securities Index (the Index). The Index measures the performance of exchange-listed, U.S. dollar-denominated preferred securities and hybrid securities listed on the New York Stock Exchange (NYSE) or NASDAQ Capital Market (NASDAQ) with an option-adjusted duration of less than 5 years. Duration is a measure of a securitys price sensitivity to changes in yields or interest rates and a lower duration indicates less sensitivity to interest rates.|N|0|N|N|416A|USA|US|FIXED_INCOME|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|20.94|0.0|0.0|20.92|20.92|20.93|20.92|0.0|0.0|20.91|0.0|20.93|20.91|20.93|20.91|20.91|20.94|0.0|20.94|16.01|25.84|16.01|25.84|20.86|20.95|16.01|25.84|0.0|0.0|20.87|20.95|22.3599|19.69|63002|13048913 37698|PFLT|PFLT|70806A106|US70806A1060|PennantPark Floating Rate Capital Ltd.|Common Stock|Business development company|A|N|N|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-6|TXN1-7|TXN2-7|TXN3-6|TXN2-5|58740000|||Monthly|||||2022-04-14||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||Y|0|Y||Y|2|||11.17|11.17|0.0|11.21|11.16|11.17|11.17|11.165|0.0|0.0|11.17|11.17|11.2|11.18|11.18|11.18|11.17|11.17|11.165|11.18|11.16|11.18|8.68|13.75|11.15|11.19|11.14|11.2|11.15|11.19|11.16|11.18|12.33|9.69|546977|114410096 15789|PFM|PFM|46137V506|US46137V5066|Invesco Exchange-Traded Fund Trust Invesco Dividend Achievers ETF|DIV ACHV PRTF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN6-6|TXN10-2|TXN6-5|TXN6-3|15940000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|38.8|0.0|0.0|0.0|38.76|38.84|0.0|0.0|0.0|38.76|0.0|38.8275|0.0|0.0|0.0|0.0|38.84|0.0|38.8275|38.76|38.91|38.73|0.0|38.81|38.83|38.73|40.67|38.73|0.0|38.81|38.83|39.34|34.8441|33283|12447452 40544|PFMT|PFMT|71377E105|US71377E1055|Performant Financial Corp|COM USD0.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN6-4|TXN14-4|TXN5-2|TXN5-1|76880000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502050|50205020|Industrials|Industrial Goods and Services|Industrial Support Services|Professional Business Support Services|N||N||||||N|0|Y||||||2.985|2.98|0.0|0.0|2.97|2.97|2.99|2.97|0.0|0.0|2.98|2.95|2.99|2.96|0.0|0.0|0.0|2.985|0.0|2.99|2.92|3.04|2.31|3.66|2.93|3.03|2.38|3.01|2.95|3.01|2.98|2.99|3.97|2.0|147677|48033404 8496|PFN|PFN|72201J104|US72201J1043|PIMCO Income Strategy Fund II|Common Shares of Beneficial Interest, $0.00001 par value|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN1-7|TXN7-7|TXN2-7|TXN4-6|78680000|||Monthly|||||2004-10-27||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||7.21|7.13|0.0|0.0|7.07|7.14|7.13|7.14|0.0|0.0|7.13|7.13|7.14|7.16|7.14|7.14|7.2|7.14|0.0|7.14|7.13|7.15|5.43|8.8|7.12|7.16|7.11|7.16|7.12|7.16|7.13|7.15|8.045|5.935|314531|55483411 8497|PFO|PFO|33848E106|US33848E1064|Flaherty & Crumrine Preferred and Income Opportunity Fund Incorporated|Common Stock|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN2-1|TXN8-8|TXN1-6|TXN1-1|13050000|||Monthly|||||1992-02-06||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||7.86|7.89|0.0|0.0|7.9|7.88|7.88|7.9|0.0|0.0|7.9|7.88|7.88|0.0|0.0|7.87|7.88|7.88|0.0|7.87|7.87|7.89|6.06|9.6|7.33|7.9|6.06|9.6|0.0|0.0|7.87|7.89|9.79|6.9|45611|6072142 74082|PFRL|PFRL|69344A883|US69344A8835|PGIM ETF Trust|PGIM Floating Rate Income ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||PGIM Investments|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-4|TXN1-5|TXN7-8|TXN4-8|TXN1-5|975000|||Monthly|||||2022-05-24||PFRL.NV|PFRL.SO|PFRL.EU|PFRL.TC| | | | | | | | | | |1x|The PGIM Floating Rate Income ETF is an exchange-traded fund incorporated in the USA. The Fund seeks to maximize current income by investing primarily in floating rate loans.|N|0|N|N|416A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|50.05|0.0|0.0|0.0|50.06|50.055|49.88241|0.0|0.0|50.05|50.05|50.06|0.0|50.06|50.06|0.0|50.059|0.0|50.059|50.04|50.08|0.0|0.0|50.04|50.06|50.04|50.08|0.0|0.0|50.04|50.06|50.83|48.6979|10337|1680182 8500|PFS|PFS|74386T105|US74386T1051|Provident Financial Services, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|A|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-2|TXN3-5|TXN7-6|TXN1-6|TXN4-1|75610000|||Quarterly|||||2003-01-16||||||| | | | | | | | | |||N|0|N|Y|402B|USA|US|||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||Y|2|||16.3|16.31|0.0|16.18|16.3|16.31|16.31|16.3|0.0|0.0|16.31|16.31|16.31|16.32|16.33|16.31|16.46|16.3|16.38|16.31|16.3|16.32|12.4|20.12|16.29|16.32|16.28|16.35|16.28|16.35|16.3|16.32|24.575|13.43|625698|115247505 41966|PFSI|PFSI|70932M107|US70932M1071|PennyMac Financial Services, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN3-7|TXN7-8|TXN1-1|TXN1-7|49930000|||Adhoc|||||2013-05-09||||||| | | | | | | | | |||N|0|N|Y|408A|USA|US|||30|3020|302010|30201025|Financials|Financial Services |Finance and Credit Services|Mortgage 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LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-8|TXN1-2|TXN1-8|TXN3-7|TXN4-5|65100000|||Monthly|||||2008-11-25||PGF.NV|PGF.SO|PGF.EU|PGF.TC|PGF.IV| | | | | | | | | |1x|The PowerShares Financial Preferred Portfolio (Fund) is based on the Wachovia Hybrid & Preferred Securities Financial Index (WHPSsm Financial Index) (Index). 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|||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||25.57|25.51|0.0|0.0|25.5|25.46|25.5|0.0|0.0|0.0|25.47|0.0|25.48|0.0|0.0|25.46|0.0|25.51|0.0|25.48|25.43|25.52|25.23|25.77|25.47|25.52|25.23|25.78|25.23|25.78|25.48|25.52|33.93|23.87|26730|15477601 64901|PGNY|PGNY|74340E103|US74340E1038|Progyny Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN6-8|TXN14-8|TXN5-3|TXN5-5|95840000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201010|20101020|Health Care |Health Care |Health Care Providers|Health Care Management Services|N||N||||||Y|0|Y||||||34.98|35.18|0.0|34.96|35.18|35.18|35.187|35.18|0.0|0.0|35.18|35.11|35.19|34.96|35.09|35.18|35.02|35.187|35.09|35.19|35.11|35.24|27.08|42.26|35.09|35.25|35.13|35.23|35.15|35.24|35.15|35.18|44.95|28.03|458430|186411072 8516|PGP|PGP|722011103|US7220111030|PIMCO Global StocksPLUS & Income Fund|Common Shares, par value of $.00001 per share.|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN1-8|TXN8-8|TXN2-4|TXN3-6|11310000|||Monthly|||||2005-05-26||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||7.09|7.08|0.0|0.0|7.09|7.13|7.08|7.12|0.0|0.0|7.08|0.0|7.12|7.08|7.08|7.09|7.13|7.09|0.0|7.09|7.09|7.13|7.05|7.12|6.61|7.56|0.0|0.0|0.0|0.0|7.09|7.13|8.4999|5.83|43921|8678021 8517|PGR|PGR|743315103|US7433151039|The Progressive Corporation|Common Shares|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|J|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-3|TXN4-4|TXN8-4|TXN2-6|TXN2-7|585040000|||Quarterly|||||1987-06-01||||||| | | | | | | | | |||N|5|Y|Y|410B|USA|US|||30|3030|303020|30302025|Financials|Insurance|Non-life Insurance|Property and Casualty Insurance|N||N||||||Y|0|Y||Y|1|||163.3|163.35|0.0|163.18|163.35|163.41|163.41|163.39|0.0|161.97|163.31|163.35|163.4|163.39|163.39|163.41|163.24|163.41|163.42|163.41|163.39|163.41|151.73|172.6|163.32|163.44|163.22|163.57|163.17|163.58|163.39|163.41|164.85|111.41|1569738|608882940 48902|PGRE|PGRE|69924R108|US69924R1086|Paramount Group, Inc.|Common Stock|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-7|TXN2-1|TXN1-7|TXN1-6|TXN4-8|217350000|||Quarterly|||||2014-11-19||||||| | | | | | | | | |||N|0|N|Y|414A|USA|US|||35|3510|351020|35102030|Real Estate|Real Estate |Real Estate Investment Trusts|Office REITs|N||N||||||N|0|Y||Y|2|||5.13|5.14|0.0|0.0|5.13|5.135|5.14|5.135|0.0|0.0|5.14|5.14|5.14|5.13|5.14|5.14|5.14|5.14|5.14|5.14|5.13|5.14|3.97|6.3|5.13|5.15|5.11|5.16|5.13|5.17|5.13|5.14|6.74|3.9|1416889|403544759 70724|PGRO|PGRO|746729409|US7467294093|Putnam ETF Trust|Putnam Focused Large Cap Growth ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Putnam|RBC Capital Markets, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-3|TXN4-7|TXN5-7|TXN3-6|TXN3-5|1550000|||Yearly|||||2021-05-26||PGRO.NV|PGRO.SO|PGRO.EU|PGRO.TC|PGRO.IV| | | | | | | | | |1x|Putnam Focused Large Cap Growth ETF seeks capital appreciation by investing mainly in common stocks of large U.S. companies, with a focus on growth stocks.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|27.79|27.6601|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|27.706|0.0|27.706|0.0|0.0|0.0|0.0|27.69|27.71|25.18|40.34|0.0|0.0|19.9|27.71|28.15|19.5551|181|1696502 73722|PGRU|PGRU|G7258M108|KYG7258M1087|PropertyGuru Group Limited|Ordinary Shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN4-6|TXN2-8|TXN2-4|TXN1-2|162580000|||NotApplicable|||||2022-03-18||||||| | | | | | | | | |||N|0|N|Y|108B|SGP|KY|||35|3510|351010|35101015|Real Estate|Real Estate |Real Estate Investment and Services Development|Real Estate Services|N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|3.34|3.42|3.4|0.0|0.0|3.4|3.39|3.4|0.0|0.0|3.38|0.0|3.38|0.0|3.38|3.33|3.41|0.0|0.0|3.27|3.48|2.68|4.2|0.0|0.0|3.33|3.41|5.15|3.2|33548|2795723 72875|PGSS|PGSS|G69768102|KYG697681024|Pegasus Digital Mobility Acquisition Corp.|Class A Ordinary Shares|Special purpose acquisition company|A|N|N|N|Y|Y|Y|Y|Y|6|O|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN2-6|TXN1-5|TXN4-4|TXN4-5|5000000|||NotApplicable|||||2021-12-13||||||| | | | | | | | | |||N|0|N|N|180B|CYM|KY|||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|11.05|0.0|0.0|0.0|0.0|0.0|11.03|0.0|0.0|11.03|0.0|11.03|0.0|11.03|11.03|11.1|0.0|0.0|10.36|11.77|0.0|0.0|0.0|0.0|11.03|11.1|11.1|10.16|210|5548381 72876|PGSS WS|PGSS.WS|G69768110|KYG697681107|Pegasus Digital Mobility Acquisition Corp.|Redeemable Warrants|Special purpose acquisition company|C|N|N|N|Y|Y|Y|Y|Y|6|O|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN6-8|TXN4-8|TXN4-8|TXN2-4|TXN2-6|0|||NotApplicable|||||2021-12-13||||||| | | | | | | | | |||N|0|N|N|180B|CYM|KY|||||||||||N||N||||||N|0|Y|C|N||||0.0|0.09|0.0|0.0|0.0|0.0|0.0811|0.0|0.0|0.0|0.09|0.0|0.09|0.09|0.0|0.0811|0.0|0.0811|0.0|0.0811|0.06|0.09|0.0|0.0|0.05|0.0925|0.0|0.0|0.0|0.0|0.06|0.09|0.2201|0.02|3400|4898148 72108|PGSS U|PGSS.U|G69768128|KYG697681289|Pegasus Digital Mobility Acquisition Corp.|Units, each consisting of one Class A ordinary share and one-half of one redeemable warrant|Special purpose acquisition company|R|N|N|N|Y|Y|Y|Y|Y|6|O|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN3-6|TXN8-8|TXN2-7|TXN1-6|0|||NotApplicable|||||2021-10-22||||||| | | | | | | | | |||N|0|N|N|180B|CYM|KY|||||||||||N||N||||||N|0|Y||Y|2|||11.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|11.0|0.0|11.0|11.2|11.0|10.99|12.11|0.0|0.0|10.99|12.11|9.04|15.09|0.0|0.0|10.99|12.11|11.4294|10.18|400|98520 16759|PGTI|PGTI|69336V101|US69336V1017|PGT Innovations, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|P|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN2-3|TXN8-7|TXN4-4|TXN4-5|57050000|||NotApplicable|||||2016-12-28||||||| | | | | | | | | |||N|0|N|Y|124B|USA|US|||50|5010|501010|50101035|Industrials|Construction and Materials|Construction and Materials |Building Materials: Other|N||N||||||Y|0|Y||Y|2|||32.9|32.91|0.0|32.92|32.95|32.91|32.909|32.92|0.0|0.0|32.9|32.78|32.91|32.91|32.92|32.94|32.92|32.95|32.77|32.94|32.9|32.95|25.19|40.09|32.84|33.08|32.89|32.99|32.9|32.94|32.9|32.95|33.92|17.43|301989|107686778 26961|PGX|PGX|46138E511|US46138E5116|Invesco Exchange-Traded Fund Trust II|Invesco Preferred ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Invesco|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-6|TXN2-6|TXN9-7|TXN3-5|TXN3-3|396050000|||Monthly|||||2008-11-25||PGX.NV|PGX.SO|PGX.EU|PGX.TC|PGX.IV| | | | | | | | | |1x|The PowerShares Preferred Portfolio (Fund) is based on the Merrill Lynch Fixed Rate Preferred Securities Index. The Fund will normally invest at least 90% of its total assets in securities that comprise the Index. The Index is designed to replicate the total return of a diversified group of investment-grade preferred securities. (Securities must be investment-grade, based on an average of three leading ratings agencies: Moodys, S&P and Fitch). The Index is rebalanced on a monthly basis. The Underlying Index is a market capitalization-weighted index which seeks to reflect the total return performance of the fixed rate U.S. preferred securities market. The methodology evaluates securities regarding eligibility for inclusion in the Underlying Index monthly, based on a defined set of qualifying criteria established by the Index Provider.|N|0|N|N|406C|USA|US|FIXED_INCOME|INDEX|||||||||N||N||||||N|0|Y||Y|1|||11.27|11.265|0.0|0.0|11.26|11.265|11.265|11.27|0.0|0.0|11.28|11.28|11.26|11.27|11.27|11.265|11.28|11.26|11.28|11.26|11.25|11.27|10.64|12.05|11.26|11.27|11.22|11.3|11.23|11.3|11.26|11.27|12.81|10.135|5164271|1154887740 70283|PGY|PGY|M7S64L115|IL0011858912|Pagaya Technologies Ltd|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN5-5|TXN12-2|TXN5-8|TXN6-8|535120000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||ISR||||50|5020|502050|50205020|Industrials|Industrial Goods and Services|Industrial Support Services|Professional Business Support Services|N||N||||||Y|0|Y||||||1.43|1.435|0.0|1.43|1.43|1.435|1.43|1.435|0.0|0.0|1.435|1.44|1.44|1.43|1.435|1.435|1.44|1.435|1.44|1.44|1.41|1.44|1.14|1.72|1.41|1.44|1.4|1.47|1.42|1.45|1.43|1.44|2.83|0.5701|7020100|1160049930 70284|PGYWW|PGYWW|M7S64L107|IL0011859092|Pagaya Technologies Ltd|EJFAW||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-4|TXN5-7|TXN11-5|TXN6-8|TXN6-8|708910000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||ISR||||||||||||N||N||||||N|0|Y||||||0.0|0.2475|0.0|0.0|0.0|0.2312|0.248|0.0|0.0|0.0|0.2325|0.2312|0.2476|0.0|0.0|0.0|0.0|0.2475|0.0|0.2475|0.186|0.2856|0.186|0.2856|0.2375|0.257|0.186|0.2856|0.0|0.0|0.2401|0.2402|0.5|0.0615|12508|9325205 42271|PGZ|PGZ|74255X104|US74255X1046|Principal Real Estate Income Fund|Common shares of beneficial interest, no par value per share|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN1-6|TXN8-8|TXN1-8|TXN2-3|6770000|||Monthly|||||2013-06-26||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|9.43|0.0|0.0|9.28|9.41|9.4058|9.38|0.0|0.0|9.4|9.41|9.39|9.46|0.0|9.4058|9.42|9.4058|0.0|9.4058|9.39|9.41|9.42|9.47|8.8|10.11|0.0|0.0|0.0|0.0|9.39|9.41|11.9019|8.4637|15732|5702666 8520|PH|PH|701094104|US7010941042|Parker-Hannifin Corporation|Common Shares|Operating 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Leiden|ADR||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN5-5|TXN11-2|TXN5-3|TXN5-2|669410000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||NLD||||20|2010|201030|20103015|Health Care |Health Care |Pharmaceuticals and Biotechnology|Pharmaceuticals |N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|11.29|0.0|0.0|0.0|0.0|0.0|11.14|0.0|0.0|0.0|0.0|11.29|0.0|11.29|11.08|11.73|0.0|0.0|11.08|11.73|0.0|0.0|0.0|0.0|11.08|11.73|17.81|9.65|1439|2165165 64902|PHAT|PHAT|71722W107|US71722W1071|Phathom Pharmaceuticals Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN6-3|TXN11-2|TXN5-6|TXN6-8|57250000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||8.435|8.44|0.0|8.48|8.47|8.43|8.435|8.44|0.0|0.0|8.44|8.51|8.43|8.46|8.49|8.43|8.5|8.435|8.47|8.43|8.35|8.8|6.53|10.35|8.38|8.6|8.41|8.47|8.41|8.47|8.43|8.44|17.0185|5.84|1026686|96266925 26250|PHB|PHB|46138E719|US46138E7195|Invesco Exchange-Traded Fund Trust II|Invesco Fundamental High Yield Corporate Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Invesco|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN2-5|TXN3-8|TXN3-5|TXN1-2|30600000|||Monthly|||||2008-11-03||PHB.NV|PHB.SO|PHB.EU|PHB.TC|PHB.IV| | | | | | | | | |1x|The PowerShares Fundamental High Yield Corporate Bond Portfolio (Fund) is based on the RAFI High Yield Bond Index (Index). The Fund will normally invest at least 80% of its total assets in the securities that comprise the Index. The Index is comprised of U.S. dollar-denominated bonds registered for sale in the United States whose issuers are public companies listed on major U.S. stock exchanges. 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losses experienced by investors (before fees, expenses, and taxes) through the incorporation of an option overlay hedge strategy.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|25.86|0.0|25.86|0.0|0.0|25.83|25.95|25.86|25.95|25.84|25.98|25.83|25.95|25.86|25.95|25.99|24.0713|100|15947 8523|PHG|PHG|500472303|US5004723038|Koninklijke Philips N.V.|New York Registry Shares|Operating company|M|N|Y|N|Y|Y|Y|Y|Y|6|T|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-5|TXN4-3|TXN3-2|TXN4-6|TXN1-3|928650000|||Yearly|||||1987-04-14||||||| | | | | | | | | |||N|0|N|Y|170A|NLD|NL|||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||Y|0|Y||Y|2|||20.38|20.38|0.0|20.31|20.38|20.385|20.3875|20.39|0.0|0.0|20.385|20.385|20.385|20.41|20.4|20.38|20.385|20.38|20.385|20.38|20.38|20.4|15.75|24.9|20.38|20.4|20.36|20.41|20.36|20.42|20.38|20.4|23.3|12.9569|878175|313432101 63212|PHGE|PHGE|09090D103|US09090D1037|BiomX Inc.|Common Stock|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN10-1|TXN2-7|TXN9-8|TXN1-6|TXN1-2|45980000|||Monthly|||||2019-03-13||||||| | | | | | | | | |||N|0|N|N|310A|ISR|US|||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y|D|Y|2|||0.2701|0.286|0.0|0.0|0.2701|0.2701|0.2799|0.277|0.0|0.0|0.27|0.2701|0.2701|0.275|0.0|0.0|0.2702|0.2702|0.2599|0.2702|0.2172|0.3336|0.27|0.279|0.2699|0.2852|0.2172|0.3336|0.0|0.0|0.27|0.279|0.69|0.132|460136|48033890 62624|PHGE U|PHGE.U|09090D202|US09090D2027|BiomX Inc.|Units each consisting of one share of common stock and one Warrant entitling the holder to purchase one-half of a share of common stock|Operating company|R|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN12-4|TXN4-6|TXN4-8|TXN3-4|TXN3-3|45980000|||NotApplicable|||||2018-12-14||||||| | | | | | | | | 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Services|N||N||||||N|0|Y||Y|2|||22.78|22.95|0.0|0.0|22.89|22.93|22.89|22.86|0.0|0.0|22.95|22.98|22.89|22.74|22.74|22.86|22.97|22.89|22.48|22.86|22.86|22.91|17.79|28.37|22.81|23.01|18.28|28.37|22.83|22.94|22.86|22.91|30.64|19.02|38742|14127855 75952|PHIN|PHIN|71880K101|US71880K1016|PHINIA Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|M|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN3-3|TXN5-8|TXN1-2|TXN3-6|46690000|||Quarterly|||||2023-06-28||||||| | | | | | | | | |||N|0|Y|Y|132A|USA|US|||40|4010|401010|40101025|Consumer Discretionary|Automobiles and Parts|Automobiles and Parts|Auto Parts|N||N||||||Y|0|Y||Y|1|||27.23|27.26|0.0|27.18|27.26|27.24|27.25|27.26|0.0|0.0|27.24|27.24|27.24|27.24|27.23|27.25|27.05|27.25|27.14|27.25|27.24|27.25|25.5|27.88|27.0|27.45|27.19|27.29|27.24|27.3|27.24|27.25|36.99|23.46|390117|103186271 40198|PHIO|PHIO|71880W402|US71880W4024|Phio Pharmaceuticals Corp|COM USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN5-1|TXN13-8|TXN6-8|TXN6-3|2440000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|1.09|1.13|1.115|0.0|0.0|0.0|1.12|1.11|1.1|0.0|0.0|1.11|0.0|1.115|0.0|1.115|1.02|1.18|0.856|1.34|1.03|1.16|1.02|1.18|0.0|0.0|1.09|1.12|12.27|0.325|18112|114465928 8527|PHK|PHK|722014107|US7220141078|PIMCO High Income Fund|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN4-8|TXN5-6|TXN2-1|TXN2-8|146130000|||Monthly|||||2003-04-25||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||4.82|4.825|0.0|4.83|4.82|4.83|4.822|4.83|0.0|0.0|4.83|4.83|4.83|4.83|4.83|4.84|4.83|4.83|0.0|4.84|4.82|4.83|3.69|5.86|4.82|4.84|4.79|4.86|4.82|4.84|4.82|4.83|5.41|4.13|816659|104043056 8528|PHM|PHM|745867101|US7458671010|PulteGroup, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-5|TXN1-8|TXN9-5|TXN2-4|TXN4-5|215600000|||Quarterly|||||1983-06-29||||||| | | | | | | | | |||N|5|Y|Y|110A|USA|US|||40|4020|402020|40202010|Consumer Discretionary|Consumer Products and Services|Household Goods and Home Construction|Home Construction|N||N||||||Y|0|Y||Y|1|||91.02|91.01|0.0|91.0|91.02|91.02|91.02|91.03|0.0|90.78|91.015|91.0|91.02|91.02|91.03|91.02|90.995|91.01|91.005|91.02|90.97|91.0|84.6|96.23|90.98|91.04|90.94|91.06|90.96|91.08|90.97|91.0|91.44|42.78|1831817|601254629 15775|PHO|PHO|46137V142|US46137V1420|Invesco Water Resources ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN5-1|TXN12-5|TXN5-6|TXN5-2|32340000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|57.33|0.0|0.0|57.29|57.44|57.37|0.0|0.0|0.0|57.38|57.4|57.43|0.0|0.0|0.0|0.0|57.435|0.0|57.43|57.33|57.54|57.31|57.58|57.41|57.45|57.31|57.59|57.31|57.59|57.43|57.45|58.45|49.651|43716|18416038 64075|PHR|PHR|71944F106|US71944F1066|Phreesia, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-6|TXN3-3|TXN2-8|TXN2-6|TXN1-5|55210000|||NotApplicable|||||2019-07-18||||||| | | | | | | | | |||N|0|N|Y|122A|USA|US|||20|2010|201010|20101025|Health Care |Health Care |Health Care Providers|Health Care Services|N||N||||||Y|0|Y||Y|2|||15.2|15.2|0.0|15.67|15.18|15.2|15.19|15.19|0.0|0.0|15.18|15.34|15.19|15.2|15.47|15.18|15.2|15.19|15.49|15.18|15.18|15.2|12.12|18.79|15.18|15.33|15.16|15.23|15.15|15.2|15.18|15.2|40.0|12.05|852446|105047910 8530|PHT|PHT|72369H106|US72369H1068|Pioneer High Income Fund, Inc.|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN1-7|TXN2-8|TXN4-8|TXN1-1|29340000|||Monthly|||||2002-04-26||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||7.23|7.25|0.0|0.0|7.21|7.26|7.2579|7.225|0.0|0.0|7.25|0.0|7.26|0.0|0.0|7.25|7.23|7.26|0.0|7.25|7.25|7.26|5.55|8.82|7.25|7.34|7.22|7.29|7.22|7.27|7.25|7.26|7.26|6.39|54839|24011674 54113|PHUN|PHUN|71948P100|US71948P1003|Phunware Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-5|TXN5-4|TXN13-8|TXN6-6|TXN6-4|135440000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||||||0.1481|0.1485|0.0|0.14|0.155|0.1485|0.1485|0.1527|0.0|0.0|0.1485|0.1485|0.1475|0.1485|0.1519|0.153|0.0|0.1485|0.1485|0.1475|0.1378|0.1608|0.1172|0.1786|0.14|0.155|0.122|0.168|0.0|0.0|0.1475|0.1531|1.15|0.1135|11157477|393153342 54114|PHUNW|PHUNW|71948P118|US71948P1185|Phunware Inc|WRRT||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-5|TXN6-7|TXN13-6|TXN6-7|TXN5-8|128560000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y|C|||||0.0|0.0|0.0|0.0|0.0|0.0|0.04|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.04|0.0|0.04|0.0|0.0|0.0|0.0|0.0421|0.0533|0.0|0.0|0.0|0.0|0.045|0.05|0.71|0.025|344|993947 69071|PHVS|PHVS|N69605108|NL00150005Y4|Pharvaris NV|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN6-8|TXN14-2|TXN6-1|TXN6-1|40860000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||NLD||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|18.6|18.29|0.0|0.0|0.0|18.6|0.0|18.22|0.0|0.0|18.45|0.0|18.6|0.0|18.22|13.78|22.93|0.0|0.0|16.06|19.83|13.78|22.93|0.0|0.0|17.2|18.45|26.86|1.85|17761|10411588 8531|PHX|PHX|69291A100|US69291A1007|PHX Minerals Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN4-8|TXN5-8|TXN3-4|TXN4-2|37000000|||Quarterly|||||2008-07-22||||||| | | | | | | | | |||N|0|N|Y|134B|USA|US|||60|6010|601010|60101010|Energy|Energy|Oil, Gas and Coal|Oil: Crude Producers|N||N||||||N|0|Y||Y|2|||3.38|3.39|0.0|0.0|3.39|3.39|3.4|3.37|0.0|0.0|3.41|3.4|3.38|3.4|0.0|3.39|0.0|3.39|3.47|3.39|3.37|3.39|2.63|4.21|3.33|3.45|2.63|4.14|0.0|0.0|3.37|3.39|4.19|2.33|68443|22250843 60095|PHXM|PHXM|29604W207|US29604W2070|PHAXIAM Therapeutics S A|SPON ADR||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN5-8|TXN14-8|TXN6-6|TXN6-7|6080000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||FRA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|4.2|0.0|0.0|0.0|0.0|4.1|0.0|0.0|0.0|0.0|4.2|0.0|4.2|4.1|5.66|0.0|0.0|4.1|4.84|3.08|5.66|0.0|0.0|4.1|4.63|6.39|0.3942|1487|7900571 75132|PHYD|PHYD|746729888|US7467298888|Putnam ETF Trust|Putnam ESG High Yield ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Putnam|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-1|TXN4-8|TXN6-8|TXN2-4|TXN4-6|2150000|||Monthly|||||2023-01-20||PHYD.NV|PHYD.SO|PHYD.EU|PHYD.TC|PHYD.IV| | | | | | | | | ||Putnam ESG High Yield ETF seeks high current income. Capital growth is a secondary goal when consistent with achieving high current income.|N|0|N|N|416A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|50.22|0.0|0.0|0.0|0.0|0.0|0.0|48.744|0.0|0.0|0.0|50.26|0.0|50.26|0.0|0.0|0.0|0.0|50.22|50.3|0.0|0.0|0.0|0.0|50.22|50.3|51.06|47.57|4154|2880289 61846|PHYL|PHYL|69344A206|US69344A2069|PGIM ETF Trust|PGIM Active High Yield Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||PGIM Investments|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-5|TXN4-7|TXN1-5|TXN4-7|TXN4-7|3175000|||Monthly|||||2018-09-27||PHYL.NV|PHYL.SO|PHYL.EU|PHYL.TC|PHYL.IV| | | | | | | | | ||The investment objective of the Fund is to seek total return, through a combination of current income andcapital appreciation. The Fund seeks to achieve its investment objective by investing primarily in a portfolio ofhigh yield bonds (commonly referred to as junk bonds) of companies or governments. Under normal market conditions, theFund invests at least 80% of its investable assets in a diversified portfolio of high yield bonds that are below investmentgrade and other investments (including derivatives) with similar economic characteristics.|N|0|N|N|416A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|33.95|33.957|34.03|0.0|0.0|33.96|0.0|33.92|33.96|0.0|0.0|0.0|33.965|0.0|33.965|0.0|0.0|0.0|0.0|33.95|34.01|0.0|0.0|0.0|0.0|33.95|34.01|34.99|32.42|5756|3044481 32339|PHYS|PHYS|85207H104|CA85207H1047|Sprott Physical Gold Trust|Units|Trust|ETV|N|N|P|Y|Y|Y|Y|Y||||||||Sprott Asset Management|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-6|TXN3-4|TXN8-8|TXN1-8|TXN2-4|400597559|||NotApplicable|||||2010-02-26||PHYS.NV|PHYS.SO| | |PHYS.IV| | | | | | | | | |1x|The Trust was created to invest and hold substantially all of its assets in physical gold bullion. The Trust seeks to provide a secure, convenient and exchange-traded investment alternative for investors interested in holding physical gold bullion without the inconvenience that is typical of a direct investment in physical gold bullion. The Trust intends to invest primarily in long-term holdings of unencumbered, fully allocated, physical gold bullion and will not speculate with regard to short-term changes in gold prices. The Trust does not anticipate making regular cash distributions to unitholders. |N|0|N|N|416A|CAN|CA|COMMODITIES_AND_FUTURES|INDEX|30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|1|||15.78|15.79|0.0|0.0|15.79|15.79|15.7803|15.79|0.0|0.0|15.79|15.79|15.79|15.78|15.79|15.79|15.775|15.79|15.79|15.79|15.2|15.82|14.7|16.73|15.78|15.79|15.2|15.82|0.0|0.0|15.78|15.79|16.12|13.58|2878735|455971987 72966|PHYT|PHYT|G7308P101|KYG7308P1019|Pyrophyte Acquisition Corp.|Class A Ordinary Shares|Special purpose acquisition company|A|N|N|N|Y|Y|Y|Y|Y|5|S|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN3-7|TXN7-8|TXN1-2|TXN4-8|14010000|||NotApplicable|||||2021-12-17||||||| | | | | | | | | |||N|0|N|N|408A|USA|KY|||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.92|10.99|0.0|0.0|10.95|11.22|0.0|0.0|0.0|0.0|10.97|10.99|11.08|10.27|0|12293012 72967|PHYT WS|PHYT.WS|G7308P127|KYG7308P1274|Pyrophyte Acquisition Corp.|Warrants, each whole warrant exercisable for one Class A ordinary share at an exercise price of $11.50 per share|Special purpose acquisition company|C|N|N|N|Y|Y|Y|Y|Y|5|A|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN5-8|TXN1-2|TXN7-8|TXN4-8|TXN4-1|0|||NotApplicable|||||2021-12-17||||||| | | | | | | | | |||N|0|N|N|408A|USA|KY|||||||||||N||N||||||N|0|Y|D|N||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.1|0.0|0.0|0.1|0.0|0.1|0.0|0.1|0.091|0.1376|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.091|0.1376|0.29|0.0385|1000|5042453 72141|PHYT U|PHYT.U|G7308P119|KYG7308P1191|Pyrophyte Acquisition Corp.|Units, each consisting of one share of Class A common stock and one-half of one redeemable warrant|Special purpose acquisition company|R|N|N|N|Y|Y|Y|Y|Y|5|S|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN4-4|TXN8-8|TXN3-5|TXN1-2|0|||NotApplicable|||||2021-10-27||||||| | | | | | | | | |||N|0|N|N|408A|USA|KY|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.95|11.1|0.0|0.0|10.94|11.83|0.0|0.0|0.0|0.0|10.98|11.1|11.478|10.07|0|275245 53509|PI|PI|453204109|US4532041096|Impinj Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN5-6|TXN12-1|TXN5-3|TXN6-6|27060000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101020|10102020|Technology|Technology|Technology Hardware and Equipment|Production Technology Equipment|N||N||||||Y|0|Y||||||85.72|85.5|0.0|85.51|85.6|85.5|85.48|85.5|0.0|0.0|85.51|0.0|85.48|85.65|85.72|85.59|85.66|85.5|85.84|85.48|85.29|85.68|65.91|105.27|85.29|85.68|85.27|85.67|85.28|85.72|85.47|85.5|144.9|48.39|517608|134278745 32778|PICB|PICB|46138E636|US46138E6361|Invesco Exchange-Traded Fund Trust II|Invesco International Corporate Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Invesco|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN2-1|TXN6-3|TXN4-2|TXN3-4|5600000|||Monthly|||||2010-06-03||PICB.NV|PICB.SO|PICB.EU|PICB.TC|PICB.IV| | | | | | | | | |1x|The Fund seeks investment results that correspond (before fees and expenses) generally to the price and yield performance of the index called the S&P International Corporate Bond Index (the Underlying Index). The Underlying Index measures the performance of investment grade corporate bonds issued by non-U.S. issuers in the following currencies: Australia Dollar (AUD), British Pound (GBP), Canadian Dollar (CAD), Euro (EUR), Japanese Yen (JPY), Swiss Franc (CHF), Danish Krone (DKK), New Zealand Dollar (NZD), Norwegian Krone (NOK) and Swedish Krona (SEK).|N|0|N|N|406C|USA|US|FIXED_INCOME|INDEX|||||||||N||N||||||N|0|Y||Y|2|||22.02|22.05|0.0|0.0|22.03|22.02|22.06|22.06|0.0|0.0|22.06|22.02|22.045|22.06|22.02|22.06|0.0|22.08|22.03|22.08|22.02|22.07|0.0|0.0|22.06|22.07|22.02|22.07|0.0|0.0|22.06|22.07|22.47|20.44|153327|7087799 39516|PICK|PICK|46434G848|US46434G8481|iShares MSCI Global Metals & Mining Producers ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-2|TXN2-3|TXN6-6|TXN1-3|TXN1-7|32000000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||40.6|40.59|0.0|40.62|40.59|40.64|40.61|40.62|0.0|0.0|40.64|40.62|40.6|40.59|40.63|40.63|40.64|40.59|40.59|40.59|38.65|42.74|40.53|40.87|40.61|40.69|40.53|40.88|40.53|40.88|40.61|40.69|47.7|36.2055|828841|77548412 16541|PID|PID|46137V548|US46137V5488|Invesco International Dividend Achievers ETF|INTL DIV ACHV||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN5-5|TXN10-2|TXN6-3|TXN5-6|54570000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||17.79|17.79|0.0|0.0|17.79|17.8|17.795|17.8|0.0|0.0|17.8|17.8|17.8|17.8|0.0|17.795|0.0|17.79|0.0|17.8|17.79|18.72|16.74|18.88|17.79|17.82|17.78|17.82|17.78|17.82|17.79|17.8|18.85|15.82|161957|58730136 26644|PIE|PIE|46138E867|US46138E8672|Invesco Dorsey Wright Emerging Markets Momentum ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN5-4|TXN10-2|TXN6-6|TXN5-1|7300000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|18.93|0.0|0.0|18.97|0.0|18.94|18.945|0.0|0.0|0.0|0.0|18.94|19.04|0.0|0.0|0.0|18.95|0.0|18.94|18.07|20.0|14.44|23.32|18.93|18.95|18.07|20.0|0.0|0.0|18.94|18.95|20.6171|17.35|31608|10796192 67755|PIFI|PIFI|26922A131|US26922A1319|ETF Series Solutions|ClearShares Piton Intermediate Fixed Income ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ClearShares|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-6|TXN1-4|TXN7-8|TXN4-7|TXN4-7|1025000|||Quarterly|||||2020-10-02||PIFI.NV|PIFI.SO|PIFI.EU|PIFI.TC| | | | | | | | | | ||The ClearShares Piton Intermediate Fixed income ETF (the Fund) seeks current income. The Fund is an actively-managed exchange-traded fund (ETF) that seeks to achieve its investment objective primarily by investing in debt securities and in derivatives and other instruments that have economic characteristics similar to such securities. |N|0|N|N|416A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|91.01|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|91.4105|0.0|91.4105|0.0|0.0|0.0|0.0|91.35|91.47|0.0|0.0|0.0|0.0|91.34|91.47|93.39|88.4305|34|672345 8536|PII|PII|731068102|US7310681025|Polaris Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|A|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-7|TXN4-7|TXN3-6|TXN3-6|TXN2-6|56470000|||Quarterly|||||1995-02-24||||||| | | | | | | | | |||N|0|Y|Y|144E|USA|US|||40|4020|402030|40203055|Consumer Discretionary|Consumer Products and Services|Leisure Goods|Recreational Vehicles and Boats|N||N||||||Y|0|Y||Y|1|||86.53|86.53|0.0|86.68|86.57|86.6|86.53|86.67|0.0|0.0|86.6|86.63|86.53|86.58|86.54|86.55|86.5|86.54|86.57|86.55|86.54|86.56|81.19|91.85|86.11|86.63|86.42|86.69|86.39|86.72|86.54|86.56|138.49|82.0|618765|139010514 70120|PIII|PIII|744413105|US7444131053|P3 Health Partners Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN6-1|TXN11-3|TXN6-8|TXN5-7|115240000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201010|20101025|Health Care |Health Care |Health Care Providers|Health Care Services|N||N||||||N|0|Y||||||1.25|1.25|0.0|0.0|1.27|1.25|1.25|1.25|0.0|0.0|1.27|1.27|1.27|1.25|1.25|1.27|1.27|1.25|1.24|1.27|1.23|1.3|1.05|1.53|1.23|1.3|1.23|1.3|1.22|1.31|1.26|1.27|5.56|0.7003|707890|99156036 70121|PIIIW|PIIIW|744413113|US7444131137|P3 Health Partners Inc|WT EXP||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-6|TXN6-2|TXN14-7|TXN5-2|TXN5-6|114250000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.138|0.138|0.1271|0.0|0.0|0.0|0.0|0.1295|0.0|0.1295|0.0|0.0|0.0|0.0|0.0975|0.1825|0.0|0.0|0.0|0.0|0.0975|0.1558|0.8787|0.025|1398|6318435 72335|PIK|PIK|49382L108|US49382L1089|KIDPIK CORP|COM USD0.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-6|TXN5-4|TXN10-2|TXN6-1|TXN6-4|9360000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4040|404010|40401020|Consumer Discretionary|Retail |Retailers |Apparel Retailers|N||N||||||N|0|Y|D|||||0.4401|0.42|0.0|0.0|0.42|0.4175|0.43|0.4401|0.0|0.0|0.42|0.42|0.43|0.0|0.0|0.0|0.0|0.4401|0.0|0.4401|0.344|0.5266|0.3288|0.5266|0.4015|0.468|0.344|0.5266|0.0|0.0|0.43|0.4401|1.7293|0.36|59300|145667490 60115|PILL|PILL|25460E646|US25460E6462|Direxion Shares ETF Trust|Direxion Daily Pharmaceutical & Medical Bull 3X Shares|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Direxion Shares|IMC Chicago, LLC, DBA IMC Financial Markets|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN2-5|TXN9-7|TXN4-8|TXN4-4|1850001|||Quarterly|||||2017-11-15||PILL.NV|PILL.SO|PILL.EU|PILL.TC|PILL.IV| | | | | | | | | |3x|The Fund seeks daily investment results, before fees and expense, of 300% of the daily performance of the Dynamic Pharmaceutical Intellidex Index Index |N|0|N|N|416A|USA|US|EQUITY|LEVERAGED|||||||||N||N||||||Y|0|Y||Y|2|||6.1|6.08|0.0|6.1|6.1|6.06|6.08|6.05|0.0|0.0|6.06|6.1|6.07|6.04|6.05|6.1|6.06|6.05|6.1|6.05|6.03|6.1|4.73|7.36|6.05|6.08|6.02|6.11|6.02|6.11|6.05|6.08|11.16|4.57|347438|8444572 8540|PIM|PIM|746909100|US7469091000|Putnam Master Intermediate Income Trust|Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities 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January|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-5|TXN1-8|TXN5-8|TXN1-3|TXN2-3|16700000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||36.62|36.69|0.0|36.65|36.69|36.77|36.67|36.65|0.0|0.0|36.65|36.65|36.695|36.62|0.0|36.65|36.65|36.69|36.69|36.69|36.63|36.7|36.65|36.69|36.67|36.76|36.62|36.82|36.62|36.82|36.69|36.76|36.7899|30.98|49071|16570125 75018|PJFG|PJFG|69344A875|US69344A8751|PGIM ETF Trust|PGIM Jennison Focused Growth ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||PGIM Investments|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-6|TXN4-3|TXN3-8|TXN3-5|TXN3-6|900000|||Yearly|||||2022-12-14||PJFG.NV|PJFG.SO|PJFG.EU|PJFG.TC| | | | | | | | | | ||The Fund seeks to provide long-term growth of capital with a focused portfolio of primarily larger-cap stocks believed to have sustained above-market growth in revenues, earnings, and cash flows.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||68.16|68.43|0.0|0.0|68.16|0.0|68.39|0.0|0.0|0.0|0.0|0.0|68.16|68.16|0.0|0.0|0.0|68.6262|0.0|68.6262|0.0|0.0|0.0|0.0|68.57|68.67|68.56|68.66|0.0|0.0|68.57|68.67|69.74|45.94|2390|940775 75019|PJFV|PJFV|69344A867|US69344A8678|PGIM ETF Trust|PGIM Jennison Focused Value ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||PGIM Investments|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-5|TXN3-5|TXN5-8|TXN4-6|TXN3-6|210000|||Yearly|||||2022-12-14||PJFV.NV|PJFV.SO|PJFV.EU|PJFV.TC| | | | | | | | | | ||The Fund seeks to provide long-term growth of capital with a focused portfolio investing in large capitalization companies that are undervalued compared to their perceived worth.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|55.0094|0.0|55.0094|0.0|0.0|0.0|0.0|54.92|55.05|54.85|55.01|0.0|0.0|54.92|55.05|55.2113|46.5776|0|3022 8554|PJP|PJP|46137V662|US46137V6627|Invesco Exchange-Traded Fund Trust|Invesco Pharmaceuticals ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Invesco|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-3|TXN1-8|TXN4-8|TXN3-8|TXN1-6|3520000|||Quarterly|||||2008-11-03||PJP.NV|PJP.SO|PJP.EU|PJP.TC|PJP.IV| | | | | | | | | |1x|The PowerShares Dynamic Pharmaceuticals Portfolio (Fund) is based on the Dynamic Pharmaceuticals Intellidex Index (Index). The Fund will normally invest at least 90% of its total assets in common stocks that comprise the Index. The Index is designed to provide capital appreciation by thoroughly evaluating companies based on a variety of investment merit criteria, including fundamental growth, stock valuation, investment timeliness and risk factors.|N|0|N|N|406C|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|69.53|72.2|71.952|0.0|0.0|0.0|0.0|0.0|71.91|72.17|0.0|0.0|0.0|71.9496|69.58|71.9496|71.77|72.06|71.74|72.15|71.91|71.96|71.83|76.21|71.74|72.15|71.91|71.96|81.07|67.75|6897|2317219 50694|PJT|PJT|69343T107|US69343T1079|PJT Partners Inc.|Class A Common stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|A|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN4-1|TXN1-8|TXN3-8|TXN2-4|24240000|||Quarterly|||||2015-09-18||||||| | | | | | | | | |||N|0|N|Y|408A|USA|US|||30|3020|302020|30202010|Financials|Financial Services |Investment Banking and Brokerage Services |Asset Managers and Custodians|N||N||||||N|0|Y||Y|2|||97.26|97.09|0.0|96.62|97.3|97.1|97.34|97.19|0.0|0.0|97.11|97.19|97.22|97.09|96.6|97.23|97.06|97.23|97.16|97.23|97.22|97.23|72.96|116.92|97.04|97.42|97.11|97.44|97.08|97.48|97.22|97.23|97.34|59.61|1058925|46654619 61370|PJUL|PJUL|45782C813|US45782C8139|Innovator U.S. Equity Power Buffer ETF - July|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN2-5|TXN7-8|TXN1-7|TXN1-1|30500000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||35.16|35.17|0.0|0.0|35.17|35.12|35.16|0.0|0.0|0.0|35.12|0.0|35.12|35.16|35.14|0.0|35.14|35.17|0.0|35.17|32.81|37.34|35.09|35.27|35.15|35.23|35.08|37.34|35.09|35.24|35.15|35.21|35.31|29.78|83955|38380901 63736|PJUN|PJUN|45782C748|US45782C7487|Innovator U.S. Equity Power Buffer ETF - June|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-3|TXN4-2|TXN6-8|TXN4-1|TXN2-5|16830000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||32.66|32.66|0.0|0.0|32.65|32.67|32.6646|0.0|0.0|0.0|32.67|0.0|32.63|32.63|32.63|32.64|32.64|32.66|0.0|32.66|32.62|32.68|32.64|32.68|32.65|32.74|32.62|32.76|32.62|32.76|32.65|32.71|32.8|29.4|19697|22581206 54664|PK|PK|700517105|US7005171050|Park Hotels & Resorts Inc.|Common stock|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|8|A|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-4|TXN1-3|TXN4-4|TXN3-4|TXN1-3|209980000|||Adhoc|||||2016-12-13||||||| | | | | | | | | |||N|0|Y|Y|128A|USA|US|||35|3510|351020|35102015|Real Estate|Real Estate |Real Estate Investment Trusts|Hotel and Lodging REITs|N||N||||||Y|0|Y||Y|1|||15.13|15.14|0.0|15.14|15.14|15.145|15.135|15.135|0.0|0.0|15.14|15.14|15.14|15.15|15.15|15.14|15.15|15.135|15.14|15.14|15.13|15.14|14.32|16.22|15.12|15.15|14.39|15.17|15.1|15.18|15.13|15.14|15.375|10.7|3151635|746907251 8561|PKB|PKB|46137V779|US46137V7799|Invesco Exchange-Traded Fund Trust|Invesco Building & Construction ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Invesco|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-2|TXN3-3|TXN9-3|TXN4-4|TXN4-7|3940000|||Quarterly|||||2008-11-03||PKB.NV|PKB.SO|PKB.EU|PKB.TC|PKB.IV| | | | | | | | | |1x|The PowerShares Building & Construction Portfolio (Fund) is based on the Building & Construction Intellidex Index (Index). The Fund will normally invest at least 90% of its total assets in common stocks that comprise the Index. The Index thoroughly evaluates companies based on a variety of investment merit criteria, including fundamental growth, stock valuation, investment timeliness and risk factors. Securities shown to possess the greatest capital appreciation potential are selected by the Index.|N|0|N|N|406C|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||0.0|56.8|0.0|0.0|55.04|0.0|56.89|56.73|0.0|0.0|0.0|0.0|56.95|54.8|56.72|0.0|0.0|56.8925|0.0|56.8925|45.0|67.72|56.67|57.12|56.84|56.96|56.75|57.13|56.67|57.13|56.84|56.96|57.2547|40.2999|8457|7635759 3154|PKBK|PKBK|700885106|US7008851062|Parke Bancorp Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN5-3|TXN11-3|TXN6-2|TXN6-4|11950000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||||||0.0|18.56|0.0|0.0|0.0|18.61|18.63|18.93|0.0|0.0|18.61|0.0|18.69|18.7|0.0|0.0|0.0|18.56|0.0|18.69|18.21|19.08|0.0|0.0|18.26|19.01|0.0|0.0|0.0|0.0|18.53|18.75|21.59|14.86|12755|5704423 8563|PKE|PKE|70014A104|US70014A1043|Park Aerospace Corp.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN4-6|TXN5-8|TXN3-1|TXN2-7|20250000|||Quarterly|||||1984-04-25||||||| | | | | | | | | |||N|0|N|Y|114A|USA|US|||50|5020|502010|50201010|Industrials|Industrial Goods and Services|Aerospace and Defense|Aerospace|N||N||||||Y|0|Y||Y|2|||0.0|15.79|0.0|14.84|15.74|15.65|15.785|15.72|0.0|0.0|15.71|0.0|15.78|15.38|0.0|15.69|0.0|15.79|0.0|15.69|15.72|15.78|11.85|19.46|15.43|15.99|11.85|19.05|0.0|0.0|15.72|15.78|16.92|10.8|17616|26636382 8564|PKG|PKG|695156109|US6951561090|Packaging Corporation of America|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|A|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-6|TXN3-8|TXN1-8|TXN1-5|TXN3-5|89620000|||Quarterly|||||2000-01-28||||||| | | | | | | | | |||N|5|Y|Y|136D|USA|US|||50|5020|502030|50203030|Industrials|Industrial Goods and Services|General Industrials|Containers and Packaging|N||N||||||Y|0|Y||Y|1|||168.41|168.33|0.0|168.31|168.37|168.35|168.33|168.35|0.0|0.0|168.33|168.34|168.33|169.76|168.45|168.35|168.09|168.34|168.34|168.35|168.35|168.36|157.21|178.24|168.25|168.43|168.16|168.53|168.17|168.51|168.35|168.36|171.61|122.2|758889|153334570 3156|PKOH|PKOH|700666100|US7006661000|Park Ohio Holdings Corp.|COM USD1||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN6-8|TXN10-2|TXN5-6|TXN5-2|13090000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502030|50203000|Industrials|Industrial Goods and Services|General Industrials|Diversified Industrials|N||N||||||N|0|Y||||||0.0|0.0|0.0|24.05|23.64|23.615|23.48|23.47|0.0|0.0|23.78|0.0|23.53|23.51|0.0|0.0|0.0|23.58|0.0|23.53|23.06|24.1|18.66|28.86|23.12|24.07|23.34|23.79|23.26|23.59|23.53|23.59|28.79|10.9|30008|10443114 75598|PKST|PKST|39818P799|US39818P7996|Peakstone Realty Trust|Common Shares|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN3-8|TXN1-5|TXN4-5|TXN2-1|36010000|||Quarterly|||||2023-04-13||||||| | | | | | | | | |||N|0|N|Y|414A|USA|US|||35|3510|351020|35102030|Real Estate|Real Estate |Real Estate Investment Trusts|Office REITs|N||N||||||Y|0|Y||Y|2|||17.59|17.53|0.0|17.59|17.59|17.575|17.59|17.58|0.0|0.0|17.61|17.53|17.57|17.21|17.26|17.6|17.2|17.6|17.56|17.6|17.53|17.6|13.41|21.58|17.48|17.74|17.48|17.7|17.53|17.68|17.53|17.6|46.9999|8.0|217056|55906511 18493|PKW|PKW|46137V308|US46137V3087|Invesco Exchange-Traded Fund Trust Invesco BuyBack Achievers ETF|BUYBACK ACHV||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN6-6|TXN14-6|TXN6-6|TXN5-3|11110000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||93.67|93.78|0.0|0.0|93.67|93.8|93.8|93.67|0.0|0.0|93.68|0.0|93.87|94.04|0.0|93.65|0.0|93.77|93.77|93.87|93.61|94.01|93.62|93.88|93.77|93.82|93.75|93.83|93.62|93.88|93.78|93.82|94.7|80.03|119362|34330964 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Streicher & Co. L.L.C.|JSCO|3856|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-3|TXN3-3|TXN1-5|TXN3-5|TXN2-3|100260000|||NotApplicable|||||2018-12-17||||||| | | | | | | | | |||N|0|N|N|130E|CAN|CA|||55|5510|551030|55103030|Basic Materials|Basic Resources|Precious Metals and Mining|Platinum and Precious Metals|N||N||||||Y|0|Y||Y|2|||1.19|1.15|0.0|0.0|0.0|1.15|1.145|1.145|0.0|0.0|1.14|0.0|1.14|0.0|1.12|1.14|1.16|1.16|0.0|1.16|1.08|1.19|1.14|1.16|1.09|1.15|1.11|1.18|1.1|1.19|1.14|1.16|1.87|0.942|146030|43269824 60964|PLL|PLL|72016P105|US72016P1057|Piedmont Lithium Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN5-3|TXN13-8|TXN6-5|TXN5-3|19210000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||55|5510|551020|55102000|Basic Materials|Basic Resources|Industrial Metals and Mining|General Mining|N||N||||||Y|0|Y||||||25.23|25.2|0.0|25.49|25.28|25.13|25.21|25.18|0.0|0.0|25.18|25.18|25.21|25.2|24.89|25.17|25.18|25.22|25.19|25.21|24.95|25.41|19.35|30.52|24.96|25.42|25.13|30.52|25.16|25.27|25.21|25.24|76.7785|24.27|616988|91954236 70502|PLMI|PLMI|G7134L126|KYG7134L1260|Plum Acquisition Corp I|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN6-6|TXN13-7|TXN5-2|TXN5-5|11240000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.89|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.15|11.0|0.0|0.0|0.0|0.0|10.82|10.89|11.88|10.03|140|12139367 69725|PLMIU|PLMIU|G7134L100|KYG7134L1005|Plum Acquisition Corp I|UNITS||R|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN6-3|TXN13-2|TXN5-4|TXN6-3|30000000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|11.325|0.0|0.0|0.0|0.0|0.0|0.0|0.0|8.63|14.24|0.0|0.0|10.77|11.87|8.63|14.24|0.0|0.0|10.78|11.87|11.11|9.24|1|380228 70503|PLMIW|PLMIW|G7134L118|KYG7134L1187|Plum Acquisition Corp I|WTS||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-2|TXN5-5|TXN13-6|TXN5-4|TXN6-4|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y|C|||||0.0|0.0|0.0|0.0|0.0|0.135|0.14|0.0|0.0|0.0|0.1|0.0|0.11|0.0|0.0|0.0|0.0|0.14|0.0|0.14|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.1146|0.15|0.2589|0.0013|12816|4501185 63442|PLMR|PLMR|69753M105|US69753M1053|Palomar Holdings Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN6-3|TXN12-5|TXN5-8|TXN6-2|24730000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3030|303020|30302025|Financials|Insurance|Non-life Insurance|Property and Casualty Insurance|N||N||||||Y|0|Y||||||63.01|63.15|0.0|63.06|63.02|63.1|63.11|63.17|0.0|0.0|63.04|63.07|63.15|63.01|63.08|63.11|0.0|63.15|63.03|63.15|62.38|63.73|48.77|76.75|62.84|63.64|63.02|63.31|62.99|63.31|63.15|63.18|63.17|43.635|265183|32103118 50461|PLNT|PLNT|72703H101|US72703H1014|Planet Fitness, Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-3|TXN1-2|TXN4-5|TXN4-4|TXN2-2|85440000|||Adhoc|||||2015-08-06||||||| | | | | | | | | |||N|0|Y|Y|180B|USA|US|||40|4050|405010|40501030|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Recreational Services|N||N||||||Y|0|Y||Y|1|||69.54|69.495|0.0|69.34|69.5|69.495|69.5|69.47|0.0|0.0|69.5|69.53|69.48|69.53|69.52|69.49|69.35|69.49|69.54|69.49|69.48|69.49|64.68|74.03|69.22|69.52|69.41|69.58|69.39|69.54|69.48|69.49|85.905|44.13|885936|331970423 32647|PLOW|PLOW|25960R105|US25960R1059|Douglas Dynamics, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|P|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN3-8|TXN7-8|TXN2-6|TXN1-4|22980000|||Quarterly|||||2010-05-05||||||| | | | | | | | | |||N|0|N|Y|126E|USA|US|||50|5020|502040|50204020|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Construction and Handling|N||N||||||Y|0|Y||Y|2|||28.4|28.45|0.0|28.41|28.36|28.43|28.395|28.41|0.0|0.0|28.44|28.22|28.37|28.09|27.18|28.4|27.48|28.43|28.3|28.4|28.42|28.43|21.63|34.49|28.16|28.67|28.31|28.48|28.37|28.46|28.42|28.43|41.4|23.15|88418|21980552 3171|PLPC|PLPC|740444104|US7404441047|Preformed Line Products Co|CAP USD2||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN5-5|TXN10-3|TXN6-7|TXN5-4|4890000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502020|50202010|Industrials|Industrial Goods and Services|Electronic and Electrical Equipment|Electrical Components |N||N||||||N|0|Y||||||130.27|129.7|0.0|0.0|0.0|130.0|130.3378|0.0|0.0|0.0|0.0|0.0|130.41|0.0|0.0|0.0|0.0|130.41|0.0|130.41|126.4|135.26|100.42|162.76|127.54|134.49|100.42|131.98|0.0|0.0|129.92|131.98|184.82|78.525|14172|4005101 66605|PLRX|PLRX|729139105|US7291391057|Pliant Therapeutics Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN5-3|TXN11-7|TXN5-4|TXN5-2|59900000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||14.41|14.38|0.0|14.41|14.42|14.41|14.42|14.39|0.0|0.0|14.4|14.44|14.43|14.38|14.42|14.38|14.42|14.41|14.12|14.43|14.25|14.57|11.27|17.6|14.36|14.47|14.37|14.49|14.38|14.48|14.4|14.43|36.64|12.605|360014|172886058 53123|PLSE|PLSE|74587B101|US74587B1017|Pulse Biosciences Inc|COM USD0.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN5-5|TXN14-8|TXN5-6|TXN5-7|55010000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||10.195|10.27|0.0|10.29|10.29|10.245|10.26|10.24|0.0|0.0|10.17|10.31|10.27|10.13|10.31|10.29|0.0|10.26|10.84|10.27|9.92|10.55|7.75|12.47|10.07|10.49|10.13|10.36|10.19|10.38|10.22|10.27|11.0811|2.05|618368|33526769 68804|PLTK|PLTK|72815L107|US72815L1070|Playtika Holding Corp|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN5-2|TXN10-4|TXN6-7|TXN6-4|367230000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||ISR||||40|4020|402030|40203040|Consumer Discretionary|Consumer Products and Services|Leisure Goods|Electronic Entertainment|N||N||||||Y|0|Y||||||8.345|8.34|0.0|8.35|8.35|8.34|8.35|8.34|0.0|0.0|8.35|8.34|8.35|8.34|8.34|8.34|8.345|8.35|8.34|8.35|8.33|8.36|7.79|8.9|8.34|8.36|8.32|8.36|8.31|8.37|8.34|8.35|12.895|7.58|1097558|259456801 60537|PLTM|PLTM|38748T103|US38748T1034|GraniteShares Platinum Trust|GraniteShares Platinum Shares|Trust|ETV|N|N|P|Y|Y|Y|Y|Y||||||||GraniteShares Advisors |Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-6|TXN3-7|TXN2-8|TXN4-4|TXN4-1|4050000|||NotApplicable|||||2018-01-22||PLTM.NV|PLTM.SO|PLTM.EU|PLTM.TC|PLTM.IV| | | | | | | | | |1x|Spot platinum|N|0|N|N|412C|USA|US|COMMODITIES_AND_FUTURES|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|8.94|0.0|0.0|8.97|8.97|8.9545|8.945|0.0|0.0|8.96|8.93|8.96|0.0|8.91|8.9|8.97|8.96|8.905|8.96|8.58|9.37|8.91|8.97|8.94|8.97|8.93|8.97|8.91|9.01|8.94|8.97|11.04|8.205|38008|10638754 75096|PLTN|PLTN|72942P104|US72942P1049|Plutonian Acquisition Corp|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN5-6|TXN14-4|TXN6-4|TXN5-2|5000000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|10.6|10.6|0.0|0.0|10.6|0.0|10.62|0.0|0.0|0.0|0.0|10.6|0.0|10.6|0.0|0.0|0.0|0.0|10.6|11.29|0.0|0.0|0.0|0.0|10.6|10.62|12.0|10.05|103190|5561723 75097|PLTNR|PLTNR|72942P112||Plutonian Acquisition Corp. Rights|||D|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-2|TXN5-1|TXN14-2|TXN6-8|TXN6-5|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||50|5020|502040|50204000|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Industrial|N||N||||||N|0|Y|C|||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.19|0.0|0.0|0.0|0.0|0.1538|0.0|0.1538|0.0|0.0|0.0|0.0|0.0|0.2499|0.0|0.0|0.0|0.0|0.13|0.2499|0.58|0.0333|1524|5256335 74889|PLTNU|PLTNU|72942P203|US72942P2039|Plutonian Acquisition Corp|UNIT||R|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN5-3|TXN13-7|TXN6-4|TXN6-7|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|9.7|11.86|0.0|0.0|0.0|0.0|9.7|11.86|11.64|10.0|0|941575 75098|PLTNW|PLTNW|72942P120|US72942P1205|Plutonian Acquisition Corp|WT EXP 102627||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-1|TXN5-7|TXN12-1|TXN6-1|TXN6-5|0|||NotApplicable|||||||||||| | | | | | | | 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Services|Software|N||N||||||Y|0|Y||Y|1|||18.4|18.4|0.0|18.36|18.4|18.405|18.4|18.41|0.0|0.0|18.4|18.4|18.405|18.4|18.4|18.4|18.415|18.4|18.41|18.4|18.4|18.41|17.37|19.53|18.4|18.41|18.37|19.53|18.37|18.46|18.4|18.41|21.85|5.84|104948518|13847908666 3176|PLUG|PLUG|72919P202|US72919P2020|Plug Power Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN5-2|TXN13-2|TXN6-4|TXN6-4|605500000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||USA||||60|6010|601020|60102020|Energy|Energy|Alternative Energy|Renewable Energy Equipment |N||N||||||Y|0|Y||||||4.79|4.785|0.0|4.82|4.78|4.785|4.781|4.78|0.0|0.0|4.785|4.785|4.8|4.79|4.785|4.785|4.785|4.78|4.78|4.8|4.77|4.79|4.5|5.13|4.77|4.79|4.75|4.82|4.75|4.79|4.78|4.79|18.88|3.22|47910608|5559309808 26355|PLUR|PLUR|72942G104|US72942G1040|Pluri Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-4|TXN5-4|TXN13-2|TXN5-7|TXN5-3|41480000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||ISR||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y|D|||||0.5625|0.5625|0.0|0.0|0.5625|0.57|0.582674|0.57|0.0|0.0|0.0|0.0|0.5769|0.0|0.0|0.0|0.0|0.582674|0.0|0.582674|0.5415|0.6143|0.432|0.711|0.46|0.65|0.46|0.711|0.0|0.0|0.57|0.585|1.4473|0.4311|19093|12575318 3178|PLUS|PLUS|294268107|US2942681071|ePlus Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN5-7|TXN14-7|TXN6-4|TXN6-2|26930000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101010|10101010|Technology|Technology|Software and Computer Services|Computer Services|N||N||||||Y|0|Y||||||66.05|66.12|0.0|66.23|65.98|66.24|66.11|66.22|0.0|0.0|66.17|66.03|66.21|66.06|66.06|66.23|0.0|66.21|0.0|66.21|65.46|66.95|50.42|81.48|65.58|66.83|65.97|66.39|65.96|66.42|66.15|66.26|75.9|41.71|113044|25397400 19131|PLX|PLX|74365A309|US74365A3095|Protalix BioTherapeutics Inc|Common Stock|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||J. Streicher & Co. L.L.C.|JSCO|3856|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-4|TXN1-7|TXN3-8|TXN1-7|TXN1-8|72950000|||NotApplicable|||||2019-12-20||||||| | | | | | | | | |||N|0|N|N|140A|USA|US|||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||Y|2|||1.48|1.51|0.0|0.0|1.52|1.515|1.52|1.515|0.0|0.0|1.515|1.515|1.51|1.43|1.5|1.51|1.51|1.51|1.48|1.51|1.49|1.54|1.51|1.52|1.51|1.52|1.48|1.55|1.48|1.55|1.51|1.52|3.55|1.13|309446|264804761 3179|PLXS|PLXS|729132100|US7291321005|Plexus Corp|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN5-7|TXN14-5|TXN5-8|TXN6-2|27470000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101020|10102015|Technology|Technology|Technology Hardware and Equipment|Electronic Components|N||N||||||Y|0|Y||||||103.08|103.57|0.0|103.59|103.09|103.1|103.75|103.78|0.0|0.0|103.595|103.25|103.82|103.0|103.1|103.1|0.0|103.75|103.0|103.82|103.42|103.98|79.87|127.53|103.35|103.9|103.45|104.04|103.39|104.1|103.65|103.82|115.36|83.84|110036|31378271 56820|PLYA|PLYA|N70544106|NL0012170237|Playa Hotels & Resorts N.V.|ORD USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN6-7|TXN11-1|TXN5-1|TXN6-3|138460000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4050|405010|40501025|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Hotels and Motels |N||N||||||Y|0|Y||||||7.65|7.65|0.0|7.75|7.65|7.655|7.66|7.65|0.0|0.0|7.66|7.65|7.65|7.65|7.695|7.65|7.655|7.66|7.655|7.65|7.65|7.68|6.07|9.53|7.65|7.68|7.62|7.68|7.65|7.7|7.65|7.66|9.77|5.7062|656538|286551285 58646|PLYM|PLYM|729640102|US7296401026|Plymouth Industrial REIT, Inc.|Common Stock|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-5|TXN2-7|TXN9-8|TXN1-6|TXN2-4|45250000|||Quarterly|||||2020-02-27||||||| | | | | | | | | |||N|0|N|Y|412A|USA|US|||35|3510|351020|35102020|Real Estate|Real Estate |Real Estate Investment Trusts|Industrial REITs|N||N||||||Y|0|Y||Y|2|||22.65|22.61|0.0|22.54|22.61|22.63|22.605|22.62|0.0|0.0|22.64|22.64|22.62|22.56|22.53|22.6|22.63|22.6|22.62|22.6|22.6|22.61|17.19|27.36|22.5|22.77|22.58|22.63|22.58|22.61|22.6|22.61|23.79|18.5504|129132|44227794 27518|PM|PM|718172109|US7181721090|Philip Morris International Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|N|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-4|TXN2-6|TXN9-7|TXN4-2|TXN3-8|1552410000|||Quarterly|||||2008-03-17||||||| | | | | | | | | |||N|1|Y|Y|152A|USA|US|||45|4510|451030|45103010|Consumer Staples |Food, Beverage and Tobacco |Tobacco|Tobacco|N||N||||||Y|0|Y||Y|1|||92.96|92.965|0.0|92.94|92.92|92.96|92.92|92.935|0.0|0.0|92.95|92.99|92.93|92.97|92.7|92.93|94.32|92.93|92.96|92.93|92.92|92.93|86.76|98.63|92.89|92.97|92.88|92.98|92.86|93.0|92.92|92.93|105.62|87.23|5729745|984241897 65724|PMAR|PMAR|45782C383|US45782C3833|Innovator U.S. Equity Power Buffer ETF - March|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-8|TXN2-6|TXN4-8|TXN4-6|TXN1-8|11130000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||34.98|35.0443|0.0|34.98|34.98|35.01|34.995|34.98|0.0|0.0|34.98|34.98|0.0|34.98|0.0|34.98|34.98|35.0443|34.98|35.0443|34.69|35.42|34.98|35.09|35.02|35.08|34.99|35.11|34.94|35.14|35.02|35.08|35.13|30.36|15189|18224702 66260|PMAY|PMAY|45782C318|US45782C3189|Innovator U.S. Equity Power Buffer ETF - May|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-7|TXN3-7|TXN8-8|TXN4-1|TXN4-5|15650000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||30.69|30.78|0.0|30.74|30.75|30.76|30.78|30.76|0.0|0.0|0.0|0.0|0.0|30.7|0.0|0.0|0.0|30.78|30.7|30.78|30.75|30.82|30.73|30.8|30.76|30.84|30.71|30.88|30.71|30.87|28.29|30.87|30.8766|27.7501|20138|31138541 71376|PMCB|PMCB|71715X203|US71715X2036|PharmaCyte Biotech Inc|COM USD.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN6-5|TXN10-6|TXN6-3|TXN5-3|8780000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||0.0|0.0|0.0|0.0|0.0|2.29|2.26|2.29|0.0|0.0|2.29|0.0|2.25|0.0|0.0|0.0|0.0|2.26|0.0|2.26|1.76|2.8|0.0|0.0|2.12|2.3|1.76|2.8|0.0|0.0|2.21|2.25|3.23|1.92|12041|9824359 8601|PMD|PMD|744375205|US7443752057|Psychemedics Corp|COM USD.005||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN6-3|TXN14-2|TXN6-3|TXN5-4|5800000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201020|20102020|Health Care |Health Care |Medical Equipment and Services|Medical Services|N||N||||||N|0|Y||||||0.0|3.08|0.0|0.0|0.0|3.2|3.1501|0.0|0.0|0.0|0.0|0.0|3.19|2.98|0.0|0.0|0.0|3.1501|0.0|3.1501|0.0|0.0|0.0|0.0|3.05|3.33|0.0|0.0|0.0|0.0|3.16|3.19|6.75|2.06|31876|2724850 76459|PMEC|PMEC|Y708VV108|SGXZ14489751|Primech Holdings Ltd|ORD||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN5-8|TXN10-2|TXN6-4|TXN5-7|35550000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||SGP||||40|4020|402010|40201070|Consumer Discretionary|Consumer Products and Services|Consumer Services |Consumer Services: Misc.|N||N||||||N|0|Y||||||2.41|2.41|0.0|0.0|2.5|2.45|2.4106|2.48|0.0|0.0|2.5|2.5|2.46|0.0|0.0|2.52|0.0|2.41|0.0|2.46|0.0|0.0|0.0|0.0|2.4|2.67|2.31|2.62|0.0|0.0|2.4|2.49|4.18|1.01|370522|21122185 8603|PMF|PMF|72200R107|US72200R1077|PIMCO Municipal Income Fund|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|F|Citadel Securities 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Opportunities Trust|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN3-4|TXN7-8|TXN1-1|TXN4-3|34110000|||Monthly|||||1993-05-21||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||9.91|10.1|0.0|9.96|9.96|9.99|9.9801|9.96|0.0|0.0|9.93|9.95|10.0|9.97|9.92|9.98|9.99|9.98|9.9|9.98|9.98|10.01|7.7|12.27|9.26|10.19|9.96|10.03|9.97|10.01|9.98|10.01|12.25|8.57|111761|21425759 31275|PMT|PMT|70931T103|US70931T1034|PennyMac Mortgage Investment Trust|Common Shares of Beneficial Interest|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-2|TXN3-1|TXN1-4|TXN2-4|TXN4-8|86620000|||Quarterly|||||2009-07-30||||||| | | | | | | | | |||N|0|N|Y|414A|USA|US|||30|3020|302030|30203020|Financials|Financial Services |Mortgage Real Estate Investment Trusts|Mortgage REITs: Residential|N||N||||||Y|0|Y||Y|2|||14.57|14.6|0.0|14.52|14.59|14.59|14.6|14.595|0.0|0.0|14.59|14.59|14.59|14.585|14.58|14.6|14.52|14.6|14.53|14.6|14.59|14.6|11.09|17.64|14.56|14.6|14.57|14.61|14.56|14.62|14.59|14.6|15.57|10.5202|622335|165871941 56814|PMT PRA|PMTpA|70931T301|US70931T3014|PennyMac Mortgage Investment Trust|8.125% Series A Fixed-to-Floating Rate Cumulative Redeemable Preferred Shares of Beneficial Interest|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN4-8|TXN3-8|TXN3-8|TXN3-2|4600000|||Quarterly|||||2017-03-13||||||| | | | | | | | | |||N|0|N|N|414A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||22.62|22.77|0.0|0.0|0.0|22.8|22.79|22.23|0.0|0.0|22.85|0.0|22.84|22.65|0.0|22.77|22.83|22.77|0.0|22.77|22.79|22.85|22.75|22.83|22.29|23.29|0.0|0.0|0.0|0.0|22.79|22.85|25.15|20.11|14231|2784275 59052|PMT PRB|PMTpB|70931T400|US70931T4004|PennyMac Mortgage Investment Trust|8.00% Series B Fixed-to-Floating Rate Cumulative Redeemable Preferred Shares of Beneficial Interest|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN4-4|TXN1-5|TXN3-5|TXN4-2|7800000|||Quarterly|||||2017-07-06||||||| | | | | | | | | |||N|0|N|N|414A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|22.4|0.0|0.0|0.0|22.41|22.38|22.29|0.0|0.0|22.3|0.0|22.4|0.0|0.0|22.38|22.41|22.38|0.0|22.38|22.29|22.47|22.41|22.47|21.84|22.88|0.0|0.0|0.0|0.0|22.29|22.47|24.6|19.8|22105|4740250 71532|PMT PRC|PMTpC|70931T509|US70931T5092|PennyMac Mortgage Investment Trust|6.75% Series C Cumulative Redeemable Preferred Shares of Beneficial Interest|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|6|H|Citadel Securities 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|||N|0|N|N|414A||US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|24.95|24.99|24.9|0.0|0.0|0.0|24.95|0.0|0.0|0.0|0.0|24.95|0.0|24.95|0.0|24.95|24.9|24.95|0.0|0.0|24.81|25.2|0.0|0.0|0.0|0.0|24.9|24.95|25.0|23.75|7036|467980 67661|PMVP|PMVP|69353Y103|US69353Y1038|PMV Pharmaceuticals Inc|COM USD.00001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN6-5|TXN10-6|TXN5-2|TXN5-6|51160000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||2.36|2.36|0.0|2.34|2.37|2.365|2.36|2.365|0.0|0.0|2.36|2.36|2.37|2.365|2.33|2.37|2.35|2.36|2.36|2.37|2.34|2.37|1.8|2.87|2.34|2.37|2.33|2.4|2.32|2.38|2.36|2.37|10.23|1.175|236208|134433293 8616|PMX|PMX|72201A103|US72201A1034|PIMCO Municipal Income Fund III|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN3-7|TXN6-8|TXN2-6|TXN3-7|33360000|||Monthly|||||2002-10-29||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||7.34|7.52|0.0|7.5|7.5|7.52|7.51|7.52|0.0|0.0|7.5|7.56|7.52|7.5|0.0|7.52|7.55|7.52|0.0|7.52|7.5|7.52|5.77|9.22|6.99|8.02|7.49|7.54|7.5|7.53|7.5|7.52|9.94|6.09|155408|25373219 3192|PNBK|PNBK|70336F203|US70336F2039|Patriot National Bancorp Inc|COM USD2||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN5-6|TXN11-3|TXN6-7|TXN5-6|3970000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||||||4.44|4.6|0.0|0.0|0.0|4.59|4.52|4.55|0.0|0.0|0.0|4.7|4.54|0.0|0.0|0.0|0.0|4.54|0.0|4.54|3.64|5.53|0.0|0.0|4.22|4.79|4.4|5.53|0.0|0.0|4.4|4.55|12.0|4.25|6769|946878 8620|PNC|PNC|693475105|US6934751057|The PNC Financial Services Group, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-4|TXN4-5|TXN3-4|TXN4-4|TXN1-7|398340000|||Quarterly|||||1987-10-21||||||| | | | | | | | | |||N|5|Y|Y|402B|USA|US|||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||Y|1|||140.84|140.82|0.0|140.04|140.75|140.78|140.82|140.82|0.0|0.0|140.83|141.02|140.82|140.78|140.75|140.79|140.94|140.82|140.84|140.79|140.8|140.83|131.91|149.62|140.73|140.88|140.67|140.91|140.77|140.86|140.8|140.83|169.07|109.4|2935124|667069308 8623|PNF|PNF|72200T103|US72200T1034|PIMCO New York Municipal Income Fund|Common Shares of Benificial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN1-6|TXN9-8|TXN4-6|TXN3-6|7860000|||Monthly|||||2001-06-27||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||7.86|0.0|0.0|0.0|7.9|7.88|7.875|7.87|0.0|0.0|7.89|7.89|7.86|6.4465|0.0|7.86|7.89|7.86|0.0|7.86|7.84|7.86|5.94|9.59|7.37|8.36|5.94|9.59|0.0|0.0|7.84|7.86|10.4|6.37|38925|3576002 3195|PNFP|PNFP|72346Q104|US72346Q1040|Pinnacle Financial Partners Inc|COM USD1.||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN5-2|TXN14-3|TXN5-4|TXN6-4|76770000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||||||79.5|79.11|0.0|79.19|79.11|79.16|79.125|79.125|0.0|0.0|79.2|79.07|79.09|79.25|79.4|79.4|79.25|79.125|79.225|79.09|78.4|79.89|73.98|83.79|78.49|79.78|78.99|79.26|79.06|0.0|79.09|79.15|83.0|43.31|469909|146323501 66633|PNFPP|PNFPP|72346Q302|US72346Q3020|Pinnacle Financial Partners Inc|PFD B||B|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN6-3|TXN13-4|TXN6-8|TXN6-8|9000000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||23.01|22.835|0.0|0.0|23.1|22.835|23.0|0.0|0.0|0.0|22.95|23.25|22.95|23.01|0.0|23.04|0.0|23.0|0.0|22.95|22.95|0.0|0.0|0.0|22.46|23.61|0.0|0.0|0.0|0.0|22.95|23.07|26.8759|19.37|23047|3403379 8625|PNI|PNI|72200Y102|US72200Y1029|PIMCO New York Municipal Income Fund II|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN3-3|TXN7-8|TXN3-5|TXN4-4|11210000|||Monthly|||||2002-06-26||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||7.36|7.36|0.0|0.0|7.34|7.335|7.34|7.36|0.0|0.0|7.33|7.36|7.35|7.39|0.0|7.35|7.36|7.35|0.0|7.35|7.34|7.35|5.65|9.07|6.87|7.86|5.65|9.07|0.0|0.0|7.34|7.35|8.6787|6.0317|67208|6331662 8627|PNM|PNM|69349H107|US69349H1077|PNM Resources, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|A|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-7|TXN4-4|TXN7-6|TXN1-5|TXN1-7|85840000|||Quarterly|||||1972-09-07||||||| | | | | | | | | |||N|0|N|Y|302A|USA|US|||65|6510|651010|65101015|Utilities|Utilities|Electricity|Conventional Electricity|N||N||||||Y|0|Y||Y|2|||42.2|42.25|0.0|42.27|42.25|42.24|42.25|42.245|0.0|0.0|42.25|42.26|42.25|42.25|0.0|42.25|42.25|42.25|42.25|42.25|42.24|42.25|32.39|51.81|42.19|42.25|42.2|42.29|42.21|42.3|42.24|42.25|49.595|41.44|444785|131504836 24350|PNNT|PNNT|708062104|US7080621045|PennantPark Investment Corporation|Common Stock|Business development company|A|N|N|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN1-2|TXN4-8|TXN4-7|TXN4-4|65230000|||Quarterly|||||2022-04-14||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||Y|0|Y||Y|2|||6.4|6.405|0.0|0.0|6.4|6.41|6.4|6.405|0.0|0.0|6.4|6.41|6.405|6.4|6.44|6.4|6.43|6.4|6.4|6.4|6.4|6.41|5.0|7.95|6.39|6.42|6.38|6.43|6.37|6.42|6.4|6.41|7.07|4.7|406468|85512016 64939|PNOV|PNOV|45782C573|US45782C5739|Innovator U.S. Equity Power Buffer ETF - November|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-4|TXN2-8|TXN6-8|TXN3-6|TXN4-6|23200000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||33.781|33.8199|0.0|0.0|33.79|33.81|33.815|33.815|0.0|0.0|33.74|33.74|33.74|33.8|33.74|0.0|0.0|33.8199|0.0|33.8199|33.5|34.28|31.37|35.95|33.79|33.88|33.74|33.91|33.79|33.9|33.79|33.88|34.75|29.838|35161|17849176 28187|PNQI|PNQI|46137V530|US46137V5306|Invesco Exchange-Traded Fund Trust Invesco Nasdaq Internet ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN6-5|TXN12-6|TXN5-5|TXN6-6|18220000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||34.27|34.27|0.0|0.0|34.27|34.27|34.2999|0.0|0.0|0.0|34.27|34.29|34.26|34.29|34.27|34.27|34.27|34.28|0.0|34.26|34.22|34.35|34.11|34.39|34.28|34.29|34.1|34.4|34.11|0.0|34.28|34.29|166.465|28.84|123075|8307872 8634|PNR|PNR|G7S00T104|IE00BLS09M33|Pentair plc|Ordinary Shares|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|I|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-5|TXN4-2|TXN3-3|TXN4-3|TXN2-6|165300000|||Quarterly|||||2014-06-03||||||| | | | | | | | | |||N|5|Y|Y|126E|GBR|IE|||50|5020|502020|50202030|Industrials|Industrial Goods and Services|Electronic and Electrical Equipment|Electronic Equipment: Pollution Control|N||N||||||Y|0|Y||Y|1|||66.55|66.53|0.0|66.65|66.51|66.5|66.5|66.49|0.0|0.0|66.55|66.57|66.5|66.36|66.53|66.52|66.46|66.49|66.2|66.52|66.49|66.5|62.4|70.12|66.47|66.53|66.43|66.57|66.43|66.58|66.49|66.5|71.82|43.19|1597714|315970926 3199|PNRG|PNRG|74158E104|US74158E1047|PrimeEnergy Resources Corp|COM USD.1||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN6-3|TXN12-4|TXN5-7|TXN5-5|1820000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||60|6010|601010|60101010|Energy|Energy|Oil, Gas and Coal|Oil: Crude Producers|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|109.0|0.0|0.0|0.0|0.0|0.0|108.55|0.0|0.0|0.0|0.0|109.0|0.0|108.55|102.49|113.39|0.0|0.0|103.75|112.77|0.0|0.0|0.0|0.0|106.57|109.0|120.0|75.55|3338|1267299 66923|PNT|PNT|730541109|US7305411099|POINT Biopharma Global Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN6-6|TXN10-4|TXN5-1|TXN5-1|106570000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||13.75|13.75|0.0|13.7|13.7|13.725|13.76|13.73|0.0|0.0|13.76|13.74|13.75|13.76|13.7|13.73|13.7|13.75|13.76|13.75|13.7|13.77|10.56|16.84|13.69|13.77|10.83|13.9|0.0|0.0|13.74|13.75|13.91|6.39|854476|277686399 64611|PNTG|PNTG|70805E109|US70805E1091|Pennant Group Inc (The)|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN6-3|TXN10-6|TXN6-7|TXN5-8|29930000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201010|20101025|Health Care |Health Care |Health Care Providers|Health Care Services|N||N||||||Y|0|Y||||||13.71|13.69|0.0|13.73|13.7|13.7|13.7|13.7|0.0|0.0|13.71|13.64|13.7|13.71|13.71|13.69|13.73|13.69|13.7|13.7|13.56|13.85|10.7|16.78|13.58|13.83|13.63|13.7|13.63|13.76|13.69|13.7|16.39|9.75|326837|44206963 8637|PNW|PNW|723484101|US7234841010|Pinnacle West Capital Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|M|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-7|TXN3-7|TXN4-7|TXN4-6|TXN1-4|113400000|||Quarterly|||||1961-08-28||||||| | | | | | | | | |||N|5|Y|Y|302A|USA|US|||65|6510|651010|65101015|Utilities|Utilities|Electricity|Conventional Electricity|N||N||||||Y|0|Y||Y|1|||75.07|75.065|0.0|75.08|75.06|75.07|75.09|75.06|0.0|0.0|75.01|75.08|75.07|75.07|75.18|75.09|75.12|75.09|75.12|75.09|75.06|75.08|70.55|79.88|75.04|75.09|75.01|75.13|75.06|75.15|75.06|75.08|86.03|68.55|505221|195997442 42595|POAI|POAI|74039M309|US74039M3097|Predictive Oncology Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN5-2|TXN10-5|TXN6-8|TXN5-2|4060000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||N|0|Y||||||0.0|3.24|0.0|0.0|0.0|0.0|3.29|3.28|0.0|0.0|0.0|0.0|3.3|0.0|0.0|0.0|0.0|3.29|0.0|3.29|3.04|3.47|0.0|0.0|3.04|3.47|0.0|0.0|0.0|0.0|3.22|3.3|7.12|0.185|10996|125899715 29683|POCI|POCI|740294400|US7402944000|Precision Optics Corp Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN5-3|TXN14-3|TXN6-5|TXN6-1|6070000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||N|0|Y||||||6.0|0.0|0.0|0.0|5.98|5.97|5.96|0.0|0.0|0.0|6.15|0.0|6.13|5.98|0.0|0.0|0.0|6.13|0.0|6.13|0.0|0.0|0.0|0.0|5.73|6.5|0.0|0.0|0.0|0.0|5.97|6.15|7.2|5.45|8994|1575310 61877|POCT|POCT|45782C797|US45782C7974|Innovator U.S. Equity Power Buffer ETF - October|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-1|TXN4-1|TXN8-8|TXN3-6|TXN3-6|21980000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|35.4|0.0|0.0|0.0|35.38|35.38|35.35|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|35.4|0.0|35.4|33.07|37.64|33.07|37.64|35.35|35.44|35.31|35.5|35.31|35.5|35.36|35.44|35.51|29.6805|47714|30623416 76249|PODC|PODC|22275C105|US22275C1053|PodcastOne Inc|COM USD0.00001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN6-7|TXN13-4|TXN6-2|TXN6-5|23060000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4030|403010|40301035|Consumer Discretionary|Media|Media|Radio and TV Broadcasters|N||N||||||N|0|Y|C|||||2.0|2.12|0.0|1.97|1.99|1.94|1.94|2.0|0.0|0.0|1.93|1.94|1.93|1.99|0.0|2.15|2.23|1.93|0.0|1.93|1.85|2.05|1.5|2.45|1.91|2.04|1.5|2.45|0.0|0.0|1.93|1.96|5.8|1.73|201678|10123589 24544|PODD|PODD|45784P101|US45784P1012|Insulet Corporation|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN6-4|TXN14-3|TXN5-1|TXN6-3|69830000|||NotApplicable|||||||||||| | | | | | | | | |||N|5|Y|N||USA||||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||Y|0|Y||||||194.03|193.98|0.0|193.99|194.03|194.03|194.09|194.07|0.0|0.0|194.07|193.91|193.99|194.02|194.15|194.04|193.7|194.04|194.06|193.99|192.97|195.25|181.2|205.56|193.9|195.12|193.71|194.4|193.99|0.0|193.99|194.08|335.91|125.82|876323|219852041 73685|POET|POET|73044W302|CA73044W3021|POET Technologies Inc|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN6-8|TXN11-2|TXN5-7|TXN5-7|40700000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CAN||||10|1010|101020|10102010|Technology|Technology|Technology Hardware and Equipment|Semiconductors|N||N||||||Y|0|Y||||||1.11|1.07|0.0|0.0|1.06|1.07|1.06|1.08|0.0|0.0|1.07|1.06|1.05|1.08|0.0|1.07|0.0|1.06|1.09|1.05|0.856|1.32|0.856|1.32|1.05|1.13|0.856|1.32|0.0|0.0|1.05|1.09|6.23|0.72|190559|13237940 67090|POL|POL|28252C208|US28252C2089|Polished.com Inc.|Common Stock|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||J. Streicher & Co. L.L.C.|JSCO|3856|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN2-3|TXN9-8|TXN4-6|TXN3-2|2110000|||NotApplicable|||||2020-07-31||||||| | | | | | | | | |||N|0|N|N|146E|USA|US|||40|4040|404010|40401025|Consumer Discretionary|Retail |Retailers |Home Improvement Retailers|N||N||||||N|2|Y|C|Y|2|||1.31|1.3|0.0|0.0|1.27|1.29|1.29|1.27|0.0|0.0|1.3|1.33|1.28|1.26|1.26|1.26|1.29|1.29|0.0|1.29|1.23|1.38|1.28|1.31|1.26|1.36|1.25|1.34|1.24|1.35|1.28|1.31|2.649|0.0513|95250|480963013 54607|POLA|POLA|73102V105|US73102V1052|Polar Power Inc|COM USD.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-8|TXN6-8|TXN12-3|TXN6-2|TXN6-2|12960000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502020|50202010|Industrials|Industrial Goods and Services|Electronic and Electrical Equipment|Electrical Components |N||N||||||N|0|Y|D|||||0.5|0.4849|0.0|0.0|0.5|0.505|0.52|0.502|0.0|0.0|0.505|0.505|0.519|0.54|0.57|0.565|0.0|0.52|0.5599|0.519|0.474|0.546|0.0|0.0|0.4848|0.5408|0.4364|0.6151|0.0|0.0|0.505|0.52|2.1994|0.405|1225124|53211924 3207|POOL|POOL|73278L105|US73278L1052|Pool Corp|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN5-4|TXN12-4|TXN6-5|TXN5-3|38680000|||NotApplicable|||||||||||| | | | | | | | | |||N|5|Y|N||USA||||40|4020|402030|40203050|Consumer Discretionary|Consumer Products and Services|Leisure Goods|Recreational Products|N||N||||||Y|0|Y||||||353.79|353.95|0.0|353.99|353.76|353.925|353.65|353.73|0.0|0.0|353.95|361.31|353.64|355.08|352.01|354.05|357.26|353.61|355.9|353.64|351.62|356.5|332.3|375.76|353.45|353.94|353.1|354.17|353.55|353.89|353.63|353.89|423.97|295.95|317895|94258982 16293|POR|POR|736508847|US7365088472|Portland General Electric Company|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|A|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-7|TXN3-8|TXN3-7|TXN2-7|TXN4-3|101120000|||Quarterly|||||2006-04-03||||||| | | | | | | | | |||N|0|N|Y|302A|USA|US|||65|6510|651010|65101015|Utilities|Utilities|Electricity|Conventional Electricity|N||N||||||Y|0|Y||Y|2|||42.22|42.225|0.0|41.9|42.22|42.2|42.225|42.225|0.0|0.0|42.23|42.19|42.23|42.22|42.1|42.22|42.21|42.23|42.2|42.22|42.21|42.22|32.19|51.25|42.15|42.28|42.21|42.25|42.19|42.25|42.21|42.22|51.58|38.01|989064|205261205 73356|PORT|PORT|84465L105|US84465L1052|Southport Acquisition Corporation|Class A Common Stock|Special purpose acquisition company|A|N|N|N|Y|Y|Y|Y|Y|6|O|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN2-5|TXN8-8|TXN4-2|TXN1-8|8350000|||NotApplicable|||||2022-01-31||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|10.62|0.0|0.0|0.0|10.62|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.62|0.0|10.62|0.0|10.62|10.62|10.63|10.62|10.63|10.62|10.8|0.0|0.0|0.0|0.0|10.62|10.63|11.66|10.03|6306|21546655 73359|PORT WS|PORT.WS|84465L113|US84465L1136|Southport Acquisition Corporation|Warrants, each exercisable for one share of Class A common stock at an exercise price of $11.50|Special purpose acquisition company|C|N|N|N|Y|Y|Y|Y|Y|6|O|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN3-8|TXN2-6|TXN2-8|TXN3-4|TXN1-5|0|||NotApplicable|||||2022-01-31||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||||||||||N||N||||||N|0|Y||N||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0125|0.0|0.0|0.0|0.0125|0.0101|0.02|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0101|0.02|0.1|0.01|126|1985374 72854|PORT U|PORT.U|84465L204|US84465L2043|Southport Acquisition Corporation|Units, each consisting of one share of Class A common stock, and one-half of one warrant|Special purpose acquisition company|R|N|N|N|Y|Y|Y|Y|Y|6|O|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN4-8|TXN8-8|TXN2-2|TXN1-4|0|||NotApplicable|||||2021-12-10||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|10.61|10.61|10.62|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.61|0.0|10.61|0.0|10.61|10.61|11.19|0.0|0.0|10.56|11.18|0.0|0.0|0.0|0.0|10.61|10.72|11.18|9.98|1306|180606 39468|POST|POST|737446104|US7374461041|Post Holdings, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-5|TXN2-2|TXN3-6|TXN2-1|TXN4-4|60350000|||Adhoc|||||2012-01-27||||||| | | | | | | | | |||N|0|Y|Y|118B|USA|US|||45|4510|451020|45102020|Consumer Staples |Food, Beverage and Tobacco |Food Producers|Food Products|N||N||||||Y|0|Y||Y|1|||87.35|87.355|0.0|87.36|87.43|87.37|87.4|87.395|0.0|0.0|87.38|87.38|87.39|87.36|87.38|87.4|87.35|87.4|87.275|87.4|87.39|87.4|81.24|92.82|87.01|87.7|87.33|87.47|87.32|87.44|87.39|87.4|98.84|78.845|1201232|116261089 64612|POTX|POTX|37954Y145|US37954Y1459|Global X Cannabis Etf|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN5-7|TXN10-3|TXN6-3|TXN6-2|5150000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|6.09|0.0|0.0|0.0|6.1|6.065|6.09|0.0|0.0|6.08|6.07|6.01|5.952|6.08|6.08|0.0|6.09|0.0|6.01|0.0|0.0|5.55|6.35|5.91|6.09|5.54|6.35|5.55|6.35|6.0|6.09|17.316|5.04|53016|7567109 18455|POWA|POWA|46138J775|US46138J7752|Invesco Exchange-Traded Self-Indexed Fund Trust|Invesco Bloomberg Pricing Power ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Invesco|IMC Chicago, LLC, DBA IMC Financial Markets|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-3|TXN1-3|TXN3-8|TXN1-7|TXN2-6|2780000|||Yearly|||||2018-04-09||DEF.NV|DEF.SO|DEF.EU|DEF.TC|DEF.IV| | | | | | | | | |1x|The Fund, using a low cost passive or indexing investment approach, seeks to replicate, before the Funds fees and expenses, the performance of the Guggenheim Defensive Equity Index (GUGDEF). As of November 30, 2012, the Index was comprised of approximately 100 securities selected, based on investment and other criteria developed by Sabrient Systems LLC (Sabrient or the Index Provider), from a broad universe of U.S.-traded securities, including master limited partnerships (MLPs) and American depositary receipts (ADRs). The depositary receipts included in the Index may be sponsored or unsponsored. The universe of potential Index constituents includes approximately 1,000 listed companies, generally with market capitalizations in excess of $1 billion. The Fund will invest at least 90% of its totalassets in common stock, ADRs and MLPs that comprise the Index and depositary receipts representing common stocks included in the Index (or underlying securities representing ADRs included in the Index). The Fund has adopted a policy that requires the Fund to provide shareholders with at least 60 days notice prior to any material change in this policy or the Index. 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The Fund categorizes an Innovative Company ro bw in the development of new products or services, technological advancements, consumer engagement, and/or disruptive approaches with respect to business growth.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||Y|0|Y||Y|2|||0.0|23.5|0.0|0.0|0.0|23.6|23.62|23.56|0.0|0.0|23.6|23.6|23.6|23.5|0.0|0.0|0.0|23.64|23.6|23.64|0.0|0.0|0.0|0.0|23.61|23.67|23.41|23.67|0.0|0.0|23.61|23.67|29.23|16.57|12430|6436484 8650|PPA|PPA|46137V100|US46137V1008|Invesco Exchange-Traded Fund Trust|Invesco Aerospace & Defense ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Invesco|IMC Chicago, LLC, DBA IMC Financial Markets|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-8|TXN4-7|TXN9-5|TXN2-7|TXN2-5|27730000|||Quarterly|||||2008-11-03||PPA.NV|PPA.SO|PPA.EU|PPA.TC|PPA.IV| | | | | | | | | |1x|The PowerShares Aerospace & Defense Portfolio (Fund) is based on the SPADE Defense Index (Index). The Fund will normally invest at least 90% of its total assets in common stocks that comprise the Index. The Index is designed to identify a group of companies involved in the development, manufacturing, operations and support of U.S. defense, homeland security and aerospace operations. The modified market-cap portfolio is rebalanced quarterly and reconstituted annually.|N|0|N|N|406C|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|1|||0.0|89.69|0.0|0.0|88.77|89.63|89.7|89.59|0.0|0.0|89.07|0.0|89.695|89.08|0.0|89.66|0.0|89.72|0.0|89.72|89.5|89.84|89.41|89.93|89.66|89.69|89.41|89.93|89.52|89.94|89.65|89.7|89.72|76.25|69856|30862677 3218|PPBI|PPBI|69478X105|US69478X1054|Pacific Premier Bancorp Inc|COM USD8||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN5-7|TXN10-2|TXN6-7|TXN6-2|95900000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||||||25.14|25.18|0.0|25.04|25.15|25.2|25.16|25.15|0.0|0.0|25.15|25.16|25.15|25.15|25.04|25.17|24.98|25.16|25.1|25.15|25.11|25.21|19.26|30.67|25.1|25.2|25.1|25.21|25.09|25.22|25.15|25.16|36.26|17.53|670304|128191383 52029|PPBT|PPBT|74638P109|US74638P1093|Purple Biotech Ltd|ADR||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN5-4|TXN10-2|TXN5-5|TXN6-3|244590000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||ISR||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||0.0|1.07|0.0|0.0|0.0|1.06|1.06|1.06|0.0|0.0|1.05|1.1|1.07|0.0|1.05|0.0|0.0|1.08|1.06|1.08|1.0|1.09|0.824|1.3|0.95|1.29|0.824|1.29|0.0|0.0|1.06|1.08|2.37|0.88|39237|15229834 8652|PPC|PPC|72147K108|US72147K1088|Pilgrim's Pride Corp|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN6-8|TXN13-2|TXN5-7|TXN6-8|236790000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||USA||||45|4510|451020|45102010|Consumer Staples |Food, Beverage and Tobacco |Food Producers|Farming, Fishing, Ranching and Plantations|N||N||||||Y|0|Y||||||26.21|26.205|0.0|25.77|26.2|26.205|26.2|26.21|0.0|0.0|26.18|26.18|26.21|26.185|26.18|26.2|26.19|26.21|26.2|26.21|26.18|26.22|24.3|27.57|26.18|26.23|26.17|26.23|26.17|26.23|26.2|26.21|26.655|19.96|492493|192674468 75134|PPEM|PPEM|746729706|US7467297062|Putnam ETF Trust|Putnam PanAgora ESG Emerging Markets Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Putnam|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-8|TXN4-5|TXN1-5|TXN3-4|TXN4-6|1050000|||Yearly|||||2023-01-20||PPEM.NV|PPEM.SO|PPEM.EU|PPEM.TC| | | | | | | | | | ||Putnam PanAgora ESG Emerging Markets Equity ETF seeks long term capital 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Vehicles|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|11.18|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.27|11.98|0.0|0.0|0.0|0.0|11.0|11.3|11.95|10.3|14|442701 71925|PPHPR|PPHPR|69291C122||PHP Ventures Acquisition Corp. Rights|||D|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-4|TXN6-3|TXN10-5|TXN6-5|TXN6-6|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||50|5020|502040|50204000|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Industrial|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0735|0.16|0.3095|0.0353|0|753693 71400|PPHPU|PPHPU|69291C205|US69291C2052|PHP Ventures Acquisition 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| |||N|0|N|N||MYS||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0149|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0061|0.0199|0.12|0.0051|64|2116519 73069|PPI|PPI|46141T117|US46141T1170|Investment Managers Series Trust II|AXS Astoria Inflation Sensitive ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||AXS Investments|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN4-5|TXN4-8|TXN4-1|TXN1-7|2175000|||Quarterly|||||2021-12-30||PPI.NV|PPI.SO|PPI.EU|PPI.TC| | | | | | | | | | |1x|AXS Astoria Inflation Sensitive ETF (the Fund) seeks long-term capital appreciation in inflation-adjusted terms.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|26.3395|26.37|0.0|0.0|0.0|0.0|26.38|0.0|0.0|0.0|0.0|26.3209|0.0|26.3209|24.49|28.23|0.0|0.0|26.3|26.35|26.26|26.35|0.0|0.0|26.3|26.35|27.76|23.6501|10923|2982473 75135|PPIE|PPIE|746729870|US7467298706|Putnam ETF Trust|Putnam PanAgora ESG International Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Putnam|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN3-7|TXN8-8|TXN1-8|TXN4-6|6450000|||Yearly|||||2023-01-20||PPIE.NV|PPIE.SO|PPIE.EU|PPIE.TC| | | | | | | | | | ||Putnam PanAgora ESG International Equity ETF seeks long term capital appreciation.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|21.24|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|21.2202|0.0|21.2202|21.17|21.24|0.0|0.0|21.19|21.24|0.0|0.0|0.0|0.0|21.19|21.24|21.58|18.925|7645|1804349 2521|PPIH|PPIH|714167103|US7141671039|Perma-Pipe International Holdings Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN6-8|TXN10-2|TXN5-6|TXN5-6|8060000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||55|5510|551020|55102015|Basic Materials|Basic Resources|Industrial Metals and Mining|Metal Fabricating|N||N||||||Y|0|Y||||||0.0|0.0|0.0|0.0|0.0|6.5|6.799|0.0|0.0|0.0|6.75|0.0|6.76|6.89|0.0|0.0|0.0|6.89|0.0|6.76|0.0|0.0|0.0|0.0|6.34|7.19|0.0|0.0|0.0|0.0|6.75|6.9|11.49|6.17|6230|2268431 8658|PPL|PPL|69351T106|US69351T1060|PPL Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|A|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-7|TXN4-7|TXN5-4|TXN2-8|TXN3-1|737120000|||Quarterly|||||1948-09-17||||||| | | | | | | | | |||N|5|Y|Y|302A|USA|US|||65|6510|651010|65101015|Utilities|Utilities|Electricity|Conventional Electricity|N||N||||||Y|0|Y||Y|1|||26.36|26.35|0.0|26.37|26.34|26.35|26.35|26.375|0.0|0.0|26.35|26.38|26.35|26.38|26.36|26.36|26.375|26.35|26.35|26.36|26.35|26.36|24.63|28.02|26.35|26.37|25.03|26.38|26.32|26.39|26.35|26.36|31.74|22.2|4178599|1267518634 32106|PPLT|PPLT|003260106|US0032601066|abrdn Platinum ETF Trust|abrdn Physical Platinum Shares ETF|Trust|ETV|N|N|P|Y|Y|Y|Y|Y||||||||Aberdeen Standard Investments|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-5|TXN1-4|TXN3-6|TXN4-4|TXN3-4|10800000|||NotApplicable|||||2010-01-08||PPLT.NV|PPLT.SO| | |PPLT.IV| | | | | | | | | |1x|Aberdeen Standard Physical Platinum Shares ETF(PPLT) seeks to reflect the performance of the price of physical platinum, less the Trusts expenses. The investment objective of the Trust is for the Shares to reflect the performance of the price of physical platinum, less the Trusts expenses. The Shares are intended to constitute a simple and cost-effective means of making an investment similar to an investment in platinum. An investment in physical platinum requires expensive and sometimes complicated arrangements in connection with the assay, transportation, warehousing and insurance of the metal. Although the Shares are not the exact equivalent of an investment in platinum, they provide investors with an alternative that allows a level of participation in the platinum market through the securities market. |N|0|N|N|416A|USA|US|COMMODITIES_AND_FUTURES|INDEX|||||||||N||N||||||N|0|Y||Y|1|||0.0|84.85|0.0|0.0|84.85|84.88|84.825|85.02|0.0|0.0|85.55|85.85|84.9|84.81|85.05|84.86|0.0|84.86|84.06|84.86|81.24|88.59|84.51|85.05|84.73|84.86|84.5|84.86|84.5|85.06|84.51|84.85|104.6727|77.68|76683|24924581 38394|PPSI|PPSI|723836300|US7238363003|Pioneer Power Solutions Inc|COM USD0.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN6-8|TXN12-6|TXN6-7|TXN6-1|9930000|||NotApplicable|||||||||||| | | | | | | | | 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Investments|N||N||||||N|0|Y||Y|2|||0.0|3.46|0.0|0.0|3.46|3.46|3.465|3.48|0.0|0.0|3.47|3.44|3.465|3.465|0.0|3.46|3.46|3.465|0.0|3.46|3.46|3.47|2.68|4.26|3.23|3.53|3.43|3.5|3.46|3.47|3.46|3.47|3.91|3.25|210890|42423326 43848|PPTA|PPTA|714266103|CA7142661031|Perpetua Resources Corp|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN6-7|TXN12-3|TXN5-8|TXN5-4|63270000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||55|5510|551030|55103025|Basic Materials|Basic Resources|Precious Metals and Mining|Gold Mining|N||N||||||Y|0|Y||||||3.12|3.23|0.0|0.0|3.22|3.2|3.2101|3.22|0.0|0.0|3.12|0.0|3.22|3.23|0.0|3.22|0.0|3.2101|3.22|3.22|3.14|3.29|2.45|3.95|3.21|3.28|3.19|3.25|3.19|3.25|3.21|3.22|5.4899|1.83|169826|32730952 60827|PPTY|PPTY|26922A511|US26922A5112|ETF Series Solutions|U.S. Diversified Real Estate ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Vident Financial|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-1|TXN3-3|TXN8-8|TXN3-5|TXN2-6|4200000|||Quarterly|||||2018-03-26||PPTY.NV|PPTY.SO|PPTY.EU|PPTY.TC|PPTY.IV| | | | | | | | | |1x|The PPTY-US Diversified Real Estate ETF (the Fund) seeks to provide investment results that, before fees and expenses, track the price and yield performance of the WeatherStorm Real Estate Index(the Index). 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USD.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN6-2|TXN14-4|TXN6-4|TXN5-5|8570000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||16.13|16.0|0.0|0.0|16.08|0.0|16.08|16.01|0.0|0.0|16.15|16.65|16.16|16.0|0.0|16.6|0.0|16.08|0.0|16.16|15.59|16.6|12.51|19.84|15.7|16.49|13.4|19.27|15.77|16.58|15.96|16.17|18.499|0.79|67811|278904700 73427|PRAY|PRAY|78433H204|US78433H2040|NEOS ETF Trust|FIS Christian Stock Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Faith Investor Services|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN4-8|TXN4-8|TXN1-4|TXN3-6|1350000|||Yearly|||||2022-02-08||PRAY.NV|PRAY.SO|PRAY.EU|PRAY.TC| | | | | | | | | | |1x|The Fund is an actively managed exchange traded fund (ETF). Under normal circumstances, the Fund invests in equity securities, including common stock and American Depositary Receipts (ADRs) and Global Depositary Receipts (GDRs) of international and domestic companies. The Fund may meet its investment objective by directly investing in equity securities, or by investing in other investment companies, including ETFs, that invest primarily in equity securities. To achieve the Funds objective, it seeks to outperform the [ ] (the Benchmark).|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|24.6|24.6008|24.27|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|24.655|0.0|24.655|22.91|26.37|0.0|0.0|24.6|24.71|22.91|26.37|0.0|0.0|24.6|24.71|25.159|21.285|2235|855101 65368|PRCH|PRCH|733245104|US7332451043|Porch Group Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN6-3|TXN12-1|TXN5-2|TXN6-4|98880000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101010|10101020|Technology|Technology|Software and Computer Services|Consumer Digital Services |N||N||||||Y|0|Y||||||1.735|1.74|0.0|1.74|1.735|1.73|1.735|1.74|0.0|0.0|1.73|1.735|1.73|1.73|1.73|1.735|1.74|1.74|1.74|1.73|1.72|1.74|1.37|2.08|1.72|1.74|1.71|1.76|1.7|1.77|1.73|1.74|3.99|0.495|1695619|340332746 71670|PRCT|PRCT|74276L105|US74276L1052|PROCEPT BioRobotics Corp|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN5-1|TXN12-7|TXN5-1|TXN6-6|50500000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||Y|0|Y||||||38.12|38.11|0.0|37.96|38.02|38.1|38.0|38.0|0.0|0.0|38.05|38.11|38.03|38.05|38.31|38.02|38.09|38.0|38.23|38.03|37.93|38.11|29.01|38.03|37.93|38.03|37.95|38.1|37.94|38.11|38.0|38.03|47.49|24.83|272396|97521997 727|PRDO|PRDO|71363P106|US71363P1066|Perdoceo Education Corp|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN6-1|TXN12-1|TXN6-2|TXN5-3|65690000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4020|402010|40201010|Consumer Discretionary|Consumer Products and Services|Consumer Services |Education Services|N||N||||||Y|0|Y||||||17.68|17.68|0.0|17.55|17.69|17.675|17.67|17.675|0.0|0.0|17.68|17.84|17.68|17.69|17.63|17.685|0.0|17.68|17.5|17.68|17.65|17.83|13.63|21.52|17.64|17.79|17.66|17.71|0.0|17.71|17.68|17.69|19.62|11.5|657033|92593183 71072|PRE|PRE|G72245122|KYG722451229|Prenetics Global Ltd|CL A ORD USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN6-2|TXN11-6|TXN6-5|TXN5-4|10510000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||HKG||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|4.27|0.0|0.0|0.0|0.0|4.27|0.0|4.27|3.18|5.31|3.18|5.31|3.99|4.49|3.18|5.31|0.0|0.0|4.22|4.27|6.19|0.2865|1577|77772944 69806|PRE PRJ|PREpJ|G68603169||PartnerRe Ltd.|4.875% Fixed Rate Non-Cumulative Redeemable Preferred Shares, Series J|Other|B|N|Y|N|Y|Y|Y|Y|Y|6|H|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN1-6|TXN1-5|TXN3-2|TXN2-1|0|||Quarterly|||||2021-03-19||||||| | | | | | | | | |||N|0|N|N|410B||BM|||50|5020|502040|50204000|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Industrial|N||N||||||N|0|Y||Y|2|||18.03|18.05|0.0|0.0|18.03|18.02|18.02|18.11|0.0|0.0|18.05|18.0|18.01|18.1|0.0|18.03|18.0|18.01|18.0|18.03|17.95|18.04|17.96|18.09|17.67|18.44|0.0|0.0|0.0|0.0|17.95|18.04|22.49|17.41|39979|4106824 59110|PREF|PREF|74255Y888|US74255Y8883|Principal Exchange-Traded Funds|Principal Spectrum Preferred Securities Active ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Principal Funds|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-7|TXN1-3|TXN9-8|TXN1-7|TXN4-7|41800005|||Monthly|||||2020-08-17||PREF.NV|PREF.SO|PREF.EU|PREF.TC|PREF.IV| | | | | | | | | ||The Fund is an actively managed exchange-traded fund (ETF) that seeks to provide current income by investing in preferred securities.|N|0|N|N|416A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|1|||17.08|17.08|0.0|0.0|17.08|17.08|17.0825|17.08|0.0|0.0|17.08|17.08|17.09|17.08|17.08|17.08|17.075|17.07|0.0|17.07|17.02|18.26|15.9|18.26|17.07|17.1|15.9|18.26|0.0|0.0|17.07|17.1|18.1|16.17|230115|55356481 71073|PRENW|PRENW|G72245114|KYG722451146|Prenetics Global Ltd|WT EXP 032626||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-3|TXN5-4|TXN14-5|TXN6-4|TXN5-1|180270000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||HKG||||||||||||N||N||||||N|0|Y||||||0.0099|0.0|0.0|0.0|0.0|0.0|0.01|0.0|0.0|0.0|0.0083|0.0099|0.0099|0.0|0.0|0.0|0.0|0.01|0.0|0.01|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0082|0.01|0.275|0.006|7281|1987302 15853|PRF|PRF|46137V613|US46137V6130|Invesco Exchange-Traded Fund Trust|Invesco FTSE RAFI US 1000 ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Invesco|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-5|TXN3-8|TXN7-2|TXN1-4|TXN3-4|186830000|||Quarterly|||||2007-12-31||PRF.NV|PRF.SO|PRF.EU|PRF.TC|PRF.IV| | | | | | | | | |1x|The PowerShares FTSE RAFI US 1000 Portfolio (Fund) is based on the FTSE RAFI US 1000 Index (Index). 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Capital Securities include securities issued by U.S. and non-U.S. financial institutions (including, but not limited to, banks and insurance companies) that can be used to satisfy their regulatory capital requirements. 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Services|N||N||||||Y|0|Y||||||65.28|65.28|0.0|65.09|65.34|65.35|65.35|65.3|0.0|0.0|65.18|65.32|65.34|64.54|65.33|65.31|65.33|65.34|64.97|65.34|64.6|65.91|50.56|78.92|64.72|65.82|65.19|65.43|65.29|65.45|65.29|65.36|96.93|51.23|266718|54280340 67403|PRFX|PRFX|M77798128|IL0011651580|Painreform Ltd|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN5-6|TXN14-7|TXN6-6|TXN6-8|1560000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||ISR||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||2.71|2.73|0.0|0.0|2.68|2.73|2.7275|2.6|0.0|0.0|2.75|0.0|2.72|0.0|0.0|2.75|0.0|2.7275|0.0|2.7275|2.56|2.89|2.1|3.41|2.53|2.83|2.1|3.21|0.0|0.0|2.7|2.75|26.41|0.3404|35021|108779795 17244|PRFZ|PRFZ|46137V597|US46137V5975|Invesco FTSE RAFI US 1500 Small-Mid ETF|US 1500 SMALL-MID||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN5-8|TXN10-2|TXN5-8|TXN5-1|61140000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||34.91|35.01|0.0|0.0|35.01|35.01|34.98|34.92|0.0|0.0|35.01|34.75|34.98|34.92|35.01|34.99|34.93|34.98|0.0|34.98|34.98|35.06|34.92|35.06|34.98|35.01|34.93|35.06|34.92|35.06|34.98|35.01|179.83|30.29|184955|19165745 8968|PRG|PRG|74319R101|US74319R1014|PROG Holdings, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN4-2|TXN9-7|TXN1-7|TXN2-2|44720000|||Quarterly|||||1998-03-20||||||| | | | | | | | | |||N|0|N|Y|180B|USA|US|||40|4020|402010|40201040|Consumer Discretionary|Consumer Products and Services|Consumer Services |Rental and Leasing Services: Consumer|N||N||||||Y|0|Y||Y|2|||28.6|28.6|0.0|28.39|28.61|28.605|28.61|28.605|0.0|0.0|28.555|28.6|28.59|28.61|28.37|28.61|28.58|28.61|28.59|28.61|28.61|28.62|22.37|34.69|28.52|28.65|28.56|28.64|28.55|28.65|28.61|28.62|44.81|16.465|510567|103092124 3240|PRGO|PRGO|G97822103|IE00BGH1M568|Perrigo Company plc|Oridinary Shares|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|T|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-2|TXN2-6|TXN9-3|TXN3-5|TXN3-1|135510000|||Quarterly|||||2013-12-19||||||| | | | | | | | | |||N|0|Y|Y|140A|IRL|US|||20|2010|201030|20103015|Health Care |Health Care |Pharmaceuticals and Biotechnology|Pharmaceuticals |N||N||||||Y|0|Y||Y|1|||31.36|31.355|0.0|31.36|31.38|31.365|31.35|31.365|0.0|0.0|31.355|31.37|31.355|31.36|31.27|31.36|31.38|31.38|31.35|31.36|31.35|31.38|29.54|33.22|31.34|31.39|31.34|31.4|31.35|31.38|31.35|31.38|40.28|26.81|1391253|292281728 3241|PRGS|PRGS|743312100|US7433121008|Progress Software Corp|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN6-8|TXN13-5|TXN6-8|TXN5-8|43570000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||||||54.73|54.74|0.0|54.61|54.76|54.78|54.71|54.74|0.0|0.0|54.79|54.8|54.75|54.74|0.0|54.79|0.0|54.72|0.0|54.75|54.45|55.11|42.02|67.36|54.64|54.85|54.66|54.79|54.67|54.77|54.7|54.77|62.34|48.925|196646|75858695 74487|PRH|PRH|744320870|US7443208704|Prudential Financial, Inc.|5.950% Junior Subordinated Notes due 2062|Operating company|G|N|N|N|Y|Y|Y|Y|Y|6|H|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN4-6|TXN9-8|TXN2-6|TXN3-4|12000000|||Quarterly|||||2022-08-19|2062-09-01|||||| | | | | | | | | |||N|0|N|N|416A||US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|25.36|0.0|0.0|0.0|25.32|25.32|25.36|0.0|0.0|0.0|0.0|25.385|0.0|0.0|25.34|25.33|25.35|0.0|25.34|25.31|25.43|25.31|25.35|24.8|25.46|0.0|0.0|0.0|0.0|25.31|25.43|25.81|23.17|25506|9305363 32508|PRI|PRI|74164M108|US74164M1080|Primerica, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN1-3|TXN7-8|TXN4-1|TXN3-5|35030000|||Quarterly|||||2010-04-01||||||| | | | | | | | | |||N|0|Y|Y|408A|USA|US|||30|3030|303010|30301010|Financials|Insurance|Life Insurance|Life Insurance|N||N||||||N|0|Y||Y|1|||211.87|212.47|0.0|211.93|211.58|212.52|212.646|212.595|0.0|0.0|210.89|209.65|212.69|212.56|212.85|212.64|209.23|212.595|209.06|212.64|212.52|212.55|197.88|224.32|210.67|214.14|212.28|212.88|212.54|212.97|212.52|212.55|219.998|135.0|201856|33586501 63882|PRIF PRD|PRIFpD|74274W400|US74274W4006|Priority Income Fund, Inc.|7.00% Series D Term Preferred Stock due 2029|Closed end fund|B|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN1-3|TXN6-8|TXN4-4|TXN2-7|1090000|||Quarterly|||||2019-06-20|2029-06-30|||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|23.29|23.4|0.0|0.0|0.0|0.0|0.0|23.29|0.0|0.0|23.4|0.0|23.4|0.0|23.4|22.92|23.4|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|22.92|23.4|23.9638|21.45|1105|163983 65701|PRIF PRF|PRIFpF|74274W822|US74274W8221|Priority Income Fund, Inc.|6.625% Series F Term Preferred Stock due 2027|Closed end fund|B|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN4-1|TXN6-8|TXN1-4|TXN4-8|1230000|||Quarterly|||||2020-02-28||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|22.81|22.8099|0.0|0.0|0.0|22.84|0.0|22.84|0.0|0.0|22.81|0.0|22.81|0.0|22.81|22.71|22.92|0.0|0.0|21.64|23.6|0.0|0.0|0.0|0.0|22.71|22.91|24.9899|20.9301|1857|196673 69903|PRIF PRG|PRIFpG|74274W814|US74274W8148|Priority Income Fund, Inc.|6.25% Series G Preferred Stock Due 2026|Closed end fund|B|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN3-6|TXN1-5|TXN4-2|TXN2-2|1470000|||Quarterly|||||2021-03-24|2026-06-30|||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|23.1466|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|23.1466|0.0|23.1466|0.0|23.1466|23.15|23.8|0.0|0.0|23.15|24.19|0.0|0.0|0.0|0.0|23.15|23.8|23.8541|21.3401|500|318869 70553|PRIF PRH|PRIFpH|74274W798|US74274W7983|Priority Income Fund, Inc.|6.00% Series H Term Preferred Stock due 2026|Closed end fund|B|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN1-2|TXN6-8|TXN3-7|TXN2-3|1200000|||Quarterly|||||2021-05-11|2026-12-31|||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|22.77|0.0|0.0|0.0|22.7|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|22.78|22.67|22.9|22.67|22.9|21.17|24.42|0.0|0.0|0.0|0.0|22.67|22.9|24.39|20.77|13|364790 70945|PRIF PRI|PRIFpI|74274W780|US74274W7801|Priority Income Fund, Inc.|6.125% Series I Term Preferred Stock due 2028|Closed end fund|B|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN2-5|TXN4-8|TXN1-2|TXN2-5|1600000|||Quarterly|||||2021-06-23|2028-06-30|||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|21.75|0.0|0.0|0.0|0.0|0.0|0.0|0.0|22.0|21.77|22.15|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|21.77|22.15|23.25|20.5|1|420445 71402|PRIF PRJ|PRIFpJ|74274W772|US74274W7728|Priority Income Fund, Inc.|6.000% Series J Term Preferred Stock due 2028|Closed end fund|B|N|N|N|Y|Y|Y|Y|Y|6|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN3-7|TXN4-8|TXN4-5|TXN1-3|1580000|||Quarterly|||||2021-08-13||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|21.82|0.0|0.0|0.0|21.85|21.69|0.0|0.0|0.0|21.8|0.0|21.72|0.0|0.0|21.8|0.0|21.8|0.0|21.8|21.79|21.8|21.63|21.8|20.36|23.35|0.0|0.0|0.0|0.0|21.79|21.8|22.84|20.12|3273|730897 72003|PRIF PRK|PRIFpK|74274W764|US74274W7645|Priority Income Fund, Inc.|7.000% Series K Cumulative Preferred Stock|Closed end fund|B|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN2-8|TXN2-8|TXN1-1|TXN2-7|1600000|||Quarterly|||||2021-10-12||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|20.4894|21.1|0.0|0.0|21.0|0.0|0.0|0.0|0.0|20.48|20.48|0.0|0.0|20.48|20.0|20.85|20.18|20.49|18.84|22.24|0.0|0.0|0.0|0.0|20.0|20.85|22.5|18.0801|372|485609 73585|PRIF PRL|PRIFpL|74274W756|US74274W7561|Priority Income Fund, Inc.|6.375% Series L Term Preferred Stock Due 2029|Closed end fund|B|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN2-5|TXN3-8|TXN2-3|TXN2-6|1100000|||Quarterly|||||2022-03-01|2029-03-31|||||| | | | | | | | | |||N|0|N|N|406C||US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|22.19|22.1899|0.0|0.0|0.0|22.5|0.0|0.0|0.0|0.0|22.48|0.0|22.48|0.0|22.48|22.16|22.75|22.16|22.5|20.59|24.25|0.0|0.0|0.0|0.0|22.16|22.75|23.79|20.39|2102|475136 18331|PRIM|PRIM|74164F103|US74164F1030|Primoris Services Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-5|TXN2-4|TXN4-5|TXN4-2|TXN3-2|53360000|||Quarterly|||||2023-04-04||||||| | | | | | | | | |||N|0|N|Y|100A|USA|US|||50|5010|501010|50101010|Industrials|Construction and Materials|Construction and Materials |Construction|N||N||||||N|0|Y||Y|2|||31.89|31.9|0.0|31.51|31.84|31.865|31.82|31.865|0.0|0.0|31.87|31.1|31.8|31.88|31.865|31.82|31.36|31.8|31.13|31.82|31.82|31.84|24.03|39.07|31.76|31.93|31.76|31.87|31.77|31.87|31.82|31.84|36.19|20.44|281684|72502791 8695|PRK|PRK|700658107|US7006581075|Park National Corporation|Common Stock|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-2|TXN2-1|TXN8-8|TXN3-5|TXN2-8|16120000|||Quarterly|||||1994-05-02||||||| | | | | | | | | |||N|0|N|N|416A|USA|US|||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||Y|2|||110.94|119.0|0.0|111.13|116.05|119.3|119.15|119.12|0.0|0.0|118.5|119.15|119.42|117.9|111.42|118.6|119.48|119.48|111.46|119.48|116.91|119.71|119.11|119.16|117.05|120.91|118.74|119.79|119.04|119.91|119.11|119.16|146.55|90.28|48061|11332834 39647|PRLB|PRLB|743713109|US7437131094|Proto Labs, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|O|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN1-3|TXN6-8|TXN2-5|TXN2-2|25790000|||NotApplicable|||||2012-02-24||||||| | | | | | | | | |||N|0|N|Y|306A|USA|US|||50|5020|502040|50204000|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Industrial|N||N||||||Y|0|Y||Y|2|||37.04|37.1|0.0|37.08|37.06|37.08|37.05|37.04|0.0|0.0|37.09|37.0|37.05|36.94|36.88|37.1|37.09|37.08|36.27|37.1|37.07|37.08|28.39|45.16|37.0|37.16|36.99|37.13|36.98|37.15|37.07|37.08|39.52|23.01|126436|45473599 67654|PRLD|PRLD|74065P101|US74065P1012|Prelude Therapeutics Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN5-2|TXN13-2|TXN5-3|TXN6-8|54830000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||3.18|3.22|0.0|0.0|3.19|3.22|3.19|3.205|0.0|0.0|3.22|3.13|3.2|3.22|3.23|3.15|3.22|3.18|0.0|3.2|3.09|3.35|2.42|3.9|3.13|3.29|2.59|3.85|0.0|0.0|3.2|3.22|8.565|1.66|65900|26378383 73406|PRLH|PRLH|G44525106|KYG445251062|Pearl Holdings Acquisition Corp|ORD SHS CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN6-3|TXN12-3|TXN6-1|TXN5-3|20000000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||10.81|10.81|0.0|0.0|10.81|10.81|10.81|10.81|0.0|0.0|10.81|10.81|10.81|10.81|10.81|10.8|0.0|10.8|0.0|10.8|10.8|10.82|0.0|0.0|10.8|11.47|0.0|10.83|0.0|0.0|10.8|10.81|11.0|10.175|4995721|30362931 72923|PRLHU|PRLHU|G44525122|KYG445251229|Pearl Holdings Acquisition Corp|UNITS||R|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN5-4|TXN10-8|TXN5-6|TXN5-8|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.76|0.0|0.0|0.0|0.0|10.76|10.9|10.76|0.0|0.0|0.0|0.0|10.75|11.87|0.0|0.0|0.0|0.0|10.75|11.87|12.45|9.62|404|257887 73407|PRLHW|PRLHW|G44525114|KYG445251146|Pearl Holdings Acquisition Corp|WRTTS||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-8|TXN6-6|TXN10-3|TXN6-4|TXN6-2|0|||NotApplicable|||||||||||| | | 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EUR||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN5-2|TXN11-7|TXN5-8|TXN5-6|80820000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||MEX||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||1.92|1.94|0.0|0.0|1.93|1.9|1.93|1.9|0.0|0.0|1.93|1.91|1.93|1.9|1.9|1.91|1.9|1.94|1.89|1.93|1.9|1.99|1.48|2.3|1.93|1.98|1.9|1.97|1.89|0.0|1.93|1.95|3.85|1.11|352209|128894748 61472|PRS|PRS|744320805|US7443208050|Prudential Financial, Inc.|5.625% Junior Subordinated Notes due 2058|Operating company|G|N|N|N|Y|Y|Y|Y|Y|6|H|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN4-5|TXN3-8|TXN3-8|TXN3-2|22600000|||Quarterly|||||2018-08-22|2058-08-15|||||| | | | | | | | | |||N|0|N|N|416A||US|||||||||||N||N||||||N|0|Y||Y|2|||24.25|24.25|0.0|24.16|23.92|24.31|24.28|24.16|0.0|0.0|24.25|24.29|24.37|24.15|0.0|24.27|24.16|24.28|22.468437|24.27|24.22|24.36|24.15|24.27|23.79|24.86|0.0|0.0|0.0|0.0|24.22|24.36|25.4358|22.31|28204|6975356 2595|PRSO|PRSO|71360T101|US71360T1016|Peraso 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PLC|ADR||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN6-3|TXN10-7|TXN6-4|TXN5-5|272720000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|19.1|0.0|0.0|0.0|0.0|19.25|0.0|19.25|0.0|0.0|0.0|0.0|18.36|20.66|0.0|0.0|0.0|0.0|19.0|20.0|38.51|17.85|2470|289311 66739|PRTG|PRTG|G7185A128|VGG7185A1286|Portage Biotech 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Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN6-1|TXN13-7|TXN6-8|TXN6-7|76720000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502050|50205015|Industrials|Industrial Goods and Services|Industrial Support Services|Transaction Processing Services|N||N||||||N|0|Y||||||3.05|0.0|0.0|0.0|0.0|3.04|3.1|3.02|0.0|0.0|3.0|0.0|3.07|0.0|0.0|0.0|0.0|3.04|0.0|3.07|2.85|3.26|0.0|0.0|2.89|3.22|0.0|0.0|0.0|0.0|3.01|3.08|6.09|2.62|10533|5258526 18986|PRTS|PRTS|14427M107|US14427M1071|CarParts.com Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN5-1|TXN11-7|TXN6-3|TXN6-3|57500000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4010|401010|40101025|Consumer Discretionary|Automobiles and Parts|Automobiles and Parts|Auto Parts|N||N||||||Y|0|Y||||||3.24|3.25|0.0|3.29|3.25|3.245|3.245|3.24|0.0|0.0|3.25|3.25|3.25|3.22|3.31|3.245|3.24|3.245|3.225|3.25|3.23|3.26|2.51|4.0|3.23|3.26|3.21|3.28|3.23|3.26|3.24|3.25|7.44|2.5|337268|151816887 8699|PRU|PRU|744320102|US7443201022|Prudential Financial, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-3|TXN1-3|TXN3-3|TXN3-2|TXN4-6|361000000|||Quarterly|||||2001-12-13||||||| | | | | | | | | |||N|5|Y|Y|416A|USA|US|||30|3030|303010|30301010|Financials|Insurance|Life Insurance|Life Insurance|N||N||||||Y|0|Y||Y|1|||98.31|98.36|0.0|98.37|98.35|98.37|98.365|98.38|0.0|0.0|98.32|98.32|98.36|98.32|98.35|98.36|98.38|98.36|98.34|98.36|98.35|98.37|92.0|104.56|98.33|98.42|98.33|98.42|98.29|98.44|98.35|98.37|107.31|75.37|1759335|442378986 70416|PRVA|PRVA|74276R102|US74276R1023|Privia Health Group Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN6-6|TXN11-5|TXN5-2|TXN5-4|118060000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201010|20101025|Health Care |Health Care |Health Care Providers|Health Care Services|N||N||||||Y|0|Y||||||22.16|22.24|0.0|22.24|22.22|22.24|22.25|22.27|0.0|0.0|22.25|22.22|22.25|22.26|22.14|22.26|22.26|22.25|22.15|22.25|22.12|22.29|17.26|27.39|22.13|22.3|22.22|22.3|22.22|22.31|22.24|22.25|30.15|19.68|508690|261063484 75855|PRVT|PRVT|886364397|US8863643974|Private Real Estate Strategy via Liquid REITs ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN5-6|TXN10-2|TXN6-5|TXN6-6|150000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|19.0472|0.0|0.0|0.0|0.0|0.0|0.0|19.0472|0.0|0.0|0.0|0.0|19.01|19.08|0.0|0.0|0.0|0.0|19.01|19.08|21.06|16.7444|39|258530 76055|PRZO|PRZO|M7S13T102|IL0011857013|ParaZero Technologies Ltd|ORD||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-3|TXN6-1|TXN14-5|TXN6-6|TXN6-5|6050000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||ISR||||50|5020|502010|50201010|Industrials|Industrial Goods and Services|Aerospace and Defense|Aerospace|N||N||||||N|0|Y||||||0.7206|0.7206|0.0|0.0|0.7206|0.733|0.726|0.73|0.0|0.0|0.726|0.726|0.7302|0.0|0.0|0.0|0.0|0.726|0.711|0.726|0.5681|0.894|0.5681|0.894|0.7105|0.76|0.7102|0.7517|0.7038|0.7512|0.722|0.7399|4.15|0.56|229661|498203105 8704|PSA|PSA|74460D109|US74460D1090|Public Storage|Common Stock|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-3|TXN2-2|TXN5-5|TXN3-6|TXN2-2|175840000|||Quarterly|||||1984-10-19||||||| | | | | | | | | |||N|5|Y|Y|412A|USA|US|||35|3510|351020|35102050|Real Estate|Real Estate |Real Estate Investment Trusts|Storage REITs|N||N||||||Y|0|Y||Y|1|||269.32|269.39|0.0|268.98|269.41|269.48|269.32|269.36|0.0|0.0|269.41|269.26|269.32|269.39|269.39|269.3|269.03|269.41|269.03|269.3|269.32|269.4|251.82|286.06|269.18|269.55|269.05|269.6|269.0|269.65|269.32|269.4|316.48|233.18|1207464|220486538 58556|PSA PRF|PSApF|74460W685|US74460W6856|Public Storage|Depositary Shares Each Representing 1/1,000 of a 5.15% Cumulative Preferred Share of Beneficial Interest, Series F, par value $0.01 per share|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN1-5|TXN7-8|TXN2-2|TXN4-1|11200000|||Quarterly|||||2017-06-05||||||| | | | | | | | | |||N|0|N|N|412A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||23.5|23.45|0.0|0.0|23.55|23.58|23.35|23.64|0.0|0.0|23.45|23.58|23.48|23.5|0.0|23.35|23.5|23.35|0.0|23.35|23.33|23.49|23.51|23.6|22.89|23.91|0.0|0.0|0.0|0.0|23.33|23.49|25.0|20.76|30066|4898855 59344|PSA PRG|PSApG|74460W669|US74460W6690|Public Storage|Depositary Shares Each Representing 1/1,000 of a 5.05% Cumulative Preferred Share of Beneficial Interest, Series G, par value $0.01 per share|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN1-4|TXN7-8|TXN4-2|TXN3-7|12000000|||Quarterly|||||2017-08-10||||||| | | | | | | | | |||N|0|N|N|412A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|23.59|0.0|0.0|23.64|23.43|23.46|23.55|0.0|0.0|0.0|0.0|23.52|0.0|0.0|23.43|23.47|23.46|0.0|23.43|23.43|23.6|23.47|23.54|23.1|24.01|0.0|0.0|0.0|0.0|23.43|23.6|24.85|20.7|23341|5514398 63214|PSA PRH|PSApH|74460W644|US74460W6443|Public Storage|Depositary Shares Each Representing 1/1000 of a 5.60% Cumulative Preferred Share of Beneficial Interest, Series H|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN1-8|TXN3-8|TXN4-4|TXN4-5|11400000|||Quarterly|||||2019-03-13||||||| | | | | | | | | |||N|0|N|N|412A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||24.76|24.39|0.0|0.0|0.0|24.84|24.79|24.82|0.0|0.0|24.99|0.0|24.9|0.0|0.0|24.79|24.9|24.79|0.0|24.79|24.74|24.93|24.74|24.88|24.44|25.39|0.0|0.0|0.0|0.0|24.74|24.93|26.1|22.09|19601|5239337 64508|PSA PRI|PSApI|74460W628|US74460W6286|Public Storage|Depositary Shares Each Representing 1/1,000 of a 4.875% Cumulative Preferred Share of Beneficial Interest, Series I, par value $0.01 per share|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN4-2|TXN1-5|TXN3-7|TXN3-3|12650000|||Quarterly|||||2019-09-16||||||| | | | | | | | | |||N|0|N|N|412A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||21.75|21.68|0.0|0.0|0.0|21.92|21.8|21.85|0.0|0.0|0.0|0.0|21.64|0.0|0.0|21.72|21.78|21.8|22.025312|21.72|21.64|21.83|21.78|21.95|21.29|22.33|0.0|0.0|0.0|0.0|21.64|21.83|23.67|19.25|17799|5386260 65062|PSA PRJ|PSApJ|74460W594|US74460W5940|Public Storage|Depositary Shares Each Representing 1/1,000 of a 4.700% Cumulative Preferred Share of Beneficial Interest, Series J, par value $0.01 per share|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN3-5|TXN6-8|TXN1-6|TXN3-4|10350000|||Quarterly|||||2019-11-18||||||| | | | | | | | | |||N|0|N|N|412A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||20.62|20.62|0.0|20.62|20.64|20.62|20.5999|20.68|0.0|0.0|20.6|0.0|20.6|20.62|0.0|20.65|20.75|20.65|20.62|20.65|20.65|20.79|20.75|20.81|20.15|21.19|0.0|0.0|0.0|0.0|20.65|20.79|22.79|17.94|31625|6959624 65273|PSA PRK|PSApK|74460W578|US74460W5783|Public Storage|Depositary Shares Each Representing 1/1,000 of a 4.75% Cumulative Preferred Share of Beneficial Interest, Series K|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN2-3|TXN5-8|TXN2-3|TXN4-4|9200000|||Quarterly|||||2019-12-23||||||| | | | | | | | | |||N|0|N|N|412A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||20.63|20.77|0.0|0.0|20.86|20.69|20.65|20.62|0.0|0.0|20.69|20.24|20.64|20.96|0.0|20.75|20.72|20.79|0.0|20.75|20.63|20.79|20.72|20.77|20.16|21.21|0.0|0.0|0.0|0.0|20.63|20.79|22.74|18.16|34679|6474331 66759|PSA PRL|PSApL|74460W552|US74460W5528|Public Storage|Depositary Shares Each Representing 1/1,000 of a 4.625% Cumulative Preferred Share of Beneficial Interest, Series L, par value $0.01 per share|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN3-3|TXN8-8|TXN2-7|TXN4-4|22600000|||Quarterly|||||2020-06-18||||||| | | | | | | | | |||N|0|N|N|412A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||20.9|20.61|0.0|0.0|20.79|21.0|20.62|20.805|0.0|0.0|0.0|20.65|20.705|20.9|0.0|20.62|20.8|20.62|0.0|20.62|20.62|20.79|20.8|20.86|20.23|21.0|0.0|0.0|0.0|0.0|20.62|20.79|22.48|17.9708|28495|12381268 67297|PSA PRM|PSApM|74460W537|US74460W5379|Public Storage|Depositary Shares Each Representing 1/1,000 of a 4.125% Cumulative Preferred Share of Beneficial Interest, Series M|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN4-4|TXN8-8|TXN2-6|TXN4-1|9200000|||Quarterly|||||2020-08-20||||||| | | | | | | | | |||N|0|N|N|412A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|18.48|18.5|0.0|0.0|0.0|0.0|18.48|0.0|17.55|18.48|18.57|18.48|18.69|18.48|18.48|18.58|18.54|18.69|18.09|18.94|0.0|0.0|0.0|0.0|18.48|18.58|19.99|15.82|8869|3502956 67834|PSA PRN|PSApN|74460W511|US74460W5114|Public Storage|Depositary Shares Each Representing 1/1,000 of a 3.875% Cumulative Preferred Share of Beneficial Interest, Series N|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|6|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN2-2|TXN1-5|TXN1-3|TXN4-4|11300000|||Quarterly|||||2020-10-09||||||| | | | | | | | | |||N|0|N|N|412A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||16.94|16.95|0.0|0.0|0.0|16.92|16.92|16.99|0.0|0.0|16.9|0.0|16.93|0.0|0.0|16.92|17.1|16.92|0.0|16.92|16.92|17.01|17.1|17.14|16.57|17.33|0.0|0.0|0.0|0.0|16.92|17.01|22.46|14.9|31592|3686825 68180|PSA PRO|PSApO|74460W487|US74460W4877|Public Storage|Depositary Shares Each Representing 1/1,000 of a 3.900% Cumulative Preferred Share of Beneficial Interest, Series O|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|6|O|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN3-4|TXN5-8|TXN2-7|TXN3-2|6800000|||Quarterly|||||2020-11-18||||||| | | | | | | | | |||N|0|N|N|412A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|17.14|0.0|0.0|17.26|17.4|17.18|17.185|0.0|0.0|0.0|0.0|17.14|17.26|0.0|17.15|17.42|17.15|0.0|17.15|17.13|17.24|17.29|17.37|16.77|17.62|0.0|0.0|0.0|0.0|17.13|17.24|19.14|15.1|22609|3479659 70914|PSA PRP|PSApP|74460W461|US74460W4612|Public Storage|Depositary Shares Each Representing 1/1,000 of a 4.000% Cumulative Preferred Share of Benecial Interest, Series P|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|6|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN2-5|TXN7-8|TXN1-8|TXN4-6|24150000|||Quarterly|||||2021-06-18||||||| | | | | | | | | |||N|0|N|N|412A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||18.38|18.36|0.0|0.0|18.2|18.21|18.22|18.25|0.0|0.0|0.0|0.0|18.21|17.96|0.0|18.21|18.36|18.21|17.61|18.21|18.21|18.24|18.36|18.42|17.88|18.67|0.0|0.0|0.0|0.0|18.21|18.24|19.62|15.37|34524|9866072 71474|PSA PRQ|PSApQ|74460W446|US74460W4463|Public Storage|Depositary Shares Each Representing 1/1,000 of a 3.950% Cumulative Preferred Share of Beneficial Interest, Series Q, par value $0.01 per share|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|6|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN3-6|TXN3-8|TXN3-1|TXN3-3|5750000|||Quarterly|||||2021-08-19||||||| | | | | | | | | |||N|0|N|N|412A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|17.42|0.0|0.0|17.26|17.4|17.3003|17.42|0.0|0.0|17.27|0.0|17.3|17.37|0.0|17.3|17.56|17.3|17.26|17.3|17.3|17.32|17.35|17.43|16.93|17.73|0.0|0.0|0.0|0.0|17.3|17.32|18.89|15.17|18913|3647366 72519|PSA PRR|PSApR|74460W420|US74460W4208|Public Storage|Depositary Shares Each Representing 1/1,000 of a 4.00% Cumulative Preferred Share of Benecial Interest, Series R|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|6|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN3-3|TXN2-8|TXN3-3|TXN4-5|17400000|||Quarterly|||||2021-11-22||||||| | | | | | | | | 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Vehicles|N||N||||||N|0|Y||||||43.48|43.48|0.0|0.0|43.48|43.15|43.18|43.48|0.0|0.0|43.15|43.15|43.22|43.48|0.0|43.48|0.0|43.18|0.0|43.22|42.61|43.57|0.0|0.0|42.85|43.55|40.09|46.07|0.0|0.0|43.15|43.26|44.4028|37.78|28549|6834696 32537|PSCC|PSCC|46138E172|US46138E1727|Invesco Exchange-Traded Fund Trust II Invesco S&P SmallCap Consumer Staples ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN6-3|TXN12-2|TXN6-2|TXN6-7|2250000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||36.32|0.0|0.0|0.0|0.0|36.09|36.3524|0.0|0.0|0.0|0.0|0.0|36.36|0.0|0.0|0.0|0.0|36.32|0.0|36.36|36.25|36.41|0.0|0.0|36.3|36.36|36.2|36.45|36.2|36.45|36.3|36.36|112.94|32.8033|7507|2066862 32540|PSCD|PSCD|46138E180|US46138E1800|Invesco Exchange-Traded Fund Trust II Invesco S&P SmallCap Consumer Discretionary ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN6-1|TXN12-1|TXN6-2|TXN6-4|340000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|94.3611|0.0|0.0|0.0|0.0|0.0|94.59|0.0|0.0|0.0|0.0|94.3611|0.0|94.59|94.4|94.78|0.0|0.0|94.55|94.66|87.81|100.9|0.0|0.0|94.59|94.66|97.96|77.1593|872|473629 32533|PSCE|PSCE|46138G474|US46138G4745|Invesco Exchange-Traded Fund Trust II Invesco S&P SmallCap Energy ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN5-1|TXN10-6|TXN6-5|TXN6-6|4290000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||0.0|52.39|0.0|0.0|0.0|52.36|52.37|52.48|0.0|0.0|0.0|0.0|52.44|0.0|0.0|0.0|0.0|52.39|0.0|52.44|52.32|52.53|52.28|52.58|52.39|52.45|52.28|52.58|52.28|52.58|52.4|52.45|59.6739|8.305|12939|32065089 32534|PSCF|PSCF|46138E156|US46138E1560|Invesco Exchange-Traded Fund Trust II Invesco S&P SmallCap Financials ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN6-4|TXN14-2|TXN5-6|TXN6-3|440000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||0.0|0.0|0.0|0.0|0.0|45.56|45.5657|0.0|0.0|0.0|0.0|0.0|45.6762|0.0|0.0|0.0|0.0|45.5657|0.0|45.6762|45.57|45.77|0.0|0.0|45.63|45.71|42.12|48.84|0.0|0.0|45.64|45.7|53.31|38.28|2641|461562 32539|PSCH|PSCH|46138E149|US46138E1495|Invesco Exchange-Traded Fund Trust II Invesco S&P SmallCap Health Care ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN6-5|TXN10-7|TXN6-5|TXN5-8|5530000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|38.57|0.0|0.0|0.0|38.65|38.791|38.41|0.0|0.0|0.0|38.76|38.79|38.79|0.0|0.0|0.0|38.791|0.0|38.79|38.79|38.88|0.0|0.0|38.79|38.84|38.69|39.02|38.63|39.02|38.79|38.84|146.1399|34.7121|26856|2403487 32535|PSCI|PSCI|46138E123|US46138E1230|Invesco Exchange-Traded Fund Trust II Invesco S&P SmallCap Industrials ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN6-3|TXN13-5|TXN5-3|TXN5-3|1350000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||0.0|0.0|0.0|0.0|0.0|107.59|108.08|0.0|0.0|0.0|107.73|0.0|108.08|0.0|0.0|0.0|0.0|108.08|0.0|108.08|107.81|108.28|0.0|0.0|107.97|108.1|100.02|114.96|0.0|0.0|107.97|108.08|108.08|87.1665|5070|1486255 71038|PSCJ|PSCJ|69374H535|US69374H5357|Pacer Swan SOS Conservative (July) ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN4-6|TXN4-8|TXN4-7|TXN3-7|450000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|22.5347|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|22.5347|0.0|22.5347|17.96|27.02|22.47|22.52|22.5|22.56|17.96|27.02|0.0|0.0|22.5|22.56|22.61|19.4831|0|310582 32532|PSCM|PSCM|46138G201|US46138G2012|Invesco Exchange-Traded Fund Trust II Invesco S&P SmallCap Materials ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN6-4|TXN12-8|TXN5-8|TXN5-3|240000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|67.2179|0.0|0.0|0.0|0.0|0.0|0.0|67.2179|67.06|67.37|0.0|0.0|67.17|67.3|62.16|71.68|0.0|0.0|67.18|67.29|73.61|58.45|21|666979 71886|PSCQ|PSCQ|69374H527|US69374H5274|Pacer Swan SOS Conservative (October) ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-1|TXN4-8|TXN4-8|TXN4-2|TXN3-6|300000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|23.5534|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|23.5534|0.0|23.5534|18.78|28.26|23.51|23.57|23.53|23.58|18.78|28.26|0.0|0.0|23.53|23.58|23.6145|20.0|237|203152 32536|PSCT|PSCT|46138E115|US46138E1156|Invesco Exchange-Traded Fund Trust II Invesco S&P SmallCap Information Technology ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN6-1|TXN12-3|TXN6-5|TXN5-1|6900000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||0.0|0.0|0.0|0.0|0.0|43.85|44.15|0.0|0.0|0.0|0.0|0.0|44.15|0.0|0.0|0.0|0.0|44.15|0.0|44.15|44.09|44.27|0.0|0.0|44.13|44.22|44.05|44.39|44.05|44.39|44.14|44.21|149.6399|38.54|10840|1670238 32538|PSCU|PSCU|46138G409|US46138G4091|Invesco Exchange-Traded Fund Trust II Invesco S&P SmallCap Utilities & Communication Services ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN6-3|TXN11-2|TXN6-6|TXN6-8|330000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|51.68|0.0|0.0|0.0|0.0|51.6901|0.0|0.0|0.0|0.0|0.0|51.804|0.0|0.0|0.0|0.0|51.73|0.0|51.804|51.69|51.91|0.0|0.0|51.75|51.83|51.54|55.33|51.54|0.0|51.75|51.83|60.8869|46.76|3087|233010 70072|PSCW|PSCW|69374H543|US69374H5431|Pacer Swan SOS Conservative (April) ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-1|TXN2-1|TXN7-8|TXN2-4|TXN1-4|480000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|22.669|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|22.669|0.0|22.669|22.62|22.71|22.6|22.69|22.62|22.71|11.37|34.08|0.0|0.0|22.62|22.71|22.723|20.67|200|799477 68579|PSCX|PSCX|69374H584|US69374H5845|Pacer Swan SOS Conservative (December) ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-5|TXN2-6|TXN2-8|TXN1-4|TXN3-2|480000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|24.1992|0.0|0.0|0.0|0.0|24.1401|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|24.1992|0.0|24.1992|0.0|0.0|0.0|0.0|24.15|24.24|19.27|29.11|0.0|0.0|24.15|24.24|24.214|20.89|730|365396 76048|PSDM|PSDM|69344A842|US69344A8421|PGIM Short Duration Multi-Sector Bond ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN4-1|TXN4-8|TXN4-4|TXN4-6|530000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|50.49|0.0|0.0|0.0|0.0|50.37658|0.0|0.0|0.0|0.0|0.0|0.0|50.11658|0.0|0.0|0.0|50.49|0.0|50.49|0.0|0.0|0.0|0.0|50.47|50.51|0.0|0.0|0.0|0.0|50.47|50.51|50.61|49.685|107|15072 3275|PSEC|PSEC|74348T102|US74348T1025|Prospect Capital Corp|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN5-1|TXN10-5|TXN5-5|TXN5-7|410390000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||Y|0|Y||||||5.66|5.67|0.0|0.0|5.67|5.665|5.67|5.665|0.0|0.0|5.665|5.66|5.66|5.67|5.67|5.67|5.665|5.67|5.66|5.66|5.66|5.71|5.63|5.7|5.66|5.71|5.63|5.7|5.62|5.71|5.66|5.67|7.7|5.025|1428132|350000265 71232|PSEC PRA|PSECpA|74348T565|US74348T5653|Prospect Capital Corporation|5.35% Series A Fixed Rate Cumulative Perpetual Preferred Stock|Operating company|B|N|N|N|Y|Y|Y|Y|Y|6|H|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN4-2|TXN7-8|TXN1-2|TXN3-1|5880000|||Quarterly|||||2021-07-23||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||15.99|15.73|0.0|0.0|16.25|15.9|15.82|15.82|0.0|0.0|15.97|0.0|15.87|0.0|0.0|15.87|15.85|15.82|0.0|15.87|15.81|15.87|15.81|15.87|15.49|15.87|0.0|0.0|15.91|16.03|15.81|15.87|18.08|14.04|31895|3411391 64395|PSEP|PSEP|45782C656|US45782C6562|Innovator U.S. Equity Power Buffer ETF - September|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-3|TXN4-5|TXN9-8|TXN2-3|TXN1-6|22100000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|33.87|0.0|0.0|33.87|33.94|33.8348|33.82|0.0|0.0|33.97|0.0|33.86|33.95|0.0|0.0|33.97|33.87|0.0|33.87|32.13|35.51|33.81|33.84|33.81|33.87|32.13|33.93|33.81|33.92|33.77|33.87|33.98|28.9101|19558|25161581 52746|PSET|PSET|74255Y201|US74255Y2019|Principal Exchange-Traded Funds Principal Quality ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN6-1|TXN10-8|TXN5-3|TXN5-3|580000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|57.86|0.0|0.0|0.0|0.0|58.0502|0.0|0.0|0.0|0.0|0.0|58.16|0.0|0.0|0.0|0.0|58.0502|0.0|58.16|57.61|58.79|0.0|0.0|58.16|58.22|58.16|58.22|0.0|0.0|58.16|58.22|58.48|49.02|1183|1096588 36147|PSF|PSF|19248Y107|US19248Y1073|Cohen & Steers Select Preferred and Income Fund, Inc.|Common Shares, $.001 par value|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN4-5|TXN7-8|TXN2-4|TXN2-2|12030000|||Monthly|||||2010-11-24||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||20.05|20.01|0.0|0.0|20.1|20.055|20.01|20.01|0.0|0.0|20.04|19.35|20.01|20.06|0.0|20.01|0.0|20.01|0.0|20.01|20.01|20.09|0.0|0.0|18.66|21.42|15.88|24.1|0.0|0.0|20.01|20.09|21.92|16.0|24180|7261578 68580|PSFD|PSFD|69374H576|US69374H5761|Pacer Swan SOS Flex (December) ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-6|TXN2-2|TXN8-8|TXN1-3|TXN4-5|800000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|28.0911|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|28.0911|0.0|28.0911|28.04|28.13|28.04|28.13|28.05|28.13|0.0|0.0|0.0|0.0|28.03|28.13|28.1907|23.6|0|721744 70056|PSFE|PSFE|G6964L206|BMG6964L2062|Paysafe Limited|Common Shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|6|M|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-7|TXN1-4|TXN3-6|TXN2-7|TXN4-2|61270000|||NotApplicable|||||2021-03-31||||||| | | | | | | | | |||N|0|N|Y|180B|GBR|BM|||50|5020|502050|50205015|Industrials|Industrial Goods and Services|Industrial Support Services|Transaction Processing Services|N||N||||||Y|0|Y||Y|2|||10.38|10.41|0.0|10.37|10.41|10.41|10.41|10.415|0.0|0.0|10.41|10.4|10.405|10.41|10.41|10.41|10.34|10.4|10.07|10.41|10.4|10.41|8.03|12.7|10.33|10.43|10.38|10.44|10.37|10.45|10.4|10.41|24.25|1.14|599655|106582067 70057|PSFE WS|PSFE.WS|G6964L115|BMG6964L1155|Paysafe Limited|Warrants, exercisable for one Common Share of Paysafe Limited at a price of $138.00 per share|Operating company|C|N|Y|N|Y|Y|Y|Y|Y|6|M|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN2-8|TXN3-4|TXN1-5|TXN1-4|TXN3-2|61650000|||NotApplicable|||||2021-03-31|9999-01-01|||||| | | | | | | | | |||N|0|N|N|180B|GBR|BM|||||||||||N||N||||||N|0|Y|C|N||||0.0272|0.0272|0.0|0.0|0.0|0.026|0.0288|0.0|0.0|0.0|0.0278|0.0258|0.0261|0.0|0.0|0.0251|0.0|0.0251|0.0|0.0251|0.0251|0.03|0.0|0.0|0.0235|0.0319|0.0|0.0|0.0|0.0|0.0251|0.03|0.13825|0.021|154620|20391148 68623|PSFF|PSFF|69374H568|US69374H5688|Pacer Swan SOS Flex (December) ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-4|TXN2-4|TXN6-8|TXN1-1|TXN1-5|7930000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||25.25|25.25|0.0|0.0|25.25|25.25|25.2988|25.26|0.0|0.0|0.0|0.0|25.25|25.25|0.0|0.0|0.0|25.25|0.0|25.25|19.56|30.95|19.56|30.95|25.22|25.32|19.56|30.95|0.0|0.0|25.25|25.31|32.04|21.01|170008|11630041 71039|PSFJ|PSFJ|69374H469|US69374H4699|Pacer Swan SOS Flex (July) ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-7|TXN1-7|TXN4-8|TXN4-8|TXN3-7|1000000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|24.3828|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|24.38|0.0|24.39|0.0|0.0|0.0|24.36|24.3828|0.0|24.3828|19.4|29.2|24.32|24.36|24.35|24.41|19.4|29.2|0.0|0.0|24.35|24.41|24.47|20.7009|4720|1175730 70073|PSFM|PSFM|69374H477|US69374H4772|Pacer Swan SOS Flex (April) ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-3|TXN3-3|TXN3-8|TXN1-7|TXN4-7|730000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|25.2537|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|25.2537|0.0|25.2537|0.0|0.0|0.0|0.0|25.21|25.29|12.67|38.0|0.0|0.0|25.21|25.29|25.336|21.7798|0|796936 71887|PSFO|PSFO|69374H451|US69374H4517|Pacer Swan SOS Flex (October) ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-6|TXN2-1|TXN9-8|TXN1-5|TXN4-6|500000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|25.2478|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|25.2478|0.0|25.2478|20.13|30.28|25.2|25.25|25.2|25.28|20.13|30.28|0.0|0.0|25.2|25.28|25.3152|21.37|64|550662 36314|PSHG|PSHG|Y67305154|MHY673051543|Performance Shippping Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN6-1|TXN13-1|TXN6-6|TXN5-7|11740000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||GRC||||50|5020|502060|50206030|Industrials|Industrial Goods and Services|Industrial Transportation|Marine Transportation|N||N||||||N|0|Y||||||2.2|2.195|0.0|2.27|2.26|2.21|2.2|2.24|0.0|0.0|2.235|2.17|2.18|2.21|2.21|2.25|2.21|2.21|2.21|2.18|1.83|2.74|1.72|2.74|2.02|2.29|2.17|2.26|2.15|2.26|2.17|2.23|4.5|0.6776|171413|94415089 8737|PSI|PSI|46137V647|US46137V6478|Invesco Exchange-Traded Fund Trust|Invesco Semiconductors ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Invesco|Latour Trading, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-2|TXN2-6|TXN1-7|TXN2-1|TXN2-4|13940000|||Quarterly|||||2008-11-03||PSI.NV|PSI.SO|PSI.EU|PSI.TC|PSI.IV| | | | | | | | | |1x|The PowerShares Dynamic Semiconductors Portfolio (Fund) is based on the Dynamic Semiconductors Intellidex Index (Index). 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The Wells Fargo Hybrid and Preferred Securities Aggregate Index is a modified market capitalization weighted index composed of preferred stock and securities that are functionally equivalent to preferred stock including, but not limited to, depositary preferred securities, perpetual subordinated debt and certain securities issued by banks and other financial institutions that are eligible for capital treatment with respect to such instruments akin to that received for issuance of straight preferred stock. The Index includes Preferred Securities that meet the following criteria: (i) are non-convertible; (ii) have a par amount of $25; (iii) be listed on the NYSE or NYSE Arca; (iv) must maintain a minimum par value of $250 million; (v) be U.S. dollar denominated; (vi) be rated investment grade by one of Moodys Investors Service, Inc. or Standard & Poors Ratings Services; (vii) be publicly registered or exempt from registration under the Securities Act of 1933; and (viii) have a minimum monthly trading volume during each of the last six months of at least 250,000 trading units. The Index does not include auction rate preferred securities, convertible preferred shares, securities subject to sinking fund provisions, shares in closed-end funds, municipal securities, or repackaged securities linked to a security, a basket of securities or an index. 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ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-3|TXN3-8|TXN9-8|TXN4-4|TXN3-7|1380000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|24.2948|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|24.2948|0.0|24.2948|0.0|0.0|0.0|0.0|24.25|24.34|12.18|36.52|0.0|0.0|24.25|24.46|24.39|21.1865|600|1082172 3280|PSMT|PSMT|741511109|US7415111092|PriceSmart Inc|COM USD.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN6-2|TXN12-2|TXN5-6|TXN5-4|30160000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4040|404010|40401010|Consumer Discretionary|Retail |Retailers |Diversified Retailers|N||N||||||Y|0|Y||||||69.89|69.9|0.0|69.8|69.93|69.87|69.87|69.905|0.0|0.0|69.88|69.91|69.94|69.99|0.0|69.93|69.92|69.905|69.87|69.94|69.19|70.55|53.6|85.56|69.34|70.47|69.74|70.07|69.72|70.1|69.85|69.94|82.63|60.0101|179802|36318184 63559|PSN|PSN|70202L102|US70202L1026|Parsons Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|P|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN3-5|TXN7-5|TXN2-8|TXN4-8|104890000|||NotApplicable|||||2019-05-08||||||| | | | | | | | | |||N|0|N|Y|110B|USA|US|||10|1010|101010|10101010|Technology|Technology|Software and Computer Services|Computer Services|N||N||||||Y|0|Y||Y|2|||64.39|64.61|0.0|64.61|64.62|64.59|64.63|64.625|0.0|0.0|64.59|64.46|64.63|64.4|64.41|64.63|64.43|64.63|64.48|64.63|64.62|64.63|49.2|78.09|64.52|64.71|64.57|64.68|64.56|64.69|64.62|64.63|64.63|40.61|619587|129592601 63893|PSNL|PSNL|71535D106|US71535D1063|Personalis Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN6-3|TXN13-7|TXN6-2|TXN5-2|49030000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||1.58|1.57|0.0|1.54|1.58|1.57|1.575|1.57|0.0|0.0|1.57|1.54|1.57|1.58|0.0|1.575|0.0|1.57|1.57|1.57|1.55|1.58|1.27|1.87|1.55|1.58|1.55|1.6|1.54|1.61|1.57|1.58|4.31|0.8906|450271|90197159 70599|PSNY|PSNY|731105201|US7311052010|Polestar Automotive Holding UK PLC|ADR CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN5-1|TXN13-7|TXN6-3|TXN6-4|467910000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||SWE||||40|4010|401010|40101020|Consumer Discretionary|Automobiles and Parts|Automobiles and Parts|Automobiles|N||N||||||Y|0|Y||||||2.24|2.235|0.0|0.0|2.24|2.23|2.23|2.24|0.0|0.0|2.24|2.25|2.23|2.24|2.24|2.24|2.235|2.24|2.24|2.23|2.21|2.27|1.69|2.73|2.22|2.26|2.21|2.26|2.21|2.27|2.23|2.24|6.7166|1.98|1670920|711568680 70600|PSNYW|PSNYW|731105102|US7311051020|Polestar Automotive Holding UK PLC|CL C-1 ADR||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-6|TXN6-5|TXN14-3|TXN6-3|TXN6-5|20500000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||SWE||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.2232|0.2235|0.0|0.0|0.0|0.2231|0.2231|0.2296|0.0|0.0|0.0|0.0|0.2237|0.0|0.2296|0.0|0.0|0.0|0.0|0.215|0.2452|0.0|0.0|0.0|0.0|0.2235|0.23|1.45|0.211|119067|19534316 8739|PSO|PSO|705015105|US7050151056|Pearson Plc|American Depositary Shares(Each representing One Ordinary Share)|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN3-8|TXN6-5|TXN3-8|TXN3-8|702150000|||BiAnnually|||||2000-09-01||||||| | | | | | | | | |||N|0|N|Y|306A|GBR|GB|||40|4030|403010|40301030|Consumer Discretionary|Media|Media|Publishing|N||N||||||N|0|Y||Y|2|||11.8|11.81|0.0|0.0|11.8|11.805|11.81|11.81|0.0|0.0|11.8|11.8|11.805|11.8|11.8|11.8|11.83|11.805|11.81|11.8|11.8|11.81|9.17|14.49|11.79|11.81|11.78|11.83|11.77|11.84|11.8|11.81|12.28|9.285|179169|85013126 17422|PSP|PSP|46137V118|US46137V1180|Invesco Exchange-Traded Fund Trust|Invesco Global Listed Private Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Invesco|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-6|TXN1-3|TXN3-8|TXN3-3|TXN3-3|3589963|||Quarterly|||||2008-11-03||PSP.NV|PSP.SO|PSP.EU|PSP.TC|PSP.IV| | | | | | | | | |1x|The PowerShares Global Listed Private Equity Portfolio (Fund) is based on the Red Rocks Capital Listed Private Equity Index (Index). The Fund will normally invest at least 90% of its total assets in securities, including ADRs, that comprise the Index. The Index includes more than 30 U.S. publicly listed companies with direct investments in more than 1,000 private businesses. This gives investors diversified exposure to a wide range of growth- and value-oriented listed private equity companies in a single product. The Index is rebalanced and reconstituted quarterly, and fund holdings are disclosed every day, giving investors a much higher level of transparency than is often available in traditional private equity funds.|N|0|N|N|406C|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|1|||55.63|57.25|0.0|0.0|0.0|57.09|56.99|57.13|0.0|0.0|55.3|0.0|57.05|0.0|55.3|0.0|55.83968|56.99|0.0|56.99|54.38|60.29|56.48|57.97|57.01|57.42|56.48|57.97|56.48|57.97|57.01|57.42|57.76|9.27|12704|40078126 16717|PSQ|PSQ|74347B714|US74347B7148|ProShares Trust|ProShares Short QQQ|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ProShares Advisors |Pundion LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-5|TXN4-1|TXN9-6|TXN3-3|TXN3-8|69812500|||Quarterly|||||2008-11-12||PSQ.NV|PSQ.SO|PSQ.EU|PSQ.TC|PSQ.IV| | | | | | | | | |-1x|ProShares Short QQQ seeks daily investment results, before fees and expenses, that correspond to the inverse (opposite) of the daily performance of the NASDAQ-100 Index. This ETF seeks a return of -100% of the return of an index (target) for a single day. Due to the compounding of daily returns, returns over periods other than one day will likely differ in amount and possibly direction from the target return for the same period. Investors should monitor their ProShares holdings consistent with their strategies, as frequently as daily. For more on correlation, leverage and other risks, please read the prospectus. The NASDAQ-100 Index includes 100 of the largest domestic and international non-financial companies listed on The NASDAQ Stock Market based on market capitalization. The Index reflects companies across major industry groups including computer hardware and software, telecommunications, retail/wholesale trade and biotechnology. Companies selected for inclusion are non-financial companies currently not in bankruptcy proceedings with appropriate trading volumes and adjusted market capitalization. It is not possible to invest directly in an index.|N|0|N|N|416A|USA|US|EQUITY|INVERSE|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||10.21|10.215|0.0|0.0|10.21|10.215|10.2133|10.215|0.0|0.0|10.215|10.215|10.215|10.21|10.25|10.21|10.215|10.22|10.22|10.22|10.21|10.22|10.21|10.22|10.21|10.22|10.21|10.22|9.99|10.24|10.21|10.22|15.09|10.0|25400025|7492495375 71077|PSQH|PSQH|693691107|US6936911071|PSQ Holdings, Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|P|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN3-5|TXN6-8|TXN1-6|TXN2-2|24400000|||NotApplicable|||||2021-07-07||||||| | | | | | | | | |||N|0|N|Y|408A|USA|US|||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||6.12|6.04|0.0|6.21|6.12|6.04|6.12|6.27|0.0|0.0|6.05|6.23|6.12|6.02|6.02|6.18|6.02|6.13|6.1|6.18|6.1|6.13|4.62|7.41|6.01|6.2|6.07|6.16|6.1|6.16|6.1|6.13|35.5748|4.3|155689|52434200 71078|PSQH WS|PSQH.WS|693691115|US6936911154|PSQ Holdings, Inc.|Warrants, each exercisable for one share of Class A common stock at an exercise price of $11.50 per share|Operating company|C|N|N|N|Y|Y|Y|Y|Y|6|P|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN4-3|TXN8-8|TXN1-6|TXN3-3|27550000|||NotApplicable|||||2021-07-07||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||||||||||N||N||||||N|0|Y|D|N||||1.19|0.0|0.0|0.0|0.0|1.19|1.0701|1.19|0.0|0.0|1.19|0.0|1.19|0.0|0.0|1.19|0.0|1.19|0.0|1.19|1.16|1.2|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|1.17|1.2|3.25|0.6728|4668|6275337 29543|PSR|PSR|46090A101|US46090A1016|Invesco Actively Managed Exchange-Traded Fund Trust|Invesco Active U.S. Real Estate ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Invesco|Latour Trading, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-8|TXN2-4|TXN2-6|TXN4-2|TXN1-2|1140000|||Quarterly|||||2008-11-20||PSR.NV|PSR.SO|PSR.EU|PSR.TC|PSR.IV| | | | | | | | | ||The PowerShares Active U.S. Real Estate Fund (Fund) structures and selects its investments primarily from a universe of securities that are included within the FTSE NAREIT Equity REITs Index at the time of purchase. The selection methodology uses quantitative and statistical metrics to identify attractively priced securities and manage risk. The Fund will invest principally in equity real estate investment trusts (REITs).|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||Y|0|Y||Y|2|||0.0|87.58|0.0|87.47|87.57|87.52|87.66|87.43|0.0|0.0|0.0|0.0|87.53|87.48|87.64|87.52|82.74|87.8998|87.57|87.8998|87.71|88.07|0.0|0.0|87.89|87.93|87.24|88.64|87.24|88.64|87.89|88.05|99.41|74.41|8634|1934373 27833|PST|PST|74347R313|US74347R3131|ProShares Trust|ProShares UltraShort 7-10 Year Treasury|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ProShares Advisors |IMC Chicago, LLC, DBA IMC Financial Markets|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-5|TXN1-6|TXN4-5|TXN3-3|TXN2-7|1100000|||Quarterly|||||2008-11-12||PST.NV|PST.SO|PST.EU|PST.TC|PST.IV| | | | | | | | | |-2x|ProShares UltraShort 7-10 Year Treasury seeks daily investment results, before fees and expenses and interest income earned on cash and financial instruments, that correspond to twice (200%) the inverse (opposite) of the daily performance of the Barclays Capital 7-10 Year U.S. Treasury Index. This ETF seeks a return of -200% of the return of an index (target) for a single day. Due to the compounding of daily returns, returns over periods other than one day will likely differ in amount and possibly direction from the target return for the same period. Investors should monitor their ProShares holdings consistent with their strategies, as frequently as daily. For more on correlation, leverage and other risks, please read the prospectus. The Barclays Capital 7-10 Year U.S. Treasury Index includes all publicly issued, U.S. Treasury securities that have a remaining maturity of between 7 and 10 years, are non-convertible, are denominated in U.S. dollars, are rated (at least Baa3 by Moodys Investors Service or BBB- by S&P), are fixed rate, and have more than $250 million par outstanding. The Index is weighted by the relative market value of all securities meeting the Index criteria. Excluded from the Index are certain special issues, such as flower bonds, targeted investor notes (TINs), U.S. Treasury inflation-protected securities (TIPs), state and local government bonds (SLGs), and coupon issues that have been stripped from assets already included.|N|0|N|N|416A|USA|US|FIXED_INCOME|INVERSE|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||23.68|0.0|0.0|0.0|0.0|23.77|23.76|23.79|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|23.7156|0.0|23.7156|23.7|23.72|23.56|23.75|23.7|23.72|23.7|23.73|23.67|23.76|23.71|23.72|26.25|20.2|4022|16184812 51484|PSTG|PSTG|74624M102|US74624M1027|Pure Storage, Inc.|Class A common stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-6|TXN2-6|TXN2-2|TXN1-8|TXN3-4|311960000|||NotApplicable|||||2015-10-07||||||| | | | | | | | | |||N|0|Y|Y|108A|USA|US|||10|1010|101020|10102030|Technology|Technology|Technology Hardware and Equipment|Computer Hardware|N||N||||||Y|0|Y||Y|1|||32.87|32.88|0.0|32.62|32.87|32.89|32.865|32.9|0.0|0.0|32.87|32.88|32.87|32.86|32.9|32.89|32.9|32.88|32.9|32.89|32.87|32.88|30.55|34.68|32.84|32.93|32.83|32.91|32.83|32.91|32.87|32.88|40.5|22.14|5339657|981250936 63579|PSTL|PSTL|73757R102|US73757R1023|Postal Realty Trust, Inc.|Class A Common Stock|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN1-7|TXN5-8|TXN4-5|TXN2-6|21710000|||Quarterly|||||2019-05-15||||||| | | | | | | | | |||N|0|N|Y|414A|USA|US|||35|3510|351020|35102030|Real Estate|Real Estate |Real Estate Investment Trusts|Office REITs|N||N||||||Y|0|Y||Y|2|||14.48|14.52|0.0|0.0|14.58|14.6|14.5835|14.6|0.0|0.0|14.57|14.6|14.595|14.58|14.49|14.6|14.49|14.6|14.5|14.6|14.58|14.6|10.97|17.88|14.56|14.62|14.57|14.62|14.57|14.62|14.58|14.6|16.24|12.98|148995|29252825 73643|PSTP|PSTP|45783Y723|US45783Y7233|Innovator ETFs Trust|Innovator Power Buffer Step-Up Strategy ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Innovator Capital Management |Wolverine Trading, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-7|TXN2-3|TXN9-8|TXN2-2|TXN4-5|2975000|||Adhoc|||||2022-03-08||PSTP.NV|PSTP.SO|PSTP.EU|PSTP.TC| | | | | | | | | | |1x|Innovator Power Buffer Step-Up Strategy is an exchange-traded fund incorporated in the USA. It is designed to utilize a series of buffer strategies and rotate from one to another. In a positive market, lock-in gains, expand the upside cap, obtain a fresh downside buffer, eiminate downside before buffer risk. In a negative market, lock-in realized buffer, reset upside cap and downside buffer.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|27.53|0.0|0.0|27.48|27.53|27.47|27.57|0.0|0.0|27.53|0.0|0.0|0.0|0.0|0.0|0.0|27.5152|27.53|27.5152|27.47|27.54|27.47|27.54|27.49|27.57|0.0|0.0|0.0|0.0|27.49|27.57|27.71|24.6|13364|3370776 15850|PSTV|PSTV|72941H509|US72941H5090|Plus Therapeutics Inc|SHS||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN5-5|TXN11-6|TXN6-6|TXN5-6|4520000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and 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USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN6-2|TXN12-1|TXN5-1|TXN6-6|119250000|||NotApplicable|||||||||||| | | | | | | | | |||N|5|Y|N||USA||||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||||||159.88|159.89|0.0|159.92|159.88|159.88|159.9025|159.9|0.0|0.0|159.88|159.87|159.9|159.84|159.83|159.9|159.87|159.91|159.88|159.9|159.79|160.04|149.81|169.81|159.82|159.94|159.81|159.98|0.0|0.0|159.9|159.91|160.28|115.445|696539|174770526 42247|PTCT|PTCT|69366J200|US69366J2006|PTC Therapeutics Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN5-2|TXN12-5|TXN5-2|TXN5-6|75460000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||25.1|25.075|0.0|25.1|25.1|25.1|25.1|25.085|0.0|0.0|25.09|25.06|25.08|25.08|25.07|25.105|25.1|25.1|25.08|25.08|25.03|25.12|25.04|25.14|24.71|25.13|25.06|25.14|25.08|25.15|25.08|25.1|59.84|17.53|1109720|222126401 75597|PTEC|PTEC|37960A594|US37960A5948|Global X PropTech 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USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN5-7|TXN12-3|TXN6-5|TXN6-8|417280000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||60|6010|601010|60101030|Energy|Energy|Oil, Gas and Coal|Oil Equipment and Services|N||N||||||Y|0|Y||||||11.81|11.81|0.0|11.57|11.82|11.815|11.815|11.82|0.0|0.0|11.82|11.82|11.82|11.8|11.81|11.82|11.805|11.82|11.825|11.82|11.81|11.83|8.96|14.27|11.81|11.84|11.78|11.85|11.81|0.0|11.81|11.82|18.1|9.7|5742787|1058736650 53815|PTEST|PTEST|||ARCA Test Symbol|||ETF|Y|N|P|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-3|TXN2-4|TXN9-8|TXN2-2|TXN1-2|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||||||||||N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|25.25|0.0|25.25|0.0|0.0|0.0|0.0|25.0|25.5|0.0|0.0|0.0|0.0|24.5|25.5|25.25|25.0|0|1 64642|PTEST A|PTEST.A|||NYSE Arca Test Symbol|||A|Y|N|P|N|N|Y|N|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|||TXN1-8||TXN3-2|0|||NotApplicable|||||||||||| | | | | | | | | 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Corp|WTS||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-7|TXN6-6|TXN11-4|TXN5-6|TXN6-4|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y|C|||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0075|0.0|0.0|0.0|0.0|0.0075|0.0|0.0075|0.0|0.0|0.0|0.0|0.0|0.0148|0.0|0.0|0.0|0.0|0.0075|0.0148|0.0783|0.0002|7600|6226713 8760|PUI|PUI|46137V795|US46137V7955|Invesco Dorsey Wright Utilities Momentum ETF|DYN UTIL PORTF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN5-8|TXN11-2|TXN5-6|TXN6-4|1090000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|32.0173|0.0|0.0|0.0|0.0|0.0|31.9239|0.0|0.0|0.0|0.0|32.0173|0.0|31.9239|31.59|32.25|31.85|31.99|31.86|32.0|31.84|31.98|31.85|31.98|31.9|31.94|36.035|28.1366|624|494998 8761|PUK|PUK|74435K204|US74435K2042|Prudential plc|American Depositary Shares (Each representing Two Ordinary Shares)|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|6|O|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-5|TXN3-2|TXN6-8|TXN1-6|TXN4-6|2753520000|||BiAnnually|||||2000-06-28||||||| | | | | | | | | |||N|0|N|Y|410A|GBR|GB|||30|3030|303010|30301010|Financials|Insurance|Life Insurance|Life Insurance|N||N||||||Y|0|Y||Y|2|||21.83|21.93|0.0|0.0|21.92|21.92|21.925|21.925|0.0|0.0|21.92|21.93|21.915|0.0|21.91|21.92|21.93|21.93|21.92|21.92|21.93|21.94|16.83|26.63|21.9|21.94|17.37|21.96|21.83|22.03|21.93|21.94|34.37|19.9|537332|132960274 43781|PULM|PULM|74584P301|US74584P3010|Pulmatrix Inc|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN5-5|TXN14-7|TXN5-1|TXN5-7|3650000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|2.0|2.025|0.0|0.0|0.0|2.0|1.99|2.02|0.0|0.0|0.0|0.0|2.01|0.0|2.01|1.92|2.15|0.0|0.0|1.97|2.1|1.92|2.15|0.0|0.0|2.0|2.04|4.49|1.64|8130|4598062 60875|PULS|PULS|69344A107|US69344A1079|PGIM ETF Trust|PGIM Ultra Short Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||PGIM Investments|RBC Capital Markets, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-6|TXN4-8|TXN5-8|TXN3-4|TXN1-7|114000000|||Monthly|||||2018-04-10||PULS.NV|PULS.SO|PULS.EU|PULS.TC|PULS.IV| | | | | | | | | ||The investment objective of the Fund is to seek total return through a combination of current income and capital appreciation, consistent with preservation of capital.|N|0|N|N|416A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||Y|0|Y||Y|1|||49.355|49.36|0.0|0.0|49.36|49.365|49.3606|49.36|0.0|0.0|49.365|49.36|49.36|49.36|49.36|49.36|49.355|49.37|49.36|49.37|46.87|51.83|46.27|52.44|49.36|49.37|46.87|51.83|48.29|50.35|49.36|49.37|49.57|48.9|1739056|239935851 75133|PULT|PULT|746729854|US7467298540|Putnam ETF Trust|Putnam ESG Ultra Short ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Putnam|RBC Capital Markets, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-1|TXN1-7|TXN4-8|TXN1-1|TXN4-6|2100000|||Monthly|||||2023-01-20||PULT.NV|PULT.SO|PULT.EU|PULT.TC|PULT.IV| | | | | | | | | ||Putnam ESG Ultra Short ETF seeks as high a rate of current income as Putnam Investment Management, LLC (Putnam Management) believes is consistent with preservation of capital and maintenance of liquidity|N|0|N|N|416A|GBR|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|50.34|0.0|0.0|0.0|0.0|0.0|0.0|50.25|0.0|0.0|0.0|50.37|0.0|50.37|0.0|0.0|0.0|0.0|50.34|50.4|0.0|0.0|0.0|0.0|50.34|50.4|50.4|49.98|3762|4696052 56864|PUMP|PUMP|74347M108|US74347M1080|ProPetro Holding Corp.|Common Stock, par value $0.001 per share|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|A|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-3|TXN2-5|TXN4-4|TXN3-1|TXN4-7|110240000|||NotApplicable|||||2017-03-17||||||| | | | | | | | | |||N|0|N|Y|134F|USA|US|||60|6010|601010|60101030|Energy|Energy|Oil, Gas and Coal|Oil Equipment and Services|N||N||||||Y|0|Y||Y|2|||9.08|9.08|0.0|0.0|9.08|9.08|9.07|9.07|0.0|0.0|9.08|9.075|9.08|9.08|9.08|9.07|9.04|9.08|9.08|9.07|9.07|9.08|6.98|11.14|9.07|9.08|9.05|9.1|9.05|9.11|9.07|9.08|11.37|6.33|1039444|331051003 76124|PUTD|PUTD|88636J865|US88636J8650|Cboe Validus S&P 500 Dynamic PutWrite Index ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN3-6|TXN8-8|TXN1-6|TXN4-4|1430000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|20.8254|0.0|0.0|0.0|0.0|20.7|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|20.8254|0.0|20.8254|0.0|0.0|0.0|0.0|20.75|20.92|0.0|0.0|0.0|0.0|20.35|20.92|20.8446|19.2208|31|9175 52544|PUTW|PUTW|97717X560|US97717X5602|WisdomTree Trust|WisdomTree PutWrite Strategy Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||WisdomTree|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-7|TXN3-4|TXN4-8|TXN2-1|TXN2-2|2700000|||Monthly|||||2016-02-24||PUTW.NV|PUTW.SO|PUTW.EU|PUTW.TC|PUTW.IV| | | | | | | | | |1x|The WisdomTree CBOE S&P 500 PutWrite Strategy Fund (the Fund) seeks to track the price and yield performance, before fees and expenses, of the CBOE S&P 500 PutWrite Index (the Index). Under normal circumstances, at least 80% of the Funds total assets (exclusive of collateral held from securities lending) will be invested in component securities of the Index and investments that have economic characteristics that are substantially identical to the economic characteristics of such component securities.The Index tracks the value of a cash-secured (i.e., collateralized) put option sales strategy, which consists of selling (or writing) S&P 500 Index put options (SPX Puts) and investing the sale proceeds in one- and three-month Treasury bills. By selling a SPX Put, the Fund receives a premium from the option buyer, which increases the Funds return if the option is not exercised and expires worthless. If, however, the value of the S&P 500 Index falls below the SPX Puts strike price, the option finishes in-the-money and the Fund pays the buyer the difference between the strike price and the value of the S&P 500 Index. The Indexs strategy (and, accordingly, the Funds strategy) of selling cash-secured SPX Puts serves to partially offset a decline in the value of the S&P 500 Index to the extent of the premiums received. Further, if the value of the S&P 500 Index increases beyond the amount of premiums received, Index (and Fund) returns would not be expected to increase accordingly.All SPX Puts are standardized options traded on the Chicago Board Options Exchange (CBOE). The SPX Puts in the Index are struck at-the-money (i.e., struck at or very near the S&P 500 Index value) and are sold on a monthly basis, usually the third Friday of the month (the Roll Date), which matches the expiration date of the SPX Puts. The number of SPX Puts sold by the Fund varies month to month but is limited by the amount held by the Fund in Treasury bills, the value of which is expected to equal the maximum possible loss from final settlement of the SPX Puts. At each Roll Date, any settlement loss from the expiring SPX Puts is paid from the Treasury bill investments and a new batch of at-the-money SPX Puts is sold. The revenue from their sale is added to the Treasury bill account. In March quarterly cycle months (i.e., March, June, September, and December), the three-month Treasury bills are deemed to mature, and so the total cash available is reinvested at the three-month Treasury bill rate. In other months, the revenue from the sale of SPX Puts is invested separately at the one-month Treasury bill rate. The Fund expects to operate in a similar manner as the foregoing Index description in seeking to track the Index.|N|0|N|N|406C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||0.0|31.2|0.0|0.0|0.0|0.0|31.16|31.12|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|31.2|31.21|31.2|0.0|0.0|0.0|0.0|31.19|31.32|31.12|31.33|31.17|31.33|31.19|31.32|33.34|29.42|22519|3985857 63337|PUYI|PUYI|69373Y109|US69373Y1091|Puyi Inc|ADS||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN5-3|TXN14-7|TXN6-1|TXN5-6|90470000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||30|3020|302020|30202010|Financials|Financial Services |Investment Banking and Brokerage Services |Asset Managers and Custodians|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|3.4|0.0|0.0|0.0|0.0|0.0|3.4|0.0|0.0|0.0|0.0|3.31|0.0|3.31|2.52|4.28|2.52|4.28|3.05|3.73|2.52|4.28|0.0|0.0|3.3|3.49|9.63|3.19|1111|1167350 70725|PVAL|PVAL|746729300|US7467293004|Putnam ETF Trust|Putnam Focused Large Cap Value ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Putnam|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-3|TXN2-8|TXN1-5|TXN1-1|TXN1-5|7854000|||Quarterly|||||2021-05-26||PVAL.NV|PVAL.SO|PVAL.EU|PVAL.TC|PVAL.IV| | | | | | | | | |1x|Putnam Focused Large Cap Value ETF seeks capital growth and current income by investing mainly in common stocks of U.S. companies, with a focus on value stocks that offer the potential for capital growth, current income, or both.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||30.43|30.44|0.0|0.0|30.4|30.41|30.405|0.0|0.0|0.0|30.46|0.0|30.4|30.42|30.46|0.0|0.0|30.44|0.0|30.44|28.39|32.68|23.39|37.3|30.36|30.45|30.32|30.51|0.0|0.0|30.36|30.45|30.64|26.03|28662|9639949 50325|PVBC|PVBC|74383L105|US74383L1052|Provident Bancorp Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN5-1|TXN10-2|TXN6-5|TXN5-8|17680000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||||||10.03|10.06|0.0|0.0|10.04|10.05|10.05|10.07|0.0|0.0|10.05|0.0|10.04|10.04|0.0|10.0|0.0|10.05|0.0|10.04|9.7|10.34|0.0|0.0|9.81|10.29|0.0|0.0|0.0|0.0|10.01|10.05|10.43|5.76|46572|21508340 8767|PVH|PVH|693656100|US6936561009|PVH Corp.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|C|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-6|TXN4-1|TXN7-3|TXN2-7|TXN4-8|60430000|||Quarterly|||||1920-03-25||||||| | | | | | | | | |||N|0|Y|Y|148B|USA|US|||40|4020|402040|40204020|Consumer Discretionary|Consumer Products and Services|Personal Goods|Clothing and Accessories|N||N||||||Y|0|Y||Y|1|||104.36|104.29|0.0|104.28|104.27|104.39|104.28|104.34|0.0|0.0|104.33|104.27|104.33|104.37|104.29|104.27|104.7|104.27|104.34|104.27|104.3|104.31|97.14|111.07|103.71|104.39|104.18|104.44|104.26|104.45|104.3|104.31|104.8|67.36|1860794|218483504 26251|PVI|PVI|46138G862|US46138G8621|Invesco Exchange-Traded Fund Trust II|Invesco Floating Rate Municipal Income ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Invesco|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-3|TXN3-6|TXN2-8|TXN2-4|TXN3-1|1550000|||Monthly|||||2008-11-25||PVI.NV|PVI.SO|PVI.EU|PVI.TC|PVI.IV| | | | | | | | | |1x|The PowerShares VRDO Tax-Free Weekly Portfolio (Fund) is based on the Thomson Municipal Market Data VRDO Index (Index). The Fund will normally invest at least 90% of its total assets in securities that comprise the Index. The Index is designed to track the performance of a pool of tax-exempt Variable Rate Demand Obligations (VRDOs) issued by municipalities in the United States on which the yields generally reset on a weekly basis. VRDOs are high-quality, floating-rate bonds that provide investors with tax-exempt income. VRDOs are generally purchased at par. When they are put back to an investment dealer, the investor generally receives par plus accrued interest.|N|0|N|N|406C|USA|US|FIXED_INCOME|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|24.79|24.785|0.0|0.0|0.0|0.0|24.785|24.78|0.0|0.0|0.0|24.785|0.0|24.785|24.5|25.13|0.0|0.0|24.77|24.79|23.07|26.56|0.0|0.0|24.77|24.79|25.05|24.73|1949|3743917 39003|PVL|PVL|71425H100|US71425H1005|Permianville Royalty Trust|Trust Units representing beneficial interests in the trust|Royalty trust|A|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN3-1|TXN7-8|TXN2-7|TXN3-1|33000000|||Monthly|||||2011-11-03||||||| | | | | | | | | |||N|0|N|Y|134C|USA|US|||60|6010|601010|60101010|Energy|Energy|Oil, Gas and Coal|Oil: Crude Producers|N||N||||||Y|0|Y||Y|2|||1.97|1.995|0.0|0.0|1.97|1.97|1.97|1.98|0.0|0.0|1.97|1.97|1.97|1.961|1.99|1.98|1.97|1.98|0.0|1.98|1.97|1.98|1.6|2.41|1.95|2.1|1.94|2.01|1.93|2.02|1.97|1.98|3.48|1.72|77804|33497158 8771|PW|PW|73933H101|US73933H1014|Power REIT|Common Shares of Beneficial Interest|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN11-3|TXN3-6|TXN9-8|TXN2-1|TXN3-7|3390000|||Quarterly|||||1978-03-01||||||| | | | | | | | | |||N|0|N|N|412A|USA|US|||35|3510|351020|35102025|Real Estate|Real Estate |Real Estate Investment Trusts|Infrastructure REITs|N||N||||||N|0|Y|C|Y|2|||0.622|0.6|0.0|0.0|0.6|0.5925|0.6|0.5925|0.0|0.0|0.6|0.585|0.6|0.0|0.0|0.5608|0.5925|0.5925|0.0|0.5925|0.464|0.72|0.585|0.62|0.5461|0.6241|0.464|0.72|0.0|0.0|0.464|0.6|5.76|0.5271|46445|9174574 43777|PW PRA|PWpA|73933H200|US73933H2004|Power REIT|7.75% Series A Cumulative Redeemable Perpetual Preferred Stock Liquidation Preference $25.00 per Share|Operating company|B|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-5|TXN1-2|TXN9-8|TXN2-3|TXN3-8|340000|||Quarterly|||||2014-03-18||||||| | | | | | | | | |||N|0|N|N|412A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|3.4|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|3.3|3.3|0.0|3.3|0.0|0.0|3.17|3.39|3.17|3.39|0.0|0.0|0.0|0.0|3.17|3.39|18.2|2.74|1006|401552 8772|PWB|PWB|46137V746|US46137V7468|Invesco Exchange-Traded Fund Trust|Invesco Large Cap Growth ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Invesco|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-3|TXN3-6|TXN8-5|TXN1-7|TXN1-6|9340000|||Quarterly|||||2008-11-03||PWB.NV|PWB.SO|PWB.EU|PWB.TC|PWB.IV| | | | | | | | | |1x|The PowerShares Dynamic Large Cap Growth Portfolio (Fund) is based on the Dynamic Large Cap Growth Intellidex Index (Index). The Fund will normally invest at least 90% of its total assets in common stocks that comprise the Index. The Index is designed to provide capital appreciation while maintaining consistent stylistically accurate exposure. The Style Intellidexes apply a rigorous ten factor style isolation process to objectively segregate companies into their appropriate investment style and size universe.|N|0|N|N|406C|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||0.0|74.82|0.0|0.0|75.33|75.6|74.8451|74.86|0.0|0.0|75.15|0.0|74.76|74.83|0.0|74.97|0.0|74.88|0.0|74.88|74.74|75.05|74.75|75.0|74.86|74.89|74.75|75.0|74.75|75.0|74.86|74.89|75.69|58.59|21751|4231117 76691|PWER|PWER|555927201|US5559272019|Macquarie ETF Trust|Macquarie Energy Transition ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Macquarie|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-4|TXN4-7|TXN9-8|TXN4-1|TXN3-6|200000|||Quarterly|||||2023-11-29||PWER.NV|PWER.SO|PWER.EU|PWER.TC| | | | | | | | | | ||Seeks long-term capital growth by balancing rising energy demand with a focus toward lowering greenhouse gas emissions|N|0|N|N||USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|26.0299|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|25.7622|0.0|25.7622|20.02|31.7|20.02|31.7|25.71|25.79|20.02|31.7|0.0|0.0|25.71|25.79|26.03|25.0941|116|7745 1982|PWFL|PWFL|73931J109|US73931J1097|PowerFleet Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN6-4|TXN11-4|TXN5-8|TXN6-4|37210000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||15|1510|151010|15101010|Telecommunications|Telecommunications|Telecommunications Equipment|Telecommunications Equipment|N||N||||||Y|0|Y||||||0.0|2.36|0.0|0.0|2.33|2.34|2.34|2.335|0.0|0.0|2.36|2.32|2.33|0.0|0.0|2.36|0.0|2.34|2.32|2.33|2.27|2.41|1.8|2.9|2.28|2.37|2.31|2.36|2.3|2.37|2.33|2.34|3.49|1.64|54653|33744156 75969|PWM|PWM|G7244A101|KYG7244A1013|Prestige Wealth Inc|ORD||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN5-6|TXN14-6|TXN5-8|TXN6-5|9150000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||HKG||||30|3020|302020|30202010|Financials|Financial Services |Investment Banking and Brokerage Services |Asset Managers and Custodians|N||N||||||N|0|Y|C|||||1.725|1.71|0.0|0.0|1.67|1.65|1.71|1.67|0.0|0.0|1.79|1.75|1.71|1.67|0.0|1.86|0.0|1.71|1.8|1.71|0.0|0.0|0.0|0.0|1.56|1.87|0.0|0.0|0.0|0.0|1.67|1.75|31.88|1.56|162830|104794231 3322|PWOD|PWOD|708430103|US7084301032|Penns Woods Bancorp Inc|COM USD10.||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN5-3|TXN13-8|TXN6-3|TXN5-6|7160000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|20.465|20.45|20.45|0.0|0.0|0.0|0.0|20.45|0.0|0.0|0.0|0.0|20.45|0.0|20.45|19.8|21.14|0.0|0.0|19.87|21.07|0.0|0.0|0.0|0.0|20.4|20.5|28.0|20.0|23502|3735524 68135|PWP|PWP|71367G102|US71367G1022|Perella Weinberg Partners|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN6-6|TXN12-7|TXN5-1|TXN5-1|43270000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302020|30202010|Financials|Financial Services |Investment Banking and Brokerage Services |Asset Managers and Custodians|N||N||||||Y|0|Y||||||11.94|11.95|0.0|11.94|11.94|11.95|11.96|11.94|0.0|0.0|11.92|11.81|11.95|11.94|11.83|11.955|0.0|11.94|11.94|11.95|11.84|12.07|9.05|14.57|11.84|12.05|11.92|11.98|11.92|11.98|11.93|11.95|12.01|6.8|256054|66205631 8778|PWR|PWR|74762E102|US74762E1029|Quanta Services, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|A|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-4|TXN1-8|TXN8-8|TXN2-5|TXN1-6|145290000|||Quarterly|||||1998-02-12||||||| | | | | | | | | |||N|5|Y|Y|114D|USA|US|||50|5010|501010|50101015|Industrials|Construction and Materials|Construction and Materials |Engineering and Contracting Services|N||N||||||Y|0|Y||Y|1|||189.68|189.75|0.0|189.63|189.69|189.87|189.63|189.75|0.0|0.0|189.61|189.42|189.65|189.64|189.75|189.64|189.21|189.62|189.76|189.64|189.61|189.64|176.85|202.34|189.53|189.74|189.5|189.8|189.49|189.81|189.61|189.64|212.82|134.61|686442|216881211 60284|PWS|PWS|69374H840|US69374H8401|Pacer WealthShield ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-8|TXN3-8|TXN3-8|TXN4-3|TXN4-8|900000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|26.0425|0.0|0.0|0.0|26.06|26.02|25.99|0.0|0.0|25.93|0.0|0.0|0.0|0.0|26.05|0.0|26.0425|0.0|26.0425|26.01|26.06|25.96|26.02|26.0|26.07|0.0|0.0|0.0|0.0|25.42|26.07|29.44|25.55|4699|1477906 71248|PWSC|PWSC|73939C106|US73939C1062|PowerSchool Holdings, Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|A|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-4|TXN2-3|TXN3-6|TXN2-5|TXN2-7|164290000|||NotApplicable|||||2021-07-28||||||| | | | | | | | | |||N|0|N|Y|180B|USA|US|||40|4020|402010|40201010|Consumer Discretionary|Consumer Products and Services|Consumer Services |Education Services|N||N||||||Y|0|Y||Y|2|||23.52|23.55|0.0|23.48|23.52|23.53|23.53|23.53|0.0|0.0|23.55|23.47|23.53|23.43|23.55|23.53|23.5|23.53|23.45|23.53|23.53|23.54|17.97|29.03|23.49|23.57|18.54|23.57|23.51|23.58|23.53|23.54|26.05|16.405|601084|165227554 73878|PWUP|PWUP|G7207P103|KYG7207P1037|PowerUp Acquisition Corp|CL A COM USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN6-6|TXN10-5|TXN5-4|TXN5-7|8990000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|10.8601|0.0|0.0|0.0|0.0|0.0|10.87|0.0|0.0|10.86|0.0|10.86|0.0|10.86|10.86|0.0|0.0|0.0|10.64|11.14|0.0|0.0|0.0|0.0|10.86|10.92|11.8|10.07|20604|20248482 73517|PWUPU|PWUPU|G7207P111|KYG7207P1110|PowerUp Acquisition Corp|UNITS||R|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN5-3|TXN11-7|TXN5-7|TXN5-1|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|9.13|12.77|0.0|0.0|0.0|0.0|9.78|11.98|12.12|9.9|0|361927 73879|PWUPW|PWUPW|G7207P129|KYG7207P1292|PowerUp Acquisition Corp|WT EXP 052328||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-3|TXN6-5|TXN13-2|TXN5-2|TXN6-6|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.025|0.058|0.1429|0.015|0|3352707 8780|PWV|PWV|46137V738|US46137V7385|Invesco Exchange-Traded Fund Trust|Invesco Large Cap Value ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Invesco|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-4|TXN2-5|TXN8-5|TXN1-3|TXN1-7|15980000|||Quarterly|||||2008-11-03||PWV.NV|PWV.SO|PWV.EU|PWV.TC|PWV.IV| | | | | | | | | |1x|The PowerShares Dynamic Large Cap Value Portfolio (Fund) is based on the Dynamic Large Cap Value Intellidex Index (Index). The Fund will normally invest at least 90% of its total assets in common stocks that comprise the Index. The Index is designed to provide capital appreciation while maintaining consistent stylistically accurate exposure. The Style Intellidexes apply a rigorous 10 factor style isolation process to objectively segregate companies into their appropriate investment style and size universe.|N|0|N|N|406C|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|1|||0.0|48.73|0.0|0.0|0.0|48.69|48.5988|48.69|0.0|0.0|48.69|0.0|48.59|48.69|0.0|0.0|0.0|48.6789|0.0|48.6789|48.56|48.77|48.62|48.74|48.66|48.68|48.58|48.75|48.58|48.75|48.65|48.68|49.23|43.0839|50158|9275584 25833|PWZ|PWZ|46138E206|US46138E2063|Invesco Exchange-Traded Fund Trust II|Invesco California AMT-Free Municipal Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Invesco|Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN4-7|TXN5-8|TXN3-2|TXN2-6|32400000|||Monthly|||||2008-11-03||PWZ.NV|PWZ.SO|PWZ.EU|PWZ.TC|PWZ.IV| | | | | | | | | |1x|The PowerShares Insured California Municipal Bond Portfolio (Fund) is based on the Merrill Lynch California Insured Long-Term Core Plus Municipal Securities Index (Index). The Fund will normally invest at least 80% of its total assets in securities that comprise the Index and generally expects to invest at least 90% of its total assets. The Index is designed to track the performance of AAA-rated, insured, tax-exempt, long-term debt publicly issued by California or Puerto Rico or their political subdivisions.|N|0|N|N|406C|USA|US|FIXED_INCOME|INDEX|||||||||N||N||||||Y|0|Y||Y|1|||24.58|24.45|0.0|0.0|24.41|24.44|24.45|24.45|0.0|0.0|24.44|0.0|24.44|24.45|24.47|24.45|0.0|24.46|0.0|24.46|23.18|25.74|22.82|26.19|24.43|24.46|23.18|25.74|24.02|25.07|24.43|24.59|25.11|22.57|159969|58016900 72094|PX|PX|69376K106|US69376K1060|P10, Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-7|TXN3-7|TXN4-6|TXN2-1|TXN1-4|53120000|||Quarterly|||||2021-10-21||||||| | | | | | | | | |||N|0|N|Y|408A|USA|US|||30|3020|302020|30202010|Financials|Financial Services |Investment Banking and Brokerage Services |Asset Managers and Custodians|N||N||||||Y|0|Y||Y|2|||9.9|9.725|0.0|10.05|9.73|9.74|9.729|9.72|0.0|0.0|9.73|9.77|9.73|9.92|9.84|9.72|9.73|9.72|9.98|9.72|9.72|9.73|7.69|12.07|9.66|9.75|9.7|9.75|9.7|9.76|9.72|9.73|13.41|8.75|370252|55932161 8784|PXD|PXD|723787107|US7237871071|Pioneer Natural Resources Company|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|A|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN4-8|TXN2-5|TXN3-3|TXN4-8|233310000|||Quarterly|||||1993-01-13||||||| | | | | | | | | |||N|5|Y|Y|134C|USA|US|||60|6010|601010|60101010|Energy|Energy|Oil, Gas and Coal|Oil: Crude Producers|N||N||||||Y|0|Y||Y|1|||230.45|230.39|0.0|230.35|230.45|230.47|230.39|230.46|0.0|0.0|230.42|230.57|230.39|230.58|230.6|230.35|230.66|230.36|230.54|230.35|230.42|230.44|216.1|245.09|230.22|230.56|230.17|230.61|230.15|230.47|230.42|230.44|257.76|177.265|2503678|546521979 76085|PXDT|PXDT|72582J103|US72582J1034|Pixie Dust Technologies Inc|ADR||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN6-2|TXN12-3|TXN6-1|TXN5-2|14700000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||JPN||||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|7.772|0.0|0.0|0.0|0.0|0.0|7.77|0.0|0.0|0.0|0.0|7.77|0.0|7.77|0.0|0.0|0.0|0.0|7.19|8.38|0.0|0.0|0.0|0.0|7.66|7.79|10.51|6.6106|2573|2238450 8785|PXE|PXE|46137V761|US46137V7617|Invesco Exchange-Traded Fund Trust|Invesco Energy Exploration & Production ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Invesco|Latour Trading, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-5|TXN3-3|TXN1-8|TXN4-2|TXN4-3|4660000|||Quarterly|||||2008-11-03||PXE.NV|PXE.SO|PXE.EU|PXE.TC|PXE.IV| | | | | | | | | |1x|The PowerShares Energy Exploration & Production Portfolio (Fund) is based on the Energy Exploration & Production Intellidex Index (Index). The Fund will normally invest at least 90% of its total assets in common stocks that comprise the Index. The Index thoroughly evaluates companies based on a variety of investment merit criteria, including fundamental growth, stock valuation, investment timeliness and risk factors. Securities shown to possess the greatest capital appreciation potential are selected by the Index.|N|0|N|N|406C|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|1|||31.07|31.08|0.0|0.0|31.09|31.02|31.1|31.45|0.0|0.0|31.11|0.0|31.09|31.1|31.22|0.0|0.0|31.1|0.0|31.1|31.02|31.16|31.0|31.16|31.08|31.1|31.0|31.17|31.0|31.15|31.08|31.1|33.95|24.26|79473|18474339 24868|PXF|PXF|46138E743|US46138E7435|Invesco Exchange-Traded Fund Trust II|Invesco FTSE RAFI Developed Markets ex-U.S. ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Invesco|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-7|TXN4-2|TXN3-5|TXN2-1|TXN1-3|35350000|||Quarterly|||||2007-06-25||PXF.NV|PXF.SO|PXF.EU|PXF.TC|PXF.IV| | | | | | | | | |1x|The PowerShares FTSE RAFI Developed Markets ex-U.S. Portfolio (Fund) is based on the FTSE RAFI Developed Markets ex-U.S. Index (Index). The Fund will normally invest at least 90% of its total assets in securities that comprise the Index and ADRs based on the securities in the Index. The Index is designed to track the performance of the largest developed market equities (excluding the U.S.), selected based on the following four fundamental measures of firm size: book value, income, sales and dividends. The 1000 equities with the highest fundamental strength are weighted according to their fundamental scores. The fundamentally weighted portfolio is rebalanced and reconstituted annually.|N|0|N|N|406C|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|1|||45.53|45.56|0.0|0.0|45.5|45.52|45.5899|45.45|0.0|0.0|45.53|0.0|45.54|45.53|0.0|45.53|0.0|45.53|0.0|45.53|43.31|47.93|42.68|48.65|45.5|45.59|43.31|47.93|0.0|0.0|45.5|45.59|46.8618|40.8992|64190|24057606 25709|PXH|PXH|46138E727|US46138E7278|Invesco Exchange-Traded Fund Trust II|Invesco FTSE RAFI Emerging Markets ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Invesco|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-6|TXN1-1|TXN2-8|TXN2-2|TXN2-2|62950000|||Quarterly|||||2008-11-03||PXH.NV|PXH.SO|PXH.EU|PXH.TC|PXH.IV| | | | | | | | | |1x|The PowerShares FTSE RAFI Emerging Markets Portfolio (Fund) is based on the FTSE RAFI Emerging Index (Index). The Fund will normally invest at least 90% of its total assets in securities that comprise the Index and ADRs based on the securities in the Index. The Index is designed to track the performance of the largest Emerging Market equities, selected based on the following four fundamental measures of firm size: book value, cash flow, sales and dividends. The equities with the highest fundamental strength are weighted according to their fundamental scores. 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Inc|COM USD.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN6-4|TXN10-5|TXN5-5|TXN5-3|1078140000|||NotApplicable|||||||||||| | | | | | | | | |||N|1|Y|N||USA||||50|5020|502050|50205015|Industrials|Industrial Goods and Services|Industrial Support Services|Transaction Processing Services|N||N||||||Y|0|Y||||||59.84|59.85|0.0|59.89|59.84|59.845|59.8425|59.84|0.0|0.0|59.855|59.85|59.85|59.84|59.885|59.855|59.88|59.855|59.85|59.85|59.82|59.87|55.64|63.09|59.84|59.86|59.8|59.89|59.83|59.87|59.85|59.86|88.625|50.25|14107889|3527899415 76357|PYPY|PYPY|88634T451|US88634T4519|Tidal Trust II|YieldMax PYPL Option Income Strategy ETF|Trust|ETS|N|N|P|Y|Y|Y|Y|Y||||||||Tidal ETF Services |Wolverine Trading, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-5|TXN1-3|TXN7-8|TXN4-3|TXN3-6|200000|||Monthly|||||2023-09-26||PYPY.NV|PYPY.SO|PYPY.EU|PYPY.TC| | | | | | | | | | |1x|the Fund uses a synthetic covered call strategy to provide income and exposure to the share price returns of PYPL, subject to a limit on potential investment gains as a result of the nature of the options strategy it employs.|N|0|N|N|416A|USA|US|HYBRID|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||19.78|19.75|0.0|0.0|0.0|19.78|19.79|19.83|0.0|0.0|19.77|19.77|19.75|19.75|0.0|0.0|0.0|19.77|0.0|19.77|0.0|0.0|0.0|0.0|19.74|19.78|0.0|0.0|0.0|0.0|19.74|19.78|20.2209|17.5549|24935|569099 8807|PYT|PYT|73941X684|US73941X6849|Merrill Lynch Depositor, Inc.|PPLUS Floating Rate Callable Trust Certificates, Series GSC-2 (Issued by Goldman Sachs Capital I)|Trust|G|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN3-7|TXN6-8|TXN4-8|TXN4-4|1400000|||Quarterly|||||2004-07-27|2034-02-15|||||| | | | | | | | | |||N|0|N|N|412C|USA|US|||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|22.0|22.47|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|22.0|22.47|22.6|18.48|0|152921 71985|PYXS|PYXS|747324101|US7473241013|Pyxis Oncology Inc|COM USD0.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN5-6|TXN14-1|TXN5-1|TXN5-7|44320000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||1.64|1.62|0.0|0.0|1.64|1.63|1.64|1.64|0.0|0.0|1.63|1.68|1.62|0.0|0.0|0.0|1.65|1.64|0.0|1.64|1.58|1.68|1.31|1.96|1.59|1.67|1.6|1.66|1.6|1.66|1.62|1.64|6.92|1.1|117217|271966006 17328|PYZ|PYZ|46137V704|US46137V7047|Invesco Dorsey Wright Basic Materials Momentum ETF|BASIC MATRL||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN5-4|TXN14-6|TXN6-3|TXN5-1|1230000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||81.26|81.26|0.0|0.0|81.24|81.11|81.17|0.0|0.0|0.0|0.0|0.0|81.3128|81.25|0.0|81.11|0.0|81.29|0.0|81.3128|81.11|81.47|81.06|81.54|81.24|81.32|81.06|87.13|81.06|81.54|81.24|81.32|93.13|72.33|296756|2665444 25832|PZA|PZA|46138E537|US46138E5371|Invesco Exchange-Traded Fund Trust II|Invesco National AMT-Free Municipal Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Invesco|Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-3|TXN1-6|TXN3-7|TXN1-2|TXN2-3|106150000|||Monthly|||||2008-11-03||PZA.NV|PZA.SO|PZA.EU|PZA.TC|PZA.IV| | | | | | | | | |1x|The PowerShares Insured National Municipal Bond Portfolio (Fund) is based on the Merrill Lynch National Insured Long-Term Core Plus Municipal Securities Index (Index). The Fund will normally invest at least 80% of its total assets in securities that comprise the Index and generally expects to invest at least 90% of its total assets. The Index is designed to track the performance of AAA-rated, insured, tax exempt, long-term debt publicly issued by U.S. states or their political subdivisions.|N|0|N|N|406C|USA|US|FIXED_INCOME|INDEX|||||||||N||N||||||N|0|Y||Y|1|||23.42|23.48|0.0|0.0|23.45|23.42|23.435|23.445|0.0|0.0|23.45|23.45|23.45|23.39|23.4|23.445|0.0|23.42|23.45|23.42|23.38|23.47|21.96|25.08|23.44|23.47|22.26|24.59|22.95|23.97|23.44|23.47|24.135|21.69|1016657|171520900 8811|PZC|PZC|72201C109|US72201C1099|PIMCO California Municipal Income Fund III|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN3-7|TXN7-8|TXN4-3|TXN1-7|22480000|||Monthly|||||2002-10-29||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||7.135|7.12|0.0|0.0|7.12|7.15|7.12|7.135|0.0|0.0|7.13|0.0|7.13|7.12|7.165|7.12|7.18|7.12|6.94|7.12|7.12|7.14|5.51|8.74|6.63|7.17|7.11|7.16|7.11|7.14|7.11|7.14|8.7|6.3|123231|11977671 49627|PZG|PZG|69924M109|US69924M1099|Paramount Gold Nevada Corp.|Common Stock $0.01 par value|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Brendan E. Cryan and Company, L.L.C.|CRYN|0235|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN10-7|TXN4-6|TXN3-8|TXN3-5|TXN4-7|59000000|||NotApplicable|||||2015-04-10||||||| | | | | | | | | |||N|0|N|N|130E|USA|US|||55|5510|551020|55102000|Basic Materials|Basic Resources|Industrial Metals and Mining|General Mining|N||N||||||N|0|Y||Y|2|||0.4025|0.399|0.0|0.404|0.4024|0.4025|0.395|0.3981|0.0|0.0|0.395|0.395|0.4|0.0|0.0|0.37875|0.395|0.395|0.0|0.395|0.3848|0.4062|0.395|0.397|0.3941|0.4058|0.3144|0.492|0.0|0.0|0.395|0.397|0.425|0.24|194028|44445539 25834|PZT|PZT|46138E529|US46138E5298|Invesco Exchange-Traded Fund Trust II|Invesco New York AMT-Free Municipal Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Invesco|Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-1|TXN4-7|TXN6-8|TXN4-1|TXN1-2|4000000|||Monthly|||||2008-11-03||PZT.NV|PZT.SO|PZT.EU|PZT.TC|PZT.IV| | | | | | | | | |1x|The PowerShares Insured New York Municipal Bond Portfolio (Fund) is based on the Merrill Lynch New York Insured Long-Term Core Plus Municipal Securities Index (Index). The Fund will normally invest at least 80% of its total assets in securities that comprise the Index and generally expects to invest at least 90% of its total assets. The Index is designed to track the performance of AAA-rated, insured, tax-exempt, long-term debt publicly issued by New York or Puerto Rico or their political subdivisions.|N|0|N|N|406C|USA|US|FIXED_INCOME|INDEX|||||||||N||N||||||N|0|Y||Y|2|||22.47|22.47|0.0|22.49|22.5|22.5|22.52|22.46|0.0|0.0|0.0|22.52|22.55|22.63|0.0|0.0|0.0|22.52|0.0|22.52|17.92|27.24|17.36|27.8|22.46|22.62|17.92|27.24|0.0|0.0|17.92|22.61|23.13|20.66|26976|3642036 3325|PZZA|PZZA|698813102|US6988131024|Papa John's International Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN5-4|TXN11-1|TXN6-4|TXN5-6|32760000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4050|405010|40501040|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Restaurants and Bars|N||N||||||Y|0|Y||||||69.77|69.71|0.0|69.22|69.69|69.8|69.705|69.705|0.0|0.0|69.785|69.89|69.72|69.7|69.89|69.795|69.79|69.71|69.75|69.72|69.56|69.87|53.94|85.39|69.56|69.87|69.62|69.79|69.61|69.8|69.69|69.72|97.78|60.66|1041762|158815828 31145|QABA|QABA|33736Q104|US33736Q1040|First Trust NASDAQ ABA Community Bank Index Fund|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN6-7|TXN11-3|TXN5-6|TXN6-7|1450000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|45.37|45.658|0.0|0.0|0.0|45.37|0.0|45.55|45.02|0.0|45.37|0.0|45.658|0.0|45.55|43.09|47.78|0.0|0.0|45.53|45.79|45.39|45.97|45.39|45.97|45.54|45.78|56.79|34.5943|8257|6790400 30429|QAI|QAI|45409B107|US45409B1070|IndexIQ ETF Trust|IQ Hedge Multi-Strategy Tracker ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||IndexIQ |Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-7|TXN4-1|TXN4-8|TXN1-4|TXN2-7|20250000|||Yearly|||||2009-03-24||QAI.NV|QAI.SO|QAI.EU|QAI.TC|QAI.IV| | | | | | | | | |1x|The IQ Hedge Multi-Strategy Tracker ETF seeks to track, before fees and expenses, the performance of the IQ Hedge Multi-Strategy Index. The Index attempts to replicate the risk-adjusted return characteristics of hedge funds using various hedge fund investment styles, including long/short equity, global macro, market neutral, event-driven, fixed income arbitrage and emerging markets. The Fund is a fund of funds which means it invests, under normal circumstances, at least 80% of its net assets (excluding collateral held from securities lending), plus the amount of any borrowings for investment purposes, in the investments included in its Underlying Index, which includes underlying funds. The Underlying Index consists of a number of components (Underlying Index Components) selected in accordance with IndexIQsrules-based methodology of such Underlying Index. Such Underlying Index Components will include primarily ETFs and/or other exchange-traded vehicles issuing equity securities organized in the U.S., such as exchange traded commodity pools (ETVs). The Fund may also invest in one or more financial instruments, including but not limited to futures contracts and swap agreements (collectively, Financial Instruments).|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||30.58|30.69|0.0|0.0|0.0|30.75|30.69|30.7|0.0|30.56|30.66|0.0|30.66|30.67|0.0|0.0|0.0|30.63|0.0|30.63|30.36|31.01|28.42|32.62|30.65|30.7|29.1|30.71|0.0|0.0|30.65|30.7|31.45|28.37|129910|25445267 60865|QARP|QARP|233051242|US2330512425|DBX ETF Trust|Xtrackers Russell 1000 US Quality at a Reasonable Price ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||DBX Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-8|TXN1-8|TXN7-8|TXN3-4|TXN3-8|1350001|||Quarterly|||||2018-04-05||QARP.NV|QARP.SO|QARP.EU|QARP.TC|QARP.IV| | | | | | | | | |1x|Fund will aim to track the underlying index, which aims to provide access to US equities that show factor exposure to quality and value.|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|42.9|42.8999|42.97|0.0|0.0|0.0|0.0|43.01|0.0|0.0|0.0|0.0|43.0182|0.0|43.0182|42.56|43.44|42.89|42.94|43.0|43.07|40.14|46.19|0.0|0.0|43.0|43.07|43.64|36.21|1480|2128921 44085|QAT|QAT|46434V779|US46434V7799|iShares Trust - iShares MSCI Qatar Capped ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN5-5|TXN10-8|TXN6-5|TXN5-5|4000000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|17.07|0.0|0.0|0.0|0.0|17.09|0.0|17.14|0.0|0.0|0.0|0.0|17.07|0.0|17.14|13.55|20.71|0.0|0.0|16.94|17.26|13.55|20.71|0.0|0.0|17.04|17.14|20.35|15.66|2050|3850936 74355|QBTS|QBTS|26740W109|US26740W1099|D-Wave Quantum Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|E|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN4-7|TXN6-8|TXN2-7|TXN4-2|113400000|||NotApplicable|||||2022-08-08||||||| | | | | | | | | |||N|0|N|Y|180B|CAN|US|||10|1010|101010|10101010|Technology|Technology|Software and Computer Services|Computer Services|N||N||||||Y|2|Y||Y|2|||1.02|1.02|0.0|1.01|1.01|1.02|1.0101|1.01|0.0|0.0|1.02|1.01|1.02|1.02|0.9381|1.01|0.99|1.0101|0.9351|1.01|1.01|1.02|0.824|1.22|1.0|1.02|0.9821|1.05|1.01|1.05|1.01|1.02|3.2|0.3962|2808624|841978570 74356|QBTS WS|QBTS.WS|26740W117|US26740W1172|D-Wave Quantum Inc.|Warrants, each whole warrant exercisable for 1.4541326 Common Stock at an exercise price of $11.50|Operating company|C|N|N|N|Y|Y|Y|Y|Y|8|E|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN4-8|TXN1-1|TXN6-8|TXN3-2|TXN2-8|155290000|||NotApplicable|||||2022-08-08|2027-08-08|||||| | | | | | | | | |||N|0|N|N|180B|CAN|US|||||||||||N||N||||||N|2|Y||N||||0.085|0.08|0.0|0.0|0.0|0.0875|0.085101|0.087|0.0|0.0|0.0877|0.088|0.0858|0.0|0.0|0.0875|0.0|0.0875|0.0|0.0875|0.085|0.0879|0.0|0.0|0.0818|0.0937|0.0|0.0|0.0|0.0|0.0876|0.129|0.318|0.0351|194862|21082652 19022|QCLN|QCLN|33733E500|US33733E5006|First Trust NASDAQ Clean Edge Green Energy Index ETF|CLEAN EDGE LIQUID||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN6-4|TXN12-5|TXN6-4|TXN5-8|27400000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||37.83|37.81|0.0|37.77|37.85|37.83|37.81|37.82|0.0|0.0|37.82|37.85|37.82|37.83|37.77|37.85|37.87|37.81|37.88|37.82|37.76|37.9|35.32|40.21|37.81|37.85|37.74|37.91|37.76|37.91|37.82|37.85|59.43|32.3701|231033|40025325 71539|QCLR|QCLR|37960A602|US37960A6029|Global X NASDAQ 100 Collar 95-110 ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN5-2|TXN12-4|TXN6-2|TXN5-1|90000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|25.08|0.0|0.0|0.0|0.0|0.0|0.0|25.08|0.0|0.0|0.0|0.0|25.0|25.15|25.0|25.15|0.0|25.15|25.07|25.14|25.3388|20.53|50|104280 3331|QCOM|QCOM|747525103|US7475251036|QUALCOMM Inc.|COM USD.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN5-5|TXN13-1|TXN5-5|TXN6-2|1113000000|||NotApplicable|||||||||||| | | | | | | | | |||N|1|Y|N||USA||||10|1010|101020|10102010|Technology|Technology|Technology Hardware and Equipment|Semiconductors|N||N||||||Y|0|Y||||||129.92|129.94|0.0|129.92|129.91|129.94|129.925|129.935|0.0|0.0|129.935|129.9|129.95|129.92|129.92|129.92|129.92|129.93|129.92|129.95|129.87|130.01|120.98|137.42|129.93|129.96|129.91|129.99|129.91|129.96|129.93|129.94|139.94|101.47|7485048|1885359999 69249|QCON|QCON|025072521|US0250725217|American Century Quality Convertible Securities ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN1-8|TXN9-8|TXN4-5|TXN2-8|600000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||40.38|40.36|0.0|0.0|40.38|40.38|40.39|40.38|0.0|0.0|40.37|40.37|40.32|40.38|40.38|40.38|0.0|40.36|40.38|40.36|40.33|40.39|0.0|0.0|40.33|40.39|40.33|40.39|0.0|0.0|40.33|40.39|41.72|38.0599|146267|675752 3332|QCRH|QCRH|74727A104|US74727A1043|QCR Holdings Inc|COM USD1||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN6-3|TXN11-3|TXN6-8|TXN6-6|16730000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||||||0.0|53.31|0.0|53.51|0.0|53.28|53.3|53.38|0.0|0.0|53.72|53.76|53.36|0.0|0.0|53.47|0.0|53.37|0.0|53.36|52.37|54.38|40.79|64.92|52.55|54.32|40.79|64.92|53.36|53.66|53.36|53.48|54.54|35.14|44229|14837981 59888|QD|QD|747798106|US7477981069|Qudian Inc.|American depositary shares, each representing one Class A ordinary share|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|8|A|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN3-2|TXN5-8|TXN4-1|TXN4-5|190230000|||NotApplicable|||||2017-10-18||||||| | | | | | | | | |||N|0|N|Y|180B|CHN|KY|||30|3020|302010|30201020|Financials|Financial Services |Finance and Credit Services|Consumer Lending|N||N||||||Y|0|Y||Y|2|||1.74|1.75|0.0|0.0|1.74|1.74|1.74|1.745|0.0|0.0|1.74|1.74|1.745|1.74|1.745|1.75|1.745|1.75|1.735|1.75|1.73|1.75|1.4|2.07|1.73|1.75|1.71|1.78|1.73|1.77|1.73|1.75|2.54|0.7792|977415|169013872 68560|QDEC|QDEC|33740F649|US33740F6491|FT Cboe Vest Nasdaq-100 Buffer ETF - December|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-1|TXN1-6|TXN9-8|TXN1-5|TXN1-8|7100000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||23.36|23.3757|0.0|0.0|0.0|0.0|23.3865|23.36|0.0|0.0|23.37|0.0|23.37|0.0|0.0|23.36|0.0|23.3757|0.0|23.3757|0.0|0.0|23.36|23.4|23.34|23.42|23.34|23.44|23.34|23.43|23.34|23.42|23.43|17.9565|10950|9219629 41229|QDEF|QDEF|33939L845|US33939L8458|FlexShares Trust|FlexShares Quality Dividend Defensive Index Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Northern Trust Investments|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-3|TXN2-6|TXN4-6|TXN2-4|TXN2-5|5825001|||Quarterly|||||2012-12-19||QDEF.NV|QDEF.SO|QDEF.EU|QDEF.TC|QDEF.IV| | | | | | | | | |1x|The Fund seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the Northern Trust Quality Dividend Defensive Index(the Underlying Index). The Northern Trust Quality Dividend Defensive Index is designed to provide exposure to a high-quality income-oriented portfolio of long-only U.S. equity securities, with an emphasis on long-term capital growth and a targeted overall beta that is generally between 0.5 to 1.0 times that of the Northern Trust 1250 Index (the benchmark). Companies included in the index are selected based on expected dividend payment and fundamental factors such as profitability, solid management, and reliable cash flow. |N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||0.0|57.57|0.0|0.0|0.0|57.57|57.57|0.0|0.0|0.0|0.0|0.0|57.52|0.0|57.52|57.48|0.0|57.57|0.0|57.57|57.45|57.68|0.0|0.0|57.54|57.57|57.46|57.63|57.47|57.63|57.53|57.57|58.0|50.16|19272|2586910 3333|QDEL|QDEL|219798105|US2197981051|QuidelOrtho Corporation|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN6-2|TXN12-6|TXN6-8|TXN6-7|66820000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||USA||||20|2010|201020|20102015|Health Care |Health Care |Medical Equipment and Services|Medical Supplies|N||N||||||Y|0|Y||||||68.78|68.735|0.0|68.73|68.73|68.74|68.77|68.72|0.0|0.0|68.73|68.46|68.74|68.78|68.67|68.76|68.79|68.77|68.83|68.74|68.12|69.34|64.36|72.79|68.2|69.31|68.63|68.84|68.71|68.86|68.73|68.76|102.0|57.542|453805|109557963 41228|QDF|QDF|33939L860|US33939L8607|FlexShares Trust|FlexShares Quality Dividend Index Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Northern Trust Investments|Latour Trading, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-8|TXN2-5|TXN5-8|TXN2-4|TXN2-1|27092921|||Quarterly|||||2012-12-19||QDF.NV|QDF.SO|QDF.EU|QDF.TC|QDF.IV| | | | | | | | | |1x|The Fund seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the Northern Trust Quality Dividend Index (the Underlying Index).The Northern Trust Quality Dividend Index is designed to provide exposure to a high-quality income-oriented portfolio of long-only U.S. equity securities, with an emphasis on long-term capital growth and a targeted overall beta that is similar to that of the Northern Trust 1250 Index (the benchmark). Companies included in the index are selected based on expected dividend payment and fundamental factors such as profitability, solid management, and reliable cash flow. |N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||59.44|59.42|0.0|0.0|59.33|59.42|59.37|59.42|0.0|0.0|59.25|59.32|59.42|59.3|59.25|59.43|59.42|59.46|0.0|59.46|59.3|59.54|59.31|59.51|59.41|59.42|59.31|59.52|59.31|59.51|59.41|59.42|60.435|51.4901|75674|10121286 61252|QDIV|QDIV|37954Y616|US37954Y6169|Global X Funds|Global X S&P 500 Quality Dividend ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Global X|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-7|TXN2-2|TXN4-7|TXN2-6|TXN3-8|1560002|||Monthly|||||2020-01-14||QDIV.NV|QDIV.SO|QDIV.EU|QDIV.TC|QDIV.IV| | | | | | | | | |1x|The Global X S&P500 Quality Dividend ETF seeks to provide investment results that correspond generally to the price and yield performance, before fees and expenses, of the S&P500 Quality High Dividend Index (Underlying Index).The Underlying Index is designed to provide exposure to U.S. equity securities included in the S&P500 Index that exhibit high quality and dividend yield characteristics, as determined by Standard & Poors Financial Services LLC. 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This ETF seeks a return of -200% of the return of an index (target) for a single day. Due to the compounding of daily returns, returns over periods other than one day will likely differ in amount and possibly direction from the target return for the same period. Investors should monitor their ProShares holdings consistent with their strategies, as frequently as daily. For more on correlation, leverage and other risks, please read the prospectus. The NASDAQ-100 Index includes 100 of the largest domestic and international non-financial companies listed on The NASDAQ Stock Market based on market capitalization. The Index reflects companies across major industry groups including computer hardware and software, telecommunications, retail/wholesale trade and biotechnology. Companies selected for inclusion are non-financial companies currently not in bankruptcy proceedings with appropriate trading volumes and adjusted market capitalization. It is not possible to invest directly in an index. |N|0|N|N|416A|USA|US|EQUITY|INVERSE|||||||||N||N||||||Y|0|Y||Y|2|||12.13|12.13|0.0|0.0|12.13|12.13|12.135|12.13|0.0|0.0|12.13|12.125|12.13|12.13|12.13|12.135|12.12|12.14|12.13|12.14|12.11|12.14|12.09|12.14|12.13|12.14|12.12|12.14|12.04|12.17|12.13|12.14|27.32|11.63|16194019|3498060476 61732|QINT|QINT|025072406|US0250724061|American Century ETF Trust|American Century Quality Diversified International ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||American Century Investments|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-4|TXN1-3|TXN4-8|TXN4-4|TXN4-7|4850000|||BiAnnually|||||2018-09-12||QINT.NV|QINT.SO|QINT.EU|QINT.TC|QINT.IV| | | | | | | | | |1x|American Century Quality Diversified International Fund is an exchange-traded fund incorporated in the USA. 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The Fund invests primarily through total return swaps that provide the returns of third-party quantitative investment strategies that provide model portfolios accessed by the Fund.|N|0|N|N|416A|USA|US|HYBRID|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|25.45|0.0|0.0|0.0|25.5|25.5872|25.46|0.0|0.0|25.43|0.0|25.45|0.0|0.0|0.0|0.0|25.54|0.0|25.54|25.23|25.89|25.23|25.89|25.39|25.68|25.23|25.9|25.23|25.9|25.39|25.68|26.44|25.0|8373|5719491 41941|QIWI|QIWI|74735M108|US74735M1080|QIWI plc|SPON ADR||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN5-5|TXN10-8|TXN6-7|TXN6-1|48880000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CYP||||50|5020|502050|50205015|Industrials|Industrial Goods and Services|Industrial Support Services|Transaction Processing Services|N||N||||||N|0|Y||||X|P|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0|0 70927|QJUN|QJUN|33740F557|US33740F5576|FT Cboe Vest Nasdaq-100 Buffer ETF - June|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-3|TXN4-5|TXN6-8|TXN3-8|TXN2-5|17300000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||23.09|23.19|0.0|0.0|23.12|23.09|23.12|23.14|0.0|0.0|23.09|0.0|23.135|23.12|0.0|0.0|0.0|23.19|23.12|23.19|0.0|0.0|23.06|23.17|23.1|23.24|23.07|23.24|23.07|23.22|23.11|23.2|23.45|17.33|27935|23276573 51265|QLC|QLC|33939L746|US33939L7468|FlexShares US Quality Large Cap Index Fund|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-1|TXN1-6|TXN3-8|TXN1-5|TXN4-3|3180000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|50.86|0.0|0.0|0.0|50.75|50.86|50.75|0.0|0.0|50.75|0.0|50.77|0.0|0.0|0.0|0.0|50.86|0.0|50.86|40.46|60.97|0.0|0.0|50.81|50.85|40.46|60.97|0.0|0.0|50.81|50.85|51.0745|41.9665|22861|2064335 16711|QLD|QLD|74347R206|US74347R2067|ProShares Trust|ProShares Ultra QQQ|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ProShares Advisors |Pundion LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-3|TXN3-2|TXN2-3|TXN2-6|TXN2-7|74450000|||Quarterly|||||2008-11-12||QLD.NV|QLD.SO|QLD.EU|QLD.TC|QLD.IV| | | | | | | | | |2x|ProShares Ultra QQQ seeks daily investment results, before fees and expenses, that correspond to twice (200%) the daily performance of the NASDAQ-100 Index. This ETF seeks a return of 200% of the return of an index (target) for a single day. Due to the compounding of daily returns, returns over periods other than one day will likely differ in amount and possibly direction from the target return for the same period. Investors should monitor their ProShares holdings consistent with their strategies, as frequently as daily. For more on correlation, leverage and other risks, please read the prospectus. The NASDAQ-100 Index includes 100 of the largest domestic and international non-financial companies listed on The NASDAQ Stock Market based on market capitalization. The Index reflects companies across major industry groups including computer hardware and software, telecommunications, retail/wholesale trade and biotechnology. Companies selected for inclusion are non-financial companies currently not in bankruptcy proceedings with appropriate trading volumes and adjusted market capitalization. It is not possible to invest directly in an index.|N|0|N|N|416A|USA|US|EQUITY|LEVERAGED|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||67.74|67.76|0.0|0.0|67.74|67.735|67.7689|67.78|0.0|0.0|67.76|67.75|67.77|67.779|67.75|67.779|67.49|67.78|66.74|67.78|67.72|67.97|67.54|67.96|67.77|67.78|67.72|67.8|67.6|68.0|67.77|67.78|70.74|33.38|4261659|1072027558 50158|QLGN|QLGN|74754R202|US74754R2022|Qualigen Therapeutics Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-6|TXN6-6|TXN14-1|TXN6-2|TXN5-6|5180000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.7005|0.0|0.0|0.0|0.72|0.0|0.74|0.0|0.0|0.0|0.0|0.7005|0.0|0.7005|0.665|0.777|0.56|0.852|0.665|0.777|0.665|0.777|0.0|0.0|0.701|0.74|1.93|0.65|5280|28315854 68734|QLI|QLI|G7307E107|KYG7307E1070|Qilian International Holding Group Ltd|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-6|TXN5-4|TXN12-5|TXN5-1|TXN5-5|35750000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||20|2010|201030|20103015|Health Care |Health Care |Pharmaceuticals and Biotechnology|Pharmaceuticals |N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.4516|0.0|0.0|0.0|0.0|0.0|0.4899|0.0|0.0|0.0|0.0|0.4516|0.0|0.4516|0.3986|0.5997|0.3616|0.5997|0.4215|0.5225|0.3986|0.5997|0.0|0.0|0.4515|0.4899|2.14|0.37|704|1552411 39606|QLTA|QLTA|46429B291|US46429B2916|iShares Trust|iShares Aaa - A Rated Corporate Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN4-4|TXN9-8|TXN2-2|TXN4-7|21950000|||Monthly|||||2012-02-16||QLTA.NV|QLTA.SO|QLTA.EU|QLTA.TC|QLTA.IV| | | | | | | | | |1x|The iShares Aaa - A Rated Corporate Bond ETF (the Fund) seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the Barclays U.S. Corporate Aaa - A Capped Index (the Underlying Index). The Underlying Index is a subset of the Barclays U.S. Corporate Index, which measures the performance of the Aaa A rated range of the fixed-rate, U.S. dollar-denominated taxable, corporate bond market. The Underlying Index is market capitalization-weighted with a 3% cap on any one issuer and a pro rata distribution of any excess weight across the remaining issuers in the Underlying Index.|N|0|N|N|412C|USA|US|FIXED_INCOME|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||46.73|46.65|0.0|0.0|46.72|46.65|46.72|46.645|0.0|0.0|46.66|46.76|46.7|46.71|46.77|46.775|0.0|46.73|46.83|46.73|43.58|49.91|43.58|49.91|46.68|46.71|46.66|49.91|46.66|46.74|46.68|46.71|48.8|43.8|141352|28325905 76623|QLTY|QLTY|90139K100|US90139K1007|The 2023 ETF Series Trust II|GMO U.S. Quality ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Goldman Sachs ETF Accelerator (GMO)|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-6|TXN4-5|TXN8-8|TXN4-6|TXN3-2|574000|||Quarterly|||||2023-11-15||QLTY.NV|QLTY.SO|QLTY.EU|QLTY.TC| | | | | | | | | | ||The Fund is an actively managed exchange-traded fund (ETF) that seeks to achieve its investment objective by investing primarily in equities of U.S. companies that the Funds adviser, GMO, believes to be of high quality.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|25.81|0.0|0.0|0.0|25.67|25.76|25.705|0.0|0.0|25.74|0.0|25.81|0.0|0.0|0.0|25.75|25.7978|0.0|25.7978|19.77|31.65|19.77|31.65|25.79|25.8|19.77|31.65|0.0|0.0|25.79|25.8|25.97|25.21|55377|879720 64059|QLV|QLV|33939L654|US33939L6544|FlexShares Trust|FlexShares US Quality Low Volatility Index Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Northern Trust Investments|Old Mission Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN4-1|TXN7-8|TXN3-6|TXN4-2|3600001|||Quarterly|||||2019-07-16||QLV.NV|QLV.SO|QLV.EU|QLV.TC|QLV.IV| | | | | | | | | |1x|The Fund seeks investment results that correspond generally to theprice and yield performance, before fees and expenses, of theNorthern Trust US Quality Low Volatility IndexSM (the UnderlyingIndex). The Underlying Index is designed to reflect the performance of aselection of companies that, in aggregate, possess lower overallabsolute volatility characteristics relative to the Northern Trust 1250Index (the Parent Index), a float-adjusted market capitalizationweighted index of U.S. domiciled large- and mid-capitalizationcompanies. In addition, the Underlying Index looks to selectcompanies from the Parent Index that exhibit financial strength andstability (i.e., quality) characteristics. The Underlying Index seeks toenhance risk-return characteristics and have lower volatility to thebroader U.S. equity market.|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||55.1|55.09|0.0|0.0|55.1|54.94|55.23|55.17|0.0|0.0|0.0|0.0|55.1|55.08|0.0|54.94|0.0|55.1964|0.0|55.1964|54.98|55.03|55.02|55.4|55.15|55.22|55.01|55.41|55.02|55.4|55.15|55.22|55.23|48.76|7085|3145450 64060|QLVD|QLVD|33939L647|US33939L6478|FlexShares Trust|FlexShares Developed Markets ex-US Quality Low Volatility Index Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Northern Trust Investments|Old Mission Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-5|TXN1-1|TXN9-8|TXN1-3|TXN2-5|2700001|||Quarterly|||||2019-07-16||QLVD.NV|QLVD.SO|QLVD.EU|QLVD.TC|QLVD.IV| | | | | | | | | |1x|The Fund seeks investment results that correspond generally tothe price and yield performance, before fees and expenses, of theNorthern Trust Developed Markets ex-US Quality LowVolatility IndexSM (the Underlying Index). The Underlying Index is designed to reflect the performance of aselection of companies that, in aggregate, possess lower overallabsolute volatility characteristics relative to a broad universe ofsecurities domiciled in developed market countries, excluding theU.S. (the Parent Index). The Parent Index is a subset of theNorthern Trust Global Index, where eligible securities are limitedto those domiciled in non-U.S. developed market countries anddesignated as Large/Mid cap by the Index Provider. In addition,the Underlying Index looks to select companies from the ParentIndex that exhibit financial strength and stability (i.e., quality)characteristics. The Underlying Index seeks to enhance risk-returncharacteristics and have lower volatility to the broader developedinternational equity market.|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|25.1885|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|25.3171|0.0|25.3171|0.0|0.0|0.0|0.0|25.27|25.36|0.0|0.0|0.0|0.0|25.27|25.36|26.57|23.4249|27|1241608 64061|QLVE|QLVE|33939L639|US33939L6395|FlexShares Trust|FlexShares Emerging Markets Quality Low Volatility Index Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Northern Trust Investments|Old Mission Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-4|TXN3-8|TXN2-8|TXN4-7|TXN1-6|600001|||Quarterly|||||2019-07-16||QLVE.NV|QLVE.SO|QLVE.EU|QLVE.TC|QLVE.IV| | | | | | | | | |1x|The Fund seeks investment results that correspond generally to theprice and yield performance, before fees and expenses, of theNorthern Trust Emerging Markets Quality Low Volatility IndexSM(the Underlying Index). The Underlying Index is designed to reflect the performance of aselection of companies that, in aggregate, possess lower overallabsolute volatility characteristics relative to a broad universe ofsecurities domiciled in emerging market countries, (the ParentIndex). The Parent Index is a subset of the Northern Trust GlobalIndex, limited to those securities domiciled in emerging markets anddesignated as Large/Mid cap by the Index Provider. In addition, theUnderlying Index looks to select companies from the Parent Indexthat exhibit financial strength and stability (i.e., quality)characteristics. The Underlying Index seeks to enhance risk-returncharacteristics and have lower volatility to the broader emergingequity market.|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|22.5898|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|22.5646|0.0|22.5646|22.51|22.57|0.0|0.0|22.53|22.6|0.0|0.0|0.0|0.0|22.53|22.6|23.826|20.7|195|784509 40785|QLYS|QLYS|74758T303|US74758T3032|Qualys Inc|COM USD0.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN5-8|TXN11-8|TXN6-4|TXN6-1|36790000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101010|10101010|Technology|Technology|Software and Computer Services|Computer 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A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN6-8|TXN10-2|TXN6-2|TXN5-1|121790000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||1.75|1.76|0.0|0.0|1.75|1.76|1.7599|1.76|0.0|0.0|1.76|1.76|1.76|1.75|0.0|1.76|0.0|1.75|0.0|1.76|1.75|1.78|1.4|2.1|1.75|1.78|1.73|1.78|1.75|1.79|1.75|1.76|3.9011|1.12|549505|250741633 67973|QSIAW|QSIAW|74765K113|US74765K1135|Quantum-Si Incorporated|WT EXP 061026||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-4|TXN6-8|TXN12-7|TXN6-3|TXN6-8|141730000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.23|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.23|0.0|0.23|0.0|0.0|0.0|0.0|0.2416|0.2772|0.0|0.0|0.0|0.0|0.2599|0.26|0.767|0.022|100|2385210 71730|QSPT|QSPT|33740U836|US33740U8365|FT Cboe Vest Nasdaq-100 Buffer ETF - September|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-3|TXN4-6|TXN3-8|TXN1-5|TXN2-3|9600000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||22.92|22.95|0.0|22.9|22.9|22.88|22.92|22.89|0.0|0.0|22.9|22.9|0.0|22.9|0.0|22.89|22.9|22.95|22.9|22.95|17.67|28.15|17.67|22.98|22.84|22.92|17.67|22.98|22.84|22.95|22.84|22.92|23.12|16.36|40867|7887279 40243|QSR|QSR|76131D103|CA76131D1033|Restaurant Brands International Inc.|Common Share|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-7|TXN1-7|TXN9-4|TXN1-7|TXN1-4|312030000|||Quarterly|||||2014-12-10||||||| | | | | | | | | |||N|0|N|Y|118A|CAN|US|||40|4050|405010|40501040|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Restaurants and Bars|N||N||||||Y|0|Y||Y|2|||73.19|73.21|0.0|73.34|73.2|73.21|73.21|73.185|0.0|0.0|73.22|73.2|73.21|73.2|73.19|73.21|73.24|73.21|73.19|73.21|73.21|73.22|55.87|89.0|73.18|73.22|69.49|73.26|73.15|73.24|73.21|73.22|78.3|59.99|1537485|308435028 72820|QSWN|QSWN|032108755|US0321087555|Amplify ETF Trust|Amplify BlackSwan Tech & Treasury ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Amplify Investments|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-8|TXN1-2|TXN1-5|TXN3-4|TXN1-3|125000|||Quarterly|||||2021-12-09||QSWN.NV|QSWN.SO|QSWN.EU|QSWN.TC| | | | | | | | | | |1x|The Amplify BlackSwan Tech & Treasury ETF seeks investment results that generally correspond (before fees and expenses) to the price and yield of the S-Network BlackSwan Tech & Treasury Index (the Index).|N|0|N|N|406B|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|18.046|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|18.97|0.0|18.97|0.0|0.0|0.0|0.0|18.9|19.03|0.0|0.0|0.0|0.0|18.9|19.03|19.63|16.5289|5|70287 70075|QTAP|QTAP|45783Y509|US45783Y5096|Innovator Growth Accelerated Plus ETF - April|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-7|TXN4-5|TXN8-7|TXN3-8|TXN4-6|680000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|31.45|0.0|0.0|0.0|0.0|31.45|0.0|0.0|0.0|0.0|0.0|31.45|31.55|0.0|0.0|0.0|31.45|0.0|31.45|0.0|0.0|31.47|31.56|31.42|31.46|31.47|31.57|31.47|31.6|31.42|31.46|31.5919|21.8299|19709|1140928 16398|QTEC|QTEC|337345102|US3373451026|First Trust NASDAQ-100 Technology Sector Index Fund|SHS||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN5-6|TXN14-1|TXN6-6|TXN6-3|19550000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||159.44|160.54|0.0|0.0|160.6|159.94|160.59|160.235|0.0|0.0|159.94|159.95|160.58|0.0|159.94|159.99|0.0|160.54|0.0|160.58|160.18|160.87|148.7|169.64|160.53|160.59|160.31|160.78|160.42|160.7|160.54|160.58|164.14|101.95|156834|34855848 73095|QTJA|QTJA|45783Y798|US45783Y7985|Innovator Growth Accelerated Plus ETF - January|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-7|TXN2-4|TXN3-8|TXN1-5|TXN1-5|1250000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|21.07|0.0|0.0|21.06|0.0|21.07|0.0|0.0|0.0|0.0|0.0|21.07|20.96|0.0|0.0|0.0|21.07|21.06|21.07|0.0|0.0|21.06|21.15|21.03|21.06|21.03|21.15|21.06|21.13|21.03|21.06|21.1|16.4751|6733|4269386 71041|QTJL|QTJL|45783Y871|US45783Y8710|Innovator Growth Accelerated Plus ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-4|TXN2-2|TXN5-8|TXN3-4|TXN4-7|700000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||26.71|26.7149|0.0|0.0|26.71|0.0|26.69|26.34|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|26.7149|26.71|26.7149|0.0|0.0|0.0|0.0|26.64|26.81|26.65|26.8|26.67|26.76|26.65|26.8|26.99|19.0699|2384|1953339 71889|QTOC|QTOC|45782C128|US45782C1282|Innovator Growth Accelerated Plus ETF - October|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-7|TXN1-2|TXN5-8|TXN1-2|TXN3-7|550000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||24.54|24.588|0.0|0.0|24.54|0.0|24.5401|24.545|0.0|0.0|0.0|0.0|24.59|0.0|0.0|24.545|0.0|24.588|24.54|24.588|0.0|0.0|0.0|0.0|24.55|24.59|24.55|24.67|24.56|24.7|17.7|24.66|24.81|18.013|13430|2173708 71541|QTR|QTR|37960A404|US37960A4040|Global X NASDAQ 100 Tail Risk ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN5-2|TXN12-8|TXN6-2|TXN5-7|60000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|24.45|0.0|0.0|0.0|0.0|0.0|0.0|24.66|0.0|0.0|0.0|0.0|24.67|24.67|24.66|0.0|0.0|0.0|0.0|24.56|24.75|24.55|24.75|24.56|24.75|24.65|24.73|25.1|17.73|902|89231 60256|QTRX|QTRX|74766Q101|US74766Q1013|Quanterix Corp|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN6-1|TXN12-5|TXN6-3|TXN5-6|37830000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||Y|0|Y||||||24.64|24.65|0.0|24.59|24.64|24.66|24.65|24.66|0.0|0.0|24.64|24.58|24.64|24.64|24.84|24.64|24.64|24.63|24.75|24.64|24.39|24.95|19.12|30.25|24.42|24.91|24.58|24.7|24.57|24.67|24.62|24.64|28.77|10.02|966788|81545422 61690|QTUM|QTUM|26922A420|US26922A4206|ETF Series Solutions|Defiance Quantum ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Defiance ETFs|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-1|TXN1-7|TXN4-8|TXN1-2|TXN3-7|3650000|||Quarterly|||||2018-09-05||QTUM.NV|QTUM.SO|QTUM.EU|QTUM.TC|QTUM.IV| | | | | | | | | |1x|The Defiance Quantum ETF (the Fund) seeks to track the total return performance, before fees and expenses, of the BlueStar Quantum Computing and Machine Learning Index (the Index). The Index consists of an equal-weighted portfolio of the stock of companies whose products or services are predominantly tied to the development of quantum computing and machine learning technology. Such technologies include research and development of quantum computers; use of quantum computing for applied sciences or communications; development of technology-enabled interactions between quantum and traditional computers; development of advanced hardware and/or software used in machine learning; production of specialized machinery used in advanced semiconductor and integrated circuit packaging; or the production and/or processing of raw materials used in quantum computing.|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||0.0|51.13|0.0|0.0|0.0|51.15|50.8253|50.725|0.0|0.0|0.0|50.59|50.79|50.55|0.0|49.9|0.0|50.82|44.164576|50.82|38.78|61.7|38.78|61.7|50.79|50.82|38.78|61.7|0.0|0.0|50.79|50.82|53.5499|38.294|25531|5796548 43778|QTWO|QTWO|74736L109|US74736L1098|Q2 Holdings, Inc.|Common Stock, $0.0001 par value|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-3|TXN4-5|TXN5-5|TXN2-7|TXN3-2|58640000|||NotApplicable|||||2014-03-20||||||| | | | | | | | | |||N|0|N|Y|108B|USA|US|||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||Y|2|||38.04|38.03|0.0|37.95|38.0|37.99|38.01|37.975|0.0|0.0|38.04|38.01|38.01|38.0|38.03|37.94|38.0|37.98|38.04|37.94|37.93|38.0|28.7|38.0|37.82|38.01|37.91|38.07|37.93|37.99|37.93|37.99|38.15|18.91|821991|142477444 32935|QUAD|QUAD|747301109|US7473011093|Quad/Graphics, Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN3-4|TXN7-8|TXN2-5|TXN4-4|37750000|||Quarterly|||||2010-07-06||||||| | | | | | | | | |||N|0|N|Y|138A|USA|US|||50|5020|502050|50205030|Industrials|Industrial Goods and Services|Industrial Support Services|Forms and Bulk Printing Services|N||N||||||Y|0|Y||Y|2|||4.94|4.92|0.0|0.0|4.94|4.925|4.93|4.94|0.0|0.0|4.94|4.72|4.925|4.93|4.87|4.92|0.0|4.92|4.94|4.92|4.92|4.95|3.72|5.99|4.87|5.0|4.88|4.97|4.87|4.98|4.92|4.95|6.41|2.68|110348|42572130 42360|QUAL|QUAL|46432F339|US46432F3394|iShares MSCI USA Quality Factor ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-8|TXN3-8|TXN2-3|TXN2-4|TXN1-4|247700000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||141.04|141.19|0.0|140.8|141.25|141.19|141.215|141.205|0.0|0.0|141.19|141.19|141.19|141.08|141.2|141.19|141.21|141.19|141.175|141.19|140.95|141.52|141.01|141.27|141.18|141.23|141.11|141.36|141.07|141.32|141.19|141.22|142.07|112.07|986037|349694260 35989|QUBT|QUBT|74766W108|US74766W1080|Quantum Computing Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-8|TXN5-2|TXN14-2|TXN5-5|TXN5-6|75100000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||||||0.93|0.9328|0.0|0.9323|0.922|0.9368|0.9326|0.9324|0.0|0.0|0.93|0.9326|0.9435|0.932|0.0|0.92|0.0|0.9401|0.9246|0.9435|0.9054|0.9576|0.7116|1.09|0.9104|0.9401|0.9163|0.9545|0.9128|0.9612|0.9385|0.9401|3.49|0.6339|593407|273814296 3352|QUIK|QUIK|74837P405|US74837P4054|QuickLogic Corp|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN6-7|TXN10-6|TXN5-1|TXN6-7|13910000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101020|10102010|Technology|Technology|Technology Hardware and Equipment|Semiconductors|N||N||||||Y|0|Y||||||11.41|11.12|0.0|11.38|11.19|11.1|11.24|11.045|0.0|0.0|11.0|11.28|11.25|11.23|11.4|0.0|0.0|11.24|11.3|11.25|10.96|11.46|8.63|13.6|10.98|11.44|11.1|11.3|11.19|11.33|11.19|11.26|13.63|4.92|104355|9108628 69046|QULL|QULL|90278V503|US90278V5030|UBS AG|ETRACS 2x Leveraged MSCI US Quality Factor TR ETN|Operating company|ETN|N|N|P|Y|Y|Y|Y|Y||||||||UBS|IMC Chicago, LLC, DBA IMC Financial Markets|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-8|TXN2-5|TXN3-8|TXN1-1|TXN4-7|1000000|||NotApplicable|||||2021-02-05|2051-02-09|QULL.NV|QULL.SO|QULL.EU|QULL.TC|QULL.IV| | | | | | | | | |2x|ETRACS 2x Leveraged MSCI US Quality Factor TR ETN is an exchange-traded note issued in the USA. It provides 2 times leveraged long exposure to the compounded quarterly performance of the total return version of the MSCI USA Sector Neutral Quality GR USD. The underlying index aims to capture the performance of large- and mid-cap U.S. equities among the existing constituent securities of the MSCI USA Index that exhibit stronger quality characteristics relative to their peers within the same sector. The MSCI USA Index is designed to measure the performance of the large and mid-cap segments of the U.S. equity market. The Securities are senior unsecured debt securites.|N|0|N|N|416A||CH|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|32.1683|0.0|32.1683|0.0|0.0|0.0|0.0|32.1|32.21|31.85|32.24|0.0|0.0|32.1|32.21|32.4899|21.74|25|27879 43496|QURE|QURE|N90064101|NL0010696654|UniQure NV|ORD EUR.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN6-3|TXN14-8|TXN6-6|TXN6-6|47810000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||NLD||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||7.1|7.095|0.0|7.03|7.1|7.095|7.09|7.1|0.0|0.0|7.1|7.1|7.1|7.12|7.07|7.1|7.085|7.095|7.06|7.1|7.06|7.11|5.45|8.75|7.04|7.14|7.06|7.12|7.08|7.12|7.09|7.1|26.3|5.49|709334|203891976 49654|QUS|QUS|78468R812|US78468R8126|SPDR Series Trust|SPDR MSCI USA StrategicFactors ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-7|TXN3-5|TXN9-4|TXN1-2|TXN3-7|8150000|||BiAnnually|||||2015-04-16||QUS.NV|QUS.SO|QUS.EU|QUS.TC|QUS.IV| | | | | | | | | |1x|The SPDR MSCI USA Quality Mix ETF (QUS) seeks to provide investment results that, before fees and expenses, correspond generally to the total return performance of the MSCI USA Quality Mix A-Series Index.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||0.0|127.94|0.0|0.0|0.0|128.0|128.4099|0.0|0.0|0.0|0.0|0.0|128.17|127.91|0.0|127.24|0.0|128.3684|0.0|128.3684|128.08|128.65|0.0|0.0|128.33|128.37|121.9|134.53|0.0|0.0|128.33|128.38|128.68|108.46|12236|6685846 76477|QUVU|QUVU|41653L859|US41653L8596|Hartford Quality Value ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-4|TXN1-4|TXN6-8|TXN1-5|TXN3-8|7460000|||NotApplicable|||||||||||| | | | | | | | | 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Vehicles|N||N||||||N|0|Y||||||38.52|38.54|0.0|0.0|38.51|38.53|38.53|38.53|0.0|0.0|38.48|38.48|38.51|38.53|0.0|38.53|0.0|38.54|0.0|38.51|38.14|38.93|29.78|47.77|38.48|38.59|38.43|38.63|38.43|38.63|38.5|38.54|38.6873|30.93|26684|6338947 65145|QVCC|QVCC|747262400|US7472624003|QVC, Inc.|6.250% Senior Secured Notes due 2068|Operating company|G|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN1-1|TXN6-8|TXN2-6|TXN2-3|20010000|||Quarterly|||||2019-11-29|2068-11-26|||||| | | | | | | | | |||N|0|N|N|146G||US|||||||||||N||N||||||N|0|Y||Y|2|||11.75|11.0|0.0|0.0|0.0|10.95|11.05|11.02|0.0|0.0|11.6|11.2|11.06|0.0|0.0|11.06|0.0|11.06|0.0|11.06|11.06|11.2|8.44|13.54|10.84|11.42|8.44|13.54|0.0|0.0|11.06|11.2|17.35|6.8199|55684|13675741 61775|QVCD|QVCD|747262301|US7472623013|QVC, Inc.|6.375% Senior Secured Notes due 2067|Operating company|G|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN4-8|TXN7-8|TXN4-7|TXN3-2|9000000|||Quarterly|||||2018-09-18|2067-09-13|||||| | | | | | | | | |||N|0|N|N|146G||US|||||||||||N||N||||||N|0|Y||Y|2|||11.05|10.75|0.0|10.071562|11.04|11.0|10.9392|11.005|0.0|0.0|10.8|11.0|10.79|11.25|0.0|10.9392|0.0|10.9392|0.0|10.9392|10.81|11.21|0.0|0.0|10.6|11.43|0.0|0.0|0.0|0.0|10.81|11.21|16.84|7.0|25192|7492826 71009|QVML|QVML|46138G581|US46138G5817|Invesco Exchange-Traded Fund Trust II|Invesco S&P 500 QVM Multi-factor ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Invesco|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-5|TXN1-7|TXN1-5|TXN2-4|TXN4-7|32200001|||Quarterly|||||2021-06-30||QVML.NV|QVML.SO|QVML.EU|QVML.TC| | | | | | | | | | |1x|he Invesco S&P 500 QVM Multi-factor ETF seeks to track the investment results (before fees and expenses) of the S&P 500 Quality, Value & Momentum Top 90% Multi-Factor Index (the Underlying Index).|N|0|N|N|406C|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|26.65|25.49806|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|26.8|0.0|26.8|0.0|0.0|26.7|26.74|26.75|26.8|26.75|26.8|0.0|0.0|26.75|26.8|26.9193|22.7723|539|95452 71010|QVMM|QVMM|46138G573|US46138G5734|Invesco Exchange-Traded Fund Trust II|Invesco S&P MidCap 400 QVM Multi-factor ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Invesco|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-5|TXN2-2|TXN6-8|TXN2-1|TXN4-7|10960001|||Quarterly|||||2021-06-30||QVMM.NV|QVMM.SO|QVMM.EU|QVMM.TC| | | | | | | | | | |1x|The Invesco S&P MidCap 400 QVM Multi-factor ETF seeks to track the investment results (before fees and expenses) of the S&P MidCap 400 Quality, Value & Momentum Top 90% Multi-Factor Index (the Underlying Index).|N|0|N|N|406C|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||24.36|0.0|0.0|0.0|24.36|0.0|24.3601|24.39|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|24.4392|24.36|24.4392|0.0|0.0|24.38|24.43|24.4|24.46|24.4|24.46|0.0|0.0|24.4|24.46|25.41|21.4966|1038|545028 71011|QVMS|QVMS|46138G565|US46138G5650|Invesco Exchange-Traded Fund Trust II|Invesco S&P SmallCap 600 QVM Multi-factor ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Invesco|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-4|TXN3-3|TXN3-8|TXN4-4|TXN4-7|8720001|||Quarterly|||||2021-06-30||QVMS.NV|QVMS.SO|QVMS.EU|QVMS.TC| | | | | | | | | | |1x|The Invesco S&P SmallCap 600 QVM Multi-factor ETF seeks to track the investment results (before fees and expenses) of the S&P SmallCap 600 Quality, Value & Momentum Top 90% Multi-Factor Index (the Underlying Index).|N|0|N|N|406C|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|22.4099|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|23.3475|22.46|23.3475|0.0|0.0|0.0|0.0|23.31|23.38|23.31|23.38|0.0|0.0|23.31|23.38|24.6682|20.365|166|122458 74992|QVOY|QVOY|90386K639|US90386K6394|Q3 All-Season Active Rotation ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-5|TXN4-4|TXN5-8|TXN3-8|TXN2-8|2590000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|27.7129|0.0|0.0|0.0|0.0|27.7299|0.0|0.0|0.0|27.62|0.0|0.0|0.0|0.0|0.0|27.66|27.7129|0.0|27.7129|0.0|0.0|27.66|27.69|27.55|27.87|27.4|27.96|0.0|0.0|27.68|27.72|28.9099|23.7|12704|3167892 44377|QWLD|QWLD|78463X418|US78463X4189|SPDR Index Shares Funds|SPDR MSCI World StrategicFactors ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|Jane Street Capital, 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ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN5-2|TXN12-1|TXN5-4|TXN6-2|3980000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||0.0|0.0|0.0|0.0|27.69|0.0|27.7188|0.0|0.0|0.0|0.0|0.0|27.77|0.0|0.0|0.0|0.0|27.69|0.0|27.77|0.0|0.0|0.0|0.0|27.62|27.82|27.62|0.0|27.62|0.0|27.68|27.76|28.62|21.77|22397|5705171 8828|R|R|783549108|US7835491082|Ryder System, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-7|TXN4-4|TXN1-8|TXN4-1|TXN3-3|44320000|||Quarterly|||||1960-09-19||||||| | | | | | | | | |||N|0|Y|Y|208A|USA|US|||50|5020|502060|50206050|Industrials|Industrial Goods and Services|Industrial Transportation|Commercial Vehicle-Equipment Leasing|N||N||||||Y|0|Y||Y|1|||108.64|108.6|0.0|107.64|108.42|108.59|108.63|108.63|0.0|0.0|108.495|107.92|108.65|107.92|107.8|108.61|108.59|108.65|107.95|108.61|108.6|108.64|101.58|115.55|107.93|109.26|108.48|108.76|108.6|108.76|108.6|108.64|109.09|76.15|410492|75013120 54593|RA|RA|112830104|US1128301041|Brookfield Real Assets Income Fund Inc.|Shares of Common Stock|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN1-4|TXN9-8|TXN3-1|TXN4-7|51710000|||Monthly|||||2016-12-05||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||12.7|12.635|0.0|0.0|12.64|12.635|12.635|12.6|0.0|0.0|12.63|12.64|12.635|12.63|12.62|12.62|12.61|12.635|0.0|12.62|12.62|12.64|9.79|15.47|12.61|12.64|12.6|12.66|12.62|12.65|12.61|12.64|18.23|11.885|267002|73598011 60876|RAAX|RAAX|92189F130|US92189F1306|VanEck ETF Trust|VanEck Inflation Allocation ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||VanEck Vectors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-5|TXN2-1|TXN3-6|TXN4-8|TXN4-4|4300000|||Yearly|||||2018-04-10||RAAX.NV|RAAX.SO|RAAX.EU|RAAX.TC|RAAX.IV| | | | | | | | | ||VanEck Vectors Real Asset Allocation ETF (the Fund) seeks long-term total return. In pursuing long-term total return, the Fund seeks to maximize real returns while seeking to reduce downside risk during sustained market declines by allocating primarily to exchange-traded products that provides exposure to real assets, which include commodities, real estate, natural resources, and infrastructure. The Fund seeks to reduce downside risk by using a rules based approach to determine when to allocate a portion or all of the Funds assets to cash and cash equivalents.|N|0|N|N|406C|USA|US|EQUITY|ACTIVE|||||||||N||N||||||Y|0|Y||Y|2|||25.92|25.93|0.0|0.0|0.0|26.03|26.01|0.0|0.0|0.0|0.0|0.0|25.91|26.04|0.0|0.0|0.0|26.01|0.0|26.01|0.0|0.0|0.0|0.0|25.9|26.02|0.0|0.0|0.0|0.0|25.9|26.02|26.509|23.77|15691|7967281 51751|RACE|RACE|N3167Y103|NL0011585146|Ferrari N.V.|Common Shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|6|M|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN2-1|TXN2-6|TXN3-3|TXN2-7|180680000|||Yearly|||||2016-01-04||||||| | | | | | | | | |||N|0|N|Y|100A|ITA|NL|||40|4010|401010|40101020|Consumer Discretionary|Automobiles and Parts|Automobiles and Parts|Automobiles|N||N||||||Y|0|Y||Y|2|||353.81|353.81|0.0|353.68|353.93|353.88|353.4|353.44|0.0|0.0|353.89|353.77|353.41|353.81|353.43|353.64|354.48|353.4|354.15|353.64|353.4|353.67|274.68|434.67|353.07|354.23|353.23|353.9|353.13|353.67|353.4|353.67|369.91|209.88|395563|78466523 73830|RACY|RACY|75944B106|US75944B1061|Relativity Acquisition Corp|CL A COM USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN6-7|TXN13-6|TXN6-3|TXN6-1|15030000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||X|P|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|35.22|9.76|0|660908 73466|RACYU|RACYU|75944B205|US75944B2051|Relativity Acquisition Corp|UNITS||R|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN6-3|TXN13-3|TXN5-5|TXN6-8|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||X|P|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|28.3|9.45|0|70116 73831|RACYW|RACYW|75944B114|US75944B1145|Relativity Acquisition Corp|WT EXP 121529||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-7|TXN5-7|TXN12-2|TXN5-7|TXN6-1|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||X|P|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.12|0.02|0|2164541 65257|RAFE|RAFE|72201T342|US72201T3427|PIMCO Equity Series|PIMCO RAFI ESG U.S. ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||PIMCO|RBC Capital Markets, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-5|TXN1-7|TXN4-8|TXN2-4|TXN4-2|1350000|||Quarterly|||||2019-12-19||RAFE.NV|RAFE.SO|RAFE.EU|RAFE.TC|RAFE.IV| | | | | | | | | |1x|The Fund seeks to provide total return that closely corresponds, before fees and expenses, to the total return of the RAFI ESG US Index.The Underlying Index is constructed by RAFI Indices, LLC (the Index Provider) using a rules-based approach within publicly traded U.S. equities to create an integrated ESG strategy which overweights companies that rate well across various ESG (Environmental, Social, and Governance) themes and excludes companies with a major involvement in industries such as tobacco, gaming, weapons and fossil fuels. The strategy supplements traditional ESG metrics with metrics linked to long-term value creation, specifically financial discipline and diversity, for improved return potential.The Underlying Index applies the Fundamental Index approach, a smart beta strategy built on the principles of contrarian indexing and disciplined rebalancing. The universe for the Underlying Index construction process starts with all common equity securities traded on U.S. primary exchanges, which meet and pass minimum liquidity and investability (capacity) requirements, issued by companies that are assigned to the United States by the Index Provider. Eligible securities are then determined by selecting companies based on fundamental weight, calculated using four accounting measures from company financial statements: (i) de-levered sales, calculated as company sales averaged over the past five years multiplied by the ratio of average equity to average assets; (ii) cash flow, taken as the company operating cash flow averaged over the past five years; (iii) dividend plus buybacks, calculated using the average dividends paid and share buybacks over the past five years; and (iv) book value, taken as the most recent company book value. The Underlying Index is composed of securities selected from companies in the large/mid company universe, which is the universe of companies that rank in the top 86% of cumulative fundamental weight.The Underlying Index uses five signals to determine a companys overall ESG score: environment, social, governance, diversity and financial discipline. The environment, social, governance and diversity scores are determined using data provided by Vigeo Eiris, a third-party ESG data and ratings provider (the ESG Data Provider). The ESG Data Provider assesses hundreds of different factors within a framework of sustainability criteria based on international standards in determining the environment, social and governance scores. The ESG Data Provider also considers numerous different metrics relating to gender diversity in determining the diversity scores. The financial discipline score is determined by the Index Provider and is intended to identify companies with high profitability, low investment, low issuance and low accruals. To construct the Underlying Index, companies are sorted in descending order by their environment, social, governance, diversity and financial discipline scores, respectively. Companies in the bottom 10% by fundamental weight, for each respective signal, are excluded. In addition, companies classified by the ESG Data Provider as having major involvement in the following areas are excluded: tobacco, gambling, weapons - civilian firearms and military, fossil fuels, coal, tar sands and oil shale. Selected companies are weighted by their fundamental weight, adjusted by the companies respective overall ESG scores. As of September 30, 2019, the Underlying Index consisted of 261 Component Securities. The Underlying Index is reconstituted annually on the last business day of March and rebalanced on a quarterly staggered basis on the last business day of March, June, September and third Friday of December. For example, the Underlying Index will be divided into four identical tranches. At the first quarterly rebalance, the first tranche (i.e., 25% of the Underlying Index) is rebalanced, but the remaining three tranches (i.e., the other 75% of the Underlying Index) are not rebalanced and will continue to drift until the next quarterly rebalance. At the next quarterly rebalance, the second tranche is rebalanced while the other three tranches (including the tranche that was rebalanced at the prior quarter-end) are not rebalanced. This staggered rebalancing is intended to diversify risk and decrease market impact of trading.|N|0|N|N|406A|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|31.08|0.0|0.0|0.0|31.03|31.0301|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|31.1387|0.0|31.1387|24.75|37.29|0.0|0.0|31.06|31.2|24.75|37.29|0.0|0.0|31.06|31.2|31.55|27.2399|3632|1073506 3366|RAIL|RAIL|357023100|US3570231007|FreightCar America Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN5-6|TXN14-5|TXN5-4|TXN6-6|17900000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502060|50206025|Industrials|Industrial Goods and Services|Industrial Transportation|Railroad Equipment|N||N||||||Y|0|Y||||||0.0|2.28|0.0|0.0|2.29|2.3|2.3|0.0|0.0|0.0|2.29|0.0|2.3|2.32|0.0|0.0|0.0|2.3|0.0|2.3|2.19|2.44|1.8|2.86|2.22|2.43|1.85|2.78|0.0|0.0|2.3|2.33|3.943|2.25|28753|7226953 70358|RAIN|RAIN|75082Q105|US75082Q1058|Rain Oncology Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN5-2|TXN14-6|TXN5-4|TXN5-5|36380000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||1.14|1.16|0.0|1.12|1.14|1.16|1.14|1.14|0.0|0.0|1.14|1.14|1.16|1.14|1.14|1.15|1.14|1.17|1.13|1.16|1.1|1.2|1.14|1.38|1.14|1.2|1.12|1.32|1.11|1.19|1.14|1.16|14.48|0.82|292300|138631579 72|RAMP|RAMP|53815P108|US53815P1084|LiveRamp Holdings, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|T|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-7|TXN4-3|TXN6-7|TXN4-8|TXN4-5|65510000|||NotApplicable|||||2018-10-02||||||| | | | | | | | | |||N|0|N|Y|104C|USA|US|||10|1010|101010|10101020|Technology|Technology|Software and Computer Services|Consumer Digital Services |N||N||||||Y|0|Y||Y|2|||33.84|33.78|0.0|33.45|33.79|33.78|33.79|33.79|0.0|0.0|33.75|33.7|33.81|33.72|33.7|33.81|33.66|33.81|33.49|33.81|33.79|33.81|26.0|41.27|33.72|33.85|33.73|33.85|33.79|33.86|33.79|33.81|36.76|20.255|429994|111901376 3368|RAND|RAND|752185207|US7521852076|Rand Capital Corp|COM USD.1||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN5-6|TXN14-8|TXN6-7|TXN5-6|2580000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||||||12.99|0.0|0.0|0.0|0.0|0.0|12.999|0.0|0.0|0.0|0.0|0.0|12.77|0.0|0.0|0.0|0.0|12.999|0.0|12.999|0.0|0.0|0.0|0.0|12.0|13.86|0.0|0.0|0.0|0.0|12.77|13.0|14.93|12.5|1891|147324 71294|RANI|RANI|753018100|US7530181004|Rani Therapeutics Holdings Inc|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN5-4|TXN11-2|TXN5-5|TXN5-2|25880000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||2.51|2.41|0.0|0.0|2.5|2.5|2.505|2.42|0.0|0.0|2.42|2.44|2.53|2.44|2.43|2.44|0.0|2.505|2.49|2.53|2.44|2.59|1.93|2.99|2.45|2.58|2.02|2.97|2.44|2.57|2.48|2.53|8.45|1.82|199824|11782840 64924|RAPT|RAPT|75382E109|US75382E1091|RAPT Therapeutics Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN5-1|TXN11-2|TXN5-2|TXN5-8|34400000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||16.59|16.8|0.0|16.65|16.5|16.59|16.57|16.565|0.0|0.0|16.5|16.73|16.61|16.59|16.59|16.48|16.75|16.57|16.86|16.61|16.31|16.78|12.71|20.23|16.32|16.75|16.47|16.73|16.55|16.75|16.55|16.61|31.4499|10.47|395432|87678344 43478|RARE|RARE|90400D108|US90400D1081|Ultragenyx Pharmaceutical Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN6-5|TXN10-4|TXN5-1|TXN5-7|82110000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||41.21|41.24|0.0|41.19|41.22|41.195|41.18|41.19|0.0|0.0|41.21|41.25|41.22|41.2|41.18|41.205|40.78|41.21|40.81|41.22|40.82|41.54|38.39|43.54|40.87|41.56|41.08|41.29|41.16|0.0|41.16|41.23|54.98|31.52|622836|162555520 74240|RATE|RATE|37960A784|US37960A7845|Global X Funds|Global X Interest Rate Hedge ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Global X|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN3-1|TXN5-8|TXN1-4|TXN3-3|100000|||Monthly|||||2022-07-06||IRHG.NV|IRHG.SO|IRHG.EU|IRHG.TC| | | | | | | | | | ||The Global X Interest Rate Hedge ETF (the Fund) seeks to provide a hedge against sharp increases in long-term U.S. interest rates and is expected to benefit during periods of market stress when interest rate volatility is elevated.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|26.8|26.2603|29.1771|0.0|0.0|0.0|0.0|26.66|0.0|0.0|0.0|0.0|26.7563|0.0|26.7563|0.0|0.0|0.0|0.0|26.74|26.79|0.0|0.0|0.0|0.0|26.75|26.85|31.8781|22.62|676|163445 3326|RAVE|RAVE|754198109|US7541981095|Rave Restaurant Group Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN5-2|TXN10-5|TXN5-3|TXN6-4|14590000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4050|405010|40501040|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Restaurants and Bars|N||N||||||Y|0|Y||||||2.28|2.24|0.0|0.0|2.25|2.25|2.29|2.26|0.0|0.0|2.24|2.28|2.29|0.0|0.0|0.0|2.28|2.29|0.0|2.29|2.17|2.37|0.0|0.0|2.18|2.36|1.73|2.73|0.0|0.0|2.25|2.29|2.64|1.31|26471|11053665 40837|RAVI|RAVI|33939L886|US33939L8862|FlexShares Trust|FlexShares Ultra-Short Income Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Northern Trust Investments|Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-3|TXN3-2|TXN9-8|TXN3-7|TXN4-4|14780001|||Monthly|||||2012-10-11||RAVI.NV|RAVI.SO|RAVI.EU|RAVI.TC|RAVI.IV| | | | | | | | | ||FlexShares Ready Access Variable Income is an actively managed ETF that attempts to help short duration fixed income investors try to maintain liquidity and reach for higher potential returns, without undue volatility. 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The portfolio consists of investment grade debt securities from around the world, including U.S. and non-U.S. public and private sector securities.|N|0|N|N|416A|USA|US|FIXED_INCOME|ACTIVE|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||0.0|74.98|0.0|0.0|0.0|74.98|74.9813|74.98|0.0|0.0|74.94|0.0|74.98|0.0|0.0|74.98|0.0|74.985|0.0|74.985|74.93|74.99|0.0|0.0|74.98|74.99|0.0|0.0|0.0|0.0|74.98|74.99|75.29|74.22|93295|13259418 74989|RAYA|RAYA|G3109F103|KYG3109F1037|Erayak Power Solution Group Inc|CL A COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-1|TXN5-7|TXN11-7|TXN5-1|TXN5-2|11450000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||50|5020|502020|50202010|Industrials|Industrial Goods and Services|Electronic and Electrical Equipment|Electrical Components |N||N||||||N|0|Y|D|||||0.0|0.75|0.0|0.0|0.0|0.7022|0.738|0.0|0.0|0.0|0.684|0.684|0.686|0.0|0.0|0.0|0.0|0.74|0.0|0.686|0.0|0.0|0.0|0.0|0.684|0.787|0.0|0.0|0.0|0.0|0.686|0.74|3.8864|0.6006|7225|5191052 68625|RAYC|RAYC|00774Q197|US00774Q1976|The Advisors Inner Circle Fund III|Rayliant Quantamental China Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||SEI Investments|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-4|TXN3-8|TXN8-8|TXN2-2|TXN1-6|5700000|||Yearly|||||2020-12-31||RAYC.NV|RAYC.SO|RAYC.EU|RAYC.TC| | | | | | | | | | |1x|Rayliants strategy represents the next evolution of China ETFs: China 2.0. 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NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN5-7|TXN14-1|TXN6-2|TXN5-1|19000000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||||||16.46|16.585|0.0|0.0|16.6|16.46|16.495|16.49|0.0|0.0|16.62|16.62|16.52|16.49|16.62|0.0|0.0|16.495|0.0|16.52|16.21|16.88|0.0|0.0|16.24|16.83|0.0|0.0|16.39|16.65|16.46|16.53|22.64|8.62|57605|9186912 3750|RBBN|RBBN|762544104|US7625441040|Ribbon Communications Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN5-4|TXN14-3|TXN5-5|TXN6-3|171730000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||15|1510|151010|15101010|Telecommunications|Telecommunications|Telecommunications Equipment|Telecommunications Equipment|N||N||||||Y|0|Y||||||2.16|2.17|0.0|0.0|2.17|2.165|2.165|2.16|0.0|0.0|2.17|2.17|2.17|2.16|2.14|2.17|2.14|2.16|2.14|2.17|2.15|2.17|1.66|2.63|2.15|2.17|2.05|2.19|2.15|2.17|2.15|2.17|4.84|1.78|198173|143699516 3479|RBC|RBC|75524B104|US75524B1044|RBC Bearings Incorporated|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|Q|Citadel Securities 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LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN2-1|TXN1-5|TXN1-5|TXN2-2|4600000|||Quarterly|||||2022-09-26|2027-09-23|||||| | | | | | | | | |||N|0|N|N|180A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|122.96|0.0|0.0|107.56|122.86|123.4358|0.0|0.0|0.0|123.09|0.0|123.2|104.82|0.0|123.4358|0.0|123.4358|0.0|123.4358|122.83|123.48|0.0|0.0|120.25|126.06|123.26|124.15|0.0|0.0|122.83|133.33|123.54|98.75|36587|4534688 62816|RBKB|RBKB|762093102|US7620931029|Rhinebeck Bancorp Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN5-4|TXN11-2|TXN6-3|TXN5-6|11070000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||||||6.48|0.0|0.0|0.0|0.0|6.5|6.3|6.48|0.0|0.0|6.5|0.0|6.49|0.0|0.0|0.0|0.0|6.3|0.0|6.3|0.0|0.0|0.0|0.0|6.13|6.76|0.0|0.0|0.0|0.0|6.28|6.5|9.7266|6.07|14040|1103691 29026|RBLD|RBLD|33736M103|US33736M1036|First Trust Exchange-Traded Fund II|First Trust Alerian US NextGen Infrastructure ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||First Trust|RBC Capital Markets, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN3-7|TXN5-8|TXN4-7|TXN1-4|150002|||Quarterly|||||2008-10-15||FLM.NV|FLM.SO|FLM.EU|FLM.TC|FLM.IV| | | | | | | | | |1x|The First Trust ISE Global Engineering and Construction Index Fund is an exchange-traded fund. The investment objective of the Fund is to seek investment results that correspond generally to the price and yield, before the Funds fees and expenses, of the ISE Global Engineering and Construction Index. . The index specifically targets companies that are engaged in large civil and capital projects such as infrastructure, utilities, transportation, telecommunications, commercial, residential, and commerce facilities and whose roles are within the engineering, designing, planning, consulting, project managing, and/or constructing of these projects.To be included in the index, a company must receive at least 70% of revenues from these types of services and projects based on the reportable segment/division from its most recent annual report. The companies must meet market capitalization and weighting concentration requirements for inclusion in the index. The index uses a linear-based capitalization-weighted methodology for the group of companies.The resulting linear weight distribution prevents a few large component stocks from dominating the index while allowing smaller companies to adequately influence index performance. |N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|54.936|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|54.985|0.0|54.985|0.0|0.0|0.0|0.0|54.84|55.09|54.86|55.1|54.86|55.1|54.84|55.09|54.985|47.25|138|85106 69591|RBLX|RBLX|771049103|US7710491033|Roblox Corporation|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|P|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-6|TXN4-2|TXN6-4|TXN3-7|TXN2-6|573650000|||NotApplicable|||||2021-03-10||||||| | | | | | | | | |||N|0|Y|Y|144B|USA|US|||40|4020|402030|40203040|Consumer Discretionary|Consumer Products and Services|Leisure Goods|Electronic Entertainment|N||N||||||Y|0|Y||Y|1|||41.21|41.22|0.0|41.22|41.23|41.22|41.22|41.21|0.0|0.0|41.22|41.215|41.22|41.21|41.24|41.23|41.25|41.22|41.25|41.23|41.21|41.22|38.7|43.79|41.2|41.23|41.14|41.3|41.16|41.3|41.21|41.22|47.65|24.88|7824741|2529701871 67437|RBOT|RBOT|92561V109|US92561V1098|Vicarious Surgical Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|T|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN5-8|TXN3-5|TXN1-5|TXN4-1|TXN4-3|155270000|||NotApplicable|||||2020-09-04||||||| | | | | | | | | |||N|0|N|Y|408A|USA|KY|||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||Y|2|Y||Y|2|||0.2801|0.2833|0.0|0.0|0.29|0.28|0.2801|0.2799|0.0|0.0|0.2793|0.2793|0.2833|0.0|0.3044|0.2801|0.0|0.28|0.3034|0.2801|0.2792|0.2801|0.2184|0.3309|0.28|0.2857|0.2184|0.3309|0.271|0.285|0.28|0.2857|3.555|0.2|424988|135995999 67438|RBOT WS|RBOT.WS|92561V117|US92561V1171|Vicarious Surgical Inc.|Warrants, each whole warrant exercisable for one share of Class A Common Stock at an exercise price of $11.50 per share|Operating company|C|N|N|N|Y|Y|Y|Y|Y|6|T|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN1-8|TXN1-8|TXN8-8|TXN2-2|TXN2-4|174850000|||NotApplicable|||||2020-09-04|2026-09-17|||||| | | | | | | | | |||N|0|N|N|408A|USA|KY|||||||||||N||N||||||N|2|Y|C|N||||0.0|0.03|0.0|0.0|0.0|0.03|0.03|0.03|0.0|0.0|0.03|0.03|0.03|0.0|0.0|0.03|0.0|0.03|0.0|0.03|0.0232|0.03|0.0|0.0|0.03|0.045|0.0|0.0|0.0|0.0|0.0232|0.03|0.4774|0.015|101797|8221254 72782|RBT|RBT|78112J208|US78112J2087|Rubicon Technologies, Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|Q|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN1-3|TXN2-8|TXN3-3|TXN3-4|37420000|||NotApplicable|||||2022-08-16||||||| | | | | | | | | |||N|0|N|Y|180B|USA|US|||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|2|Y|C|Y|2|||2.1|2.1|0.0|2.21|2.1|2.09|2.1036|2.09|0.0|0.0|2.115|2.12|2.1|2.3|2.28|2.11|0.0|2.1036|2.29|2.11|2.1|2.13|1.61|2.62|2.05|2.18|2.07|2.15|2.06|2.16|2.1|2.13|3.21|0.2513|162303|399570510 41454|RC|RC|75574U101|US75574U1016|Ready Capital Corporation|Common Stock|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|6|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-3|TXN4-8|TXN8-1|TXN2-5|TXN4-2|172130000|||Quarterly|||||2013-02-08||||||| | | | | | | | | |||N|0|N|Y|400A|USA|US|||30|3020|302030|30203020|Financials|Financial Services |Mortgage Real Estate Investment Trusts|Mortgage REITs: Residential|N||N||||||Y|0|Y||Y|2|||10.6|10.6|0.0|10.55|10.59|10.59|10.58|10.595|0.0|0.0|10.59|10.59|10.585|10.6|10.57|10.59|10.605|10.58|10.59|10.59|10.58|10.59|10.55|10.62|10.56|10.59|10.56|10.62|10.55|10.63|10.58|10.59|13.63|9.19|1040344|304201010 69831|RC PRC|RCpC|75574U705|US75574U7054|Ready Capital Corporation|6.25% Series C Cumulative Convertible Preferred Stock|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN3-2|TXN1-5|TXN4-1|TXN2-6|340000|||Quarterly|||||2021-03-22||||||| | | | | | | | | |||N|0|N|N|400A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|18.11|18.0201|0.0|0.0|0.0|18.4|0.0|0.0|0.0|0.0|18.0201|0.0|18.0201|0.0|18.0201|18.03|18.29|0.0|0.0|17.19|18.3|0.0|0.0|0.0|0.0|18.03|18.29|20.7699|16.15|621|144248 70898|RC PRE|RCpE|75574U887|US75574U8870|Ready Capital Corporation|6.50% Series E Cumulative Redeemable Preferred Stock|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN3-2|TXN1-5|TXN2-3|TXN1-5|4600000|||Quarterly|||||2021-06-17||||||| | | | | | | | | |||N|0|N|N|400A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|18.58|0.0|0.0|0.0|18.6|18.6201|18.58|0.0|0.0|18.75|18.01|18.62|0.0|0.0|18.6|18.77|18.55|0.0|18.6|18.55|18.6|18.77|18.9|18.13|19.0|0.0|0.0|0.0|0.0|18.56|18.6|20.75|17.11|12690|2794019 73419|RCAC|RCAC|76137R106|US76137R1068|Revelstone Capital Acquisition Corp|CL A COM USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN6-3|TXN10-5|TXN6-3|TXN5-5|7650000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.03|11.39|0.0|0.0|0.0|0.0|10.7|10.74|11.25|9.98|0|5951972 72977|RCACU|RCACU|76137R205|US76137R2058|Revelstone Capital Acquisition Corp|UNITS||R|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN6-6|TXN13-3|TXN6-6|TXN6-2|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.05|12.3|0.0|0.0|0.0|0.0|10.05|12.3|10.82|9.85|0|129204 73420|RCACW|RCACW|76137R114|US76137R1142|Revelstone Capital Acquisition Corp|WT EXP 091526||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-2|TXN6-4|TXN14-4|TXN6-2|TXN5-6|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y|C|||||0.0316|0.0316|0.0|0.0|0.0316|0.0338|0.03|0.0316|0.0|0.0|0.0316|0.0|0.034|0.0316|0.0|0.0316|0.0|0.034|0.0316|0.034|0.0|0.0|0.0|0.0|0.0|0.13|0.0|0.0|0.0|0.0|0.0271|0.0349|0.4692|0.0255|42747|2840902 64761|RCAT|RCAT|75644T100|US75644T1007|Red Cat Holdings Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-7|TXN5-1|TXN14-6|TXN5-7|TXN5-1|55640000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4020|402030|40203050|Consumer Discretionary|Consumer Products and Services|Leisure Goods|Recreational Products|N||N||||||Y|0|Y||||||0.886|0.8855|0.0|0.0|0.0|0.886|0.893999|0.9|0.0|0.0|0.8904|0.8904|0.8897|0.0|0.0|0.0|0.0|0.8904|0.8904|0.8904|0.8685|0.922|0.7072|1.1|0.8707|0.9165|0.8605|0.9222|0.8616|0.9265|0.8855|0.8998|1.54|0.7676|60401|57050175 64161|RCB|RCB|75574U408|US75574U4085|Ready Capital Corporation|6.20% Senior Notes due 2026|Real estate investment trust|G|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN3-7|TXN4-8|TXN3-2|TXN3-5|4190000|||Quarterly|||||2019-07-25|2026-07-30|||||| | | | | | | | | |||N|0|N|N|400A||US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|23.635|23.31|0.0|0.0|0.0|0.0|0.0|0.0|0.0|23.76|0.0|23.76|0.0|23.76|23.78|23.8|23.7|23.8|23.25|24.26|0.0|0.0|0.0|0.0|23.78|23.8|23.82|22.6|7109|879586 69219|RCC|RCC|75574U606|US75574U6064|Ready Capital Corporation|5.75% Senior Notes due 2026|Real estate investment trust|G|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN2-5|TXN5-8|TXN4-4|TXN4-3|8250000|||Quarterly|||||2021-02-16|2026-02-15|||||| | | | | | | | | |||N|0|N|N|400A||US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|23.7|23.69|23.625|0.0|0.0|23.7|0.0|23.77|0.0|0.0|23.77|23.7|23.77|0.0|23.77|23.68|23.77|23.7|23.77|23.23|24.32|0.0|0.0|0.0|0.0|23.68|23.77|23.85|21.97|21223|3224259 40497|RCEL|RCEL|05380C102|US05380C1027|AVITA Medical Inc|COM||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN6-5|TXN10-5|TXN5-5|TXN6-1|25550000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||11.56|11.55|0.0|11.62|11.58|11.58|11.62|11.64|0.0|0.0|11.49|11.49|11.63|11.59|11.58|11.62|0.0|11.63|11.58|11.63|11.46|11.77|8.76|14.18|11.47|11.74|11.54|11.67|11.6|11.68|11.6|11.63|21.704|6.29|143865|46559910 73089|RCFA|RCFA|G7330C102|KYG7330C1024|RCF Acquisition Corp.|Class A Ordinary Shares|Special purpose acquisition company|A|N|N|N|Y|Y|Y|Y|Y|6|P|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN2-5|TXN6-8|TXN2-8|TXN2-6|18760000|||NotApplicable|||||2021-12-31||||||| | | | | | | | | |||N|0|N|N|400A|USA|KY|||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||10.97|10.96|0.0|0.0|10.96|0.0|11.01|10.97|0.0|0.0|0.0|0.0|0.0|10.96|0.0|10.95|0.0|10.95|0.0|10.95|10.97|11.02|10.97|11.05|10.43|11.68|0.0|0.0|0.0|0.0|10.97|11.02|11.89|10.21|14650|14769556 73090|RCFA WS|RCFA.WS|G7330C110|KYG7330C1107|RCF Acquisition Corp.|Warrants, each whole warrant exercisable for one Class A ordinary share at an exercise price of $11.50 per share|Special purpose acquisition company|C|N|N|N|Y|Y|Y|Y|Y|6|P|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN8-8|TXN2-7|TXN4-8|TXN2-2|TXN1-1|0|||NotApplicable|||||2021-12-31||||||| | | | | | | | | |||N|0|N|N|400A|USA|KY|||||||||||N||N||||||N|0|Y||N||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0596|0.07|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0596|0.07|0.2|0.0428|0|3427902 72306|RCFA U|RCFA.U|G7330C128|KYG7330C1289|RCF Acquisition Corp.|Units, each consisting of one Class A ordinary share and one-half of one redeemable warrant|Special purpose acquisition company|R|N|N|N|Y|Y|Y|Y|Y|6|P|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN3-8|TXN6-8|TXN1-5|TXN3-7|0|||NotApplicable|||||2021-11-10||||||| | | | | | | | | |||N|0|N|N|400A|USA|KY|||||||||||N||N||||||N|0|Y||Y|2|||0.0|10.19|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|11.1|11.3|0.0|10.9|0.0|10.9|11.13|10.9|10.46|11.5|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.46|11.5|11.3|10.24|4052|9850 3415|RCG|RCG|759720105|US7597201059|RENN Fund Inc.|Common Stock|Closed end fund|P|N|N|A|Y|Y|Y|Y|Y|||Brendan E. Cryan and Company, L.L.C.|CRYN|0235|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN3-6|TXN7-8|TXN3-6|TXN1-1|7020000|||Yearly|||||2007-05-22||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|1.6999|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|1.6999|1.6999|0.0|1.6999|0.0|0.0|1.66|1.7|1.55|1.7|0.0|0.0|0.0|0.0|1.57|1.7|2.05|1.55|2157|1265294 8909|RCI|RCI|775109200|CA7751092007|Rogers Communications Inc.|Class B Non-Voting Shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-6|TXN2-6|TXN9-1|TXN3-6|TXN3-5|417420000|||Quarterly|||||1996-01-11||||||| | | | | | | | | |||N|0|N|Y|306A|CAN|CA|||15|1510|151020|15102015|Telecommunications|Telecommunications|Telecommunications Service Providers |Telecommunications Services|N||N||||||Y|0|Y||Y|2|||44.84|44.8|0.0|44.81|44.81|44.87|44.82|44.81|0.0|0.0|44.84|44.73|44.81|44.81|42.79|44.82|44.93|44.82|44.82|44.82|44.82|44.83|34.18|55.05|44.71|44.91|44.77|44.87|44.78|44.86|44.82|44.83|50.16|36.55|608380|77842493 49323|RCKT|RCKT|77313F106|US77313F1066|Rocket Pharmaceuticals Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN5-6|TXN11-3|TXN5-2|TXN5-4|90160000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||24.75|24.75|0.0|24.79|24.73|24.76|24.77|24.73|0.0|0.0|24.74|24.78|24.75|24.78|24.72|24.735|23.695|24.77|24.76|24.75|24.69|24.99|19.02|29.98|24.66|24.95|24.66|24.84|24.73|24.83|24.73|24.76|24.82|14.89|1109457|208281289 75321|RCKTW|RCKTW|77313F114|US77313F1140|Rocket Pharmaceuticals Inc|WT EXP 090226||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-1|TXN6-3|TXN13-2|TXN6-7|TXN6-3|90150000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y|C|||||0.0|0.0|0.0|0.0|0.0|0.0|0.29|0.0|0.0|0.0|0.0|0.0|0.31|0.0|0.0|0.0|0.0|0.43|0.0|0.43|0.0|0.0|0.0|0.0|0.0|0.48|0.0|0.0|0.0|0.0|0.33|0.44|1.32|0.0594|450|3079244 3390|RCKY|RCKY|774515100|US7745151008|Rocky Brands Inc|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN5-4|TXN14-6|TXN6-7|TXN5-6|7380000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4020|402040|40204025|Consumer Discretionary|Consumer Products and Services|Personal Goods|Footwear|N||N||||||N|0|Y||||||30.25|30.24|0.0|30.29|30.26|30.0|30.22|30.38|0.0|0.0|30.53|30.0|30.29|30.4|30.22|30.19|0.0|30.19|0.0|30.29|29.75|31.05|23.23|37.65|30.18|30.72|30.03|30.48|29.97|30.29|30.18|30.29|33.09|11.775|111022|9432307 8866|RCL|RCL|V7780T103|LR0008862868|Royal Caribbean Group|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|N|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-6|TXN4-6|TXN5-2|TXN2-7|TXN4-1|256240000|||Quarterly|||||1993-04-28||||||| | | | | | | | | |||N|5|Y|Y|208A|USA|LR|||40|4050|405010|40501015|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Travel and Tourism|N||N||||||Y|0|Y||Y|1|||114.21|114.21|0.0|114.25|114.2|114.3|114.2398|114.21|0.0|0.0|114.3|114.27|114.2|114.29|114.24|114.21|114.31|114.22|114.24|114.21|114.21|114.22|106.41|120.54|114.14|114.41|114.13|114.29|114.13|114.33|114.21|114.22|114.43|47.91|4200875|804765611 4666|RCM|RCM|77634L105|US77634L1052|R1 RCM INC|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN5-5|TXN12-5|TXN5-6|TXN6-7|418960000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||USA||||20|2010|201010|20101025|Health Care |Health Care |Health Care Providers|Health Care Services|N||N||||||Y|0|Y||||||11.8|11.805|0.0|11.77|11.81|11.805|11.8|11.81|0.0|0.0|11.81|11.81|11.8|11.8|11.805|11.805|11.77|11.8|11.8|11.8|11.8|11.82|10.97|12.46|11.8|11.82|11.8|11.84|11.8|11.84|11.8|11.81|18.705|9.325|4167563|635082519 3391|RCMT|RCMT|749360400|US7493604000|RCM Technologies Inc|COM USD.05||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN6-5|TXN10-3|TXN5-6|TXN5-2|7830000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502030|50203000|Industrials|Industrial Goods and Services|General Industrials|Diversified Industrials|N||N||||||Y|0|Y||||||26.72|26.73|0.0|26.86|26.92|26.68|26.77|26.82|0.0|0.0|26.86|0.0|26.82|26.73|26.87|0.0|0.0|26.71|0.0|26.82|26.29|27.22|20.94|32.63|26.28|27.18|26.6|26.88|26.58|26.93|26.68|26.83|27.17|10.11|85242|15851487 31274|RCON|RCON|G7415M124|KYG7415M1244|Recon Technology Ltd|ORD CL A USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-1|TXN5-5|TXN10-7|TXN6-7|TXN6-8|40530000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||60|6010|601010|60101030|Energy|Energy|Oil, Gas and Coal|Oil Equipment and Services|N||N||||||Y|0|Y||||||0.285|0.0|0.0|0.0|0.0|0.289|0.288899|0.0|0.0|0.0|0.0|0.29|0.2888|0.0|0.0|0.0|0.0|0.288899|0.0|0.288899|0.2613|0.2993|0.2224|0.348|0.2614|0.2993|0.2224|0.3301|0.0|0.0|0.2801|0.2888|2.13|0.212|20693|88597241 41049|RCRT|RCRT|75630B402|US75630B4023|Recruiter.com Group Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN6-3|TXN13-6|TXN6-7|TXN5-2|1430000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101010|10101020|Technology|Technology|Software and Computer Services|Consumer Digital Services |N||N||||||N|0|Y|D|||||0.0|1.48|0.0|0.0|0.0|1.5|1.48|0.0|0.0|0.0|0.0|0.0|1.47|0.0|0.0|0.0|0.0|1.48|0.0|1.48|0.0|0.0|0.0|0.0|1.44|1.59|0.0|0.0|0.0|0.0|1.47|1.55|2.08|0.135|8659|282316279 71017|RCRTW|RCRTW|75630B113|US75630B1136|Recruiter.com Group Inc|WT EXP 060126||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-6|TXN6-7|TXN10-5|TXN6-7|TXN5-7|1430000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0051|0.01|0.156|0.0026|0|788923 8869|RCS|RCS|72200X104|US72200X1046|PIMCO Strategic Income Fund, Inc.|Common Stock|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN2-5|TXN8-8|TXN1-8|TXN1-8|44780000|||Monthly|||||1994-03-18||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||5.71|5.67|0.0|0.0|5.68|5.68|5.695|5.69|0.0|0.0|5.67|5.69|5.68|0.0|0.0|5.7|0.0|5.68|5.67|5.7|5.67|5.7|4.34|6.95|5.28|6.08|5.64|5.73|0.0|0.0|5.67|5.7|6.04|4.51|117810|26443222 60765|RCUS|RCUS|03969F109|US03969F1093|Arcus Biosciences, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|T|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-3|TXN3-2|TXN4-7|TXN4-5|TXN3-1|74860000|||NotApplicable|||||2018-03-15||||||| | | | | | | | | |||N|0|N|Y|122A|USA|US|||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||Y|2|||16.07|16.06|0.0|16.1|16.07|16.08|16.06|16.08|0.0|0.0|16.1|16.02|16.075|16.08|16.34|16.1|16.01|16.09|16.04|16.1|16.09|16.1|12.35|19.72|15.9|16.21|12.63|16.12|16.09|16.13|16.09|16.1|35.5|12.95|990956|221046293 3397|RDCM|RDCM|M81865111|IL0010826688|Radcom Ltd|ORD NIS.05||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN6-7|TXN11-2|TXN5-8|TXN5-3|14990000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||ISR||||15|1510|151010|15101010|Telecommunications|Telecommunications|Telecommunications Equipment|Telecommunications Equipment|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|7.99|8.01|8.01|0.0|0.0|7.98|0.0|7.94|0.0|0.0|8.02|0.0|8.0|0.0|8.0|7.5|8.54|0.0|0.0|7.92|8.56|6.32|9.75|0.0|0.0|7.92|8.08|11.5|7.52|18302|2626848 67935|RDFI|RDFI|19423L722|US19423L7221|Rareview Dynamic Fixed Income ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN2-5|TXN5-8|TXN4-7|TXN2-8|1710000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|22.0735|0.0|0.0|0.0|0.0|22.13|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|22.0735|0.0|22.0735|22.02|22.08|22.04|22.09|21.92|22.22|0.0|0.0|0.0|0.0|22.05|22.11|24.34|20.0595|4100|1031355 59260|RDFN|RDFN|75737F108|US75737F1084|Redfin Corp|COM 0.001USD||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN6-6|TXN10-5|TXN6-6|TXN5-6|115240000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||35|3510|351010|35101015|Real Estate|Real Estate |Real Estate Investment and Services Development|Real Estate Services|N||N||||||Y|0|Y||||||7.55|7.56|0.0|7.56|7.57|7.565|7.5664|7.57|0.0|0.0|7.56|7.55|7.56|7.57|7.55|7.56|7.55|7.55|7.57|7.56|7.55|7.57|5.79|9.26|7.55|7.57|7.53|7.59|7.55|7.59|7.55|7.57|17.68|3.74|5524787|884541698 41256|RDHL|RDHL|757468202|US7574682024|Redhill Biopharma Ltd|ADR||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN6-8|TXN11-3|TXN6-6|TXN5-2|4428320000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||ISR||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y|D|||||1.86|1.88|0.0|0.0|1.81|1.84|1.875|1.875|0.0|0.0|1.875|1.83|1.89|1.85|1.81|1.875|1.855|1.875|1.86|1.89|1.76|1.97|1.46|2.22|1.77|1.88|1.65|2.0|0.0|0.0|1.82|1.88|5.7|0.126|18872118|1010864154 8873|RDI|RDI|755408101|US7554081015|Reading International Inc.|CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN5-6|TXN13-1|TXN6-8|TXN5-6|20590000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4030|403010|40301010|Consumer Discretionary|Media|Media|Entertainment|N||N||||||N|0|Y||||||0.0|1.97|0.0|0.0|1.95|0.0|2.03|1.98|0.0|0.0|0.0|0.0|1.95|0.0|0.0|0.0|1.97|1.95|0.0|1.95|1.84|2.1|0.0|0.0|1.91|2.03|1.52|2.36|0.0|0.0|1.95|1.99|3.72|1.71|19217|6753779 8874|RDIB|RDIB|755408200|US7554082005|Reading International Inc.|CL B||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN5-2|TXN10-2|TXN5-5|TXN5-1|1680000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4030|403010|40301010|Consumer Discretionary|Media|Media|Entertainment|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|13.85|0.0|0.0|0.0|0.0|0.0|13.28|0.0|0.0|0.0|0.0|13.85|13.0|13.28|0.0|0.0|0.0|0.0|12.29|14.56|0.0|0.0|11.1|0.0|12.8|14.2|25.9|9.25|5444|1204978 42782|RDIV|RDIV|46138G656|US46138G6567|Invesco Exchange-Traded Fund Trust II|Invesco S&P Ultra Dividend Revenue ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Invesco|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-4|TXN2-4|TXN4-3|TXN4-6|TXN1-8|17610000|||Quarterly|||||2019-05-28||RDIV.NV|RDIV.SO|RDIV.EU|RDIV.TC|RDIV.IV| | | | | | | | | |1x|The Fund is an exchange-traded fund (ETF). The Fund seeks to achieve its investment objective by attempting to replicate the portfolio of the RevenueShares Ultra Dividend Index (the Underlying Index). The Underlying Index measures the performance of equity securities issued by the top 60 companies that have the highest average quarterly dividend yields on a consistent basis over the last year weighted by revenue. The Underlying Index is constructed by selecting the top 60 securities from the Benchmark Index with the highest average quarterly yields over the past twelve months, which are then re-weighted according to the revenue earned by the companies subject to certain asset diversification requirements and a maximum 10% per company weighting. The Underlying Index is rebalanced and reconstituted quarterly according to revenue weightings as of the previous quarter|N|0|N|N|406C|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|1|||41.36|41.37|0.0|0.0|41.36|41.36|41.36|41.36|0.0|0.0|41.26|39.77|41.37|41.26|0.0|40.98|0.0|41.36|41.36|41.36|41.33|41.4|41.27|41.47|41.36|41.37|41.26|41.47|41.26|41.47|41.35|41.37|47.97|34.639|50531|21429733 8876|RDN|RDN|750236101|US7502361014|Radian Group Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|M|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-5|TXN2-7|TXN7-2|TXN1-5|TXN2-3|153160000|||Quarterly|||||1992-10-30||||||| | | | | | | | | |||N|0|N|Y|410B|USA|US|||30|3020|302010|30201025|Financials|Financial Services |Finance and Credit Services|Mortgage Finance|N||N||||||Y|0|Y||Y|2|||26.13|26.13|0.0|26.08|26.15|26.14|26.15|26.14|0.0|0.0|26.14|26.14|26.13|26.12|26.13|26.14|26.17|26.15|26.14|26.14|26.14|26.16|19.8|31.69|26.12|26.18|26.11|26.17|26.1|26.18|26.12|26.16|28.26|17.835|1348485|348539854 18338|RDNT|RDNT|750491102|US7504911022|RadNet Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN6-5|TXN11-8|TXN5-8|TXN6-7|67900000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201010|20101025|Health Care |Health Care |Health Care Providers|Health Care Services|N||N||||||Y|0|Y||||||35.29|35.34|0.0|35.34|35.32|35.32|35.34|35.34|0.0|0.0|35.33|35.37|35.33|35.31|35.29|35.35|35.41|35.32|35.37|35.33|35.02|35.65|27.35|43.37|35.27|35.43|35.28|35.39|35.28|35.41|35.32|35.35|35.63|17.82|533535|99204848 27896|RDOG|RDOG|00162Q106|US00162Q1067|ALPS ETF Trust|ALPS REIT Dividend Dogs ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ALPS|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN2-8|TXN6-8|TXN4-2|TXN4-4|325000|||Quarterly|||||2008-11-12||RDOG.NV|RDOG.SO|RDOG.EU|RDOG.TC|RDOG.IV| | | | | | | | | |1x|The Fund seeks investment results that replicate as closely as possible, before fees and expenses, the performance of an index called the S-Network REIT Dividend Dogs Index (the Underlying Index). The Underlying Index is a rules-based index intended to give investors a means of tracking the overall performance of the highest dividend paying real estate investment trusts (REITs) (i.e. Dividend Dogs) in the S-Network US Composite REIT Index, a universe of mainly REITs listed in the United States (the S-Net U.S. REIT), on a segment-by-segment basis. Dividend Dogs refers to the five REITs in each of the nine segments that make up the S-Net U.S. REIT which offer the highest dividend yields.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|35.7|0.0|0.0|0.0|37.025|0.0|0.0|0.0|0.0|0.0|0.0|37.53|32.97|37.53|37.17|37.96|0.0|0.0|37.47|37.58|37.47|37.61|0.0|0.0|37.47|37.61|43.97|31.13|334|253701 3570|RDUS|RDUS|806882106|US8068821060|Schnitzer Steel Industries Inc|CL A COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN6-5|TXN13-8|TXN5-3|TXN6-4|27310000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||55|5510|551020|55102010|Basic Materials|Basic Resources|Industrial Metals and Mining|Iron and Steel|N||N||||||Y|0|Y||||||26.32|26.53|0.0|26.66|26.52|26.495|26.559|26.53|0.0|0.0|26.52|26.38|26.58|26.46|26.57|26.56|26.3|26.58|26.32|26.58|26.25|26.81|20.33|32.54|26.26|26.74|26.5|26.62|26.53|26.61|26.57|26.58|33.515|22.34|167201|10941047 74765|RDVI|RDVI|33738D879|US33738D8790|FT Cboe Vest Rising Dividend Achievers Target Income ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-7|TXN3-7|TXN8-8|TXN1-6|TXN3-5|25850000|||NotApplicable|||||||||||| | | | | | | | | 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8886|REG|REG|758849103|US7588491032|Regency Centers Corp.|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN6-2|TXN13-8|TXN6-6|TXN6-2|184580000|||NotApplicable|||||||||||| | | | | | | | | |||N|5|Y|N||USA||||35|3510|351020|35102045|Real Estate|Real Estate |Real Estate Investment Trusts|Retail REITs|N||N||||||Y|0|Y||||||65.11|65.11|0.0|65.13|65.1|65.1|65.12|65.12|0.0|0.0|65.1|64.99|65.13|65.1|65.04|65.1|64.65|65.115|65.1|65.13|65.06|65.16|60.68|69.06|65.08|65.16|65.08|65.14|65.06|65.16|65.11|65.12|68.56|54.72|1074035|221666133 76186|REGCO|REGCO|758849871|US7588498714|Regency Centers Corp.|5.875% SR B CUM RED||B|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN6-8|TXN13-6|TXN6-3|TXN5-3|4400000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|22.0001|0.0|0.0|0.0|22.06|0.0|22.0|0.0|0.0|0.0|0.0|22.05|0.0|22.05|0.0|0.0|0.0|0.0|21.62|22.05|0.0|0.0|0.0|0.0|22.02|22.05|24.36|21.2|3007|646208 76187|REGCP|REGCP|758849889|US7588498896|Regency Centers Corp.|6.25% SR A CUM RED||B|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN5-5|TXN14-1|TXN6-6|TXN5-6|4600000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|23.08|0.0|0.0|0.0|0.0|0.0|23.17|0.0|0.0|0.0|0.0|23.08|0.0|23.08|0.0|0.0|0.0|0.0|23.01|23.18|0.0|0.0|0.0|0.0|23.01|23.17|25.11|21.93|1183|642660 49310|REGL|REGL|74347B680|US74347B6801|Proshares Trust - ProShares S&P MidCap 400 Dividend Aristocrats ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-3|TXN3-4|TXN7-4|TXN2-2|TXN3-5|21290001|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||71.34|71.5|0.0|0.0|71.5|71.18|71.5193|71.14|0.0|0.0|71.46|0.0|71.485|71.51|71.28|71.08|0.0|71.5|0.0|71.5|71.35|71.64|66.76|75.9|71.46|71.51|71.38|71.71|71.26|71.7|71.46|71.51|76.47|63.5125|66144|20394430 3410|REGN|REGN|75886F107|US75886F1075|Regeneron Pharmaceuticals Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|4|0.01|0.01|5000000|1|100|TXN14-7|TXN5-7|TXN13-6|TXN5-1|TXN6-2|107130000|||NotApplicable|||||||||||| | | | | | | | | |||N|5|Y|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||821.92|823.09|0.0|822.81|823.11|823.16|822.9|823.19|0.0|0.0|821.995|823.13|823.32|823.28|821.91|823.08|821.25|823.41|821.89|823.32|821.99|828.05|764.84|873.27|822.71|823.6|822.12|824.29|823.04|824.37|823.04|823.41|853.97|668.0|508434|130372994 28110|REI|REI|76680V108|US76680V1089|Ring Energy Inc.|Common Stock|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||J. Streicher & Co. L.L.C.|JSCO|3856|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN2-3|TXN7-6|TXN3-6|TXN3-7|195630000|||NotApplicable|||||2013-09-03||||||| | | | | | | | | |||N|0|N|N|134A|USA|US|||60|6010|601010|60101010|Energy|Energy|Oil, Gas and Coal|Oil: Crude Producers|N||N||||||Y|0|Y||Y|2|||1.57|1.56|0.0|1.58|1.57|1.565|1.565|1.565|0.0|0.0|1.565|1.57|1.565|1.56|1.57|1.565|1.58|1.58|1.56|1.58|1.55|1.59|1.56|1.57|1.56|1.59|1.53|1.6|1.55|1.58|1.56|1.58|2.7999|1.38|1980571|541467450 69362|REIT|REIT|00162Q445|US00162Q4459|Alps Active REIT ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN6-2|TXN12-7|TXN6-5|TXN5-1|750000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|24.7|24.78|24.65|0.0|0.0|24.65|0.0|24.96|0.0|0.0|24.72|0.0|24.78|0.0|24.96|0.0|0.0|0.0|0.0|24.88|24.96|0.0|0.0|0.0|0.0|24.88|24.96|27.19|21.1|5910|655610 32421|REK|REK|74347G366|US74347G3662|ProShares Trust|ProShares Short Real Estate|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ProShares Advisors |IMC Chicago, LLC, DBA IMC Financial Markets|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-6|TXN2-5|TXN4-4|TXN1-1|TXN4-3|1774888|||Quarterly|||||2010-03-18||REK.NV|REK.SO|REK.EU|REK.TC|REK.IV| | | | | | | | | |-1x|The Fund seeks daily investment results that correspond to the inverse of the daily performance of the Dow Jones U.S. Real Estate Index. The Fund does not seek to achieve this objective over a period of time greater than one day. The Index measures the performance of the real estate sector of the U.S. equity market. Component companies include those that invest directly or indirectly through development, management or ownership of shopping malls, apartment buildings and housing developments; and real estate investment trusts (REITs) that invest in apartments, office and retail properties. 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USD.05||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN5-4|TXN14-4|TXN6-3|TXN5-4|12230000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101020|10102020|Technology|Technology|Technology Hardware and Equipment|Production Technology Equipment|N||N||||||N|0|Y||||||13.9|13.92|0.0|0.0|14.0|13.98|14.0036|14.0|0.0|0.0|13.92|13.57|13.98|13.94|0.0|13.95|13.7|14.0|0.0|13.98|13.84|14.13|10.7|16.88|13.86|14.13|13.95|14.06|13.93|14.07|14.0|14.01|26.95|10.25|166741|37869485 9019|RELX|RELX|759530108|US7595301083|RELX PLC|American Depositary Shares (Each representing One Ordinary Share)|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-2|TXN1-4|TXN3-4|TXN4-6|TXN4-8|1887290000|||BiAnnually|||||2015-07-01||||||| | | | | | | | | |||N|0|N|Y|170A|GBR|GB|||40|4030|403010|40301030|Consumer Discretionary|Media|Media|Publishing|N||N||||||Y|0|Y||Y|2|||38.59|38.58|0.0|38.42|38.58|38.58|38.585|38.575|0.0|0.0|38.58|38.58|38.59|38.59|38.5|38.59|38.565|38.59|38.56|38.59|38.58|38.59|29.74|47.05|38.55|38.61|38.55|38.62|38.54|38.59|38.58|38.59|38.895|27.53|1036842|175618295 71790|RELY|RELY|75960P104|US75960P1049|Remitly Global Inc|COM USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN6-1|TXN11-6|TXN6-2|TXN5-7|185160000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502050|50205015|Industrials|Industrial Goods and Services|Industrial Support Services|Transaction Processing Services|N||N||||||Y|0|Y||||||21.09|21.08|0.0|21.09|21.06|21.055|21.06|21.065|0.0|0.0|21.07|21.06|21.08|21.06|21.02|21.06|21.05|21.06|21.06|21.08|21.03|21.1|16.4|25.72|21.02|21.11|21.06|21.12|21.06|21.12|21.06|21.09|27.95|8.94|1205786|286208002 24457|REM|REM|46435G342|US46435G3424|iShares Mortgage Real Estate ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-5|TXN2-8|TXN3-4|TXN3-7|TXN4-5|26250000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||23.5|23.5|0.0|0.0|23.5|23.495|23.495|23.505|0.0|0.0|23.5|23.41|23.49|23.5|23.5|23.49|23.5|23.5|22.68|23.5|23.44|23.53|21.9|24.86|23.47|23.5|23.41|23.56|23.43|23.53|23.48|23.49|27.28|18.95|624775|111145522 35923|REMX|REMX|92189H805|US92189H8051|VanEck ETF Trust|VanEck Rare Earth/Strategic Metals ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||VanEck Vectors|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-7|TXN3-1|TXN7-8|TXN3-3|TXN3-4|6674987|||Yearly|||||2010-10-28||REMX.NV|REMX.SO|REMX.EU|REMX.TC|REMX.IV| | | | | | | | | |1x|The Market Vectors Rare Earth/Strategic Metals ETF (REMX) seeks to replicate as closely as possible, before fees and expenses, the price and yield performance of the Market Vectors Rare Earth/Strategic Metals Index (MVREMXTR), a rules based, modified capitalization weighted, float adjusted index intended to give investors a means of tracking the overall performance of publicly traded companies primarily engaged in a variety of activities that are related to the mining, refining and manufacturing of rare earth/strategic metals.|N|0|N|N|406C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services 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Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||0.0|3.25|0.0|0.0|3.25|3.26|3.3|3.25|0.0|0.0|3.26|3.26|3.29|3.28|0.0|3.31|0.0|3.3|0.0|3.29|3.17|3.37|2.49|4.01|3.19|3.33|3.2|3.33|3.19|3.36|3.25|3.3|5.25|0.6601|52252|57922973 74212|RENE|RENE|G19305112|KYG193051128|Cartesian Growth Corporation II|CL A ORD USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN6-8|TXN10-2|TXN5-4|TXN5-4|28750000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|10.92|0.0|0.0|0.0|0.0|0.0|0.0|10.92|0.0|0.0|0.0|0.0|10.92|0.0|10.92|10.9|0.0|0.0|0.0|10.24|11.61|0.0|0.0|0.0|0.0|10.92|10.93|11.92|10.19|1533|19856113 74007|RENEU|RENEU|G19305104|KYG193051045|Cartesian Growth Corporation II|UNITS||R|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN6-3|TXN10-6|TXN6-7|TXN6-5|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.85|11.19|0.0|0.0|0.0|0.0|10.85|11.15|11.0856|10.23|0|698698 74213|RENEW|RENEW|G19305120|KYG193051201|Cartesian Growth Corporation II|WT EXP 071228||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-2|TXN6-4|TXN13-2|TXN6-4|TXN5-3|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.130101|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.130101|0.0|0.130101|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.13|0.1599|0.3482|0.085|196|3416241 72150|RENT|RENT|76010Y103|US76010Y1038|Rent the Runway Inc|COM CL A USD0.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-2|TXN6-3|TXN11-7|TXN5-5|TXN5-7|65860000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4040|404010|40401020|Consumer Discretionary|Retail |Retailers |Apparel Retailers|N||N||||||Y|0|Y||||||0.6194|0.62|0.0|0.0|0.62|0.6194|0.6184|0.6176|0.0|0.0|0.6194|0.619|0.6184|0.6149|0.0|0.6217|0.61755|0.6176|0.621|0.6184|0.5967|0.6381|0.5048|0.7434|0.6046|0.6324|0.5895|0.6485|0.0|0.0|0.6169|0.6184|4.82|0.4311|1458852|187235851 74269|RENW|RENW|41151J802|US41151J8027|Harbor ETF Trust|Harbor Energy Transition Strategy ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Harbor Capital Advisors, Inc.|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN2-3|TXN3-8|TXN4-4|TXN3-1|1725000|||Yearly|||||2022-07-14||RENW.NV|RENW.SO|RENW.EU|RENW.TC| | | | | | | | | | ||The Fund seeks to provide investment results that correspond, before fees and expenses, to the performance of the Quantix Energy Transition index (the Index). The Index is composed of futures contracts on physical commodities associated with the accelerating transition from carbon-intensive energy sources, such as petroleum, crude oil and thermal coal, to less carbon-intensive sources of energy, such as natural gas, ethanol, wind power, and solar power. The Index is constructed using Quantix Commodities proprietary quantitative methodology,|N|0|N|N|416A|USA|US|COMMODITIES_AND_FUTURES|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|13.6|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|13.3216|0.0|13.3216|12.48|14.51|13.21|13.52|13.21|13.42|13.2|13.52|13.2|13.52|13.21|13.42|22.53|13.3216|609|988036 61276|REPL|REPL|76029N106|US76029N1063|Replimune Group Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN6-4|TXN14-6|TXN5-7|TXN5-2|59060000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||12.3|12.31|0.0|12.02|12.3|12.3|12.3|12.3|0.0|0.0|12.31|12.31|12.32|12.3|12.04|12.3|12.3|12.31|11.95|12.32|12.19|12.42|9.38|15.12|12.26|12.34|12.28|12.33|12.28|12.36|12.3|12.31|29.5229|9.79|823340|144603073 9491|REPX|REPX|76665T102|US76665T1025|Riley Exploration Permian, Inc.|Common Stock|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Brendan E. Cryan and Company, L.L.C.|CRYN|0235|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN4-2|TXN5-8|TXN2-1|TXN3-1|20430000|||Quarterly|||||2016-03-24||||||| | | | | | | | | |||N|0|N|N|134A|USA|US|||60|6010|601010|60101010|Energy|Energy|Oil, Gas and Coal|Oil: Crude Producers|N||N||||||Y|0|Y||Y|2|||24.8|25.69|0.0|25.91|25.85|25.81|25.825|25.77|0.0|0.0|25.9|25.72|25.84|25.97|25.78|25.93|25.81|25.81|24.8|25.81|25.33|25.96|25.81|25.84|25.4|26.3|25.65|26.0|25.56|26.05|25.81|25.84|47.7902|24.3101|74134|14761680 70903|RERE|RERE|00138L108|US00138L1089|ATRenew Inc.|American Depositary Shares (every three of which representing two Class A ordinary shares)|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|8|A|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN1-8|TXN8-8|TXN4-8|TXN4-1|90280000|||NotApplicable|||||2021-06-18||||||| | | | | | | | | |||N|0|N|Y|180B|CHN|KY|||40|4040|404010|40401030|Consumer Discretionary|Retail |Retailers |Specialty Retailers |N||N||||||N|0|Y||Y|2|||1.73|1.73|0.0|0.0|1.74|1.73|1.71|1.73|0.0|0.0|1.74|1.74|1.73|1.73|0.0|1.74|1.76|1.73|1.72|1.74|1.71|1.74|1.39|2.06|1.69|1.75|1.68|1.76|1.67|1.77|1.7|1.74|3.51|1.3|128660|55941197 8893|RES|RES|749660106|US7496601060|RPC, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-3|TXN3-7|TXN8-8|TXN3-1|TXN1-2|216230000|||Adhoc|||||1984-06-11||||||| | | | | | | | | |||N|0|N|Y|134F|USA|US|||60|6010|601010|60101030|Energy|Energy|Oil, Gas and Coal|Oil Equipment and Services|N||N||||||Y|0|Y||Y|2|||7.34|7.33|0.0|7.32|7.34|7.33|7.331|7.33|0.0|0.0|7.33|7.33|7.33|7.35|7.34|7.33|7.34|7.33|7.33|7.33|7.33|7.34|5.58|8.89|7.33|7.35|7.3|7.36|7.29|7.37|7.33|7.34|10.325|6.54|1750469|325581423 54271|RESD|RESD|97717Y709|US97717Y7094|WisdomTree International ESG Fund|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-6|TXN1-2|TXN9-8|TXN4-4|TXN1-7|400000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|28.36|0.0|0.0|0.0|28.0|28.34|0.0|0.0|0.0|28.29|0.0|0.0|0.0|0.0|0.0|0.0|28.36|0.0|28.36|28.27|28.43|0.0|0.0|28.18|28.51|0.0|0.0|0.0|0.0|28.34|28.37|28.89|25.1017|2899|627350 52859|RESE|RESE|97717X214|US97717X2146|WisdomTree Emerging Markets ESG Fund|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN2-5|TXN5-8|TXN4-4|TXN2-5|800000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|27.9566|0.0|0.0|0.0|0.0|28.4099|0.0|0.0|0.0|0.0|0.0|0.0|26.301|0.0|0.0|0.0|27.9566|0.0|27.9566|0.0|0.0|0.0|0.0|27.78|28.16|0.0|0.0|0.0|0.0|27.89|28.01|30.29|25.95|97|620450 19093|RESP|RESP|97717W596|US97717W5967|WisdomTree Trust|WisdomTree U.S. ESG Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||WisdomTree|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-8|TXN1-8|TXN6-8|TXN2-7|TXN2-8|1425000|||Quarterly|||||2008-11-20||RESP.NV|RESP.SO|RESP.EU|RESP.TC|RESP.IV| | | | | | | | | ||The WisdomTree U.S. Total Market Fund seeks to track the price and yield performance, before fees and expenses, of the WisdomTree U.S. Total Market Index. The Index is a fundamentally weighted index that is comprised of earnings-generating companies within the broad U.S. stock market. Companies in the Index are incorporated, domiciled and listed in the U.S. and have generated positive cumulative earnings over their most recent four fiscal quarters prior to the annual Index screening date. The Index is earnings-weighted annually to reflect the proportionate share of the aggregate earnings each component company has generated. Companies with greater earnings generally have larger weights in the Index. WisdomTree Investments, Inc., as Index provider, currently uses Standard & Poors Global Industry Classification Standards (S&P GICS) to define companies within a sector. |N|0|N|N|406C|USA|US|EQUITY|ACTIVE|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||47.48|0.0|0.0|0.0|43.71|0.0|47.7736|0.0|0.0|0.0|0.0|0.0|47.48|0.0|0.0|0.0|0.0|47.6242|47.49|47.6242|0.0|0.0|0.0|0.0|47.52|47.72|47.4|47.84|47.4|47.84|47.52|47.72|47.7886|40.5951|1912|510813 33976|RETL|RETL|25460G815|US25460G8151|Direxion Shares ETF Trust|Direxion Daily Retail Bull 3X Shares|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Direxion Shares|IMC Chicago, LLC, DBA IMC Financial Markets|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-3|TXN4-4|TXN2-3|TXN3-5|TXN1-3|7171105|||Quarterly|||||2010-07-14||RETL.NV|RETL.SO|RETL.EU|RETL.TC|RETL.IV| | | | | | | | | |3x|The Fund seeks daily investment results, before fees and expenses, of 300% of the performance of the Russell 1000 Retail Index. The Fund seeks daily leveraged investment results and does not seek to achieve its stated investment objective over a period of time greater than one day.|N|0|N|N|416A|USA|US|EQUITY|LEVERAGED|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||7.61|7.6|0.0|0.0|7.61|7.6|7.6097|7.59|0.0|0.0|7.61|7.605|7.6|7.619|7.58|7.615|0.0|7.59|0.0|7.59|7.56|7.65|5.82|9.24|7.6|7.62|5.82|7.64|7.46|7.63|7.6|7.62|13.1884|4.8297|834155|110491556 60190|RETO|RETO|G75271117|VGG752711173|Reto Eco-Solutions Inc|COM USD .001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-5|TXN5-1|TXN13-7|TXN6-5|TXN6-3|35450000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||50|5010|501010|50101035|Industrials|Construction and Materials|Construction and Materials |Building Materials: Other|N||N||||||N|0|Y||||||0.585|0.0|0.0|0.0|0.585|0.585|0.5995|0.0|0.0|0.0|0.6|0.0|0.585|0.0|0.0|0.0|0.0|0.585|0.0|0.585|0.5643|0.61|0.4592|0.72|0.5643|0.63|0.4592|0.72|0.0|0.0|0.585|0.6074|7.36|0.225601|44039|170120340 68158|REVB|REVB|76135L309|US76135L3096|Revelation Biosciences Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-6|TXN5-3|TXN13-1|TXN6-6|TXN5-4|6300000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||0.76|0.0|0.0|0.0|0.73|0.7424|0.7647|0.731|0.0|0.0|0.76|0.7424|0.768|0.0|0.0|0.0|0.0|0.7647|0.0|0.7647|0.5844|0.912|0.5844|0.912|0.735|0.7854|0.5844|0.912|0.0|0.0|0.75|0.77|11.17|0.1688|37142|82393438 68159|REVBW|REVBW|76135L119|US76135L1199|Revelation Biosciences Inc|WT EXP 052527||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-8|TXN5-7|TXN12-1|TXN6-2|TXN5-4|6300000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0051|0.0162|0.0|0.0|0.0|0.0|0.009|0.0162|0.0498|0.0058|18|15354756 56567|REVG|REVG|749527107|US7495271071|REV Group, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN1-3|TXN7-8|TXN2-5|TXN2-7|59310000|||Quarterly|||||2017-01-27||||||| | | | | | | | | |||N|0|N|Y|132A|USA|US|||50|5020|502060|50206015|Industrials|Industrial Goods and Services|Industrial Transportation|Commercial Vehicles and Parts|N||N||||||Y|0|Y||Y|2|||16.12|16.32|0.0|16.02|16.31|16.25|16.31|16.31|0.0|0.0|16.27|16.27|16.3|16.32|16.29|16.28|16.14|16.28|16.13|16.28|16.3|16.31|12.34|19.77|16.25|16.44|16.26|16.33|16.25|16.31|16.3|16.31|16.54|9.85|168471|43217998 64647|REVS|REVS|19761L805|US19761L8054|Columbia ETF Trust I|Columbia Research Enhanced Value ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Columbia Management Investment Advisers|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-7|TXN2-3|TXN7-8|TXN4-6|TXN4-6|1000000|||Yearly|||||2019-09-25||REVS.NV|REVS.SO|REVS.EU|REVS.TC|REVS.IV| | | | | | | | | |1x|Columbia Research Enhanced Value ETF (the Fund) seeks investment results that, before fees and expenses, closelycorrespond to the performance of the Beta Advantage Research Enhanced U.S. Value Index (the Index).|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||21.17|0.0|0.0|0.0|21.17|21.17|21.23|21.235|0.0|0.0|21.2|0.0|0.0|21.16|0.0|0.0|0.0|21.21|21.21|21.21|0.0|0.0|0.0|0.0|21.21|21.31|21.21|21.31|0.0|0.0|21.21|21.31|21.76|18.789|10311|1051944 18926|REW|REW|74347G424|US74347G4249|ProShares Trust|ProShares UltraShort Technology|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ProShares Advisors |Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN3-2|TXN4-6|TXN4-8|TXN4-1|446103|||Quarterly|||||2011-02-24||REW.NV|REW.SO|REW.EU|REW.TC|REW.IV| | | | | | | | | |-2x|ProShares UltraShort Technology seeks daily investment results, before fees and expenses, that correspond to twice (200%) the inverse (opposite) of the daily performance of the Dow Jones U.S. Technology Index. This ETF seeks a return of -200% of the return of an index (target) for a single day. Due to the compounding of daily returns, returns over periods other than one day will likely differ in amount and possibly direction from the target return for the same period. Investors should monitor their ProShares holdings consistent with their strategies, as frequently as daily. For more on correlation, leverage and other risks, please read the prospectus. The Dow Jones U.S. Technology Index measures the performance of the technology sector of the U.S. equity market. Component companies include those involved in computers and office equipment, software, communications technology, semiconductors, diversified technology services and Internet services. It is not possible to invest directly in an index.|N|0|N|N|416A|USA|US|EQUITY|INVERSE|||||||||N||N||||||N|0|Y||Y|2|||9.07|0.0|0.0|9.05|9.07|9.21|9.0502|9.07|0.0|0.0|8.87|9.05|9.06|9.07|9.14|0.0|0.0|9.07|9.07|9.07|8.88|9.24|0.0|0.0|9.05|9.08|9.04|9.08|9.05|9.08|9.05|9.08|23.54|8.71|39309|6246520 8998|REX|REX|761624105|US7616241052|REX American Resources Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN4-6|TXN7-8|TXN3-7|TXN4-5|17500000|||Adhoc|||||1986-03-21||||||| | | | | | | | | |||N|0|N|Y|146G|USA|US|||60|6010|601020|60102010|Energy|Energy|Alternative Energy|Alternative Fuels |N||N||||||Y|0|Y||Y|2|||45.17|45.68|0.0|45.34|45.06|45.2|45.06|45.12|0.0|0.0|45.69|45.44|45.04|45.33|45.28|45.05|46.26|45.06|45.14|45.05|45.05|45.12|35.14|55.65|44.75|45.59|44.96|45.26|44.95|45.12|45.05|45.12|51.185|27.42|135519|19574290 42358|REXR|REXR|76169C100|US76169C1009|Rexford Industrial Realty, Inc.|Common Stock, $0.01 par value|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-5|TXN1-3|TXN3-4|TXN3-6|TXN2-5|211100000|||Quarterly|||||2013-07-19||||||| | | | | | | | | |||N|0|Y|Y|414A|USA|US|||35|3510|351020|35102020|Real Estate|Real Estate |Real Estate Investment Trusts|Industrial REITs|N||N||||||N|0|Y||Y|1|||52.49|52.49|0.0|52.5|52.49|52.49|52.49|52.5|0.0|0.0|52.49|52.42|52.49|52.5|52.49|52.5|52.38|52.5|52.5|52.5|52.49|52.5|48.97|55.18|52.41|52.54|52.45|52.54|52.44|52.55|52.49|52.5|66.71|41.56|2956160|350550160 60129|REXR PRB|REXRpB|76169C308|US76169C3088|Rexford Industrial Realty, Inc.|5.875% Series B Cumulative Redeemable Preferred Stock|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN4-4|TXN5-8|TXN4-7|TXN1-8|3000000|||Quarterly|||||2017-11-16||||||| | | | | | | | | |||N|0|N|N|414A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|22.2|22.2538|0.0|0.0|0.0|22.3|0.0|22.28|0.0|0.0|22.3|0.0|22.28|0.0|22.3|22.2|22.48|0.0|0.0|22.2|22.3|0.0|0.0|0.0|0.0|22.2|22.48|24.97|20.6|19973|1544175 64644|REXR PRC|REXRpC|76169C407|US76169C4078|Rexford Industrial Realty, Inc.|5.625% Series C Cumulative Redeemable Preferred Stock, par value $0.01 per share|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN3-7|TXN7-8|TXN3-5|TXN2-6|3450000|||Quarterly|||||2019-09-24||||||| | | | | | | | | |||N|0|N|N|414A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||21.22|0.0|0.0|0.0|0.0|20.77|21.2499|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|21.25|0.0|21.2499|0.0|21.25|21.05|21.25|0.0|0.0|19.95|21.24|0.0|0.0|0.0|0.0|21.05|21.25|24.68|19.71|4196|1285737 65493|REYN|REYN|76171L106|US76171L1061|Reynolds Consumer Products Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN5-7|TXN11-1|TXN6-2|TXN5-8|210010000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||USA||||45|4520|452010|45201030|Consumer Staples |Personal Care, Drug and Grocery Stores |Personal Care, Drug and Grocery Stores |Nondurable Household Products|N||N||||||Y|0|Y||||||26.62|26.6|0.0|26.62|26.62|26.6|26.62|26.605|0.0|0.0|26.62|26.6|26.63|26.595|26.55|26.6|26.6|26.62|0.0|26.63|26.59|26.64|25.05|28.44|26.59|26.64|26.58|26.64|26.6|26.64|26.6|26.62|32.02|24.8|330697|72633000 24460|REZ|REZ|464288562|US4642885622|iShares Trust|iShares Residential and Multisector Real Estate ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-1|TXN2-7|TXN7-7|TXN4-1|TXN2-3|8700000|||Quarterly|||||2007-05-04||REZ.NV|REZ.SO|REZ.EU|REZ.TC|REZ.IV| | | | | | | | | |1x|The iShares FTSE NAREIT Residential Plus Capped Index Fund seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the FTSE NAREIT All Residential Capped Index. THE UNDERLYING INDEX MEASURES THE PERFORMANCE OF THE RESIDENTIAL, HEALTHCARE AND SELF-STORAGE REAL ESTATE SECTORS OF THE U.S. EQUITY MARKET. The Underlying Index measures the performance of the residential, healthcare and self-storage real estate sectors of the U.S. equity market. Components primarily include real estate investment trusts (REITs). The components of the Underlying Index, and the degree to which these components represent certain industries, may change over time. BFA uses a passive or indexing approach to try to achieve the Funds investment objective. Unlike many investment companies, the Fund does not try to beat the index it tracks and does not seek temporary defensive positions when markets decline or appear overvalued. Indexing may eliminate the chance that the Fund will substantially outperform the Underlying Index but also may reduce some of the risks of active management, such as poor security selection. Indexing seeks to achieve lower costs and better after-tax performance by keeping portfolio turnover low in comparison to actively managed investment companies.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||69.32|69.64|0.0|0.0|69.57|69.31|69.66|0.0|0.0|0.0|69.66|66.85|69.64|69.32|69.31|69.31|0.0|69.68|0.0|69.68|69.63|69.8|64.56|69.76|69.63|69.67|69.54|69.77|69.54|69.76|69.63|69.66|78.33|60.6386|314873|10284299 61962|REZI|REZI|76118Y104|US76118Y1047|Resideo Technologies, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|P|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-2|TXN1-2|TXN6-6|TXN1-3|TXN3-4|146090000|||Quarterly|||||2018-10-15||||||| | | | | | | | | |||N|0|N|Y|124A|USA|US|||50|5020|502020|50202020|Industrials|Industrial Goods and Services|Electronic and Electrical Equipment|Electronic Equipment: Control and Filter|N||N||||||Y|0|Y||Y|2|||16.86|16.88|0.0|16.78|16.86|16.865|16.86|16.88|0.0|0.0|16.86|16.87|16.87|16.88|16.88|16.88|16.87|16.88|16.89|16.88|16.86|16.88|12.77|20.65|16.85|16.9|16.84|16.9|16.86|16.91|16.86|16.88|20.1638|14.195|827399|148343364 8902|RF|RF|7591EP100|US7591EP1005|Regions Financial Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|J|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-1|TXN2-7|TXN1-6|TXN4-4|TXN4-3|930070000|||Quarterly|||||2002-05-03||||||| | | | | | | | | |||N|5|Y|Y|402B|USA|US|||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||Y|1|||17.65|17.645|0.0|17.64|17.65|17.65|17.645|17.655|0.0|0.0|17.65|17.65|17.65|17.66|17.65|17.64|17.64|17.65|17.66|17.64|17.64|17.65|16.49|18.7|17.64|17.66|17.62|17.68|17.61|17.69|17.64|17.65|24.33|13.715|8158145|2235447693 44086|RF PRB|RFpB|7591EP506|US7591EP5063|Regions Financial Corporation|Depositary Shares, Each Representing a 1/40th Interest in a Share of 6.375% Fixed-to-Floating Rate Non-Cumulative Perpetual Preferred Stock, Series B|Operating company|B|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN2-2|TXN7-8|TXN2-3|TXN3-3|20000000|||Quarterly|||||2014-04-30||||||| | | | | | | | | |||N|0|N|N|402B|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||22.25|22.33|0.0|22.25|22.25|22.33|22.22|22.28|0.0|0.0|22.25|22.25|22.23|22.25|21.871562|22.25|22.26|22.25|22.25|22.25|22.22|22.25|17.21|27.4|22.21|22.7|17.21|27.4|0.0|0.0|22.22|22.25|26.36|18.68|209765|17572504 63546|RF PRC|RFpC|7591EP704|US7591EP7044|Regions Financial Corporation|Depositary Shares, each Representing a 1/40th Interest in a Share of 5.700% Fixed-to-Floating Rate Non-Cumulative Perpetual Preferred Stock, Series C|Operating company|B|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN2-4|TXN8-8|TXN3-2|TXN4-2|20000000|||Quarterly|||||2019-05-03||||||| | | | | | | | | |||N|0|N|N|402B|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||20.16|20.16|0.0|0.0|20.14|20.225|20.18|20.17|0.0|0.0|20.16|20.05|20.19|0.0|0.0|20.18|0.0|20.18|0.0|20.18|20.17|20.24|15.37|24.69|19.82|20.68|15.37|24.69|0.0|0.0|20.17|20.24|25.5767|16.48|79527|18172990 70494|RF PRE|RFpE|7591EP886|US7591EP8869|Regions Financial Corporation|Depositary Shares, Each Representing a 1/40th Interest in a Share of 4.45% Non-Cumulative Perpetual Preferred Stock, Series E|Operating company|B|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN1-1|TXN8-8|TXN3-5|TXN3-1|16000000|||Quarterly|||||2021-05-06||||||| | | | | | | | | |||N|0|N|N|402B|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||16.62|16.63|0.0|0.0|16.461875|16.77|16.6401|16.7|0.0|0.0|16.401875|0.0|16.7|16.83|0.0|16.73|0.0|16.64|16.261875|16.73|16.64|16.74|0.0|0.0|16.41|17.09|0.0|0.0|0.0|0.0|16.64|16.74|20.2999|14.1601|18014|14684797 73911|RFAC|RFAC|74954L104|US74954L1044|RF Acquisition Corp|CL A COM 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Rights|||D|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-5|TXN6-6|TXN10-5|TXN5-8|TXN6-1|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||50|5020|502040|50204000|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Industrial|N||N||||||N|0|Y|D|||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.007|0.15|0.28|0.07|0|1979182 73752|RFACU|RFACU|74954L203|US74954L2034|RF Acquisition Corp|UNITS||R|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN6-4|TXN13-4|TXN6-1|TXN6-2|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||SGP||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|9.69|11.87|11.37|9.4|0|179010 73913|RFACW|RFACW|74954L112|US74954L1127|RF Acquisition Corp|WT EXP 050128||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-7|TXN6-3|TXN11-3|TXN6-3|TXN6-7|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||SGP||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.084|0.0|0.0|0.0|0.0|0.02|0.04|0.0832|0.0056|0|4303902 53330|RFCI|RFCI|00162Q536|US00162Q5365|ALPS ETF Trust|RiverFront Dynamic Core Income ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ALPS|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN1-8|TXN2-8|TXN4-2|TXN1-4|1175000|||Monthly|||||2016-06-14||RFCI.NV|RFCI.SO|RFCI.EU|RFCI.TC|RFCI.IV| | | | | | | | | ||The Fund seeks to achieve its investment objective by investing in a global portfolio of fixed income securities of various maturities, ratings and currency denominations. The Fund utilizes various investment strategies in a broad array of fixed income sectors. The Fund allocates its investments based upon the analysis of RiverFront Investment Group, LLC (RiverFront, or the Sub-Adviser) of the pertinent economic and market conditions, as well as yield, maturity, credit and currency considerations.|N|0|N|N|416A|USA|US|FIXED_INCOME|ACTIVE|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|21.98|0.0|0.0|0.0|21.995|21.99|21.34471|0.0|0.0|0.0|0.0|22.0|0.0|0.0|0.0|0.0|21.9952|0.0|21.9952|0.0|0.0|0.0|0.0|22.0|22.05|0.0|0.0|0.0|0.0|21.89|22.05|22.795|20.99|2671|1252965 53277|RFDA|RFDA|00162Q528|US00162Q5282|ALPS ETF Trust|RiverFront Dynamic US Dividend Advantage ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ALPS|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-3|TXN2-5|TXN8-8|TXN1-1|TXN4-4|1600002|||Monthly|||||2016-06-07||RFDA.NV|RFDA.SO|RFDA.EU|RFDA.TC|RFDA.IV| | | | | | | | | ||The Funds will be managed by ALPS Advisors, Inc. (Adviser). RiverFront Investment Group, LLC (Sub-Adviser) is the investment sub-adviser for the Funds.The Fund will be to seek to provide capital appreciation and dividend income. Under normal market conditions, the Fund will seek to achieve its investment objective by investing at least 65% of its net assets in a portfolio of exchange-traded equity securities of publicly traded U.S. companies with the potential for dividend growth. The exchange-traded equity securities the Fund may invest in as part of its principal investments are common stocks and common or preferred shares of real estate investment trusts (REITs).The Fund may invest in exchange-traded equities issued by small-, mid-, and large-capitalization companies. The Fund may also invest in other exchange-traded funds (ETFs) and/or exchange-traded closed-end funds (CEFs) which invest in equity securities.The Exchange states that in selecting the Funds portfolio securities, the Sub-Adviser assembles a portfolio of eligible securities based on several core attributes such as value, quality, and momentum. The Sub-Adviser will consider multiple proprietary factors within each core attribute, such as the price-to-book value of a security when determining value, a companys cash as a percentage of the companys market capitalization when determining quality, and a securitys three month relative price change when determining momentum. Additionally, within a given sector, security selection will emphasize companies offering a meaningful dividend yield premium over alternative investments within that sector. This dividend yield emphasis is subject to quality screens intended to limit exposure to companies whose financial characteristics suggest the potential for dividend cuts. The Sub-Adviser then assigns each qualifying security a score based on its core attributes, including its dividend growth score, and selects the individual securities with the highest scores for investment. The Exchange states that in doing so, the Sub-Adviser will utilize its proprietary optimization process to maximize the percentage of high-scoring securities included in the portfolio. The Exchange states that the Sub-Adviser will also consider the market capitalization of the companies in which the Fund may invest, the potential for dividend income, and the trading volume of a companys shares in the secondary market.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||45.63|0.0|0.0|0.0|0.0|0.0|46.0609|0.0|0.0|0.0|0.0|0.0|46.11|0.0|0.0|0.0|0.0|46.1895|0.0|46.1895|45.72|46.67|46.07|46.16|46.14|46.24|46.13|46.25|0.0|0.0|46.14|46.24|47.7599|39.11|1475|918784 52910|RFDI|RFDI|33739P608|US33739P6088|First Trust RiverFront Dynamic Developed International ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN5-1|TXN10-7|TXN5-6|TXN5-7|2067387|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|58.1143|0.0|0.0|0.0|0.0|0.0|58.14|0.0|0.0|0.0|0.0|58.1143|0.0|58.14|0.0|0.0|0.0|0.0|58.01|58.35|0.0|0.0|0.0|0.0|58.14|58.18|59.42|52.24|1980|1274308 53352|RFEM|RFEM|33739P707|US33739P7078|First Trust RiverFront Dynamic Emerging Markets ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN6-2|TXN10-5|TXN5-2|TXN5-4|600002|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|56.6|0.0|0.0|0.0|0.0|0.0|56.6932|0.0|0.0|0.0|0.0|56.6|0.0|56.6932|0.0|0.0|0.0|0.0|56.5|57.08|0.0|0.0|0.0|0.0|56.66|56.72|57.28|50.37|1056|970012 52911|RFEU|RFEU|33739P806|US33739P8068|First Trust RiverFront Dynamic Europe ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN6-1|TXN14-3|TXN6-8|TXN5-7|150002|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|61.01|0.0|0.0|0.0|0.0|0.0|0.0|61.01|0.0|0.0|0.0|0.0|60.36|61.13|0.0|0.0|0.0|0.0|60.81|61.02|62.95|54.85|2|80767 53278|RFFC|RFFC|00162Q510|US00162Q5100|ALPS ETF Trust|ALPS Active Equity Opportunity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ALPS|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-1|TXN2-3|TXN7-7|TXN2-2|TXN1-7|525002|||Monthly|||||2016-06-07||RFFC.NV|RFFC.SO|RFFC.EU|RFFC.TC|RFFC.IV| | | | | | | | | ||The Funds will be managed by ALPS Advisors, Inc. (Adviser). RiverFront Investment Group, LLC (Sub-Adviser) is the investment sub-adviser for the Funds.The Fund will be to seek to provide capital appreciation. Under normal market conditions, the Fund will seek to achieve its investment objective by investing at least 65% of its net assets in a portfolio of exchange-traded equity securities of publicly traded U.S. companies. The exchange-traded equity securities the Fund may invest in as part of its principal investments are common stocks and common or preferred shares of REITs.The Fund may invest in exchange traded equities issued by small-, mid-, and large-capitalization companies. The Fund may also invest in other ETFs11 and/or CEFs which invest inequity securities.The Exchange states that in selecting the Funds portfolio securities, the Sub-Adviser assembles a portfolio of eligible securities based on several core attributes such as value, quality, and momentum. According to the Exchange, the Sub-Adviser will consider multiple proprietary factors within each core attribute, such as the price-to-book value of a security when determining value, a companys cash as a percentage of the companys market capitalization when determining quality, and a securitys three month relative price change when determining momentum. The Sub-Adviser then assigns each qualifying security a score based on its core attributes and selects the individual securities with the highest scores for investment. In doing so, the Sub-Adviser utilizes its proprietary optimization process to maximize the percentage of high-scoring securities included in the portfolio. The Sub-Adviser will also consider the market capitalization of the companies in which the Fund may invest, and the trading volume of a companys shares in the secondary market.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|45.31|0.0|0.0|0.0|0.0|45.3197|0.0|0.0|0.0|0.0|0.0|45.31|0.0|0.0|0.0|0.0|45.3775|0.0|45.3775|44.91|45.84|0.0|0.0|45.35|45.4|45.35|45.42|0.0|0.0|45.35|45.42|45.5684|39.3|1078|481417 16192|RFG|RFG|46137V217|US46137V2170|Invesco Exchange-Traded Fund Trust|Invesco S&P MidCap 400 Pure Growth ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Invesco|Latour Trading, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN1-4|TXN1-8|TXN2-2|TXN2-5|6260105|||Quarterly|||||2018-04-09||RFG.NV|RFG.SO|RFG.EU|RFG.TC|RFG.IV| | | | | | | | | |1x|Seeks to replicate as closely as possible, before expenses, the performance of the S&P MidCap 400/Citigroup Pure Growth Index. The S&P MidCap 400/Citigroup Pure Growth Index is narrow in focus, containing only those S&P MidCap 400 companies with strong growth characteristics as selected by S&P. As of December 31, 2008, the S&P MidCap 400/Citigroup Pure Growth Index included 114 of the constituents that comprise the S&P MidCap 400. As of December 31, 2008, the S&P MidCap 400/Citigroup Pure Growth Index included companies with a capitalization range of $132 million to $5 billion.|N|0|N|N|406C|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||0.0|40.09|0.0|0.0|0.0|40.01|40.1095|0.0|0.0|0.0|40.09|0.0|40.15|0.0|0.0|0.0|0.0|40.1495|0.0|40.1495|40.12|40.22|0.0|0.0|40.12|40.14|40.05|48.13|0.0|0.0|40.12|40.14|200.3904|36.75|8060|1492962 8905|RFI|RFI|19247R103|US19247R1032|Cohen & Steers Total Return Realty Fund, Inc.|Common Stock|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN2-4|TXN2-8|TXN4-3|TXN2-7|26160000|||Monthly|||||1993-09-17||||||| | | | | | | | | |||N|0|N|N|406B|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||11.42|11.54|0.0|11.31|11.57|11.55|11.57|11.56|0.0|0.0|11.57|11.56|11.56|11.69|0.0|11.57|0.0|11.57|0.0|11.57|11.56|11.58|8.99|14.32|10.82|12.31|11.52|11.61|11.55|11.6|11.56|11.58|14.12|9.62|87074|16025413 3428|RFIL|RFIL|749552105|US7495521053|RF Industries Ltd|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN6-5|TXN10-6|TXN5-3|TXN5-5|10290000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502020|50202010|Industrials|Industrial Goods and Services|Electronic and Electrical Equipment|Electrical Components |N||N||||||Y|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|2.78|0.0|0.0|0.0|0.0|0.0|2.73|0.0|0.0|0.0|0.0|2.83|0.0|2.83|2.57|3.0|0.0|0.0|2.56|3.01|2.13|3.48|0.0|0.0|2.72|2.84|5.9299|2.51|3388|2919060 60760|RFL|RFL|75062E106|US75062E1064|Rafael Holdings, Inc.|Class B Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN1-2|TXN5-8|TXN3-5|TXN4-5|23720000|||NotApplicable|||||2019-11-21||||||| | | | | | | | | |||N|0|N|Y|140A|USA|US|||35|3510|351010|35101010|Real Estate|Real Estate |Real Estate Investment and Services Development|Real Estate Holding and Development |N||N||||||Y|0|Y||Y|2|||0.0|1.83|0.0|0.0|0.0|1.81|1.801|0.0|0.0|0.0|1.76|0.0|1.83|0.0|0.0|1.81|0.0|1.81|0.0|1.81|1.81|1.83|1.45|2.22|1.77|1.83|1.45|2.22|0.0|0.0|1.81|1.83|2.52|1.44|7092|10939944 65926|RFM|RFM|76883H104|US76883H1041|RiverNorth Flexible Municipal Income Fund, Inc.|Common Stock|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN2-4|TXN5-8|TXN2-4|TXN2-5|6120000|||Monthly|||||2020-03-27||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|15.135|15.1699|15.14|0.0|0.0|14.94|0.0|15.11|15.1|0.0|15.15|0.0|15.08|0.0|15.15|15.07|15.15|15.07|15.17|14.05|16.15|0.0|0.0|0.0|0.0|15.07|15.15|16.9366|12.885|9781|4118406 69285|RFMZ|RFMZ|76883Y107|US76883Y1073|RiverNorth Flexible Municipal Income Fund II, Inc.|Common Stock|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN4-1|TXN9-8|TXN1-1|TXN4-4|24350000|||Monthly|||||2021-02-24||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||13.3|13.3|0.0|13.31|13.31|13.34|13.31|13.325|0.0|0.0|13.32|13.33|13.31|13.34|0.0|13.28|13.33|13.29|0.0|13.28|13.28|13.31|10.22|16.41|12.5|14.24|13.26|13.34|13.28|13.32|13.28|13.31|14.93|11.28|71069|13830708 16191|RFV|RFV|46137V191|US46137V1917|Invesco Exchange-Traded Fund Trust|Invesco S&P MidCap 400 Pure Value ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Invesco|IMC Chicago, LLC, DBA IMC Financial Markets|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-6|TXN3-7|TXN7-4|TXN1-3|TXN3-7|2520499|||Quarterly|||||2018-04-09||RFV.NV|RFV.SO|RFV.EU|RFV.TC|RFV.IV| | | | | | | | | |1x|Seeks to replicate as closely as possible, before expenses, the performance of the S&P MidCap 400/Citigroup Pure Value Index. The S&P MidCap 400/Citigroup Pure Value Index is narrow in focus, containing only those S&P MidCap 400 companies with strong value characteristics as selected by S&P. As of December 31, 2008, the S&P MidCap 400/Citigroup Pure Value Index included 93 of the constituents that comprise the S&P MidCap 400. As of December 31, 2008, the S&P MidCap 400/Citigroup Pure Value Index included companies with a capitalization range of $43.8 million to $4.4 billion.|N|0|N|N|406C|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|1|||107.37|107.4|0.0|0.0|107.37|107.52|107.4947|107.405|0.0|0.0|107.51|0.0|107.4|107.37|0.0|0.0|0.0|107.6531|0.0|107.6531|101.81|112.82|0.0|0.0|107.5|107.63|101.81|112.82|0.0|0.0|107.5|107.63|110.46|87.1|45646|7409366 8910|RGA|RGA|759351604|US7593516047|Reinsurance Group of America, Incorporated|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN3-2|TXN9-7|TXN4-7|TXN2-6|65910000|||Quarterly|||||2008-11-26||||||| | | | | | | | | |||N|0|Y|Y|410B|USA|US|||30|3030|303020|30302020|Financials|Insurance|Non-life Insurance|Reinsurance|N||N||||||Y|0|Y||Y|1|||164.03|163.98|0.0|164.07|164.03|163.76|163.96|164.08|0.0|0.0|163.74|163.89|163.96|163.895|164.0|163.97|163.82|164.07|163.62|163.97|163.96|163.97|154.08|174.96|163.07|164.8|163.83|164.17|163.85|164.2|163.96|163.97|164.8|120.99|216772|90639387 71179|RGC|RGC|G7487R100|KYG7487R1002|Regencell Bioscience Holding Ltd|ORD SHS||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN6-2|TXN13-7|TXN5-5|TXN6-3|13010000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||HKG||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|10.4993|0.0|0.0|0.0|0.0|0.0|10.93|0.0|0.0|0.0|0.0|10.4993|0.0|10.4993|7.89|13.16|0.0|0.0|9.34|11.69|7.89|13.16|0.0|0.0|10.0|10.97|32.89|10.485|449|318393 3432|RGCO|RGCO|74955L103|US74955L1035|RGC Resources Inc|COM USD5||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN5-6|TXN14-5|TXN6-1|TXN5-8|10000000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||65|6510|651020|65102020|Utilities|Utilities|Gas, Water and Multi-utilities |Gas Distribution|N||N||||||Y|0|Y||||||0.0|19.15|0.0|0.0|0.0|18.8|18.85|0.0|0.0|0.0|19.13|0.0|18.9|19.086|0.0|0.0|0.0|18.85|0.0|18.9|18.49|19.42|0.0|0.0|18.56|19.35|0.0|0.0|0.0|0.0|18.85|19.01|24.5|15.36|22488|7023803 3433|RGEN|RGEN|759916109|US7599161095|Repligen Corp|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN5-6|TXN14-6|TXN5-1|TXN5-1|55830000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||USA||||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||Y|0|Y||||||163.08|161.61|0.0|161.94|161.16|161.91|161.53|161.48|0.0|0.0|161.87|0.0|161.5|162.945|0.0|161.72|161.89|161.5|0.0|161.5|160.27|163.31|151.56|172.82|160.34|163.13|153.33|171.67|0.0|0.0|161.44|161.5|200.98|110.45|495347|136559326 72262|RGF|RGF|75601G109|US75601G1094|The Real Good Food Co Inc|COM CL A USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN5-3|TXN12-7|TXN6-2|TXN5-1|19510000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||45|4510|451020|45102020|Consumer Staples |Food, Beverage and Tobacco |Food Producers|Food Products|N||N||||||N|0|Y||||||1.79|1.79|0.0|0.0|1.78|1.78|1.76|1.78|0.0|0.0|1.77|0.0|1.79|1.8|0.0|1.8|0.0|1.76|1.8|1.79|1.69|1.85|1.44|2.22|1.71|1.8|1.74|1.83|1.73|1.83|1.76|1.79|7.685|1.44|216978|18352558 3438|RGLD|RGLD|780287108|US7802871084|Royal Gold Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN5-7|TXN12-2|TXN5-7|TXN5-8|65690000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||USA||||55|5510|551030|55103025|Basic Materials|Basic Resources|Precious Metals and Mining|Gold Mining|N||N||||||Y|0|Y||||||121.01|121.045|0.0|121.04|121.04|121.05|121.01|120.98|0.0|0.0|121.06|121.3|121.04|121.09|0.0|121.02|0.0|121.05|0.0|121.04|120.2|121.69|112.1|128.04|120.74|121.28|120.87|121.18|120.97|121.09|121.04|121.05|147.82|101.82|399098|98597706 40799|RGLS|RGLS|75915K309|US75915K3095|Regulus Therapeutics Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN5-4|TXN11-6|TXN5-6|TXN5-4|20220000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||1.39|0.0|0.0|0.0|0.0|1.4|1.37|0.0|0.0|0.0|1.35|0.0|1.36|0.0|0.0|0.0|0.0|1.4|0.0|1.4|1.26|1.47|0.0|0.0|1.29|1.48|1.02|1.66|0.0|0.0|1.35|1.4|2.14|0.76|12817|9478244 50686|RGNX|RGNX|75901B107|US75901B1070|REGENXBIO Inc|COM USD.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN5-3|TXN13-5|TXN5-6|TXN6-5|43990000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||20.02|19.98|0.0|19.83|20.03|19.95|20.0|20.02|0.0|0.0|20.01|19.96|20.01|19.92|19.83|20.0|0.0|20.0|19.91|20.01|19.81|20.16|15.32|24.63|19.8|20.17|19.97|20.07|19.97|20.07|20.0|20.02|25.54|12.82|430648|94912352 3405|RGP|RGP|76122Q105|US76122Q1058|Resources Connection Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN6-7|TXN13-7|TXN5-7|TXN6-4|33700000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502050|50205020|Industrials|Industrial Goods and Services|Industrial Support Services|Professional Business Support Services|N||N||||||Y|0|Y||||||14.22|14.24|0.0|14.25|14.23|14.25|14.22|14.225|0.0|0.0|14.23|14.24|14.22|14.23|14.18|14.23|14.2|14.225|14.23|14.22|14.1|14.36|10.81|17.44|14.21|14.34|14.2|14.25|14.2|14.25|14.22|14.23|19.54|13.0|239677|45155387 8918|RGR|RGR|864159108|US8641591081|Sturm, Ruger & Company, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|M|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN2-7|TXN8-8|TXN4-7|TXN2-6|17720000|||Quarterly|||||1990-06-20||||||| | | | | | | | | |||N|0|N|Y|144E|USA|US|||40|4020|402030|40203050|Consumer Discretionary|Consumer Products and Services|Leisure Goods|Recreational Products|N||N||||||Y|0|Y||Y|2|||45.35|45.19|0.0|45.2|45.15|45.15|45.21|45.15|0.0|0.0|45.15|44.58|45.25|44.66|45.15|45.24|45.09|45.24|45.14|45.24|45.22|45.23|34.65|55.0|45.06|45.31|45.15|45.31|45.22|45.32|45.22|45.23|63.21|43.0901|142001|27276312 8919|RGS|RGS|758932206|US7589322061|Regis Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN4-3|TXN6-8|TXN3-4|TXN2-8|2280000|||NotApplicable|||||2003-03-27||||||| | | | | | | | | |||N|0|N|Y|120A|USA|US|||40|4020|402010|40201070|Consumer Discretionary|Consumer Products and Services|Consumer Services |Consumer Services: Misc.|N||N||||||Y|2|Y|C|Y|2|||6.93|6.67|0.0|6.6325|0.0|6.73|6.75|6.75|0.0|0.0|6.54|6.68|6.74|6.75|7.32|6.82|6.19|6.8|6.91|6.82|6.76|6.81|5.22|8.26|6.73|7.03|5.36|7.86|0.0|0.0|6.64|6.81|8.5621|0.3133|48168|53129042 42848|RGT|RGT|78081T104|US78081T1043|Royce Global Value Trust, Inc.|Common Stock|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN4-6|TXN7-8|TXN1-1|TXN2-6|6310000|||Yearly|||||2013-10-08||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||8.46|9.28|0.0|0.0|8.93|9.27|9.26|9.265|0.0|0.0|9.22|9.21|9.27|0.0|0.0|9.26|9.27|9.26|0.0|9.26|9.24|9.27|9.23|9.26|8.55|9.88|0.0|0.0|0.0|0.0|9.24|9.27|10.05|7.84|104909|2559350 70323|RGTI|RGTI|76655K103|US76655K1034|Rigetti Computing Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN6-8|TXN14-3|TXN6-3|TXN5-6|140580000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101010|10101010|Technology|Technology|Software and Computer Services|Computer Services|N||N||||||Y|0|Y||||||1.16|1.16|0.0|1.15|1.15|1.16|1.155|1.155|0.0|0.0|1.155|1.15|1.16|1.16|1.15|1.16|1.15|1.16|1.15|1.16|1.15|1.18|0.888|1.35|1.15|1.17|1.12|1.19|1.15|1.2|1.15|1.16|3.43|0.3601|3436395|900843463 70324|RGTIW|RGTIW|76655K111|US76655K1117|Rigetti Computing Inc|WT EXP||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-1|TXN5-5|TXN13-4|TXN6-2|TXN6-6|140180000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y|C|||||0.16|0.1519|0.0|0.0|0.16|0.158|0.15|0.0|0.0|0.0|0.1599|0.15|0.15|0.16|0.0|0.16|0.0|0.15|0.16|0.15|0.0|0.0|0.0|0.0|0.14|0.1599|0.0|0.0|0.0|0.0|0.14|0.15|0.5699|0.0351|39248|9856812 40928|RH|RH|74967X103|US74967X1037|RH|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-7|TXN3-3|TXN6-6|TXN4-4|TXN4-4|18400000|||Adhoc|||||2012-11-02||||||| | | | | | | | | |||N|0|Y|Y|124B|USA|US|||40|4040|404010|40401025|Consumer Discretionary|Retail |Retailers |Home Improvement Retailers|N||N||||||Y|0|Y||Y|1|||290.09|290.23|0.0|290.47|290.21|290.16|290.44|290.21|0.0|0.0|290.19|289.12|290.32|290.08|290.09|290.26|288.45|290.47|279.385|290.26|290.25|290.48|271.79|306.0|288.45|291.79|289.85|290.76|290.27|290.83|290.25|290.48|406.38|207.26|665980|182345329 73735|RHCB|RHCB|09661T842|US09661T8421|BNY Mellon ETF Trust|BNY Mellon Responsible Horizons Corporate Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BNY Mellon|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-3|TXN4-6|TXN2-8|TXN1-4|TXN4-7|500001|||Monthly|||||2022-03-22||RHCB.NV|RHCB.SO|RHCB.EU|RHCB.TC|RHCB.IV| | | | | | | | | |1x|To pursue its goal, the fund normally invests at least 80% of its net assets, plus the amount of any borrowings for investment purposes, in corporate debt securities issued by companies that demonstrate attractive investment attributes and attractive business practices based on an environmental, social and governance (ESG) evaluation methodology. The funds investment in corporate debt securities principally includes corporate bonds, notes and debentures of U.S. and non-U.S. issuers, including the securities of issuers in emerging market countries.|N|0|N|N|408A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|2|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|44.965|0.0|44.965|0.0|0.0|0.0|0.0|44.91|45.02|0.0|0.0|0.0|0.0|44.92|45.11|46.8519|42.245|0|5262 59685|RHE|RHE|75903M309|US75903M3097|Regional Health Properties Inc.|Common Stock no par value|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Brendan E. Cryan and Company, L.L.C.|CRYN|0235|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-6|TXN2-2|TXN2-8|TXN3-3|TXN3-1|1880000|||Adhoc|||||2019-01-02||||||| | | | | | | | | |||N|0|N|N|140A|USA|US|||35|3510|351010|35101010|Real Estate|Real Estate |Real Estate Investment and Services Development|Real Estate Holding and Development |N||N||||||N|2|Y||Y|2|||0.0|1.85|0.0|0.0|0.0|1.86|2.0799|1.85|0.0|0.0|0.0|1.73|0.0|1.84|0.0|0.0|2.06|2.06|0.0|2.06|1.64|2.38|2.02|2.07|1.89|2.07|1.64|2.38|0.0|0.0|2.02|2.07|4.52|1.35|10601|3182711 59686|RHE PRA|RHEpA|75903M200|US75903M2008|Regional Health Properties Inc.|10.875% Series A Cumulative Redeemable Preferred Shares|Operating company|B|N|N|A|Y|Y|Y|Y|Y|||Brendan E. Cryan and Company, L.L.C.|CRYN|0235|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN11-3|TXN2-5|TXN1-5|TXN2-8|TXN2-4|560000|||Quarterly|||||2017-10-02||||||| | | | | | | | | |||N|0|N|N|140A|USA|US|||35|3510|351010|35101010|Real Estate|Real Estate |Real Estate Investment and Services Development|Real Estate Holding and Development |N||N||||||N|2|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.52|0.59|0.0|0.0|0.0|0.0|0.0|0.0|0.52|0.59|6.0|0.28|0|449546 8924|RHI|RHI|770323103|US7703231032|Robert Half Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-7|TXN3-2|TXN2-6|TXN1-8|TXN4-6|105900000|||Quarterly|||||1990-01-22||||||| | | | | | | | | |||N|5|Y|Y|104C|USA|US|||50|5020|502050|50205025|Industrials|Industrial Goods and Services|Industrial Support Services|Business Training and Employment Agencies|N||N||||||Y|0|Y||Y|1|||84.82|84.85|0.0|84.75|84.79|84.84|84.81|84.76|0.0|0.0|84.91|84.79|84.79|84.78|84.9|84.8|84.79|84.81|84.82|84.8|84.8|84.81|79.55|89.76|84.4|84.84|84.73|84.85|84.69|84.85|84.8|84.81|89.78|64.65|906516|218092450 6499|RHP|RHP|78377T107|US78377T1079|Ryman Hospitality Properties, Inc.|Common Stock|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|6|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-6|TXN3-2|TXN6-7|TXN1-5|TXN3-3|59710000|||Quarterly|||||1991-10-24||||||| | | | | | | | | |||N|0|N|Y|144A|USA|US|||35|3510|351020|35102015|Real Estate|Real Estate |Real Estate Investment Trusts|Hotel and Lodging REITs|N||N||||||Y|0|Y||Y|2|||102.3|102.475|0.0|102.5|102.56|102.55|102.53|102.46|0.0|0.0|102.52|102.52|102.45|102.44|102.38|102.44|102.25|102.44|102.58|102.44|102.44|102.55|78.43|125.56|102.38|102.69|102.33|102.62|102.41|102.55|102.44|102.55|102.85|77.18|692990|105038270 72282|RHRX|RHRX|85521B775|US85521B7753|Starboard Investment Trust|RH Tactical Rotation ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Nottingham|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-4|TXN3-4|TXN3-8|TXN2-2|TXN3-2|1827274|||Yearly|||||2021-11-08||RHRX.NV|RHRX.SO|RHRX.EU|RHRX.TC| | | | | | | | | | |1x|The RH Tactical Rotation ETF seeks capital appreciation.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||12.06|12.32|0.0|0.0|0.0|0.0|12.25|0.0|0.0|0.0|12.5|0.0|0.0|0.0|0.0|0.0|0.0|12.272|0.0|12.272|0.0|0.0|12.27|12.38|12.3|12.42|6.23|18.68|0.0|0.0|12.3|12.42|12.895|11.04|566442|2711838 72281|RHTX|RHTX|85521B759|US85521B7597|Starboard Investment Trust|RH Tactical Outlook ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Nottingham|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-2|TXN3-6|TXN6-8|TXN3-2|TXN1-2|843586|||Yearly|||||2021-11-08||RHTX.NV|RHTX.SO|RHTX.EU|RHTX.TC| | | | | | | | | | |1x|The RH Tactical Outlook ETF seeks total return through a combination of capital appreciation and current income, with a secondary goal of downside protection.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|13.4|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|13.3452|0.0|13.3452|13.28|13.39|13.29|13.39|13.3|13.43|6.7|20.08|0.0|0.0|13.3|13.43|14.2099|11.76|131|1535859 3441|RICK|RICK|74934Q108|US74934Q1085|RCI Hospitality Holdings Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN5-2|TXN12-3|TXN6-5|TXN5-5|9420000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4050|405010|40501030|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Recreational Services|N||N||||||Y|0|Y||||||0.0|61.48|0.0|61.19|0.0|61.22|61.37|61.1|0.0|0.0|61.0|0.0|61.51|61.4|0.0|61.42|0.0|61.48|0.0|61.51|60.77|62.07|47.3|74.46|61.11|61.7|61.15|61.76|61.38|61.76|61.38|61.52|97.45|50.43|36952|13283345 71764|RIET|RIET|26922B840|US26922B8404|ETF Series Solutions|Hoya Capital High Dividend Yield ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Hoya Capital Real Estate|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-7|TXN3-7|TXN4-8|TXN4-7|TXN2-1|4730000|||Monthly|||||2021-09-22||RIET.NV|RIET.SO|RIET.EU|RIET.TC|RIET.IV| | | | | | | | | |1x|The Hoya Capital High Dividend Yield ETF uses a passive management investment approach to track the performance, before fees and expenses, of the Index. The Index consists of U.S-listed common and preferred stock of real estate investment trusts (REITs) and real estate operating companies, subject to certain minimum market capitalization and liquidity thresholds. The Index rules divide REITs in the Index universe into three equal sized tiers based on market capitalization: Large-Cap REITs, Mid-Cap REITs, and Small-Cap REITs (each, a Market Cap Tier).|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||0.0|10.49|0.0|0.0|0.0|10.43|10.4797|10.44|0.0|0.0|10.44|0.0|10.49|10.43|0.0|0.0|0.0|10.49|0.0|10.49|8.16|12.45|0.0|0.0|10.46|10.49|8.16|12.45|0.0|0.0|10.46|10.49|12.5|8.77|62736|6827270 8929|RIG|RIG|H8817H100|CH0048265513|Transocean Ltd.|Registered Shares|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|J|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-1|TXN1-1|TXN2-6|TXN3-5|TXN4-3|809030000|||Quarterly|||||2008-12-19||||||| | | | | | | | | |||N|0|N|Y|134B|CHE|US|||60|6010|601010|60101015|Energy|Energy|Oil, Gas and Coal|Offshore Drilling and Other Services|N||N||||||Y|0|Y||Y|2|||6.36|6.36|0.0|6.33|6.37|6.365|6.36|6.365|0.0|0.0|6.37|6.37|6.36|6.37|6.37|6.37|6.375|6.36|6.36|6.37|6.36|6.37|4.9|7.81|6.36|6.37|6.34|6.4|6.35|6.37|6.36|6.37|8.88|3.65|14450075|4109578906 3442|RIGL|RIGL|766559603|US7665596034|Rigel Pharmaceuticals Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN5-3|TXN12-1|TXN6-4|TXN6-4|174370000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||1.075|1.07|0.0|0.0|1.08|1.075|1.075|1.075|0.0|0.0|1.08|1.08|1.08|1.08|1.075|1.08|1.075|1.08|0.0|1.08|1.04|1.08|0.88|1.29|1.05|1.08|1.05|1.1|1.06|1.09|1.07|1.08|2.04|0.712|627375|463621771 42851|RIGS|RIGS|00162Q783|US00162Q7833|ALPS ETF Trust|RiverFront Strategic Income Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ALPS|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN2-5|TXN4-8|TXN3-3|TXN1-2|4950000|||Monthly|||||2013-10-09||RIGS.NV|RIGS.SO|RIGS.EU|RIGS.TC|RIGS.IV| | | | | | | | | ||The Fund seeks total return, with an emphasis on income as the source of that total return.|N|0|N|N|416A|USA|US|FIXED_INCOME|ACTIVE|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|22.61|22.54|22.56|0.0|0.0|0.0|0.0|0.0|22.63|0.0|0.0|0.0|22.54|0.0|22.54|17.88|27.19|0.0|0.0|22.45|22.64|22.2|23.84|22.43|22.68|22.51|22.64|23.5899|21.6602|20456|6227061 31417|RILY|RILY|05580M108|US05580M1080|B. Riley Financial Inc|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN5-8|TXN14-5|TXN5-7|TXN6-7|30580000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302020|30202000|Financials|Financial Services |Investment Banking and Brokerage Services |Diversified Financial Services |N||N||||||Y|0|Y||||||23.21|23.21|0.0|23.19|23.19|23.2|23.17|23.24|0.0|0.0|23.16|23.21|23.13|23.199|23.22|23.17|23.19|23.14|23.27|23.13|22.92|23.49|17.65|28.51|23.05|23.45|23.08|23.25|23.06|23.26|23.13|23.14|60.7163|16.65|1912584|117207791 72777|RILYG|RILYG|05580M793|US05580M7939|B.RILEY FINANCIAL INC 5 Senior Notes due 2026|ETN||U|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN5-3|TXN13-3|TXN6-1|TXN6-8|12990000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|16.65|16.66|16.24|0.0|0.0|16.62|16.51|16.62|0.0|0.0|0.0|0.0|16.65|0.0|16.62|0.0|0.0|0.0|0.0|16.09|16.99|0.0|0.0|0.0|0.0|16.42|16.69|22.19|15.5|43364|6563867 70044|RILYK|RILYK|05580M827|US05580M8275|B. Riley Financial Inc. 5.50 Senior Notes Due 2026|ETN||U|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN6-1|TXN14-3|TXN5-1|TXN6-1|8700000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||||||||||N||N||||||N|0|Y||||||18.76|18.66|0.0|0.0|0.0|18.65|18.69|18.8|0.0|0.0|18.78|18.77|18.625|0.0|0.0|18.75|0.0|18.65|0.0|18.65|0.0|0.0|0.0|0.0|18.6|19.08|0.0|0.0|0.0|0.0|18.6|18.65|23.4499|17.01|44618|5540964 67454|RILYL|RILYL|05580M850|US05580M8507|B. Riley Financial Inc|7.375 DP CUM B||U|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN5-5|TXN14-4|TXN5-2|TXN5-7|1730000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|18.99|0.0|0.0|0.0|18.9|18.83|0.0|0.0|0.0|18.74|18.99|18.88|0.0|0.0|0.0|0.0|18.88|0.0|18.88|0.0|0.0|0.0|0.0|17.37|20.18|0.0|0.0|0.0|0.0|18.46|18.99|25.175|16.35|11179|1530679 65594|RILYM|RILYM|05580M868|US05580M8689|B. Riley Financial Inc 6.375 NT 2025|STRUCTUR PROD||U|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN5-2|TXN13-1|TXN5-5|TXN5-7|5860000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|21.96|21.96|21.95|21.97|0.0|0.0|21.96|21.9|21.81|0.0|0.0|0.0|0.0|21.97|0.0|21.97|0.0|0.0|0.0|0.0|20.98|22.44|0.0|0.0|0.0|0.0|21.35|21.98|24.4199|19.02|32772|4422849 64645|RILYN|RILYN|05580M801|US05580M8010|B. Riley Financial Inc 6.50 NT 2026|ETN||U|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN6-7|TXN14-4|TXN5-7|TXN5-6|7220000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||||||||||N||N||||||N|0|Y||||||0.0|17.97|0.0|17.91|0.0|17.85|18.0999|17.85|0.0|0.0|18.05|17.99|18.05|0.0|0.0|17.85|0.0|18.0|0.0|18.0|0.0|0.0|0.0|0.0|17.49|18.46|0.0|0.0|0.0|0.0|17.83|18.1|24.033|16.03|73906|6812262 63572|RILYO|RILYO|05580M702|US05580M7020|B. Riley Financial Inc 6.25 Senior Notes Due 2024|STRUCT PRODUCT||U|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN5-4|TXN11-8|TXN5-7|TXN5-8|5620000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||||||||||N||N||||||N|0|Y||||||0.0|24.0|0.0|0.0|24.0|24.01|23.972|24.0|0.0|0.0|24.0|24.0|24.0|0.0|0.0|24.0|0.0|24.01|0.0|24.01|0.0|0.0|0.0|0.0|23.6|24.58|0.0|0.0|0.0|0.0|24.0|24.1|25.03|21.5|69561|7607122 64805|RILYP|RILYP|05580M876|US05580M8762|B. Riley Financial Inc|PFD SER A||B|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN6-7|TXN12-1|TXN6-8|TXN5-6|2830000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|17.0|0.0|0.0|0.0|16.97|17.0|0.0|0.0|0.0|17.0|17.0|16.99|0.0|0.0|17.01|0.0|17.0|0.0|17.0|0.0|0.0|0.0|0.0|15.83|18.13|0.0|0.0|0.0|0.0|16.95|17.0|24.0499|14.18|27830|2204653 68892|RILYT|RILYT|05580M835|US05580M8358|B Riley Financial Inc 6.00 Senior Notes Due 2028|ETN||U|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN6-4|TXN13-3|TXN6-5|TXN6-1|10640000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|16.66|17.2|17.36|0.0|0.0|0.0|17.2|0.0|17.36|16.66|0.0|0.0|0.0|17.36|0.0|17.36|13.02|21.19|13.02|21.19|16.93|17.71|13.02|21.19|0.0|0.0|17.25|17.36|22.68|14.5949|41176|6812888 71368|RILYZ|RILYZ|05580M819||B. Riley Financial, Inc. 5.25% Senior Notes due 2028|||U|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN6-3|TXN14-1|TXN6-3|TXN6-3|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||50|5020|502040|50204000|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Industrial|N||N||||||N|0|Y||||||0.0|15.27|0.0|0.0|15.25|15.52|15.54|15.515|0.0|0.0|15.37|15.22|15.53|0.0|0.0|15.49|0.0|15.53|15.45|15.53|15.21|18.9|11.71|18.9|15.19|15.86|11.71|18.9|0.0|0.0|15.49|15.57|21.6299|13.1|131139|11532510 36174|RINC|RINC|46144X438|US46144X4381|Investment Managers Series Trust II|AXS Real Estate Income ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y|||||||||Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-3|TXN1-8|TXN6-8|TXN3-3|TXN2-8|2440000|||Monthly|||||2023-08-28||||||| | | | | | | | | |||N|0|N|N|416A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||24.78|23.2|0.0|0.0|0.0|25.0|25.02|24.155|0.0|0.0|0.0|0.0|24.96|0.0|0.0|24.93|0.0|25.02|24.93|25.02|24.78|25.3|0.0|0.0|24.98|25.06|24.96|25.06|0.0|0.0|24.98|25.06|26.42|20.75|9192|885787 39418|RINF|RINF|74348A814|US74348A8146|ProShares Trust|ProShares Inflation Expectations ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ProShares Advisors |Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-8|TXN3-3|TXN6-8|TXN4-7|TXN4-4|920001|||Quarterly|||||2012-01-12||RINF.NV|RINF.SO|RINF.EU|RINF.TC|RINF.IV| | | | | | | | | |1x|ProShares Inflation Expectations ETF (the Fund) investment results, before fees and expenses, that track the performance of the Citi 30-Year TIPS (Treasury Rate-Hedged) Index. The Fund, under normal circumstances, seeks to remain fully exposed to the Citi 30-Year TIPS (Treasury Rate-Hedged) Index (the Index) and will invest at least 80% of its total assets in securities of the Index. In addition, the Fund will invest in derivatives and other fixed income securities that ProShare Advisors believes, in combination, should track the performance of the Index. The Index tracks the performance of (i) long positions in the most recently issued 30-year Treasury Inflation-Protected Securities (TIPS) and (ii) duration-adjusted short positions in U.S. Treasury bonds of, in aggregate, approximate equivalent duration to the TIPS. The Index seeks to achieve an overall effective duration of zero. 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Residential|N||N||||||Y|0|Y||Y|1|||10.53|10.52|0.0|10.54|10.53|10.53|10.525|10.52|0.0|0.0|10.53|10.53|10.525|10.53|10.53|10.52|10.52|10.525|10.52|10.52|10.52|10.53|10.49|10.56|10.52|10.53|10.49|10.56|10.51|10.57|10.52|10.53|10.58|7.4|3985004|912433106 63990|RITM PRA|RITMpA|64828T300|US64828T3005|Rithm Capital Corp.|7.50% Series A Fixed-to-Floating Rate Cumulative Redeemable Preferred Stock|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN3-8|TXN1-5|TXN4-2|TXN3-3|6200000|||Quarterly|||||2019-07-05||||||| | | | | | | | | 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|||N|0|N|N|414A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||20.51|20.45|0.0|0.0|20.37|20.41|20.4|20.36|0.0|0.0|20.6|0.0|20.48|20.51|0.0|20.48|0.0|20.48|0.0|20.48|20.4|20.48|0.0|0.0|20.09|20.97|0.0|0.0|0.0|0.0|20.4|20.48|20.74|16.72|26810|7762110 71766|RITM PRD|RITMpD|64828T706|US64828T7063|Rithm Capital Corp.|7.00% Fixed-Rate Reset Series D Cumulative Redeemable Preferred Stock|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|6|H|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN1-5|TXN4-8|TXN4-7|TXN4-1|18600000|||Quarterly|||||2021-09-22||||||| | | | | | | | | 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Vehicles|N||N||||||N|0|Y||Y|2|||0.0|10.7|0.0|0.0|0.0|10.69|10.69|10.69|0.0|0.0|10.7|10.69|10.685|10.7|0.0|10.69|10.71|10.69|0.0|10.69|10.67|10.7|8.3|13.2|10.02|10.7|10.66|10.73|10.68|10.7|10.67|10.7|13.39|9.6297|91672|18677177 73979|RIV PRA|RIVpA|76881Y208|US76881Y2081|RiverNorth Opportunities Fund, Inc.|6.00% Series A Perpetual Preferred Stock|Closed end fund|B|N|N|N|Y|Y|Y|Y|Y|11|Q|Virtu Americas LLC|NITC|295|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN1-3|TXN4-8|TXN1-4|TXN1-8|3910000|||Quarterly|||||2022-05-04||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||22.99|23.02|0.0|0.0|23.02|22.96|22.9603|22.82|0.0|0.0|22.96|22.8|22.98|22.85|0.0|22.99|22.97|22.98|0.0|22.99|22.75|22.99|22.85|22.99|21.37|24.52|0.0|0.0|0.0|0.0|22.75|22.99|24.38|21.89|12479|2397976 72332|RIVN|RIVN|76954A103|US76954A1034|Rivian Automotive Inc|COM CL A USD0.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN5-7|TXN11-5|TXN6-7|TXN5-1|949890000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||USA||||40|4010|401010|40101020|Consumer Discretionary|Automobiles and Parts|Automobiles and Parts|Automobiles|N||N||||||Y|0|Y||||||17.74|17.73|0.0|17.71|17.72|17.74|17.73|17.73|0.0|0.0|17.73|17.73|17.74|17.74|17.71|17.72|17.715|17.74|17.71|17.74|17.73|17.74|16.81|18.95|17.73|17.75|17.68|17.76|17.68|17.77|17.73|17.74|31.345|11.68|31666429|8602008946 8935|RJF|RJF|754730109|US7547301090|Raymond James Financial, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|A|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-4|TXN2-7|TXN7-4|TXN2-7|TXN2-2|208610000|||Quarterly|||||1986-04-11||||||| | | | | | | | | |||N|5|Y|Y|404A|USA|US|||30|3020|302020|30202015|Financials|Financial Services |Investment Banking and Brokerage Services |Investment Services|N||N||||||Y|0|Y||Y|1|||106.95|106.98|0.0|106.93|106.97|106.95|106.93|106.96|0.0|0.0|106.98|106.82|106.9|106.97|106.99|106.91|106.99|106.89|106.92|106.91|106.89|106.91|100.44|113.69|106.86|107.08|106.84|106.98|106.83|107.0|106.89|106.91|120.73|82.0|1252394|269968561 74109|RJF PRB|RJFpB|754730406|US7547304060|Raymond James Financial, Inc.|Depositary Shares, Each Representing a 1/40th Interest in a Share of 6.375% Fixed-to-Floating Rate Series B Non-Cumulative Perpetual Preferred Stock|Operating company|B|N|N|N|Y|Y|Y|Y|Y|8|I|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN3-3|TXN2-8|TXN4-1|TXN2-6|3220000|||Quarterly|||||2022-06-01||||||| | | | | | | | | |||N|0|N|N|404A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|25.07|25.07|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|25.07|0.0|25.07|0.0|25.07|24.98|25.15|0.0|0.0|24.5|27.73|0.0|0.0|0.0|0.0|24.98|25.15|25.7556|24.17|2141|1067950 49810|RKDA|RKDA|039014303|US0390143032|Arcadia Biosciences Inc|COM USD0.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN6-6|TXN14-5|TXN5-3|TXN6-3|1110000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||45|4510|451020|45102010|Consumer Staples |Food, Beverage and Tobacco |Food Producers|Farming, Fishing, Ranching and Plantations|N||N||||||N|0|Y||||||2.9|0.0|0.0|0.0|2.81|2.89|2.899|2.92|0.0|0.0|0.0|0.0|2.88|0.0|0.0|0.0|0.0|2.899|0.0|2.899|2.73|3.13|0.0|0.0|2.71|3.09|2.21|3.33|0.0|0.0|2.88|2.98|18.94|0.2|11078|28104167 68161|RKLB|RKLB|773122106|US7731221062|Rocket Lab USA Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN5-4|TXN12-8|TXN6-5|TXN6-7|485890000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502010|50201010|Industrials|Industrial Goods and Services|Aerospace and Defense|Aerospace|N||N||||||Y|0|Y||||||4.58|4.575|0.0|4.58|4.58|4.575|4.575|4.575|0.0|0.0|4.57|4.57|4.58|4.58|4.58|4.57|4.575|4.575|4.57|4.58|4.56|4.6|3.46|5.58|4.57|4.6|4.55|4.61|4.56|4.58|4.57|4.58|8.05|3.48|2843472|929128922 67137|RKT|RKT|77311W101|US77311W1018|Rocket Companies, Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN2-3|TXN7-4|TXN2-2|TXN3-3|133400000|||Adhoc|||||2020-08-06||||||| | | | | | | | | |||N|0|Y|Y|408A|USA|US|||30|3020|302010|30201025|Financials|Financial Services |Finance and Credit Services|Mortgage Finance|N||N||||||Y|0|Y||Y|1|||9.84|9.84|0.0|9.75|9.84|9.84|9.84|9.84|0.0|0.0|9.845|9.84|9.845|9.875|9.84|9.84|9.84|9.85|9.84|9.84|9.84|9.85|9.19|10.45|9.83|9.86|9.81|9.87|9.81|9.87|9.84|9.85|11.945|6.63|2181609|528567084 8942|RL|RL|751212101|US7512121010|Ralph Lauren Corporation|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|I|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-4|TXN3-6|TXN9-4|TXN3-3|TXN4-5|39750000|||Quarterly|||||1997-06-12||||||| | | | | | | | | |||N|5|Y|Y|146F|USA|US|||40|4020|402040|40204020|Consumer Discretionary|Consumer Products and Services|Personal Goods|Clothing and Accessories|N||N||||||Y|0|Y||Y|1|||129.26|129.23|0.0|129.24|129.23|129.24|129.175|129.2|0.0|0.0|129.24|128.96|129.24|129.26|130.39|129.17|129.27|129.15|129.21|129.17|129.15|129.17|120.84|137.03|129.1|129.25|129.07|129.28|129.04|129.28|129.15|129.17|135.755|100.82|967623|208444405 66999|RLAY|RLAY|75943R102|US75943R1023|Relay Therapeutics Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN5-3|TXN13-6|TXN5-6|TXN5-8|123270000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||8.315|8.32|0.0|8.48|8.31|8.31|8.32|8.32|0.0|0.0|8.32|8.29|8.32|8.305|8.3|8.32|8.3|8.31|8.32|8.32|8.22|8.39|6.49|10.25|8.23|8.38|8.3|8.34|8.28|8.34|8.31|8.32|23.18|5.95|705984|300150195 14308|RLGT|RLGT|75025X100|US75025X1000|Radiant Logistics Inc.|Common Stock|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-4|TXN3-1|TXN9-8|TXN3-7|TXN2-4|46940000|||NotApplicable|||||2012-01-11||||||| | | | | | | | | |||N|0|N|N|200A|USA|US|||50|5020|502060|50206060|Industrials|Industrial Goods and Services|Industrial Transportation|Transportation Services|N||N||||||Y|0|Y||Y|2|||6.02|6.075|0.0|6.14|6.08|6.09|6.08|6.07|0.0|0.0|6.07|6.04|6.08|6.015|5.96|6.11|6.07|6.07|6.155|6.07|6.02|6.14|6.08|6.09|6.05|6.11|6.05|6.11|6.04|6.09|6.08|6.09|7.76|4.9289|112510|33182892 8947|RLI|RLI|749607107|US7496071074|RLI Corp.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|J|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN2-2|TXN3-8|TXN3-2|TXN3-6|45630000|||Quarterly|||||1987-05-08||||||| | | | | | | | | |||N|0|Y|Y|410B|USA|US|||30|3030|303020|30302025|Financials|Insurance|Non-life Insurance|Property and Casualty Insurance|N||N||||||N|0|Y||Y|1|||134.43|137.12|0.0|137.1|134.74|137.0|137.26|137.2|0.0|0.0|137.12|137.13|137.29|134.18|134.22|137.22|137.73|137.25|134.6|137.22|137.21|137.26|136.96|137.36|136.05|138.24|136.95|137.35|137.21|137.36|137.21|137.26|149.646|123.045|132356|51202162 38002|RLJ|RLJ|74965L101|US74965L1017|RLJ Lodging Trust|Common Shares of Beneficial Interest|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN4-6|TXN5-8|TXN1-1|TXN4-1|155840000|||Quarterly|||||2011-05-11||||||| | | | | | | | | |||N|0|N|Y|400A|USA|US|||35|3510|351020|35102015|Real Estate|Real Estate |Real Estate Investment Trusts|Hotel and Lodging REITs|N||N||||||Y|0|Y||Y|2|||11.0|11.02|0.0|11.0|11.02|11.015|11.01|11.02|0.0|0.0|11.01|11.02|11.01|11.02|11.02|11.02|11.02|11.01|11.02|11.02|11.0|11.02|8.46|13.41|11.0|11.02|10.99|11.04|10.99|11.02|11.0|11.02|12.92|9.065|2701070|421134985 59501|RLJ PRA|RLJpA|74965L200|US74965L2007|RLJ Lodging Trust|$1.95 Series A Cumulative Convertible Preferred Shares|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN1-7|TXN7-8|TXN1-2|TXN1-8|12880000|||Quarterly|||||2017-09-01||||||| | | | | | | | | |||N|0|N|N|400A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|23.84|0.0|23.4125|23.89|23.59|23.8685|23.9|0.0|0.0|23.65|0.0|23.84|23.79|23.365|23.77|23.75|23.89|23.82|23.77|23.77|23.9|23.75|23.9|23.53|24.38|0.0|0.0|0.0|0.0|23.77|25.09|25.34|23.12|24364|5854080 44575|RLMD|RLMD|75955J402|US75955J4022|Relmada Therapeutics Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN5-4|TXN10-2|TXN5-7|TXN5-5|30100000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||0.0|2.5|0.0|0.0|2.49|2.51|2.5|2.5|0.0|0.0|2.49|2.49|2.51|0.0|0.0|2.49|0.0|2.51|0.0|2.51|2.42|2.57|1.9|3.08|2.49|2.56|2.46|2.54|2.45|2.55|2.49|2.51|4.85|1.81|126890|45717069 73530|RLTY|RLTY|19249Q103|US19249Q1031|Cohen & Steers Real Estate Opportunities and Income Fund|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-7|TXN3-3|TXN9-7|TXN4-8|TXN2-3|15260000|||Monthly|||||2022-02-24||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||13.64|0.0|0.0|0.0|13.65|13.6|13.67|13.625|0.0|0.0|13.67|0.0|13.66|0.0|0.0|13.64|13.68|13.64|12.95|13.64|13.64|13.67|10.57|16.84|12.74|14.57|13.61|13.69|13.62|13.68|13.64|13.67|16.1499|11.38|63625|15997346 68831|RLX|RLX|74969N103|US74969N1037|RLX Technology Inc.|American Depositary Shares, each representing the right to receive one (1) Class A ordinary share|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|8|A|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-4|TXN3-1|TXN6-7|TXN3-2|TXN4-6|1262080000|||Adhoc|||||2021-01-22||||||| | | | | | | | | |||N|0|N|Y|126C|CHN|KY|||45|4510|451030|45103010|Consumer Staples |Food, Beverage and Tobacco |Tobacco|Tobacco|N||N||||||Y|0|Y||Y|2|||2.15|2.14|0.0|2.19|2.15|2.14|2.145|2.14|0.0|0.0|2.14|2.16|2.14|2.145|2.145|2.13|2.14|2.14|2.14|2.13|2.14|2.15|1.68|2.15|2.13|2.15|2.11|2.18|2.13|2.16|2.14|2.15|3.06|1.39|13049888|1950217767 39933|RLY|RLY|78467V103|US78467V1035|SSGA Active Trust|SPDR SSgA Multi-Asset Real Return ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-5|TXN2-6|TXN5-6|TXN4-5|TXN4-5|20260000|||Quarterly|||||2012-04-26||RLY.NV|RLY.SO|RLY.EU|RLY.TC|RLY.IV| | | | | | | | | ||The SPDR SSgA Multi-Asset Real Return ETF seeks to achieve real return consisting of capital appreciation and current income. SSgA Funds Management, Inc. 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Corp|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN5-3|TXN14-5|TXN5-3|TXN6-1|37790000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y|C|||||2.65|2.69|0.0|0.0|2.61|2.67|2.61|2.67|0.0|0.0|2.66|2.66|2.64|2.64|2.64|2.65|0.0|2.59|0.0|2.64|2.52|2.78|2.04|3.19|2.53|2.67|2.53|2.69|2.52|2.7|2.59|2.61|9.875|1.72|198743|16719734 39812|RM|RM|75902K106|US75902K1060|Regional Management Corp.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN4-2|TXN4-8|TXN1-4|TXN1-1|9840000|||Quarterly|||||2012-03-28||||||| | | | | | | | | |||N|0|N|Y|408A|USA|US|||30|3020|302010|30201020|Financials|Financial Services |Finance and Credit Services|Consumer Lending|N||N||||||N|0|Y||Y|2|||23.43|23.27|0.0|24.42|23.37|22.02|23.29|23.41|0.0|0.0|21.54|23.12|23.36|23.26|21.06|23.31|23.52|23.28|21.56|23.31|23.28|23.37|0.0|0.0|22.96|23.84|17.62|28.05|0.0|0.0|23.28|23.37|38.34|20.76|24583|8087658 42780|RMAX|RMAX|75524W108|US75524W1080|RE/MAX Holdings, Inc.|Class A common stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN4-6|TXN3-8|TXN4-7|TXN2-2|18240000|||Quarterly|||||2013-10-02||||||| | | | | | | | | |||N|0|N|Y|414A|USA|US|||35|3510|351010|35101015|Real Estate|Real Estate |Real Estate Investment and Services Development|Real Estate Services|N||N||||||N|0|Y||Y|2|||9.675|9.74|0.0|9.75|9.72|9.72|9.71|9.715|0.0|0.0|9.73|9.72|9.71|9.69|9.62|9.72|9.66|9.71|9.63|9.72|9.71|9.72|7.5|11.9|9.66|9.8|9.69|9.74|9.71|9.75|9.71|9.72|24.28|8.61|670467|46042856 63968|RMBI|RMBI|76525P100|US76525P1003|Richmond Mutual Bancorporation 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A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN5-7|TXN10-3|TXN5-3|TXN6-6|740000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y|D|||||3.2|3.05|0.0|0.0|0.0|3.12|3.0312|3.22|0.0|0.0|3.1|3.1|3.19|0.0|0.0|0.0|0.0|3.0|0.0|3.0|2.36|3.94|2.36|3.94|2.81|3.4|2.36|3.94|0.0|0.0|3.0|3.22|22.9693|2.95|34889|1686615 70422|RMCOW|RMCOW|02369M110|US02369M1100|Royalty Management Holding Corp|WT EXP 052826||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-3|TXN6-3|TXN12-1|TXN5-4|TXN6-6|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y|C|||||0.0|0.0|0.0|0.0|0.0|0.042|0.042|0.0|0.0|0.0|0.049|0.0|0.0421|0.0|0.0|0.0|0.0|0.042|0.0|0.042|0.0121|0.06|0.0121|0.06|0.0121|0.06|0.0121|0.06|0.0|0.0|0.0152|0.049|0.1099|0.0213|7518|568002 8950|RMD|RMD|761152107|US7611521078|ResMed Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|T|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-4|TXN4-5|TXN6-8|TXN2-1|TXN3-8|147090000|||Quarterly|||||1999-09-30||||||| | | | | | | | | |||N|5|Y|Y|122A|USA|US|||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||Y|0|Y||Y|1|||161.54|161.65|0.0|161.59|161.54|161.63|161.52|161.7|0.0|0.0|161.62|161.51|161.52|161.54|161.56|161.53|161.64|161.53|161.65|161.53|161.53|161.54|151.63|172.11|161.45|161.64|161.35|161.78|161.29|161.79|161.53|161.54|243.52|132.24|1103146|230743679 70022|RMGC|RMGC|G76088106|KYG760881063|RMG Acquisition Corp III|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN6-5|TXN11-6|TXN5-3|TXN6-3|640000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|9.96|11.29|0.0|0.0|0.0|0.0|10.6|10.65|11.45|9.9|0|2090659 69075|RMGCU|RMGCU|G76088114|KYG760881147|RMG Acquisition Corp III|UNITS||R|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN6-2|TXN14-6|TXN6-6|TXN6-7|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|7.6|13.78|0.0|0.0|10.11|11.2|7.6|13.78|0.0|0.0|10.11|11.2|11.66|9.39|0|439516 70023|RMGCW|RMGCW|G76088122|KYG760881220|RMG Acquisition Corp III|WT EXP 020826||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-5|TXN5-6|TXN14-4|TXN5-6|TXN6-8|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y|C|||||0.08|0.08|0.0|0.0|0.0|0.0509|0.0|0.0|0.0|0.0|0.0525|0.08|0.0502|0.0|0.0|0.08|0.0|0.0502|0.08|0.0502|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0501|0.09|0.249899|0.03|39611|3737191 62063|RMI|RMI|76883F108|US76883F1084|RiverNorth Opportunistic Municipal Income Fund, Inc.|Common Stock $0.0001 par value per share|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN1-4|TXN6-8|TXN4-6|TXN2-6|6380000|||Monthly|||||2018-10-26||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||15.13|15.31|0.0|0.0|0.0|15.09|15.13|15.2|0.0|0.0|15.09|15.25|15.21|15.37|0.0|15.19|15.265|15.2|0.0|15.19|15.13|15.19|15.12|15.26|15.13|15.25|0.0|0.0|0.0|0.0|15.13|15.19|19.1165|13.05|43661|3849428 75837|RMIF|RMIF|26922B543|US26922B5434|LHA Risk-Managed Income ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-8|TXN1-2|TXN1-5|TXN1-3|TXN3-3|1280000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|24.955|0.0|0.0|0.0|0.0|24.9427|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|24.955|0.0|24.955|0.0|0.0|0.0|0.0|24.82|25.08|0.0|0.0|0.0|0.0|24.93|25.01|25.36|24.79|3380|1375975 64164|RMM|RMM|76882H105|US76882H1059|RiverNorth Managed Duration Municipal Income Fund, Inc.|Common Stock, $0.0001 par value|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN2-5|TXN6-8|TXN4-2|TXN1-1|19740000|||Monthly|||||2019-07-26||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||14.64|14.65|0.0|0.0|14.73|14.68|14.7201|14.685|0.0|0.0|14.71|14.3|14.68|14.64|14.77|14.73|14.73|14.72|14.65|14.73|14.72|14.73|11.25|17.93|13.69|15.63|14.68|14.77|14.69|14.75|14.72|14.73|16.85|12.3209|82789|11735812 73459|RMMZ|RMMZ|76882M104|US76882M1045|RiverNorth Managed Duration Municipal Income Fund II, Inc.|Common Stock|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|H|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN4-7|TXN4-8|TXN4-5|TXN4-3|8460000|||Monthly|||||2022-02-11||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||14.94|14.86|0.0|0.0|14.88|14.85|14.92|14.87|0.0|0.0|14.86|0.0|14.91|14.99|0.0|14.87|0.0|14.92|0.0|14.87|14.86|14.92|0.0|0.0|13.84|15.89|14.82|14.98|14.86|14.92|14.86|14.92|16.99|12.92|25022|5905792 50278|RMNI|RMNI|76674Q107|US76674Q1076|Rimini Street Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN5-7|TXN10-5|TXN5-1|TXN5-4|89390000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101010|10101010|Technology|Technology|Software and Computer Services|Computer Services|N||N||||||Y|0|Y||||||3.22|3.21|0.0|0.0|3.22|3.215|3.21|3.21|0.0|0.0|3.215|3.21|3.22|3.22|3.24|3.215|3.21|3.215|0.0|3.22|3.2|3.24|2.54|3.98|3.21|3.24|3.19|3.24|3.2|3.25|3.21|3.22|5.32|2.005|397484|98097180 59957|RMPL PR|RMPLp|76882B207|US76882B2079|RiverNorth Capital and Income Fund, Inc.|5.875%% Series A Term Preferred Stock $0.0001 par value per share|Closed end fund|B|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN4-7|TXN3-8|TXN1-2|TXN1-4|1660000|||Quarterly|||||2017-10-26||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|24.895|24.8968|0.0|0.0|0.0|24.87|0.0|24.89|0.0|0.0|24.8968|0.0|24.8968|0.0|24.8968|24.89|24.9|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|24.89|24.9|25.48|24.384|1870|630776 52046|RMR|RMR|74967R106|US74967R1068|RMR Group Inc (The)|CL A COM USD0.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN5-3|TXN11-6|TXN5-8|TXN5-2|15710000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||35|3510|351010|35101015|Real Estate|Real Estate |Real Estate Investment and Services Development|Real Estate Services|N||N||||||Y|0|Y||||||25.29|25.52|0.0|0.0|25.51|25.51|25.54|25.52|0.0|0.0|25.47|25.44|25.5|25.46|25.48|25.47|0.0|25.54|0.0|25.5|25.28|25.8|19.57|31.42|25.31|25.75|19.57|25.59|25.46|25.61|25.5|25.55|31.55|20.79|73609|19130642 8956|RMT|RMT|780915104|US7809151043|Royce Micro-Cap Trust, Inc.|Common Stock|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN4-1|TXN6-8|TXN3-1|TXN2-3|48640000|||Quarterly|||||2003-12-01||||||| | | | | | | | | |||N|0|N|N|406B|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||8.67|8.67|0.0|0.0|8.66|8.66|8.67|8.655|0.0|0.0|8.66|0.0|8.675|8.67|0.0|8.67|8.67|8.67|8.67|8.67|8.67|8.68|6.64|10.6|8.67|9.27|8.64|8.71|8.67|8.68|8.67|8.68|9.86|7.67|120024|25162883 3458|RMTI|RMTI|774374300|US7743743004|Rockwell Medical Inc|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN6-7|TXN13-6|TXN6-2|TXN5-3|28490000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201020|20102015|Health Care |Health Care |Medical Equipment and Services|Medical Supplies|N||N||||||Y|0|Y||||||1.78|1.775|0.0|0.0|1.77|1.77|1.775|1.775|0.0|0.0|1.78|1.77|1.78|1.819|0.0|1.77|0.0|1.775|0.0|1.78|1.75|1.81|1.48|2.16|1.75|1.81|1.75|1.81|1.75|1.81|1.77|1.79|6.24|0.942|264209|123816255 66716|RNA|RNA|05370A108|US05370A1088|Avidity Biosciences Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN5-3|TXN10-5|TXN5-8|TXN6-2|74100000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||8.04|8.03|0.0|8.13|8.04|8.035|8.03|8.03|0.0|0.0|8.03|8.03|8.03|8.02|8.04|8.03|8.02|8.02|8.03|8.03|7.94|8.11|6.95|9.78|7.95|8.1|8.0|8.06|8.0|8.06|8.01|8.03|25.74|4.825|1100231|254249111 53371|RNAC|RNAC|816212104|US8162121045|Cartesian Therapeutics Inc|COM USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-8|TXN5-1|TXN11-3|TXN5-7|TXN5-7|155200000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y|D|||||0.9|0.9|0.0|0.9007|0.9|0.898|0.898|0.9|0.0|0.0|0.898|0.899|0.9|0.9|0.9441|0.898|0.97|0.898|0.9|0.9|0.8762|0.9265|0.741|1.12|0.8827|0.918|0.8842|0.9224|0.8791|0.929|0.8991|0.9|1.42|0.785|720164|18732318 70411|RNAZ|RNAZ|89357L204|US89357L2043|TransCode Therapeutics Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-5|TXN6-3|TXN11-6|TXN5-1|TXN6-3|20100000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y|D|||||0.2265|0.2258|0.0|0.0|0.2335|0.2258|0.2265|0.2258|0.0|0.0|0.2258|0.2265|0.228|0.23|0.23|0.2265|0.0|0.2265|0.2306|0.228|0.1907|0.274|0.1907|0.2755|0.2236|0.24|0.1907|0.274|0.0|0.0|0.225|0.228|7.74|0.1494|1989994|599102404 58765|RNEM|RNEM|33738R779|US33738R7796|First Trust Emerging Markets Equity Select ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN5-7|TXN13-4|TXN6-5|TXN5-1|700002|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||49.14|0.0|0.0|0.0|0.0|49.2|49.2842|49.32|0.0|0.0|0.0|0.0|49.25|49.14|0.0|49.14|0.0|49.2842|0.0|49.25|0.0|0.0|0.0|0.0|48.89|49.61|0.0|0.0|0.0|0.0|49.12|49.35|52.1899|42.09|27777|922698 74767|RNEW|RNEW|92189H722|US92189H7228|VanEck Green Infrastructure ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN5-1|TXN12-7|TXN5-2|TXN6-2|80000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|23.53|0.0|0.0|0.0|0.0|0.0|0.0|23.53|0.0|0.0|0.0|0.0|23.5|23.59|0.0|0.0|0.0|0.0|23.52|23.56|28.2|20.92|12|183964 42741|RNG|RNG|76680R206|US76680R2067|RingCentral, Inc|Class A Common Stock, $0.0001 par value per share|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-7|TXN2-8|TXN9-6|TXN4-4|TXN1-5|83820000|||NotApplicable|||||2013-09-27||||||| | | | | | | | | |||N|0|Y|Y|108A|USA|US|||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||Y|1|||32.09|32.1|0.0|32.16|32.11|32.07|32.05|32.05|0.0|0.0|32.07|32.115|32.06|32.05|32.05|32.05|32.05|32.08|32.2|32.05|32.07|32.08|30.32|34.2|32.0|32.1|32.02|32.11|32.01|32.13|32.07|32.08|49.32|25.075|2513249|388468952 59366|RNGR|RNGR|75282U104|US75282U1043|Ranger Energy Services, Inc.|Class A common stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN2-7|TXN6-8|TXN2-6|TXN3-1|24410000|||Quarterly|||||2017-08-11||||||| | | | | | | | | |||N|0|N|Y|134F|USA|US|||60|6010|601010|60101030|Energy|Energy|Oil, Gas and Coal|Oil Equipment and Services|N||N||||||N|0|Y||Y|2|||10.27|10.32|0.0|10.29|10.29|10.31|10.31|10.3|0.0|0.0|10.29|10.41|10.29|10.28|10.29|10.32|10.28|10.28|10.31|10.32|10.3|10.31|7.85|12.7|10.21|10.35|10.27|10.33|10.27|10.33|10.3|10.31|14.64|9.27|504205|28574857 58766|RNLC|RNLC|33738R761|US33738R7614|First Trust Large Cap US Equity Select ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN6-2|TXN10-4|TXN6-7|TXN5-6|550002|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|32.8445|32.82|0.0|0.0|0.0|0.0|32.9049|0.0|0.0|32.79|0.0|32.85|0.0|32.9049|0.0|0.0|32.79|32.99|32.79|32.99|32.79|0.0|32.79|32.99|32.79|32.99|33.58|29.2501|5289|393036 67012|RNLX|RNLX|75973T101|US75973T1016|Renalytix Plc|ADR||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-4|TXN6-8|TXN11-4|TXN5-5|TXN6-8|97430000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201010|20101025|Health Care |Health Care |Health Care Providers|Health Care Services|N||N||||||Y|0|Y||||||0.4|0.4001|0.0|0.0|0.4|0.4097|0.403301|0.4021|0.0|0.0|0.4088|0.4088|0.401|0.405|0.0|0.0|0.0|0.4097|0.0|0.401|0.328|0.492|0.328|0.492|0.382|0.4305|0.328|0.492|0.0|0.0|0.4|0.41|4.0377|0.3966|144756|53536459 58767|RNMC|RNMC|33738R753|US33738R7531|First Trust Mid Cap US Equity Select ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN5-4|TXN14-8|TXN5-8|TXN6-8|650002|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|29.4702|29.43|0.0|0.0|0.0|0.0|29.5|0.0|0.0|0.0|0.0|29.4702|0.0|29.5|0.0|0.0|0.0|0.0|29.4|29.72|0.0|29.72|0.0|29.72|29.5|29.64|30.2398|25.83|1860|811324 8962|RNP|RNP|19247X100|US19247X1000|Cohen & Steers REIT and Preferred and Income Fund, Inc.|Cohen & Steers REIT and Preferred and Income Fund, Inc.|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN1-4|TXN9-8|TXN2-7|TXN3-5|47600000|||Monthly|||||2003-06-25||||||| | | | | | | | | |||N|0|N|N|406B|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||19.43|19.41|0.0|19.39|19.43|19.38|19.39|19.28|0.0|0.0|19.32|19.39|19.38|19.43|19.42|19.4|19.285|19.4|19.34|19.4|19.37|19.4|14.88|23.6|18.15|20.79|19.34|19.43|19.36|19.39|19.37|19.4|24.45|15.52|209029|29721389 8963|RNR|RNR|G7496G103|BMG7496G1033|RenaissanceRe Holdings Ltd.|Common Shares|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-6|TXN1-6|TXN3-7|TXN2-3|TXN4-8|51170000|||Quarterly|||||1996-07-24||||||| | | | | | | | | |||N|0|Y|Y|410B|BMU|BM|||30|3030|303020|30302020|Financials|Insurance|Non-life Insurance|Reinsurance|N||N||||||Y|0|Y||Y|1|||209.03|208.78|0.0|209.03|208.73|208.81|208.75|208.99|0.0|0.0|208.995|209.74|208.75|209.04|208.91|208.76|209.45|208.85|210.33|208.76|208.84|208.85|196.7|223.91|208.63|209.01|208.56|209.08|208.53|208.85|208.84|208.85|227.16|174.22|381584|97613808 61159|RNR PRF|RNRpF|75968N309|US75968N3098|RenaissanceRe Holdings Ltd.|Depositary Shares, each representing 1/1000th interest in a share of the Companys 5.750% Series F Preference Shares|Operating company|B|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN4-3|TXN3-8|TXN3-5|TXN2-5|10000000|||Quarterly|||||2018-06-22||||||| | | | | | | | | |||N|0|N|N|410B|BMU|BM|||||||||||N||N||||||N|0|Y||Y|2|||23.53|23.6|0.0|0.0|23.6|23.4|23.41|23.44|0.0|0.0|23.5|0.0|23.46|0.0|0.0|23.42|23.45|23.42|0.0|23.42|23.41|23.47|23.41|23.48|23.03|23.91|0.0|0.0|23.41|23.48|23.41|23.47|24.47|20.435|32850|4564519 71153|RNR PRG|RNRpG|G7498P127|BMG7498P1279|RenaissanceRe Holdings Ltd.|Depositary Shares, each representing a 1/1,000th interest in a share of 4.20% Series G Preference Shares|Operating company|B|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN1-6|TXN5-8|TXN3-3|TXN4-1|20000000|||Quarterly|||||2021-07-15||||||| | | | | | | | | |||N|0|N|N|410B|BMU|BM|||||||||||N||N||||||N|0|Y||Y|2|||16.78|16.73|0.0|0.0|16.78|16.7|16.7841|16.78|0.0|0.0|0.0|0.0|16.78|0.0|0.0|16.77|16.72|16.78|0.0|16.77|16.71|16.77|16.72|16.8|16.62|17.1|0.0|0.0|0.0|0.0|16.71|16.77|18.86|14.76|49010|12294930 49996|RNRG|RNRG|37954Y707|US37954Y7076|Global X Renewable Energy Producers ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN6-5|TXN11-7|TXN6-8|TXN5-4|4510000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|10.48|0.0|0.0|0.0|0.0|10.4711|0.0|0.0|0.0|10.51|0.0|10.48|0.0|0.0|0.0|0.0|10.49|0.0|10.48|0.0|0.0|0.0|0.0|10.34|10.6|0.0|0.0|0.0|0.0|10.47|10.5|13.9775|9.12|5656|5105138 58768|RNSC|RNSC|33738R746|US33738R7465|First Trust Small Cap US Equity Select ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN6-3|TXN14-6|TXN5-5|TXN6-3|1200002|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||27.0|0.0|0.0|0.0|0.0|0.0|26.9901|27.0|0.0|0.0|0.0|0.0|27.1806|0.0|0.0|27.0|0.0|27.03|27.03|27.1806|0.0|0.0|27.07|0.0|27.13|27.22|27.06|27.28|27.07|27.27|27.13|27.22|29.33|23.86|4434|1224252 3466|RNST|RNST|75970E107|US75970E1073|Renasant Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN1-6|TXN8-8|TXN2-2|TXN4-8|56140000|||Quarterly|||||2023-10-09||||||| | | | | | | | | |||N|0|N|N|402B|USA|US|||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||Y|2|||30.04|30.03|0.0|30.03|30.0|29.94|30.01|30.02|0.0|0.0|30.0|30.0|30.03|30.19|30.03|30.02|28.43|30.03|30.02|30.02|29.99|30.02|23.29|36.68|29.73|30.27|29.95|30.08|29.99|30.1|29.99|30.02|40.86|22.99|267665|50339565 68963|RNW|RNW|G7500M104|GB00BNQMPN80|ReNew Energy Global plc|ORD CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN6-8|TXN13-8|TXN6-1|TXN5-6|226660000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||GBR||||65|6510|651010|65101010|Utilities|Utilities|Electricity|Alternative Electricity|N||N||||||Y|0|Y||||||6.64|6.64|0.0|6.64|6.65|6.64|6.65|6.65|0.0|0.0|6.64|6.64|6.64|6.64|6.63|6.64|6.635|6.65|6.68|6.64|6.63|6.67|5.21|8.19|6.62|6.67|6.62|6.66|6.61|6.67|6.64|6.65|6.9|4.035|480597|181563161 68964|RNWWW|RNWWW|G7500M120|GB00BNQMPP05|ReNew Energy Global plc|WT EXP 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LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-6|TXN2-7|TXN7-3|TXN3-3|TXN1-7|114670000|||Quarterly|||||1956-08-29||||||| | | | | | | | | |||N|5|Y|Y|114C|USA|US|||50|5020|502020|50202020|Industrials|Industrial Goods and Services|Electronic and Electrical Equipment|Electronic Equipment: Control and Filter|N||N||||||Y|0|Y||Y|1|||279.5|279.47|0.0|279.82|279.47|279.68|279.515|279.54|0.0|0.0|279.47|279.52|279.4|279.38|279.45|279.5|279.51|279.4|279.69|279.5|279.43|279.5|264.26|298.13|279.32|279.64|279.26|279.64|279.25|279.67|279.43|279.5|348.52|248.71|963232|181206576 62013|ROKT|ROKT|78468R630|US78468R6302|SPDR Series Trust|SPDR S&P Kensho Final Frontiers ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-4|TXN1-7|TXN8-8|TXN3-8|TXN4-8|400000|||Quarterly|||||2018-10-23||ROKT.NV|ROKT.SO|ROKT.EU|ROKT.TC|ROKT.IV| | | | | | | | | |1x|The SPDR S&P Kensho Final Frontiers ETF (the Fund) seeks to provide investment results that, before fees and expenses, correspond generally to the total return performance of the Kensho Final Frontiers Index.|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||0.0|41.51|0.0|0.0|0.0|0.0|42.5601|0.0|0.0|0.0|0.0|0.0|42.24|0.0|0.0|0.0|0.0|42.6553|0.0|42.6553|33.48|50.78|0.0|0.0|42.64|42.69|33.48|50.78|0.0|0.0|42.64|42.69|44.4934|37.9814|7600|238498 59670|ROKU|ROKU|77543R102|US77543R1023|Roku Inc|CL A COM USD 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LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-4|TXN2-4|TXN1-3|TXN2-4|TXN4-1|484040000|||Quarterly|||||1968-08-12||||||| | | | | | | | | |||N|5|Y|Y|170A|USA|US|||40|4020|402010|40201070|Consumer Discretionary|Consumer Products and Services|Consumer Services |Consumer Services: Misc.|N||N||||||Y|0|Y||Y|1|||41.13|41.11|0.0|41.18|41.12|41.115|41.12|41.1|0.0|0.0|41.11|41.115|41.115|41.11|41.035|41.13|41.12|41.13|41.11|41.13|41.12|41.13|38.31|43.55|41.09|41.14|41.08|41.15|41.08|41.15|41.12|41.13|45.04|32.19|1421356|439821778 18915|ROM|ROM|74347R693|US74347R6936|ProShares Trust|ProShares Ultra Technology|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ProShares Advisors |Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-4|TXN2-2|TXN3-1|TXN4-7|TXN2-1|12185000|||Quarterly|||||2008-11-12||ROM.NV|ROM.SO|ROM.EU|ROM.TC|ROM.IV| | | | | | | | | |2x|ProShares Ultra Technology seeks daily investment results, before fees and expenses, that correspond to twice (200%) the daily performance of the Dow Jones U.S. Technology Index. This ETF seeks a return of 200% of the return of an index (target) for a single day. Due to the compounding of daily returns, returns over periods other than one day will likely differ in amount and possibly direction from the target return for the same period. Investors should monitor their ProShares holdings consistent with their strategies, as frequently as daily. For more on correlation, leverage and other risks, please read the prospectus. The Dow Jones U.S. Technology Index measures the performance of the technology sector of the U.S. equity market. Component companies include those involved in computers and office equipment, software, communications technology, semiconductors, diversified technology services and Internet services. It is not possible to invest directly in an index.|N|0|N|N|416A|USA|US|EQUITY|LEVERAGED|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||49.4|48.17|0.0|0.0|48.95|47.97|48.17|47.92|0.0|0.0|48.22|48.5|48.21|48.08|47.29|47.93|0.0|48.24|49.41|48.24|48.0|48.4|36.4|58.44|48.17|48.23|48.11|48.29|48.11|48.25|48.17|48.23|50.1096|21.375|106573|25246228 64947|ROMO|ROMO|86280R886|US86280R8869|Strategy Shares Newfound/ReSolve Robust Momentum ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-7|TXN3-8|TXN3-8|TXN1-3|TXN2-7|1530000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|25.9802|0.0|0.0|0.0|0.0|25.96|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|25.9802|0.0|25.9802|0.0|0.0|25.93|25.97|25.83|26.13|25.66|26.34|0.0|0.0|25.96|26.02|26.6141|23.42|2644|1541025 38345|ROOF|ROOF|45409B628|US45409B6285|IndexIQ ETF Trust|IQ CBRE NextGen Real Estate ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||IndexIQ |GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-3|TXN4-8|TXN3-8|TXN2-4|TXN4-7|7525000|||Quarterly|||||2011-06-14||ROOF.NV|ROOF.SO|ROOF.EU|ROOF.TC|ROOF.IV| | | | | | | | | |1x|The Fund employs a passive management or indexing investment approach designed to track the performance of the Underlying Index, which was developed by Financial Development Holdco LLC (IndexIQ), the parent company of IndexIQ Advisors LLC, the Funds investment advisor (the Advisor). 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USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|4|0.01|0.01|5000000|1|100|TXN14-6|TXN6-8|TXN10-3|TXN5-4|TXN5-3|106820000|||NotApplicable|||||||||||| | | | | | | | | |||N|5|Y|N||USA||||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||||||536.5|536.72|0.0|536.63|534.34|536.69|536.79|536.78|0.0|0.0|536.26|0.0|536.75|536.7|536.82|536.7|536.29|536.81|536.68|536.75|536.24|537.22|504.81|568.92|536.48|536.95|536.25|537.14|536.69|537.2|536.75|536.81|542.045|416.775|486569|112072398 68186|RORO|RORO|886364843|US8863648437|Tidal ETF Trust|ATAC US Rotation ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Tidal ETF Services |GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN4-2|TXN7-8|TXN3-7|TXN1-8|625000|||Quarterly|||||2020-11-18||RORO.NV|RORO.SO|RORO.EU|RORO.TC| | | | | | | | | | ||The Fund is an actively-managed exchange-traded fund (ETF) that seeks to achieve its investment objective by utilizing a systematic risk management and trend-following strategy to direct its exposure to either (i) U.S. equity securities or (ii) longduration U.S. Treasury securities depending on the short-term relative price movements of gold as compared to lumber.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|16.65|16.6402|16.73|0.0|0.0|16.65|0.0|0.0|0.0|0.0|0.0|0.0|16.65|0.0|16.65|0.0|0.0|0.0|0.0|16.65|16.73|13.27|19.27|0.0|0.0|16.65|16.73|17.61|13.46|30491|1188619 49571|ROSC|ROSC|518416508|US5184165083|Lattice Strategies Trust|Hartford Multifactor Small Cap ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Hartford Funds Management Company|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-3|TXN2-5|TXN5-8|TXN3-3|TXN4-1|950000|||Quarterly|||||2015-03-24||ROSC.NV|ROSC.SO|ROSC.EU|ROSC.TC|ROSC.IV| | | | | | | | | |1x|The Fund seeks to provide investment results that correspond to the total return performance of the Hartford Multifactor Small Cap Index (LROSCX) (the Index), which is designed to address risks and opportunities within the United States small cap universe by selecting equity securities of companies exhibiting a favorable combination of factor characteristics, including valuation, momentum, and quality.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|37.3669|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|38.8144|0.0|38.8144|30.19|46.71|38.69|38.83|38.76|38.87|30.19|46.75|0.0|0.0|38.76|38.87|40.2|33.6914|470|847870 70453|ROSS|ROSS|G7641C106|KYG7641C1069|Ross Acquisition Corp II|Class A Ordinary Shares|Special purpose acquisition company|A|N|N|N|Y|Y|Y|Y|Y|5|N|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN2-8|TXN1-5|TXN4-3|TXN4-5|5040000|||NotApplicable|||||2021-05-03||||||| | | | | | | | | |||N|0|N|N|408A|USA|KY|||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|10.89|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.89|0.0|10.89|0.0|10.89|10.86|11.0|0.0|0.0|10.85|10.95|0.0|0.0|0.0|0.0|10.86|10.89|10.96|10.03|98804|13667309 70454|ROSS WS|ROSS.WS|G7641C114|KYG7641C1143|Ross Acquisition Corp II|Warrants, each whole warrant exercisable for one Class A ordinary share at an exercise price of $11.50 per share|Special purpose acquisition company|C|N|N|N|Y|Y|Y|Y|Y|5|N|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN8-8|TXN2-7|TXN4-8|TXN1-7|TXN1-7|0|||NotApplicable|||||2021-05-03||||||| | | | | | | | | 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Retailers|N||N||||||Y|0|Y||||||132.68|132.66|0.0|132.49|132.68|132.7|132.67|132.65|0.0|0.0|132.69|132.57|132.65|132.65|132.66|132.675|132.55|132.686|132.42|132.65|132.58|132.74|126.76|141.79|132.63|132.72|132.63|132.71|132.65|132.71|132.65|132.69|133.675|99.0|2280842|534351031 49406|ROUS|ROUS|518416409|US5184164094|Lattice Strategies Trust|Hartford Multifactor US Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Hartford Funds Management Company|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-3|TXN2-2|TXN2-8|TXN3-4|TXN2-6|9200000|||Quarterly|||||2015-02-26||ROUS.NV|ROUS.SO|ROUS.EU|ROUS.TC|ROUS.IV| | | | | | | | | |1x|The Lattice Developed Markets (ex-US) Strategy ETF (RODM) seeks to provide investment results that, before fees and expenses, correspond to the total return performance of an index that tracks the performance of companies located in major developed markets of Europe, Canada and the Pacific Region.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||42.72|42.61|0.0|0.0|0.0|42.64|42.6478|42.71|0.0|0.0|42.635|0.0|0.0|42.56|0.0|0.0|0.0|42.72|0.0|42.72|42.27|43.13|42.58|42.82|42.67|42.71|42.58|42.82|42.58|42.82|42.67|42.71|42.73|37.81|152147|9253343 68957|ROVR|ROVR|77936F103|US77936F1030|Rover Group Inc|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN6-7|TXN13-8|TXN6-2|TXN5-8|180440000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4020|402010|40201070|Consumer Discretionary|Consumer Products and Services|Consumer Services |Consumer Services: Misc.|N||N||||||Y|0|Y||||||10.9|10.9|0.0|0.0|10.895|10.89|10.895|10.89|0.0|10.89|10.89|10.9|10.89|10.9|10.9|10.89|10.9|10.9|10.9|10.89|10.89|10.92|8.47|13.42|10.88|10.91|10.88|10.9|0.0|0.0|10.89|10.9|11.1|3.38|3640113|270365087 76165|ROYA|ROYA|87975E404|US87975E4044|Tema Global Royalties ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-4|TXN3-8|TXN3-8|TXN3-7|TXN4-6|210000|||NotApplicable|||||||||||| | | | | | | | | 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The Fund is an actively-managed exchange-traded fund (ETF) that seeks to achieve its investment objective primarily by investing across a variety of asset classes, including exposure to global equity securities, U.S. Treasury securities, and commodities. 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The S&P 500 Pure Growth Index is narrow in focus, containing only those S&P 500 companies with strong growth characteristics as selected by S&P. As of December 31, 2008, the S&P 500 Pure Growth Index included 125 of the constituents that comprise the S&P 500. |N|0|N|N|406C|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|1|||31.09|31.07|0.0|0.0|31.09|31.04|31.085|31.16|0.0|0.0|31.06|31.05|31.09|31.09|31.06|31.025|0.0|31.08|31.01|31.08|31.03|31.14|31.03|31.13|31.08|31.09|31.05|31.13|31.03|31.13|31.08|31.09|164.705|28.86|163972|37122849 70169|RPHM|RPHM|75974E103|US75974E1038|Reneo Pharmaceuticals Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN6-4|TXN14-3|TXN5-5|TXN6-6|33310000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||7.23|7.23|0.0|7.23|7.26|7.25|7.27|7.27|0.0|0.0|7.23|7.25|7.25|7.25|7.23|7.25|7.25|7.25|7.32|7.25|7.11|7.52|5.6|8.9|7.12|7.5|7.19|7.31|7.22|7.33|7.25|7.28|11.295|1.79|345223|30839461 73800|RPHS|RPHS|90214Q642|US90214Q6420|Regents Park Hedged Market Strategy ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-6|TXN4-1|TXN8-8|TXN4-4|TXN2-6|9330000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||9.02|9.02|0.0|0.0|9.02|9.18|9.02|0.0|0.0|0.0|0.0|0.0|0.0|9.02|0.0|0.0|0.0|9.02|9.02|9.02|8.98|9.12|8.98|9.12|8.69|9.44|0.0|0.0|0.0|0.0|8.98|9.23|9.18|7.9|29684|18455065 71161|RPID|RPID|75340L104|US75340L1044|Rapid Micro Biosystems Inc|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN6-8|TXN12-6|TXN6-2|TXN6-8|37090000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|1.12|1.12|1.14|0.0|0.0|0.0|0.0|1.1|0.0|0.0|0.0|0.0|1.105|0.0|1.105|0.896|1.38|0.0|0.0|1.08|1.13|0.896|1.38|0.0|0.0|1.1|1.11|1.95|0.83|21950|11496032 8982|RPM|RPM|749685103|US7496851038|RPM International Inc.|Common Shares|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN3-5|TXN9-7|TXN3-2|TXN1-5|128830000|||Quarterly|||||1998-06-09||||||| | | | | | | | | |||N|0|Y|Y|154B|USA|US|||50|5020|502030|50203010|Industrials|Industrial Goods and Services|General Industrials|Paints and Coatings|N||N||||||Y|0|Y||Y|1|||104.81|104.765|0.0|104.77|104.76|104.81|104.77|104.78|0.0|0.0|104.78|104.76|104.76|104.82|104.79|104.83|104.95|104.76|102.95|104.83|104.75|104.77|97.67|111.23|104.66|104.88|104.68|104.9|104.76|104.9|104.75|104.77|107.4|78.52|494656|147267501 66731|RPRX|RPRX|G7709Q104|GB00BMVP7Y09|Royalty Pharma plc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN6-6|TXN10-2|TXN5-3|TXN5-4|446690000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||USA||||20|2010|201030|20103015|Health Care |Health Care |Pharmaceuticals and Biotechnology|Pharmaceuticals |N||N||||||Y|0|Y||||||28.34|28.32|0.0|28.33|28.32|28.34|28.32|28.325|0.0|0.0|28.33|28.33|28.32|28.36|28.34|28.325|28.34|28.33|28.34|28.32|28.31|28.34|26.58|30.11|28.31|28.34|28.29|28.36|28.31|28.36|28.32|28.34|43.655|25.92|3954226|492956145 8984|RPT|RPT|74971D101|US74971D1019|RPT Realty|Common Shares of Beneficial Interest|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|6|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-5|TXN2-2|TXN9-8|TXN2-6|TXN1-3|85710000|||Quarterly|||||1988-12-28||||||| | | | | | | | | |||N|0|N|Y|412A|USA|US|||35|3510|351020|35102045|Real Estate|Real Estate |Real Estate Investment Trusts|Retail REITs|N||N||||||Y|0|Y||Y|2|||12.41|12.41|0.0|0.0|12.4|12.4|12.41|12.41|0.0|0.0|12.41|12.395|12.41|12.395|12.41|12.41|12.39|12.41|12.41|12.41|12.4|12.41|9.3|15.14|12.39|12.42|12.37|12.43|12.36|12.44|12.4|12.41|12.41|8.62|811452|166415789 37905|RPT PRD|RPTpD|74971D200|US74971D2009|RPT Realty|7.25% Series D Cumulative Convertible Perpetual Preferred Shares of Beneficial Interest|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN1-2|TXN9-8|TXN1-6|TXN1-5|1850000|||Quarterly|||||2011-04-27||||||| | | | | | | | | |||N|0|N|N|412A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||54.17|54.47|0.0|0.0|0.0|0.0|54.47|0.0|0.0|0.0|0.0|0.0|54.26|54.15|0.0|54.88|0.0|54.88|0.0|54.88|54.9|55.27|0.0|0.0|51.24|55.3|0.0|0.0|0.0|0.0|54.9|55.27|54.88|45.0|3417|1098097 66786|RPTX|RPTX|760273102|US7602731025|Repare Therapeutics Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN5-7|TXN10-8|TXN5-3|TXN5-8|42130000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CAN||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||5.25|5.22|0.0|5.26|5.34|5.25|5.33|5.255|0.0|0.0|5.34|5.34|5.29|5.25|0.0|5.25|5.29|5.33|5.25|5.29|5.2|5.45|4.09|6.57|5.22|5.42|4.18|6.38|0.0|0.0|5.29|5.33|17.82|3.08|277178|40319036 16189|RPV|RPV|46137V258|US46137V2584|Invesco Exchange-Traded Fund Trust|Invesco S&P 500® Pure Value ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Invesco|IMC Chicago, LLC, DBA IMC Financial Markets|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-4|TXN3-6|TXN5-5|TXN4-5|TXN4-2|20872836|||Quarterly|||||2018-04-09||RPV.NV|RPV.SO|RPV.EU|RPV.TC|RPV.IV| | | | | | | | | |1x|Seeks to replicate as closely as possible, before expenses, the performance of the S&P 500 Pure Value Index. The S&P 500 Pure Value Indexx is narrow in focus, containing only those S&P 500 companies with strong value characteristics as selected by S&P. As of December 31, 2008, the S&P 500/Citigroup Pure Value Index included 126 of the constituents that comprise the S&P 500.|N|0|N|N|406C|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|1|||78.21|78.27|0.0|77.95|78.21|78.26|78.27|77.95|0.0|0.0|78.25|77.81|78.25|78.21|78.09|78.16|78.17|78.26|77.79|78.26|78.16|78.29|78.11|78.29|78.22|78.25|78.11|78.29|78.11|78.29|78.22|78.25|90.04|67.69|256041|100926496 8987|RQI|RQI|19247L106|US19247L1061|Cohen & Steers Quality Income Realty Fund, Inc.|Common Shares|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-3|TXN3-8|TXN3-5|TXN2-6|TXN1-1|134300000|||Monthly|||||2002-02-26||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||11.63|11.62|0.0|0.0|11.65|11.655|11.65|11.65|0.0|0.0|11.65|11.65|11.65|11.659|11.62|11.65|11.64|11.655|0.0|11.65|11.65|11.66|9.06|14.33|11.64|11.69|11.62|11.68|11.64|11.66|11.65|11.66|14.1|9.168|572808|90979861 76620|RR|RR|765504105|US7655041058|Richtech Robotics Inc|CL B COM USD0.00001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN5-1|TXN12-4|TXN6-6|TXN5-5|19910000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502020|50202040|Industrials|Industrial Goods and Services|Electronic and Electrical Equipment|Electronic Equipment: Other|N||N||||||N|0|Y||||||5.07|4.96|0.0|0.0|5.08|5.07|5.07|5.07|0.0|0.0|5.12|0.0|5.15|4.759|4.44|4.45|0.0|5.03|0.0|5.03|0.0|0.0|0.0|0.0|4.7|5.4|0.0|0.0|0.0|0.0|5.03|5.2|6.54|4.15|144477|5033751 73038|RRAC|RRAC|G7573M106|KYG7573M1069|Rigel Resource Acquisition Corp.|Class A Ordinary Shares|Special purpose acquisition company|A|N|N|N|Y|Y|Y|Y|Y|6|P|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN3-3|TXN9-8|TXN3-2|TXN2-3|24570000|||NotApplicable|||||2021-12-27||||||| | | | | | | | | |||N|0|N|N|408A|USA|KY|||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|10.96|0.0|0.0|0.0|0.0|10.96|0.0|0.0|0.0|0.0|0.0|10.95|0.0|0.0|10.96|0.0|10.96|0.0|10.96|10.96|10.97|0.0|0.0|10.73|11.18|0.0|0.0|0.0|0.0|10.96|10.97|11.1|10.2|1939316|46012605 73039|RRAC WS|RRAC.WS|G7573M114|KYG7573M1143|Rigel Resource Acquisition Corp.|Warrants, each whole warrant exercisable for one Class A ordinary share at an exercise price of $11.50 per share|Special purpose acquisition company|C|N|N|N|Y|Y|Y|Y|Y|6|P|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN5-8|TXN3-5|TXN2-8|TXN1-7|TXN4-8|0|||NotApplicable|||||2021-12-27||||||| | | | | | | | | |||N|0|N|N|408A|USA|KY|||||||||||N||N||||||N|0|Y||N||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.09|0.13|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.09|0.13|0.2688|0.028101|0|2753014 72273|RRAC U|RRAC.U|G7573M122|KYG7573M1226|Rigel Resource Acquisition Corp.|Units, each consisting of one Class A ordinary share and one-half of one redeemable warrant|Special purpose acquisition company|R|N|N|N|Y|Y|Y|Y|Y|6|P|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN4-7|TXN6-8|TXN4-2|TXN3-5|0|||NotApplicable|||||2021-11-05||||||| | | | | | | | | 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LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-7|TXN3-1|TXN1-8|TXN1-4|TXN1-7|66350000|||Quarterly|||||2005-01-21||||||| | | | | | | | | |||N|0|Y|Y|114D|USA|US|||50|5020|502020|50202010|Industrials|Industrial Goods and Services|Electronic and Electrical Equipment|Electrical Components |N||N||||||Y|0|Y||Y|1|||126.7|126.84|0.0|126.75|126.77|127.02|126.75|126.79|0.0|0.0|126.81|127.02|126.74|127.02|126.7|126.8|126.98|126.83|126.77|126.8|126.86|126.87|118.24|134.15|126.23|127.78|126.59|127.03|126.75|127.01|126.86|126.87|166.0|97.18|554430|102407233 8995|RS|RS|759509102|US7595091023|Reliance Steel & Aluminum Co.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|I|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-6|TXN2-7|TXN5-7|TXN4-4|TXN2-5|57470000|||Quarterly|||||1994-09-16||||||| | | | | | | | | |||N|0|Y|Y|130D|USA|US|||55|5510|551020|55102010|Basic Materials|Basic Resources|Industrial Metals and Mining|Iron and Steel|N||N||||||Y|0|Y||Y|1|||277.43|277.32|0.0|277.49|280.33|277.56|277.5|277.555|0.0|0.0|277.39|278.73|277.6|278.52|279.93|277.53|277.18|277.59|274.38|277.53|277.49|277.6|262.96|295.37|275.32|279.39|277.05|278.03|277.49|278.13|277.49|277.6|295.98|196.11|270862|89141831 75225|RSBT|RSBT|88636J105|US88636J1051|Return Stacked Bonds & Managed Futures ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-5|TXN4-5|TXN7-8|TXN4-3|TXN3-6|2500000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|17.17|0.0|0.0|17.17|17.2|17.17|17.2|0.0|0.0|17.16|0.0|17.14|0.0|0.0|0.0|0.0|17.17|0.0|17.17|13.32|21.14|17.15|17.27|17.17|17.27|17.15|17.27|17.15|17.27|17.17|17.27|21.54|17.09|12518|4467577 73275|RSEE|RSEE|19423L540|US19423L5407|Rareview Systematic Equity ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-6|TXN1-2|TXN9-8|TXN2-5|TXN4-6|1400000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|24.649|0.0|0.0|0.0|0.0|24.649|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|24.649|0.0|24.649|0.0|0.0|24.55|24.61|24.47|24.79|0.0|0.0|0.0|0.0|24.59|24.65|28.67|22.6701|3717|1731317 63815|RSF|RSF|76882B108|US76882B1089|RiverNorth Capital and Income Fund, Inc.|Common Stock|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN2-7|TXN4-8|TXN2-6|TXN2-5|3800000|||Monthly|||||2019-06-12||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||15.48|0.0|0.0|0.0|0.0|15.5|15.635|0.0|0.0|0.0|15.5|0.0|0.0|0.0|0.0|15.635|0.0|15.635|0.0|15.635|15.6|15.65|0.0|0.0|15.6|16.2|0.0|0.0|0.0|0.0|15.6|15.65|17.61|14.81|2652|3199540 9003|RSG|RSG|760759100|US7607591002|Republic Services, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-5|TXN2-5|TXN4-1|TXN2-6|TXN4-6|314640000|||Quarterly|||||1998-07-01||||||| | | | | | | | | |||N|5|Y|Y|116A|USA|US|||65|6510|651030|65103035|Utilities|Utilities|Waste and Disposal Services|Waste and Disposal Services|N||N||||||Y|0|Y||Y|1|||162.54|162.55|0.0|162.39|162.53|162.525|162.555|162.55|0.0|0.0|162.55|162.44|162.56|162.57|162.56|162.56|162.83|162.56|162.47|162.56|162.55|162.56|152.65|174.19|162.51|162.6|162.39|162.66|162.4|162.68|162.55|162.56|163.95|120.58|1505028|286363656 75679|RSHO|RSHO|87975E602|US87975E6023|Tema ETF Trust|Tema American Reshoring ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Tema|Susquehanna Securities, 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Equipment|N||N||||||N|0|Y||||||0.237|0.236|0.0|0.242|0.23|0.2353|0.237|0.2359|0.0|0.0|0.2353|0.2353|0.238|0.242|0.0|0.2473|0.242|0.2353|0.2361|0.2353|0.2285|0.2448|0.192|0.285|0.235|0.2443|0.1961|0.2778|0.0|0.0|0.2351|0.2389|22.4|0.108|401480|291126898 9006|RSP|RSP|46137V357|US46137V3574|Invesco Exchange-Traded Fund Trust|Invesco S&P 500® Equal Weight ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Invesco|IMC Chicago, LLC, DBA IMC Financial Markets|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-5|TXN1-6|TXN7-3|TXN2-8|TXN1-8|292622663|||Quarterly|||||2018-04-09||RSP.NV|RSP.SO|RSP.EU|RSP.TC|RSP.IV| | | | | | | | | |1x|Seeks to replicate as closely as possible the performance of the S&P Equal Weight Index, before fees and expenses, on a daily basis. The S&P 500 Equal Weight Index is an unmanaged equal-weighted version of the S&P 500 Index, which is an unmanaged capitalization-weighted index comprised of 500 common stocks, which are chosen by S&P on a statistical basis. Unlike the S&P 500, in which each constituent stocks weight is proportionate to its market value, each stock in the S&P 500 Equal Weight Index will be rebalanced quarterly to have the same target weighting as every other stock in the Underlying Index. |N|0|N|N|406C|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|1|||150.57|150.6|0.0|150.38|150.59|150.6|150.59|150.59|0.0|0.0|150.6|150.6|150.6|150.615|150.615|150.6|150.63|150.6|150.6|150.6|150.32|150.85|140.01|159.26|150.58|150.59|150.38|150.79|150.38|150.79|150.58|150.59|155.77|133.34|9572900|1086474114 62247|RSPC|RSPC|46137Y609|US46137Y6095|Invesco Exchange-Traded Fund Trust|Invesco S&P 500 Equal Weight Communication Services ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Invesco|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-7|TXN2-4|TXN9-6|TXN4-3|TXN4-3|2170001|||Quarterly|||||2018-11-07||EWCO.NV|EWCO.SO|EWCO.EU|EWCO.TC|EWCO.IV| | | | | | | | | |1x|The Invesco S&P 500 Equal Weight Communication Services ETF (the Fund) seeks to track the investment results (before fees and expenses) of the S&P 500 Equal Weight Communication Services Plus Index (the Underlying Index).|N|0|N|N|406C|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|1|||28.41|28.41|0.0|0.0|0.0|28.5|28.38|28.33|0.0|0.0|28.05|27.45|28.41|28.41|0.0|28.41|0.0|28.4084|0.0|28.4084|28.36|28.44|0.0|0.0|28.36|28.44|28.31|28.49|28.31|28.49|28.36|28.49|29.37|25.23|8927|4810030 17511|RSPD|RSPD|46137V381|US46137V3814|Invesco Exchange-Traded Fund Trust|Invesco S&P 500 Equal Weight Consumer Discretionary ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Invesco|Latour Trading, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-4|TXN4-2|TXN7-5|TXN4-8|TXN4-4|9140000|||Quarterly|||||2018-04-09||RCD.NV|RCD.SO|RCD.EU|RCD.TC|RCD.IV| | | | | | | | | |1x|Seeks to replicate as closely as possible, before expenses, the performance of the S&P Equal Weight Index Consumer Discretionary. The S&P Equal Weight Index Consumer Discretionary is an unmanaged equal weighted version of the S&P 500 Consumer Discretionary Index that consists of the common stocks of the following industries: automobiles and components, consumer durables, apparel, hotels, restaurants, leisure, media and retailing that comprise the Consumer Discretionary sector of the S&P 500 Index. As of December 31, 2008, the S&P Equal Weight Index Consumer Discretionary included companies with a capitalization range of $488.7 million to $69.3 billion.|N|0|N|N|406C|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|1|||44.4|44.66|0.0|0.0|44.69|44.69|44.6934|43.49|0.0|0.0|44.69|44.14|44.68|44.57|44.68|44.53|0.0|44.68|0.0|44.68|44.66|44.76|44.61|44.74|44.66|44.68|44.6|44.73|44.6|44.74|44.66|44.68|142.58|38.41|65578|14119078 72403|RSPE|RSPE|46138G516|US46138G5163|Invesco Exchange-Traded Fund Trust II|Invesco ESG S&P 500 Equal Weight ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Invesco|Latour Trading, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-5|TXN2-7|TXN2-8|TXN1-5|TXN4-7|400001|||Quarterly|||||2021-11-17||RSPE.NV|RSPE.SO|RSPE.EU|RSPE.TC| | | | | | | | | | |1x|The Invesco ESG S&P 500 Equal Weight ETF (the Fund) seeks to track the investment results (before fees and expenses) of the S&P 500 Equal Weight ESG Leaders Select Index (the Underlying Index).|N|0|N|N|406C|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|23.09|0.0|0.0|0.0|0.0|23.0837|0.0|0.0|0.0|23.05|0.0|0.0|0.0|0.0|0.0|0.0|23.09|0.0|23.09|23.03|23.13|23.06|23.07|23.08|23.09|11.54|34.62|0.0|0.0|23.08|23.09|23.8499|20.4741|5284|1081601 17514|RSPF|RSPF|46137V340|US46137V3400|Invesco Exchange-Traded Fund Trust|Invesco S&P 500® Equal Weight Financials ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Invesco|IMC Chicago, LLC, DBA IMC Financial Markets|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-1|TXN3-7|TXN9-8|TXN3-2|TXN2-8|4550000|||Quarterly|||||2018-04-09||RYF.NV|RYF.SO|RYF.EU|RYF.TC|RYF.IV| | | | | | | | | |1x|Seeks to replicate as closely as possible, before expenses, the performance of the S&P Equal Weight Index Financials. The S&P Equal Weight Index Financials is an unmanaged equal weighted version of the S&P 500 Financials Index that consists of the common stocks of the following industries: banks, diversified financials, brokerage, asset management insurance and real estate, including investment trusts that comprise the Financials sector of the S&P 500 Index. As of December 31, 2008, the S&P Equal Weight Index Financials included companies with a capitalization range of $586.9 million to $117.5 billion.|N|0|N|N|406C|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|1|||55.91|0.0|0.0|0.0|0.0|55.78|56.0188|55.81|0.0|0.0|56.01|0.0|56.0|0.0|55.81|56.01|56.1|56.0102|0.0|56.0102|55.98|58.64|55.94|56.1|55.98|56.1|55.8|56.1|55.8|56.1|55.98|56.1|56.1|47.9385|15341|2629060 17513|RSPG|RSPG|46137V365|US46137V3657|Invesco Exchange-Traded Fund Trust|Invesco S&P 500 Equal Weight Energy ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Invesco|IMC Chicago, LLC, DBA IMC Financial Markets|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-2|TXN3-7|TXN5-4|TXN3-6|TXN1-6|7950005|||Quarterly|||||2018-04-09||RYE.NV|RYE.SO|RYE.EU|RYE.TC|RYE.IV| | | | | | | | | |1x|Seeks to replicate as closely as possible, before expenses, the performance of the S&P Equal Weight Index Energy. The S&P Equal Weight Index Energy is an unmanaged equal weighted version of the S&P 500 Energy Index that consists of the common stocks of the following industries: oil and gas exploration, production, marketing, refining and/or transportation and energy equipment and services industries that comprise the Energy sector of the S&P 500 Index. As of December 31, 2008, the S&P Equal Weight Index Energy included companies with a capitalization range of $1.2 billion to $406 billion.|N|0|N|N|406C|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|1|||74.66|74.48|0.0|0.0|74.41|74.66|74.4562|74.44|0.0|0.0|74.57|0.0|74.52|74.66|74.66|74.64|75.0|74.48|0.0|74.48|74.35|74.67|74.38|74.6|74.48|74.51|74.38|78.29|74.38|74.6|74.48|74.51|80.56|64.43|219252|10170134 17515|RSPH|RSPH|46137V332|US46137V3327|Invesco Exchange-Traded Fund Trust|Invesco S&P 500® Equal Weight Health Care ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Invesco|IMC Chicago, LLC, DBA IMC Financial Markets|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-5|TXN4-3|TXN9-6|TXN3-7|TXN4-8|32500000|||Quarterly|||||2018-04-09||RYH.NV|RYH.SO|RYH.EU|RYH.TC|RYH.IV| | | | | | | | | |1x|Seeks to replicate as closely as possible, before expenses, the performance of the S&P Equal Weight Index Health Care. The S&P Equal Weight Index Health Care is an unmanaged equal weighted version of the S&P 500 Health Care Index that consists of the common stocks of the following industries: health care equipment and supplies, health care providers and services, and biotechnology and pharmaceuticals that comprise the Health Care sector of the S&P 500 Index. As of December 31, 2008, the S&P Equal Weight Index Health Care included companies with a capitalization range of $548.5 million to $166.3 billion.|N|0|N|N|406C|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|1|||27.95|27.95|0.0|0.0|27.95|27.95|27.9559|27.95|0.0|0.0|27.95|0.0|27.945|27.92|27.95|27.95|27.82|27.9559|0.0|27.9559|26.48|29.28|27.89|27.99|27.92|27.96|27.88|28.0|27.89|28.0|27.92|27.96|299.67|25.03|342013|9965119 17519|RSPM|RSPM|46137V316|US46137V3160|Invesco Exchange-Traded Fund Trust|Invesco S&P 500® Equal Weight Materials ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Invesco|IMC Chicago, LLC, DBA IMC Financial Markets|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-5|TXN3-1|TXN2-4|TXN3-5|TXN1-2|8850000|||Quarterly|||||2018-04-09||RTM.NV|RTM.SO|RTM.EU|RTM.TC|RTM.IV| | | | | | | | | |1x|Seeks to replicate as closely as possible, before expenses, the performance of the S&P Equal Weight Index Materials. The S&P Equal Weight Index Materials is an unmanaged equal weighted version of the S&P 500 Materials Index that consists of the common stocks of the following industries: chemicals, construction materials, containers and packaging, metals and mining, and paper and forest products that comprise the Materials sector of the S&P 500 Index. As of December 31, 2008, the S&P Equal Weight Index Materials included companies with a capitalization range of $1 billion to $38.6 billion.|N|0|N|N|406C|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|32.32|32.285|0.0|0.0|0.0|32.63|0.0|32.27|0.0|0.0|32.33|0.0|32.29|0.0|32.29|32.26|32.34|32.18|32.35|32.26|32.27|32.18|32.35|32.18|32.35|32.26|32.27|165.2443|28.9224|19554|3324172 17516|RSPN|RSPN|46137V324|US46137V3244|Invesco Exchange-Traded Fund Trust|Invesco S&P 500® Equal Weight Industrials ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Invesco|IMC Chicago, LLC, DBA IMC Financial Markets|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-8|TXN4-7|TXN2-7|TXN2-4|TXN4-7|14630000|||Quarterly|||||2018-04-09||RGI.NV|RGI.SO|RGI.EU|RGI.TC|RGI.IV| | | | | | | | | |1x|Seeks to replicate as closely as possible, before expenses, the performance of the S&P Equal Weight Index Industrials. The S&P Equal Weight Index Industrials is an unmanaged equal weighted version of the S&P 500 Industrials Index that consists of the common stocks of the following industries: aerospace and defense, building products, construction and engineering, electrical equipment, conglomerates, machinery; commercial services and supplies, air freight and logistics, airlines, and marine, road and rail transportation infrastructure that comprise the Industrials sector of the S&P 500 Index. As of December 31, 2008, the S&P Equal Weight Index Industrials included companies with a capitalization range of $1.1 billion to $161.3 billion.|N|0|N|N|406C|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|1|||41.01|41.03|0.0|0.0|40.92|41.0|41.04|0.0|0.0|0.0|40.9|39.45|41.03|0.0|41.0|40.98|0.0|41.03|0.0|41.03|40.97|41.14|40.93|43.65|41.03|41.04|40.93|43.65|0.0|0.0|41.03|41.04|209.98|36.04|21392|10545572 50500|RSPR|RSPR|46137V290|US46137V2907|Invesco Exchange-Traded Fund Trust|Invesco S&P 500 Equal Weight Real Estate ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Invesco|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-7|TXN2-7|TXN2-8|TXN4-5|TXN4-5|3050000|||Quarterly|||||2018-04-09||EWRE.NV|EWRE.SO|EWRE.EU|EWRE.TC|EWRE.IV| | | | | | | | | |1x|Guggenheim S&P 500 Equal Weight Real Esate ETF will replicate, as closely as possible, before fees and expenses, the performance of the the S&P 500 Equal Weight Real Estate Index.|N|0|N|N|406C|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|31.5|31.445|0.0|0.0|0.0|31.18|0.0|0.0|0.0|0.0|0.0|0.0|31.4983|0.0|31.4983|31.0|31.19|0.0|0.0|31.43|31.56|31.41|31.58|0.0|0.0|31.43|31.56|32.71|26.7268|19470|3395751 17512|RSPS|RSPS|46137V373|US46137V3731|Invesco Exchange-Traded Fund Trust|Invesco S&P 500® Equal Weight Consumer Staples ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Invesco|IMC Chicago, LLC, DBA IMC Financial Markets|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-4|TXN1-6|TXN6-6|TXN2-7|TXN4-5|17770000|||Quarterly|||||2018-04-09||RHS.NV|RHS.SO|RHS.EU|RHS.TC|RHS.IV| | | | | | | | | |1x|Seeks to replicate as closely as possible, before expenses, the performance of the S&P Equal Weight Index Consumer Staples. The S&P Equal Weight Index Consumer Staples is an unmanaged equal weighted version of the S&P 500 Consumer Staples Index that consists of the common stocks of the following industries: food and drug retailing, beverages, food products, tobacco, household products and personal products that comprise the Consumer Staples sector of the S&P 500 Index. As of December 31, 2008, the S&P Equal Weight Index Consumer Staples included companies with a capitalization range of $1.3 billion to $219.8 billion.|N|0|N|N|406C|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|1|||0.0|30.88|0.0|0.0|30.44|30.885|30.8901|30.93|0.0|0.0|30.88|0.0|30.88|30.88|0.0|30.885|30.89|30.89|0.0|30.89|30.88|30.94|30.86|30.94|30.88|30.89|30.84|30.94|30.84|30.94|30.88|30.89|170.02|28.2795|266237|10705359 17517|RSPT|RSPT|46137V282|US46137V2824|Invesco Exchange-Traded Fund Trust|Invesco S&P 500® Equal Weight Technology ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Invesco|IMC Chicago, LLC, DBA IMC Financial Markets|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-3|TXN4-1|TXN9-5|TXN1-7|TXN4-8|107800000|||Quarterly|||||2018-04-09||RYT.NV|RYT.SO|RYT.EU|RYT.TC|RYT.IV| | | | | | | | | |1x|Seeks to replicate as closely as possible, before expenses, the performance of the S&P Equal Weight Index Information Technology. The S&P Equal Weight Index Technology is an unmanaged equal weighted version of the S&P 500 Information Technology Index that consists of the common stocks of the following industries: internet equipment, computers and peripherals, electronic equipment, office electronics and instruments, semiconductor equipment and products, diversified telecommunication services, and wireless telecommunication services that comprise the Information Technology sector of the S&P 500 Index. As of December 31, 2008, the S&P Equal Weight Index Technology included companies with a capitalization range of $606.2 million to $174.5 billion.|N|0|N|N|406C|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|1|||30.33|30.35|0.0|0.0|30.36|30.36|30.3699|30.36|0.0|0.0|30.35|30.36|30.36|30.339|30.31|30.365|30.37|30.37|30.43|30.37|30.35|30.42|30.3|30.41|30.35|30.37|30.3|30.41|30.3|30.41|30.35|30.37|302.33|26.09|362483|50303253 17518|RSPU|RSPU|46137V274|US46137V2741|Invesco Exchange-Traded Fund Trust|Invesco S&P 500® Equal Weight Utilities ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Invesco|Latour Trading, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-6|TXN1-3|TXN4-7|TXN2-2|TXN2-2|5040000|||Quarterly|||||2018-04-09||RYU.NV|RYU.SO|RYU.EU|RYU.TC|RYU.IV| | | | | | | | | |1x|Seeks to replicate as closely as possible, before expenses, the performance of the S&P Equal Weight Index Telecommunication Services & Utilities. The S&P Equal Weight Index Utilities is an unmanaged equal weighted version of the S&P 500 Utilities Index that consists of the common stocks of the following industries: electric utilities, gas utilities, multi-utilities and unregulated power and water utilities, telecommunication service companies, including fixed-line, cellular, wireless, high bandwidth and fiber-optic cable networks that comprise the Utilities sector of the S&P 500 Index. 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63757|RVLV|RVLV|76156B107|US76156B1070|Revolve Group, Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-2|TXN2-8|TXN9-7|TXN4-8|TXN1-7|39560000|||Monthly|||||2019-06-07||||||| | | | | | | | | |||N|0|N|Y|146F|USA|US|||40|4040|404010|40401020|Consumer Discretionary|Retail |Retailers |Apparel Retailers|N||N||||||Y|0|Y||Y|2|||14.4|14.39|0.0|14.32|14.39|14.39|14.395|14.4|0.0|0.0|14.39|14.39|14.4|14.39|14.34|14.4|14.39|14.4|14.38|14.4|14.39|14.4|11.32|17.66|14.25|14.49|14.36|14.42|14.39|14.43|14.39|14.4|32.59|12.25|1363377|307420862 65595|RVMD|RVMD|76155X100|US76155X1000|Revolution Medicines Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN6-2|TXN14-7|TXN6-5|TXN5-4|163800000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||24.24|24.225|0.0|24.15|24.23|24.225|24.25|24.25|0.0|0.0|24.22|24.14|24.23|24.24|24.16|24.25|24.19|24.24|24.11|24.23|24.17|24.29|18.84|30.01|24.15|24.3|24.18|24.3|24.16|24.3|24.22|24.24|35.6|15.4401|1613391|343160286 76621|RVMDW|RVMDW|76155X118|US76155X1182|Revolution Medicines Inc|WT EXP 121726||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-2|TXN5-3|TXN14-3|TXN6-6|TXN5-2|109450000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y|C|||||0.0|0.252|0.0|0.4|0.0|0.35|0.35|0.39|0.0|0.0|0.3455|0.3455|0.35|0.0|0.0|0.4|0.4|0.35|0.0|0.35|0.0|0.0|0.0|0.0|0.3|0.42|0.0|0.0|0.0|0.0|0.35|0.3501|1.05|0.0318|256517|264533 43506|RVNC|RVNC|761330109|US7613301099|Revance Therapeutics Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN5-8|TXN10-2|TXN6-3|TXN5-4|87810000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||7.44|7.435|0.0|7.37|7.45|7.435|7.44|7.44|0.0|0.0|7.435|7.42|7.43|7.43|7.39|7.425|7.43|7.44|7.43|7.43|7.36|7.52|5.66|9.08|7.37|7.51|7.4|7.46|7.4|7.46|7.43|7.44|37.98|5.72|1039769|376608556 42150|RVNU|RVNU|233051705|US2330517051|DBX ETF Trust|Xtrackers Municipal Infrastructure Revenue Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||DBX Advisors|Virtu Americas 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Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN5-5|TXN11-3|TXN6-5|TXN6-5|27920000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||3.8|3.83|0.0|3.95|3.8|3.81|3.84|3.84|0.0|0.0|3.81|3.82|3.86|3.97|3.94|3.82|4.13|3.84|3.86|3.86|3.65|3.89|2.97|4.75|3.68|3.88|3.8|3.86|3.8|3.86|3.83|3.84|9.2499|3.03|383898|99264185 61999|RVPHW|RVPHW|76152G118|US76152G1186|Reviva Pharmaceuticals Holdings Inc|WT EXP 122525||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-8|TXN6-2|TXN12-7|TXN6-3|TXN6-6|22650000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.75|0.0|0.0|0.0|0.8|0.919899|0.761|0.0|0.0|0.82|0.0|0.75|0.0|0.0|0.0|0.0|0.919899|0.0|0.919899|0.0|0.0|0.0|0.0|0.7468|0.92|0.0|0.0|0.0|0.0|0.8|0.9|3.0|0.6|6245|6957575 74841|RVRB|RVRB|00770X253|US00770X2532|Reverb ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-8|TXN1-6|TXN5-8|TXN3-8|TXN4-2|150000|||NotApplicable|||||||||||| | | | | | | 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032727||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-5|TXN5-4|TXN13-4|TXN6-4|TXN5-5|23990000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||ISR||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.021|0.03|0.4|0.0062|0|921632 9026|RVT|RVT|780910105|US7809101055|Royce Value Trust, Inc.|Common Stock|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|F|Citadel Securities 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PRODUCT||U|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN6-6|TXN10-5|TXN6-5|TXN6-4|3220000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|24.42|24.45|0.0|0.0|0.0|0.0|24.42|0.0|0.0|0.0|0.0|24.42|0.0|24.42|0.0|0.0|0.0|0.0|22.64|26.12|0.0|0.0|0.0|0.0|24.4|24.5|25.27|23.34|1855|1040383 74998|RWAYZ|RWAYZ|78163D308|US78163D3089|Runway Growth Finance Corp 8 Notes due 2027|ETN||U|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN6-8|TXN12-2|TXN5-1|TXN5-3|2070000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|24.844|24.825|0.0|0.0|0.0|0.0|24.84|0.0|0.0|0.0|0.0|24.844|0.0|24.844|0.0|0.0|0.0|0.0|23.16|26.5|0.0|0.0|0.0|0.0|24.83|24.85|25.47|23.6503|1629|2112825 27281|RWJ|RWJ|46138G664|US46138G6641|Invesco Exchange-Traded Fund Trust II|Invesco S&P SmallCap 600 Revenue ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Invesco|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-5|TXN4-2|TXN3-2|TXN1-1|TXN2-7|36104200|||Quarterly|||||2019-05-28||RWJ.NV|RWJ.SO|RWJ.EU|RWJ.TC|RWJ.IV| | | | | | | | | |1x|The RevenueShares small cap Fund is comprised of the same securities as the Standard & Poors small cap 600. Each security in the fund is ranked by top line revenue, instead of market capitalization. Each December, the fund is re-balanced to reflect updated revenue data. he Underlying Index is constructed by re-weighting the constituent securities of the Benchmark Index according to the revenue earned by the companies in the Benchmark Index, subject to certain asset diversification requirements. The Underlying Index is rebalanced quarterly according to revenue weightings as of the previous quarter. The Underlying Index thus contains the same securities as the Benchmark Index, but in different proportions.|N|0|N|N|406C|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|1|||38.49|38.63|0.0|0.0|38.53|38.64|38.6343|38.51|0.0|0.0|38.54|0.0|38.63|38.53|38.63|38.64|38.49|38.59|0.0|38.59|38.55|38.64|38.53|40.95|38.59|38.64|38.52|38.7|38.52|38.7|38.59|38.64|127.63|33.5|156834|27102651 27280|RWK|RWK|46138G672|US46138G6724|Invesco Exchange-Traded Fund Trust II|Invesco S&P MidCap 400 Revenue ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Invesco|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-5|TXN3-3|TXN1-8|TXN3-8|TXN4-7|5881400|||Quarterly|||||2019-05-28||RWK.NV|RWK.SO|RWK.EU|RWK.TC|RWK.IV| | | | | | | | | |1x|The RevenueShares Mid Cap Fund is comprised of the same securities as the Standard & Poors MidCap 400. Each security in the fund is ranked by top line revenue, instead of market capitalization. Each December, the fund is re-balanced to reflect updated revenue data. he Underlying Index is constructed by re-weighting the constituent securities of the Benchmark Index according to the revenue earned by the companies in the Benchmark Index, subject to certain asset diversification requirements. The Underlying Index is rebalanced quarterly according to revenue weightings as of the previous quarter. The Underlying Index thus contains the same securities as the Benchmark Index, but in different proportions.|N|0|N|N|406C|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|1|||98.96|99.37|0.0|0.0|0.0|99.29|99.37|98.29|0.0|0.0|99.1|99.2|99.41|99.28|0.0|0.0|0.0|99.4|0.0|99.4|0.0|0.0|0.0|0.0|99.18|99.31|99.0|99.57|99.0|99.57|99.18|99.31|100.84|83.82|21394|6192636 27279|RWL|RWL|46138G698|US46138G6989|Invesco Exchange-Traded Fund Trust II|Invesco S&P 500 Revenue ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Invesco|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-4|TXN3-2|TXN6-5|TXN4-4|TXN2-4|27451400|||Quarterly|||||2019-05-28||RWL.NV|RWL.SO|RWL.EU|RWL.TC|RWL.IV| | | | | | | | | |1x|The RevenueShares Large Cap Fund is comprised of the same securities as the Standard & Poors 500. Each security in the fund is ranked by top line revenue, instead of market capitalization. Each December, the fund is re-balanced to reflect updated revenue data. he Underlying Index is constructed by re-weighting the constituent securities of the Benchmark Index according to the revenue earned by the companies in the Benchmark Index, subject to certain asset diversification requirements. The Underlying Index is rebalanced quarterly according to revenue weightings as of the previous quarter. The Underlying Index thus contains the same securities as the Benchmark Index, but in different proportions.|N|0|N|N|406C|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|1|||82.24|82.25|0.0|0.0|82.25|82.25|82.22|82.11|0.0|0.0|82.24|81.04|82.24|82.24|82.18|82.1|0.0|82.25|82.24|82.25|82.07|82.34|82.0|82.59|82.16|82.25|81.99|82.59|82.05|82.59|82.16|82.25|83.04|71.68|169007|22380202 44907|RWLK|RWLK|M8216Q200|IL0011331076|ReWalk Robotics Ltd|COM ILS0.1||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-4|TXN6-6|TXN14-5|TXN5-8|TXN5-8|60030000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||ISR||||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||Y|0|Y||||||0.7019|0.703|0.0|0.0|0.7|0.7017|0.70595|0.7002|0.0|0.0|0.7|0.0|0.7056|0.0|0.0|0.0|0.0|0.7|0.0|0.7056|0.6697|0.7408|0.5642|0.852|0.6697|0.7408|0.6796|0.7235|0.6805|0.7314|0.7|0.71|0.949999|0.5604|128511|42058405 18861|RWM|RWM|74348A210|US74348A2107|ProShares Trust|ProShares Short Russell2000|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ProShares Advisors |Latour Trading, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-6|TXN4-7|TXN7-1|TXN2-1|TXN3-4|12416642|||Quarterly|||||2008-11-12||RWM.NV|RWM.SO|RWM.EU|RWM.TC|RWM.IV| | | | | | | | | |-1x|ProShares Short Russell2000 seeks daily investment results, before fees and expenses, that correspond to the inverse (opposite) of the daily performance of the Russell 2000 Index. This ETF seeks a return of -100% of the return of an index (target) for a single day. Due to the compounding of daily returns, returns over periods other than one day will likely differ in amount and possibly direction from the target return for the same period. Investors should monitor their ProShares holdings consistent with their strategies, as frequently as daily. For more on correlation, leverage and other risks, please read the prospectus. The Russell 2000 Index consists of 2,000 of the smallest U.S.-domiciled, publicly traded common stocks included in the Russell 3000 Index.|N|0|N|N|416A|USA|US|EQUITY|INVERSE|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||23.02|23.025|0.0|0.0|23.03|23.03|23.03|23.03|0.0|0.0|23.025|23.03|23.035|23.259|23.77|23.03|23.06|23.03|23.03|23.03|23.02|23.04|22.99|23.04|23.03|23.04|22.99|23.07|22.92|23.13|23.03|23.04|26.5499|21.59|1914953|447827229 27936|RWO|RWO|78463X749|US78463X7497|SPDR Index Shares Funds|SPDR Dow Jones Global Real Estate ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-6|TXN1-5|TXN1-8|TXN4-3|TXN1-7|29150000|||Quarterly|||||2008-11-07||RWO.NV|RWO.SO|RWO.EU|RWO.TC|RWO.IV| | | | | | | | | |1x|The SPDR Dow Jones Global Real Estate ETF seeks to replicate as closely as possible, before expenses, the price and yield performance of the Dow Jones Global Select Real Estate Securities Index (ticker: DWGRST) , an index based upon the global real estate market. The Dow Jones Global Select Real Estate Securities Index is a float-adjusted market capitalization index designed to measure the performance of publicly traded real estate securities in developed and emerging countries. The Index is a measure of the types of global real estate securities that represent the ownership and operation of commercial or residential real estate. The Index includes equity REITs and real estate operating companies (REOCs) that meet the following criteria: (i) the company must be both an equity owner and operator of commercial and/or residential real estate (security types excluded from these indexes include mortgage REITs, health care REITS, netlease REITs, real estate finance companies, mortgage brokers and bankers, commercial and residential real estate brokers and estate agents, home builders, large landowners and subdividers of unimproved land, hybrid REITs, and timber REITs, as well as companies that have more than 25% of their assets in direct mortgage investments); (ii) the company must have a minimum total market capitalization of at least $200 million at the time of its inclusion; (iii) at least 75% of the companys total revenue must be derived from the ownership and operation of real estate assets; and (iv) the liquidity of the companys stock must be commensurate with that of other institutionally held real estate securities.|N|0|N|N|406C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||41.09|41.53|0.0|0.0|41.49|41.46|41.48|41.52|0.0|0.0|40.27|39.56|41.47|41.38|40.23|41.37|0.0|41.51|41.53|41.51|39.14|43.46|41.14|41.9|41.49|41.52|41.13|41.9|41.13|41.9|41.49|41.52|46.38|35.6|95154|27037325 73969|RWOD|RWOD|758083109|US7580831094|Redwoods Acquisition Corp|COM USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN5-4|TXN14-2|TXN5-1|TXN6-8|8800000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.7|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.05|11.0|0.0|0.0|0.0|0.0|10.69|10.89|11.23|10.0|103|10509892 73970|RWODR|RWODR|758083125||Redwoods Acquisition Corp. Rights|||D|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-4|TXN5-2|TXN14-7|TXN6-1|TXN6-6|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||50|5020|502040|50204000|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Industrial|N||N||||||N|0|Y|D|||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.1124|0.0|0.0|0.0|0.0|0.15|0.0|0.0|0.0|0.0|0.15|0.0|0.15|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.11|1.65|0.2|0.0301|198299|2930978 73803|RWODU|RWODU|758083208|US7580832084|Redwoods Acquisition Corp|UNIT||R|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN6-5|TXN11-2|TXN6-5|TXN5-3|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|7.77|14.26|0.0|0.0|9.07|12.68|7.77|14.26|0.0|0.0|9.71|11.89|10.9301|9.45|0|226204 73971|RWODW|RWODW|758083117|US7580831177|Redwoods Acquisition Corp|WT EXP 031527||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-5|TXN6-1|TXN10-4|TXN5-6|TXN6-7|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.02|0.04|0.1|0.015|0|3211869 9030|RWR|RWR|78464A607|US78464A6073|SPDR Series Trust|SPDR Dow Jones REIT ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-3|TXN2-6|TXN3-6|TXN4-1|TXN4-8|14456617|||Quarterly|||||2008-11-07||RWR.NV|RWR.SO|RWR.EU|RWR.TC|RWR.IV| | | | | | | | | |1x|The SPDR Dow Jones REIT ETF, before expenses, seeks to match the returns and characteristics of the Dow Jones U.S. Select REIT Index (ticker: DWRTFT). The Dow Jones U.S. Select REIT Index is comprised of companies whose charters are the equity ownership and operation of commercial real estate and which operate under the REIT Act of 1960. Each REIT in the REIT Index is weighted by its float-adjusted market capitalization. That is, each security is weighted to reflect the attainable market performance of the security which reflects that portion of securities shares that are accessible to investors.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||90.98|91.0|0.0|90.64|90.99|90.98|90.98|90.69|0.0|0.0|91.0|90.53|90.99|91.0|90.99|90.99|90.53|90.99|90.98|90.99|90.95|91.01|90.83|91.1|90.95|91.0|90.95|91.01|90.83|91.11|90.95|91.0|100.265|76.73|397338|58610937 9031|RWT|RWT|758075402|US7580754023|Redwood Trust, Inc.|Common Stock|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN1-7|TXN2-7|TXN1-8|TXN4-5|118640000|||Quarterly|||||1998-01-28||||||| | | | | | | | | |||N|0|N|Y|412A|USA|US|||30|3020|302030|30203000|Financials|Financial Services |Mortgage Real Estate Investment Trusts|Mortgage REITs: Diversified|N||N||||||Y|0|Y||Y|2|||7.23|7.22|0.0|7.31|7.23|7.225|7.225|7.22|0.0|0.0|7.22|7.23|7.225|7.22|7.25|7.22|7.23|7.23|7.23|7.22|7.22|7.23|5.59|8.89|7.21|7.24|7.19|7.26|7.2|7.24|7.22|7.23|8.72|5.47|2103395|277947488 75139|RWT PRA|RWTpA|758075808|US7580758081|Redwood Trust, Inc.|10.00% Series A Fixed-Rate Reset Cumulative Redeemable Preferred Stock|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN4-5|TXN5-8|TXN4-1|TXN3-7|2800000|||Quarterly|||||2023-01-23||||||| | | | | | | | | |||N|0|N|N|412A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|23.3|0.0|0.0|0.0|23.36|23.41|0.0|0.0|0.0|0.0|23.36|0.0|0.0|0.0|23.41|0.0|23.41|0.0|23.41|23.36|23.41|0.0|0.0|21.81|25.0|0.0|0.0|0.0|0.0|23.36|23.41|25.44|19.25|6236|3001479 19505|RWX|RWX|78463X863|US78463X8636|SPDR Index Shares Funds|SPDR Dow Jones International Real Estate ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-6|TXN2-3|TXN3-8|TXN4-6|TXN1-4|12485379|||Quarterly|||||2008-11-07||RWX.NV|RWX.SO|RWX.EU|RWX.TC|RWX.IV| | | | | | | | | |1x|The SPDR Dow Jones International Real Estate ETF before expenses, seeks to closely match the returns and characteristics of the total return performance of the Dow Jones Global ex-U.S. Select Real Estate Securities Index (ticker: DWXRSN), an equity index based upon the global (ex-US) real estate market. The Dow Jones Global ex-U.S. Real Estate Securities Index is a float adjusted market capitalization index designed to measure the performance of publicly traded real estate securities in developed and emerging countries excluding the United States.|N|0|N|N|406C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||25.43|25.45|0.0|0.0|25.41|25.43|25.4048|25.45|0.0|0.0|25.43|0.0|25.43|25.43|25.49|25.43|25.48|25.4|0.0|25.4|24.13|26.63|23.82|27.12|25.4|25.43|24.13|26.63|0.0|0.0|25.4|25.43|29.49|22.52|99068|26005241 18921|RXD|RXD|74347G564|US74347G5642|ProShares Trust|ProShares UltraShort Health Care|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ProShares Advisors |IMC Chicago, LLC, DBA IMC Financial Markets|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-3|TXN3-5|TXN7-8|TXN2-8|TXN3-7|160430|||Quarterly|||||2008-11-12||RXD.NV|RXD.SO|RXD.EU|RXD.TC|RXD.IV| | | | | | | | | |-2x|ProShares UltraShort Health Care seeks daily investment results, before fees and expenses, that correspond to twice (200%) the inverse (opposite) of the daily performance of the Dow Jones U.S. Health Care Index. This ETF seeks a return of -200% of the return of an index (target) for a single day. Due to the compounding of daily returns, returns over periods other than one day will likely differ in amount and possibly direction from the target return for the same period. Investors should monitor their ProShares holdings consistent with their strategies, as frequently as daily. For more on correlation, leverage and other risks, please read the prospectus. The Dow Jones U.S. Health Care Sector Index measures the performance of the health care economic sector of the U.S. equity market. Component companies include health care providers, biotechnology companies and manufacturers of medical supplies, advanced medical devices and pharmaceuticals. It is not possible to invest directly in an index.|N|0|N|N|416A|USA|US|EQUITY|INVERSE|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|12.89|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|12.84|0.0|12.84|0.0|0.0|12.76|12.94|12.81|12.87|12.76|12.95|12.76|12.95|12.76|13.37|14.7461|11.1502|4994|1274257 17183|RXI|RXI|464288745|US4642887453|iShares Trust|iShares Global Consumer Discretionary ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-6|TXN4-1|TXN8-5|TXN4-1|TXN1-1|2300000|||BiAnnually|||||2007-12-06||RXI.NV|RXI.SO|RXI.EU|RXI.TC|RXI.IV| | | | | | | | | |1x|The iShares S&P Global Consumer Discretionary Index Fund seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the S&P Global Consumer Discretionary Index. THE UNDERLYING INDEX MEASURES THE PERFORMANCE OF COMPANIES THAT S&P DEEMS TO BE PART OF THE CONSUMER DISCRETIONARY SECTOR OF THE ECONOMY AND THAT S&P BELIEVES ARE IMPORTANT TO GLOBAL MARKETS. IT IS A SUBSET OF THE S&P GLOBAL 1200 INDEX. COMPONENTS INCLUDE CONSUMER PRODUCT MANUFACTURING, SERVICE, MEDIA AND RETAIL COMPANIES. AS OF MAY 29, 2009, THE UNDERLYING INDEX WAS COMPRISED OF STOCKS OF COMPANIES IN THE FOLLOWING MARKETS: AUSTRALIA, BRAZIL, CANADA, CHIL, FRANCE, GERMANY, GREECE, HONG KONG, ITALY, JAPAN, LUXEMBOURG, MEXICO, THE NETHERLANDS, SOUTH KOREA, SPAIN, SWEDEN, SWITZERLAND, THE UNITED KINGDOM AND THE UNITED STATES.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||152.65|151.75|0.0|151.82|152.65|152.65|152.8|152.755|0.0|0.0|152.65|0.0|0.0|152.85|152.65|0.0|0.0|152.5612|151.79|152.5612|121.45|182.5|0.0|0.0|152.49|152.69|152.49|153.5|152.49|153.5|152.49|152.69|161.81|124.19|10140|2553802 18910|RXL|RXL|74347R735|US74347R7355|ProShares Trust|ProShares Ultra Health Care|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ProShares Advisors |IMC Chicago, LLC, DBA IMC Financial Markets|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-5|TXN4-5|TXN3-7|TXN2-4|TXN3-5|910000|||Quarterly|||||2008-11-12||RXL.NV|RXL.SO|RXL.EU|RXL.TC|RXL.IV| | | | | | | | | |2x|ProShares Ultra Health Care seeks daily investment results, before fees and expenses, that correspond to twice (200%) the daily performance of the Dow Jones U.S. Health Care Index. This ETF seeks a return of 200% of the return of an index (target) for a single day. Due to the compounding of daily returns, returns over periods other than one day will likely differ in amount and possibly direction from the target return for the same period. Investors should monitor their ProShares holdings consistent with their strategies, as frequently as daily. For more on correlation, leverage and other risks, please read the prospectus. he Dow Jones U.S. Health Care Sector Index measures the performance of the health care economic sector of the U.S. equity market. Component companies include health care providers, biotechnology companies and manufacturers of medical supplies, advanced medical devices and pharmaceuticals. It is not possible to invest directly in an index.|N|0|N|N|416A|USA|US|EQUITY|LEVERAGED|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|82.05|85.6743|0.0|0.0|0.0|0.0|0.0|85.83|0.0|0.0|0.0|0.0|85.7904|0.0|85.7904|67.72|102.64|0.0|0.0|85.66|85.8|85.52|85.97|85.53|85.99|85.66|85.8|102.31|74.441|863|1167527 74802|RXO|RXO|74982T103|US74982T1034|RXO, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|11|Q|Virtu Americas LLC|NITC|295|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-3|TXN4-2|TXN3-4|TXN3-2|TXN1-4|117000000|||NotApplicable|||||2022-10-27||||||| | | | | | | | | |||N|0|N|Y|100A|USA|US|||50|5020|502060|50206060|Industrials|Industrial Goods and Services|Industrial Transportation|Transportation Services|N||N||||||Y|0|Y||Y|2|||22.02|22.03|0.0|22.0|22.01|22.01|21.992|22.0|0.0|0.0|22.065|21.97|22.0|21.99|21.9|22.0|22.06|22.0|22.02|22.0|22.0|22.02|16.95|26.88|21.96|22.07|21.96|22.04|21.96|22.02|22.0|22.02|23.7384|15.67|628483|239765424 70244|RXRX|RXRX|75629V104|US75629V1044|Recursion Pharmaceauticals Inc|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN5-6|TXN14-3|TXN6-6|TXN5-6|208280000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||7.41|7.4|0.0|7.4|7.41|7.405|7.41|7.41|0.0|0.0|7.41|7.41|7.41|7.41|7.4|7.41|7.4|7.41|7.41|7.41|7.4|7.43|7.37|7.44|7.4|7.42|7.37|7.43|7.36|7.44|7.4|7.41|16.745|4.54|4173127|783072916 71297|RXST|RXST|78349D107|US78349D1072|RxSight Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN6-8|TXN10-7|TXN5-7|TXN6-6|35860000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||Y|0|Y||||||31.4|31.44|0.0|31.19|31.2|31.405|31.48|31.48|0.0|0.0|31.48|31.2|31.48|31.19|31.43|31.49|31.4|31.48|31.39|31.48|31.04|31.79|23.9|38.25|31.14|31.72|31.35|31.54|31.34|31.54|31.45|31.49|33.77|10.29|756681|86940393 67148|RXT|RXT|750102105|US7501021056|Rackspace Technology Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN5-3|TXN14-5|TXN6-5|TXN6-5|216410000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101010|10101010|Technology|Technology|Software and Computer Services|Computer Services|N||N||||||Y|0|Y||||||1.5|1.495|0.0|1.58|1.5|1.495|1.5|1.49|0.0|0.0|1.495|1.505|1.49|1.5|1.49|1.495|1.49|1.495|1.5|1.49|1.47|1.52|1.24|1.84|1.47|1.5|1.47|1.53|1.48|1.51|1.49|1.5|4.5|1.05|1292368|406543985 9039|RY|RY|780087102|CA7800871021|Royal Bank of Canada|Common Shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|8|A|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-4|TXN1-2|TXN8-2|TXN4-1|TXN3-8|1402370000|||Quarterly|||||1995-10-16||||||| | | | | | | | | |||N|0|N|Y|402B|CAN|CA|||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||Y|2|||91.01|91.02|0.0|90.63|91.01|91.02|91.03|91.005|0.0|0.0|91.005|91.015|91.02|91.01|90.69|91.01|91.03|91.05|91.005|91.01|91.04|91.05|69.96|110.65|90.8|91.06|90.93|95.47|91.01|91.1|91.04|91.05|104.72|77.9|3120143|224917221 3516|RYAAY|RYAAY|783513203|US7835132033|Ryanair Holdings PLC|SPON ADR||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN5-5|TXN12-3|TXN5-8|TXN6-5|1138680000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||IRL||||40|4050|405010|40501010|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Airlines|N||N||||||Y|0|Y||||||121.54|121.44|0.0|121.59|121.59|121.58|121.445|121.45|0.0|0.0|121.53|121.47|121.46|121.54|121.4|121.54|121.44|121.46|121.2|121.46|121.34|121.61|92.24|148.94|121.3|121.66|121.3|121.59|121.45|121.56|121.45|121.52|121.78|73.5|1007676|102765223 44446|RYAM|RYAM|75508B104|US75508B1044|Rayonier Advanced Materials Inc.|Common Stock, par value $0.01 per share|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|I|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-5|TXN1-8|TXN9-4|TXN4-2|TXN2-2|65340000|||Quarterly|||||2014-06-16||||||| | | | | | | | | |||N|0|N|Y|100A|USA|US|||55|5520|552010|55201000|Basic Materials|Chemicals|Chemicals|Chemicals: Diversified|N||N||||||Y|0|Y||Y|2|||3.51|3.505|0.0|3.52|3.51|3.505|3.505|3.515|0.0|0.0|3.51|3.52|3.505|3.51|3.52|3.51|3.5|3.5|3.51|3.51|3.5|3.51|2.76|4.37|3.49|3.52|3.47|3.54|3.47|3.52|3.5|3.51|9.84|2.66|617160|217068768 71220|RYAN|RYAN|78351F107|US78351F1075|Ryan Specialty Holdings, Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-6|TXN1-7|TXN5-6|TXN3-7|TXN3-7|118300000|||NotApplicable|||||2021-07-22||||||| | | | | | | | | |||N|0|Y|Y|410A|USA|US|||30|3030|303020|30302015|Financials|Insurance|Non-life Insurance|Insurance Brokers|N||N||||||Y|0|Y||Y|1|||45.35|45.35|0.0|45.36|45.36|45.35|45.33|45.335|0.0|0.0|45.32|45.34|45.34|45.33|45.29|45.36|45.29|45.36|45.35|45.36|45.33|45.36|42.36|47.96|45.33|45.39|45.33|45.39|45.33|45.39|45.33|45.36|50.64|35.1|542091|154234066 44733|RYI|RYI|783754104|US7837541041|Ryerson Holding Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|P|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-6|TXN3-4|TXN3-7|TXN4-1|TXN3-7|34170000|||Quarterly|||||2014-08-08||||||| | | | | | | | | |||N|0|N|Y|130D|USA|US|||55|5510|551020|55102010|Basic Materials|Basic Resources|Industrial Metals and Mining|Iron and Steel|N||N||||||Y|0|Y||Y|2|||31.78|31.79|0.0|31.46|31.79|31.78|31.775|31.775|0.0|0.0|31.79|31.64|31.82|31.78|31.73|31.84|31.84|31.84|31.775|31.84|31.83|31.84|24.65|38.51|31.7|31.88|24.65|31.9|31.82|31.88|31.83|31.84|44.7|26.15|322391|80487876 16519|RYJ|RYJ|46137V522|US46137V5223|Invesco Exchange-Traded Fund Trust|Invesco Raymond James SB-1 Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Invesco|Latour Trading, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-3|TXN3-2|TXN9-5|TXN3-1|TXN4-8|2012822|||Yearly|||||2018-05-21||RYJ.NV|RYJ.SO|RYJ.EU|RYJ.TC|RYJ.IV| | | | | | | | | |1x|The Guggenheim Raymond James SB-1 Equity ETF seeks investment results that correspond generally to the performance, before the Funds fees and expenses, of an equity index called the Raymond James SB-1 Equity Index. 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LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-5|TXN1-6|TXN9-8|TXN4-1|TXN4-6|460000|||Monthly|||||2022-10-05||RYLG.NV|RYLG.SO|RYLG.EU|RYLG.TC|RYLG.IV| | | | | | | | | |1x|The Global X Russell 2000 Covered Call & Growth ETF (Fund) seeks to provide investment results that correspond generally to the price and yield performance, before fees and expenses, of the Cboe Russell 2000 Half BuyWrite Index (Underlying Index).|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||0.0|24.29|0.0|0.0|0.0|23.93|24.3699|24.38|0.0|0.0|24.38|0.0|24.38|24.32|0.0|0.0|0.0|24.39|24.32|24.39|0.0|0.0|24.34|24.4|24.38|24.4|0.0|0.0|0.0|0.0|24.38|24.4|26.9399|22.0457|7482|798417 9042|RYN|RYN|754907103|US7549071030|Rayonier Inc.|Common Shares (REIT)|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|8|I|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN3-6|TXN6-3|TXN3-7|TXN1-4|148290000|||Quarterly|||||1994-02-17||||||| | | | | | | | | |||N|0|Y|Y|412A|USA|US|||35|3510|351020|35102060|Real Estate|Real Estate |Real Estate Investment Trusts|Timber REITs|N||N||||||Y|0|Y||Y|1|||31.36|31.37|0.0|31.18|31.36|31.32|31.36|31.355|0.0|0.0|31.18|31.37|31.38|31.36|31.27|31.37|31.14|31.38|31.36|31.37|31.35|31.38|29.5|33.1|31.34|31.39|31.32|31.42|31.32|31.42|31.35|31.38|37.789|24.84|451837|113321580 75142|RYSE|RYSE|26922B659|US26922B6598|Cboe Vest 10 Year Interest Rate Hedge ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-8|TXN4-4|TXN4-8|TXN4-1|TXN4-7|200000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|29.9311|0.0|0.0|0.0|0.0|30.09|0.0|0.0|0.0|31.03|0.0|0.0|31.01|0.0|0.0|0.0|29.9311|0.0|29.9311|0.0|0.0|0.0|0.0|29.89|29.97|0.0|0.0|0.0|0.0|29.91|29.97|33.43|25.065|1623|526835 59744|RYTM|RYTM|76243J105|US76243J1051|Rhythm Pharmaceuticals Inc|COM USD0.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN6-3|TXN14-3|TXN6-7|TXN5-8|59100000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||34.72|34.72|0.0|34.17|34.74|34.72|34.74|34.74|0.0|0.0|34.72|34.73|34.75|34.72|34.81|34.73|0.0|34.74|34.5|34.75|34.64|34.8|26.96|42.38|34.64|34.8|34.6|34.83|34.69|34.86|34.7|34.73|35.29|15.5001|795006|154691997 76308|RYZB|RYZB|75525N107|US75525N1072|RayzeBio Inc|COM USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN6-3|TXN10-4|TXN5-8|TXN5-1|59920000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||25.02|25.53|0.0|25.7|24.81|25.605|25.7|25.66|0.0|0.0|25.38|24.81|25.7|24.8|24.81|25.61|25.59|25.7|24.82|25.7|19.87|27.8|19.87|31.37|23.77|27.22|25.46|25.8|25.6|25.83|25.6|25.7|26.38|17.95|330559|16668061 53324|RZB|RZB|759351802|US7593518027|Reinsurance Group of America, Incorporated|5.75% Fixed-To-Floating Rate Subordinated Debentures due 2056|Operating company|G|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN4-4|TXN6-8|TXN3-5|TXN1-1|16000000|||Quarterly|||||2016-06-13|2056-06-15|||||| | | | | | | | | |||N|0|N|N|410B||US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|25.44|0.0|0.0|25.21|24.84|24.81|24.94|0.0|0.0|0.0|0.0|24.89|0.0|0.0|24.81|0.0|24.81|0.0|24.81|24.8|24.88|0.0|0.0|24.32|25.4|0.0|0.0|0.0|0.0|24.8|24.88|26.47|22.92|20633|5892257 74733|RZC|RZC|759351885|US7593518852|Reinsurance Group of America, Incorporated|7.125% Fixed-Rate Reset Subordinated Debentures due 2052|Operating company|G|N|N|N|Y|Y|Y|Y|Y|6|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN2-5|TXN4-8|TXN4-1|TXN1-4|28000000|||Quarterly|||||2022-10-07|2052-10-15|||||| | | | | | | | | |||N|0|N|N|410B||US|||||||||||N||N||||||N|0|Y||Y|2|||26.12|26.13|0.0|0.0|26.19|26.19|26.13|26.14|0.0|0.0|26.33|26.57|26.22|26.22|25.41|26.18|26.15|26.23|0.0|26.18|26.11|26.24|26.11|26.15|25.65|26.7|0.0|0.0|0.0|0.0|26.12|26.24|29.2|25.03|27531|14538076 16194|RZG|RZG|46137V175|US46137V1750|Invesco Exchange-Traded Fund Trust|Invesco S&P SmallCap 600® Pure Growth ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Invesco|IMC Chicago, LLC, DBA IMC Financial Markets|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-3|TXN1-7|TXN7-5|TXN4-7|TXN3-2|2180012|||Quarterly|||||2018-04-09||RZG.NV|RZG.SO|RZG.EU|RZG.TC|RZG.IV| | | | | | | | | |1x|Seeks to replicate as closely as possible, before expenses, the performance of the S&P small cap 600/Citigroup Pure Growth Index. The S&P small cap 600/Citigroup Pure Growth Index is narrow in focus, containing only those S&P small cap 600 companies with strong growth characteristics as selected by S&P. As of December 31, 2008, the S&P small cap 600/Citigroup Pure Growth Index included 170 of the constituents that comprise the S&P small cap 600. As of December 31, 2008, the S&P small cap 600/Citigroup Pure Growth Index included companies with a capitalization range of $32.2 million to $2 billion.|N|0|N|N|406C|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||42.1|42.6|0.0|0.0|42.27|42.27|42.5699|42.11|0.0|0.0|42.27|0.0|42.27|41.61|42.16|42.27|0.0|42.6044|0.0|42.6044|39.71|44.4|42.45|42.82|42.57|42.7|42.45|42.83|42.45|42.83|42.57|42.7|129.09|37.9567|8823|511296 41293|RZLT|RZLT|76200L309|US76200L3096|Rezolute Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-3|TXN5-3|TXN14-3|TXN5-3|TXN6-3|39630000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||0.82|0.7909|0.0|0.0|0.82|0.8059|0.80505|0.86|0.0|0.0|0.8086|0.82|0.839|0.82|0.783|0.81|0.0|0.80505|0.8084|0.80505|0.758|0.9005|0.656|1.02|0.7657|0.8924|0.656|1.02|0.7763|0.8837|0.81|0.86|2.9|0.72|33001|7941483 16193|RZV|RZV|46137V167|US46137V1677|Invesco Exchange-Traded Fund Trust|Invesco S&P SmallCap 600® Pure Value ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Invesco|IMC Chicago, LLC, DBA IMC Financial Markets|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-1|TXN4-1|TXN5-6|TXN2-3|TXN4-5|2390040|||Quarterly|||||2018-04-09||RZV.NV|RZV.SO|RZV.EU|RZV.TC|RZV.IV| | | | | | | | | |1x|Seeks to replicate as closely as possible, before expenses, the performance of the S&P small cap 600/Citigroup Pure Value Index. The S&P small cap 600/Citigroup Pure Value Index is narrow in focus, containing only those S&P small cap 600 companies with strong value characteristics as selected by S&P. As of December 31, 2008, the S&P small cap 600/Citigroup Pure Value Index included 123 of the constituents that comprise the S&P small cap 600. 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This ETF seeks a return of 200% of the return of an index (target) for a single day. Due to the compounding of daily returns, returns over periods other than one day will likely differ in amount and possibly direction from the target return for the same period. Investors should monitor their ProShares holdings consistent with their strategies, as frequently as daily. For more on correlation, leverage and other risks, please read the prospectus. The small cap 600 Index covers the small cap segment of the U.S. equities market, covering approximately 3% of the U.S. equities market.|N|0|N|N|416A|USA|US|EQUITY|LEVERAGED|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|19.85|21.5252|0.0|0.0|0.0|0.0|0.0|21.54|0.0|0.0|0.0|0.0|21.5252|0.0|21.5252|21.05|21.94|0.0|0.0|21.5|21.54|21.46|21.54|0.0|0.0|21.5|21.54|26.82|16.47|7369|1172252 38258|SABR|SABR|78573M104|US78573M1045|Sabre Corp|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN6-5|TXN12-1|TXN6-6|TXN6-5|379480000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4050|405010|40501015|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Travel and Tourism|N||N||||||Y|0|Y||||||3.85|3.84|0.0|3.78|3.845|3.84|3.84|3.845|0.0|0.0|3.84|3.84|3.84|3.85|3.845|3.84|3.86|3.84|3.86|3.84|3.81|3.85|2.97|4.75|3.81|3.85|3.82|3.88|3.81|3.85|3.84|3.85|7.92|2.99|3973826|1490809060 69113|SABS|SABS|78397T103|US78397T1034|SAB Biotherapeutics Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-1|TXN6-2|TXN13-7|TXN5-5|TXN6-8|52320000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and 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042927||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-5|TXN5-6|TXN10-8|TXN5-1|TXN6-7|23740000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||SGP||||||||||||N||N||||||N|0|Y|C|||||0.0|0.0525|0.0|0.0|0.0|0.053|0.0|0.0|0.0|0.0|0.0|0.0|0.04|0.0|0.0|0.0|0.0|0.04|0.0|0.04|0.0|0.0|0.0|0.0|0.0425|0.1325|0.0|0.0|0.0|0.0|0.0425|0.1|0.4913|0.0202|3000|857817 74839|SAJ|SAJ|80349A885|US80349A8852|Saratoga Investment Corp.|8.00% Notes due 2027|Business development company|G|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN3-7|TXN1-5|TXN4-3|TXN2-3|1840000|||Quarterly|||||2022-11-03|2027-10-31|||||| | | | | | | | | |||N|0|N|N|406B||US|||||||||||N||N||||||N|0|Y||Y|2|||25.34|0.0|0.0|0.0|0.0|25.15|25.0|0.0|0.0|0.0|25.21|0.0|0.0|0.0|0.0|25.34|0.0|25.34|0.0|25.34|24.99|25.35|25.0|25.35|23.27|27.03|0.0|0.0|0.0|0.0|24.99|25.35|26.49|23.5906|1149|1201490 3527|SALM|SALM|794093104|US7940931048|Salem Media Group Inc|CL A COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-6|TXN5-6|TXN12-6|TXN6-2|TXN5-1|21660000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4030|403010|40301035|Consumer Discretionary|Media|Media|Radio and TV Broadcasters|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.5976|0.5953|0.0|0.0|0.0|0.0|0.5953|0.5952|0.0|0.0|0.0|0.0|0.5953|0.0|0.5953|0.5605|0.6263|0.0|0.0|0.5605|0.6263|0.0|0.0|0.0|0.0|0.595|0.6|1.448|0.5397|7025|7974859 9052|SAM|SAM|100557107|US1005571070|The Boston Beer Company, Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|N|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN2-1|TXN2-8|TXN1-6|TXN1-3|10120000|||NotApplicable|||||1995-11-21||||||| | | | | | | | | |||N|0|Y|Y|118A|USA|US|||45|4510|451010|45101010|Consumer Staples |Food, Beverage and Tobacco |Beverages|Brewers|N||N||||||Y|0|Y||Y|1|||353.2|359.1|0.0|358.79|344.68|358.37|359.27|358.75|0.0|0.0|354.54|354.44|359.32|355.28|346.12|359.57|359.07|359.57|352.54|359.57|358.92|359.57|335.46|384.78|358.33|360.05|358.73|360.11|358.92|360.23|358.92|359.57|420.495|296.27|98383|29697919 42293|SAMG|SAMG|828359109|US8283591092|Silvercrest Asset Management Group Inc|CL A COM 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LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-4|TXN1-3|TXN8-8|TXN1-5|TXN1-5|2820000|||Yearly|||||2022-01-25||SAMT.NV|SAMT.SO|SAMT.EU|SAMT.TC|SAMT.IV| | | | | | | | | |1x|The Fund is an actively-managed exchange-traded fund (ETF) that seeks to achieve its objective by investing principally in common stocks of U.S. companies that Strategas Asset Management, LLC (the Adviser) believes most highly correlate to macro-thematic trends.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|23.29|0.0|0.0|0.0|0.0|23.285|23.14|0.0|0.0|23.2|0.0|23.29|0.0|0.0|0.0|23.2|23.2977|0.0|23.2977|23.06|23.54|22.96|23.43|23.26|23.34|21.73|24.81|0.0|0.0|23.26|23.34|23.88|21.21|15910|2257776 9324|SAN|SAN|05964H105|US05964H1059|Banco Santander S.A.|American Depositary Shares (Each representing one share of Capital Stock)|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-4|TXN2-1|TXN9-3|TXN4-2|TXN4-5|16184150000|||BiAnnually|||||1987-07-30||||||| | | | | | | | | |||N|0|N|Y|402A|ESP|ES|||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||Y|2|||4.13|4.14|0.0|4.12|4.14|4.135|4.13|4.13|0.0|0.0|4.13|4.13|4.135|4.125|4.13|4.14|4.13|4.135|4.12|4.14|4.13|4.14|3.19|5.04|4.12|4.14|4.09|4.16|4.12|4.17|4.12|4.14|4.15|2.8209|2809840|860946638 69029|SANA|SANA|799566104|US7995661045|Sana Biotechnology Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN6-7|TXN14-8|TXN6-7|TXN5-5|197130000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y|C|||||4.07|4.08|0.0|3.59|4.08|4.075|4.08|4.075|0.0|0.0|4.08|4.065|4.09|4.07|3.97|4.08|4.03|4.08|4.07|4.09|4.02|4.1|3.06|4.98|4.02|4.1|4.05|4.09|4.06|4.1|4.07|4.08|8.005|2.745|1519126|275102265 40569|SAND|SAND|80013R206|CA80013R2063|Sandstorm Gold Ltd.|Common Shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|6|P|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-6|TXN2-6|TXN2-3|TXN2-1|TXN4-7|296180000|||Quarterly|||||2020-02-21||||||| | | | | | | | | |||N|0|N|Y|130E|CAN|CA|||55|5510|551030|55103025|Basic Materials|Basic Resources|Precious Metals and Mining|Gold Mining|N||N||||||Y|0|Y||Y|2|||4.98|4.98|0.0|4.95|4.99|4.98|4.985|4.985|0.0|0.0|4.98|4.98|4.985|4.99|4.99|4.98|4.985|4.98|4.98|4.98|4.98|4.99|3.88|6.13|4.97|4.99|4.96|5.01|4.97|5.02|4.98|4.99|6.31|4.27|3342279|499331368 75049|SANE|SANE|81752T544|US81752T5442|Subversive Mental Health ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-6|TXN1-8|TXN3-8|TXN2-5|TXN4-7|30000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|22.982|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|22.982|0.0|22.982|22.92|23.02|0.0|0.0|22.77|23.2|0.0|0.0|0.0|0.0|22.93|23.02|26.43|21.6451|0|17651 72950|SANG|SANG|80100R408|CA80100R4089|Sangoma Technologies Corporation|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN5-8|TXN11-6|TXN6-1|TXN6-2|33180000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CAN||||15|1510|151010|15101010|Telecommunications|Telecommunications|Telecommunications Equipment|Telecommunications Equipment|N||N||||||N|0|Y||||||0.0|3.1|0.0|0.0|0.0|3.1|3.1|0.0|0.0|0.0|0.0|0.0|3.1|0.0|0.0|0.0|0.0|3.1|0.0|3.1|0.0|0.0|0.0|0.0|3.0|3.18|0.0|0.0|0.0|0.0|3.01|3.1|5.95|2.18|3574|1900234 3530|SANM|SANM|801056102|US8010561020|Sanmina Corp|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN5-2|TXN11-8|TXN6-3|TXN5-6|56840000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101020|10102015|Technology|Technology|Technology Hardware and Equipment|Electronic Components|N||N||||||Y|0|Y||||||50.08|50.3|0.0|50.09|50.29|50.2|50.3|50.3|0.0|0.0|50.27|50.11|50.28|50.13|50.14|50.11|0.0|50.29|50.09|50.28|50.23|50.41|38.68|62.16|50.18|50.41|50.24|50.35|50.23|50.35|50.28|50.32|68.0|43.405|354803|97465324 32842|SANW|SANW|785135104|US7851351046|S&W Seed Co|COM USD0.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-8|TXN6-4|TXN11-5|TXN5-5|TXN5-6|43040000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||45|4510|451020|45102030|Consumer Staples |Food, Beverage and Tobacco |Food Producers|Fruit and Grain Processing|N||N||||||N|0|Y|C|||||0.6226|0.55|0.0|0.0|0.5909|0.6225|0.6278|0.622|0.0|0.0|0.6225|0.6225|0.6226|0.0|0.0|0.0|0.0|0.6225|0.0|0.6225|0.5913|0.672|0.47|0.747|0.5812|0.6804|0.47|0.696|0.0|0.0|0.6225|0.638|2.14|0.5|118509|14302246 9054|SAP|SAP|803054204|US8030542042|SAP SE|American Depositary Shares (Each representing One Common Share)|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-5|TXN3-4|TXN4-1|TXN1-2|TXN3-2|1228500000|||Yearly|||||1998-08-03||||||| | | | | | | | | |||N|0|N|Y|108A|DEU|DE|||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||Y|2|||159.27|159.26|0.0|159.33|159.25|159.27|159.275|159.26|0.0|0.0|159.27|159.37|159.29|159.28|158.54|159.27|160.24|159.275|158.68|159.27|159.25|159.3|123.0|194.49|159.13|159.3|159.12|159.39|159.27|159.34|127.48|159.3|160.355|101.78|670275|207277331 19287|SAR|SAR|80349A208|US80349A2087|Saratoga Investment Corp.|Common Stock|Business development company|A|N|N|N|Y|Y|Y|Y|Y|6|E|Citadel Securities 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USD1||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN6-5|TXN10-5|TXN6-3|TXN6-1|44900000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||||||23.74|23.77|0.0|23.72|23.7|23.77|23.69|23.69|0.0|0.0|23.73|23.52|23.68|23.71|0.0|23.73|23.77|23.69|0.0|23.68|23.52|23.97|18.34|28.99|23.68|23.94|23.63|23.76|23.62|23.72|23.68|23.72|36.1|19.27|156625|63703594 73977|SAT|SAT|80349A802||Saratoga Investment Corp.|6.00% Notes due 2027|Business development company|G|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN3-7|TXN4-8|TXN3-2|TXN3-7|0|||Quarterly|||||2022-05-03|2027-04-30|||||| | | | | | | | | |||N|0|N|N|406B||US|||50|5020|502040|50204000|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Industrial|N||N||||||N|0|Y||Y|2|||23.41|23.5|0.0|0.0|0.0|23.4|23.44|23.41|0.0|0.0|0.0|0.0|23.4|23.41|0.0|23.4|23.5|23.4|0.0|23.4|23.4|23.55|23.44|23.55|22.93|23.97|0.0|0.0|0.0|0.0|23.4|23.55|24.09|22.47|5679|2159170 69852|SATL|SATL|G7823S101|VGG7823S1011|Satellogic Inc|COM CL 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012526||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-6|TXN5-4|TXN12-1|TXN5-7|TXN5-6|89150000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||URY||||||||||||N||N||||||N|0|Y||||||0.0|0.1575|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0901|0.0|0.0|0.0|0.0|0.1575|0.0|0.1575|0.0|0.0|0.0|0.0|0.0934|0.1575|0.0|0.0|0.0|0.0|0.1|0.1575|0.44|0.05|401|2022326 71967|SATO|SATO|46138G557|US46138G5577|Invesco Alerian Galaxy Crypto Economy ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN2-8|TXN1-5|TXN4-1|TXN1-8|550000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||0.0|11.43|0.0|0.0|0.0|11.44|11.42|0.0|0.0|0.0|11.49|0.0|11.44|11.06|0.0|0.0|0.0|11.43|0.0|11.43|0.0|0.0|0.0|0.0|11.28|11.61|0.0|0.0|0.0|0.0|11.35|11.4|12.2697|3.8064|32880|982482 26679|SATS|SATS|278768106|US2787681061|EchoStar Corp|CL A COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN5-6|TXN11-7|TXN6-3|TXN5-1|36220000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||15|1510|151010|15101010|Telecommunications|Telecommunications|Telecommunications Equipment|Telecommunications Equipment|N||N||||||Y|0|Y||||||11.28|11.29|0.0|11.2|11.3|11.29|11.28|11.275|0.0|0.0|11.28|11.28|11.28|11.28|11.27|11.29|11.18|11.285|11.29|11.28|11.18|11.32|8.75|13.76|11.18|11.3|11.24|11.32|11.26|11.31|11.28|11.29|24.8|9.53|1101028|99920787 72268|SATX|SATX|M82363124|IL0011898850|SatixFy Communications Ltd.|Ordinary Shares|Operating company|A|N|Y|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN11-3|TXN4-6|TXN8-8|TXN1-7|TXN2-5|80760000|||NotApplicable|||||2022-10-28||||||| | | | | | | | | |||N|0|N|N|100A|ISR|IL|||15|1510|151010|15101010|Telecommunications|Telecommunications|Telecommunications Equipment|Telecommunications Equipment|N||N||||||N|0|Y||Y|2|||0.4|0.4|0.0|0.0|0.4|0.3998|0.39595|0.3998|0.0|0.0|0.4|0.3921|0.399|0.0|0.0|0.4|0.402|0.402|0.0|0.402|0.3204|0.4824|0.3981|0.402|0.4001|0.4287|0.3204|0.4824|0.0|0.0|0.4011|0.4444|33.7|0.2768|109610|174571834 76180|SAUG|SAUG|33740F417|US33740F4173|FT Cboe Vest US Small Cap Moderate Buffer ETF - August|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-5|TXN1-4|TXN5-6|TXN2-1|TXN3-7|1600000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||20.17|20.3245|0.0|0.0|20.28|20.28|20.26|20.27|0.0|0.0|20.33|20.34|20.3|0.0|20.34|0.0|20.31|20.3245|20.28|20.3245|15.54|24.86|15.54|24.86|20.27|20.4|15.54|20.4|20.27|20.39|20.29|20.4|21.045|18.7028|4962|2141112 3297|SAVA|SAVA|14817C107|US14817C1071|Cassava Sciences Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN6-1|TXN11-3|TXN5-2|TXN5-5|42170000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||22.12|22.19|0.0|21.7|22.13|22.13|22.14|22.13|0.0|0.0|22.14|22.16|22.14|22.15|21.44|22.13|0.0|22.15|22.17|22.14|21.9|22.4|17.04|26.85|21.93|22.37|22.04|22.23|22.01|22.24|22.14|22.16|45.4287|12.3202|868357|241780042 38250|SAVE|SAVE|848577102|US8485771021|Spirit Airlines, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|M|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-6|TXN1-5|TXN5-8|TXN2-7|TXN4-5|109170000|||Adhoc|||||2017-12-28||||||| | | | | | | | | |||N|0|N|Y|202A|USA|US|||40|4050|405010|40501010|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Airlines|N||N||||||Y|0|Y||Y|2|||15.57|15.57|0.0|15.47|15.57|15.57|15.58|15.56|0.0|0.0|15.57|15.51|15.57|15.57|15.57|15.58|15.47|15.58|15.55|15.58|15.57|15.58|12.06|18.96|15.54|15.58|15.53|15.61|15.53|15.61|15.57|15.58|21.28|8.68|7887663|509101775 75030|SAY|SAY|80349A877||Saratoga Investment Corp.|8.125% Notes due 2027|Business development company|G|N|N|N|Y|Y|Y|Y|Y|6|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN2-4|TXN3-8|TXN4-6|TXN1-2|0|||Quarterly|||||2022-12-16|2027-12-31|||||| | | | | | | | | |||N|0|N|N|406B||US|||50|5020|502040|50204000|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Industrial|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|25.01|25.021|0.0|0.0|0.0|0.0|0.0|25.05|0.0|0.0|25.05|0.0|25.05|0.0|25.05|25.0|25.05|25.0|25.09|23.37|26.75|0.0|0.0|0.0|0.0|24.98|25.25|25.55|23.95|3533|2042456 75636|SAZ|SAZ|80349A869||Saratoga Investment Corp.|8.50% Notes due 2028|Business development company|G|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN4-3|TXN8-8|TXN1-4|TXN3-1|0|||Quarterly|||||2023-04-24|2028-04-15|||||| | | | | | | | | |||N|0|N|N|406B||US|||50|5020|502040|50204000|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Industrial|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|25.18|25.2299|0.0|0.0|0.0|25.18|0.0|25.18|0.0|0.0|25.2299|25.18|25.2299|0.0|25.2299|25.15|25.24|25.15|25.23|23.44|26.91|0.0|0.0|0.0|0.0|25.15|25.24|25.77|24.52|4043|1880237 28082|SB|SB|Y7388L103|MHY7388L1039|Safe Bulkers, Inc.|Common Stock|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-6|TXN1-3|TXN5-6|TXN1-4|TXN1-4|111600000|||Quarterly|||||2008-05-29||||||| | | | | | | | | |||N|0|N|Y|200A|MCO|MH|||50|5020|502060|50206030|Industrials|Industrial Goods and Services|Industrial Transportation|Marine Transportation|N||N||||||Y|0|Y||Y|2|||3.91|3.9|0.0|3.91|3.91|3.91|3.905|3.91|0.0|0.0|3.91|3.91|3.905|3.91|3.92|3.9|3.91|3.9|3.91|3.9|3.9|3.91|3.09|4.77|3.89|3.91|3.87|3.94|3.87|3.95|3.9|3.91|3.985|2.592|886336|152495673 44174|SB PRC|SBpC|Y7388L129|MHY7388L1294|Safe Bulkers, Inc.|8.00% Series C Cumulative Redeemable Perpetual Preferred Shares|Operating company|B|N|Y|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN4-6|TXN8-8|TXN3-6|TXN1-1|810000|||Quarterly|||||2014-05-09||||||| | | | | | | | | |||N|0|N|N|200A|MCO|MH|||50|5020|502060|50206030|Industrials|Industrial Goods and Services|Industrial Transportation|Marine Transportation|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|24.94|24.9399|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|24.82|0.0|0.0|0.0|24.82|24.76|24.96|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|24.76|24.96|25.68|24.06|150|309311 44567|SB PRD|SBpD|Y7388L137|MHY7388L1377|Safe Bulkers, Inc.|8.00% Series D Cumulative Redeemable Perpetual Preferred Shares|Operating company|B|N|Y|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN4-3|TXN8-8|TXN2-7|TXN1-4|3200000|||Quarterly|||||2014-07-03||||||| | | | | | | | | |||N|0|N|N|200A|MCO|MH|||50|5020|502060|50206030|Industrials|Industrial Goods and Services|Industrial Transportation|Marine Transportation|N||N||||||N|0|Y||Y|2|||0.0|24.75|0.0|0.0|0.0|24.88|24.89|0.0|0.0|0.0|24.76|0.0|24.89|0.0|0.0|24.89|0.0|24.89|0.0|24.89|24.74|24.9|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|24.75|26.14|25.89|23.75|6135|724359 3540|SBAC|SBAC|78410G104|US78410G1040|SBA Communications Corp|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN5-7|TXN11-2|TXN6-6|TXN6-5|107890000|||NotApplicable|||||||||||| | | | | | | | | |||N|5|Y|N||USA||||35|3510|351020|35102025|Real Estate|Real Estate |Real Estate Investment Trusts|Infrastructure REITs|N||N||||||Y|0|Y||||||248.88|248.99|0.0|249.04|248.83|248.83|249.07|248.94|0.0|0.0|248.82|248.825|248.9|248.825|249.01|248.8|248.89|249.07|248.83|248.9|248.61|249.23|231.96|264.37|248.76|249.12|248.6|249.31|248.9|0.0|248.9|249.07|312.34|185.23|590115|195058884 18862|SBB|SBB|74348A376|US74348A3766|ProShares Trust|ProShares Short SmallCap600|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ProShares Advisors |Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-4|TXN1-1|TXN8-8|TXN3-4|TXN3-6|633681|||Quarterly|||||2008-11-12||SBB.NV|SBB.SO|SBB.EU|SBB.TC|SBB.IV| | | | | | | | | |-1x|ProShares Short small cap600 seeks daily investment results, before fees and expenses, that correspond to the inverse (opposite) of the daily performance of the S&P small cap 600 Index. This ETF seeks a return of -100% of the return of an index (target) for a single day. Due to the compounding of daily returns, returns over periods other than one day will likely differ in amount and possibly direction from the target return for the same period. Investors should monitor their ProShares holdings consistent with their strategies, as frequently as daily. For more on correlation, leverage and other risks, please read the prospectus. 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Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-1|TXN5-5|TXN12-7|TXN5-8|TXN6-2|25680000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CAN||||20|2010|201030|20103015|Health Care |Health Care |Pharmaceuticals and Biotechnology|Pharmaceuticals |N||N||||||N|0|Y|C|||||0.269|0.2601|0.0|0.0|0.269|0.26|0.2699|0.26|0.0|0.0|0.2601|0.26|0.268|0.26|0.0|0.26|0.0|0.268|0.0|0.268|0.21|0.324|0.21|0.324|0.2431|0.2879|0.21|0.324|0.0|0.0|0.2553|0.27|1.4|0.2053|239658|118512467 73476|SBFMW|SBFMW|867781502|US8677815024|Sunshine Biopharma 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NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN6-8|TXN14-3|TXN5-6|TXN6-2|1136700000|||NotApplicable|||||||||||| | | | | | | | | |||N|1|Y|N||USA||||40|4050|405010|40501040|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Restaurants and Bars|N||N||||||Y|0|Y||||||97.6|97.6|0.0|97.57|97.58|97.59|97.591|97.6|0.0|0.0|97.59|97.57|97.6|97.58|97.57|97.585|97.57|97.6|97.58|97.6|97.52|97.63|90.89|103.5|97.58|97.6|97.54|97.63|0.0|97.62|97.59|97.6|115.48|89.21|11477383|1498394402 75646|SBXC|SBXC|82836N107|US82836N1072|SilverBox Corp III|Class A Common Stock|Special purpose acquisition company|A|N|N|N|Y|Y|Y|Y|Y|5|C|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN4-4|TXN9-8|TXN1-3|TXN3-5|13800000|||NotApplicable|||||2023-04-28||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|10.28|0.0|0.0|0.0|10.28|10.2801|10.25|0.0|0.0|10.28|0.0|0.0|0.0|0.0|10.28|10.28|10.28|0.0|10.28|10.28|10.3|0.0|0.0|9.64|10.92|0.0|0.0|0.0|0.0|10.28|10.3|10.49|9.95|964|5916506 75647|SBXC WS|SBXC.WS|82836N115|US82836N1155|SilverBox Corp III|Redeemable warrants, each whole warrant exercisable for one share of Class A Common Stock at an exercise price of $11.50|Special purpose acquisition company|C|N|N|N|Y|Y|Y|Y|Y|5|C|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN9-8|TXN3-4|TXN3-8|TXN4-7|TXN2-7|0|||NotApplicable|||||2023-04-28||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||||||||||N||N||||||N|0|Y||N||||0.0|0.0|0.0|0.0|0.0|0.0|0.1256|0.0|0.0|0.0|0.1|0.0|0.13|0.0|0.0|0.1|0.0|0.1|0.0|0.1|0.0812|0.12|0.0|0.0|0.0812|0.27|0.0|0.0|0.0|0.0|0.0584|0.1|0.6|0.080076|3993|1128067 75322|SBXC U|SBXC.U|82836N206|US82836N2062|SilverBox Corp III|Units, each consisting of one Class A Common Stock and one-third of one redeemable warrant|Special purpose acquisition company|R|N|N|N|Y|Y|Y|Y|Y|5|C|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN2-1|TXN4-8|TXN3-2|TXN3-3|0|||NotApplicable|||||2023-02-28||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.3|11.42|0.0|0.0|9.62|11.42|0.0|0.0|0.0|0.0|10.3|11.42|10.37|9.99|0|10867787 18919|SCC|SCC|74347G275|US74347G2755|ProShares Trust|ProShares UltraShort Consumer Discretionary|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ProShares Advisors |IMC Chicago, LLC, DBA IMC Financial Markets|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-7|TXN3-2|TXN8-5|TXN4-2|TXN2-1|116696|||Quarterly|||||2008-11-11||SCC.NV|SCC.SO|SCC.EU|SCC.TC|SCC.IV| | | | | | | | | |-2x|ProShares Ultra Consumer Services seeks daily investment results, before fees and expenses, that correspond to twice (200%) the inverse (opposite) of the daily performance of the Dow Jones U.S. Consumer Services Index. This ETF seeks a return of -200% of the return of an index (target) for a single day. Due to the compounding of daily returns, returns over periods other than one day will likely differ in amount and possibly direction from the target return for the same period. Investors should monitor their ProShares holdings consistent with their strategies, as frequently as daily. For more on correlation, leverage and other risks, please read the prospectus. The Dow Jones U.S. Consumer Services Index measures the performance of consumer spending in the services industry of the U.S. equity market. Component companies include airlines, broadcasting and entertainment, apparel and broadline retailers, food and drug retailers, media agencies, publishing, gambling, hotels, restaurants and bars, and travel and tourism. It is not possible to invest directly in an index.|N|0|N|N|416A|USA|US|EQUITY|INVERSE|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|17.13|17.065|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|17.0609|0.0|17.0609|0.0|0.0|0.0|0.0|17.04|17.09|16.98|17.16|16.98|17.16|17.04|17.09|29.64|15.951|790|1529794 63952|SCCB|SCCB|78590A208|US78590A2087|Sachem Capital Corp.|7.125% Notes due 2024|Operating company|G|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-1|TXN1-7|TXN2-8|TXN2-4|TXN4-7|950000|||Quarterly|||||2019-06-28|2024-06-30|||||| | | | | | | | | |||N|0|N|N|412A||US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|25.0|25.05|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|25.05|25.05|0.0|25.05|0.0|0.0|25.05|25.19|25.01|27.22|0.0|0.0|0.0|0.0|25.05|25.19|25.25|23.51|1038|593157 67466|SCCC|SCCC|78590A406|US78590A4067|Sachem Capital Corp.|7.75% Notes due 2025|Operating company|G|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-3|TXN4-3|TXN5-8|TXN2-3|TXN2-1|2260000|||Quarterly|||||2020-09-10|2025-09-30|||||| | | | | | | | | |||N|0|N|N|412A||US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|23.87|23.84|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|23.84|23.84|0.0|23.84|0.0|0.0|23.71|23.95|23.51|23.95|0.0|0.0|0.0|0.0|23.71|23.97|24.7|21.76|1348|929798 73009|SCCD|SCCD|78590A604||Sachem Capital Corp.|6.00% Notes due 2026|Operating company|G|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-4|TXN4-6|TXN3-8|TXN1-4|TXN4-8|0|||Quarterly|||||2021-12-22|2026-12-30|||||| | | | | | | | | |||N|0|N|N|412A||US|||50|5020|502040|50204000|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Industrial|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|21.1|21.15|0.0|0.0|0.0|0.0|0.0|21.07|0.0|0.0|0.0|21.09|21.09|0.0|21.09|0.0|0.0|21.07|21.3|20.8|21.65|0.0|0.0|0.0|0.0|21.07|21.3|22.61|18.82|8906|1138212 73656|SCCE|SCCE|78590A703|US78590A7037|Sachem Capital Corp.|6.00% Notes due 2027|Operating company|G|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN2-8|TXN7-8|TXN3-3|TXN4-6|2080000|||Quarterly|||||2022-03-10|2027-03-30|||||| | | | | | | | | |||N|0|N|N|412A||US|||||||||||N||N||||||N|0|Y||Y|2|||21.02|20.99|0.0|0.0|21.02|21.1|21.01|20.52|0.0|0.0|21.26|21.26|21.25|0.0|0.0|21.02|21.0|21.0|20.99|21.0|0.0|0.0|20.95|21.3|20.62|21.84|0.0|0.0|0.0|0.0|20.95|21.3|22.3499|19.25|7173|1577088 74024|SCCF|SCCF|78590A802|US78590A8027|Sachem Capital Corp.|7.125% Notes due 2027|Operating company|G|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-8|TXN4-8|TXN6-8|TXN3-2|TXN2-2|1200000|||Quarterly|||||2022-05-12|2027-06-30|||||| | | | | | | | | |||N|0|N|N|412A||US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|21.51|0.0|0.0|0.0|21.63|21.6035|21.34|0.0|0.0|21.5|0.0|21.51|21.6|0.0|0.0|21.5|21.5|0.0|21.5|0.0|0.0|21.55|21.67|21.26|22.0|0.0|0.0|0.0|0.0|21.55|21.67|22.78|19.71|1663|1070593 74524|SCCG|SCCG|78590A877|US78590A8779|Sachem Capital Corp.|8.00% Notes due 2027|Operating company|G|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-4|TXN1-4|TXN4-8|TXN1-5|TXN4-5|1610000|||Quarterly|||||2022-08-25|2027-09-30|||||| | | | | | | | | |||N|0|N|N|412A||US|||||||||||N||N||||||N|0|Y||Y|2|||23.11|0.0|0.0|0.0|0.0|22.85|23.15|0.0|0.0|0.0|23.0|0.0|0.0|0.0|0.0|22.14|23.11|23.11|0.0|23.11|0.0|0.0|22.75|23.15|22.35|24.68|0.0|0.0|0.0|0.0|22.75|23.15|24.45|20.0269|2537|1499201 8433|SCCO|SCCO|84265V105|US84265V1052|Southern Copper Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|Q|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN3-7|TXN3-7|TXN1-1|TXN2-3|773110000|||Quarterly|||||1996-01-05||||||| | | | | | | | | |||N|0|Y|Y|130E|USA|US|||55|5510|551020|55102040|Basic Materials|Basic Resources|Industrial Metals and Mining|Copper|N||N||||||Y|0|Y||Y|1|||73.68|73.69|0.0|73.56|73.71|73.72|73.69|73.66|0.0|0.0|73.71|73.73|73.69|73.69|73.64|73.69|73.64|73.71|73.67|73.69|73.67|73.72|69.04|78.74|73.58|73.74|73.65|73.78|73.58|73.8|73.67|73.72|87.59|59.15|925711|267318588 9074|SCD|SCD|50208A102|US50208A1025|LMP Capital and Income Fund Inc.|Common Stock|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN4-6|TXN1-5|TXN3-1|TXN1-1|17570000|||Monthly|||||2004-02-25||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||13.17|13.16|0.0|0.0|13.17|13.175|13.1706|13.175|0.0|0.0|13.21|13.21|13.17|13.21|0.0|13.18|0.0|13.175|0.0|13.18|13.17|13.18|10.2|16.23|13.16|13.18|13.14|13.21|0.0|0.0|13.17|13.18|13.4662|11.28|48576|9085458 69040|SCDL|SCDL|90278V206|US90278V2060|UBS AG|ETRACS 2x Leveraged US Dividend Factor TR ETN|Operating company|ETN|N|N|P|Y|Y|Y|Y|Y||||||||UBS|IMC Chicago, LLC, DBA IMC Financial Markets|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-5|TXN2-3|TXN4-8|TXN3-6|TXN4-7|1000000|||NotApplicable|||||2021-02-05|2051-02-09|SCDL.NV|SCDL.SO|SCDL.EU|SCDL.TC|SCDL.IV| | | | | | | | | |2x|ETRACS 2x Leveraged US Dividend Factor TR ETN is an exchange-traded note issued in the USA. It provide 2 times leveraged long exposure to the compounded quarterly performance of the total return version of the DJ US Dividend 100 USD Index. The underlying index is designed to track a basket of 100 high dividend-paying U.S. companies, excluding REITS, with a record of consistently paying dividends, selected based on financial ratios for fundamental strength relative to their peers. The Securities are senior unsecured debt securites.|N|0|N|N|416A||CH|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|31.05|0.0|31.05|0.0|0.0|0.0|0.0|30.98|31.09|30.21|31.32|0.0|0.0|30.98|31.09|35.6252|25.8535|0|26061 41390|SCE PRG|SCEpG|78407R204|US78407R2040|Edison International|5.10% Trust Preference Securities|Operating company|B|N|N|N|Y|Y|Y|Y|Y|11|Q|Virtu Americas LLC|NITC|295|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN1-1|TXN9-8|TXN3-3|TXN3-6|16000000|||Quarterly|||||2013-02-04|2100-12-31|||||| | | | | | | | | |||N|0|N|N|302A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|19.73|0.0|0.0|19.19|19.76|19.7|19.85|0.0|0.0|19.58|19.9|19.9|0.0|0.0|19.87|19.88|19.7|0.0|19.87|19.68|19.87|19.88|20.16|19.29|20.27|0.0|0.0|0.0|0.0|19.68|19.87|21.7825|16.96|10852|2772361 43693|SCE PRH|SCEpH|78409B207|US78409B2079|Edison International|5.75% Fixed-to-Floating Rate Trust Preference Securities of SCE Trust III|Operating company|B|N|N|N|Y|Y|Y|Y|Y|11|Q|Virtu Americas LLC|NITC|295|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN4-7|TXN4-8|TXN1-3|TXN2-1|11000000|||Quarterly|||||2014-03-10|2024-03-15|||||| | | | | | | | | |||N|0|N|N|302A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||25.14|25.02|0.0|0.0|25.2|24.575|24.55|24.6|0.0|0.0|24.82|25.11|24.78|24.42|0.0|24.6|24.59|24.6|0.0|24.6|24.6|24.72|24.52|24.63|24.1|25.3|0.0|0.0|0.0|0.0|24.6|24.72|25.28|18.18|17956|5929946 50560|SCE PRJ|SCEpJ|78409G206|US78409G2066|Edison International|5.375% Fixed-to-Floating Rate Trust Preference Securities|Operating company|B|N|N|N|Y|Y|Y|Y|Y|11|Q|Virtu Americas LLC|NITC|295|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN3-3|TXN6-8|TXN2-8|TXN3-7|13000000|||Quarterly|||||2015-08-26|2125-09-15|||||| | | | | | | | | |||N|0|N|N|302A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||21.74|22.49|0.0|0.0|21.73|21.7|21.52|21.7|0.0|0.0|21.7|22.46|21.73|22.54|0.0|21.78|21.6|21.52|0.0|21.78|21.5|21.79|21.33|21.79|21.07|22.23|0.0|0.0|0.0|0.0|21.5|21.79|22.85|17.85|98892|7440659 52674|SCE PRK|SCEpK|78409W201|US78409W2017|Edison International|5.45% Fixed-to-Floating Rate Trust Preference Securities|Operating company|B|N|N|N|Y|Y|Y|Y|Y|11|Q|Virtu Americas LLC|NITC|295|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN2-6|TXN5-8|TXN2-3|TXN2-3|12000000|||Quarterly|||||2016-03-10|2199-01-02|||||| | | | | | | | | |||N|0|N|N|302A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||22.95|23.47|0.0|0.0|0.0|23.72|23.31|23.36|0.0|0.0|22.8|0.0|0.0|0.0|0.0|23.23|0.0|23.23|0.0|23.23|23.23|23.76|0.0|0.0|22.76|24.26|0.0|0.0|0.0|0.0|23.23|23.76|23.9|19.15|13422|5192948 58950|SCE PRL|SCEpL|78410V200|US78410V2007|Edison International|5.00% Trust Preference Securities|Operating company|G|N|N|N|Y|Y|Y|Y|Y|11|Q|Virtu Americas LLC|NITC|295|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN3-8|TXN3-8|TXN1-1|TXN3-7|19000000|||Quarterly|||||2017-06-29||||||| | | | | | | | | |||N|0|N|N|302A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||19.57|19.66|0.0|18.75|19.55|19.54|19.5648|19.66|0.0|0.0|0.0|0.0|19.69|19.61|0.0|19.57|19.54|19.57|0.0|19.57|19.57|19.71|19.54|19.6|19.18|20.1|0.0|0.0|0.0|0.0|19.57|19.71|21.2262|16.7501|30881|8872530 76707|SCE PRM|SCEpM|783892201|US7838922018|Edison International|7.50% Trust Preference Securities|Operating company|G|N|N|N|Y|Y|Y|Y|Y|11|Q|Virtu Americas LLC|NITC|295|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN2-5|TXN8-8|TXN4-5|TXN3-1|22000000|||Quarterly|||||2023-12-01|2099-01-01|||||| | | | | | | | | |||N|0|N|N|302A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||25.85|25.82|0.0|25.85|25.85|25.85|25.84|25.825|0.0|0.0|25.82|0.0|25.82|25.85|25.82|25.83|0.0|25.825|25.84|25.83|25.81|25.83|0.0|0.0|25.55|25.98|0.0|0.0|0.0|0.0|25.81|25.83|25.94|25.19|499261|1159538 31777|SCHA|SCHA|808524607|US8085246077|Schwab Strategic Trust|Schwab U.S. Small-Cap ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Charles Schwab|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-7|TXN4-5|TXN3-6|TXN4-5|TXN1-2|332700000|||Quarterly|||||2009-11-03||SCHA.NV|SCHA.SO|SCHA.EU|SCHA.TC|SCHA.IV| | | | | | | | | |1x|The funds goal is to track as closely as possible, before fees and expenses, the total return of the Dow Jones U.S. Small-Cap Total Stock Market Index. The Dow Jones U.S. Small-Cap Total Stock Market Index includes the components ranked 751-2500 by full market capitalization. To pursue its goal, the fund generally invests in stocks that are included in the Dow Jones U.S. Small-Cap Total Stock Market IndexSM1. The index includes the small-cap portion of the Dow Jones U.S. Total Stock Market Index actually available to investors in the marketplace. The Dow Jones U.S. Small-Cap Total Stock Market Index includes the components ranked 751-2500 by full market capitalization. The index is a float-adjusted market capitalization weighted index.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||44.15|44.18|0.0|0.0|44.2|44.185|44.1914|44.19|0.0|0.0|44.19|44.2|44.19|44.12|44.205|44.185|44.19|44.22|44.19|44.22|44.18|44.3|44.12|44.26|44.18|44.19|44.17|44.23|44.12|44.26|44.18|44.19|46.5989|38.0463|1206071|197573531 31775|SCHB|SCHB|808524102|US8085241029|Schwab Strategic Trust|Schwab U.S. Broad Market ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Charles Schwab|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-3|TXN1-7|TXN7-1|TXN2-1|TXN1-1|448950000|||Quarterly|||||2009-11-03||SCHB.NV|SCHB.SO|SCHB.EU|SCHB.TC|SCHB.IV| | | | | | | | | |1x|The funds goal is to track as closely as possible, before fees and expenses, the total return of the Dow Jones U.S. Broad Stock Market Index. The funds benchmark index includes the largest 2,500 publicly traded U.S. companies for which pricing information is readily available. To pursue its goal, the fund generally invests in stocks that are included in the Dow Jones U.S. Broad Stock Market IndexSM1 . The index includes the largest 2,500 publicly traded U.S. companies for which pricing information is readily available. The index is a floatadjusted market capitalization weighted index that reflects the shares of securities actually available to investors in the marketplace.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||53.22|53.3|0.0|0.0|53.31|53.32|53.3163|53.33|0.0|0.0|53.32|53.32|53.31|53.22|53.12|53.32|53.32|53.3|53.22|53.3|53.3|53.42|53.22|56.82|53.3|53.32|53.29|53.33|53.22|53.37|53.3|53.32|53.7108|43.89|702634|188143358 32142|SCHC|SCHC|808524888|US8085248883|Schwab Strategic Trust|Schwab International Small-Cap Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Charles Schwab|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-4|TXN3-8|TXN8-5|TXN3-7|TXN3-7|113500000|||BiAnnually|||||2010-01-14||SCHC.NV|SCHC.SO|SCHC.EU|SCHC.TC|SCHC.IV| | | | | | | | | |1x|The funds goal is to track as closely as possible, before fees and expenses, the total return of the FTSE Developed Small Cap ex-US Liquid Index. The funds benchmark index is comprised of small capitalization companies in developed countries outside the United States, as defined by the index provider. The index defines the small capitalization universe as approximately the bottom 10% of the eligible universe with a minimum free float capitalization of $150 million. As of June 30, 2009, the index was composed of 1820 stocks in 23 developed market countries.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||33.58|33.57|0.0|0.0|33.58|33.57|33.5681|33.58|0.0|0.0|33.58|33.54|33.575|33.58|33.535|33.585|33.55|33.55|0.0|33.55|33.55|33.58|31.34|35.73|33.55|33.57|31.99|35.32|33.48|33.66|33.55|33.57|35.5392|29.89|422651|91821649 38944|SCHD|SCHD|808524797|US8085247976|Schwab Strategic Trust|Schwab U.S. Dividend Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Charles Schwab|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-1|TXN1-2|TXN2-8|TXN2-1|TXN1-5|675700000|||Quarterly|||||2011-10-20||SCHD.NV|SCHD.SO|SCHD.EU|SCHD.TC|SCHD.IV| | | | | | | | | |1x|The ETF seeks investment results that track, as closely as possible, before fees and expenses, the total return of the Dow Jones U.S. Dividend 100 IndexSM. The Dow Jones U.S. Dividend 100 IndexSM is designed to measure the performance of high dividend yielding stocks issued by U.S. companies that have a record of consistently paying dividends, selected for fundamental strength relative to their peers, based on financial ratios. The 100-component index is a subset of the Dow Jones U.S. Broad Market Index, excluding REITs, master limited partnerships, preferred stocks and convertibles. All index eligible stocks must have sustained at least 10 consecutive years of dividend payments, have a minimum float-adjusted market capitalization of $500 million and meet minimum liquidity criteria. The index is modified market capitalization weighted.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||73.45|73.43|0.0|72.47|73.45|73.435|73.42|73.455|0.0|0.0|73.44|73.44|73.43|73.46|73.45|73.445|73.35|73.44|73.46|73.44|73.27|73.59|73.32|73.53|73.42|73.44|73.4|73.45|73.32|73.53|73.42|73.44|78.73|66.665|4313624|754697486 32143|SCHE|SCHE|808524706|US8085247067|Schwab Strategic Trust|Schwab Emerging Markets Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Charles Schwab|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-5|TXN1-1|TXN8-7|TXN1-6|TXN1-3|337700000|||BiAnnually|||||2010-01-13||SCHE.NV|SCHE.SO|SCHE.EU|SCHE.TC|SCHE.IV| | | | | | | | | |1x|The funds goal is to track as closely as possible, before fees and expenses, the total return of the FTSE All-Emerging Index. The funds benchmark index is comprised of large and mid capitalization companies in emerging market countries, as defined by the index provider. The index defines the large and mid capitalization universe as approximately the top 90% of the eligible universe. As of June 30, 2009, the index was composed of 824 stocks in 23 emerging market countries.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||24.56|24.57|0.0|0.0|24.575|24.565|24.565|24.555|0.0|0.0|24.57|24.57|24.565|24.549|24.555|24.565|24.55|24.58|24.56|24.58|24.55|24.59|22.89|26.37|24.56|24.58|23.44|25.87|24.5|24.66|24.56|24.58|26.395|22.8838|1206635|330650011 31778|SCHF|SCHF|808524805|US8085248057|Schwab Strategic Trust|Schwab International Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Charles Schwab|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-7|TXN3-2|TXN3-2|TXN2-4|TXN4-8|918000000|||BiAnnually|||||2009-11-03||SCHF.NV|SCHF.SO|SCHF.EU|SCHF.TC|SCHF.IV| | | | | | | | | |1x|The funds goal is to track as closely as possible, before fees and expenses, the total return of the FTSE Developed ex-US Index. The funds benchmark index is comprised of large and mid capitalization companies in developed countries outside the United States, as defined by the index provider. The index defines the large and mid capitalization universe as approximately the top 90% of the eligible universe. As of June 30, 2009, the index was composed of 1,325 stocks in 23 developed market countries.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||35.78|35.77|0.0|0.0|35.78|35.78|35.79|35.79|0.0|0.0|35.78|35.78|35.78|35.79|35.79|35.78|35.79|35.78|35.79|35.78|35.78|35.8|33.55|38.06|35.78|35.79|34.05|37.47|33.65|37.93|35.78|35.79|36.845|31.95|2666178|730151448 31991|SCHG|SCHG|808524300|US8085243009|Schwab Strategic Trust|Schwab U.S. Large-Cap Growth ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Charles Schwab|RBC Capital Markets, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-3|TXN1-5|TXN6-2|TXN3-1|TXN4-5|270950000|||Quarterly|||||2009-12-09||SCHG.NV|SCHG.SO|SCHG.EU|SCHG.TC|SCHG.IV| | | | | | | | | |1x|The funds goal is to track as closely as possible, before fees and expenses, the total return of the Dow Jones U.S. Large-Cap Growth Total Stock Market Index. To pursue its goal, the fund generally invests in stocks that are included in the Dow Jones U.S. Large-Cap Growth Total Stock Market IndexSM1. The index includes the large-cap growth portion of the Dow Jones U.S. Total Stock Market Index actually available to investors in the marketplace. The Dow Jones U.S. Large-Cap Growth Total Stock Market Index includes the components ranked 1-750 by full market capitalization and that are classified as growth based on a number of factors. The index is a floatadjusted market capitalization weighted index.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||79.07|79.04|0.0|0.0|79.07|79.05|79.055|79.07|0.0|0.0|79.07|79.04|79.05|79.11|79.07|79.055|79.07|79.06|79.01|79.06|79.04|79.07|78.92|79.15|79.04|79.06|79.03|79.08|78.92|79.16|79.04|79.06|80.46|53.82|1125648|245592588 36349|SCHH|SCHH|808524847|US8085248479|Schwab Strategic Trust|Schwab U.S. REIT ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Charles Schwab|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN2-2|TXN7-2|TXN3-3|TXN1-4|317550000|||Quarterly|||||2011-01-13||SCHH.NV|SCHH.SO|SCHH.EU|SCHH.TC|SCHH.IV| | | | | | | | | |1x|The funds goal is to track as closely as possible, before fees and expenses, the total return of the Dow Jones U.S. Select REIT Index. The index is a float-adjusted market capitalization weighted index comprised of real estate investment trusts (REITs). REITs are real estate companies traded on a U.S. exchange that own and commonly operate income producing commercial and/or residential real estate. |N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||19.83|19.82|0.0|0.0|19.825|19.83|19.82|19.82|0.0|0.0|19.83|19.82|19.825|19.82|19.76|19.83|19.815|19.83|19.81|19.83|19.82|19.84|19.77|19.89|19.82|19.83|19.81|19.84|19.79|19.86|19.82|19.83|21.9901|16.6341|3916170|684957172 64825|SCHI|SCHI|808524698|US8085246986|Schwab Strategic Trust|Schwab 5-10 Year Corporate Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Charles Schwab|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-7|TXN3-3|TXN9-8|TXN2-8|TXN1-3|125650000|||Monthly|||||2019-10-10||SCHI.NV|SCHI.SO|SCHI.EU|SCHI.TC|SCHI.IV| | | | | | | | | |1x|Schwab 5-10 Year Corporate Bond ETF is an exchange-traded fund incorporated in the USA. The Fund seeks to track the total return of an index that measures the performance of the intermediate-term U.S. corporate bond market.|N|0|N|N|416A|USA|US|FIXED_INCOME|INDEX|||||||||N||N||||||N|0|Y||Y|1|||43.59|43.58|0.0|43.57|43.59|43.58|43.581|43.58|0.0|0.0|43.585|43.52|43.585|43.58|43.585|43.57|43.59|43.67|43.59|43.67|43.56|45.78|40.6|46.64|43.56|43.6|43.53|43.69|43.53|43.6|43.56|43.6|45.44|40.94|239772|168592691 64824|SCHJ|SCHJ|808524714|US8085247141|Schwab Strategic Trust|Schwab 1-5 Year Corporate Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Charles Schwab|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-8|TXN4-2|TXN9-8|TXN3-5|TXN4-4|8050000|||Monthly|||||2019-10-10||SCHJ.NV|SCHJ.SO|SCHJ.EU|SCHJ.TC|SCHJ.IV| | | | | | | | | |1x|Schwab 1-5 Year Corporate Bond ETF is an exchange-traded fund incorporated in the USA. The Fund seeks to track the total return of an index that measures the performance of the short-term U.S. corporate bond market.|N|0|N|N|416A|USA|US|FIXED_INCOME|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||47.72|47.79|0.0|0.0|47.72|47.69|47.7|47.72|0.0|0.0|47.68|47.69|47.68|47.72|0.0|47.695|0.0|47.72|47.72|47.72|38.16|57.3|47.67|47.75|47.7|47.72|47.67|47.76|47.67|47.75|47.7|57.3|47.88|46.51|41514|10083832 59824|SCHK|SCHK|808524722|US8085247224|Schwab Strategic Trust|Schwab 1000 Index ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Charles Schwab|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-6|TXN1-5|TXN7-5|TXN4-8|TXN2-1|69600000|||Quarterly|||||2017-10-11||SCHK.NV|SCHK.SO|SCHK.EU|SCHK.TC|SCHK.IV| | | | | | | | | |1x|The Schwab 1000 Index is a proprietary index of Charles Schwab & Co. Developed in 1991, the index is a free-float market capitalization weighted index comprised of the 1,000 largest U.S. common stocks, subject to a $100 million float-adjusted market cap at reconstitution and an annual traded value of $50 million over the previous 12 months for new constituents. The Index reconstitutes annually.|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|1|||43.98|44.16|0.0|0.0|44.17|44.12|44.188|44.175|0.0|0.0|44.12|44.19|44.19|43.98|0.0|44.12|44.31|44.16|44.12|44.16|44.16|44.21|44.1|44.23|44.16|44.18|44.09|44.23|44.1|44.21|44.16|44.18|44.4|36.2099|180183|37033636 3569|SCHL|SCHL|807066105|US8070661058|Scholastic Corp|COM USD.25||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN6-1|TXN14-6|TXN6-2|TXN6-8|29360000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4030|403010|40301030|Consumer Discretionary|Media|Media|Publishing|N||N||||||Y|0|Y||||||39.07|39.06|0.0|39.19|39.0|39.0|39.0|39.0|0.0|0.0|39.0|39.2|39.06|0.0|39.51|38.98|0.0|39.025|0.0|39.06|38.68|39.45|30.4|47.82|38.68|39.36|38.9|39.15|38.98|39.16|39.0|39.06|47.25|30.5|176803|45304329 36350|SCHM|SCHM|808524508|US8085245087|Schwab Strategic Trust|Schwab U.S. Mid-Cap ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Charles Schwab|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-3|TXN2-7|TXN1-4|TXN2-1|TXN3-5|142150000|||Quarterly|||||2011-01-13||SCHM.NV|SCHM.SO|SCHM.EU|SCHM.TC|SCHM.IV| | | | | | | | | |1x|The funds goal is to track as closely as possible, before fees and expenses, the total return of the Dow Jones U.S. Mid-Cap Total Stock Market Index. The index includes the mid-cap portion of the Dow Jones U.S. Total Stock Market Indexsm actually available to investors in the marketplace.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||71.73|71.7|0.0|0.0|71.73|71.72|71.701|71.53|0.0|0.0|71.73|71.46|71.71|71.73|71.73|71.73|71.41|71.71|71.5|71.71|71.62|71.8|66.52|76.01|71.71|71.73|71.59|71.82|71.62|71.82|71.71|71.73|74.3|62.87|511140|83180395 35572|SCHO|SCHO|808524862|US8085248628|Schwab Strategic Trust|Schwab Short-Term U.S. Treasury ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Charles Schwab|Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-7|TXN1-3|TXN8-8|TXN1-1|TXN1-4|247750000|||Monthly|||||2010-08-05||SCHO.NV|SCHO.SO|SCHO.EU|SCHO.TC|SCHO.IV| | | | | | | | | |1x|The funds goal is to track as closely as possible, before fees and expenses, the price and yield performance of the Barclays Capital U.S. 1-3 Year Treasury Bond Index. The index includes all publicly-issued U.S. Treasury securities that have a remaining maturity of greater than or equal to one year and less than three years, are rated investment grade, and have $250 million or more of outstanding face value.|N|0|N|N|416A|USA|US|FIXED_INCOME|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||48.13|48.13|0.0|0.0|48.13|48.13|48.1297|48.13|0.0|0.0|48.13|48.13|48.13|48.13|48.13|48.13|48.13|48.13|48.13|48.13|48.13|48.14|48.13|48.14|48.13|48.14|48.13|48.14|48.13|48.14|48.13|48.14|49.135|47.65|2303068|515741443 35571|SCHP|SCHP|808524870|US8085248701|Schwab Strategic Trust|Schwab U.S. TIPs ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Charles Schwab|Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-1|TXN2-7|TXN4-8|TXN4-6|TXN4-6|226500000|||Monthly|||||2010-08-05||SCHP.NV|SCHP.SO|SCHP.EU|SCHP.TC|SCHP.IV| | | | | | | | | |1x|The funds goal is to track as closely as possible, before fees and expenses, the price and yield performance of the Barclays Capital U.S. Treasury Inflation Protected Securities (TIPS) Index (Series L).The index includes all publicly-issued U.S. Treasury inflation-protected securities (TIPS) that have at least one year remaining to maturity, are rated investment grade and have $250 million or more of outstanding face value.|N|0|N|N|416A|USA|US|FIXED_INCOME|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||51.135|51.14|0.0|0.0|51.14|51.14|51.135|51.135|0.0|0.0|51.14|51.14|51.13|51.16|51.15|51.135|51.15|51.14|51.15|51.14|51.13|51.15|47.65|54.59|51.13|51.14|51.13|51.15|50.14|52.12|51.13|51.14|54.1|49.5006|1384365|462156836 64826|SCHQ|SCHQ|808524680|US8085246804|Schwab Strategic Trust|Schwab Long-Term U.S. Treasury ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Charles Schwab|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN2-8|TXN9-6|TXN1-5|TXN4-1|16150000|||Monthly|||||2019-10-10||SCHQ.NV|SCHQ.SO|SCHQ.EU|SCHQ.TC|SCHQ.IV| | | | | | | | | |1x|Schwab Long-Term U.S. Treasury ETF is an exchange-traded fund incorporated in the USA. The Fund seeks to track the total return of an index that measures the performance of the long-term U.S. Treasury bond market.|N|0|N|N|416A|USA|US|FIXED_INCOME|INDEX|||||||||N||N||||||N|0|Y||Y|1|||32.915|32.93|0.0|0.0|32.915|32.91|32.91|32.81|0.0|0.0|32.91|32.91|32.91|32.91|32.91|32.91|33.03|32.93|32.91|32.93|30.61|35.17|32.88|33.05|32.92|32.94|32.91|33.52|32.89|32.97|32.92|32.94|38.47|29.62|132867|34744477 35573|SCHR|SCHR|808524854|US8085248545|Schwab Strategic Trust|Schwab Intermediate-Term U.S. Treasury ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Charles Schwab|Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-7|TXN3-5|TXN4-8|TXN1-8|TXN4-2|155600000|||Monthly|||||2010-08-05||SCHR.NV|SCHR.SO|SCHR.EU|SCHR.TC|SCHR.IV| | | | | | | | | |1x|The funds goal is to track as closely as possible, before fees and expenses, the price and yield performance of the Barclays Capital U.S. 3-10 Year Treasury Bond Index The index includes all publicly-issued U.S. Treasury securities that have a remaining maturity of greater than or equal to three years and less than ten years, are rated investment grade, and have $250 million or more of outstanding face value.|N|0|N|N|416A|USA|US|FIXED_INCOME|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||48.75|48.745|0.0|0.0|48.74|48.745|48.75|48.74|0.0|0.0|48.745|48.75|48.76|48.75|48.75|48.74|48.71|48.75|48.75|48.75|48.75|48.77|48.75|51.8|48.75|48.77|48.75|48.81|48.75|48.81|48.75|48.77|51.22|47.0299|1451921|373304726 31992|SCHV|SCHV|808524409|US8085244098|Schwab Strategic Trust|Schwab U.S. Large-Cap Value ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Charles Schwab|RBC Capital Markets, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-5|TXN2-1|TXN1-3|TXN4-4|TXN3-7|147150000|||Quarterly|||||2009-12-11||SCHV.NV|SCHV.SO|SCHV.EU|SCHV.TC|SCHV.IV| | | | | | | | | |1x|The funds goal is to track as closely as possible, before fees and expenses, the total return of the Dow Jones U.S. Large-Cap Value Total Stock Market Index. To pursue its goal, the fund generally invests in stocks that are included in the Dow Jones U.S. Large-Cap Value Total Stock Market IndexSM1. The index includes the large-cap value portion of the Dow Jones U.S. Total Stock Market Index actually available to investors in the marketplace. The Dow Jones U.S. Large-Cap Value Total Stock Market Index includes the components ranked 1-750 by full market capitalization and that are classified as value based on a number of factors. The index is a float-adjusted market capitalization weighted index.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||67.83|67.81|0.0|0.0|67.84|67.83|67.82|67.84|0.0|0.0|67.83|67.83|67.8|67.79|67.82|67.84|67.77|67.83|0.0|67.83|67.8|67.97|67.71|67.91|67.8|67.82|67.7|67.86|67.74|67.9|67.8|67.82|69.64|60.99|347740|93802364 9080|SCHW|SCHW|808513105|US8085131055|The Charles Schwab Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-3|TXN1-4|TXN8-4|TXN2-1|TXN4-2|1771680000|||Quarterly|||||2010-03-05||||||| | | | | | | | | |||N|1|Y|Y|408A|USA|US|||30|3020|302020|30202015|Financials|Financial Services |Investment Banking and Brokerage Services |Investment Services|N||N||||||Y|0|Y||Y|1|||62.63|62.63|0.0|62.63|62.63|62.63|62.625|62.63|0.0|0.0|62.64|62.64|62.63|62.65|62.64|62.64|62.62|62.625|62.62|62.64|62.62|62.63|58.46|66.4|62.59|62.63|59.53|62.69|62.56|62.64|62.62|62.63|86.63|45.0|11690884|3541364808 52653|SCHW PRD|SCHWpD|808513600|US8085136005|The Charles Schwab Corporation|Depositary Shares each representing 1/40th interest in a share of 5.95% Non-Cumulative Perpetual Preferred Stock, Series D|Operating company|B|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN2-3|TXN5-8|TXN3-1|TXN1-1|750000|||Quarterly|||||2016-03-09||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||24.94|25.0|0.0|0.0|24.94|24.92|24.94|24.93|0.0|0.0|24.97|25.01|24.97|24.96|0.0|24.93|24.93|24.97|25.05|24.93|24.93|24.97|24.91|24.93|24.92|25.07|0.0|0.0|0.0|0.0|24.93|24.97|25.42|21.5|93552|24573572 70070|SCHW PRJ|SCHWpJ|808513865|US8085138654|The Charles Schwab Corporation|Depositary Shares, Each Representing a 1/40th Interest in a Share of 4.450% Non-Cumulative Perpetual Preferred Stock, Series J|Operating company|B|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN2-4|TXN6-8|TXN1-7|TXN2-2|24000000|||Quarterly|||||2021-04-01||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||19.09|19.1|0.0|0.0|19.1|18.94|18.91|18.91|0.0|0.0|18.92|0.0|18.92|19.02|0.0|18.91|18.91|18.91|0.0|18.91|18.92|18.95|14.75|23.48|18.8|19.18|14.75|23.48|0.0|0.0|18.92|18.95|22.0999|16.63|59250|19691667 31776|SCHX|SCHX|808524201|US8085242019|Schwab Strategic Trust|Schwab U.S. Large-Cap ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Charles Schwab|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-1|TXN2-4|TXN1-6|TXN4-1|TXN2-5|649800000|||Quarterly|||||2009-11-03||SCHX.NV|SCHX.SO|SCHX.EU|SCHX.TC|SCHX.IV| | | | | | | | | |1x|The funds goal is to track as closely as possible, before fees and expenses, the total return of the Dow Jones U.S. Large-Cap Total Stock Market Index. The Dow Jones U.S. Large-Cap Total Stock Market Index includes the components ranked 1-750 by full market capitalization. To pursue its goal, the fund generally invests in stocks that are included in the Dow Jones U.S. Large-Cap Total Stock Market IndexSM1. The index includes the large-cap portion of the Dow Jones U.S. Total Stock Market IndexSM actually available to investors in the marketplace. The Dow Jones U.S. Large-Cap Total Stock Market Index includes the components ranked 1-750 by full market capitalization. The index is a float-adjusted market capitalization weighted index.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||54.13|54.12|0.0|0.0|54.12|54.125|54.115|54.14|0.0|0.0|54.145|54.13|54.12|54.049|54.15|54.14|54.15|54.13|54.145|54.13|54.02|54.25|54.04|54.19|54.11|54.12|54.1|54.14|54.07|54.19|54.11|54.12|54.4301|44.235|1780735|392569646 70414|SCHY|SCHY|808524672|US8085246721|Schwab Strategic Trust|Schwab International Dividend Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Charles Schwab|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-7|TXN4-8|TXN6-5|TXN2-4|TXN4-1|32200000|||BiAnnually|||||2021-04-29||SCHY.NV|SCHY.SO|SCHY.EU|SCHY.TC| | | | | | | | | | |1x|To pursue its goal, the fund generally invests in stocks that are included in the Dow Jones International Dividend 100 Index.|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|1|||24.159|24.15|0.0|0.0|24.17|24.14|24.15|24.16|0.0|0.0|24.16|24.17|24.16|24.17|24.15|24.15|0.0|24.15|0.0|24.15|24.15|25.44|22.56|25.67|24.16|24.17|22.99|25.44|24.13|24.26|24.16|24.17|24.95|22.05|141324|39412187 38504|SCHZ|SCHZ|808524839|US8085248396|Schwab Strategic Trust|Schwab U.S. Aggregate Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Charles Schwab|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN4-5|TXN4-6|TXN4-4|TXN3-4|156900000|||Monthly|||||2011-07-14||SCHZ.NV|SCHZ.SO|SCHZ.EU|SCHZ.TC|SCHZ.IV| | | | | | | | | |1x|The Funds goal is to track as closely as possible, before fees and expenses, the total return of the Barclays Capital U.S. Aggregate Bond Index. The funds benchmark index is comprised of U.S. investment grade, taxable fixed income securities, including U.S. Treasuries, government-related and corporate bonds, mortgage pass-through securities, commercial mortgagebacked securities, and asset-backed securities that are publicly available for sale in the United States.|N|0|N|N|416A|USA|US|FIXED_INCOME|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||45.34|45.34|0.0|0.0|45.34|45.34|45.34|45.34|0.0|0.0|45.345|45.34|45.33|45.34|0.0|45.335|0.0|45.35|45.2333|45.35|45.33|45.36|42.5|48.23|45.33|45.34|43.08|47.61|44.43|46.29|45.33|45.34|47.6|43.05|726033|190717572 9081|SCI|SCI|817565104|US8175651046|Service Corporation International|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|T|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-4|TXN2-8|TXN5-3|TXN4-8|TXN3-4|149560000|||Quarterly|||||1974-05-14||||||| | | | | | | | | |||N|0|Y|Y|180B|USA|US|||40|4020|402010|40201020|Consumer Discretionary|Consumer Products and Services|Consumer Services |Funeral Parlors and Cemetery|N||N||||||Y|0|Y||Y|1|||64.255|64.33|0.0|64.31|64.28|64.29|64.29|64.28|0.0|0.0|64.29|64.28|64.29|64.32|64.31|64.28|64.315|64.29|64.19|64.28|64.28|64.29|63.38|68.09|64.2|64.38|64.22|64.31|64.21|64.37|64.28|64.29|74.66|52.89|1786740|225380345 26608|SCJ|SCJ|464286582|US4642865822|iShares Inc.|iShares MSCI Japan Small-Cap ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-8|TXN2-4|TXN8-6|TXN2-8|TXN1-4|1600000|||BiAnnually|||||2007-12-21||SCJ.NV|SCJ.SO|SCJ.EU|SCJ.TC|SCJ.IV| | | | | | | | | |1x|The iShares MSCI Japan small cap Index Fund seeks to provide investment results that correspond generally to the price and yield performance, before fees and expenses, as represented by the MSCI Japan small cap Index. THE UNDERLYING INDEX TARGETS 40$ OF THE ELIGIBLE small cap UNIVERSE WITHIN EACH INDUSTRY GROUP IN THE MSCI JAPAN INDEX, WHICH CONSISTS OF STOCKS TRADED PRIMARILY ON THE TOKYO STOCK EXCHANGE. MSCI DEFINES THE small cap UNIVERSE AS ALL LISTED SECURITIES THAT HAVE A MARKET CAPITALIZATION IN THE RANGE OF $200 - $1,500 MILLION. AS OF SEPTEMBER 30, 2008, THE UNDERLYING INDEXS THREE LARGEST INDUSTRIES WERE INDUSTRIALS, CONSUMER DISCRETIONARY AND FINANCIALS.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|69.54|0.0|0.0|0.0|0.0|69.59|68.44|0.0|0.0|69.56|0.0|69.5|69.52|0.0|69.53|0.0|69.5|0.0|69.5|65.45|74.0|0.0|0.0|69.48|69.63|55.56|83.58|0.0|0.0|69.48|69.63|71.66|62.65|66636|6665859 3575|SCKT|SCKT|83368E200|US83368E2000|Socket Mobile Inc|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN6-3|TXN11-2|TXN5-2|TXN5-1|7320000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502020|50202020|Industrials|Industrial Goods and Services|Electronic and Electrical Equipment|Electronic Equipment: Control and Filter|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|1.37|1.36|0.0|0.0|0.0|1.36|0.0|1.38|0.0|0.0|0.0|1.36|1.36|0.0|1.38|1.31|1.47|0.0|0.0|1.33|1.43|1.05|1.69|0.0|0.0|1.36|1.38|2.4799|0.9005|8717|3479864 9083|SCL|SCL|858586100|US8585861003|Stepan Company|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN1-5|TXN2-8|TXN3-3|TXN4-8|22370000|||Quarterly|||||1996-03-14||||||| | | | | | | | | |||N|0|N|Y|106B|USA|US|||55|5520|552010|55201020|Basic Materials|Chemicals|Chemicals|Specialty Chemicals|N||N||||||Y|0|Y||Y|2|||85.58|86.0|0.0|86.07|83.29|85.955|85.91|85.97|0.0|0.0|83.5|85.72|86.1|85.75|81.985|86.08|81.785|86.1|85.62|86.08|85.98|86.08|66.02|105.38|85.17|86.75|85.65|86.33|85.98|86.39|85.98|86.08|114.97|63.6|140523|26561499 69460|SCLX|SCLX|80880W106|US80880W1062|Scilex Holding Co|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN5-2|TXN12-7|TXN6-4|TXN5-5|155940000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103015|Health Care |Health Care |Pharmaceuticals and Biotechnology|Pharmaceuticals |N||N||||||Y|0|Y||||||1.3|1.29|0.0|1.29|1.3|1.29|1.29|1.295|0.0|0.0|1.3|1.29|1.3|1.3|1.305|1.295|1.305|1.29|1.3|1.3|1.27|1.3|1.08|1.57|1.27|1.3|1.08|1.57|0.0|1.31|1.29|1.3|16.9|0.9001|1256082|161026950 69461|SCLXW|SCLXW|80880W114|US80880W1146|Scilex Holding Co|WT EXP 111027||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-4|TXN5-4|TXN11-2|TXN5-2|TXN5-8|13180000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y|C|||||0.0|0.3325|0.0|0.0|0.0|0.3358|0.3641|0.0|0.0|0.0|0.3326|0.3326|0.3326|0.0|0.0|0.0|0.0|0.3641|0.0|0.3641|0.0|0.0|0.0|0.0|0.335|0.3872|0.0|0.0|0.0|0.0|0.335|0.3645|4.5|0.16|11176|13986292 40961|SCM|SCM|858568108|US8585681088|Stellus Capital Investment Corporation|Common Stock|Business development company|A|N|N|N|Y|Y|Y|Y|Y|6|E|Citadel Securities 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USD.1||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN5-3|TXN13-8|TXN5-4|TXN6-6|27360000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4040|404010|40401020|Consumer Discretionary|Retail |Retailers |Apparel Retailers|N||N||||||Y|0|Y||||||25.785|25.8|0.0|25.89|25.78|25.8|25.78|25.78|0.0|0.0|25.78|0.0|25.8|25.455|25.83|25.795|25.12|25.78|25.34|25.8|25.55|26.03|19.85|31.51|25.57|25.99|25.74|25.84|25.74|25.86|25.76|25.79|29.47|19.24|225383|73737961 28946|SCWO|SCWO|88583P104|US88583P1049|374Water Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN6-2|TXN10-6|TXN5-7|TXN5-2|132670000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502040|50204000|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Industrial|N||N||||||N|0|Y||||||1.11|1.11|0.0|0.0|1.1|1.12|1.13|1.11|0.0|0.0|1.11|1.11|1.13|0.0|0.0|1.11|0.0|1.13|0.0|1.13|1.08|1.17|0.904|1.34|1.08|1.15|1.09|1.16|1.08|1.17|1.12|1.13|5.17|1.0823|82888|52633028 52950|SCWX|SCWX|81374A105|US81374A1051|SecureWorks Corp|CL A COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN5-7|TXN14-3|TXN5-1|TXN6-1|16240000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||||||0.0|5.97|0.0|0.0|0.0|5.84|5.9|5.99|0.0|0.0|0.0|0.0|5.9|0.0|0.0|0.0|0.0|5.9|0.0|5.9|5.36|6.12|0.0|0.0|5.43|6.05|5.36|6.12|0.0|0.0|5.69|5.9|10.0596|5.28|27917|12175478 9095|SCX|SCX|855668109|US8556681091|The L.S. Starrett Company|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|J|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN4-3|TXN8-8|TXN4-1|TXN2-8|6930000|||NotApplicable|||||1929-10-17||||||| | | | | | | | | |||N|0|N|Y|126E|USA|US|||50|5020|502040|50204040|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Tools|N||N||||||N|0|Y||Y|2|||0.0|9.17|0.0|0.0|0.0|9.17|9.17|9.05|0.0|0.0|9.2|0.0|9.24|9.24|0.0|9.02|0.0|9.23|0.0|9.02|9.02|9.23|0.0|0.0|8.64|9.66|0.0|0.0|0.0|0.0|9.02|9.23|13.1|7.0|21004|4555128 75989|SCYB|SCYB|808524631|US8085246317|Schwab Strategic Trust|Schwab High Yield Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Charles Schwab|Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-1|TXN4-1|TXN7-8|TXN3-5|TXN3-4|1300000|||Monthly|||||2023-07-11||SCYB.NV|SCYB.SO|SCYB.EU|SCYB.TC| | | | | | | | | | |1x|To pursue its goal, the fund generally invests in securities that are included in the ICE BofA US Cash Pay High Yield Constrained Index. ICE BofA US Cash Pay High Yield Constrained Index tracks the performance of U.S. dollar denominated below investment grade corporate debt (junk bonds), currently in a coupon paying period, that is publicly issued in the U.S. domestic market.|N|0|N|N|416A|USA|US|FIXED_INCOME|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|50.945|0.0|0.0|50.8141|50.96|50.94|0.0|0.0|0.0|0.0|0.0|50.945|50.98|0.0|0.0|0.0|50.96|50.975|50.96|39.3|62.27|50.85|62.27|50.95|51.01|50.85|62.27|50.85|51.18|50.95|51.01|51.2699|48.5|26257|2611898 43871|SCYX|SCYX|811292200|US8112922005|SCYNEXIS Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN5-2|TXN14-4|TXN5-3|TXN6-5|37210000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103015|Health Care |Health Care |Pharmaceuticals and Biotechnology|Pharmaceuticals |N||N||||||Y|0|Y||||||1.73|1.73|0.0|0.0|1.73|1.725|1.72|1.73|0.0|0.0|1.72|1.73|1.74|1.73|1.73|1.73|1.73|1.725|1.73|1.74|1.69|1.73|1.39|2.08|1.72|1.76|1.69|1.76|1.68|1.77|1.72|1.73|3.87|1.15|184452|168582814 26504|SCZ|SCZ|464288273|US4642882736|iShares MSCI EAFE Small-Cap ETF|MSCI SMALL CAP||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN6-4|TXN14-2|TXN5-7|TXN5-5|161800000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||58.73|58.735|0.0|0.0|58.77|58.74|58.731|58.745|0.0|0.0|58.74|58.74|58.73|58.73|58.745|58.74|58.74|58.72|58.765|58.73|58.72|58.75|55.05|62.19|58.72|58.75|55.89|61.78|0.0|0.0|58.73|58.75|62.475|52.21|978003|241804408 54065|SD|SD|80007P869|US80007P8692|SandRidge Energy, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-5|TXN2-7|TXN9-5|TXN3-6|TXN3-7|37090000|||Quarterly|||||2016-10-04||||||| | | | | | | | | |||N|0|N|Y|134B|USA|US|||60|6010|601010|60101010|Energy|Energy|Oil, Gas and Coal|Oil: Crude Producers|N||N||||||Y|0|Y||Y|2|||13.74|13.82|0.0|13.87|13.8|13.82|13.83|13.83|0.0|0.0|13.83|13.73|13.83|13.84|13.79|13.83|13.76|13.83|14.02|13.83|13.82|13.83|10.73|16.84|13.69|13.93|13.8|13.85|13.8|13.85|13.82|13.83|20.52|12.62|499111|102502644 70251|SDA|SDA|G85727108|KYG857271087|SunCar Technology Group Inc|ORD||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN5-7|TXN10-2|TXN5-2|TXN5-2|38480000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||8.9|8.83|0.0|0.0|8.88|8.97|8.8|8.91|0.0|0.0|8.83|8.95|9.0|8.82|8.93|8.97|0.0|8.8|8.99|9.0|6.82|11.34|6.82|11.34|8.22|9.87|6.82|11.34|0.0|0.0|8.72|9.26|45.73|3.8|680841|162935932 70253|SDAWW|SDAWW|G85727116|KYG857271160|SunCar Technology Group Inc|WT EXP 050828||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-7|TXN5-4|TXN14-8|TXN5-5|TXN5-2|85690000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||||||||||N||N||||||N|0|Y||||||0.0|0.2025|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.2025|0.0|0.2025|0.0|0.0|0.0|0.0|0.2025|0.0|0.0|0.0|0.0|0.0|0.2025|0.2314|0.8075|0.07|492|4484799 60946|SDCI|SDCI|90290T809|US90290T8099|USCF ETF Trust|USCF SummerHaven Dynamic Commodity Strategy No K-1 Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||United States Commodity Funds |Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-8|TXN3-4|TXN7-8|TXN1-2|TXN1-8|800000|||Quarterly|||||2018-05-03||SDCI.NV|SDCI.SO|SDCI.EU|SDCI.TC|SDCI.IV| | | | | | | | | ||The Fund seeks long-term total return. The Fund seeks to provide exposure to the commodities markets that corresponds to the SummerHaven Dynamic Commodity Index Total ReturnSM(the SDCITR). The SDCITR is owned and maintained by SummerHaven Index Management, LLC (SHIM), an affiliate of SummerHaven. Even though the Fund seeks to provide exposure to the commodities markets that corresponds to the SDCITR, the Fund is not an index ETF and is actively managed.|N|0|N|N|416A|USA|US|COMMODITIES_AND_FUTURES|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|17.91|17.91|18.015|0.0|0.0|0.0|18.5|17.97|0.0|0.0|0.0|0.0|17.925|18.06|17.925|16.68|19.23|17.89|17.96|17.89|17.96|17.89|17.99|17.89|17.99|17.89|17.96|21.0|16.45|7092|1485874 76640|SDCP|SDCP|92790A884|US92790A8844|Virtus ETF Trust II|Virtus Newfleet Short Duration Core Plus Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y|||||||||Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-5|TXN4-1|TXN1-8|TXN1-8|TXN2-6|400004|||Monthly|||||2023-11-16||||||| | | | | | | | | |||N|0|N|N|416A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|25.515|0.0|25.515|24.92|26.11|19.33|31.64|25.48|25.55|23.74|27.32|0.0|0.0|25.48|25.55|25.54|25.325|0|394263 18864|SDD|SDD|74347G572|US74347G5725|ProShares Trust|ProShares UltraShort SmallCap600|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ProShares Advisors |Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-5|TXN4-8|TXN1-8|TXN3-5|TXN3-6|123946|||Quarterly|||||2011-02-24||SDD.NV|SDD.SO|SDD.EU|SDD.TC|SDD.IV| | | | | | | | | |-2x|ProShares UltraShort small cap600 seeks daily investment results, before fees and expenses, that correspond to twice (200%) the inverse (opposite) of the daily performance of the S&P small cap 600 Index. This ETF seeks a return of -200% of the return of an index (target) for a single day. Due to the compounding of daily returns, returns over periods other than one day will likely differ in amount and possibly direction from the target return for the same period. Investors should monitor their ProShares holdings consistent with their strategies, as frequently as daily. For more on correlation, leverage and other risks, please read the prospectus. The small cap 600 Index covers the small cap segment of the U.S. equities market, covering approximately 3% of the U.S. equities market. |N|0|N|N|416A|USA|US|EQUITY|INVERSE|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|23.9|22.7599|0.0|0.0|0.0|0.0|0.0|22.43|0.0|0.0|0.0|0.0|21.9592|0.0|21.9592|21.5|22.44|0.0|0.0|21.92|22.02|21.76|22.28|21.76|22.28|21.92|22.02|29.07|19.68|686|982530 49524|SDEM|SDEM|37960A677|US37960A6771|Global X Funds|Global X MSCI SuperDividend Emerging Markets ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Global X|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-7|TXN3-1|TXN4-8|TXN3-8|TXN3-5|1849181|||Monthly|||||2015-03-17||SDEM.NV|SDEM.SO|SDEM.EU|SDEM.TC|SDEM.IV| | | | | | | | | |1x|The Global X MSCI SuperDividend Emerging Markets ETF (Fund) seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the MSCI Emerging Markets Top 50 Dividend Index (Underlying Index).|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|24.16|24.26|23.75|0.0|0.0|24.29|0.0|24.29|0.0|0.0|24.29|0.0|24.2786|0.0|24.2786|24.24|24.33|0.0|0.0|24.23|24.31|0.0|0.0|0.0|0.0|24.23|24.31|26.23|7.86|3022|1741902 52948|SDG|SDG|46435G532|US46435G5320|iShares Trust iShares MSCI Global Sustainable Development Goals ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN6-6|TXN10-2|TXN6-5|TXN6-8|4450000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||77.41|0.0|0.0|0.0|77.41|77.21|77.245|0.0|0.0|0.0|0.0|0.0|77.2|77.41|0.0|0.0|0.0|77.245|0.0|77.2|0.0|0.0|0.0|0.0|77.15|77.36|0.0|0.0|0.0|0.0|77.16|77.36|83.7535|70.1826|16415|4013442 65542|SDGR|SDGR|80810D103|US80810D1037|Schrodinger Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN5-2|TXN13-3|TXN6-3|TXN5-3|62870000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||||||32.45|32.33|0.0|32.41|32.29|32.37|32.3|32.22|0.0|0.0|32.37|32.17|32.26|32.36|32.42|32.3|31.96|32.28|32.3|32.26|31.81|32.64|24.87|39.33|31.88|32.59|32.15|32.39|32.22|32.41|32.27|32.29|59.24|15.85|1395075|214936629 68283|SDHY|SDHY|69355J104|US69355J1043|PGIM Short Duration High Yield Opportunities Fund|Common Shares|Closed end fund|A|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN2-1|TXN6-8|TXN4-2|TXN3-6|24670000|||Monthly|||||2020-11-25||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||14.82|14.81|0.0|0.0|14.82|14.81|14.82|14.82|0.0|0.0|14.81|14.72|14.82|14.83|0.0|14.82|14.83|14.82|14.82|14.82|14.81|14.82|11.43|18.3|14.8|15.89|14.79|14.84|14.81|14.82|14.81|14.82|16.23|13.93|156841|13139401 72089|SDIG|SDIG|86337R202|US86337R2022|Stronghold Digital Mining Inc|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN5-7|TXN13-8|TXN6-4|TXN5-4|7960000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101020|10102030|Technology|Technology|Technology Hardware and Equipment|Computer Hardware|N||N||||||N|0|Y||||||5.95|6.005|0.0|6.02|6.0|5.955|5.95|5.98|0.0|0.0|6.0|6.12|5.96|6.01|6.02|6.01|6.04|5.95|6.01|5.96|5.8|6.13|4.65|7.3|5.84|6.09|5.92|5.98|5.91|5.98|5.95|5.96|10.3|0.4|1438020|216863059 38326|SDIV|SDIV|37960A669|US37960A6698|Global X Funds|Global X SuperDividend ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Global X|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-6|TXN1-8|TXN6-3|TXN1-2|TXN4-3|34399412|||Monthly|||||2011-06-09||SDIV.NV|SDIV.SO|SDIV.EU|SDIV.TC|SDIV.IV| | | | | | | | | |1x|The Global X SuperDividend ETF (Fund) seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the Solactive Global SuperDividend Index (Underlying Index). The Solactive Global SuperDividend Index tracks the performance of 100 equally weighted companies that rank among the highest dividend yielding equity securities in the world. |N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||22.03|22.04|0.0|0.0|22.04|22.0|22.035|22.01|0.0|0.0|21.99|22.0|22.03|22.02|22.05|22.07|0.0|22.04|0.0|22.04|20.99|22.05|20.63|23.36|22.03|22.04|20.99|23.15|0.0|0.0|22.03|22.04|26.7894|8.02|208652|47737054 40293|SDOG|SDOG|00162Q858|US00162Q8583|ALPS ETF Trust|ALPS Sector Dividend Dogs ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ALPS|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN4-7|TXN8-3|TXN4-8|TXN2-2|22484141|||Quarterly|||||2012-06-29||SDOG.NV|SDOG.SO|SDOG.EU|SDOG.TC|SDOG.IV| | | | | | | | | |1x|ALPS Advisors, Inc. (the Adviser) will seek to match the performance of the S-Network Sector Dividend Dogs Index. The index is a rules-based index intended to give investors a means of tracking the overall performance of the highest dividend paying stocks (i.e. Dividend Dogs) in the S&P 500 on a sector-by-sector basis. Dividend Dogs refers to the five stocks in each of the ten Global Industry Classification Standard (GICS) sectors that make up the S&P 500 which offer the highest dividend yields.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||49.41|49.62|0.0|0.0|49.51|49.58|49.66|48.295|0.0|0.0|49.69|0.0|49.64|49.67|0.0|49.68|0.0|49.66|0.0|49.66|49.61|49.68|46.2|49.72|49.63|49.65|49.59|49.72|49.59|49.72|49.63|49.65|56.62|44.36|40272|13124120 65566|SDOT|SDOT|627333107|US6273331073|Sadot Group Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-7|TXN5-3|TXN11-7|TXN6-1|TXN5-8|46760000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4050|405010|40501040|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Restaurants and Bars|N||N||||||N|0|Y|D|||||0.435|0.4212|0.0|0.0|0.4301|0.4211|0.4211|0.4395|0.0|0.0|0.4211|0.4252|0.4202|0.499|0.0|0.0|0.0|0.4211|0.4345|0.4202|0.4027|0.4423|0.3454|0.5205|0.4011|0.4461|0.3454|0.5205|0.0|0.0|0.421|0.4212|1.4|0.42|313406|24359755 32266|SDOW|SDOW|74347G648|US74347G6483|ProShares Trust|ProShares UltraPro Short Dow30|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ProShares Advisors |Pundion LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN3-6|TXN1-2|TXN1-8|TXN4-8|20942280|||Quarterly|||||2010-02-11||SDOW.NV|SDOW.SO|SDOW.EU|SDOW.TC|SDOW.IV| | | | | | | | | |-3x|ProShares UltraPro Short Dow30 (SDOW) seeks daily investment results, before fees and expenses, that correspond to triple (300%) the inverse (opposite) of the daily performance of the Dow Jones Industrial Average. The Index includes 30 large-cap, blue-chip U.S. stocks, excluding utility and transportation companies. Components are selected through a discretionary process with no predetermined criteria except that components should be established U.S. companies that are leaders in their industries, have an excellent reputation, demonstrate sustained growth, are of interest to a large number of investors and accurately represent the sectors covered by the average.|N|0|N|N|416A|USA|US|EQUITY|INVERSE|||||||||N||N||||||Y|0|Y||Y|2|||20.83|20.84|0.0|0.0|20.83|20.84|20.835|20.82|0.0|0.0|20.82|20.82|20.83|20.821|20.81|20.81|20.805|20.82|20.87|20.82|20.82|20.83|20.72|20.92|20.82|20.83|20.8|20.84|20.44|21.27|20.82|20.83|31.365|20.71|7927645|1828339535 18927|SDP|SDP|74347G721|US74347G7218|ProShares Trust|ProShares UltraShort Utilities|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ProShares Advisors |IMC Chicago, LLC, DBA IMC Financial Markets|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-6|TXN2-1|TXN5-8|TXN2-8|TXN2-8|113720|||Quarterly|||||2008-11-11||SDP.NV|SDP.SO|SDP.EU|SDP.TC|SDP.IV| | | | | | | | | |-2x|ProShares UltraShort Utilities seeks daily investment results, before fees and expenses, that correspond to twice (200%) the inverse (opposite) of the daily performance of the Dow Jones U.S. Utilities Index. This ETF seeks a return of -200% of the return of an index (target) for a single day. Due to the compounding of daily returns, returns over periods other than one day will likely differ in amount and possibly direction from the target return for the same period. Investors should monitor their ProShares holdings consistent with their strategies, as frequently as daily. For more on correlation, leverage and other risks, please read the prospectus. The Dow Jones U.S. Utilities Index measures the performance of the utilities economic sector of the U.S. equity market. Component companies include electric utilities, gas utilities and water utilities. It is not possible to invest directly in an index.|N|0|N|N|416A|USA|US|EQUITY|INVERSE|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||0.0|13.29|0.0|0.0|12.81|12.9|12.8224|0.0|0.0|0.0|0.0|0.0|0.0|0.0|12.81|0.0|0.0|12.84|0.0|12.84|0.0|0.0|0.0|0.0|12.85|12.88|12.8|12.93|12.8|12.93|12.81|12.9|17.0793|10.0458|5153|3624780 44196|SDPI|SDPI|868153107|US8681531070|Superior Drilling Products Inc.|Common Stock|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Brendan E. Cryan and Company, L.L.C.|CRYN|0235|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN10-7|TXN1-3|TXN6-8|TXN1-3|TXN2-7|30390000|||NotApplicable|||||2014-05-23||||||| | | | | | | | | |||N|0|N|N|134A|USA|US|||60|6010|601010|60101030|Energy|Energy|Oil, Gas and Coal|Oil Equipment and Services|N||N||||||N|0|Y||Y|2|||0.7002|0.705|0.0|0.0|0.7|0.7|0.7151|0.701|0.0|0.0|0.7002|0.7001|0.7184|0.0|0.0|0.0|0.7002|0.7002|0.0|0.7002|0.6716|0.7513|0.7002|0.726|0.7|0.729|0.5608|0.864|0.0|0.0|0.67|0.75|2.21|0.58|37476|26227926 74754|SDRL|SDRL|G7997W102|BMG7997W1029|Seadrill Limited|Common Shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|5|A|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-7|TXN1-7|TXN9-3|TXN1-3|TXN4-6|79870000|||NotApplicable|||||2022-10-14||||||| | | | | | | | | |||N|0|N|Y|170A|BMU|BM|||60|6010|601010|60101030|Energy|Energy|Oil, Gas and Coal|Oil Equipment and Services|N||N||||||Y|0|Y||Y|2|||43.0|43.0|0.0|42.72|42.95|42.945|43.0|43.0|0.0|0.0|43.01|43.0|42.96|42.99|43.13|42.96|43.04|42.94|43.0|42.96|42.94|42.98|32.87|52.71|42.86|43.06|42.87|43.04|42.92|42.98|42.94|42.98|50.7245|28.36|726413|146197544 16837|SDS|SDS|74347G416|US74347G4165|ProShares Trust|ProShares UltraShort S&P 500|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ProShares Advisors |IMC Chicago, LLC, DBA IMC Financial Markets|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-1|TXN4-4|TXN5-1|TXN1-3|TXN3-6|24206249|||Quarterly|||||2008-11-12||SDS.NV|SDS.SO|SDS.EU|SDS.TC|SDS.IV| | | | | | | | | |-2x|ProShares UltraShort S&P500 seeks daily investment results, before fees and expenses, that correspond to twice (200%) the inverse (opposite) of the daily performance of the S&P500 Index. This ETF seeks a return of -200% of the return of an index (target) for a single day. Due to the compounding of daily returns, returns over periods other than one day will likely differ in amount and possibly direction from the target return for the same period. Investors should monitor their ProShares holdings consistent with their strategies, as frequently as daily. For more on correlation, leverage and other risks, please read the prospectus. The S&P 500 Index is a widely used measure of large U.S. stock market performance. It includes a representative sample of leading companies in leading industries. Companies are selected for inclusion in the Index by Standard & Poors based on adequate liquidity, appropriate market capitalization, financial viability and public float. 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The Index is composed of the exchange-listed common stock (or depositary receipts) of global sea shipping and air freight companies of any size across the globe in developed or emerging markets.|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||0.0|15.4|0.0|0.0|0.0|15.05|15.3999|0.0|0.0|0.0|0.0|0.0|15.4|0.0|0.0|0.0|0.0|15.3788|0.0|15.3788|12.24|19.2|0.0|0.0|15.35|15.4|12.24|19.2|0.0|0.0|15.35|15.4|16.88|13.51|2048|982081 54112|SEAL PRA|SEALpA|Y8564M113||Seapeak LLC|9.00% Series A Cumulative Redeemable Perpetual Preferred Units|Limited partnership|B|N|Y|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN3-1|TXN5-8|TXN2-8|TXN3-7|0|||Quarterly|||||2016-10-10||||||| | | | | | | | | |||N|0|N|N|208A||CA|||50|5020|502040|50204000|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Industrial|N||N||||||N|0|Y||Y|2|||0.0|24.94|0.0|0.0|25.4|24.95|24.9835|25.025|0.0|0.0|24.95|0.0|24.98|0.0|0.0|24.94|24.9|24.94|0.0|24.94|24.91|24.99|24.91|24.99|24.4|25.5|0.0|0.0|0.0|0.0|24.91|24.99|25.99|22.76|4784|1859237 59941|SEAL PRB|SEALpB|Y8564M204||Seapeak LLC|8.50% Series B Fixed-to-Floating Rate Cumulative Redeemable Perpetual Preferred Units|Limited partnership|B|N|Y|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN1-7|TXN6-8|TXN2-8|TXN4-5|0|||Quarterly|||||2017-10-25||||||| | | | | | | | | |||N|0|N|N|208A||CA|||50|5020|502040|50204000|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Industrial|N||N||||||N|0|Y||Y|2|||0.0|24.66|0.0|0.0|0.0|24.65|24.85|24.805|0.0|0.0|0.0|0.0|0.0|0.0|0.0|24.85|0.0|24.85|0.0|24.85|24.65|24.85|0.0|0.0|24.19|25.35|0.0|0.0|0.0|0.0|24.65|24.85|25.13|22.05|6263|2010338 41852|SEAS|SEAS|81282V100|US81282V1008|SeaWorld Entertainment, Inc.|Common Stock, $0.01 par value|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|C|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-4|TXN2-2|TXN8-5|TXN1-6|TXN4-4|63940000|||NotApplicable|||||2013-04-19||||||| | | | | | | | | |||N|0|N|Y|144C|USA|US|||40|4050|405010|40501030|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Recreational Services|N||N||||||Y|0|Y||Y|2|||50.56|50.55|0.0|50.5|50.51|50.54|50.533|50.55|0.0|0.0|50.57|50.59|50.525|50.56|50.57|50.54|50.59|50.51|50.56|50.54|50.51|50.54|38.79|62.07|50.28|50.88|50.47|50.61|50.49|50.64|50.51|50.54|68.195|40.865|770409|190896318 67844|SEAT|SEAT|92854T100|US92854T1007|Vivid Seats LLC|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN5-7|TXN10-4|TXN6-6|TXN6-7|96610000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101010|10101020|Technology|Technology|Software and Computer Services|Consumer Digital Services |N||N||||||Y|0|Y||||||8.44|8.42|0.0|0.0|8.43|8.43|8.42|8.43|0.0|0.0|8.425|8.43|8.44|8.43|8.43|8.425|8.45|8.42|8.43|8.44|8.4|8.43|6.69|10.43|8.4|8.43|8.4|8.45|8.39|8.46|8.42|8.43|9.89|5.585|1856154|128713898 67845|SEATW|SEATW|92854T118|US92854T1189|Vivid Seats LLC|WT EXP||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN5-3|TXN11-6|TXN6-3|TXN5-7|96510000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|2.13|0.0|0.0|0.0|0.0|2.07|0.0|0.0|0.0|0.0|0.0|2.05|0.0|0.0|0.0|0.0|2.07|0.0|2.07|0.0|0.0|0.0|0.0|1.87|2.02|0.0|0.0|0.0|0.0|2.0|2.02|3.05|0.86|4258|688736 9110|SEB|SEB|811543107|US8115431079|Seaboard Corporation|Common Stock|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Brendan E. Cryan and Company, L.L.C.|CRYN|0235|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|4|0.01|0.01|5000000|1|1|TXN10-8|TXN4-8|TXN3-8|TXN1-1|TXN2-1|970000|||Quarterly|||||1982-02-09||||||| | | | | | | | | |||N|0|Y|N|118C|USA|US|||45|4510|451020|45102010|Consumer Staples |Food, Beverage and Tobacco |Food Producers|Farming, Fishing, Ranching and Plantations|N||N||||||N|0|Y||Y|1|||3550.0|3559.97|0.0|0.0|0.0|3559.56|3559.91|3559.765|0.0|0.0|3559.6|3559.7|3559.97|3550.0|3558.96|3559.62|3560.0|3560.0|0.0|3560.0|3549.78|3563.33|3552.03|3559.98|3549.19|3562.4|0.0|0.0|0.0|0.0|3552.03|3559.98|4090.63|3402.375|2643|278526 59603|SECO|SECO|81367P200|US81367P2002|Secoo Holding Limited|ADS||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-5|TXN6-8|TXN12-6|TXN6-6|TXN6-5|28760000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||40|4040|404010|40401030|Consumer Discretionary|Retail |Retailers |Specialty Retailers |N||N||||||N|0|Y||||||0.48|0.48|0.0|0.0|0.4807|0.48|0.4767|0.0|0.0|0.0|0.4807|0.0|0.48|0.0|0.0|0.48|0.0|0.4767|0.0|0.4767|0.4561|0.525|0.3888|0.588|0.445|0.5289|0.3888|0.588|0.0|0.0|0.4767|0.4983|5.03|0.2627|85622|500713897 59508|SECT|SECT|66538H591|US66538H5919|Main Sector Rotation ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-3|TXN3-6|TXN7-4|TXN2-4|TXN1-7|30000000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||44.5|44.66|0.0|0.0|44.61|44.59|44.59|44.54|0.0|0.0|44.5|0.0|44.59|44.34|0.0|44.54|0.0|44.66|44.5|44.66|44.17|45.07|41.75|47.27|44.59|44.66|44.59|44.66|0.0|0.0|44.59|44.66|44.8315|38.03|120964|20226980 72980|SEDA|SEDA|G79471101|KYG794711013|SDCL EDGE Acquisition Corporation|Class A Ordinary Shares|Special purpose acquisition company|A|N|N|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN2-8|TXN4-8|TXN4-2|TXN3-8|13180000|||NotApplicable|||||2021-12-20||||||| | | | | | | | | |||N|0|N|N|408A|USA|KY|||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|10.75|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.75|0.0|10.75|0.0|10.75|10.74|10.76|0.0|0.0|10.74|11.02|0.0|0.0|0.0|0.0|10.74|10.76|11.54|9.995|275000|11692183 72981|SEDA WS|SEDA.WS|G79471127|KYG794711278|SDCL EDGE Acquisition Corporation|Redeemable warrants, each whole warrant exercisable for one share of Class A ordinary share at an exercise price of $11.50|Special purpose acquisition company|C|N|N|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN4-8|TXN4-8|TXN3-8|TXN1-6|TXN2-5|0|||NotApplicable|||||2021-12-20||||||| | | | | | | | | |||N|0|N|N|408A|USA|KY|||||||||||N||N||||||N|0|Y|D|N||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.03|0.0|0.0|0.03|0.0|0.03|0.0|0.03|0.025|0.06|0.0|0.0|0.025|0.06|0.0|0.0|0.0|0.0|0.025|0.06|0.35|0.0155|500|856472 72162|SEDA U|SEDA.U|G79471119|KYG794711195|SDCL EDGE Acquisition Corporation|Units, each consisting of one Class A ordinary share and one-half of one redeemable warrant|Special purpose acquisition company|R|N|N|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN4-1|TXN9-8|TXN4-3|TXN4-7|0|||NotApplicable|||||2021-10-29||||||| | | | | | | | | |||N|0|N|N|408A|USA|KY|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|10.83|11.0474|0.0|0.0|0.0|10.98|0.0|0.0|0.0|0.0|11.0474|0.0|11.0474|0.0|11.0474|10.77|11.53|0.0|0.0|10.06|11.53|0.0|0.0|0.0|0.0|10.75|11.53|11.1028|9.96|1975|106107 49583|SEDG|SEDG|83417M104|US83417M1045|SolarEdge Technologies Inc|COM USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN6-1|TXN14-5|TXN6-2|TXN5-3|56810000|||NotApplicable|||||||||||| | | | | | | | | |||N|5|N|N||ISR||||60|6010|601020|60102020|Energy|Energy|Alternative Energy|Renewable Energy Equipment |N||N||||||Y|0|Y||||||83.6|83.59|0.0|83.33|83.6|83.57|83.56|83.59|0.0|0.0|83.58|83.54|83.6|83.55|83.54|83.5|83.6|83.59|83.45|83.6|83.4|83.77|78.21|88.59|83.55|83.63|83.44|83.77|83.42|83.78|83.57|83.6|345.8|63.25|2816877|397681413 9111|SEE|SEE|81211K100|US81211K1007|Sealed Air Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|I|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN1-2|TXN2-3|TXN4-5|TXN2-6|144440000|||Quarterly|||||1979-05-31||||||| | | | | | | | | |||N|5|Y|Y|136D|USA|US|||50|5020|502030|50203030|Industrials|Industrial Goods and Services|General Industrials|Containers and Packaging|N||N||||||Y|0|Y||Y|1|||33.51|33.48|0.0|33.51|33.48|33.5|33.48|33.48|0.0|0.0|33.5|33.51|33.48|33.53|33.51|33.5|33.51|33.49|33.51|33.5|33.49|33.5|31.52|35.79|33.45|33.51|33.47|33.53|33.43|33.54|33.49|33.5|56.43|28.5|2640423|369517564 3603|SEED|SEED|G67828205|VGG678282051|Origin Agritech Ltd|COM USD||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN6-5|TXN14-2|TXN5-7|TXN5-3|6300000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||45|4510|451020|45102010|Consumer Staples |Food, Beverage and Tobacco |Food Producers|Farming, Fishing, Ranching and Plantations|N||N||||||N|0|Y||||||2.08|2.05|0.0|0.0|2.08|2.02|1.9945|2.08|0.0|0.0|1.98|0.0|1.97|2.08|0.0|0.0|0.0|1.9945|0.0|1.9945|1.88|2.16|1.56|2.52|1.85|2.07|1.6|2.52|0.0|0.0|1.97|2.07|10.71|1.625|24281|7562055 2761|SEEL|SEEL|81577F208|US81577F2083|Seelos Therapeutics Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN6-4|TXN13-6|TXN5-4|TXN6-2|7370000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103015|Health Care |Health Care |Pharmaceuticals and Biotechnology|Pharmaceuticals |N||N||||||N|0|Y||||||2.03|1.96|0.0|2.01|1.98|1.985|1.96|1.96|0.0|0.0|1.97|1.99|1.96|2.0|2.02|1.96|1.85|1.96|1.97|1.96|1.93|2.04|1.57|2.44|1.93|1.97|1.93|2.0|1.92|1.97|1.95|1.96|2.9924|0.102871|5010470|510489056 68376|SEER|SEER|81578P106|US81578P1066|Seer Inc|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN6-7|TXN10-6|TXN6-2|TXN5-5|59780000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||Y|0|Y||||||1.7|1.7|0.0|0.0|1.71|1.7|1.705|1.71|0.0|0.0|1.7|1.7|1.71|1.7|1.69|1.7|1.69|1.7|1.71|1.71|1.69|1.71|1.33|2.06|1.69|1.71|1.67|1.73|1.68|1.71|1.69|1.71|7.045|1.455|278235|80844889 28200|SEF|SEF|74347B185|US74347B1851|ProShares Trust|ProShares Short Financials|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ProShares Advisors |Latour Trading, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-7|TXN1-3|TXN3-8|TXN4-1|TXN2-5|1724851|||Quarterly|||||2008-11-12||SEF.NV|SEF.SO|SEF.EU|SEF.TC|SEF.IV| | | | | | | | | |-1x|ProShares Short Financials seeks daily investment results, before fees and expenses, that correspond to the inverse (opposite) of the daily performance of the Dow Jones U.S. Financials Index. This ETF seeks a return of -100% of the return of an index (target) for a single day. Due to the compounding of daily returns, returns over periods other than one day will likely differ in amount and possibly direction from the target return for the same period. Investors should monitor their ProShares holdings consistent with their strategies, as frequently as daily. For more on correlation, leverage and other risks, please read the prospectus. The Dow Jones U.S. Financials Index measures the performance of the financials industry of the U.S. equity market. Component companies include banks; insurance companies and brokers; real estate companies, including REITs, real estate holding and development companies, and real estate services companies; financial services companies, including asset managers, consumer finance companies, specialty finance companies, investment services providers, mortgage finance providers, corporate closed-end investment entities such as investment trusts and venture capital trusts; and non-corporate, open-ended investment instruments such as open-ended investment companies and funds, unit trusts, ETFs, currency funds and split capital trusts. 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Quality Factor ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-3|TXN4-8|TXN5-8|TXN1-6|TXN4-7|630000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||28.527052|29.4184|0.0|0.0|0.0|0.0|29.4132|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|29.4184|0.0|29.4184|29.11|29.71|29.33|29.37|29.4|29.43|29.4|29.43|0.0|0.0|29.39|29.43|30.28|24.767|491|419303 74056|SEIV|SEIV|81589A304|US81589A3041|SEI Enhanced U.S. Large Cap Value Factor ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-6|TXN3-8|TXN3-8|TXN3-4|TXN4-7|1200000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||25.577026|26.922|0.0|0.0|0.0|0.0|26.9233|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|26.922|0.0|26.922|26.64|27.2|26.86|26.9|26.9|26.94|26.9|26.94|0.0|0.0|26.9|26.94|27.02|22.55|1247|881351 63486|SEIX|SEIX|92790A405|US92790A4058|Virtus ETF Trust II|Virtus Seix Senior Loan ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Virtus ETF Advisers |Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-4|TXN3-5|TXN2-8|TXN4-4|TXN4-5|4025004|||Monthly|||||2019-04-25||SEIX.NV|SEIX.SO|SEIX.EU|SEIX.TC|SEIX.IV| | | | | | | | | ||Invested in Bank Loans managed by SEIX|N|0|N|N|416A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|23.94|0.0|0.0|0.0|23.92|23.923|23.91|0.0|0.0|23.91|23.9|23.92|23.92|0.0|23.92|0.0|23.91|23.89|23.91|23.86|23.93|18.49|29.35|23.91|23.93|23.85|23.93|0.0|0.0|23.91|23.93|24.6203|23.0801|29383|7129897 48697|SELF|SELF|37955N106|US37955N1063|Global Self Storage Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN5-3|TXN12-2|TXN5-4|TXN5-8|11140000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||35|3510|351020|35102050|Real Estate|Real Estate |Real Estate Investment Trusts|Storage REITs|N||N||||||Y|0|Y||||||4.63|4.65|0.0|0.0|4.63|4.63|4.62|4.65|0.0|0.0|4.63|4.62|4.66|4.65|0.0|0.0|4.68|4.62|4.65|4.66|4.49|4.82|3.63|5.67|4.51|4.8|3.63|5.67|0.0|0.0|4.62|4.7|5.7428|4.33|51782|5328617 74057|SELV|SELV|81589A403|US81589A4031|SEI Enhanced Low Volatility U.S. Large Cap ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-5|TXN1-7|TXN1-5|TXN1-1|TXN4-7|350000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|25.5481|0.0|0.0|0.0|0.0|25.53|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|25.5481|0.0|25.5481|25.28|25.8|25.49|25.53|25.52|25.56|25.52|25.56|0.0|0.0|25.52|25.56|26.49|23.73|827|350972 29505|SEM|SEM|81619Q105|US81619Q1058|Select Medical Holdings Corporation|Common Stock, $0.001 par value per share|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN2-5|TXN7-5|TXN3-5|TXN1-5|128210000|||Adhoc|||||2009-09-25||||||| | | | | | | | | |||N|0|N|Y|122B|USA|US|||20|2010|201010|20101010|Health Care |Health Care |Health Care Providers|Health Care Facilities|N||N||||||Y|0|Y||Y|2|||23.9|23.89|0.0|23.8|23.86|23.89|23.89|23.87|0.0|0.0|23.87|23.91|23.87|23.84|23.91|23.87|23.9|23.86|23.88|23.87|23.86|23.88|18.03|28.78|23.83|23.93|23.84|23.91|23.83|23.88|23.86|23.88|33.51|21.28|600011|124750279 73793|SEMI|SEMI|19761L870|US19761L8708|Columbia ETF Trust I|Columbia Seligman Semiconductor and Technology ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Columbia Management Investment Advisers|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-2|TXN4-3|TXN1-5|TXN1-8|TXN4-7|1375050|||Yearly|||||2022-03-30||SEMI.NV|SEMI.SO|SEMI.EU|SEMI.TC|SEMI.IV| | | | | | | | | |1x|Under normal market conditions, the Fund invests at least 80% of its net assets in securities of semiconductor, semiconductor equipment and related technology companies (Semiconductor and Tech Companies).|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|20.025|0.0|0.0|0.0|0.0|0.0|0.0|20.25|0.0|0.0|0.0|20.2566|0.0|20.2566|20.04|20.46|0.0|0.0|20.24|20.28|20.24|20.29|0.0|0.0|20.24|20.29|21.76|15.074|4320|994365 69939|SEMR|SEMR|81686C104|US81686C1045|SEMrush Holdings, Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-6|TXN1-7|TXN1-8|TXN1-2|TXN3-8|119750000|||NotApplicable|||||2021-03-25||||||| | | | | | | | | |||N|0|N|Y|108B|USA|US|||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||Y|2|||11.2|11.165|0.0|11.09|11.16|11.18|11.1654|11.17|0.0|0.0|11.175|11.18|11.17|11.17|11.13|11.19|11.21|11.19|11.16|11.19|11.17|11.19|8.67|13.56|11.15|11.27|11.13|11.21|11.14|11.21|11.17|11.19|11.47|7.16|669346|81262282 3611|SENEA|SENEA|817070501|US8170705011|Seneca Foods Corp.|CL A COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN5-4|TXN14-8|TXN5-6|TXN5-2|5470000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||45|4510|451020|45102020|Consumer Staples |Food, Beverage and Tobacco |Food Producers|Food Products|N||N||||||N|0|Y||||||50.78|51.0|0.0|50.92|0.0|51.57|51.05|50.99|0.0|0.0|51.5|51.5|51.23|0.0|0.0|0.0|0.0|50.97|52.0|51.23|50.15|51.93|39.68|62.91|50.97|51.84|39.68|51.33|50.76|51.24|50.97|51.24|68.22|32.5|33727|14545931 3612|SENEB|SENEB|817070105|US8170701051|Seneca Foods Corp.|CL B COM 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Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN6-4|TXN14-8|TXN5-1|TXN6-8|5700000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502050|50205015|Industrials|Industrial Goods and Services|Industrial Support Services|Transaction Processing Services|N||N||||||N|0|Y||||||0.0|10.18|0.0|0.0|10.03|10.11|10.11|10.07|0.0|0.0|10.1|10.0|10.1|10.1|0.0|10.1|0.0|10.14|0.0|10.1|0.0|0.0|0.0|0.0|9.43|10.18|0.0|0.0|0.0|0.0|10.1|10.18|81.08|7.15|25170|3243799 9119|SF|SF|860630102|US8606301021|Stifel Financial Corp.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-6|TXN4-2|TXN1-8|TXN3-8|TXN2-4|102000000|||Quarterly|||||1986-11-24||||||| | | | | | | | | |||N|0|Y|Y|404A|USA|US|||30|3020|302020|30202000|Financials|Financial Services |Investment Banking and Brokerage Services |Diversified Financial Services |N||N||||||Y|0|Y||Y|1|||64.07|64.085|0.0|63.89|63.98|64.09|64.08|64.12|0.0|0.0|64.09|64.09|64.09|64.1|64.07|64.1|64.05|64.1|64.07|64.1|64.09|64.1|59.99|67.73|64.01|64.16|64.05|64.14|64.09|64.15|64.09|64.1|68.77|53.475|606719|152167567 63163|SF PRB|SFpB|860630706|US8606307069|Stifel Financial Corp.|Depositary Shares, each representing a 1/1000th interest in a share of 6.25% Non-Cumulative Preferred Stock, Series B|Operating company|B|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN2-6|TXN9-8|TXN4-7|TXN3-8|6400000|||Quarterly|||||2019-03-08||||||| | | | | | | | | |||N|0|N|N|404A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||23.51|23.8|0.0|0.0|23.49|23.75|23.745|23.199375|0.0|0.0|0.0|0.0|23.75|23.21|0.0|23.745|23.77|23.745|22.939375|23.745|23.61|23.88|23.61|23.88|23.23|24.36|0.0|0.0|0.0|0.0|23.61|23.88|25.57|18.67|5886|2706014 66516|SF PRC|SFpC|860630870|US8606308703|Stifel Financial Corp.|Depositary Shares, Each Representing 1/1,000th Interest in a Share of 6.125% Non Cumulative Preferred Stock, Series C|Operating company|B|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN1-1|TXN6-8|TXN3-4|TXN2-5|9000000|||Quarterly|||||2020-05-22||||||| | | | | | | | | |||N|0|N|N|404A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|24.31|0.0|0.0|0.0|24.25|24.21|24.15|0.0|0.0|24.28|0.0|24.05|0.0|0.0|24.1|0.0|24.21|24.39|24.1|24.05|24.39|0.0|0.0|23.6|24.86|0.0|0.0|0.0|0.0|24.05|24.39|26.18|20.97|28772|3810628 71254|SF PRD|SFpD|860630862|US8606308620|Stifel Financial Corp.|Depositary Shares, Each Representing 1/1,000th Interest in a Share of 4.50% Non-Cumulative Preferred Stock, Series D|Operating company|B|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN3-5|TXN3-8|TXN4-8|TXN1-3|12000000|||Quarterly|||||2021-07-28||||||| | | | | | | | | |||N|0|N|N|404A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||16.9|17.0|0.0|0.0|0.0|0.0|16.78|16.905|0.0|0.0|0.0|0.0|16.8|16.9|0.0|16.96|0.0|16.905|0.0|16.96|16.79|17.0|0.0|0.0|16.47|17.34|0.0|0.0|0.0|0.0|16.79|17.0|19.41|14.5|13670|11319041 59874|SFB|SFB|860630607||Stifel Financial Corp.|5.20% Senior Notes due 2047|Operating company|G|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN1-4|TXN3-8|TXN2-6|TXN4-8|0|||Quarterly|||||2017-10-17|2047-10-15|||||| | | | | | | | | |||N|0|N|N|404A||US|||50|5020|502040|50204000|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Industrial|N||N||||||N|0|Y||Y|2|||0.0|20.77|0.0|0.0|0.0|20.8|20.8327|20.76|0.0|0.0|0.0|0.0|20.63|0.0|0.0|20.73|0.0|20.62|0.0|20.73|20.56|20.85|0.0|0.0|20.07|21.27|0.0|0.0|0.0|0.0|20.56|20.85|24.142|18.2652|15104|2609881 27020|SFBC|SFBC|83607A100|US83607A1007|Sound Financial Bancorp Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN6-1|TXN13-8|TXN5-6|TXN5-5|2570000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|36.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|34.56|37.96|0.0|0.0|0.0|0.0|36.0|36.5|40.95|33.268|4|472880 44207|SFBS|SFBS|81768T108|US81768T1088|ServisFirst Bancshares, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|11|Q|Virtu Americas LLC|NITC|295|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN4-8|TXN5-8|TXN4-8|TXN1-1|54440000|||Quarterly|||||2021-06-21||||||| | | | | | | | | |||N|0|N|Y|402B|USA|US|||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||Y|2|||55.97|55.99|0.0|56.0|56.01|56.02|55.95|56.02|0.0|0.0|55.05|56.04|55.95|54.18|56.24|55.95|56.15|55.95|54.53|55.95|55.95|55.96|42.91|68.9|55.74|56.2|55.78|56.21|55.76|56.08|55.95|55.96|77.19|39.27|216355|56595436 9124|SFE|SFE|786449207|US7864492076|Safeguard Scientifics Inc.|COM USD.1||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-6|TXN5-6|TXN10-4|TXN6-3|TXN5-6|16580000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302020|30202000|Financials|Financial Services |Investment Banking and Brokerage Services |Diversified Financial Services |N||N||||||Y|0|Y||||||0.97|0.9868|0.0|0.0|0.0|0.97|0.977499|0.9872|0.0|0.0|0.9868|0.9868|0.98|0.0|0.0|0.97|0.0|0.98|0.0|0.98|0.912|1.02|0.0|0.0|0.9506|1.01|0.0|0.0|0.0|0.0|0.97|0.9868|3.34|0.9462|29910|7441520 52968|SFIG|SFIG|97717X156|US97717X1569|WisdomTree Fundamental U.S. Short-Term Corporate Bond Fund|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-4|TXN1-6|TXN9-6|TXN2-8|TXN2-1|900000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|47.3667|0.0|0.0|0.0|0.0|47.3102|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|47.3667|0.0|47.3667|0.0|0.0|0.0|0.0|47.33|47.4|0.0|0.0|0.0|0.0|47.34|47.4|47.68|46.25|1304|806749 60153|SFIX|SFIX|860897107|US8608971078|Stitch Fix Inc|CL A COM USD.00002||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN5-8|TXN14-1|TXN6-4|TXN5-6|92490000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4040|404010|40401020|Consumer Discretionary|Retail |Retailers |Apparel Retailers|N||N||||||Y|0|Y||||||4.13|4.135|0.0|4.12|4.14|4.135|4.14|4.135|0.0|0.0|4.13|4.135|4.15|4.13|4.14|4.135|4.14|4.14|4.14|4.15|4.14|4.17|4.1|4.17|4.14|4.17|4.11|4.17|4.12|4.17|4.14|4.15|6.03|2.63|1639946|571977711 9136|SFL|SFL|G7738W106|BMG7738W1064|SFL Corporation Ltd.|Common Shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-3|TXN2-3|TXN7-4|TXN1-5|TXN1-3|137470000|||Quarterly|||||2004-06-14||||||| | | | | | | | | |||N|0|N|Y|208A|BMU|BM|||50|5020|502060|50206030|Industrials|Industrial Goods and Services|Industrial Transportation|Marine Transportation|N||N||||||Y|0|Y||Y|2|||11.53|11.52|0.0|11.6|11.53|11.53|11.52|11.535|0.0|0.0|11.53|11.53|11.535|11.53|11.535|11.53|11.55|11.52|11.54|11.53|11.52|11.53|8.95|14.16|11.5|11.55|11.49|11.56|11.5|11.56|11.52|11.53|11.665|8.425|827906|196125830 74868|SFLR|SFLR|45783Y673|US45783Y6730|Innovator ETFs Trust|Innovator Equity Managed Floor ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Innovator Capital Management |Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-3|TXN4-4|TXN1-8|TXN3-3|TXN1-3|3950000|||Quarterly|||||2022-11-09||SFLR.NV|SFLR.SO|SFLR.EU|SFLR.TC| | | | | | | | | | ||The Fund intends to invest in a diversified portfolio of equity securities that are representative of the S&P 500, together with put and call option contracts that provide exposure to the S&P 500, in an effort to provide the Fund with a portion of the returns associated with equity market investments while exposing investors to less risk.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||26.539|26.58|0.0|0.0|26.46|26.47|26.526|26.64|0.0|0.0|26.53|0.0|26.47|26.539|0.0|0.0|0.0|26.58|0.0|26.58|20.24|32.45|20.24|26.62|26.49|26.57|20.24|26.63|0.0|0.0|26.49|26.57|27.0|22.57|25874|7856124 42437|SFM|SFM|85208M102|US85208M1027|Sprouts Farmers Market Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN5-3|TXN12-8|TXN6-7|TXN5-1|101560000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||45|4520|452010|45201010|Consumer Staples |Personal Care, Drug and Grocery Stores |Personal Care, Drug and Grocery Stores |Food Retailers and Wholesalers |N||N||||||Y|0|Y||||||45.4|45.4|0.0|45.18|45.41|45.405|45.42|45.4|0.0|0.0|45.41|45.48|45.42|45.4|45.405|45.395|45.495|45.41|45.42|45.42|45.36|45.46|35.25|55.22|45.4|45.48|45.38|45.44|0.0|0.0|45.4|45.42|45.495|30.1|1684992|361011910 3623|SFNC|SFNC|828730200|US8287302009|Simmons First National Corp|CL A COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN5-7|TXN12-8|TXN5-6|TXN6-7|125170000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||||||16.97|16.97|0.0|16.98|16.97|16.97|16.98|16.97|0.0|0.0|16.96|16.97|16.98|16.98|16.97|16.97|16.97|16.98|16.97|16.98|16.94|17.0|12.85|20.82|16.93|17.01|16.95|17.02|16.96|17.02|16.96|16.99|23.68|13.36|446449|128174220 1792|SFST|SFST|842873101|US8428731017|Southern First Bankshares Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN6-4|TXN11-5|TXN6-8|TXN5-6|8090000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||||||0.0|31.15|0.0|0.0|0.0|31.24|31.3017|31.3|0.0|0.0|30.98|0.0|31.25|0.0|0.0|0.0|0.0|31.12|0.0|31.25|30.22|32.45|0.0|0.0|30.27|32.22|0.0|0.0|0.0|0.0|31.12|31.25|48.665|20.75|14309|6062746 75554|SFWL|SFWL|G8117B101|KYG8117B1014|Shengfeng Development Ltd|CL A ORD||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN6-4|TXN12-3|TXN6-1|TXN5-3|40520000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||50|5020|502060|50206040|Industrials|Industrial Goods and Services|Industrial Transportation|Delivery Services|N||N||||||N|0|Y||||||13.3|13.08|0.0|0.0|13.83|13.01|13.08|13.84|0.0|0.0|14.02|13.34|13.08|12.92|13.6|13.26|0.0|13.08|13.97|13.08|12.52|13.69|9.89|16.19|12.57|13.6|9.89|16.19|0.0|0.0|13.08|13.24|17.6|2.94|169185|67924766 63418|SFY|SFY|886364207|US8863642075|Tidal ETF Trust|SoFi Select 500 ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Tidal ETF Services |GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN3-4|TXN4-7|TXN1-5|TXN3-2|34300000|||BiAnnually|||||2019-04-11||SFY.NV|SFY.SO|SFY.EU|SFY.TC|SFY.IV| | | | | | | | | |1x|The SoFi 500 ETF (the Fund) seeks to track the performance, before fees and expenses, of the Solactive SoFi US 500 Growth Index (the Index). The Fund uses a passive management (or indexing) approach to track the performance, before fees and expenses, of the Index. The Index follows a rules-based methodology developed in 2018 by Solactive AG (the Index Provider) that tracks the performance of 500 of the largest U.S.-listed companies weighted based on a proprietary mix of their market capitalization and fundamental factors. |N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||16.24|16.29|0.0|0.0|16.3|16.3|16.299|16.29|0.0|0.0|16.3|16.24|16.3|0.0|16.24|16.3|0.0|16.3|0.0|16.3|16.29|16.3|12.41|20.16|16.29|16.3|16.25|16.34|16.25|16.34|16.29|16.3|16.42|13.04|201209|27396123 63569|SFYF|SFYF|886364405|US8863644055|Tidal ETF Trust|SoFi Social 50 ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Tidal ETF Services |GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-5|TXN4-5|TXN1-8|TXN3-5|TXN4-7|560000|||BiAnnually|||||2019-05-08||SFYF.NV|SFYF.SO|SFYF.EU|SFYF.TC|SFYF.IV| | | | | | | | | |1x|The SoFi 50 ETF (the Fund) seeks to track the performance, before fees and expenses, of the Solactive SoFi US 50 Growth Index (the Index). The Fund uses a passive management (or indexing) approach to track the performance, before fees and expenses, of the Index. The Index follows a rules-based methodology developed in 2018 by Solactive AG (the Index Provider) that tracks the performance of an equal-weighted portfolio of 50 of the 1,000 largest U.S.-listed companies based on a proprietary composite score calculated based on certain fundamental factors. |N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|27.8|28.16|0.0|0.0|0.0|28.21|0.0|0.0|0.0|0.0|24.61|0.0|28.1896|0.0|28.1896|28.15|28.22|0.0|0.0|28.15|28.22|25.61|31.05|0.0|0.0|28.15|28.22|30.1865|18.61|2672|735560 63419|SFYX|SFYX|886364306|US8863643065|Tidal ETF Trust|SoFi Next 500 ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Tidal ETF Services |GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-5|TXN4-7|TXN5-8|TXN1-4|TXN2-5|5300000|||BiAnnually|||||2019-04-11||SFYX.NV|SFYX.SO|SFYX.EU|SFYX.TC|SFYX.IV| | | | | | | | | |1x|The SoFi Next 500 ETF (the Fund) seeks to track the performance, before fees and expenses, of the Solactive SoFi US Next 500 Growth Index (the Index). The Fund uses a passive management (or indexing) approach to track the performance, before fees and expenses, of the Index. The Index follows a rules-based methodology developed in 2018 by Solactive AG (the Index Provider) that tracks the performance of the 500 smallest of the 1,000 largest U.S.-listed companies weighted based on a proprietary mix of their market capitalization and fundamental factors. |N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||12.17|12.14|0.0|0.0|12.17|12.14|12.18|0.0|0.0|0.0|12.14|0.0|12.18|0.0|0.0|12.14|0.0|12.17|0.0|12.17|12.17|12.2|9.15|15.11|12.17|12.2|9.15|15.11|0.0|0.0|12.17|12.2|12.9|10.71|22592|4156724 72406|SG|SG|87043Q108|US87043Q1085|Sweetgreen, Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|P|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-7|TXN3-4|TXN5-4|TXN2-2|TXN3-8|99400000|||NotApplicable|||||2021-11-18||||||| | | | | | | | | |||N|0|N|Y|146D|USA|US|||40|4050|405010|40501040|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Restaurants and Bars|N||N||||||Y|0|Y||Y|2|||9.96|9.95|0.0|9.99|9.96|9.955|9.96|9.96|0.0|0.0|9.96|9.95|9.96|9.91|9.92|9.96|9.93|9.96|9.91|9.96|9.95|9.96|7.68|12.22|9.94|9.97|9.92|9.99|9.91|10.0|9.95|9.96|16.58|6.1|1520032|407502541 9142|SGA|SGA|786598300|US7865983008|Saga Communications Inc.|CL A COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN5-6|TXN13-6|TXN6-5|TXN6-2|6120000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4030|403010|40301035|Consumer Discretionary|Media|Media|Radio and TV Broadcasters|N||N||||||N|0|Y||||||0.0|20.12|0.0|0.0|20.05|20.13|20.0|20.0|0.0|0.0|20.0|0.0|20.0|20.25|0.0|0.0|0.0|20.0|20.0|20.0|19.22|20.83|0.0|0.0|19.81|20.79|0.0|0.0|0.0|0.0|20.0|20.19|29.18|18.885|27450|3016699 58692|SGBX|SGBX|78418A505|US78418A5056|Safe & Green Holdings Corp|COM PAR||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-8|TXN6-7|TXN12-1|TXN6-2|TXN6-3|16480000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5010|501010|50101035|Industrials|Construction and Materials|Construction and Materials |Building Materials: Other|N||N||||||Y|0|Y||||||0.5411|0.545|0.0|0.0|0.56|0.543|0.545|0.0|0.0|0.0|0.54|0.0|0.5456|0.6965|0.0|0.5899|0.0|0.543|0.0|0.5456|0.5082|0.577|0.4329|0.6733|0.5301|0.5769|0.5272|0.5634|0.5191|0.5664|0.543|0.55|2.18|0.3228|455942|120182420 9144|SGC|SGC|868358102|US8683581024|Superior Group of Cos Inc|COM USD1||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN6-1|TXN11-8|TXN6-5|TXN6-8|16510000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4020|402040|40204020|Consumer Discretionary|Consumer Products and Services|Personal Goods|Clothing and Accessories|N||N||||||Y|0|Y||||||12.03|12.38|0.0|0.0|12.24|12.335|12.24|11.98|0.0|0.0|12.4|12.29|12.3|0.0|0.0|12.31|0.0|12.24|0.0|12.3|11.91|12.68|0.0|0.0|12.0|12.55|0.0|0.0|0.0|0.0|12.24|12.32|12.5798|7.1376|61080|9845522 76330|SGD|SGD|78637J105|US78637J1051|Safe and Green Development Corp|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN6-1|TXN14-3|TXN5-4|TXN5-4|10000000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5010|501010|50101015|Industrials|Construction and Materials|Construction and Materials |Engineering and Contracting Services|N||N||||||N|0|Y||||||1.93|1.895|0.0|0.0|1.97|1.895|1.9|1.89|0.0|0.0|1.93|1.89|1.94|1.97|0.0|1.905|2.2|1.9|1.91|1.94|1.82|2.03|1.52|2.34|1.83|1.98|1.52|2.34|0.0|0.0|1.9|1.94|8.42|0.3821|1104496|108180050 49594|SGDJ|SGDJ|85210B201|US85210B2016|Sprott Funds Trust|Sprott Junior Gold Miners ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Sprott Asset Management|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN3-7|TXN2-8|TXN3-1|TXN1-1|3410000|||Yearly|||||2019-07-22||SGDJ.NV|SGDJ.SO|SGDJ.EU|SGDJ.TC|SGDJ.IV| | | | | | | | | |1x|The Fund employs a passive management or indexing investment approach designed to track the performance of the Underlying Index. The Underlying Index aims to track the performance of junior gold companies primarily located in the U.S., Canada and Australia whose common stock, American Depository Receipts (ADRs) or Global Depository Receipts (GDRs) are traded on a regulated stock exchange in the form of shares tradeable for foreign investors without any restrictions. Junior companies include early stage mining companies that are in the exploration stage only or that hold properties that might not ultimately produce gold. Most of these companies are in the development and exploration phase and are on the lookout for land with a higher chance for uncovering large mineral deposits. The Underlying Index is compiled by Solactive AG (the Index Provider).|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||30.42|31.19|0.0|0.0|30.14|30.18|30.4187|30.39|0.0|0.0|30.5|30.5|30.38|30.42|0.0|0.0|0.0|30.402|0.0|30.402|28.94|32.29|0.0|0.0|30.21|30.43|28.32|32.66|0.0|0.0|30.21|30.43|37.3499|24.07|49892|5275516 44629|SGDM|SGDM|85210B102|US85210B1026|Sprott Funds Trust|Sprott Gold Miners ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Sprott Asset Management|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-8|TXN2-8|TXN4-8|TXN4-3|TXN1-6|9020000|||Yearly|||||2019-07-22||SGDM.NV|SGDM.SO|SGDM.EU|SGDM.TC|SGDM.IV| | | | | | | | | |1x|The Fund employs a passive management or indexing investment approach designed to track the performance of the Underlying Index. The Underlying Index aims to track the performance of gold companies located in the U.S. and Canada who common stocks or American Depository Receipts (ADRs) are traded on the Toronto Stock Exchange, the New York Stock Exchange and NASDAQ. The Underlying Index is compiled by Solactive AG (the Index Provider). In order to be included in the Underlying Index, companies must be an index component of the Solactive Equal Weights Global Gold Index. The Solactive Equal Weight Global Gold Index includes all companies classified under any of the following FactSet Revere Business Industry Classification System (RBICS) industries: Americas Gold Mining, Asia/Pacific Gold Mining and Other Gold Mining that are listed on the Toronto Stock Exchange, the New York Stock Exchange and NASDAQ in the form on common stocks or American Depository Receipts (ADRs). On selection days, existing index member of the Solactive Equal Weight Global Gold Index must have free float market capitalization of USD $375 million. New index members need to have a free float market capitalization of USD $750 million. Furthermore, new index members must have a minimum Average Daily Traded Value of at least USD $2 million, while existing index members must have a minimum Average Traded Value of at least USD $1 million over the past 1-month and 6-month periods. The Underlying Index employs a modified market capitalization weighted methodology such that each constituent comprises no more than 18% of the weight of the Underlying Index as of each rebalance, no more than 50% of the weight of the Underlying Index may consist of constituents comprising greater than 4.5% of the weight of the Underlying Index. A company in the Underlying Index will be classified as a gold mining company if it earns over 50% of its revenue from the mining of gold.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||0.0|25.5|0.0|0.0|0.0|25.4|25.485|25.45|0.0|0.0|25.39|0.0|25.67|25.5|0.0|0.0|0.0|25.485|0.0|25.485|24.31|27.07|0.0|0.0|25.45|25.52|24.31|27.07|0.0|0.0|24.34|25.53|31.403|21.7|31676|8831239 75677|SGE|SGE|86335G109|CA86335G1090|Strong Global Entertainment, Inc.|Class A Common Voting Shares|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-3|TXN1-6|TXN2-8|TXN3-2|TXN3-2|7880000|||NotApplicable|||||2023-05-16||||||| | | | | | | | | |||N|0|N|N|114D|USA|CA|||40|4020|402030|40203010|Consumer Discretionary|Consumer Products and Services|Leisure Goods|Consumer Electronics|N||N||||||N|0|Y||Y|2|||1.41|1.44|0.0|0.0|1.61|1.55|1.6|1.39|0.0|0.0|1.69|1.61|1.56|1.64|0.0|2.11|1.63|1.63|1.52|1.63|0.0|0.0|1.62|1.73|1.53|1.85|0.0|0.0|0.0|0.0|1.62|1.73|4.35|1.19|9626|5139328 3629|SGEN|SGEN|81181C104|US81181C1045|Seagen Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN5-2|TXN13-6|TXN5-2|TXN6-6|188660000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||USA||||20|2010|201030|20103015|Health Care |Health Care |Pharmaceuticals and Biotechnology|Pharmaceuticals |N||N||||||Y|0|Y||||||213.12|213.11|0.0|212.59|213.1|213.15|213.133|213.15|0.0|0.0|213.17|213.01|213.13|212.76|212.78|213.11|212.64|213.133|212.92|213.13|212.97|213.31|199.28|227.36|212.91|213.32|202.1|223.44|0.0|0.0|213.13|213.25|217.51|116.08|769645|313610734 58502|SGH|SGH|G8232Y101|KYG8232Y1017|SMART Global Holdings Inc|Ordinary Shares||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN6-4|TXN13-4|TXN6-1|TXN6-2|51920000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101020|10102030|Technology|Technology|Technology Hardware and Equipment|Computer Hardware|N||N||||||Y|0|Y||||||17.09|17.1|0.0|16.75|17.1|17.1|17.1|17.1|0.0|0.0|17.1|17.12|17.1|16.771|17.23|17.095|0.0|17.09|17.095|17.1|16.93|17.26|13.19|21.03|16.95|17.14|17.05|17.14|17.05|17.14|17.09|17.1|29.99|12.66|504242|167801030 73341|SGHC|SGHC|G8588X103|GG00BMG42V42|Super Group (SGHC) Limited|Ordinary shares with no par value|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|8|R|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN1-1|TXN5-8|TXN4-4|TXN2-6|498510000|||NotApplicable|||||2022-01-28||||||| | | | | | | | | |||N|0|N|Y|144B|GGY|JE|||40|4050|405010|40501020|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Casinos and Gambling|N||N||||||Y|0|Y||Y|2|||3.025|3.03|0.0|3.05|3.02|3.03|3.025|3.025|0.0|0.0|3.025|3.03|3.03|3.02|3.06|3.03|3.06|3.03|3.035|3.03|3.02|3.03|2.39|3.71|3.01|3.04|3.0|3.05|3.02|3.06|3.02|3.03|4.18|2.57|413050|78914989 71163|SGHT|SGHT|82657M105|US82657M1053|Sight Sciences Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN6-7|TXN10-7|TXN5-6|TXN6-8|48750000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||Y|0|Y|D|||||2.93|2.92|0.0|2.85|2.93|2.925|2.918|2.915|0.0|0.0|2.92|2.83|2.92|2.92|2.88|2.9|0.0|2.918|2.83|2.92|2.86|2.99|2.23|3.55|2.87|2.98|2.89|2.94|2.89|2.95|2.9|2.92|15.295|1.04|520531|51880581 75548|SGLC|SGLC|74933W593|US74933W5931|The RBB Fund, Inc.|SGI U.S. Large Cap Core ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Summit Global|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-7|TXN2-5|TXN9-8|TXN1-1|TXN4-7|3490000|||Yearly|||||2023-03-31||SGLC.NV|SGLC.SO|SGLC.EU|SGLC.TC|SGLC.IV| | | | | | | | | ||SGI U.S. Large Cap Core ETF (the Fund) seeks long-term capital appreciation.|N|0|N|N|408A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|28.8503|28.6|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|28.74|28.834|0.0|28.834|0.0|0.0|28.77|28.83|28.82|28.88|28.47|29.06|0.0|0.0|28.82|28.88|29.05|24.91|9547|5182678 28022|SGLY|SGLY|82935V208|US82935V2088|Singularity Future Technology Ltd|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-5|TXN5-6|TXN10-5|TXN5-2|TXN5-8|17520000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502060|50206030|Industrials|Industrial Goods and Services|Industrial Transportation|Marine Transportation|N||N||||||Y|0|Y||||||0.5256|0.5|0.0|0.0|0.4544|0.52|0.5|0.52|0.0|0.0|0.495|0.0|0.5256|0.0|0.0|0.0|0.0|0.5256|0.0|0.5256|0.408|0.564|0.0|0.0|0.4668|0.55|0.408|0.564|0.0|0.0|0.5|0.53|0.995|0.35|72867|11202412 3631|SGMA|SGMA|82661L101|US82661L1017|SigmaTron International Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN6-5|TXN11-6|TXN6-7|TXN5-6|6090000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101020|10102015|Technology|Technology|Technology Hardware and Equipment|Electronic Components|N||N||||||N|0|Y||||||0.0|3.63|0.0|0.0|0.0|3.67|3.73|3.57|0.0|0.0|3.67|0.0|3.68|0.0|0.0|0.0|3.69|3.73|0.0|3.73|2.8|4.41|0.0|0.0|3.57|3.95|2.8|4.41|0.0|0.0|3.69|3.77|7.89|2.07|34957|33538000 71640|SGML|SGML|826599102|CA8265991023|Sigma Lithium Corp|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN5-6|TXN13-1|TXN6-6|TXN5-6|109500000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||BRA||||55|5510|551020|55102000|Basic Materials|Basic Resources|Industrial Metals and Mining|General Mining|N||N||||||Y|0|Y||||||29.65|29.77|0.0|29.81|29.75|29.69|29.82|29.81|0.0|29.75|29.79|29.42|29.88|29.5|29.5|29.8|29.53|29.84|29.61|29.88|29.5|30.05|23.43|36.13|29.55|30.06|29.69|29.96|29.77|29.88|29.77|29.88|43.18|21.2|632767|197408571 3632|SGMO|SGMO|800677106|US8006771062|Sangamo Therapeutics Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-1|TXN5-5|TXN13-7|TXN6-5|TXN5-6|177350000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||0.4817|0.483|0.0|0.0|0.486|0.482|0.4899|0.482|0.0|0.0|0.4832|0.4825|0.4848|0.483|0.48|0.482|0.48|0.4899|0.482|0.4848|0.4686|0.4989|0.3802|0.5931|0.4761|0.497|0.4591|0.5047|0.0|0.0|0.4858|0.49|3.7575|0.2911|1226731|466863462 76017|SGMT|SGMT|786700104|US7867001049|Sagimet Biosciences Inc|COM SR A USD.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN5-5|TXN13-1|TXN6-5|TXN6-2|21380000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||4.03|4.07|0.0|0.0|4.03|4.04|4.04|4.03|0.0|0.0|0.0|0.0|4.06|0.0|0.0|4.03|0.0|4.04|0.0|4.06|3.86|4.25|3.15|4.92|3.88|4.21|3.93|4.2|3.92|4.19|4.04|4.06|18.33|2.13|73332|14912947 76613|SGN|SGN|82670R107|US82670R1077|Signing Day Sports, Inc.|Common Stock|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-3|TXN1-3|TXN1-5|TXN3-6|TXN2-6|8940000|||Adhoc|||||2023-11-14||||||| | | | | | | | | |||N|0|N|N|306A|USA|US|||10|1010|101010|10101020|Technology|Technology|Software and Computer Services|Consumer Digital Services |N||N||||||N|0|Y|D|Y|2|||1.18|1.16|0.0|0.0|1.16|1.165|1.1699|1.18|0.0|0.0|1.18|0.0|1.17|1.188|0.0|0.0|1.17|1.17|0.0|1.17|1.16|1.38|1.18|1.2|1.15|1.24|1.11|1.24|0.0|0.0|1.18|1.2|5.09|1.1|82762|10629531 31442|SGOL|SGOL|00326A104|US00326A1043|abrdn Gold ETF Trust|abrdn Physical Gold Shares ETF|Trust|ETV|N|N|P|Y|Y|Y|Y|Y||||||||Aberdeen Standard Investments|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-1|TXN3-8|TXN1-2|TXN3-3|TXN3-5|142200000|||NotApplicable|||||2009-09-08||SGOL.NV|SGOL.SO| | |SGOL.IV| | | | | | | | | |1x|Aberdeen Standard Physical Gold Shares ETF (SGOL) is designed to offer investors a simple, cost-efficient and secure way to access the precious metals market. SGOL is intended to provide investors with a return equivalent to movements in the gold spot price less fees. The Trust is a common law trust, formed on September 1, 2009 under New York law pursuant to the Trust Agreement. The Trust holds gold and from time to time issues Baskets in exchange for deposits of gold and to distribute gold in connection with redemptions of Baskets. The investment objective of the Trust is for the Shares to reflect the performance of the price of gold bullion, less the Trusts expenses. The Sponsor believes that, for many investors, the Shares will represent a costeffective investment in gold. The material terms of the Trust Agreement are discussed in greaterdetail under the section Description of the Trust Agreement. The Shares represent units of fractional undivided beneficial interest in and ownership of the Trust and are expected to be traded under the ticker symbol SGOL on the NYSE Arca.|N|0|N|N|416A|USA|US|COMMODITIES_AND_FUTURES|INDEX|||||||||N||N||||||Y|0|Y||Y|1|||19.38|19.385|0.0|0.0|19.39|19.385|19.385|19.4|0.0|0.0|19.4|19.39|19.385|0.0|19.375|19.39|19.44|19.39|19.39|19.39|19.38|19.39|19.37|19.39|19.38|19.39|19.37|19.39|19.34|19.4|19.38|19.39|19.85|16.92|3723220|540501403 66552|SGOV|SGOV|46436E718|US46436E7186|iShares Trust|iShares 0-3 Month Treasury Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-4|TXN2-4|TXN2-7|TXN1-5|TXN2-4|172050000|||Monthly|||||2020-05-28||SGOV.NV|SGOV.SO|SGOV.EU|SGOV.TC|SGOV.IV| | | | | | | | | |1x|The iShares 0-3 Month Treasury Bond ETF seeks to track the investment results of an index composed of U.S. Treasury bonds with remaining maturities less than or equal to three months.|N|0|N|N|412C|USA|US|FIXED_INCOME|INDEX|||||||||N||N||||||N|0|Y||Y|1|||100.32|100.32|0.0|100.33|100.33|100.325|100.3249|100.325|0.0|0.0|100.325|100.325|100.32|100.329|100.32|100.325|100.325|100.33|100.33|100.33|100.32|100.33|100.32|100.33|100.32|100.33|100.32|100.33|100.32|100.33|100.32|100.33|100.74|99.96|3521621|607808229 3634|SGRP|SGRP|784933103|US7849331035|SPAR Group Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-8|TXN6-8|TXN13-2|TXN5-7|TXN5-2|23240000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4030|403010|40301020|Consumer Discretionary|Media|Media|Media Agencies|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.9795|0.91|0.0|0.0|0.0|0.0|0.9111|0.0|0.0|0.0|0.0|0.9121|0.0|0.9121|0.7122|1.11|0.0|0.0|0.8854|0.9747|0.7122|1.11|0.0|0.0|0.9111|0.914|1.4|0.8496|5760|2792599 51462|SGRY|SGRY|86881A100|US86881A1007|Surgery Partners Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN5-3|TXN10-8|TXN6-5|TXN5-5|126490000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201010|20101010|Health Care |Health Care |Health Care Providers|Health Care Facilities|N||N||||||Y|0|Y||||||35.5|35.49|0.0|35.09|35.51|35.52|35.51|35.52|0.0|0.0|35.52|35.49|35.51|35.51|35.49|35.5|35.52|35.51|35.54|35.51|35.46|35.57|27.42|43.47|35.44|35.57|35.43|35.6|35.47|35.61|35.47|35.51|45.79|22.05|779857|169214898 9155|SGU|SGU|85512C105|US85512C1053|Star Group, L.P.|Common Units Representing Limited Partner Interest|Limited partnership|A|N|N|N|Y|Y|Y|Y|Y|8|J|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN3-6|TXN8-8|TXN4-8|TXN1-7|35600000|||Quarterly|||||1998-05-29||||||| | | | | | | | | |||N|0|N|N|304C|USA|US|||65|6510|651020|65102020|Utilities|Utilities|Gas, Water and Multi-utilities |Gas Distribution|N||N||||||N|0|Y||Y|2|||13.19|13.38|0.0|0.0|13.2|13.47|13.48|13.29|0.0|0.0|12.38|13.1|13.5|12.89|13.19|13.45|11.72|13.5|0.0|13.45|13.25|13.49|0.0|0.0|12.95|13.72|10.34|16.11|0.0|0.0|13.25|13.49|15.22|8.5|29651|10900917 16712|SH|SH|74347B425|US74347B4251|ProShares Trust|ProShares Short S&P 500|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ProShares Advisors |Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-7|TXN4-5|TXN2-7|TXN2-3|TXN4-8|113080826|||Quarterly|||||2008-11-12||SH.NV|SH.SO|SH.EU|SH.TC|SH.IV| | | | | | | | | |-1x|ProShares Short S&P500 seeks daily investment results, before fees and expenses, that correspond to the inverse (opposite) of the daily performance of the S&P500 Index. This ETF seeks a return of -100% of the return of an index (target) for a single day. Due to the compounding of daily returns, returns over periods other than one day will likely differ in amount and possibly direction from the target return for the same period. Investors should monitor their ProShares holdings consistent with their strategies, as frequently as daily. For more on correlation, leverage and other risks, please read the prospectus. The S&P 500 Index is a widely used measure of large U.S. stock market performance. It includes a representative sample of leading companies in leading industries. Companies are selected for inclusion in the Index by Standard & Poors based on adequate liquidity, appropriate market capitalization, financial viability and public float. It is not possible to invest directly in an index.|N|0|N|N|416A|USA|US|EQUITY|INVERSE|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||13.73|13.725|0.0|0.0|13.73|13.73|13.725|13.73|0.0|0.0|13.725|13.73|13.73|13.73|13.74|13.73|13.725|13.72|13.73|13.72|13.72|13.73|13.72|13.73|13.72|13.73|13.72|13.74|13.47|14.09|13.72|13.73|16.32|13.47|17802003|5707984208 57527|SHAG|SHAG|97717Y808|US97717Y8084|WisdomTree Yield Enhanced US Short Term Aggregate Bond Fund|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN1-4|TXN1-5|TXN4-3|TXN2-6|2100000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|46.83|0.0|0.0|0.0|0.0|46.8152|0.0|0.0|0.0|46.94|0.0|0.0|46.83|0.0|0.0|0.0|46.83|0.0|46.83|0.0|0.0|0.0|0.0|46.82|46.85|0.0|0.0|0.0|0.0|46.82|46.87|47.83|45.9862|7196|3209375 49254|SHAK|SHAK|819047101|US8190471016|Shake Shack Inc.|Class A common stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|P|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-5|TXN2-5|TXN9-6|TXN2-2|TXN3-3|39470000|||NotApplicable|||||2015-01-30||||||| | | | | | | | | |||N|0|N|Y|128B|USA|US|||40|4050|405010|40501040|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Restaurants and Bars|N||N||||||Y|0|Y||Y|2|||62.06|61.99|0.0|61.73|61.98|62.01|62.03|62.05|0.0|0.0|62.01|62.03|62.07|62.03|62.03|62.06|62.08|62.06|62.04|62.06|62.04|62.06|48.81|75.95|61.91|62.12|61.96|62.13|62.04|62.14|62.04|62.06|80.58|40.83|539686|189959783 73410|SHAP|SHAP|G83745102|KYG837451023|Spree Acquisition Corp. 1 Limited|Class A Ordinary Shares|Special purpose acquisition company|A|N|N|N|Y|Y|Y|Y|Y|6|O|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN3-7|TXN1-5|TXN1-6|TXN4-7|20950000|||NotApplicable|||||2022-02-07||||||| | | | | | | | | |||N|0|N|N|180B|USA|KY|||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|4|Y||Y|2|||0.0|10.87|0.0|0.0|10.87|10.92|10.92|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.7|0.0|10.92|0.0|10.7|10.7|10.92|0.0|0.0|10.67|11.14|0.0|0.0|0.0|0.0|10.87|10.92|11.45|10.18|884|14032103 73411|SHAP WS|SHAP.WS|G83745128|KYG837451288|Spree Acquisition Corp. 1 Limited|Redeemable warrants, each warrant exercisable for one Class A ordinary share at an exercise price of $11.50|Special purpose acquisition company|C|N|N|N|Y|Y|Y|Y|Y|6|O|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN4-8|TXN4-4|TXN7-8|TXN1-3|TXN4-2|0|||NotApplicable|||||2022-02-07||||||| | | | | | | | | |||N|0|N|N|180B|USA|KY|||||||||||N||N||||||N|4|Y||N||||0.0|0.0|0.0|0.0|0.0|0.0261|0.0|0.0265|0.0|0.0|0.0278|0.0|0.0261|0.0|0.0|0.0299|0.0|0.0299|0.0|0.0299|0.008|0.029|0.0|0.0|0.01|0.034|0.0|0.0|0.0|0.0|0.01|0.04|0.0999|0.0001|2500|1772796 72943|SHAP U|SHAP.U|G83745110|KYG837451106|Spree Acquisition Corp. 1 Limited|Units, each consisting of one Class A ordinary share, and one-half of one redeemable warrant|Special purpose acquisition company|R|N|N|N|Y|Y|Y|Y|Y|6|O|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN1-7|TXN5-8|TXN1-1|TXN2-1|0|||NotApplicable|||||2021-12-16||||||| | | | | | | | | |||N|0|N|N|180B|USA|KY|||||||||||N||N||||||N|4|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|10.79|10.88|0.0|0.0|10.44|0.0|0.0|0.0|0.0|10.95|0.0|10.95|0.0|10.95|10.85|11.47|0.0|0.0|10.81|11.47|0.0|0.0|0.0|0.0|10.86|11.47|11.28|10.17|600|81256 3636|SHBI|SHBI|825107105|US8251071051|Shore Bancshares Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN6-8|TXN12-2|TXN6-4|TXN5-8|33150000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||||||0.0|0.0|0.0|0.0|12.88|12.88|12.94|12.91|0.0|0.0|0.0|0.0|12.93|0.0|0.0|0.0|0.0|12.92|0.0|12.93|12.78|13.06|10.02|15.86|12.8|13.05|10.02|15.86|0.0|0.0|12.89|12.93|20.09|9.66|33042|20211751 68222|SHC|SHC|83601L102|US83601L1026|Sotera Health Co|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN5-4|TXN14-2|TXN5-2|TXN5-3|282620000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||USA||||20|2010|201020|20102015|Health Care |Health Care |Medical Equipment and Services|Medical Supplies|N||N||||||Y|0|Y||||||14.14|14.14|0.0|14.13|14.12|14.13|14.12|14.13|0.0|0.0|14.14|14.13|14.14|14.14|14.14|14.13|14.09|14.14|14.1|14.14|14.1|14.15|13.1|14.86|14.11|14.16|14.1|14.16|14.12|14.16|14.12|14.14|19.4|7.66|538668|298411084 71144|SHCO|SHCO|586001109|US5860011098|Soho House & Co Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-7|TXN3-3|TXN6-7|TXN3-6|TXN3-4|55070000|||NotApplicable|||||2021-07-15||||||| | | | | | | | | |||N|0|N|Y|144C|USA|US|||40|4020|402010|40201070|Consumer Discretionary|Consumer Products and Services|Consumer Services |Consumer Services: Misc.|N||N||||||Y|0|Y||Y|2|||6.64|6.59|0.0|6.68|6.59|6.59|6.6|6.595|0.0|0.0|6.58|6.74|6.6|6.6|6.77|6.6|6.62|6.59|6.59|6.6|6.58|6.6|5.09|8.17|6.53|6.66|6.55|6.63|6.56|6.6|6.58|6.6|8.4847|4.87|123528|35199761 68202|SHCR|SHCR|81948W104|US81948W1045|Sharecare Inc|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-6|TXN5-2|TXN13-2|TXN6-8|TXN6-3|352420000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201010|20101025|Health Care |Health Care |Health Care Providers|Health Care Services|N||N||||||Y|0|Y||||||0.9299|0.9299|0.0|0.9447|0.9346|0.9299|0.93|0.9276|0.0|0.0|0.93|0.93|0.93|0.9347|0.9252|0.93|0.9205|0.9276|0.9354|0.93|0.9099|0.9544|0.7441|1.12|0.9087|0.9486|0.9076|0.9523|0.9085|0.9514|0.9275|0.9299|2.71|0.7695|662067|332960946 68203|SHCRW|SHCRW|81948W112|US81948W1128|Sharecare Inc|WT EXP 070126||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-5|TXN5-3|TXN13-7|TXN5-5|TXN6-4|352010000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y|C|||||0.0|0.0|0.0|0.0|0.0|0.0|0.024686|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.024686|0.0|0.024686|0.0|0.0|0.0|0.0|0.0211|0.0|0.0|0.0|0.0|0.0|0.0211|0.03|0.36|0.01|134|6887322 74772|SHDG|SHDG|00777X603|US00777X6031|Soundwatch Hedged Equity ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-7|TXN1-2|TXN2-8|TXN4-2|TXN1-3|4750000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|24.3704|0.0|0.0|0.0|0.0|24.33|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|24.3704|0.0|24.3704|0.0|0.0|24.31|24.38|24.33|24.45|0.0|0.0|0.0|0.0|24.33|24.4|24.65|20.7425|4|1096455 52642|SHE|SHE|78468R747|US78468R7474|SPDR Series Trust|SPDR MSCI USA Gender Diversity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-7|TXN1-4|TXN5-6|TXN1-3|TXN3-4|2325000|||Quarterly|||||2016-03-08||SHE.NV|SHE.SO|SHE.EU|SHE.TC|SHE.IV| | | | | | | | | |1x|The SSGA Gender Diversity Index is designed to track the performance of U.S. large-capitalization companies that are leaders within their respective industry sectors in advancing women through gender diversity on their boards of directors and in senior leadership. The general aim of the periodical review of the index is to ensure that the selection of the constituents continues to reflect the underlying index objective. The index is reviewed annually to ensure that the index components continue to meet the continued inclusion requirements. The index universe will be compiled of the common stocks (of all share classes) of the largest 1000 U.S. companies by market capitalization that are listed on the NYSE, NASDAQ, NYSE MKT, or another major U.S. exchange and have an average monthly trading volume over six months of at least 250,000 shares, as of the rebalance determination date.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||91.06|90.96|0.0|0.0|91.33|91.68|91.1046|91.31|0.0|0.0|91.42|0.0|91.27|91.09|0.0|86.95|0.0|91.24|91.33|91.24|91.18|91.26|91.19|91.35|91.24|91.29|91.19|91.35|91.19|91.36|91.24|91.29|91.89|77.0699|7462|1311123 73347|SHEL|SHEL|780259305|US7802593050|Shell plc|American Depositary Shares (each representing two (2) Ordinary Shares)|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-2|TXN3-8|TXN1-8|TXN3-1|TXN4-4|6565620000|||Quarterly|||||2022-01-31||||||| | | | | | | | | |||N|0|N|Y|134D|GBR|GB|||60|6010|601010|60101000|Energy|Energy|Oil, Gas and Coal|Integrated Oil and Gas|N||N||||||Y|0|Y||Y|2|||64.89|64.88|0.0|64.93|64.88|64.885|64.885|64.885|0.0|0.0|64.885|64.89|64.885|64.89|64.895|64.89|64.885|64.89|64.88|64.89|64.88|64.89|50.26|79.44|64.87|64.89|64.84|64.93|64.86|64.9|64.88|64.89|68.74|52.47|6188176|1139783691 3638|SHEN|SHEN|82312B106|US82312B1061|Shenandoah Telecommunications Co|COM USD10||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN6-4|TXN13-3|TXN5-1|TXN5-8|50260000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||15|1510|151020|15102015|Telecommunications|Telecommunications|Telecommunications Service Providers |Telecommunications Services|N||N||||||Y|0|Y||||||22.48|22.42|0.0|22.42|22.62|22.62|22.63|22.63|0.0|0.0|22.63|22.61|22.64|22.59|0.0|22.6|22.46|22.63|0.0|22.64|22.41|22.84|17.45|27.59|22.4|22.82|22.56|22.67|22.56|22.68|22.61|22.64|25.51|15.62|128209|27311271 71460|SHFS|SHFS|824430102|US8244301029|SHF Holdings Inc|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-4|TXN6-2|TXN11-2|TXN5-3|TXN6-5|46590000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302010|30201020|Financials|Financial Services |Finance and Credit Services|Consumer Lending|N||N||||||N|0|Y||||||0.84|0.8399|0.0|0.0|0.84|0.8375|0.8301|0.8399|0.0|0.0|0.83625|0.0|0.8301|0.0|0.0|0.0|0.0|0.8301|0.83625|0.8301|0.8022|0.8585|0.6604|1.01|0.8048|0.8565|0.8012|0.8676|0.7985|0.8665|0.8301|0.84|4.15|0.33|211061|79408083 71461|SHFSW|SHFSW|824430110|US8244301102|SHF Holdings Inc|WT EXP 110127||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-1|TXN6-2|TXN11-2|TXN6-4|TXN6-7|46590000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.062|0.062|0.0|0.0|0.0|0.062|0.07|0.0|0.0|0.0|0.062|0.045|0.0735|0.0|0.0|0.0|0.0|0.0735|0.0|0.0735|0.0|0.0|0.0|0.0|0.0131|0.0875|0.0|0.0|0.0|0.0|0.0516|0.0725|0.096|0.012|353186|8285597 9159|SHG|SHG|824596100|US8245961003|Shinhan Financial Group Co., Ltd.|American Depositary Shares (Each representing one shares of Common Stock, par value Won 5,000 per share)|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-6|TXN2-6|TXN7-6|TXN4-8|TXN3-8|515500000|||Quarterly|||||2003-09-16||||||| | | | | | | | | |||N|0|N|Y|402A|KOR|KR|||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||Y|2|||27.89|27.96|0.0|28.4|27.95|27.96|27.94|27.955|0.0|0.0|27.94|28.45|27.95|27.99|28.46|27.95|28.345|27.94|28.24|27.95|27.94|27.95|21.57|34.3|27.91|28.02|27.82|28.07|27.82|28.07|27.94|27.95|36.64|24.99|93967|30057805 76532|SHIM|SHIM|82455M109|US82455M1099|Shimmick Corp|COM USD0.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN6-8|TXN13-2|TXN5-7|TXN5-3|25490000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5010|501010|50101015|Industrials|Construction and Materials|Construction and Materials |Engineering and Contracting Services|N||N||||||N|0|Y||||||6.19|0.0|0.0|0.0|0.0|6.07|6.19|0.0|0.0|0.0|0.0|0.0|6.12|0.0|0.0|0.0|0.0|6.19|0.0|6.19|0.0|0.0|0.0|0.0|5.65|6.61|0.0|0.0|0.0|0.0|6.05|6.2|7.05|5.81|4872|1696310 26045|SHIP|SHIP|Y73760400|MHY737604006|Seanergy Maritime Holdings Corp|COM USD.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN6-8|TXN12-6|TXN5-7|TXN6-4|19650000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||GRC||||50|5020|502060|50206030|Industrials|Industrial Goods and Services|Industrial Transportation|Marine Transportation|N||N||||||N|0|Y||||||6.91|6.92|0.0|6.89|6.9|6.91|6.915|6.89|0.0|0.0|6.91|6.94|6.92|6.96|6.92|6.92|7.0|6.915|7.16|6.92|6.81|6.98|5.33|8.53|6.83|6.97|6.88|6.95|6.88|6.95|6.9|6.93|7.5399|0.4802|263515|96012259 76280|SHLD|SHLD|37960A529|US37960A5294|Global X Funds|Global X Defense Tech ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Global X|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-8|TXN1-2|TXN9-8|TXN4-4|TXN4-7|170000|||BiAnnually|||||2023-09-13||SHLD.NV|SHLD.SO|SHLD.EU|SHLD.TC|SHLD.IV| | | | | | | | | |1x|The Global X Defense Tech ETF (Fund) seeks to provide investment results that correspond generally to the price and yield performance, before fees and expenses, of the Global X Defense Tech Index (Underlying Index).|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|27.0|27.5|0.0|0.0|0.0|0.0|0.0|27.4|0.0|0.0|0.0|0.0|27.4773|0.0|27.4773|0.0|0.0|0.0|0.0|27.44|27.54|0.0|0.0|0.0|0.0|27.44|27.54|27.54|23.7|2305|194217 68917|SHLS|SHLS|82489W107|US82489W1071|Shoals Technologies Group Inc|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN5-6|TXN14-3|TXN6-1|TXN6-7|169940000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||60|6010|601020|60102020|Energy|Energy|Alternative Energy|Renewable Energy Equipment |N||N||||||Y|0|Y||||||14.46|14.465|0.0|14.47|14.48|14.465|14.48|14.48|0.0|0.0|14.465|14.48|14.46|14.465|14.47|14.465|14.485|14.48|14.47|14.46|14.47|14.49|11.26|17.61|14.43|14.5|14.43|14.5|14.47|14.5|14.47|14.48|30.0997|12.11|3563547|690318296 75563|SHLT|SHLT|78423T200|US78423T2006|SHL Telemedicine Ltd|ADR||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN5-7|TXN10-4|TXN6-4|TXN5-4|16390000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||ISR||||20|2010|201010|20101025|Health Care |Health Care |Health Care Providers|Health Care Services|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|9.2|0.0|0.0|0.0|0.0|8.91|0.0|8.91|0.0|9.31|0.0|0.0|8.16|9.31|0.0|0.0|0.0|0.0|8.7|9.31|51.81|7.04|844|721428 25859|SHM|SHM|78468R739|US78468R7391|SPDR Series Trust|SPDR Nuveen Bloomberg Short Term Municipal Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-5|TXN4-7|TXN7-8|TXN4-8|TXN1-6|81851082|||Monthly|||||2008-11-07||SHM.NV|SHM.SO|SHM.EU|SHM.TC|SHM.IV| | | | | | | | | |1x|The SPDR Barclays Capital Short Term Municipal Bond ETF seeks to provide investment results that, before fees and expenses, correspond generally to the price and yield performance of the Barclays Capital Managed Money Municipal Short Term Index (ticker: LMM1TR). The Barclays Capital Managed Money Municipal Short Term Index is a rules-based, market-value weighted index comprised of publicly traded municipal bonds that cover the U.S. dollar denominated short term tax exempt bond market, including state and local general obligation bonds, revenue bonds, insured bonds, and pre-refunded bonds. All bonds in the Short Term Municipal Bond Index must be rated Aa3/AA- or higher by at least two of the following statistical ratings agencies: Moodys Investor Service, Inc., Standard & Poors and Fitch Inc. If only two of the three agencies rate the security, the lower rating is used to determine index eligibility. If only one of the agencies rates the security, the rating must be at least Aa3/AA-. Each index security must have an outstanding par value of at least $7 million and be issued as part of a transaction of at least $75 million. The bonds must be fixed rate and have a nominal maturity of one to five years. No issuer may constitute more than 10% of the Short Term Municipal Bond Index. Bonds subject to AMT, hospital bonds, housing bonds, tobacco bonds, and airline bonds, along with remarketed issues, taxable municipal bonds, floaters, and derivatives are all excluded from the Short Term Municipal Bond Index.|N|0|N|N|416A|USA|US|FIXED_INCOME|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||47.44|47.44|0.0|0.0|47.44|47.44|47.435|47.445|0.0|0.0|47.445|47.44|47.41|47.45|47.44|47.44|47.43|47.46|47.43|47.46|47.36|47.49|44.4|50.46|47.39|47.44|45.05|49.78|46.49|48.4|47.39|47.44|47.76|46.06|887002|130956946 75293|SHNY|SHNY|063679526|US0636795264|Bank of Montreal|MicroSectors Gold 3X Leveraged ETNs due January 29, 2043|Operating company|ETS|N|N|P|Y|Y|Y|Y|Y||||||||Bank of Montreal|IMC Chicago, LLC, DBA IMC Financial Markets|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-1|TXN4-2|TXN9-4|TXN4-1|TXN3-1|160000|||NotApplicable|||||2023-02-22|2043-01-29|SHNY.NV|SHNY.SO|SHNY.EU|SHNY.TC|SHNY.IV| | | | | | | | | |3x|SPDR Gold Shares is an investment fund incorporated in the USA. The investment objective of the Trust is for the Shares to reflect the performance of the price of gold bullion, less the Trusts expenses.|N|0|N|N|416A||CA|COMMODITIES_AND_FUTURES|LEVERAGED|||||||||N||N||||||N|0|Y||Y|2|||0.0|25.72|0.0|0.0|0.0|26.89|26.6502|0.0|0.0|0.0|0.0|0.0|27.52|0.0|0.0|0.0|0.0|26.76|0.0|26.76|26.7|27.0|26.71|26.98|26.75|26.76|26.7|26.99|26.7|26.99|26.75|26.76|32.96|20.25|9782|550969 9161|SHO|SHO|867892101|US8678921011|Sunstone Hotel Investors, Inc.|Common Stock|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-5|TXN3-5|TXN9-5|TXN1-6|TXN4-6|205440000|||Quarterly|||||2004-10-21||||||| | | | | | | | | |||N|0|N|Y|414A|USA|US|||35|3510|351020|35102015|Real Estate|Real Estate |Real Estate Investment Trusts|Hotel and Lodging REITs|N||N||||||Y|0|Y||Y|2|||10.18|10.18|0.0|10.08|10.17|10.17|10.179|10.175|0.0|0.0|10.18|10.18|10.175|10.17|10.16|10.16|10.17|10.17|10.18|10.16|10.17|10.18|7.72|12.39|10.16|10.18|10.14|10.2|10.16|10.2|10.17|10.18|11.375|8.6038|1297128|519610524 70730|SHO PRH|SHOpH|867892804|US8678928040|Sunstone Hotel Investors, Inc.|6.125% Series H Cumulative Redeemable Preferred Stock|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN3-7|TXN3-8|TXN2-7|TXN1-1|4600000|||Quarterly|||||2021-05-26||||||| | | | | | | | | |||N|0|N|N|414A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|21.4|21.81|21.32|0.0|0.0|0.0|0.0|21.81|0.0|0.0|21.81|0.0|21.81|0.0|21.81|21.39|21.85|0.0|0.0|21.06|22.3|0.0|0.0|0.0|0.0|21.39|21.85|23.3434|18.94|2675|2345464 71197|SHO PRI|SHOpI|867892887|US8678928875|Sunstone Hotel Investors, Inc.|5.70% Series I Cumulative Redeemable Preferred Stock|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN2-2|TXN2-8|TXN3-8|TXN2-3|4000000|||Quarterly|||||2021-07-20||||||| | | | | | | | | |||N|0|N|N|414A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|20.5|0.0|0.0|0.0|20.51|20.82|20.12|0.0|0.0|0.0|0.0|20.67|0.0|0.0|20.51|20.43|20.51|0.0|20.51|20.5|20.83|20.5|20.79|20.09|21.22|0.0|0.0|0.0|0.0|20.5|20.83|21.7106|17.51|3454|2201167 74724|SHOC|SHOC|02072L672|US02072L6728|EA Series Trust|Strive U.S. Semiconductor ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Alpha Architect|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-4|TXN1-5|TXN5-7|TXN4-5|TXN4-4|1110000|||Quarterly|||||2022-10-06||SHOC.NV|SHOC.SO|SHOC.EU|SHOC.TC|SHOC.IV| | | | | | | | | |1x|The Fund seeks to track the investment results of the Solactive United States Semiconductors 30 Capped Index (the Index), which measures the performance of the largest thirty (30) U.S. companies in the U.S. semiconductor sector as defined by Solactive AG (the Index Provider or Solactive). The Index includes large, mid, and small capitalization companies.|N|0|N|N|408A|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|34.83|0.0|0.0|0.0|34.83|34.7467|0.0|0.0|0.0|35.52|34.51|34.74|0.0|0.0|35.14|0.0|34.83|0.0|34.83|0.0|0.0|0.0|0.0|34.82|34.85|31.47|38.15|0.0|0.0|34.82|34.85|36.8|23.815|12517|1893583 3646|SHOO|SHOO|556269108|US5562691080|Steven Madden Ltd|COM USD.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN5-8|TXN13-5|TXN5-4|TXN5-2|74610000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4020|402040|40204025|Consumer Discretionary|Consumer Products and Services|Personal Goods|Footwear|N||N||||||Y|0|Y||||||39.73|39.75|0.0|39.42|39.73|39.76|39.75|39.73|0.0|0.0|39.74|39.58|39.75|39.76|39.73|39.745|0.0|39.73|0.0|39.75|39.68|39.79|30.8|48.38|39.66|39.82|39.71|39.81|39.71|39.81|39.73|39.75|39.93|29.92|559334|180821633 49965|SHOP|SHOP|82509L107|CA82509L1076|Shopify Inc.|Class A subordinate voting shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|5|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-1|TXN3-3|TXN5-3|TXN3-8|TXN4-2|1205590000|||Adhoc|||||2015-05-21||||||| | | | | | | | | |||N|0|N|Y|180B|CAN|CA|||10|1010|101010|10101020|Technology|Technology|Software and Computer Services|Consumer Digital Services |N||N||||||Y|0|Y||Y|2|||72.51|72.53|0.0|72.52|72.52|72.53|72.5299|72.515|0.0|0.0|72.52|72.51|72.53|72.51|72.53|72.52|72.52|72.54|72.51|72.52|72.52|72.54|56.57|77.3|72.53|72.55|72.43|72.64|72.43|72.63|72.52|72.54|75.06|32.35|9569214|3442909365 67951|SHOT|SHOT|48208F105|US48208F1057|Safety Shot Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN6-5|TXN14-7|TXN5-1|TXN6-5|41420000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103020|Health Care |Health Care |Pharmaceuticals and Biotechnology|Cannabis Producers|N||N||||||N|0|Y||||||5.62|5.59|0.0|5.62|5.63|5.6|5.5993|5.6|0.0|0.0|5.59|5.58|5.6|5.58|5.63|5.58|5.655|5.5993|5.65|5.6|5.51|5.72|4.39|6.84|5.52|5.7|5.55|5.61|5.55|5.65|5.58|5.6|7.5|1.04|18606284|298820324 67952|SHOTW|SHOTW|48208F113|US48208F1131|Safety Shot Inc|WT EXP 061725||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN6-2|TXN13-5|TXN6-6|TXN5-5|37210000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||2.69|2.49|0.0|0.0|2.74|2.84|2.85|2.69|0.0|0.0|2.52|2.19|2.35|2.158|0.0|0.0|0.0|2.84|0.0|2.84|0.0|0.0|0.0|0.0|0.25|0.0|0.0|0.0|0.0|0.0|2.32|2.8|2.89|0.0512|59221|816088 74549|SHPH|SHPH|825693203|US8256932034|Shuttle Pharmaceuticals Holdings Inc|COM USD0.00001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-5|TXN5-7|TXN13-1|TXN6-1|TXN6-6|16000000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.48|0.4802|0.0|0.0|0.0|0.5|0.0|0.4852|0.0|0.0|0.0|0.0|0.4802|0.0|0.4802|0.384|0.5997|0.384|0.6206|0.4483|0.5172|0.384|0.5997|0.0|0.0|0.4802|0.5|3.42|0.42|36429|133293790 74143|SHPP|SHPP|69374H378|US69374H3782|Pacer Funds Trust|Pacer Industrials and Logistics ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Pacer Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN1-6|TXN1-5|TXN4-8|TXN4-7|40000|||Quarterly|||||2022-06-09||SHPP.NV|SHPP.SO|SHPP.EU|SHPP.TC|SHPP.IV| | | | | | | | | |1x|The Pacer Global Supply Chain Infrastructure Index (the Index) is a rules-based index that tracks the performance of publicly traded companies involved in the transportation, logistics, hardware, software, and the ancillary services involved in the support and functioning of global distribution supply chains. The Index identifies companies for inclusion based on their revenue exposure and by using various keyword searches in company filings, investor presentations, websites, and business descriptions.|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|25.07|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|25.9832|0.0|25.9832|0.0|0.0|0.0|0.0|25.94|26.01|0.0|0.0|0.0|0.0|25.94|26.01|27.6637|22.8991|51|31892 65033|SHPW|SHPW|81947T201|US81947T2015|Shapeways Holdings Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN5-2|TXN12-1|TXN6-2|TXN5-1|6550000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502050|50205010|Industrials|Industrial Goods and Services|Industrial Support Services|Industrial Suppliers|N||N||||||N|0|Y||||||0.0|2.055|0.0|0.0|0.0|2.055|2.07|0.0|0.0|0.0|0.0|0.0|2.07|0.0|0.0|0.0|0.0|2.07|0.0|2.07|0.0|0.0|0.0|0.0|1.99|2.13|0.0|0.0|0.0|0.0|2.04|2.1|5.53|0.2666|3842|27119702 65035|SHPWW|SHPWW|81947T110|US81947T1108|Shapeways Holdings Inc|WT EXP||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-6|TXN6-7|TXN11-7|TXN6-8|TXN6-7|6550000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y|C|||||0.0|0.0|0.0|0.0|0.0|0.0027|0.002739|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.002739|0.0|0.002739|0.0|0.0|0.0|0.0|0.0025|0.05|0.0|0.0|0.0|0.0|0.0028|0.0064|0.0244|0.002|5000|2160102 76569|SHRT|SHRT|886364264|US8863642646|Tidal ETF Trust|Gotham Short Strategies ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Tidal ETF Services |Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-6|TXN2-8|TXN9-8|TXN4-4|TXN1-6|2242414|||Yearly|||||2023-11-06||SHRT.NV|SHRT.SO|SHRT.EU|SHRT.TC| | | | | | | | | | ||The Gotham Short Strategies Fund (the Fund) is a long/short U.S. equity fund with a net short exposure of 50%-60% (e.g., 100% Long - 150% Short)|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|8.24|0.0|8.2925|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|8.2499|8.24|8.2499|6.31|10.27|8.2|8.3|8.2|8.28|8.2|8.31|8.2|8.3|8.2|8.28|8.42|8.13|9665|206637 70857|SHUS|SHUS|87166N502|US87166N5023|Syntax ETF Trust|Syntax Stratified U.S. Total Market Hedged ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Syntax Advisors|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-2|TXN4-8|TXN3-8|TXN3-5|TXN4-7|875000|||Yearly|||||2021-06-16||SHUS.NV|SHUS.SO|SHUS.EU|SHUS.TC|SHUS.IV| | | | | | | | | |1x|The Syntax Stratified U.S. Total Market Hedged ETF seeks to obtain capital growth that meets or exceeds the performance of the S&P Composite 1500 Index over a full market cycle by investing in exchange-traded funds or underlying securities that provide Stratified Weight U.S. total equity market exposure to companies in the 1500 Index while seeking risk-managed growth via a defined risk hedging process.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||39.14|39.14|0.0|0.0|39.14|0.0|39.14|0.0|0.0|0.0|39.14|0.0|39.14|39.14|0.0|39.14|0.0|39.2425|39.14|39.2425|39.14|39.3|0.0|0.0|39.18|39.3|19.56|58.67|0.0|0.0|39.18|39.3|41.215|35.12|18220|219124 18787|SHV|SHV|464288679|US4642886794|iShares Short Treasury Bond ETF|SHORT TREAS BOND||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN5-2|TXN12-4|TXN5-4|TXN5-8|181870000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||110.145|110.145|0.0|0.0|110.145|110.145|110.15|110.145|0.0|0.0|110.145|110.145|110.15|110.145|110.14|110.145|110.145|110.14|110.145|110.15|110.14|110.15|110.14|110.27|110.14|110.15|110.14|110.16|110.14|110.27|110.14|110.15|110.6|109.73|3353782|742599525 9168|SHW|SHW|824348106|US8243481061|The Sherwin-Williams Company|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|N|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-4|TXN4-8|TXN2-7|TXN4-3|TXN4-4|255970000|||Quarterly|||||1964-02-11||||||| | | | | | | | | |||N|5|Y|Y|146E|USA|US|||50|5020|502030|50203010|Industrials|Industrial Goods and Services|General Industrials|Paints and Coatings|N||N||||||Y|0|Y||Y|1|||281.52|281.48|0.0|281.64|281.49|281.49|281.48|281.46|0.0|0.0|281.48|281.49|281.44|281.08|281.76|281.46|281.4|281.47|281.49|281.46|281.53|281.54|266.69|300.07|281.21|281.62|281.32|281.68|281.43|281.59|281.53|281.54|285.55|205.43|1608822|338609569 9169|SHY|SHY|464287457|US4642874576|iShares 1-3 Year Treasury Bond ETF|1-3 YR TRS BD||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN6-7|TXN11-8|TXN6-3|TXN5-5|318500000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||81.52|81.52|0.0|0.0|81.52|81.525|81.53|81.525|0.0|0.0|81.52|81.52|81.52|81.52|81.52|81.525|81.525|81.52|81.52|81.52|81.52|81.53|81.52|81.62|81.52|81.53|81.52|81.53|81.43|81.62|81.52|81.53|82.74|80.48|4431084|1244701406 43371|SHYD|SHYD|92189F387|US92189F3872|VanEck Short High Yield Muni ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-7|TXN4-5|TXN7-8|TXN4-2|TXN4-5|16350000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||21.85|21.89|0.0|0.0|0.0|21.8|21.8675|21.89|0.0|0.0|21.81|0.0|21.805|21.85|0.0|21.85|0.0|21.89|21.78|21.89|20.68|23.13|20.4|23.39|21.76|21.91|20.4|23.39|0.0|0.0|20.42|23.38|22.74|21.3|81108|49970543 3759|SHYF|SHYF|825698103|US8256981031|The Shyft Group Inc|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN6-7|TXN13-4|TXN5-3|TXN6-4|34290000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502060|50206015|Industrials|Industrial Goods and Services|Industrial Transportation|Commercial Vehicles and Parts|N||N||||||Y|0|Y||||||11.54|11.59|0.0|0.0|11.56|11.59|11.57|11.58|0.0|0.0|11.59|11.55|11.58|11.56|0.0|11.59|11.46|11.57|11.56|11.58|11.49|11.7|8.87|14.0|11.49|11.68|11.55|11.6|11.55|11.6|11.57|11.58|34.1|10.39|258352|78348424 42901|SHYG|SHYG|46434V407|US46434V4077|iShares Trust|iShares 0-5 Year High Yield Corporate Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-3|TXN4-1|TXN8-7|TXN1-4|TXN3-7|115900000|||Monthly|||||2013-10-17||SHYG.NV|SHYG.SO|SHYG.EU|SHYG.TC|SHYG.IV| | | | | | | | | |1x|The iShares 0-5 Year High Yield Corporate Bond ETF (SHYG) seeks to track the investment results of an index composed of U.S. dollar-denominated, high yield corporate bonds with remaining maturities of less than five years.|N|0|N|N|412C|USA|US|FIXED_INCOME|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||41.71|41.71|0.0|0.0|41.71|41.705|41.7|41.71|0.0|0.0|41.69|41.71|41.7|41.71|41.64|41.7|41.7|41.71|41.7|41.71|41.69|41.71|41.59|41.92|41.69|41.71|41.58|41.92|41.59|41.92|41.69|41.71|42.3|40.15|1358884|446853612 60380|SHYL|SHYL|233051283|US2330512839|DBX ETF Trust|Xtrackers Short Duration High Yield Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||DBX Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-5|TXN2-2|TXN5-8|TXN2-6|TXN4-6|2100001|||Monthly|||||2018-01-10||SHYL.NV|SHYL.SO|SHYL.EU|SHYL.TC|SHYL.IV| | | | | | | | | |1x|Short Duration (maturities of less than 5 years) High Yield fixed income|N|0|N|N|416A|USA|US|FIXED_INCOME|INDEX|||||||||N||N||||||N|0|Y||Y|2|||43.61|43.62|0.0|0.0|0.0|43.36619|43.69|43.62|0.0|0.0|0.0|0.0|0.0|43.63|0.0|0.0|0.0|43.665|43.63|43.665|0.0|0.0|0.0|0.0|43.63|43.7|0.0|0.0|0.0|0.0|43.63|43.7|44.25|42.0|17522|2696849 61992|SIBN|SIBN|825704109|US8257041090|SI-BONE Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN5-8|TXN10-2|TXN6-8|TXN6-8|40500000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||Y|0|Y||||||18.74|18.77|0.0|18.74|18.74|18.805|18.76|18.74|0.0|0.0|18.8|18.81|18.77|18.77|18.78|18.77|19.09|18.75|18.84|18.77|18.6|19.01|14.47|23.21|18.64|18.97|18.69|18.83|18.68|18.79|18.75|18.77|29.51|11.2348|371391|82112561 9172|SID|SID|20440W105|US20440W1053|Companhia Siderurgica Nacional|American Depositary Shares (Each representing One Common Shares)|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-7|TXN4-1|TXN5-3|TXN2-7|TXN4-7|1326090000|||Yearly|||||1997-11-14||||||| | | | | | | | | |||N|0|N|Y|130D|BRA|BR|||55|5510|551020|55102010|Basic Materials|Basic Resources|Industrial Metals and Mining|Iron and Steel|N||N||||||Y|0|Y||Y|2|||3.42|3.41|0.0|0.0|3.415|3.415|3.42|3.415|0.0|0.0|3.415|3.41|3.415|3.415|3.42|3.42|3.415|3.415|3.41|3.42|3.41|3.42|2.64|4.18|3.41|3.43|3.39|3.44|3.38|3.45|3.41|3.42|3.7|2.11|1925518|660904361 72901|SIDU|SIDU|826165102|US8261651025|Sidus Space Inc|COM CL A USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-7|TXN6-3|TXN14-6|TXN6-4|TXN5-4|77870000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502010|50201010|Industrials|Industrial Goods and Services|Aerospace and Defense|Aerospace|N||N||||||N|0|Y||||||0.0591|0.0591|0.0|0.0598|0.059|0.0591|0.059|0.0588|0.0|0.0|0.059|0.0589|0.0595|0.0591|0.0621|0.0589|0.06|0.0591|0.0621|0.0595|0.0509|0.0675|0.048|0.0702|0.0588|0.0632|0.0509|0.0675|0.0|0.0|0.059|0.0591|1.74|0.0521|5238272|903331971 3651|SIEB|SIEB|826176109|US8261761097|Siebert Financial Corp.|COM USD1||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN6-7|TXN13-6|TXN5-1|TXN6-8|39580000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302020|30202015|Financials|Financial Services |Investment Banking and Brokerage Services |Investment Services|N||N||||||Y|0|Y||||||0.0|0.0|0.0|0.0|0.0|1.81|1.83|0.0|0.0|0.0|0.0|0.0|1.79|0.0|0.0|0.0|0.0|1.83|0.0|1.83|1.67|1.92|0.0|0.0|1.72|1.87|1.44|2.28|0.0|0.0|1.76|1.83|3.05|1.2|7035|18930110 48367|SIEN|SIEN|82621J204|US82621J2042|Sientra Inc|COM USD0.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-3|TXN5-1|TXN10-2|TXN5-5|TXN6-3|11960000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||Y|0|Y||||||0.83|0.83|0.0|0.0|0.83|0.8201|0.835|0.83|0.0|0.0|0.85|0.0|0.8358|0.0|0.0|0.0|0.0|0.835|0.0|0.835|0.779|0.889|0.68|1.03|0.8036|0.8635|0.7852|0.8849|0.7866|0.8835|0.82|0.85|4.9373|0.18|95702|110894659 9174|SIF|SIF|826546103|US8265461033|SIFCO Industries Inc|Common Stock|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Brendan E. Cryan and Company, L.L.C.|CRYN|0235|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-7|TXN3-5|TXN8-8|TXN2-6|TXN4-7|6110000|||Yearly|||||1978-03-01||||||| | | | | | | | | |||N|0|N|N|100A|USA|US|||50|5020|502010|50201010|Industrials|Industrial Goods and Services|Aerospace and Defense|Aerospace|N||N||||||N|0|Y||Y|2|||3.77|3.53|0.0|0.0|0.0|3.85|3.8092|3.77|0.0|0.0|0.0|0.0|3.81|3.7|0.0|0.0|3.75|3.75|0.0|3.75|2.88|4.71|3.75|3.85|3.58|4.04|2.88|4.71|0.0|0.0|3.75|3.85|4.95|1.95|12093|2074716 71697|SIFI|SIFI|41151J208|US41151J2087|Harbor ETF Trust|Harbor Scientific Alpha Income ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Harbor Capital Advisors, Inc.|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-6|TXN1-1|TXN5-8|TXN3-8|TXN4-7|750000|||Monthly|||||2021-09-16||SIFI.NV|SIFI.SO|SIFI.EU|SIFI.TC| | | | | | | | | | |1x|The Fund seeks total return.The Fund invests primarily in fixed income instruments, including fixed income derivative instruments such as credit default swaps and U.S. Treasury futures. The Fund may invest in the securities of foreign issuers, including emerging market bonds. The Fund may also invest in exchange-traded funds to manage aggregate portfolio exposures. From time to time, the Fund may invest a majority of its assets in corporate bonds that have a composite rating of below investment grade when averaging the ratings of Moodys, S&P and Fitch, commonly referred to as high yield or junk bonds, or unrated securities that the Subadviser considers to be of an equivalent credit quality.|N|0|N|N|416A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|42.43857|0.0|0.0|0.0|0.0|0.0|0.0|42.87|0.0|0.0|0.0|42.8896|0.0|42.8896|0.0|0.0|0.0|0.0|42.85|42.93|0.0|0.0|0.0|0.0|42.85|43.01|43.65|41.005|106|55958 3653|SIFY|SIFY|82655M107|US82655M1071|Sify Technologies Ltd|SPONSORED ADR||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN5-1|TXN13-1|TXN5-6|TXN6-3|182740000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||IND||||15|1510|151020|15102015|Telecommunications|Telecommunications|Telecommunications Service Providers |Telecommunications Services|N||N||||||Y|0|Y||||||0.0|1.68|0.0|0.0|1.67|1.61|1.69|1.67|0.0|0.0|1.64|1.63|1.69|1.52|0.0|0.0|0.0|1.69|0.0|1.69|1.59|1.76|1.28|1.98|1.57|1.8|1.65|1.72|1.65|1.72|1.68|1.69|3.37|1.05|80329|36124195 9175|SIG|SIG|G81276100|BMG812761002|Signet Jewelers Limited|Common Shares|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-4|TXN3-6|TXN4-7|TXN1-5|TXN1-5|44890000|||Quarterly|||||2008-09-11||||||| | | | | | | | | |||N|0|N|Y|146F|BMU|GB|||40|4020|402040|40204030|Consumer Discretionary|Consumer Products and Services|Personal Goods|Luxury Items|N||N||||||Y|0|Y||Y|2|||84.71|84.71|0.0|84.89|84.91|84.75|84.86|84.75|0.0|0.0|84.84|84.97|84.71|84.87|84.75|84.79|84.86|84.85|84.86|84.79|84.69|84.85|65.38|85.07|84.19|85.58|81.01|85.06|84.71|84.88|84.69|84.85|87.125|57.1|1734283|175970563 60806|SIGA|SIGA|826917106|US8269171067|SIGA Technologies Inc|COM USD.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN6-1|TXN12-5|TXN5-5|TXN6-4|71090000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103015|Health Care |Health Care |Pharmaceuticals and Biotechnology|Pharmaceuticals |N||N||||||Y|0|Y||||||5.78|5.775|0.0|5.59|5.78|5.775|5.775|5.775|0.0|0.0|5.77|5.77|5.78|5.77|5.77|5.77|5.77|5.78|0.0|5.78|5.76|5.78|4.48|7.0|5.76|5.78|5.74|5.81|5.73|5.82|5.77|5.78|8.79|4.215|364470|166271890 3655|SIGI|SIGI|816300107|US8163001071|Selective Insurance Group Inc|COM USD2||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN5-2|TXN14-5|TXN6-3|TXN6-7|60590000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3030|303020|30302025|Financials|Insurance|Non-life Insurance|Property and Casualty Insurance|N||N||||||N|0|Y||||||104.42|104.61|0.0|104.65|104.6|104.57|104.61|104.6|0.0|0.0|104.59|104.35|104.68|103.73|0.0|104.35|0.0|104.67|104.47|104.68|104.47|104.79|78.99|128.24|104.4|104.81|104.5|104.79|104.57|0.0|104.67|104.69|108.18|84.47|757600|62517184 68425|SIGIP|SIGIP|816300503|US8163005031|Selective Insurance Group Inc|PFD B||B|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN5-6|TXN14-6|TXN5-3|TXN5-1|8000000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|17.12|17.0915|17.075|0.0|0.0|17.16|0.0|17.08|0.0|0.0|0.0|0.0|17.06|0.0|17.06|0.0|0.0|0.0|0.0|16.68|17.47|0.0|0.0|0.0|0.0|17.06|17.13|19.0|15.17|13543|2021827 71696|SIHY|SIHY|41151J109|US41151J1097|Harbor ETF Trust|Harbor Scientific Alpha High-Yield ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Harbor Capital Advisors, Inc.|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-8|TXN4-7|TXN7-8|TXN1-5|TXN3-8|2598769|||Monthly|||||2021-09-16||SIHY.NV|SIHY.SO|SIHY.EU|SIHY.TC| | | | | | | | | | |1x|The Fund seeks total return.Under normal market conditions, the Fund invests at least 80% of its net assets, plus borrowings for investment purposes, in a portfolio of corporate bonds that have a composite rating of below investment grade when averaging the ratings of Moodys, S&P and Fitch, commonly referred to as high yield or junk bonds, or unrated securities that the Subadviser considers to be of an equivalent credit quality, which may be represented by derivative instruments. The Fund invests primarily in U.S. dollar denominated securities, including those of foreign issuers. Derivative instruments in which the Fund may invest include credit-default swaps as well as U.S. Treasury futures. The Fund may also invest in exchange-traded funds to manage aggregate portfolio exposures.|N|0|N|N|416A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|44.24|44.2999|44.24|0.0|0.0|0.0|0.0|44.25|0.0|0.0|0.0|0.0|44.2371|0.0|44.2371|0.0|0.0|0.0|0.0|44.18|44.29|0.0|0.0|0.0|0.0|44.18|44.29|45.93|41.9451|5090|2898192 66860|SII|SII|852066208|CA8520662088|Sprott Inc.|Common Shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|11|Q|Virtu Americas LLC|NITC|295|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN1-8|TXN1-8|TXN4-5|TXN4-7|25960000|||Quarterly|||||2020-06-29||||||| | | | | | | | | |||N|0|N|Y|402A|CAN|CA|||30|3020|302020|30202010|Financials|Financial Services |Investment Banking and Brokerage Services |Asset Managers and Custodians|N||N||||||Y|0|Y||Y|2|||33.3|33.08|0.0|33.15|33.1|33.3|33.145|33.25|0.0|0.0|33.3|33.2|33.09|33.3|33.44|33.19|33.35|33.15|33.13|33.19|33.07|33.19|25.39|34.0|33.0|33.35|32.99|33.3|32.97|33.33|33.07|33.19|41.96|28.04|114819|13293483 18922|SIJ|SIJ|74347G598|US74347G5980|ProShares Trust|ProShares UltraShort Industrials|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ProShares Advisors |IMC Chicago, LLC, DBA IMC Financial Markets|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-8|TXN2-7|TXN3-8|TXN3-8|TXN4-3|255135|||Quarterly|||||2011-02-24||SIJ.NV|SIJ.SO|SIJ.EU|SIJ.TC|SIJ.IV| | | | | | | | | |-2x|ProShares Ultra Short Industrials seeks daily investment results, before fees and expenses, that correspond to twice (200%) the inverse (opposite) of the daily performance of the Dow Jones U.S. Industrials Index. This ETF seeks a return of -200% of the return of an index (target) for a single day. Due to the compounding of daily returns, returns over periods other than one day will likely differ in amount and possibly direction from the target return for the same period. Investors should monitor their ProShares holdings consistent with their strategies, as frequently as daily. For more on correlation, leverage and other risks, please read the prospectus. The Dow Jones U.S. Industrials Index measures the performance of the industrial economic sector of the U.S. equity market. Component companies include building materials, heavy construction, factory equipment, heavy machinery, industrial services, pollution control, containers and packaging, industrial diversified, air freight, marine transportation, railroads, trucking, land-transportation equipment, shipbuilding, transportation services, advanced industrial equipment, electric components and equipment, and aeorspace. It is not possible to invest directly in an index.|N|0|N|N|416A|USA|US|EQUITY|INVERSE|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||0.0|13.27|0.0|0.0|0.0|0.0|12.68|0.0|0.0|0.0|0.0|0.0|12.73|0.0|0.0|0.0|0.0|12.6666|0.0|12.6666|0.0|0.0|12.51|12.84|12.65|12.68|12.6|12.74|12.6|12.73|12.65|12.68|16.34|12.15|3083|3054328 32579|SIL|SIL|37954Y848|US37954Y8488|Global X Funds|Global X Silver Miners ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Global X|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-4|TXN1-5|TXN9-4|TXN2-2|TXN3-2|33847318|||BiAnnually|||||2010-04-20||SIL.NV|SIL.SO|SIL.EU|SIL.TC|SIL.IV| | | | | | | | | |1x|Global X Silver Miners ETF (SIL) seeks to provide investment results that correspond generally to the price and yield performance, before fees and expenses, of the Solactive Global Silver Miners Index. The Underlying Index is free float adjusted, liquidity tested and market capitalization-weighted index that is designed to measure broad based equity market performance of global companies involved in the silver mining industry, as defined by Structured Solutions AG.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||27.7|27.68|0.0|0.0|27.76|27.81|27.72|27.75|0.0|0.0|27.76|27.65|27.73|27.78|27.7|27.69|28.28|27.75|27.65|27.75|27.68|29.05|25.8|29.29|27.68|27.76|26.6|29.05|27.82|28.21|27.68|27.76|33.24|22.57|581821|99969639 3657|SILC|SILC|M84116108|IL0010826928|Silicom Ltd|ORD NIS.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN5-2|TXN14-5|TXN6-5|TXN5-3|6760000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||ISR||||10|1010|101020|10102030|Technology|Technology|Technology Hardware and Equipment|Computer Hardware|N||N||||||N|0|Y||||||17.09|17.16|0.0|16.77|16.76|16.77|16.77|16.69|0.0|0.0|16.93|0.0|16.81|16.94|0.0|17.15|0.0|16.77|0.0|16.81|15.87|17.88|12.85|20.82|15.51|18.02|13.08|20.77|16.7|0.0|16.7|16.81|50.0|13.7501|55448|6969639 41088|SILJ|SILJ|26924G102|US26924G1022|ETF Managers Trust|ETFMG Prime Junior Silver Miners ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ETF Managers Group|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-8|TXN3-6|TXN3-5|TXN4-3|TXN3-1|70550000|||Quarterly|||||2012-11-29||SILJ.NV|SILJ.SO|SILJ.EU|SILJ.TC|SILJ.IV| | | | | | | | | |1x|The PureFunds ISE Junior Silver (Small Cap Miners/Explorers) ETF (SILJ) seeks to provide investment results that, before fees and expenses, correspond generally to the price and yield performance of the ISE Junior Silver Miners Index. The Underlying Index tracks the performance of small-capitalization companies actively engaged in some aspect of the silver industry, including companies that mine, explore or refine silver. Junior is a common term used in Canada in reference to small capitalization exploration companies that generally have no mining operations.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||9.82|9.8|0.0|0.0|9.81|9.82|9.805|9.82|0.0|0.0|9.81|9.81|9.805|9.815|9.82|9.81|9.82|9.83|9.81|9.83|9.81|10.3|9.17|10.41|9.81|9.82|9.31|10.3|9.72|9.88|9.81|9.82|12.15|7.91|2198333|291571099 63384|SILK|SILK|82710M100|US82710M1009|Silk Road Medical Inc|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN6-3|TXN12-4|TXN6-3|TXN5-7|38950000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||Y|0|Y||||||9.99|9.94|0.0|9.93|9.96|9.955|9.955|9.95|0.0|0.0|9.97|9.96|9.95|9.95|9.88|9.975|9.8|9.96|9.9|9.95|9.87|10.06|7.57|12.0|9.88|10.05|9.9|10.0|9.9|9.97|9.95|9.96|58.04|6.08|1103518|199297300 74677|SILO|SILO|82711P201|US82711P2011|Silo Pharma Inc|COM USD.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN5-6|TXN12-2|TXN6-5|TXN5-8|3110000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4040|404010|40401030|Consumer Discretionary|Retail |Retailers |Specialty Retailers |N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|1.41|1.43|1.43|0.0|0.0|1.45|1.45|1.43|0.0|0.0|0.0|0.0|1.43|0.0|1.43|1.09|1.7|1.09|1.7|1.35|1.47|1.09|1.7|0.0|0.0|1.4|1.46|6.56|1.2162|9091|48843572 61470|SILV|SILV|828363101|CA8283631015|SilverCrest Metals Inc.|Common Shares|Operating company|A|N|Y|A|Y|Y|Y|Y|Y|||J. Streicher & Co. L.L.C.|JSCO|3856|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-1|TXN4-6|TXN9-7|TXN2-4|TXN2-4|145810000|||NotApplicable|||||2018-08-21||||||| | | | | | | | | |||N|0|N|N|130E|CAN|CA|||55|5510|551030|55103030|Basic Materials|Basic Resources|Precious Metals and Mining|Platinum and Precious Metals|N||N||||||Y|0|Y||Y|2|||6.69|6.695|0.0|6.69|6.7|6.695|6.695|6.695|0.0|0.0|6.695|6.71|6.695|6.7|6.695|6.695|6.68|6.68|6.69|6.68|6.68|6.71|6.69|6.71|6.67|6.71|6.67|6.72|6.66|6.71|6.67|6.7|7.56|4.16|3053949|283930300 9178|SIM|SIM|400491106|US4004911065|Grupo Simec S.A.B. de C.V.|American Depositary Shares (each representing one Series B share) Series B Common Stock|Operating company|H|N|Y|A|Y|Y|Y|Y|Y|||Brendan E. Cryan and Company, L.L.C.|CRYN|0235|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-6|TXN1-4|TXN4-8|TXN4-1|TXN4-4|497710000|||Adhoc|||||1993-06-17||||||| | | | | | | | | |||N|0|N|N|100A|MEX|MX|||55|5510|551020|55102010|Basic Materials|Basic Resources|Industrial Metals and Mining|Iron and Steel|N||N||||||N|0|Y||Y|2|||31.41|31.49|0.0|0.0|0.0|30.78|33.0|0.0|0.0|0.0|31.5|0.0|0.0|0.0|0.0|0.0|31.75|31.75|0.0|31.75|0.0|0.0|29.75|31.85|27.78|32.5|0.0|0.0|0.0|0.0|29.15|31.36|38.22|28.0|213|202311 3662|SIMO|SIMO|82706C108|US82706C1080|Silicon Motion Technology Corp|ADR||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN5-2|TXN10-5|TXN6-6|TXN6-8|133630000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||HKG||||10|1010|101020|10102010|Technology|Technology|Technology Hardware and Equipment|Semiconductors|N||N||||||Y|0|Y||||||58.31|58.31|0.0|58.3|58.35|58.38|58.5|58.36|0.0|0.0|58.33|58.4|58.43|58.32|58.45|58.39|58.29|58.45|58.29|58.43|57.76|58.94|44.18|71.9|57.82|58.92|45.6|71.9|58.43|58.55|58.43|58.53|95.33|49.5|565503|142536471 60352|SIMS|SIMS|78468R697|US78468R6971|SPDR Series Trust|SPDR S&P Kensho Intelligent Structures ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-8|TXN4-6|TXN9-8|TXN2-3|TXN4-3|620000|||Quarterly|||||2017-12-27||SIMS.NV|SIMS.SO|SIMS.EU|SIMS.TC|SIMS.IV| | | | | | | | | |1x|The SPDR S&P Kensho Intelligent Structures ETF (the Fund) seeks to provide investment results that, before fees and expenses, correspond generally to the total return performance of the Kensho Intelligent Infrastructure Index.|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|32.945|0.0|0.0|0.0|33.0|0.0|32.98|0.0|0.0|32.08|0.0|33.0035|0.0|33.0035|32.68|33.36|0.0|0.0|32.97|33.04|32.97|33.06|0.0|0.0|32.97|33.06|38.18|28.11|4479|557442 43524|SINT|SINT|829392604|US8293926049|SiNtx Technologies Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-2|TXN5-8|TXN10-2|TXN5-3|TXN6-8|4260000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201020|20102015|Health Care |Health Care |Medical Equipment and Services|Medical Supplies|N||N||||||N|0|Y||||||0.375|0.375|0.0|0.0|0.3715|0.375|0.3855|0.375|0.0|0.0|0.385|0.3855|0.385|0.3745|0.0|0.0|0.0|0.3855|0.3745|0.385|0.3526|0.4048|0.304|0.4476|0.361|0.385|0.304|0.4476|0.0|0.0|0.3755|0.385|15.1|0.07|324672|67271761 74308|SIO|SIO|89157W202|US89157W2026|Touchstone ETF Trust|Touchstone Strategic Income Opportunities ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Touchstone Investments|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-3|TXN1-8|TXN3-8|TXN4-4|TXN3-7|4075000|||Monthly|||||2022-07-25||SIO.NV|SIO.SO|SIO.EU|SIO.TC|SIO.IV| | | | | | | | | ||The Touchstone Strategic Income Opportunities ETF (the Fund) seeks a high level of current income with a focus on capital preservation.|N|0|N|N|416A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|24.7|0.0|0.0|0.0|0.0|0.0|24.7|23.64444|0.0|0.0|0.0|24.6155|0.0|24.6155|0.0|0.0|0.0|0.0|24.58|24.67|0.0|0.0|0.0|0.0|24.58|24.67|25.5905|23.5604|6408|58726 3667|SIRI|SIRI|82968B103|US82968B1035|Sirius XM Holdings Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN6-3|TXN11-8|TXN5-2|TXN6-8|3838940000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||USA||||40|4030|403010|40301035|Consumer Discretionary|Media|Media|Radio and TV Broadcasters|N||N||||||Y|0|Y||||||4.57|4.575|0.0|4.56|4.57|4.57|4.5787|4.57|0.0|0.0|4.57|4.56|4.56|4.57|4.56|4.57|4.56|4.575|4.57|4.56|4.56|4.58|4.29|4.82|4.56|4.58|4.35|4.76|4.56|0.0|4.57|4.58|7.95|3.32|14544679|3995920505 53985|SISI|SISI|824567309|US8245673095|Shineco Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-5|TXN5-5|TXN12-1|TXN6-5|TXN6-3|50930000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||45|4510|451020|45102020|Consumer Staples |Food, Beverage and Tobacco |Food Producers|Food Products|N||N||||||N|0|Y||||||0.111|0.1103|0.0|0.0|0.111|0.116|0.1121|0.1128|0.0|0.0|0.115|0.116|0.1148|0.111|0.0|0.0|0.0|0.1121|0.113|0.1148|0.0904|0.1346|0.0904|0.1346|0.112|0.1194|0.0904|0.1346|0.0|0.0|0.1121|0.1148|3.5|0.1|622437|174431016 5748|SITC|SITC|82981J109|US82981J1097|SITE Centers Corp.|Common Shares|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|6|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-5|TXN1-2|TXN3-2|TXN1-5|TXN2-6|209320000|||Quarterly|||||2018-05-21||||||| | | | | | | | | |||N|0|N|Y|414A|USA|US|||35|3510|351020|35102045|Real Estate|Real Estate |Real Estate Investment Trusts|Retail REITs|N||N||||||Y|0|Y||Y|2|||13.65|13.65|0.0|13.03|13.64|13.645|13.635|13.645|0.0|0.0|13.64|13.64|13.63|13.63|13.62|13.64|13.625|13.63|13.64|13.64|13.63|13.64|10.34|16.75|13.61|13.64|13.61|13.67|13.61|13.67|13.63|13.64|14.625|10.88|1687822|425989538 58586|SITC PRA|SITCpA|82981J877|US82981J8779|SITE Centers Corp.|Depositary Shares, each representing a 1/20th interest in a share of 6.375% Class A Cumulative Redeemable Preferred Shares, without par value|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN4-4|TXN4-8|TXN2-3|TXN1-8|7000000|||Quarterly|||||2017-06-06||||||| | | | | | | | | |||N|0|N|N|414A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||22.11|22.58|0.0|0.0|21.66|22.11|22.506|22.865|0.0|0.0|0.0|0.0|22.8|0.0|0.0|22.8|0.0|22.8|0.0|22.8|22.46|23.28|0.0|0.0|22.0|23.32|0.0|0.0|0.0|0.0|22.46|23.28|25.46|19.5|12714|3646098 53068|SITE|SITE|82982L103|US82982L1035|SiteOne Landscape Supply, Inc.|Common stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|P|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-7|TXN4-8|TXN5-8|TXN4-1|TXN1-2|45130000|||NotApplicable|||||2016-05-12||||||| | | | | | | | | |||N|0|Y|Y|180B|USA|US|||40|4040|404010|40401025|Consumer Discretionary|Retail |Retailers |Home Improvement Retailers|N||N||||||Y|0|Y||Y|1|||142.26|143.105|0.0|143.17|143.09|143.125|143.08|143.145|0.0|0.0|143.17|142.65|143.25|142.07|145.85|143.15|143.0|143.11|143.18|143.15|143.12|143.13|133.94|151.07|142.21|143.31|142.91|143.47|143.03|143.27|143.12|143.13|176.16|113.255|345128|67150970 65097|SITM|SITM|82982T106|US82982T1060|SiTime Corp|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN6-8|TXN13-3|TXN5-6|TXN6-3|22460000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101020|10102010|Technology|Technology|Technology Hardware and Equipment|Semiconductors|N||N||||||Y|0|Y||||||108.3|108.34|0.0|108.21|110.26|108.62|108.57|108.535|0.0|0.0|108.3|0.0|108.46|108.97|110.27|107.46|108.03|108.37|0.0|108.46|107.26|109.64|85.46|134.05|107.54|109.56|108.05|108.91|108.28|108.63|108.36|108.46|142.88|81.0919|142671|57462676 31252|SIVR|SIVR|003264108|US0032641088|abrdn Silver ETF Trust|abrdn Physical Silver Shares ETF|Trust|ETV|N|N|P|Y|Y|Y|Y|Y||||||||Aberdeen Standard Investments|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN4-7|TXN2-3|TXN4-2|TXN4-6|46950000|||NotApplicable|||||2009-07-23|2099-05-30|SIVR.NV|SIVR.SO| | |SIVR.IV| | | | | | | | | |1x|The investment objective of the Trust is for the Shares to reflect the performance of the price of silver bullion, less the expenses of the Trusts operations. The Shares are designed for investors who want a cost-effective and convenient way to invest in silver with minimal credit risk.|N|0|N|N|416A|USA|US|COMMODITIES_AND_FUTURES|INDEX|||||||||N||N||||||Y|0|Y||Y|1|||23.48|23.475|0.0|0.0|23.47|23.475|23.475|23.48|0.0|0.0|23.48|23.47|23.48|23.47|23.73|23.475|23.475|23.49|23.47|23.49|23.47|23.51|23.45|23.49|23.47|23.48|23.45|23.5|23.43|23.52|23.47|23.48|25.0|19.2|1429383|150178276 8571|SIX|SIX|83001A102|US83001A1025|Six Flags Entertainment Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-2|TXN3-1|TXN6-5|TXN1-4|TXN4-8|83540000|||Quarterly|||||2010-06-21||||||| | | | | | | | | |||N|0|N|Y|144D|USA|US|||40|4050|405010|40501030|Consumer Discretionary|Travel and 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|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|35.05|0.0|0.0|0.0|0.0|35.3325|0.0|0.0|0.0|35.05|32.745621|35.28|0.0|0.0|0.0|0.0|35.3604|0.0|35.3604|0.0|0.0|35.3|35.34|35.33|35.37|32.06|53.12|0.0|0.0|35.33|35.37|35.56|31.6684|1704|1104523 66370|SIXH|SIXH|301505665|US3015056654|Exchange Traded Concepts Trust|ETC 6 Meridian Hedged Equity Index Option ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Exchange Traded Concepts|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-3|TXN1-7|TXN1-4|TXN4-3|TXN4-8|10975000|||Monthly|||||2020-05-11||SIXH.NV|SIXH.SO|SIXH.EU|SIXH.TC| | | | | | | | | | ||The 6 Meridian Hedged Equity-Index Option Strategy ETF seeks to provide capital appreciation. |N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|33.165|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|33.1004|0.0|33.1004|32.77|33.49|32.9|33.52|33.06|33.17|30.7|33.19|0.0|0.0|33.06|33.17|33.34|30.7074|1898|2934495 73100|SIXJ|SIXJ|00888H869|US00888H8694|AIM ETF Products Trust|AllianzIM U.S. Large Cap 6 Month Buffer10 Jan/Jul ETF|Trust|ETS|N|N|P|Y|Y|Y|Y|Y||||||||Allianz Investment Management|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-8|TXN3-1|TXN4-8|TXN4-6|TXN1-8|4950000|||Adhoc|||||2022-01-03||SIXJ.NV|SIXJ.SO|SIXJ.EU|SIXJ.TC|SIXJ.IV| | | | | | | | | |1x|Designed to allow investors to participate in the growth potential of the S&P 500 up to a stated cap, with an explicit 10% downside buffer.|N|0|N|N|408A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|25.464|25.6|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|25.59|25.46|0.0|25.46|0.0|0.0|25.38|25.47|25.41|25.53|0.0|0.0|0.0|0.0|25.4|25.53|25.87|22.31|8086|7407423 66367|SIXL|SIXL|301505699|US3015056993|Exchange Traded Concepts Trust|ETC 6 Meridian Low Beta Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Exchange Traded Concepts|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-3|TXN4-4|TXN3-8|TXN3-6|TXN1-4|4400000|||Monthly|||||2020-05-11||SIXL.NV|SIXL.SO|SIXL.EU|SIXL.TC| | | | | | | | | | ||The 6 Meridian Low Beta Equity Strategy ETF seeks to provide capital appreciation. |N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|32.48|32.47|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|32.5539|0.0|32.5539|0.0|0.0|32.47|32.58|32.47|32.61|32.23|32.48|0.0|0.0|32.47|32.61|34.008|29.67|2813|844845 71885|SIXO|SIXO|00888H877|US00888H8777|AIM ETF Products Trust|AllianzIM U.S. Large Cap 6 Month Buffer10 Apr/Oct ETF|Trust|ETS|N|N|P|Y|Y|Y|Y|Y||||||||Allianz Investment Management|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-5|TXN3-5|TXN8-8|TXN4-2|TXN2-7|1550000|||Adhoc|||||2021-10-01||SIXO.NV|SIXO.SO|SIXO.EU|SIXO.TC|SIXO.IV| | | | | | | | | |1x|Designed to allow investors to participate in the growth potential of the S&P 500 up to a stated cap, with an explicit 10% downside buffer.|N|0|N|N|408A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|28.39|0.0|0.0|0.0|0.0|28.34|0.0|0.0|0.0|0.0|0.0|0.0|28.32|0.0|0.0|0.0|28.3649|0.0|28.3649|0.0|0.0|28.31|28.38|28.27|28.41|28.23|28.36|0.0|0.0|28.27|28.41|28.45|24.31|7363|5041938 66369|SIXS|SIXS|301505673|US3015056738|Exchange Traded Concepts Trust|ETC 6 Meridian Small Cap Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Exchange Traded Concepts|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN2-5|TXN3-8|TXN1-4|TXN4-7|1475000|||Monthly|||||2020-05-11||SIXS.NV|SIXS.SO|SIXS.EU|SIXS.TC| | | | | | | | | | ||The 6 Meridian Small Cap Equity ETF seeks to provide capital appreciation. |N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|44.7652|44.15|0.0|0.0|0.0|0.0|44.83|0.0|0.0|0.0|0.0|44.7973|0.0|44.7973|0.0|0.0|0.0|0.0|44.75|44.83|40.0|48.5|0.0|0.0|44.75|44.83|47.12|39.1|2876|478486 41859|SIZE|SIZE|46432F370|US46432F3709|iShares Trust|iShares MSCI USA Size Factor ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-3|TXN4-7|TXN3-2|TXN1-5|TXN2-6|2550000|||Quarterly|||||2013-04-18||SIZE.NV|SIZE.SO|SIZE.EU|SIZE.TC|SIZE.IV| | | | | | | | | |1x|The Underlying Index is based on a traditional market capitalization-weighted parent index, the MSCI USA Index, which includes U.S. large- and mid- capitalization stocks. The Underlying Index reweights each security of the parent index using a rules-based methodology so that stocks with lower risk weightings based on the index providers methodology constitute a higher percentage of the index. The risk weighting of each security is calculated using the inverse of its historical variance, estimated based on three years of weekly return data. Historically the Underlying Index has exhibited lower realized volatility in comparison to its parent index, and smaller average market capitalization, while maintaining reasonable liquidity and capacity. Components primarily include consumer discretionary, consumer staples, financial and utilities companies.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||125.09|125.09|0.0|0.0|125.34|125.09|125.46|125.335|0.0|0.0|0.0|0.0|125.39|125.28|0.0|125.09|0.0|125.4166|0.0|125.4166|125.32|125.44|0.0|0.0|125.32|125.44|125.32|125.58|125.32|125.58|125.32|125.44|128.3|110.07|10458|2228795 63140|SJ|SJ|G7864D112|VGG7864D1125|Scienjoy Holding Corp|ORD CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN5-8|TXN12-6|TXN5-7|TXN6-5|37680000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||10|1010|101010|10101020|Technology|Technology|Software and Computer Services|Consumer Digital Services |N||N||||||N|0|Y||||||0.0|2.71|0.0|0.0|2.71|2.7|2.71|0.0|0.0|0.0|2.7|2.69|2.63|0.0|0.0|0.0|0.0|2.71|0.0|2.71|2.16|3.33|2.02|3.33|2.46|2.9|2.16|3.33|0.0|0.0|2.62|2.72|4.7978|1.61|36905|19994984 37546|SJB|SJB|74347R131|US74347R1317|ProShares Trust|ProShares Short High Yield|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ProShares Advisors |Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-6|TXN3-8|TXN8-7|TXN4-1|TXN1-1|10050000|||Quarterly|||||2011-03-22||SJB.NV|SJB.SO|SJB.EU|SJB.TC|SJB.IV| | | | | | | | | |-1x|ProShares Short High Yield seeks daily investment results, before fees and expenses, that correspond to the inverse (-1x) of the daily performance of the Markit iBoxx $ Liquid High Yield Index. The Index is amodified market-value weighted index designed to provide a balanced representation of U.S. dollar-denominated high yield corporate bonds for sale within the United States by means of including the most liquid high yield corporate bonds available as determined by the index provider.|N|0|N|N|416A|USA|US|FIXED_INCOME|INVERSE|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||17.86|17.86|0.0|0.0|17.86|17.86|17.86|17.855|0.0|0.0|17.86|17.86|17.86|17.86|17.86|17.86|17.86|17.86|17.88|17.86|17.85|17.87|16.75|17.88|17.86|17.87|17.85|17.88|17.84|17.89|17.86|17.87|19.26|17.82|402338|100650348 75358|SJIM|SJIM|66538H146|US66538H1462|Inverse Cramer Tracker ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-4|TXN4-6|TXN8-8|TXN1-3|TXN3-8|140000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||0.0|22.5709|0.0|0.0|0.0|23.3|22.56|0.0|0.0|0.0|0.0|0.0|23.5|0.0|0.0|0.0|0.0|22.5709|0.0|22.5709|22.53|22.64|22.53|22.64|22.43|22.71|0.0|0.0|0.0|0.0|22.55|22.59|26.2602|20.8401|794|1114301 9184|SJM|SJM|832696405|US8326964058|The J.M. Smucker Company|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|C|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-2|TXN4-5|TXN3-4|TXN4-1|TXN1-4|106130000|||Quarterly|||||1965-10-20||||||| | | | | | | | | |||N|5|Y|Y|118B|USA|US|||45|4510|451020|45102020|Consumer Staples |Food, Beverage and Tobacco |Food Producers|Food Products|N||N||||||Y|0|Y||Y|1|||112.41|112.37|0.0|112.4|112.39|112.38|112.371|112.41|0.0|112.25|112.4|112.43|112.38|112.45|112.5|112.43|112.49|112.45|112.44|112.43|112.45|112.46|105.97|118.84|112.27|112.52|112.35|112.48|112.29|112.49|112.45|112.46|163.07|107.33|2329881|244840868 39762|SJNK|SJNK|78468R408|US78468R4083|SPDR Series Trust|SPDR Bloomberg Short Term High Yield Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-5|TXN1-8|TXN6-6|TXN3-2|TXN3-2|148600000|||Monthly|||||2012-03-15||SJNK.NV|SJNK.SO|SJNK.EU|SJNK.TC|SJNK.IV| | | | | | | | | |1x|The SPDR Barclays Capital Short Term High Yield Bond ETF seeks to provide investment results that, before fees and expenses, correspond generally to the price and yield performance of an index that tracks the U.S. high yield short term corporate bond market. The Barclays Capital US High Yield 350mn Cash Pay 0-5 Yr 2% Capped Index is designed to measure the performance of short-term publicly issued U.S. dollar-denominated high yield corporate bonds. High yield securities are generally rated below investment-grade and are commonly referred to as junk bonds. The Index includes publicly issued U.S. dollar denominated, non-investment-grade, fixed rate, taxable corporate bonds that have a remaining maturity of less than 5 years regardless of optionality, are rated between Caa3/CCC-/CCC- and Ba1/BB/BB using the middle rating of Moodys Investors Service, Inc., Fitch, Inc., or Standard & Poors, Inc., respectively, and have at least a $350 million outstanding par value. The Index includes only corporate sectors. The corporate sectors are Industrial, Utility and Financial Institutions. Excluded from the Index are non-corporate bonds, structured notes with embedded swaps or other special features, bonds with equity-type features (e.g., warrants, convertibility), floating-rate securities and securities that move from fixed to floating-rate, Emerging Market Bonds, defaulted bonds, original issue zero coupon bonds, private placements and payment in kind securities. The Index is issuer-capped and the securities in the Index are updated on the index rebalancing date.|N|0|N|N|416A|USA|US|FIXED_INCOME|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||24.77|24.77|0.0|0.0|24.77|24.77|24.7697|24.77|0.0|0.0|24.77|24.77|24.78|24.77|24.77|24.77|24.775|24.78|24.77|24.78|24.77|24.78|24.7|24.9|24.77|24.78|24.7|24.9|24.7|24.9|24.77|24.78|25.23|23.9|4976592|1195843585 9188|SJT|SJT|798241105|US7982411057|San Juan Basin Royalty Trust|Units of Beneficial Interest|Royalty trust|A|N|N|N|Y|Y|Y|Y|Y|6|H|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN4-7|TXN6-7|TXN2-2|TXN2-1|46610000|||Monthly|||||1980-10-24||||||| | | | | | | | | |||N|0|N|Y|412B|USA|US|||60|6010|601010|60101010|Energy|Energy|Oil, Gas and Coal|Oil: Crude Producers|N||N||||||Y|0|Y|C|Y|2|||6.21|6.195|0.0|6.04|6.23|6.195|6.191|6.2|0.0|0.0|6.2|6.0|6.195|6.0|6.21|6.19|6.22|6.195|6.04|6.19|6.19|6.2|4.74|7.52|6.18|6.27|6.17|6.22|6.16|6.21|6.19|6.2|12.25|5.85|1145576|144548645 9189|SJW|SJW|784305104|US7843051043|SJW Group|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN2-2|TXN3-8|TXN1-5|TXN4-6|31930000|||Quarterly|||||2005-11-14||||||| | | | | | | | | |||N|0|N|Y|308A|USA|US|||65|6510|651020|65102030|Utilities|Utilities|Gas, Water and Multi-utilities |Water|N||N||||||Y|0|Y||Y|2|||66.94|68.23|0.0|68.48|68.61|68.23|68.23|68.42|0.0|0.0|68.63|68.33|68.22|68.35|68.25|68.23|68.45|68.23|66.95|68.23|68.23|68.24|53.19|84.26|68.13|69.0|68.11|68.37|68.08|68.4|68.23|68.24|83.88|56.955|128342|52679600 72206|SKE|SKE|83056P715|CA83056P7157|Skeena Resources Limited|Common Shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|6|O|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-4|TXN2-3|TXN4-4|TXN2-8|TXN1-6|88960000|||NotApplicable|||||2021-11-01||||||| | | | | | | | | |||N|0|N|Y|130C|CAN|CA|||55|5510|551020|55102000|Basic Materials|Basic Resources|Industrial Metals and Mining|General Mining|N||N||||||Y|0|Y||Y|2|||4.405|4.39|0.0|0.0|4.39|4.4|4.406|4.36|0.0|0.0|4.4|4.5|4.4|4.371|0.0|4.39|4.4|4.39|4.39|4.39|4.38|4.4|3.45|5.2|4.32|4.46|4.35|4.43|4.34|4.44|4.38|4.4|7.65|3.045|185229|14252111 18920|SKF|SKF|74347G382|US74347G3829|ProShares Trust|ProShares UltraShort Financials|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ProShares Advisors |Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-3|TXN2-8|TXN8-8|TXN4-5|TXN3-5|1222666|||Quarterly|||||2011-02-24||SKF.NV|SKF.SO|SKF.EU|SKF.TC|SKF.IV| | | | | | | | | |-2x|ProShares UltraShort Financials seeks daily investment results, before fees and expenses, that correspond to twice (200%) the inverse (opposite) of the daily performance of the Dow Jones U.S. Financials Index. This ETF seeks a return of -200% of the return of an index (target) for a single day. Due to the compounding of daily returns, returns over periods other than one day will likely differ in amount and possibly direction from the target return for the same period. Investors should monitor their ProShares holdings consistent with their strategies, as frequently as daily. For more on correlation, leverage and other risks, please read the prospectus. The Dow Jones U.S. Financials Index measures the performance of the financials industry of the U.S. equity market. Component companies include banks; insurance companies and brokers; real estate companies, including REITs, real estate holding and development companies, and real estate services companies; financial services companies, including asset managers, consumer finance companies, specialty finance companies, investment services providers, mortgage finance providers, corporate closed-end investment entities such as investment trusts and venture capital trusts; and non-corporate, open-ended investment instruments such as open-ended investment companies and funds, unit trusts, ETFs, currency funds and split capital trusts. It is not possible to invest directly in an index.|N|0|N|N|416A|USA|US|EQUITY|INVERSE|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||0.0|16.3|0.0|0.0|0.0|16.2|16.22|0.0|0.0|0.0|16.2|0.0|16.25|0.0|16.4|0.0|0.0|16.22|0.0|16.22|16.14|16.28|0.0|0.0|16.2|16.23|15.23|17.1|0.0|0.0|16.2|16.23|22.62|16.1011|20930|13700280 74468|SKGR|SKGR|G8192N103|KYG8192N1034|SK Growth Opportunities Corp|CL A ORD USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN6-3|TXN12-1|TXN5-4|TXN5-1|20960000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||10.82|0.0|0.0|0.0|0.0|0.0|10.8201|0.0|0.0|0.0|0.0|0.0|10.83|0.0|0.0|0.0|0.0|10.82|0.0|10.82|0.0|0.0|0.0|0.0|10.15|11.56|0.0|0.0|0.0|0.0|10.82|10.83|10.88|10.05|6486|12500482 74207|SKGRU|SKGRU|G8192N129|KYG8192N1299|SK Growth Opportunities Corp|UNITS||R|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN6-1|TXN13-1|TXN6-7|TXN6-1|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.11|11.93|0.0|0.0|0.0|0.0|10.83|11.93|11.376|10.15|0|1110745 74469|SKGRW|SKGRW|G8192N111|KYG8192N1117|SK Growth Opportunities Corp|WT EXP 062829||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-8|TXN5-5|TXN11-3|TXN6-1|TXN5-2|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.046|0.05|0.76|0.04|0|2806767 64179|SKIL|SKIL|83066P309|US83066P3091|Skillsoft Corp.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN3-8|TXN3-8|TXN1-2|TXN4-5|8040000|||NotApplicable|||||2019-07-26||||||| | | | | | | | | |||N|0|N|Y|408A|USA|US|||50|5020|502050|50205025|Industrials|Industrial Goods and Services|Industrial Support Services|Business Training and Employment Agencies|N||N||||||N|0|Y||Y|2|||18.41|17.99|0.0|0.0|18.54|18.11|18.1|18.37|0.0|0.0|18.0|18.16|18.02|18.16|0.0|17.99|0.0|17.95|17.97|17.99|17.9|17.99|0.0|0.0|17.6|18.36|14.96|22.36|0.0|0.0|17.9|17.99|20.8656|0.8523|38011|58336153 68226|SKIN|SKIN|88331L108|US88331L1089|Beauty Health Co (The)|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN6-2|TXN10-7|TXN6-4|TXN5-3|131270000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||45|4520|452010|45201020|Consumer Staples |Personal Care, Drug and Grocery Stores |Personal Care, Drug and Grocery Stores |Personal Products|N||N||||||Y|0|Y||||||2.98|2.975|0.0|2.98|2.97|2.975|2.975|2.97|0.0|0.0|2.975|2.97|2.98|2.97|2.98|2.975|2.97|2.975|2.97|2.98|2.94|3.01|2.34|3.65|2.94|3.01|2.95|2.99|2.94|3.01|2.97|2.98|13.8997|1.35|8522581|654407173 66214|SKLZ|SKLZ|83067L208|US83067L2088|Skillz Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN3-2|TXN9-7|TXN3-6|TXN3-7|18020000|||NotApplicable|||||2020-04-27||||||| | | | | | | | | |||N|0|N|Y|408A|USA|US|||10|1010|101010|10101020|Technology|Technology|Software and Computer Services|Consumer Digital Services |N||N||||||Y|0|Y||Y|2|||6.4|6.36|0.0|6.4|6.34|6.35|6.35|6.36|0.0|0.0|6.37|6.37|6.37|6.35|6.35|6.35|6.34|6.35|6.38|6.35|6.35|6.37|4.83|7.87|6.3|6.42|6.32|6.39|6.32|6.39|6.35|6.37|13.5|0.453|165189|992893214 9191|SKM|SKM|78440P306|US78440P3064|SK Telecom Co., Ltd.|American Depositary Shares (Each representing 5/9th of a Ordinary Share of SK Telecom Co., LTD.)|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-6|TXN4-1|TXN6-4|TXN4-8|TXN4-4|218830000|||BiAnnually|||||1996-06-27||||||| | | | | | | | | |||N|0|N|Y|306A|KOR|KR|||15|1510|151020|15102015|Telecommunications|Telecommunications|Telecommunications Service Providers |Telecommunications Services|N||N||||||N|0|Y||Y|2|||21.84|21.84|0.0|21.7|21.84|21.83|21.84|21.835|0.0|0.0|21.83|21.84|21.835|21.84|21.84|21.84|21.84|21.835|0.0|21.84|21.83|21.84|16.74|26.59|21.81|21.85|21.74|21.93|21.81|21.93|21.83|21.84|22.61|18.26|368212|101658923 48859|SKOR|SKOR|33939L761|US33939L7617|FlexShares Credit-Scored US Corporate Bond Index Fund|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN6-1|TXN13-2|TXN6-1|TXN6-2|6050000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|46.92|46.9567|0.0|0.0|0.0|0.0|0.0|46.9709|0.0|0.0|46.89|0.0|46.9567|46.9|46.9709|0.0|0.0|0.0|0.0|46.93|47.03|0.0|0.0|0.0|0.0|46.94|47.02|48.77|45.16|19123|5147094 9195|SKT|SKT|875465106|US8754651060|Tanger Inc.|Common Stock|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-3|TXN2-7|TXN5-4|TXN3-3|TXN4-3|105350000|||Quarterly|||||1993-05-28||||||| | | | | | | | | |||N|0|N|Y|412A|USA|US|||35|3510|351020|35102045|Real Estate|Real Estate |Real Estate Investment Trusts|Retail REITs|N||N||||||Y|0|Y||Y|2|||26.87|26.87|0.0|26.48|26.87|26.86|26.87|26.87|0.0|0.0|26.87|26.86|26.865|26.87|26.79|26.87|26.87|26.87|26.87|26.87|26.86|26.87|20.63|32.47|26.82|26.91|26.84|26.89|26.83|26.88|26.86|26.87|26.9|17.22|1166848|206105290 75115|SKWD|SKWD|830940102|US8309401029|Skyward Specialty Insurance Group Inc|COM USD0.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN5-3|TXN10-5|TXN5-7|TXN6-6|37680000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3030|303020|30302010|Financials|Insurance|Non-life Insurance|Full Line Insurance|N||N||||||N|0|Y||||||33.22|32.77|0.0|33.33|32.7|32.71|32.71|32.68|0.0|0.0|32.75|32.81|32.7|32.97|32.73|32.7|0.0|32.71|0.0|32.7|32.42|33.03|32.65|32.76|32.48|32.95|32.63|32.75|32.64|32.73|32.7|32.71|33.58|17.5|494494|75693588 9196|SKX|SKX|830566105|US8305661055|Skechers U.S.A., Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|C|Citadel Securities 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70237|SLAMW|SLAMW|G8210L121|KYG8210L1216|Slam Corp|WT EXP 022326||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-8|TXN5-7|TXN14-5|TXN6-6|TXN6-7|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0501|0.1|0.2904|0.05|0|4278235 9200|SLB|SLB|806857108|AN8068571086|Schlumberger Limited|Common Shares|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|A|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-3|TXN1-7|TXN3-8|TXN4-2|TXN4-5|1428460000|||Quarterly|||||1962-02-02||||||| | | | | | | | | |||N|5|Y|Y|170A|USA|CW|||60|6010|601010|60101030|Energy|Energy|Oil, Gas and Coal|Oil Equipment and Services|N||N||||||Y|0|Y||Y|1|||52.05|52.04|0.0|51.91|52.04|52.04|52.04|52.015|0.0|0.0|52.04|52.0|52.04|52.04|52.015|52.03|52.025|52.04|52.015|52.03|52.04|52.05|49.1|55.56|52.02|52.06|51.97|52.08|51.97|52.05|52.04|52.05|62.78|42.73|7772557|2135934632 39512|SLCA|SLCA|90346E103|US90346E1038|U.S. Silica Holdings, Inc.|Common Stock, $0.01 par value per share|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|I|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-2|TXN2-6|TXN5-7|TXN2-5|TXN2-2|77150000|||Quarterly|||||2012-02-01||||||| | | | | | | | | |||N|0|N|Y|130E|USA|US|||55|5510|551020|55102000|Basic Materials|Basic Resources|Industrial Metals and Mining|General Mining|N||N||||||Y|0|Y||Y|2|||11.31|11.33|0.0|11.34|11.32|11.325|11.33|11.33|0.0|0.0|11.32|11.32|11.325|11.31|11.18|11.33|11.34|11.325|11.31|11.33|11.32|11.33|8.7|13.92|11.29|11.35|11.29|11.35|11.29|11.35|11.32|11.33|14.6399|10.38|712509|173214532 60575|SLDB|SLDB|83422E204|US83422E2046|Solid Biosciences Inc|COM 0.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN5-3|TXN13-8|TXN6-1|TXN5-7|20180000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y|C|||||0.0|3.47|0.0|0.0|3.5|3.51|3.4401|0.0|0.0|0.0|3.5|3.1|3.44|3.55|3.17|3.19|0.0|3.4401|0.0|3.44|3.33|3.63|2.65|4.22|3.37|3.52|3.32|3.65|3.39|3.52|3.44|3.45|8.2|1.81|159724|21832672 70632|SLDP|SLDP|83422N105|US83422N1054|Solid Power Inc|CL A COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN6-8|TXN13-8|TXN5-5|TXN5-1|178440000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||60|6010|601020|60102010|Energy|Energy|Alternative Energy|Alternative Fuels |N||N||||||Y|0|Y||||||1.55|1.545|0.0|1.535|1.54|1.545|1.548|1.55|0.0|0.0|1.55|1.54|1.55|1.535|1.54|1.55|1.55|1.55|1.55|1.55|1.53|1.56|1.2|1.81|1.54|1.56|1.51|1.58|1.53|1.58|1.54|1.55|3.86|1.2|2182372|488032236 70633|SLDPW|SLDPW|83422N113|US83422N1138|Solid Power Inc|WT EXP 031926||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-4|TXN5-3|TXN12-8|TXN5-3|TXN6-6|178420000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.23|0.23|0.0|0.0|0.0|0.23|0.24|0.0|0.0|0.0|0.0|0.0|0.24|0.0|0.0|0.0|0.0|0.24|0.0|0.24|0.0|0.0|0.0|0.0|0.2|0.25|0.0|0.0|0.0|0.0|0.21|0.25|0.805|0.0742|18497|9099137 63057|SLE|SLE|86804F301|US86804F3010|Super League Enterprise Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN5-5|TXN10-4|TXN6-3|TXN5-2|4240000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101010|10101020|Technology|Technology|Software and Computer Services|Consumer Digital Services |N||N||||||N|0|Y||||||1.63|1.64|0.0|0.0|1.67|1.66|1.63|1.705|0.0|0.0|1.66|1.66|1.645|0.0|0.0|0.0|0.0|1.63|0.0|1.63|1.56|1.77|1.28|1.99|1.61|1.69|1.59|1.71|1.57|1.72|1.63|1.66|7.65|0.9835|41574|74795805 9202|SLF|SLF|866796105|CA8667961053|Sun Life Financial Inc.|Common Shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|8|A|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-2|TXN4-6|TXN6-3|TXN2-6|TXN4-3|584300000|||Quarterly|||||2000-03-23||||||| | | | | | | | | |||N|0|N|Y|416A|CAN|CA|||30|3030|303010|30301010|Financials|Insurance|Life Insurance|Life Insurance|N||N||||||Y|0|Y||Y|2|||51.23|51.235|0.0|51.23|51.23|51.23|51.24|51.235|0.0|0.0|51.235|51.24|51.235|51.23|51.23|51.24|51.24|51.24|51.235|51.24|51.23|51.24|39.16|62.14|51.21|51.26|51.2|51.27|51.19|51.28|51.23|51.24|53.21|43.53|561906|129742858 9203|SLG|SLG|78440X887|US78440X8873|SL Green Realty Corp.|Common Stock|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN4-6|TXN3-8|TXN4-3|TXN3-8|64420000|||Monthly|||||1997-08-15||||||| | | | | | | | | |||N|0|N|Y|412A|USA|US|||35|3510|351020|35102030|Real Estate|Real Estate |Real Estate Investment Trusts|Office REITs|N||N||||||Y|0|Y||Y|2|||42.22|42.21|0.0|42.1|42.22|42.22|42.2|42.22|0.0|0.0|42.26|42.2|42.2|42.21|42.2|42.22|42.26|42.22|42.29|42.22|42.21|42.22|32.49|51.19|42.02|42.3|42.18|42.28|42.11|42.29|42.21|42.22|44.65|19.0601|3336225|545016486 40558|SLG PRI|SLGpI|78440X507|US78440X5077|SL Green Realty Corp.|6.50% Series I Cumulative Redeemable Preferred Stock|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN1-8|TXN4-8|TXN2-8|TXN4-3|9200000|||Quarterly|||||2012-08-14||||||| | | | | | | | | |||N|0|N|N|412A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||18.56|18.61|0.0|0.0|18.69|18.56|18.56|18.62|0.0|0.0|18.52|0.0|18.55|0.0|0.0|18.55|0.0|18.56|0.0|18.55|18.55|18.78|0.0|0.0|18.25|18.69|0.0|0.0|0.0|0.0|18.55|18.78|23.35|15.14|72793|7512615 70232|SLGC|SLGC|83444K105|US83444K1051|SomaLogic Inc|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN6-3|TXN14-5|TXN5-4|TXN5-1|188660000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201020|20102020|Health Care |Health Care |Medical Equipment and Services|Medical Services|N||N||||||Y|0|Y||||||2.77|2.78|0.0|2.8|2.78|2.775|2.78|2.77|0.0|0.0|2.77|2.77|2.78|2.77|2.775|2.78|2.76|2.78|2.78|2.78|2.77|2.8|2.11|3.39|2.77|2.8|2.74|2.81|2.74|2.8|2.77|2.78|3.79|1.73|1697058|269658028 70233|SLGCW|SLGCW|83444K113|US83444K1135|SomaLogic Inc|WT EXP 083126||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-3|TXN6-7|TXN12-8|TXN5-3|TXN6-2|188660000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y|D|||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.1425|0.2131|0.0|0.0|0.0|0.0|0.1425|0.1999|0.7851|0.1275|0|3225331 60639|SLGL|SLGL|M8694L103|IL0011417206|Sol Gel Technologies Ltd|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN5-7|TXN12-3|TXN5-7|TXN6-3|27810000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||ISR||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y|C|||||1.15|1.22|0.0|0.0|1.29|1.19|1.215|0.0|0.0|0.0|1.22|0.0|1.23|0.0|0.0|0.0|1.24|1.19|0.0|1.19|1.12|1.31|0.0|0.0|1.13|1.3|0.0|0.0|0.0|0.0|1.18|1.24|5.71|1.14|54534|3056689 3683|SLGN|SLGN|827048109|US8270481091|Silgan Holdings Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|Q|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-7|TXN1-7|TXN9-5|TXN4-4|TXN4-3|106500000|||Quarterly|||||2022-08-01||||||| | | | | | | | | |||N|0|Y|Y|100A|USA|US|||50|5020|502030|50203030|Industrials|Industrial Goods and Services|General Industrials|Containers and Packaging|N||N||||||Y|0|Y||Y|1|||43.35|43.35|0.0|42.87|43.36|43.345|43.355|43.355|0.0|0.0|43.36|43.31|43.32|43.35|43.29|43.36|43.31|43.32|43.31|43.36|43.35|43.36|40.44|45.96|43.27|43.39|43.32|43.39|43.31|43.39|43.35|43.36|55.41|38.11|682969|119493449 71133|SLI|SLI|853606101|CA8536061010|Standard Lithium Ltd.|Common Shares|Operating company|A|N|Y|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-6|TXN1-4|TXN8-4|TXN3-2|TXN4-1|172850000|||NotApplicable|||||2021-07-13||||||| | | | | | | | | |||N|0|N|N|100A|CAN|CA|||55|5510|551020|55102000|Basic Materials|Basic Resources|Industrial Metals and Mining|General Mining|N||N||||||Y|0|Y||Y|2|||2.14|2.13|0.0|2.1|2.12|2.14|2.13|2.13|0.0|0.0|2.13|2.13|2.13|2.12|2.11|2.13|2.15|2.15|2.125|2.15|2.13|2.15|2.12|2.14|2.13|2.15|2.1|2.16|2.12|2.15|2.12|2.14|4.9786|2.04|1643309|182999045 9208|SLM|SLM|78442P106|US78442P1066|SLM Corp|COM USD.2 VTG||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN5-2|TXN12-3|TXN5-6|TXN5-7|226270000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||USA||||30|3020|302010|30201020|Financials|Financial Services |Finance and Credit Services|Consumer Lending|N||N||||||Y|0|Y||||||15.84|15.85|0.0|15.77|15.84|15.845|15.845|15.845|0.0|0.0|15.85|15.84|15.84|15.84|15.76|15.85|15.84|15.85|15.85|15.84|15.84|15.86|14.84|16.89|15.84|15.85|15.81|15.87|15.84|15.89|15.84|15.85|17.91|10.81|3390187|518834821 9210|SLMBP|SLMBP|78442P502|US78442P5026|SLM Corp|PFD SER B||B|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN6-2|TXN10-8|TXN6-3|TXN5-1|2510000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||68.8|68.75|0.0|0.0|68.7|0.0|68.71|68.32|0.0|0.0|0.0|0.0|68.82|0.0|0.0|67.88|68.25|68.72|68.7|68.72|0.0|0.0|0.0|0.0|66.64|70.46|0.0|0.0|0.0|0.0|68.0|68.85|69.2|53.2|20408|2084607 67455|SLN|SLN|82686Q101|US82686Q1013|Silence Therapeutics PLC|ADR||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN6-7|TXN12-4|TXN6-3|TXN5-8|107810000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||GBR||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||13.62|13.69|0.0|0.0|13.44|13.95|13.61|13.82|0.0|0.0|0.0|0.0|13.78|13.99|0.0|13.9|0.0|13.6|0.0|13.78|0.0|0.0|0.0|0.0|13.21|14.92|0.0|14.11|13.23|14.37|13.6|14.06|17.99|4.545|48829|14465407 70119|SLNA|SLNA|G8059B101|GB00BQ1MW662|Selina Hospitality PLC|ORD||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-2|TXN6-2|TXN13-8|TXN5-5|TXN5-1|107250000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||GBR||||40|4050|405010|40501025|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Hotels and Motels |N||N||||||N|0|Y|C|||||0.185|0.1818|0.0|0.19|0.185|0.1844|0.1822|0.1908|0.0|0.0|0.185|0.19|0.19|0.19|0.0|0.186|0.0|0.1822|0.2|0.19|0.1505|0.2312|0.1505|0.2312|0.1698|0.2026|0.1505|0.2312|0.0|0.0|0.1822|0.19|4.0|0.1818|5316430|52476633 70118|SLNAW|SLNAW|G8059B119|GB00BNDXMT97|Selina Hospitality PLC|WT EXP 102727||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-5|TXN5-3|TXN11-2|TXN6-5|TXN6-7|97870000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||GBR||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0035|0.0125|0.0|0.0|0.0|0.0|0.004|0.0099|0.2195|0.0012|10|3445688 73014|SLND|SLND|84445C100|US84445C1009|Southland Holdings, Inc.|Common Stock|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-8|TXN2-7|TXN4-8|TXN1-4|TXN1-7|47890000|||NotApplicable|||||2023-03-02||||||| | | | | | | | | |||N|0|N|N|100A|USA|US|||50|5010|501010|50101010|Industrials|Construction and Materials|Construction and Materials |Construction|N||N||||||N|0|Y||Y|2|||5.32|5.34|0.0|0.0|5.25|5.26|5.245|5.25|0.0|0.0|0.0|5.35|5.225|0.0|0.0|0.0|5.31|5.31|0.0|5.31|0.0|0.0|5.19|5.3|5.0|5.35|0.0|0.0|0.0|0.0|5.19|5.3|10.85|5.1526|6502|11717474 73015|SLND WS|SLND.WS|84445C118|US84445C1181|Southland Holdings, Inc.|Redeemable Warrants, each whole warrant exercisable for shares of common stock at an exercise price of $11.50 per share|Operating company|C|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN12-7|TXN3-7|TXN3-8|TXN2-1|TXN2-3|47860000|||NotApplicable|||||2023-03-02|2028-03-02|||||| | | | | | | | | |||N|0|N|N|100A|USA|US|||||||||||N||N||||||N|0|Y|D|N||||0.0|0.0|0.0|0.0|0.0|0.4393|0.4394|0.0|0.0|0.0|0.49|0.0|0.46|0.0|0.0|0.0|0.46|0.46|0.0|0.46|0.0|0.0|0.4393|0.46|0.33|0.9999|0.0|0.0|0.0|0.0|0.4393|0.46|1.34|0.401|2022|4114909 24543|SLNG|SLNG|85236P101|US85236P1012|Stabilis Energy Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN6-2|TXN13-4|TXN6-8|TXN6-1|18570000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||60|6010|601010|60101020|Energy|Energy|Oil, Gas and Coal|Oil Refining and Marketing|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|4.7|0.0|0.0|0.0|0.0|4.72|0.0|4.72|3.53|5.7|0.0|0.0|4.24|4.94|3.53|5.7|0.0|0.0|4.5|4.7|6.76|3.0|653|3714039 55764|SLNH|SLNH|583543301|US5835433013|Soluna Holdings Inc|COM USD1||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN6-2|TXN10-2|TXN5-2|TXN5-4|1610000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101020|10102030|Technology|Technology|Technology Hardware and Equipment|Computer Hardware|N||N||||||N|0|Y||||||3.33|3.54|0.0|0.0|3.47|3.56|3.65|3.66|0.0|0.0|3.57|3.7|3.65|3.527|0.0|3.6|0.0|3.65|3.46|3.65|2.76|4.47|2.76|4.48|3.46|3.81|3.47|3.77|3.45|3.77|3.58|3.66|4.4|0.1401|343811|132147641 71481|SLNHP|SLNHP|583543202|US5835432023|Soluna Holdings Inc|9% CUM PFD A||B|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN5-2|TXN12-7|TXN6-1|TXN6-2|3060000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|3.3|3.22|3.16|0.0|0.0|0.0|3.25|3.46|0.0|0.0|0.0|0.0|3.22|0.0|3.22|0.0|0.0|0.0|0.0|3.2|3.67|0.0|0.0|0.0|0.0|3.2|3.46|3.9|0.75|9464|867338 48855|SLNO|SLNO|834203309|US8342033094|Soleno Therapeutics Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN5-7|TXN12-7|TXN6-1|TXN6-8|30500000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||29.25|28.87|0.0|29.34|29.17|28.95|28.905|28.95|0.0|0.0|29.01|29.02|28.94|29.43|29.01|28.91|29.49|28.905|29.2|28.94|28.46|29.55|22.57|35.78|28.48|29.46|28.76|29.1|28.73|29.13|28.87|28.94|30.53|0.85|389307|91436941 9211|SLP|SLP|829214105|US8292141053|Simulations Plus Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN5-8|TXN13-5|TXN6-7|TXN6-4|19940000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||||||0.0|38.82|0.0|38.77|38.79|38.84|38.84|38.86|0.0|38.61|38.82|38.62|38.82|0.0|38.62|38.81|38.8|38.77|0.0|38.82|38.41|39.27|30.07|47.83|38.69|38.82|38.64|38.96|38.73|39.02|38.77|38.82|52.69|32.575|108143|25409239 42900|SLQD|SLQD|46434V100|US46434V1008|iShares 0-5 Year Investment Grade Corporate Bond ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN5-5|TXN13-3|TXN6-7|TXN6-3|45850000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||48.67|48.655|0.0|0.0|48.67|48.655|48.6514|48.655|0.0|0.0|48.655|48.655|48.665|48.65|48.655|48.655|48.65|48.67|48.64|48.665|48.66|48.69|48.63|48.68|48.66|48.67|48.63|48.69|48.63|48.69|48.66|48.67|48.7864|47.5836|222702|84738571 66494|SLQT|SLQT|816307300|US8163073005|SelectQuote, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN1-1|TXN6-8|TXN3-6|TXN1-2|167730000|||NotApplicable|||||2020-05-21||||||| | | | | | | | | |||N|0|N|Y|410B|USA|US|||40|4020|402010|40201070|Consumer Discretionary|Consumer Products and Services|Consumer Services |Consumer Services: Misc.|N||N||||||Y|0|Y||Y|2|||1.33|1.33|0.0|0.0|1.34|1.33|1.33|1.335|0.0|0.0|1.335|1.34|1.33|1.32|1.29|1.34|1.31|1.33|1.34|1.34|1.33|1.34|1.03|1.63|1.32|1.36|1.31|1.37|1.3|1.38|1.33|1.34|2.94|0.52|514380|342127981 32251|SLRC|SLRC|83413U100|US83413U1007|SLR Investment Corp|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN5-6|TXN11-7|TXN5-6|TXN5-2|54560000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||Y|0|Y||||||15.33|15.33|0.0|0.0|15.34|15.33|15.33|15.335|0.0|0.0|15.33|15.33|15.32|15.33|15.33|15.33|15.33|15.33|0.0|15.32|15.19|15.47|11.69|18.86|15.22|15.45|15.29|15.36|0.0|15.36|15.32|15.34|16.085|13.48|189822|48601084 75673|SLRN|SLRN|00445A100|US00445A1007|Acelyrin Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN5-4|TXN13-5|TXN6-8|TXN6-1|97340000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||6.91|6.91|0.0|6.89|6.91|6.91|6.9075|6.9|0.0|0.0|6.89|6.96|6.91|6.91|6.86|6.9|6.9|6.9075|6.89|6.91|6.76|6.99|5.39|8.4|6.77|6.97|6.88|6.92|6.87|6.92|6.9|6.91|29.88|5.77|1137899|162003012 49252|SLRX|SLRX|79400X305|US79400X3052|Salarius Pharmaceuticals Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-4|TXN5-8|TXN13-4|TXN6-7|TXN6-8|3940000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||0.6901|0.6785|0.0|0.0|0.6901|0.6705|0.6853|0.681|0.0|0.0|0.7|0.7|0.6754|0.0|0.0|0.0|0.0|0.6853|0.0|0.6853|0.646|0.735|0.5428|0.816|0.626|0.73|0.5428|0.816|0.0|0.0|0.6705|0.7|4.44|0.605|23066|23455719 27456|SLS|SLS|81642T209|US81642T2096|SELLAS Life Sciences Group Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN6-4|TXN14-4|TXN5-3|TXN5-7|32060000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||1.085|1.09|0.0|0.0|1.09|1.08|1.08|1.07|0.0|0.0|1.08|1.11|1.09|1.08|1.09|1.08|1.07|1.07|1.12|1.09|1.05|1.09|0.856|1.28|1.07|1.11|1.05|1.11|1.04|1.11|1.07|1.09|4.13|0.8089|1294540|84674425 16419|SLV|SLV|46428Q109|US46428Q1094|iShares Silver Trust|Shares of the iShares Silver Trust|Trust|ETV|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-1|TXN1-8|TXN2-7|TXN4-3|TXN3-8|473000000|||NotApplicable|||||2008-12-03|2046-04-21|SLV.NV|SLV.SO| | |SLV.IV| | | | | | | | | |1x|The objective of the iShares Silver Trust is for the value of the shares of the iShares Silver Trust to reflect, at any given time, the price of silver owned by the iShares Silver Trust at that time, less the iShares Silver Trusts expenses and liabilities. The objective of the trust is for the Shares to reflect the price of silver owned by the trust less the trusts expenses and liabilities. The Shares are listed and traded on NYSE Arca under the symbol SLV. Market prices for the Shares may be different from the net asset value per Share.|N|0|N|N|416A|USA|US|COMMODITIES_AND_FUTURES|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||22.455|22.45|0.0|22.45|22.44|22.45|22.45|22.45|0.0|0.0|22.45|22.45|22.45|22.45|22.45|22.45|22.44|22.46|22.45|22.46|22.45|22.48|22.44|22.46|22.45|22.46|22.43|22.46|22.42|22.47|22.45|22.46|23.94|18.38|30668293|3944813529 71650|SLVM|SLVM|871332102|US8713321029|Sylvamo Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|P|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN3-7|TXN9-8|TXN3-8|TXN1-1|41550000|||Quarterly|||||2021-09-14||||||| | | | | | | | | |||N|0|N|Y|136C|USA|US|||55|5510|551010|55101015|Basic Materials|Basic Resources|Industrial Materials|Paper|N||N||||||Y|0|Y||Y|2|||52.1|52.74|0.0|52.76|52.74|52.73|52.61|52.73|0.0|0.0|52.74|52.73|52.62|52.65|52.61|52.6|52.54|52.62|52.37|52.6|52.6|52.61|39.87|63.7|52.25|53.14|52.5|52.71|52.48|52.73|52.6|52.61|57.38|37.59|311619|83947347 41847|SLVO|SLVO|22542D225|US22542D2255|Credit Suisse X-Links Silver Shares Covered Call ETNs due April 21 2033|STRUCT PRODUCT||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN5-6|TXN10-7|TXN6-7|TXN6-3|180000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||BHS||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||76.55|76.56|0.0|76.11|76.57|75.78|75.74|75.68|0.0|0.0|75.75|75.71|75.95|75.69|0.0|0.0|0.0|75.69|0.0|75.95|72.79|79.73|75.67|76.22|75.67|76.22|75.67|76.22|75.68|75.99|75.68|75.99|90.87|65.1|17428|3183678 39518|SLVP|SLVP|464286327|US4642863272|iShares MSCI Global Silver and Metals Miners ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-6|TXN2-3|TXN1-5|TXN3-7|TXN2-5|17300000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||0.0|10.25|0.0|0.0|10.25|10.23|10.248|10.23|0.0|0.0|10.3|0.0|10.23|10.23|0.0|0.0|0.0|10.25|0.0|10.25|9.54|10.97|7.79|12.58|10.05|10.41|9.73|10.83|0.0|0.0|10.2|10.25|12.53|8.04|93506|19099726 17373|SLX|SLX|92189F205|US92189F2056|VanEck ETF Trust|VanEck Steel ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||VanEck Vectors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-7|TXN4-5|TXN7-5|TXN2-4|TXN4-7|1750000|||Yearly|||||2008-11-21||SLX.NV|SLX.SO|SLX.EU|SLX.TC|SLX.IV| | | | | | | | | |1x|The Market Vectors Steel ETF seeks to replicate as closely as possible, before fees and expenses, the price and yield performance of the NYSE Arca Steel Index (STEEL), a modified market capitalization-weighted index comprised of publicly traded companies predominantly involved in the production of steel products or mining and processing of iron ore. The Fund normally invests at least 80% of its total assets in common stocks and American depositary receipts (ADRs) of companies involved in the steel industry. Such companies may include medium-capitalization companies and foreign issuers.|N|0|N|N|406C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||70.32|0.0|0.0|69.2|70.29|71.25|70.3599|0.0|0.0|0.0|0.0|0.0|70.36|70.45|0.0|0.0|0.0|70.3377|0.0|70.3377|69.57|71.03|70.23|70.37|70.23|70.47|70.15|73.86|70.17|70.56|69.97|73.86|71.5|55.19|10557|5937834 5889|SLYG|SLYG|78464A201|US78464A2015|SPDR Series Trust|SPDR S&P 600 Small Cap Growth ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|IMC Chicago, LLC, DBA IMC Financial Markets|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-8|TXN4-4|TXN9-7|TXN1-7|TXN2-1|35800028|||Quarterly|||||2008-11-06||SLYG.NV|SLYG.SO|SLYG.EU|SLYG.TC|SLYG.IV| | | | | | | | | |1x|The SPDR S&P 600 Small Cap Growth ETF, before expenses, seeks to closely match the returns and characteristics of the S&P Small Cap 600 Growth Index.The S&P SmallCap 600 Growth Index measures the performance of the small-capitalization growth sector in the U.S. equity market. The selection universe for the S&P SmallCap 600 Index includes all U.S. common equities listed on the NYSE, NASDAQ Global Select Market, NASDAQ Select Market and NASDAQ Capital Market with market capitalizations between $250 million and $1.2 billion. The Index is market capitalization weighted and rebalanced annually on the third Friday of December.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||77.62|77.57|0.0|0.0|77.63|77.48|77.5643|77.07|0.0|0.0|77.45|0.0|77.58|77.29|76.85|77.48|76.59|77.54|77.32|77.54|72.95|81.08|77.36|77.85|77.54|77.73|77.36|77.85|77.36|77.85|77.54|77.73|80.96|68.64|92421|29685398 5901|SLYV|SLYV|78464A300|US78464A3005|SPDR Series Trust|SPDR S&P 600 Small Cap Value ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-5|TXN4-8|TXN4-5|TXN1-2|TXN3-2|47952102|||Quarterly|||||2008-11-06||SLYV.NV|SLYV.SO|SLYV.EU|SLYV.TC|SLYV.IV| | | | | | | | | |1x|The SPDR S&P 600 Small Cap Value ETF, before expenses, seeks to closely match the returns and characteristics of the S&P Small Cap 600 Value Index. The S&PSmallCap 600 Value Index measures the performance of the small-capitalization value sector in the U.S. equity market. The selection universe for the S&P SmallCap 600 Index includes all U.S. common equities listed on the NYSE, NASDAQ Global Select Market, NASDAQ Select Market and NASDAQ Capital Market with market capitalizations between $250 million and $1.2 billion. The Index is market capitalization weighted and rebalanced annually on the third Friday of December.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||77.28|77.27|0.0|0.0|77.52|77.51|77.5|76.43|0.0|0.0|77.28|75.02|77.5|77.36|77.28|77.34|77.51|77.54|0.0|77.54|77.37|77.64|77.32|77.73|77.49|77.54|77.3|77.73|77.31|77.73|77.49|77.54|86.96|66.4709|228904|57696323 9217|SM|SM|78454L100|US78454L1008|SM Energy Company|Capital Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-2|TXN1-7|TXN9-1|TXN4-6|TXN1-1|116310000|||Quarterly|||||2002-11-20||||||| | | | | | | | | |||N|0|N|Y|134B|USA|US|||60|6010|601010|60101010|Energy|Energy|Oil, Gas and Coal|Oil: Crude Producers|N||N||||||Y|0|Y||Y|2|||37.31|37.29|0.0|37.11|37.29|37.295|37.285|37.29|0.0|0.0|37.3|37.28|37.28|37.29|37.11|37.3|37.31|37.31|37.29|37.3|37.3|37.31|28.91|45.8|37.24|37.35|37.22|37.37|37.2|37.37|37.3|37.31|43.73|24.66|1189344|400913148 72397|SMAP|SMAP|84921J108|US84921J1088|SportsMap Tech Acquisition Corp|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN6-4|TXN13-5|TXN6-6|TXN6-5|5190000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||10.95|11.0|0.0|0.0|0.0|11.0|10.985|11.0|0.0|0.0|11.0|0.0|10.89|0.0|0.0|11.0|10.95|11.0|0.0|11.0|0.0|0.0|0.0|0.0|10.19|11.76|0.0|0.0|0.0|0.0|10.89|11.0|13.45|10.13|39704|5996726 72076|SMAPU|SMAPU|84921J207|US84921J2078|SportsMap Tech Acquisition Corp|UNITS||R|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN5-4|TXN12-5|TXN5-1|TXN5-4|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|10.396|0.0|0.0|0.0|0.0|0.0|10.82|0.0|0.0|0.0|0.0|10.82|0.0|10.82|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.82|11.91|12.505|9.45|4141|246491 72398|SMAPW|SMAPW|84921J116|US84921J1161|SportsMap Tech Acquisition Corp|WT EXP 090127||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-8|TXN6-8|TXN12-7|TXN6-3|TXN6-4|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y|C|||||0.0|0.0|0.0|0.0|0.0|0.0267|0.0266|0.0|0.0|0.0|0.0266|0.0267|0.0243|0.0|0.0|0.0|0.0|0.0267|0.0|0.0267|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0266|0.0279|0.3437|0.0158|5014|1178844 60926|SMAR|SMAR|83200N103|US83200N1037|Smartsheet Inc.|Class A common stock, no par value per share|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|U|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-1|TXN1-1|TXN6-2|TXN3-8|TXN3-4|135130000|||NotApplicable|||||2018-04-27||||||| | | | | | | | | |||N|0|Y|Y|180B|USA|US|||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||Y|1|||44.75|44.71|0.0|44.69|44.7|44.71|44.7|44.7|0.0|0.0|44.705|44.79|44.705|44.81|44.79|44.71|44.75|44.71|44.71|44.71|44.69|44.71|41.85|47.62|44.67|44.77|44.63|44.78|44.69|44.79|44.69|44.71|52.8125|34.78|1543957|322882756 75765|SMAY|SMAY|33740F466|US33740F4660|FT Cboe Vest U.S. Small Cap Moderate Buffer ETF - May|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-7|TXN1-3|TXN2-8|TXN4-7|TXN3-7|1350000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||21.02|21.1179|0.0|0.0|0.0|0.0|21.09|20.73|0.0|0.0|21.02|0.0|0.0|21.02|0.0|0.0|0.0|21.1179|0.0|21.1179|0.0|0.0|21.05|21.14|21.05|21.18|21.04|21.16|21.03|21.2|21.07|21.16|21.39|19.42|1533|3360464 27312|SMB|SMB|92189F528|US92189F5281|VanEck Short Muni ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-7|TXN1-1|TXN6-8|TXN3-8|TXN4-6|15100000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||16.99|16.99|0.0|0.0|0.0|16.995|16.99|16.995|0.0|0.0|17.0|0.0|16.995|17.05|0.0|16.995|17.005|16.99|17.015|16.99|16.07|17.98|15.86|18.19|16.99|17.04|16.07|17.98|16.66|17.38|16.99|17.0|17.09|16.6|193594|27794558 3691|SMBC|SMBC|843380106|US8433801060|Southern Missouri Bancorp Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN6-1|TXN12-1|TXN6-4|TXN5-5|11340000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||||||0.0|46.85|0.0|0.0|0.0|46.75|46.64|0.0|0.0|0.0|0.0|0.0|46.64|0.0|46.95|0.0|0.0|46.64|0.0|46.64|45.37|48.12|0.0|0.0|45.49|47.82|0.0|0.0|0.0|0.0|46.63|46.82|52.03|30.28|19933|6659995 11359|SMBK|SMBK|83190L208|US83190L2088|SmartFinancial Inc|Common Stock|Operating company|A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN5-5|TXN13-1|TXN5-8|TXN6-2|17000000|||Adhoc|||||||||||| | | | | | | | | |||N|0|N|N|402C|USA|US|||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||||||0.0|23.14|0.0|0.0|0.0|22.94|23.1|23.23|0.0|0.0|0.0|0.0|22.98|0.0|0.0|0.0|0.0|23.12|0.0|22.98|22.54|23.66|0.0|0.0|22.61|23.1|0.0|25.0|0.0|0.0|22.98|23.1|29.8|18.86|14880|7782209 61494|SMCI|SMCI|86800U104|US86800U1043|Super Micro Computer Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN5-4|TXN14-7|TXN5-3|TXN5-1|53310000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101020|10102030|Technology|Technology|Technology Hardware and Equipment|Computer Hardware|N||N||||||Y|0|Y||||||266.02|266.13|0.0|266.26|266.33|266.2|266.39|266.21|0.0|0.0|266.41|265.9|266.35|266.24|266.17|266.46|264.79|266.13|265.9|266.35|264.8|268.03|205.0|324.6|266.13|266.92|265.82|266.72|266.13|266.39|266.13|266.39|356.9999|69.02|2959802|598365842 76696|SMCO|SMCO|88636J675|US88636J6753|Hilton Small-MidCap Opportunity ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN5-3|TXN12-5|TXN5-7|TXN6-7|50000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|20.86|0.0|0.0|0.0|0.0|0.0|20.8331|0.0|0.0|20.86|0.0|20.86|0.0|20.8331|20.74|20.85|15.64|25.65|20.74|20.85|15.64|25.65|0.0|0.0|20.8|20.85|20.86|20.1189|26752|573798 49677|SMCP|SMCP|26922A834|US26922A8348|AlphaMark Actively Managed Small Cap ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN5-7|TXN13-3|TXN6-6|TXN6-5|1000000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|27.0201|0.0|0.0|0.0|0.0|0.0|27.1472|0.0|0.0|0.0|0.0|27.0201|0.0|27.1472|26.81|27.38|0.0|0.0|26.89|27.38|25.19|28.97|0.0|0.0|27.11|27.18|27.75|23.44|360|353126 32268|SMDD|SMDD|74347G663|US74347G6632|ProShares Trust|ProShares UltraPro Short MidCap400|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ProShares Advisors |Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-6|TXN2-7|TXN7-7|TXN2-8|TXN2-8|248643|||Quarterly|||||2010-02-10||SMDD.NV|SMDD.SO|SMDD.EU|SMDD.TC|SMDD.IV| | | | | | | | | |-3x|ProShares UltraPro Short MidCap400 (SMDD) seeks daily investment results, before fees and expenses, that correspond to triple (300%) the inverse (opposite) of the daily performance of the S&P MidCap 400 Index. The S&P MidCap 400 Index is a measure of mid-size company U.S. stock market performance. It is a float-adjusted market capitalization weighted index of 400 U.S. operating companies and REITs. Securities are selected for inclusion in the index by the S&P U.S. Index Committee through a non-mechanical process that factors criteria such as liquidity, price, market capitalization and financial viability.|N|0|N|N|416A|USA|US|EQUITY|INVERSE|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||16.06|0.0|0.0|0.0|15.98|16.14|16.154|0.0|0.0|0.0|16.21|16.21|0.0|16.06|0.0|0.0|0.0|16.0017|0.0|16.0017|15.52|16.53|0.0|0.0|15.99|16.04|15.25|17.06|0.0|0.0|16.0|16.03|24.1108|14.825|14198|3425949 49309|SMDV|SMDV|74347B698|US74347B6983|ProShares Russell 2000 Dividend Growers ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-8|TXN2-2|TXN2-7|TXN2-3|TXN1-7|12940001|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||60.99|61.13|0.0|0.0|61.15|60.99|61.1362|61.15|0.0|0.0|61.14|58.33|60.99|61.01|61.02|61.02|0.0|61.13|0.0|61.13|61.02|61.24|60.94|61.29|61.08|61.17|60.94|61.29|60.94|61.29|61.11|61.15|66.96|53.09|60659|11577669 65421|SMDY|SMDY|87166N205|US87166N2053|Syntax ETF Trust|Syntax Stratified MidCap ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Syntax Advisors|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-5|TXN3-4|TXN5-8|TXN4-6|TXN4-7|275000|||Yearly|||||2020-01-17||SMDY.NV|SMDY.SO|SMDY.EU|SMDY.TC|SMDY.IV| | | | | | | | | |1x|The Syntax Stratified MidCap ETF (the Fund) seeks to provide investment results that, before expenses, correspond generally to the total return performance of publicly traded equity securities of companies comprising the Syntax Stratified MidCap Index (the Index).|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|39.1429|0.0|39.1429|0.0|0.0|0.0|0.0|39.1|39.17|30.74|46.59|0.0|0.0|39.1|39.17|40.2048|34.0443|0|67204 35939|SMFG|SMFG|86562M209|US86562M2098|Sumitomo Mitsui Financial Group, Inc.|American Depositary Shares (representing 1/5th of a share of common stock)|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-5|TXN4-5|TXN7-4|TXN3-4|TXN1-3|1337530000|||BiAnnually|||||2010-11-01||||||| | | | | | | | | |||N|0|N|Y|402A|JPN|JP|||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||Y|2|||9.77|9.77|0.0|9.77|9.765|9.77|9.7701|9.775|0.0|0.0|9.77|9.77|9.77|9.775|9.76|9.76|9.775|9.765|9.77|9.76|9.76|9.77|7.55|11.95|9.76|9.78|9.75|9.8|9.75|9.77|9.76|9.77|10.58|6.655|1433897|574368536 73485|SMFL|SMFL|83204U509|US83204U5092|Smart for Life Inc|COM USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN6-3|TXN11-3|TXN5-2|TXN5-4|800000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||45|4510|451020|45102020|Consumer Staples |Food, Beverage and Tobacco |Food Producers|Food Products|N||N||||||N|0|Y|D|||||1.499|1.43|0.0|0.0|1.45|1.43|1.41|1.44|0.0|0.0|1.46|1.46|1.44|1.56|0.0|1.43|0.0|1.41|1.42|1.44|1.15|1.7|1.15|1.7|1.41|1.5|1.15|1.62|0.0|0.0|1.41|1.45|7.59|0.0901|2320535|184478003 9223|SMG|SMG|810186106|US8101861065|The Scotts Miracle-Gro Company|Commmon Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|C|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-6|TXN3-4|TXN2-6|TXN3-4|TXN1-2|56550000|||Quarterly|||||1995-12-29||||||| | | | | | | | | |||N|0|Y|Y|154A|USA|US|||55|5520|552010|55201015|Basic Materials|Chemicals|Chemicals|Fertilizers|N||N||||||Y|0|Y||Y|1|||59.5|59.61|0.0|59.47|59.56|59.59|59.585|59.56|0.0|0.0|59.57|59.58|59.56|59.56|59.6|59.58|59.5|59.57|59.575|59.58|59.57|59.58|55.28|63.14|59.18|59.61|59.47|59.72|59.42|59.71|59.57|59.58|88.61|43.67|653656|179411157 39378|SMH|SMH|92189F676|US92189F6768|VanEck Semiconductor ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN6-4|TXN14-2|TXN6-7|TXN5-6|68290000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||158.77|158.74|0.0|156.65|158.74|158.74|158.75|158.765|0.0|0.0|158.76|158.77|158.78|158.78|158.78|158.755|158.77|158.76|158.79|158.78|158.43|159.07|147.58|167.58|158.75|158.78|151.81|165.22|158.52|158.96|158.77|158.78|263.57|121.59|8136978|1462719970 62259|SMHB|SMHB|90274E166|US90274E1661|UBS AG|ETRACS 2xMonthly Pay Leveraged US Small Cap High Dividend ETN Series B due November 10, 2048|Operating company|ETN|N|N|P|Y|Y|Y|Y|Y||||||||UBS|IMC Chicago, LLC, DBA IMC Financial Markets|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-8|TXN4-5|TXN4-8|TXN3-1|TXN4-8|5700000|||Monthly|||||2018-11-09|2048-11-10| |SMHB.SO| | |SMHB.IV| | | | | | | | | |2x|The ETRACS Monthly Pay 2xLeveraged US Small Cap High Dividend ETN Series B due November 10, 2048 (the Securities) are a linked to the performance of the 2x monthly compounded leveraged return version of the Solactive US Small Cap High Dividend Index (the Index). The Securities are senior unsecured debt securities issued by UBS AG (UBS). |N|0|N|N|416A||CH|EQUITY|LEVERAGED|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|6.6|6.7|6.7099|5.88|0.0|0.0|6.68|0.0|6.705|0.0|0.0|0.0|6.62|6.6361|0.0|6.6361|4.89|8.17|4.89|8.17|6.36|6.71|4.89|8.17|0.0|0.0|6.36|6.71|8.75|4.0175|37355|11181609 57531|SMHI|SMHI|78413P101|US78413P1012|SEACOR Marine Holdings Inc.|Common stock, par value $0.01|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|J|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN3-3|TXN3-8|TXN4-3|TXN3-2|27160000|||Monthly|||||2017-05-18||||||| | | | | | | | | |||N|0|N|Y|208A|USA|US|||60|6010|601010|60101015|Energy|Energy|Oil, Gas and Coal|Offshore Drilling and Other Services|N||N||||||N|0|Y||Y|2|||12.43|12.4|0.0|12.07|12.42|12.43|12.34|12.39|0.0|0.0|12.45|11.6|12.36|12.37|12.37|12.39|12.37|12.34|12.46|12.39|12.34|12.38|9.51|15.22|12.26|12.49|9.51|15.22|12.26|12.5|12.34|12.38|15.24|7.04|70648|19067195 71623|SMI|SMI|92189H813|US92189H8135|VanEck HIP Sustainable Muni ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-1|TXN4-6|TXN9-8|TXN2-5|TXN2-4|400000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|45.655|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|45.0062|0.0|0.0|0.0|45.655|0.0|45.655|0.0|0.0|0.0|0.0|45.63|45.7|0.0|0.0|0.0|0.0|45.63|45.68|46.515|43.03|38|197950 14627|SMID|SMID|832156103|US8321561032|Smith-Midland Corp|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN5-1|TXN11-6|TXN6-3|TXN6-7|5260000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5010|501010|50101030|Industrials|Construction and Materials|Construction and Materials |Cement|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|33.5|33.0622|0.0|0.0|0.0|33.25|0.0|33.51|0.0|0.0|0.0|0.0|33.5|0.0|33.51|31.89|34.93|0.0|0.0|32.06|34.88|0.0|0.0|32.49|34.28|32.96|33.67|33.61|14.0|22224|1903570 71536|SMIG|SMIG|26922B832|US26922B8321|ETF Series Solutions|AAM Bahl & Gaynor Small/Mid Cap Income Growth ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Advisors Asset Management|RBC Capital Markets, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-3|TXN4-2|TXN2-6|TXN2-8|TXN4-8|14820000|||Monthly|||||2021-08-26||SMIG.NV|SMIG.SO|SMIG.EU|SMIG.TC| | | | | | | | | | |1x|The AAM Bahl & Gaynor Small/Mid Cap Income Growth ETF is an actively manaed exchange traded fund (ETF) that invests in equity securities of small and mid capitalization companies in the United States. Under normal circumstances, the Fund will invest at least 80% of its net assets (plus any borrowings for investment purposes) in small and mid capitalization companies. The Fund defines a small or mid capitalization company as an issuer whose market capitalization at the time of purchase is between $200 million and the market capitalization of the largest company in the Russell 2500 Index.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||24.31|24.31|0.0|0.0|24.31|24.31|24.31|24.31|0.0|0.0|24.32|0.0|24.26|24.31|24.26|24.31|24.28|24.31|0.0|24.31|18.56|29.51|18.56|29.51|24.27|24.35|18.56|29.51|0.0|0.0|24.27|24.35|24.94|21.5|97742|14666775 39560|SMIN|SMIN|46429B614|US46429B6149|iShares MSCI India Small-Cap ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-1|TXN3-3|TXN5-8|TXN3-6|TXN2-3|7550000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||68.05|67.85|0.0|67.84|68.0|68.03|68.04|68.04|0.0|0.0|67.99|0.0|67.93|68.06|68.0|68.01|0.0|67.85|0.0|67.85|64.66|71.62|66.42|69.42|67.51|68.45|66.41|69.43|66.41|69.43|67.85|68.07|68.24|48.11|196361|15370663 76427|SMIZ|SMIZ|98888G204|US98888G2049|Zacks Trust|Zacks Small/Mid Cap ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Ultimus Fund Solutions (Zacks Investment Management)|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-4|TXN1-2|TXN2-8|TXN3-5|TXN4-7|400000|||Yearly|||||2023-10-03||SMIZ.NV|SMIZ.SO|SMIZ.EU|SMIZ.TC| | | | | | | | | | ||The Fund seeks to generate positive risk-adjusted returns (positive rate of return after adjustment for the amount of risk taken) by, under normal circumstances, investing at least 80% of its net assets (including any borrowings for investment purposes) in equity securities of small and midsize companies listed on U.S. stock exchanges or derivatives linked to such securities. The small and mid-cap securities are generally common stock selected from constituents in the Russell Mid Cap Index and Russell 2000 Index. As of July 31, 2023, the average market capitalization of the constituents in the Russell Mid Cap Index was $23.35 billion, and the average market capitalization of the constituents in the Russell 2000 Index was $3.06 billion. The Fund is actively managed. The Fund may invest in companies in any economic sector.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|26.66|0.0|0.0|0.0|0.0|26.67|0.0|0.0|0.0|0.0|0.0|26.66|0.0|0.0|0.0|0.0|26.7558|0.0|26.7558|26.47|27.03|0.0|0.0|26.73|26.77|24.78|28.53|0.0|0.0|26.73|26.77|26.76|23.56|11591|455326 69301|SMLE|SMLE|233051119|US2330511195|DBX ETF Trust|Xtrackers S&P SmallCap 600 ESG ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||DBX Advisors|RBC Capital Markets, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-6|TXN2-4|TXN5-7|TXN4-6|TXN4-7|450001|||Quarterly|||||2021-02-24||SMLE.NV|SMLE.SO|SMLE.EU|SMLE.TC|SMLE.IV| | | | | | | | | |1x|Fund will aim to track underlying index, which aims to provide exposure to US small-cap equities with ESG considerations|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|24.35|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|24.5543|0.0|24.5543|0.0|0.0|0.0|0.0|24.49|24.61|24.49|24.61|0.0|0.0|24.49|24.61|25.9416|21.5286|303|182911 49734|SMLF|SMLF|46434V290|US46434V2907|iShares Trust|iShares U.S. Small Cap Equity Factor ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-2|TXN2-7|TXN5-7|TXN2-3|TXN4-5|14250000|||Quarterly|||||2015-04-30||SMLF.NV|SMLF.SO|SMLF.EU|SMLF.TC|SMLF.IV| | | | | | | | | |1x|The Underlying Index is designed to select equity securities from MSCI USA Small Cap Index (the Parent Index) that have high exposure to four investment style factors: value, quality, momentum and size while maintaining a level of risk similar to that of the Parent Index. The Underlying Index is also constrained in its construction to limit turnover and extreme exposures to particular sectors, countries, component weights or other investment style factors.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||54.92|54.79|0.0|0.0|54.85|54.84|54.9495|54.92|0.0|0.0|54.47|0.0|54.92|54.84|52.85|54.47|0.0|54.9495|0.0|54.9495|54.9|57.71|54.77|55.1|54.9|54.99|54.76|55.1|54.76|55.1|54.9|55.1|56.66|47.7676|43900|17353216 40790|SMLP|SMLP|866142409|US8661424098|Summit Midstream Partners, LP|Common Units representing limited partner interests|Limited partnership|A|N|N|N|Y|Y|Y|Y|Y|5|A|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN2-4|TXN7-8|TXN1-3|TXN2-7|10380000|||Quarterly|||||2012-09-28||||||| | | | | | | | | |||N|0|N|N|134B|USA|US|||60|6010|601010|60101035|Energy|Energy|Oil, Gas and Coal|Pipelines|N||N||||||N|0|Y||Y|2|||19.43|19.38|0.0|19.43|0.0|19.38|19.19|19.0|0.0|0.0|18.87|19.62|19.38|19.12|0.0|19.26|0.0|19.78|19.43|19.26|19.25|19.78|0.0|0.0|18.89|20.48|18.28|20.48|0.0|0.0|19.25|19.78|21.4|13.0|53000|3212950 43564|SMLR|SMLR|81684M104|US81684M1045|Semler Scientific Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN5-5|TXN11-4|TXN5-5|TXN5-7|6870000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||N|0|Y||||||40.75|40.91|0.0|40.69|0.0|40.4|40.7|40.87|0.0|0.0|40.13|40.24|40.73|41.29|40.15|40.21|0.0|40.7|39.9|40.73|40.09|41.79|31.0|50.06|40.38|41.31|40.41|41.16|40.73|41.27|40.73|40.95|43.385|19.12|79782|13159375 41517|SMLV|SMLV|78468R887|US78468R8878|SPDR Series Trust|SPDR SSGA US Small Cap Low Volatility Index ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|IMC Chicago, LLC, DBA IMC Financial Markets|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-5|TXN1-8|TXN8-7|TXN1-2|TXN1-7|1710000|||Quarterly|||||2013-02-21||SMLV.NV|SMLV.SO|SMLV.EU|SMLV.TC|SMLV.IV| | | | | | | | | |1x|The SPDR Russell 2000 Low Volatility ETF (the Fund) seeks to provide investment results that, before fees and expenses, correspond generally to the total return performance of a small cap, low volatility index. In seeking to track the performance of the Russell 2000 Low Volatility Index (the Index), the Fund employs a sampling strategy, which means that the Fund is not required to purchase all of the securities represented in the Index. Instead, the Fund may purchase a subset of the securities in the Index in an effort to hold a portfolio of securities with generally the same risk and return characteristics of the Index. The quantity of holdings in the Fund will be based on a number of factors, including asset size of the Fund.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|105.8|106.0198|102.175|0.0|0.0|0.0|0.0|0.0|103.93|0.0|0.0|0.0|106.1594|0.0|106.1594|105.62|105.94|0.0|0.0|106.03|106.32|105.89|106.45|105.89|106.45|106.03|106.32|116.4621|93.3901|6106|1170913 59076|SMMD|SMMD|46435G268|US46435G2681|iShares Russell 2500 ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-6|TXN3-8|TXN1-8|TXN4-8|TXN1-6|15100000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||57.82|57.83|0.0|0.0|57.83|57.83|57.83|57.82|0.0|0.0|57.2|0.0|57.84|57.83|57.83|57.74|57.83|57.83|57.83|57.83|57.63|57.92|53.51|61.44|57.71|57.85|53.51|61.44|0.0|0.0|57.72|57.84|60.63|50.29|89178|15954746 3697|SMMF|SMMF|86606G101|US86606G1013|Summit Financial Group Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN6-8|TXN14-8|TXN6-2|TXN5-6|14680000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||||||25.09|25.065|0.0|0.0|0.0|24.95|24.885|24.975|0.0|0.0|25.0|25.02|25.0|0.0|0.0|0.0|0.0|24.96|0.0|25.0|24.49|25.42|0.0|0.0|24.94|25.34|0.0|0.0|0.0|0.0|24.94|24.98|28.47|17.06|17041|6856919 49452|SMMT|SMMT|86627T108|US86627T1088|Summit Therapeutics Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN5-1|TXN13-1|TXN6-1|TXN5-8|700840000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||GBR||||20|2010|201030|20103015|Health Care |Health Care |Pharmaceuticals and Biotechnology|Pharmaceuticals |N||N||||||Y|0|Y||||||2.25|2.245|0.0|2.26|2.25|2.245|2.24|2.245|0.0|0.0|2.245|2.25|2.25|2.245|2.25|2.245|2.25|2.245|2.25|2.25|2.22|2.25|1.77|2.74|2.22|2.25|2.22|2.27|2.23|2.26|2.24|2.25|5.78|0.75|1199428|421077835 14634|SMMU|SMMU|72201R874|US72201R8741|PIMCO ETF Trust|PIMCO Short Term Municipal Bond Active Exchange-Traded Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||PIMCO|Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-1|TXN3-4|TXN8-8|TXN2-1|TXN1-8|11100000|||Monthly|||||2010-02-01||SMMU.NV|SMMU.SO|SMMU.EU|SMMU.TC|SMMU.IV| | | | | | | | | ||PIMCO Short Term Municipal Bond Strategy Fund (SMMU) seeks attractive tax-exempt income, consistent with preservation of capital. The funds focus is on short maturity municipal securities (exempt from federal income tax). The Fund seeks to achieve its investment objective by investing under normal circumstances at least 80% of its assets in a diversified portfolio of debt securities whose interest is, in the opinion of bond counsel for the issuer at the time of issuance, exempt from federal income tax (Municipal Bonds). Municipal Bonds generally are issued by or on behalf of states and local governments and their agencies, authorities and other instrumentalities.|N|0|N|N|416A|USA|US|FIXED_INCOME|ACTIVE|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||49.79|49.76|0.0|47.958|49.74|49.74|49.7201|49.73|0.0|0.0|49.79|0.0|49.74|49.74|0.0|49.8|49.72|49.74|49.74|49.74|46.5|52.94|46.5|52.94|49.7|49.74|46.5|52.94|0.0|0.0|46.5|52.94|49.91|48.71|68153|14533503 53855|SMMV|SMMV|46435G433|US46435G4331|iShares MSCI USA Small-Cap Min Vol Factor ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-2|TXN1-8|TXN1-8|TXN2-1|TXN4-5|23900000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||34.98|35.06|0.0|0.0|35.06|34.98|35.06|35.0|0.0|0.0|35.01|0.0|35.04|34.98|34.96|34.99|34.93|35.06|0.0|35.06|34.98|35.11|32.85|37.26|35.03|35.07|35.0|35.11|0.0|0.0|35.03|35.06|36.799|31.9701|100390|15718266 18917|SMN|SMN|74347G614|US74347G6145|ProShares Trust|ProShares UltraShort Materials|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ProShares Advisors |Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-6|TXN1-2|TXN3-8|TXN3-4|TXN2-6|235083|||Quarterly|||||2010-04-15||SMN.NV|SMN.SO|SMN.EU|SMN.TC|SMN.IV| | | | | | | | | |-2x|ProShares UltraShort Basic Materials seeks daily investment results, before fees and expenses, that correspond to twice (200%) the inverse (opposite) of the daily performance of the Dow Jones U.S. Basic Materials Index. This ETF seeks a return of -200% of the return of an index (target) for a single day. Due to the compounding of daily returns, returns over periods other than one day will likely differ in amount and possibly direction from the target return for the same period. Investors should monitor their ProShares holdings consistent with their strategies, as frequently as daily. For more on correlation, leverage and other risks, please read the prospectus. The Dow Jones U.S. Basic Materials Index measures the performance of the basic materials economic sector of the U.S. equity market. Component companies are involved in the production of aluminum, commodity chemicals, specialty chemicals, forest products, non-ferrous metals, paper products, precious metals and steel. It is not possible to invest directly in an index.|N|0|N|N|416A|USA|US|EQUITY|INVERSE|||||||||N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|9.07|8.78|9.01|0.0|0.0|0.0|9.02|0.0|8.83|9.07|0.0|0.0|0.0|9.07|9.07|9.07|8.86|9.23|0.0|0.0|9.01|9.06|8.99|9.1|8.99|9.1|9.01|9.06|11.17|8.3|69365|3309743 24489|SMOG|SMOG|92189F502|US92189F5026|VanEck ETF Trust|VanEck Low Carbon Energy ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||VanEck Vectors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-1|TXN1-6|TXN3-8|TXN3-8|TXN3-3|1483298|||Yearly|||||2007-12-14||SMOG.NV|SMOG.SO|SMOG.EU|SMOG.TC|SMOG.IV| | | | | | | | | |1x|The Fund normally invests at least 80% of its total assets in stocks of low carbon energy companies. Such companies may include small- and medium-capitalization companies and foreign issuers. Low carbon energy companies refers to companies primarily engaged in alternative energy, including renewable energy, alternative fuels and related enabling technologies (such as advanced batteries). Alternative energy refers to the generation of power through environmentally friendly sources that can replace or supplement traditional fossil-fuel sources and that may reduce the global carbon footprint. It includes power derived principally from bio-fuels (such as ethanol), wind, solar, hydro and geothermal sources and also includes the various technologies that support the production, use and storage of these sources.|N|0|N|N|406C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|103.84|103.0|104.1526|103.33|0.0|0.0|0.0|0.0|0.0|103.84|0.0|0.0|0.0|104.0993|0.0|104.0993|97.2|110.89|0.0|0.0|103.7|104.48|97.2|110.89|0.0|0.0|103.7|104.48|129.8101|93.59|2975|790846 74728|SMOT|SMOT|92189H730|US92189H7301|VanEck Morningstar SMID Moat ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-8|TXN1-1|TXN2-7|TXN3-7|TXN3-7|6850000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||29.67|29.66|0.0|0.0|29.67|29.665|29.65|29.62|0.0|0.0|29.5|0.0|29.63|29.64|29.61|29.61|0.0|29.66|0.0|29.66|29.65|29.72|22.53|36.39|29.65|29.67|22.53|36.39|0.0|0.0|29.65|29.67|31.42|25.74|66049|13145710 9226|SMP|SMP|853666105|US8536661056|Standard Motor Products, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN2-3|TXN5-8|TXN3-3|TXN4-7|21730000|||Quarterly|||||1977-05-09||||||| | | | | | | | | |||N|0|N|Y|132B|USA|US|||40|4010|401010|40101025|Consumer Discretionary|Automobiles and Parts|Automobiles and Parts|Auto Parts|N||N||||||N|0|Y||Y|2|||37.09|37.54|0.0|37.27|37.49|37.29|37.59|37.545|0.0|0.0|36.42|37.49|37.57|37.3|37.5|37.59|36.81|37.57|35.42|37.59|37.56|37.57|28.98|45.85|37.42|37.61|37.49|37.64|37.56|37.65|37.56|37.57|42.42|30.1466|145657|26363792 59096|SMPL|SMPL|82900L102|US82900L1026|Simply Good Foods Co (The)|CL A COM USD.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN5-3|TXN13-1|TXN5-1|TXN6-4|99810000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||45|4510|451020|45102020|Consumer Staples |Food, Beverage and Tobacco |Food Producers|Food Products|N||N||||||Y|0|Y||||||39.97|39.98|0.0|39.94|39.95|40.01|39.95|39.95|0.0|0.0|39.96|39.97|39.96|39.95|40.02|39.96|40.14|39.95|39.97|39.96|39.92|40.27|30.21|48.65|39.9|40.27|39.92|40.01|39.91|40.01|39.95|39.98|40.31|31.06|871038|137185034 68409|SMR|SMR|67079K100|US67079K1007|NuScale Power Corporation|NuScale Corp Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-4|TXN1-2|TXN4-7|TXN1-7|TXN3-1|76780000|||NotApplicable|||||2022-05-03||||||| | | | | | | | | |||N|0|N|Y|302A|USA|US|||65|6510|651010|65101015|Utilities|Utilities|Electricity|Conventional Electricity|N||N||||||Y|0|Y||Y|2|||3.15|3.145|0.0|3.11|3.15|3.145|3.15|3.145|0.0|0.0|3.145|3.145|3.145|3.11|3.145|3.15|3.14|3.15|3.14|3.15|3.14|3.15|2.41|3.82|3.14|3.15|3.11|3.17|3.11|3.17|3.14|3.15|11.32|1.81|1881235|294999259 68410|SMR WS|SMR.WS|67079K118|US67079K1189|NuScale Power Corporation|NuScale Corp Warrants|Operating company|C|N|N|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN3-8|TXN1-4|TXN4-8|TXN3-2|TXN2-2|76420000|||NotApplicable|||||2022-05-03|2027-05-03|||||| | | | | | | | | |||N|0|N|N|302A|USA|US|||||||||||N||N||||||N|0|Y||N||||0.0|0.28|0.0|0.0|0.2778|0.28|0.28|0.0|0.0|0.0|0.28|0.2799|0.28|0.0|0.0|0.29|0.0|0.29|0.0|0.29|0.265|0.29|0.22|0.348|0.254|0.3092|0.22|0.348|0.0|0.0|0.272|0.303|2.27|0.1101|138524|24249696 76293|SMRI|SMRI|02072L425|US02072L4251|Bushido Capital US Equity ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN6-2|TXN12-2|TXN6-2|TXN6-5|10760000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|25.5|0.0|0.0|0.0|0.0|0.0|25.58|0.0|0.0|0.0|0.0|25.56|0.0|25.58|0.0|0.0|0.0|0.0|25.41|25.71|0.0|0.0|0.0|0.0|25.53|25.58|25.63|23.54|10344|2388458 71530|SMRT|SMRT|83193G107|US83193G1076|SmartRent, Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-6|TXN4-3|TXN5-8|TXN2-1|TXN3-8|203160000|||NotApplicable|||||2021-08-25||||||| | | | | | | | | |||N|0|N|Y|414A|USA|US|||10|1010|101010|10101010|Technology|Technology|Software and Computer Services|Computer Services|N||N||||||N|0|Y||Y|2|||3.26|3.25|0.0|3.26|3.25|3.25|3.255|3.255|0.0|0.0|3.25|3.25|3.255|3.26|3.25|3.25|3.25|3.25|3.255|3.25|3.25|3.26|2.45|4.0|3.25|3.26|3.22|3.28|3.22|3.28|3.25|3.26|4.12|2.03|986440|272364852 3703|SMSI|SMSI|832154207|US8321542073|Smith Micro Software Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-1|TXN6-2|TXN13-4|TXN5-5|TXN5-8|71930000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||||||0.722|0.7224|0.0|0.0|0.725|0.7223|0.7033|0.7184|0.0|0.0|0.7235|0.7223|0.73|0.0|0.0|0.7701|0.0|0.7033|0.0|0.73|0.6706|0.7645|0.5718|0.888|0.6888|0.7494|0.6676|0.7692|0.669|0.7678|0.7033|0.7347|3.47|0.6521|253470|82154826 3705|SMTC|SMTC|816850101|US8168501018|Semtech Corp|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN6-7|TXN11-6|TXN5-5|TXN6-3|64170000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101020|10102010|Technology|Technology|Technology Hardware and Equipment|Semiconductors|N||N||||||Y|0|Y||||||16.81|16.805|0.0|16.79|16.81|16.81|16.81|16.82|0.0|0.0|16.82|16.8|16.81|16.81|16.76|16.815|16.79|16.82|16.79|16.81|16.66|16.84|12.85|20.61|16.79|16.85|16.78|16.84|16.79|16.84|16.8|16.81|35.18|13.13|1737803|371182180 28189|SMTI|SMTI|79957L100|US79957L1008|Sanara Medtech Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN5-1|TXN11-7|TXN6-6|TXN6-4|8540000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201020|20102015|Health Care |Health Care |Medical Equipment and Services|Medical Supplies|N||N||||||N|0|Y||||||0.0|33.0|0.0|0.0|0.0|32.46|32.51|33.0|0.0|0.0|0.0|0.0|32.48|0.0|0.0|32.16|0.0|32.51|0.0|32.48|31.29|33.89|0.0|0.0|31.51|33.62|0.0|0.0|0.0|0.0|32.2|32.96|50.18|26.06|8431|3752692 70557|SMWB|SMWB|M84137104|IL0011751653|Similarweb Ltd.|Ordinary Shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|8|A|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN3-4|TXN9-8|TXN1-5|TXN3-3|76430000|||NotApplicable|||||2021-05-12||||||| | | | | | | | | |||N|0|N|Y|108B|ISR|IL|||50|5020|502050|50205020|Industrials|Industrial Goods and Services|Industrial Support Services|Professional Business Support Services|N||N||||||Y|0|Y||Y|2|||4.94|4.89|0.0|0.0|4.88|4.9|4.89|4.87|0.0|0.0|4.87|4.88|4.89|4.89|4.87|4.9|4.87|4.9|4.94|4.9|4.86|4.9|3.8|6.05|4.8|4.95|4.82|4.94|4.81|4.95|4.86|4.9|7.9541|4.65|154561|26052201 72795|SMX|SMX|G8267K141|IE0000TSCWD4|SMX (Security Matters) Public Ltd Co|ORD CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN5-2|TXN10-4|TXN6-3|TXN6-3|2920000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||ISR||||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||N|0|Y||||||1.1|1.09|0.0|0.0|0.0|1.1|1.09|1.08|0.0|0.0|1.08|1.1|1.08|0.0|0.0|1.105|0.0|1.09|0.0|1.09|0.856|1.14|0.856|1.32|1.0|1.19|1.04|1.14|1.04|1.14|1.07|1.12|4.76|0.1037|160586|588125309 72796|SMXWW|SMXWW|G8267K117|IE000P1K5QY9|SMX (Security Matters) Public Ltd Co|WT EXP 030728||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-2|TXN6-6|TXN13-5|TXN5-1|TXN6-6|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||ISR||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.01|0.01001|0.0|0.0|0.0|0.01|0.0|0.0081|0.0|0.0|0.0|0.0|0.01|0.0|0.01|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0081|0.01|0.1319|0.0025|4264|5649174 76074|SN|SN|G8068L108|KYG8068L1086|SharkNinja, Inc.|Ordinary Shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|5|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN3-3|TXN5-7|TXN2-2|TXN1-2|138980000|||Adhoc|||||2023-07-31||||||| | | | | | | | | |||N|0|N|Y|124A|USA|KY|||40|4020|402020|40202020|Consumer Discretionary|Consumer Products and Services|Household Goods and Home Construction|Household Appliance|N||N||||||N|0|Y||Y|2|||46.3|46.74|0.0|46.64|46.73|46.72|46.715|46.73|0.0|46.68|46.73|46.62|46.72|46.72|46.58|46.64|46.75|46.64|46.45|46.64|46.63|46.64|36.12|56.64|46.27|47.08|36.12|56.64|46.62|46.73|46.63|46.64|52.9|25.84|762655|114413717 9232|SNA|SNA|833034101|US8330341012|Snap-on Incorporated|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN1-7|TXN9-6|TXN2-8|TXN4-5|52780000|||Quarterly|||||1978-02-27||||||| | | | | | | | | |||N|5|Y|Y|126E|USA|US|||50|5020|502040|50204040|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Tools|N||N||||||Y|0|Y||Y|1|||279.91|280.84|0.0|280.47|279.81|280.84|280.92|280.91|0.0|0.0|280.7|280.12|280.84|280.9|279.97|280.92|273.66|280.92|278.66|280.92|280.78|280.92|262.72|297.1|280.71|281.05|280.51|281.18|280.78|281.19|280.78|280.92|297.255|220.21|226787|62773292 74872|SNAL|SNAL|83301J100|US83301J1007|Snail Inc|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN6-5|TXN10-6|TXN6-1|TXN5-5|7900000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4020|402030|40203040|Consumer Discretionary|Consumer Products and Services|Leisure Goods|Electronic Entertainment|N||N||||||N|0|Y|D|||||0.0|0.0|0.0|0.0|0.0|1.3|1.3275|1.31|0.0|0.0|1.3|0.0|1.38|0.0|0.0|0.0|0.0|1.3|0.0|1.3|0.0|0.0|0.0|0.0|1.24|1.44|0.0|0.0|0.0|0.0|1.28|1.39|2.63|1.05|12867|20883025 56735|SNAP|SNAP|83304A106|US83304A1060|Snap Inc.|Class A common stock, $0.00001 par value per share|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|A|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-3|TXN3-2|TXN1-2|TXN4-5|TXN1-6|1392230000|||NotApplicable|||||2017-03-02||||||| | | | | | | | | |||N|0|N|Y|108B|USA|US|||10|1010|101010|10101020|Technology|Technology|Software and Computer Services|Consumer Digital Services |N||N||||||Y|0|Y||Y|2|||14.3|14.305|0.0|14.31|14.3|14.305|14.305|14.305|0.0|0.0|14.3|14.3|14.305|14.31|14.31|14.3|14.3|14.3|14.3|14.3|14.3|14.31|10.92|17.59|14.3|14.31|14.28|14.34|14.29|14.34|14.3|14.31|14.38|7.86|21274367|6425851983 75095|SNAV|SNAV|19423L524|US19423L5241|Mohr Sector Nav ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-4|TXN1-6|TXN2-8|TXN4-8|TXN1-8|2030000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|27.2184|0.0|0.0|0.0|0.0|27.22|0.0|0.0|0.0|27.09|0.0|0.0|0.0|0.0|0.0|27.24|27.2184|0.0|27.2184|0.0|0.0|27.17|27.19|27.06|27.37|0.0|0.0|0.0|0.0|27.2|27.23|28.12|21.5|7158|2991041 63125|SNAX|SNAX|863685202|US8636852027|Stryve Foods Inc|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN6-8|TXN10-8|TXN6-8|TXN5-1|2000000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||45|4510|451020|45102020|Consumer Staples |Food, Beverage and Tobacco |Food Producers|Food Products|N||N||||||N|0|Y||||||0.0|2.87|0.0|0.0|2.85|2.8|2.83|0.0|0.0|0.0|2.83|2.83|2.85|2.87|0.0|2.84|0.0|2.85|0.0|2.85|2.23|3.49|2.23|3.49|2.74|3.02|2.23|3.49|0.0|0.0|2.81|2.85|8.86|0.361|32715|13571131 63128|SNAXW|SNAXW|863685111|US8636851110|Stryve Foods Inc|WT EXP 073126||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-3|TXN6-4|TXN12-6|TXN6-2|TXN6-7|1970000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0171|0.0089|0.0|0.0|0.0|0.015|0.015|0.015|0.0|0.0|0.0|0.0128|0.0171|0.0|0.0171|0.0|0.0|0.0|0.0|0.0|0.0333|0.0|0.0|0.0|0.0|0.0092|0.0171|0.0797|0.0011|41458|3280903 3589|SNBR|SNBR|83125X103|US83125X1037|Sleep Number Corp|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN6-3|TXN11-3|TXN6-7|TXN5-7|22230000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4020|402020|40202015|Consumer Discretionary|Consumer Products and Services|Household Goods and Home Construction|Household Furnishings|N||N||||||Y|0|Y||||||13.16|13.15|0.0|13.11|13.15|13.15|13.14|13.15|0.0|0.0|13.15|13.09|13.15|13.13|13.15|13.15|13.15|13.13|13.16|13.15|13.01|13.28|10.03|16.14|13.01|13.26|13.11|13.19|13.1|13.2|13.14|13.15|41.61|9.0|2253496|149112447 68217|SNCE|SNCE|808644108|US8086441081|Science 37 Holdings Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-6|TXN5-6|TXN13-5|TXN6-1|TXN5-4|119400000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201010|20101025|Health Care |Health Care |Health Care Providers|Health Care Services|N||N||||||N|0|Y||||||0.2499|0.2509|0.0|0.0|0.25|0.251|0.248|0.248|0.0|0.0|0.251|0.2414|0.25|0.2529|0.0|0.2504|0.234|0.248|0.234|0.25|0.2396|0.2643|0.1904|0.3102|0.243|0.2626|0.1904|0.3102|0.0|0.0|0.248|0.2583|0.69|0.19|367185|182969818 60987|SNCR|SNCR|87157B103|US87157B1035|Synchronoss Technologies Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-8|TXN6-8|TXN11-2|TXN5-5|TXN6-7|93500000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101010|10101010|Technology|Technology|Software and Computer Services|Computer Services|N||N||||||Y|0|Y|D|||||0.0|0.53|0.0|0.0|0.0|0.52|0.523799|0.0|0.0|0.0|0.5355|0.535|0.5178|0.0|0.0|0.0|0.0|0.523799|0.0|0.5178|0.4953|0.547|0.424|0.636|0.4954|0.5439|0.4845|0.5508|0.0|0.0|0.5178|0.5239|1.17|0.3|116539|45886727 71080|SNCRL|SNCRL|87157B301||Synchronoss Technologies, Inc. 8.375% Senior Notes due 2026|||U|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN5-2|TXN12-1|TXN5-5|TXN6-3|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||50|5020|502040|50204000|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Industrial|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|18.9995|0.0|0.0|0.0|0.0|0.0|18.9|0.0|0.0|0.0|0.0|19.0|0.0|19.0|0.0|0.0|0.0|0.0|18.42|19.38|0.0|0.0|0.0|0.0|18.8|19.0|19.65|15.0|2914|1699997 69666|SNCY|SNCY|866683105|US8666831057|Sun Country Airlines Holdings Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN5-4|TXN13-7|TXN6-8|TXN5-4|54130000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4050|405010|40501010|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Airlines|N||N||||||Y|0|Y||||||16.66|16.65|0.0|16.43|16.66|16.65|16.65|16.65|0.0|0.0|16.65|16.65|16.65|16.65|16.71|16.64|16.69|16.65|16.26|16.65|16.48|16.8|12.69|20.29|16.51|16.79|16.62|16.69|16.62|16.7|16.64|16.65|23.8|12.39|622128|114345132 54290|SND|SND|83191H107|US83191H1077|Smart Sand Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN5-7|TXN12-7|TXN5-3|TXN6-1|41300000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||60|6010|601010|60101030|Energy|Energy|Oil, Gas and Coal|Oil Equipment and Services|N||N||||||Y|0|Y||||||2.0|2.0|0.0|0.0|2.0|2.01|2.002|1.98|0.0|0.0|2.01|2.01|2.0|0.0|0.0|2.01|2.005|2.002|0.0|2.0|1.95|2.06|1.55|2.41|2.0|2.06|1.98|2.03|1.97|2.04|2.0|2.01|2.65|1.44|97929|45748591 5621|SNDA|SNDA|140475203|US1404752032|Sonida Senior Living, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|S|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN2-2|TXN1-5|TXN2-5|TXN4-1|8180000|||Adhoc|||||1997-10-31||||||| | | | | | | | | |||N|0|N|Y|122B|USA|US|||20|2010|201010|20101010|Health Care |Health Care |Health Care Providers|Health Care Facilities|N||N||||||N|0|Y||Y|2|||0.0|9.64|0.0|0.0|0.0|10.86|10.98|10.8|0.0|0.0|11.0|11.24|10.5|8.73|0.0|10.98|0.0|10.98|0.0|10.98|10.63|11.0|0.0|0.0|10.03|11.42|9.07|13.0|0.0|0.0|10.63|11.0|16.9|6.0|5719|1137989 64220|SNDL|SNDL|83307B101|CA83307B1013|SNDL Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN5-4|TXN14-1|TXN5-3|TXN5-1|260490000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CAN||||20|2010|201030|20103020|Health Care |Health Care |Pharmaceuticals and Biotechnology|Cannabis Producers|N||N||||||Y|0|Y||||||1.53|1.53|0.0|1.53|1.53|1.535|1.535|1.535|0.0|0.0|1.535|1.54|1.53|1.54|1.55|1.535|1.53|1.535|1.53|1.53|1.52|1.54|1.18|1.86|1.52|1.54|1.51|1.57|1.52|1.55|1.53|1.54|3.36|1.25|4405806|817367490 56980|SNDR|SNDR|80689H102|US80689H1023|Schneider National, Inc.|Class B Common Stock, no par value|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|P|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN4-6|TXN2-4|TXN2-6|TXN1-4|93420000|||Quarterly|||||2017-04-06||||||| | | | | | | | | |||N|0|Y|Y|206A|USA|US|||50|5020|502060|50206010|Industrials|Industrial Goods and Services|Industrial Transportation|Trucking|N||N||||||Y|0|Y||Y|1|||24.155|24.155|0.0|24.19|24.15|24.165|24.15|24.165|0.0|0.0|24.16|24.14|24.155|24.155|24.16|24.16|24.16|24.16|24.155|24.16|24.15|24.17|22.51|25.55|24.13|24.18|24.12|24.18|24.15|24.18|24.15|24.17|31.74|21.39|805972|132083761 44479|SNDX|SNDX|87164F105|US87164F1057|Syndax Pharmaceuticals Inc|COM USD.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN6-4|TXN14-6|TXN6-5|TXN5-5|69640000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||16.7|16.695|0.0|16.68|16.69|16.72|16.685|16.69|0.0|0.0|16.68|16.73|16.7|16.71|16.76|16.72|16.71|16.69|16.69|16.7|16.68|16.74|16.48|20.73|16.56|16.75|16.66|16.73|16.64|16.74|16.68|16.69|29.86|11.215|1061966|252073656 54397|SNES|SNES|81720R505|US81720R5054|SenesTech Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-8|TXN6-5|TXN13-1|TXN5-8|TXN5-4|940000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||55|5520|552010|55201020|Basic Materials|Chemicals|Chemicals|Specialty Chemicals|N||N||||||N|0|Y||||||0.9768|0.9758|0.0|0.95|0.9696|0.9763|0.9763|0.9696|0.0|0.0|0.974|0.9775|0.9751|0.9696|0.9102|0.9102|0.0|0.9748|0.9758|0.9751|0.9184|1.02|0.773|1.15|0.9322|1.02|0.9539|0.9989|0.9478|1.01|0.9751|0.9774|6.746|0.175|442018|61291484 1928|SNEX|SNEX|861896108|US8618961085|Stonex Group Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN6-4|TXN11-2|TXN5-4|TXN5-3|31310000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302020|30202015|Financials|Financial Services |Investment Banking and Brokerage Services |Investment Services|N||N||||||N|0|Y||||||64.32|64.35|0.0|63.34|64.22|64.17|64.27|64.34|0.0|0.0|64.22|64.28|64.25|64.37|64.21|64.33|63.95|64.19|0.0|64.25|63.64|65.05|49.35|77.62|63.71|64.9|64.05|64.39|64.14|64.26|64.14|64.26|106.35|59.285|217906|20969258 3725|SNFCA|SNFCA|814785309|US8147853092|Security National Financial Corp|CL A COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN5-1|TXN13-4|TXN5-8|TXN6-8|19950000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302010|30201025|Financials|Financial Services |Finance and Credit Services|Mortgage Finance|N||N||||||N|0|Y||||||8.1|8.09|0.0|0.0|8.1|8.1|8.0937|8.06|0.0|0.0|8.1|0.0|8.05|8.08|0.0|0.0|0.0|8.09|0.0|8.05|7.82|8.35|6.14|9.8|7.84|8.31|6.14|9.8|0.0|0.0|8.02|8.08|9.0|5.9|23953|7052482 54653|SNGX|SNGX|834223505|US8342235053|Soligenix Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-1|TXN6-2|TXN12-6|TXN5-2|TXN6-7|10380000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y|C|||||0.72|0.72|0.0|0.0|0.7299|0.72|0.72|0.72|0.0|0.0|0.715|0.7115|0.7299|0.72|0.71|0.72|0.7|0.72|0.72|0.7299|0.68|0.7664|0.5917|0.8671|0.6535|0.73|0.5917|0.8671|0.0|0.0|0.7|0.7299|5.805|0.3799|2389620|181605281 76073|SNMP|SNMP|30053M203|US30053M2035|Evolve Transition Infrastructure LP|Common Units representing Class B Limited Liability Company Interests|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||J. Streicher & Co. 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ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-7|TXN1-2|TXN2-7|TXN2-2|TXN4-7|200000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|27.4284|0.0|0.0|0.0|0.0|25.95789|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|27.4284|0.0|27.4284|0.0|0.0|0.0|0.0|27.36|27.48|27.16|27.44|0.0|0.0|27.36|27.48|27.5226|24.1149|1|17038 68432|SNPX|SNPX|87167T201|US87167T2015|Synaptogenix|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-6|TXN6-2|TXN11-2|TXN6-6|TXN6-6|20390000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||0.269|0.259|0.0|0.0|0.269|0.255|0.263399|0.2698|0.0|0.0|0.25|0.0|0.2551|0.269|0.0|0.0|0.0|0.263399|0.0|0.2551|0.2375|0.2762|0.2119|0.3156|0.2334|0.2804|0.2119|0.3156|0.0|0.0|0.25|0.2635|6.2484|0.22|168748|113439410 69031|SNSE|SNSE|81728A108|US81728A1088|Sensei Biotherapeutics Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-1|TXN6-7|TXN10-5|TXN5-8|TXN5-7|25000000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||0.7197|0.692|0.0|0.0|0.7197|0.692|0.6811|0.6895|0.0|0.0|0.7|0.7|0.68|0.0|0.0|0.0|0.71|0.6895|0.0|0.68|0.584|0.828|0.552|0.828|0.6675|0.6987|0.584|0.828|0.0|0.0|0.68|0.685|1.926|0.51|132234|11165175 53881|SNSR|SNSR|37954Y780|US37954Y7803|Global X Internet of Things ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN6-8|TXN10-3|TXN6-1|TXN6-6|8860000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||32.59|32.59|0.0|0.0|32.59|32.59|32.765|32.59|0.0|0.0|32.69|0.0|32.71|32.59|32.59|32.59|0.0|32.765|0.0|32.71|0.0|0.0|32.51|33.05|32.57|33.03|32.51|33.05|32.51|33.01|32.63|32.9|35.76|27.9389|31432|14334940 2403|SNT|SNT|M8T77E105|IL0010829161|Senstar Technologies Ltd|ORD NIS1||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN5-5|TXN12-2|TXN6-2|TXN5-7|23310000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||ISR||||50|5020|502050|50205040|Industrials|Industrial Goods and Services|Industrial Support Services|Security Services|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|1.13|1.17|1.13|1.13|0.0|0.0|1.17|1.17|1.17|0.0|0.0|0.0|0.0|1.13|0.0|1.13|0.896|1.4|0.896|1.4|1.05|1.25|0.896|1.4|0.0|0.0|1.12|1.17|1.7899|1.09|19198|6379755 71103|SNTG|SNTG|G8062B114|KYG8062B1142|Sentage Holdings Inc|ORD SHS||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN6-8|TXN13-5|TXN6-3|TXN5-3|2810000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||30|3020|302010|30201020|Financials|Financial Services |Finance and Credit Services|Consumer Lending|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|2.05|2.0599|2.095|0.0|0.0|0.0|0.0|2.04|0.0|0.0|0.0|0.0|2.06|0.0|2.06|0.0|0.0|0.0|0.0|1.79|2.19|0.0|0.0|0.0|0.0|1.91|2.06|9.63|1.44|13965|81379276 70734|SNTI|SNTI|81726A100|US81726A1007|Senti Biosciences Inc|COM USD.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-4|TXN6-6|TXN14-3|TXN6-2|TXN6-3|44550000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||0.425|0.42|0.0|0.0|0.421|0.4347|0.4299|0.0|0.0|0.0|0.427|0.4251|0.4329|0.422|0.0|0.0|0.0|0.425|0.0|0.4329|0.3288|0.504|0.3288|0.516|0.4155|0.43|0.3288|0.504|0.0|0.0|0.425|0.43|2.32|0.2701|105475|180591511 9246|SNV|SNV|87161C501|US87161C5013|Synovus Financial Corp.|Common Stock, par value $1.00 per share|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-3|TXN3-6|TXN7-5|TXN4-1|TXN1-4|146240000|||Quarterly|||||2014-05-19||||||| | | | | | | | | |||N|0|Y|Y|402B|USA|US|||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||Y|1|||33.69|33.705|0.0|33.85|33.71|33.72|33.71|33.705|0.0|0.0|33.71|33.72|33.72|33.7|33.705|33.71|33.79|33.71|33.72|33.71|33.7|33.71|31.61|35.66|33.63|33.76|33.66|33.76|33.66|33.77|33.7|33.71|44.44|24.4|1963804|355266346 61166|SNV PRD|SNVpD|87161C600|US87161C6003|Synovus Financial Corp.|6.300% Fixed-To-Floating Rate Non-Cumulative Perpetual Preferred Stock, Series D|Operating company|B|N|N|N|Y|Y|Y|Y|Y|6|H|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN1-5|TXN6-8|TXN1-8|TXN1-7|8000000|||Quarterly|||||2018-06-25||||||| | | | | | | | | |||N|0|N|N|402B|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||25.28|25.45|0.0|0.0|25.28|25.3|25.3001|25.28|0.0|0.0|0.0|0.0|25.39|0.0|0.0|25.28|25.25|25.39|0.0|25.28|25.05|25.63|25.16|25.25|24.65|25.96|0.0|0.0|0.0|0.0|24.77|25.45|25.57|17.87|7005|5220501 63989|SNV PRE|SNVpE|87161C709|US87161C7092|Synovus Financial Corp.|5.875% Fixed-Rate Reset Non-Cumulative Perpetual Preferred Stock, Series E|Operating company|B|N|N|N|Y|Y|Y|Y|Y|6|H|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN4-7|TXN2-8|TXN2-1|TXN3-5|14000000|||Quarterly|||||2019-07-05||||||| | | | | | | | | |||N|0|N|N|402B|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||23.59|23.59|0.0|0.0|0.0|23.57|23.5|23.47|0.0|0.0|23.59|23.5|23.5|0.0|23.59|23.5|23.39|23.5|23.59|23.5|23.5|23.53|18.09|28.76|23.08|24.0|18.09|28.76|0.0|0.0|23.5|23.53|24.91|15.4|12600|18706155 9247|SNX|SNX|87162W100|US87162W1009|TD SYNNEX Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN1-6|TXN2-8|TXN3-5|TXN3-1|92350000|||Quarterly|||||2003-11-25||||||| | | | | | | | | |||N|0|Y|Y|108C|USA|US|||10|1010|101020|10102030|Technology|Technology|Technology Hardware and Equipment|Computer Hardware|N||N||||||Y|0|Y||Y|1|||98.7|98.65|0.0|98.75|98.65|98.65|98.63|98.64|0.0|0.0|98.65|98.7|98.64|98.7|98.65|98.64|98.72|98.65|98.96|98.64|98.64|98.65|91.87|105.18|98.18|99.23|92.96|103.0|98.22|99.11|98.64|98.65|111.57|86.3|500966|106203980 9248|SNY|SNY|80105N105|US80105N1054|Sanofi|SPONSORED ADR||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN6-2|TXN13-8|TXN6-5|TXN6-8|1264790000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||FRA||||20|2010|201030|20103015|Health Care |Health Care |Pharmaceuticals and Biotechnology|Pharmaceuticals |N||N||||||Y|0|Y||||||47.02|47.02|0.0|47.03|47.055|47.035|47.04|47.055|0.0|0.0|47.02|47.04|47.02|47.05|47.03|47.02|47.09|47.04|47.08|47.02|47.01|47.06|36.2|57.24|47.01|47.2|44.44|47.09|47.01|47.1|47.03|47.04|57.8197|42.63|1468650|403065328 9249|SO|SO|842587107|US8425871071|The Southern Company|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-6|TXN4-6|TXN3-5|TXN2-5|TXN4-2|1090620000|||Quarterly|||||1949-09-30||||||| | | | | | | | | |||N|1|Y|Y|302A|USA|US|||65|6510|651010|65101015|Utilities|Utilities|Electricity|Conventional Electricity|N||N||||||Y|0|Y||Y|1|||71.28|71.27|0.0|71.21|71.27|71.28|71.275|71.285|0.0|71.7|71.28|71.28|71.275|71.29|71.27|71.28|71.21|71.28|71.29|71.28|71.27|71.28|66.77|75.78|71.26|71.31|71.24|71.33|71.22|71.34|71.27|71.28|75.8|58.85|4205926|969402019 73272|SOAR|SOAR|74349W104|US74349W1045|Volato Group, Inc.|Class A Common Stock|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-7|TXN4-3|TXN9-8|TXN2-5|TXN3-3|6440000|||NotApplicable|||||2023-12-04||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N|Y||PACI|PACI||N|0|Y|C|Y|2|||0.0|11.53|0.0|0.0|0.0|8.12|8.7999|10.44|0.0|0.0|9.6|0.0|8.48|11.3|0.0|0.0|8.8|8.8|11.5|8.8|0.0|0.0|8.1|9.27|8.19|9.41|0.0|0.0|0.0|0.0|7.98|9.65|12.14|8.12|83172|83172 73273|SOAR WS|SOAR.WS|74349W112|US74349W1128|Volato Group, Inc.|Redeemable Warrants, each whole warrant exercisable for one share of Class A common stock at an exercise price of $11.50|Operating company|C|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN12-6|TXN2-4|TXN1-5|TXN4-2|TXN4-2|0|||NotApplicable|||||2023-12-04|2028-12-01|||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||||||||||N||N|Y||PACI WS|PACI.WS||N|0|Y|C|N||||0.0|0.0|0.0|0.0|0.06|0.069|0.06|0.0567|0.0|0.0|0.0|0.0|0.05|0.0|0.0|0.0501|0.06|0.06|0.0|0.06|0.0451|0.064|0.06|0.0781|0.045|0.0698|0.0|0.0|0.0|0.0|0.06|0.0781|0.08|0.0451|248732|248732 30790|SOBR|SOBR|833592207|US8335922071|Sobr Safe Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-8|TXN6-5|TXN11-7|TXN5-4|TXN5-5|18550000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4020|402030|40203010|Consumer Discretionary|Consumer Products and Services|Leisure Goods|Consumer Electronics|N||N||||||N|0|Y|D|||||0.6662|0.0|0.0|0.0|0.7|0.67|0.675143|0.0|0.0|0.0|0.69|0.0|0.66|0.0|0.0|0.0|0.0|0.6662|0.0|0.66|0.5495|0.8287|0.516|0.8287|0.6162|0.7|0.6424|0.7077|0.6389|0.7112|0.66|0.69|3.16|0.405|42750|99900761 39082|SOCL|SOCL|37950E416|US37950E4162|Global X Funds Global X Social Media ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN5-1|TXN14-3|TXN6-6|TXN5-5|4040000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||38.73|38.73|0.0|0.0|38.72|38.81|38.7783|38.81|0.0|0.0|38.73|0.0|38.81|38.72|0.0|38.73|0.0|38.81|0.0|38.81|36.65|41.0|38.69|39.06|38.66|39.08|38.73|39.06|38.69|39.06|38.8|39.02|40.77|29.401|7048|4787062 76633|SOF|SOF|032108672|US0321086722|Amplify ETF Trust|Amplify Samsung SOFR ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y|||||||||Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN4-4|TXN2-8|TXN1-8|TXN2-7|1500000|||Monthly|||||2023-11-15||||||| | | | | | | | | |||N|0|N|N|406B|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|100.2326|0.0|0.0|0.0|0.0|0.0|0.0|100.37|0.0|0.0|0.0|100.355|0.0|100.355|77.29|123.78|77.29|123.78|100.33|100.38|77.29|123.78|0.0|0.0|100.33|100.38|100.37|100.04|398|1497561 68320|SOFI|SOFI|83406F102|US83406F1021|SoFi Technologies Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN6-3|TXN12-2|TXN6-8|TXN5-7|958740000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||USA||||30|3020|302010|30201020|Financials|Financial Services |Finance and Credit Services|Consumer Lending|N||N||||||Y|0|Y||||||7.96|7.95|0.0|8.03|7.95|7.955|7.9525|7.955|0.0|0.0|7.955|7.95|7.96|7.96|7.96|7.955|7.955|7.95|7.955|7.96|7.94|7.96|7.4|8.48|7.95|7.96|7.92|7.99|7.92|8.0|7.95|7.96|11.7|4.24|45245644|9437682487 7638|SOHO|SOHO|83600C103|US83600C1036|Sotherly Hotels Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN6-2|TXN13-8|TXN6-8|TXN6-5|19700000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||35|3510|351020|35102015|Real Estate|Real Estate |Real Estate Investment Trusts|Hotel and Lodging REITs|N||N||||||N|0|Y||||||1.54|1.51|0.0|0.0|0.0|1.535|1.54|1.51|0.0|0.0|1.5|1.5|1.53|0.0|0.0|0.0|1.52|1.54|0.0|1.54|1.46|1.59|1.2|1.81|1.5|1.58|1.5|1.56|1.48|1.57|1.51|1.54|2.5|1.34|35258|12112363 53767|SOHOB|SOHOB|83600C301|US83600C3016|Sotherly Hotels Inc|PFD SER B||B|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN6-7|TXN14-3|TXN6-5|TXN5-1|1460000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|21.2001|0.0|0.0|0.0|0.0|0.0|21.2|0.0|0.0|0.0|0.0|21.2001|0.0|21.2001|0.0|0.0|0.0|0.0|19.29|22.82|0.0|0.0|0.0|0.0|20.66|21.4|26.0|19.85|1191|461004 63484|SOHON|SOHON|83600C509|US83600C5094|Sotherly Hotels Inc|8.25 CM PFD D||B|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN6-4|TXN10-4|TXN6-2|TXN6-4|1160000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|21.1|0.0|0.0|0.0|0.0|0.0|21.17|0.0|0.0|0.0|0.0|21.1|0.0|21.1|0.0|0.0|0.0|0.0|0.0|31.0|0.0|0.0|0.0|0.0|21.15|21.75|26.3999|19.6601|1290|585816 59873|SOHOO|SOHOO|83600C400|US83600C4006|Sotherly Hotels Inc|PFD SER C 7.875||B|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN6-2|TXN14-4|TXN6-6|TXN5-6|1350000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|19.99|22.89|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|21.05|21.8|25.75|19.85|0|324462 3743|SOHU|SOHU|83410S108|US83410S1087|Sohu com Ltd|ADR||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN6-8|TXN12-5|TXN6-6|TXN6-8|33740000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||10|1010|101010|10101020|Technology|Technology|Software and Computer Services|Consumer Digital Services |N||N||||||Y|0|Y||||||8.49|8.41|0.0|8.41|8.38|8.4|8.36|8.365|0.0|0.0|8.41|8.48|8.34|8.38|8.44|8.4|8.41|8.37|0.0|8.34|8.22|8.59|6.58|10.44|8.25|8.54|8.29|8.43|8.32|8.39|8.34|8.37|17.25|7.8|107094|10935598 57307|SOI|SOI|83418M103|US83418M1036|Solaris Oilfield Infrastructure, Inc.|Class A common stock, par value $0.01 per share|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|A|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN4-7|TXN2-8|TXN3-1|TXN2-6|30580000|||Quarterly|||||2017-05-12||||||| | | | | | | | | |||N|0|N|Y|134F|USA|US|||60|6010|601010|60101030|Energy|Energy|Oil, Gas and Coal|Oil Equipment and Services|N||N||||||Y|0|Y||Y|2|||8.67|8.67|0.0|8.66|8.67|8.67|8.68|8.675|0.0|0.0|8.68|8.65|8.68|8.67|8.65|8.69|8.56|8.69|8.65|8.69|8.68|8.69|6.63|10.58|8.66|8.73|8.65|8.72|8.68|8.71|8.68|8.69|11.325|7.15|112793|53578280 60180|SOJC|SOJC|842587404|US8425874042|The Southern Company|Series 2017B 5.25% Junior Subordinated Notes due December 1, 2077|Operating company|G|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN4-1|TXN7-8|TXN2-5|TXN3-1|18000000|||Quarterly|||||2017-11-28|2077-12-01|||||| | | | | | | | | |||N|0|N|N|302A||US|||||||||||N||N||||||N|0|Y||Y|2|||23.66|23.85|0.0|0.0|23.221875|23.41|23.36|23.39|0.0|0.0|23.45|0.0|23.35|23.83|0.0|23.51|23.67|23.51|0.0|23.51|23.3|23.54|23.68|23.85|22.83|23.95|0.0|0.0|0.0|0.0|23.3|23.54|24.99|20.3554|32463|6174520 65385|SOJD|SOJD|842587800|US8425878001|The Southern Company|Series 2020A 4.95% Junior Subordinated Notes due January 30, 2080|Operating company|G|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN3-8|TXN3-8|TXN2-8|TXN1-1|40000000|||Quarterly|||||2020-01-14|2080-01-30|||||| | | | | | | | | |||N|0|N|N|302A||US|||||||||||N||N||||||N|0|Y||Y|2|||21.81|22.08|0.0|21.74|22.2|21.8|21.8|21.81|0.0|0.0|21.9|22.3|21.84|22.1|21.74|21.8|22.05|21.8|22.13|21.8|21.8|21.84|17.17|26.79|21.36|22.3|17.17|26.79|0.0|0.0|21.8|21.84|23.3799|19.3001|84674|19693586 67609|SOJE|SOJE|842587883|US8425878837|The Southern Company|Series 2020C 4.20% Junior Subordinated Notes due October 15, 2060|Operating company|G|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN3-5|TXN4-8|TXN1-5|TXN3-5|30000000|||Quarterly|||||2020-09-23|2060-10-15|||||| | | | | | | | | |||N|0|N|N|302A||US|||||||||||N||N||||||N|0|Y||Y|2|||19.41|19.22|0.0|0.0|19.41|19.3|19.21|19.19|0.0|0.0|19.5|19.11|19.3|19.26|19.67|19.3|19.25|19.3|0.0|19.3|19.3|19.4|19.25|19.36|18.87|19.7|0.0|0.0|0.0|0.0|18.9|19.64|21.36|17.3|81111|11294078 26942|SOL|SOL|75971T301|US75971T3014|Emeren Group Ltd|American Depositary Shares, each representing 10 shares|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN2-1|TXN2-7|TXN1-2|TXN1-4|572820000|||NotApplicable|||||2017-02-10||||||| | | | | | | | | |||N|0|N|Y|180A|USA|VG|||60|6010|601020|60102020|Energy|Energy|Alternative Energy|Renewable Energy Equipment |N||N||||||Y|0|Y||Y|2|||2.54|2.55|0.0|2.58|2.54|2.545|2.54|2.545|0.0|0.0|2.54|2.54|2.545|2.539|2.54|2.54|2.54|2.545|2.52|2.54|2.54|2.55|1.99|3.14|2.53|2.56|2.52|2.57|2.53|2.56|2.54|2.55|5.6|2.2|416392|103114034 61332|SOLO|SOLO|284849205|CA2848492054|Electrameccanica Vehicles Corp|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-5|TXN5-2|TXN12-4|TXN5-2|TXN6-6|119290000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CAN||||40|4010|401010|40101020|Consumer Discretionary|Automobiles and Parts|Automobiles and Parts|Automobiles|N||N||||||Y|0|Y||||||0.3999|0.4|0.0|0.0|0.3999|0.402|0.396|0.3999|0.0|0.0|0.396|0.396|0.3987|0.0|0.0|0.401|0.0|0.396|0.401|0.3987|0.3798|0.42|0.312|0.474|0.3798|0.4175|0.312|0.474|0.0|0.0|0.396|0.4|1.17|0.36|389103|174769127 68123|SOLR|SOLR|402031850|US4020318501|Guinness Atkinson Funds|SmartETFs Sustainable Energy II ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Guinness Atkinson|RBC Capital Markets, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-5|TXN1-3|TXN1-5|TXN1-8|TXN4-7|180000|||Yearly|||||2022-01-03||SOLR.NV|SOLR.SO|SOLR.EU|SOLR.TC| | | | | | | | | | |1x|The SmartETFs Sustainable Energy II ETF invests in companies poised to benefit from the shift to sustainable energy. This includes companies that we believe provide or support alternative or renewable sources of energy (as compared to more traditional sources of energy that can be environmentally depletive, such as fossil fuels like oil or coal or other hydrocarbon-based fuels), or that produce, generate, transport, deliver, or extend energy applications in a way that makes alternative or renewable energy more efficient or accessible|N|0|N|N|408A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|25.32|0.0|0.0|0.0|26.11|26.1575|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|26.0237|0.0|26.0237|0.0|0.0|0.0|0.0|25.98|26.07|0.0|0.0|0.0|0.0|25.98|26.07|32.29|23.2485|88|113317 9253|SON|SON|835495102|US8354951027|Sonoco Products Company|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-6|TXN3-1|TXN4-6|TXN2-1|TXN2-2|97960000|||Quarterly|||||1995-03-08||||||| | | | | | | | | |||N|0|Y|Y|136D|USA|US|||50|5020|502030|50203030|Industrials|Industrial Goods and Services|General Industrials|Containers and Packaging|N||N||||||Y|0|Y||Y|1|||56.12|56.1|0.0|55.85|56.1|56.13|56.12|56.135|0.0|0.0|56.11|56.11|56.11|56.09|56.19|56.13|56.24|56.12|56.14|56.13|56.1|56.11|52.65|59.33|56.09|56.18|56.06|56.16|56.07|56.16|56.1|56.11|63.74|49.98|312032|112143599 69708|SOND|SOND|83542D300|US83542D3008|Sonder Holdings 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Inc|Wrrt||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-5|TXN6-5|TXN14-5|TXN5-8|TXN6-6|10050000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y|C|||||0.0|0.0|0.0|0.0|0.0|0.0152|0.0|0.0|0.0|0.0|0.0|0.0|0.0151|0.0|0.0|0.0|0.0|0.0151|0.0|0.0151|0.0|0.0|0.0|0.0|0.0|0.025|0.0|0.0|0.0|0.0|0.0131|0.0151|0.2125|0.009|2040|6701356 63600|SONM|SONM|83548F200|US83548F2002|Sonim Technologies Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-4|TXN6-5|TXN13-4|TXN6-7|TXN5-2|43070000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||15|1510|151010|15101010|Telecommunications|Telecommunications|Telecommunications Equipment|Telecommunications Equipment|N||N||||||N|0|Y||||||0.76|0.76|0.0|0.0|0.733|0.7564|0.76|0.7599|0.0|0.0|0.76|0.755|0.76|0.0|0.0|0.76|0.7553|0.76|0.0|0.76|0.7328|0.782|0.584|0.9|0.7347|0.7781|0.7221|0.7879|0.7232|0.7868|0.75|0.76|1.3|0.405|177784|56783112 28459|SONN|SONN|83548R303|US83548R3030|Sonnet BioTherapeutics Holdings Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN6-1|TXN10-4|TXN5-6|TXN5-5|3060000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||1.55|1.62|0.0|0.0|1.55|1.62|1.618|1.62|0.0|0.0|1.62|1.62|1.62|0.0|1.6|1.62|0.0|1.618|1.6|1.62|1.56|1.67|1.24|1.98|1.56|1.68|1.24|1.89|1.57|1.66|1.61|1.63|4.8|0.1904|159363|391726658 61360|SONO|SONO|83570H108|US83570H1086|Sonos Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN5-3|TXN12-5|TXN6-3|TXN6-2|125150000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4020|402030|40203010|Consumer Discretionary|Consumer Products and Services|Leisure Goods|Consumer Electronics|N||N||||||Y|0|Y||||||15.68|15.675|0.0|15.68|15.67|15.7|15.675|15.695|0.0|0.0|15.69|15.7|15.69|15.68|15.695|15.69|15.7|15.675|15.7|15.69|15.66|15.69|11.97|19.12|15.66|15.68|15.65|16.51|15.64|15.72|15.67|15.68|21.98|9.78|2787337|474223635 9235|SONY|SONY|835699307|US8356993076|Sony Group Corporation|American Depositary Shares (Each Representing One Share of Dollar Validated Common Stock)|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-3|TXN2-4|TXN4-4|TXN4-3|TXN3-3|1261080000|||BiAnnually|||||1970-09-17||||||| | | | | | | | | |||N|0|N|Y|124A|JPN|JP|||40|4020|402030|40203010|Consumer Discretionary|Consumer Products and Services|Leisure Goods|Consumer Electronics|N||N||||||Y|0|Y||Y|2|||85.35|85.37|0.0|85.23|85.35|85.34|85.345|85.35|0.0|0.0|85.35|85.36|85.36|85.36|85.4|85.32|85.31|85.37|85.31|85.32|85.37|85.38|66.0|104.74|85.28|85.42|85.24|85.43|85.3|85.41|85.37|85.38|100.94|74.81|1027827|179171334 72296|SOPA|SOPA|83370P102|US83370P1021|Society Pass Inc|COM USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-6|TXN5-2|TXN14-7|TXN6-3|TXN6-8|32860000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||SGP||||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||N|0|Y||||||0.269|0.269|0.0|0.0|0.267|0.2654|0.2654|0.269|0.0|0.0|0.2654|0.2652|0.2696|0.269|0.0|0.0|0.269|0.269|0.269|0.269|0.2123|0.312|0.2123|0.312|0.2496|0.28|0.2123|0.312|0.0|0.0|0.26|0.2696|1.66|0.23|332918|78155497 71235|SOPH|SOPH|H82027105|CH1125843347|SOPHiA GENETICS SA|ORD SHS||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN6-4|TXN13-8|TXN6-3|TXN6-5|65030000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHE||||20|2010|201010|20101025|Health Care |Health Care |Health Care Providers|Health Care Services|N||N||||||Y|0|Y||||||0.0|4.18|0.0|0.0|4.11|4.0|4.125|0.0|0.0|0.0|4.1|0.0|4.15|0.0|0.0|0.0|0.0|4.18|0.0|4.15|3.18|5.08|3.18|5.08|4.02|4.47|3.18|5.08|0.0|0.0|4.05|4.2|5.77|1.85|8969|17224796 9254|SOR|SOR|836144105|US8361441053|Source Capital, Inc.|Common Stock|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN3-6|TXN3-8|TXN2-6|TXN1-4|8280000|||Monthly|||||1980-09-18||||||| | | | | | | | | |||N|0|N|N|406B|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||39.88|40.08|0.0|0.0|0.0|40.35|39.5101|0.0|0.0|0.0|40.35|0.0|0.0|39.88|0.0|40.02|0.0|39.5101|0.0|40.02|39.5|40.38|30.55|49.78|39.5|40.38|30.55|49.78|0.0|0.0|39.5|40.38|40.745|35.1|14923|3341642 57172|SOS|SOS|83587W205|US83587W2052|SOS Limited|American Depositary Shares, each representing ten (10) Class A Ordinary Shares Exchange Of Shares|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN1-4|TXN8-8|TXN2-7|TXN2-3|59840000|||Adhoc|||||2022-07-06||||||| | | | | | | | | |||N|0|N|Y|108B|CHN|KY|||30|3020|302010|30201020|Financials|Financial Services |Finance and Credit Services|Consumer Lending|N||N||||||Y|0|Y||Y|2|||4.27|4.23|0.0|0.0|4.21|4.26|4.26|4.27|0.0|0.0|4.23|4.25|4.27|4.27|0.0|4.31|0.0|4.3|4.27|4.31|4.26|4.3|3.31|5.3|4.07|4.47|4.07|4.47|0.0|0.0|4.26|4.3|9.5|2.5361|195861|48417907 14681|SOTK|SOTK|835483108|US8354831088|Sono-Tek Corp|COM 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NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN6-4|TXN14-2|TXN5-1|TXN6-5|209440000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||||||2.27|2.28|0.0|2.27|2.28|2.275|2.2786|2.28|0.0|0.0|2.275|2.27|2.28|2.28|2.27|2.275|2.275|2.275|2.27|2.28|2.26|2.28|2.27|2.8|2.27|2.28|2.24|2.31|2.26|2.32|2.27|2.28|5.11|0.93|7739298|3054763468 70218|SOUNW|SOUNW|836100115|US8361001154|SoundHound AI Inc|WT EXP 041022||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-3|TXN6-1|TXN14-2|TXN6-3|TXN6-8|246460000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.3179|0.293|0.0|0.0|0.0|0.0|0.0|0.291|0.0|0.0|0.0|0.0|0.293|0.0|0.293|0.0|0.0|0.0|0.0|0.285|0.33|0.0|0.0|0.0|0.0|0.291|0.33|1.48|0.075|10306|9127029 76426|SOVF|SOVF|210322202|US2103222020|Elevation Series Trust|Sovereign's Capital Flourish Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y|||||||||Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-6|TXN2-2|TXN2-8|TXN4-8|TXN4-7|951164|||Yearly|||||2023-10-03||||||| | | | | | | | | |||N|0|N|N|416A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|26.7|0.0|0.0|0.0|0.0|0.0|26.7|0.0|0.0|0.0|0.0|26.7496|0.0|26.7496|0.0|0.0|0.0|0.0|26.73|26.77|13.31|39.9|0.0|0.0|26.73|26.77|26.84|23.6999|20925|1028229 71791|SOVO|SOVO|84612U107|US84612U1079|Sovos Brands Inc|COM USD0.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN6-7|TXN13-7|TXN5-5|TXN6-5|101460000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||45|4510|451020|45102020|Consumer Staples |Food, Beverage and Tobacco |Food Producers|Food Products|N||N||||||Y|0|Y||||||21.92|21.92|0.0|0.0|21.92|21.915|21.9125|21.92|0.0|0.0|21.915|21.91|21.94|21.915|21.915|21.915|21.93|21.94|21.94|21.94|21.8|22.06|16.87|26.98|21.8|21.95|17.44|26.36|0.0|0.0|21.93|21.94|22.73|12.74|722173|228386405 32394|SOXL|SOXL|25459W458|US25459W4583|Direxion Shares ETF Trust|Direxion Daily Semiconductor Bull 3X Shares|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Direxion Shares|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-3|TXN4-7|TXN7-1|TXN4-3|TXN2-4|305850060|||Quarterly|||||2010-03-11||SOXL.NV|SOXL.SO|SOXL.EU|SOXL.TC|SOXL.IV| | | | | | | | | |3x|Direxion Daily Semiconductor Bull 3X Shares (SOXL) seeks daily investment results, before fees and expenses, of 300% of the price performance of the PHLX Semiconductor Sector Index. The Fund seeks daily leveraged investment results and does not seek to achieve its stated investment objective over a period of time greater than one day. The Fund is different and much riskier than most exchangetraded funds.|N|0|N|N|416A|USA|US|EQUITY|LEVERAGED|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||22.3|22.29|0.0|22.17|22.3|22.29|22.29|22.3|0.0|0.0|22.29|22.3|22.29|22.29|22.3|22.29|22.28|22.31|22.295|22.31|22.27|22.3|22.25|22.35|22.29|22.3|22.26|22.32|22.16|22.44|22.29|22.3|28.75|8.74|55773349|16306465766 70817|SOXQ|SOXQ|46138G615|US46138G6153|Invesco PHLX Semiconductor ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN6-6|TXN11-4|TXN5-2|TXN5-4|5480000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||0.0|29.11|0.0|0.0|0.0|29.08|29.0702|29.14|0.0|0.0|29.1|29.11|29.11|29.102|0.0|0.0|0.0|29.11|0.0|29.11|29.11|29.28|29.07|29.19|29.11|29.19|29.06|29.19|29.07|29.18|29.11|29.15|30.5266|19.29|48987|16813490 32393|SOXS|SOXS|25460G336|US25460G3368|Direxion Shares ETF Trust|Direxion Daily Semiconductor Bear 3X Shares|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Direxion Shares|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-6|TXN2-6|TXN6-6|TXN1-7|TXN2-1|123173440.033|||Quarterly|||||2011-02-23||SOXS.NV|SOXS.SO|SOXS.EU|SOXS.TC|SOXS.IV| | | | | | | | | |-3x|Direxion Daily Semiconductor Bear 3X Shares (SOXS) seeks daily investment results, before fees and expenses, of 300% of the inverse (or opposite) of the price performance of the PHLX Semiconductor Sector Index. The Fund seeks daily leveraged investment results and does not seek to achieve its stated investment objective over a period of time greater than one day. The Fund is different and much riskier than most exchange-traded funds.|N|0|N|N|416A|USA|US|EQUITY|INVERSE|||||||||N||N||||||Y|0|Y||Y|2|||8.63|8.64|0.0|8.73|8.64|8.635|8.64|8.635|0.0|0.0|8.635|8.64|8.64|8.65|8.64|8.64|8.65|8.63|8.64|8.63|8.63|8.65|8.63|8.66|8.63|8.64|8.63|8.65|8.56|8.72|8.63|8.64|44.14|7.89|64833952|12662061753 6991|SOXX|SOXX|464287523|US4642875235|iShares Semiconductor ETF|SMCDTR INDEX FD||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|4|0.01|0.01|5000000|1|100|TXN13-6|TXN5-2|TXN12-1|TXN5-4|TXN5-4|18300000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||510.38|510.2|0.0|509.41|510.06|510.42|510.4|510.41|0.0|0.0|510.45|510.3|510.28|510.52|508.89|510.68|506.8|510.27|508.85|510.28|509.37|511.15|509.75|510.79|510.29|510.45|509.75|510.79|510.08|510.68|510.29|510.43|536.88|336.15|603511|226111513 38805|SOYB|SOYB|88166A607|US88166A6073|Teucrium Commodity Trust|Teucrium Soybean Fund|Trust|ETV|N|N|P|Y|Y|Y|Y|Y||||||||Teucrium|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-8|TXN1-5|TXN9-8|TXN2-8|TXN1-8|1150004|||NotApplicable|||||2011-09-19||SOYB.NV|SOYB.SO| | |SOYB.IV| | | | | | | | | |1x|The investment objective of the Fund is to have the daily changes in percentage terms of the Shares Net Asset Value (NAV) reflect the daily changes in percentage terms of a weighted average of the closing settlement prices for three futures contracts for soybeans (Soybean Futures Contracts) that are traded on the Chicago Board of Trade (CBOT). Except as described in the following paragraph, the three Soybean Futures Contracts will be: (1) second-to-expire CBOT Soybean Futures Contract, weighted 35%, (2) the third-to-expire CBOT Soybean Futures Contract, weighted 30%, and (3) the CBOT Soybean Futures Contract expiring in the November following the expiration month of the third-to-expire contract, weighted 35%. To convert to an index, 100 is set to $25, the opening day price of SOYB.|N|0|N|N|416A|USA|US|COMMODITIES_AND_FUTURES|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||0.0|28.25|0.0|28.32|27.96|27.96|27.59|0.0|0.0|0.0|27.87|0.0|27.89|27.551|0.0|0.0|0.0|27.65|28.62|27.65|26.41|29.14|27.54|27.74|27.55|27.65|27.55|27.65|27.59|27.65|27.55|27.65|29.43|23.83|35309|6069529 3818|SP|SP|78469C103|US78469C1036|SP Plus Corp|CL A USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN6-6|TXN10-4|TXN5-2|TXN6-4|19650000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502060|50206060|Industrials|Industrial Goods and Services|Industrial Transportation|Transportation Services|N||N||||||Y|0|Y||||||50.87|50.88|0.0|51.16|50.87|50.88|50.895|50.89|0.0|0.0|50.86|50.87|50.88|50.88|51.0|50.8|0.0|50.9|50.87|50.88|50.56|51.18|39.24|63.23|50.63|51.11|50.83|63.23|50.82|50.95|50.88|50.94|52.4|31.52|344923|31383977 24670|SPAB|SPAB|78464A649|US78464A6495|SPDR Series Trust|SPDR Portfolio Aggregate Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-7|TXN1-3|TXN3-6|TXN2-5|TXN2-7|301700264|||Monthly|||||2008-11-06||SPAB.NV|SPAB.SO|SPAB.EU|SPAB.TC|SPAB.IV| | | | | | | | | |1x|The SPDR Barclays Capital Aggregate Bond ETF seeks to provide investment results that, before fees and expenses, correspond generally to the price and yield performance the Barclays Capital U.S. Aggregate Index (ticker: LBUSTRUU). The Barclays Capital U.S. Aggregate Index provides a measure of the performance of the U.S. dollar denominated investment grade bond market, which includes investment grade (must be Baa3/BBB- or higher using the middle rating of Moodys Investor Service, Inc., Standard & Poors, and Fitch Inc.) government bonds, investment grade corporate bonds, mortgage pass through securities, commercial mortgage backed securities and asset backed securities that are publicly for sale in the United States. The securities in the U.S. Aggregate Index must have at least 1 year remaining to maturity and must have $250 million or more of outstanding face value. Asset backed securities must have a minimum deal size of $500 million and a minimum tranche size of $25 million. For commercial mortgage backed securities, the original aggregate transaction must have a minimum deal size of $500 million, and a minimum tranche size of $25 million; the aggregate outstanding transaction sizes must be at least $300 million to remain in the index. In addition, the securities must be U.S. dollar denominated, fixed rate, non convertible, and taxable. Certain types of securities, such as flower bonds, TINs, and state and local government series bonds are excluded from the U.S. Aggregate Index. Also excluded from the U.S. Aggregate Index are structured notes with embedded swaps or other special features, private placements, floating rate securities and Eurobonds. The U.S. Aggregate Index is market capitalization weighted and the securities in the Index are updated on the last business day of each month.|N|0|N|N|416A|USA|US|FIXED_INCOME|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||24.925|24.93|0.0|0.0|24.93|24.93|24.925|24.93|0.0|0.0|24.925|24.93|24.93|24.925|24.92|24.93|24.925|24.93|24.925|24.93|24.93|26.18|23.38|26.48|24.93|24.94|23.69|26.18|24.44|25.42|24.93|24.94|26.18|23.6801|3399966|626059844 75172|SPAQ|SPAQ|53656G555|US53656G5559|Horizon Kinetics SPAC Active ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN5-5|TXN12-2|TXN5-8|TXN6-3|170000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|98.84|0.0|0.0|0.0|0.0|0.0|0.0|98.84|97.98|100.17|0.0|0.0|98.06|100.07|92.16|106.05|0.0|0.0|98.84|99.31|99.34|94.44|4|124505 70938|SPAX|SPAX|886364678|US8863646787|Tidal ETF Trust|Robinson Alternative Yield Pre-merger SPAC ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Tidal ETF Services |GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-4|TXN3-2|TXN4-8|TXN1-4|TXN3-5|900000|||Quarterly|||||2021-06-23||SPAX.NV|SPAX.SO|SPAX.EU|SPAX.TC| | | | | | | | | | |1x|The Robinson Active Premerger SPAC ETF is an actively managed excahnge-traded fund (ETF). In purusing the Funds investment objective, the Fund will invest at least 80% of its net assets (plus any borrowings for investment purposes) in equity securities specifically units and shares of common stock and warrants of Special Acquisition Companies (SPACs).|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||21.44|0.0|0.0|0.0|0.0|21.67|21.4393|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|21.5247|0.0|21.5247|0.0|0.0|21.42|21.64|21.42|21.62|0.0|0.0|0.0|0.0|21.42|21.62|22.31|20.43|2963|731433 10167|SPB|SPB|84790A105|US84790A1051|Spectrum Brands Holdings, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|C|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-6|TXN4-1|TXN3-6|TXN4-3|TXN3-5|35310000|||Quarterly|||||2018-07-16||||||| | | | | | | | | |||N|0|Y|Y|170A|USA|US|||45|4520|452010|45201040|Consumer Staples |Personal Care, Drug and Grocery Stores |Personal Care, Drug and Grocery Stores |Miscellaneous Consumer Staple Goods|N||N||||||Y|0|Y||Y|1|||71.75|71.755|0.0|71.85|71.83|71.85|71.84|71.84|0.0|0.0|71.86|71.77|71.81|71.89|72.14|71.8|71.86|71.83|71.9|71.8|71.8|71.81|66.92|76.69|71.49|71.84|71.75|71.89|71.75|71.91|71.8|71.81|85.25|56.685|866641|158826784 70710|SPBC|SPBC|82889N848|US82889N8487|Simplify US Equity PLUS GBTC ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN6-7|TXN13-7|TXN6-6|TXN6-7|230000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||27.36|27.31|0.0|0.0|0.0|0.0|27.3701|0.0|0.0|0.0|0.0|0.0|27.38|0.0|0.0|0.0|0.0|27.3701|0.0|27.38|27.05|27.65|0.0|0.0|27.25|27.63|25.3|29.12|0.0|0.0|27.38|27.49|27.39|19.7548|3337|2656010 37689|SPBO|SPBO|78464A144|US78464A1447|SPDR Series Trust|SPDR Portfolio Corporate Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-3|TXN4-6|TXN6-5|TXN1-8|TXN4-8|39750000|||Monthly|||||2011-04-07||SPBO.NV|SPBO.SO|SPBO.EU|SPBO.TC|SPBO.IV| | | | | | | | | |1x|The SPDR Barclays Capital Issuer Scored Corporate Bond ETF seeks to provide investment results that, before fees and expenses, correspond generally to the price and yield performance of an index that tracks the U.S. corporate bond market. The Barclays Capital Issuer Scored Corporate Index is designed to measure the performance of the U.S. corporate bond market. The Index includes publicly issued U.S. dollar denominated corporate issues that are rated investment grade (Baa3/BBB- or higher) by at least two of Moodys Investors Service, Inc., Fitch Inc., or Standard & Poors, Inc., and have $250 million or more of par amount outstanding. Only securities issued by companies with publicly traded equity are eligible for inclusion. In addition, the securities must be denominated in U.S. dollars, fixed rate and non-convertible. The Index includes only corporate sectors. The corporate sectors are Industrial, Utility, and Financial Institutions, which include both U.S. and non-U.S. corporations. The following instruments are excluded from the Index: structured notes with embedded swaps or other special features; subordinated debt; private placements; floating rate securities; and Eurobonds. Individual issuers in the Index are weighted using the following financial ratios: return on assets, interest coverage and current ratio (factors). Individual security weights are then calculated by the relative market value of each eligible security issued by the issuer. |N|0|N|N|416A|USA|US|FIXED_INCOME|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||28.5|28.52|0.0|0.0|28.51|28.51|28.505|28.49|0.0|0.0|28.51|28.51|28.51|28.5|28.5|28.51|0.0|28.54|0.0|28.54|28.48|29.96|26.73|30.33|28.5|28.53|28.48|28.6|28.48|28.6|28.5|28.53|29.94|26.75|420313|63290430 71757|SPC|SPC|89834G778|US89834G7786|CrossingBridge Pre-Merger SPAC ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN5-4|TXN11-4|TXN6-2|TXN6-7|3210000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||0.0|21.87|0.0|0.0|0.0|21.83|21.8758|0.0|0.0|0.0|21.84|0.0|21.84|0.0|0.0|0.0|21.84|21.8758|0.0|21.84|0.0|0.0|0.0|0.0|21.73|22.0|0.0|0.0|0.0|0.0|21.84|21.89|22.1399|20.6771|35147|4749488 42680|SPCB|SPCB|M87095200|IL0010830961|SuperCom Ltd|ORD||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-1|TXN5-4|TXN14-6|TXN5-8|TXN6-1|9250000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||ISR||||50|5020|502020|50202020|Industrials|Industrial Goods and Services|Electronic and Electrical Equipment|Electronic Equipment: Control and Filter|N||N||||||N|0|Y||||||0.4063|0.41|0.0|0.0|0.408|0.406|0.4141|0.4143|0.0|0.0|0.3962|0.3962|0.4075|0.0|0.0|0.4069|0.0|0.4143|0.0|0.4143|0.3859|0.4305|0.3176|0.43|0.4011|0.4331|0.326|0.4622|0.0|0.0|0.4011|0.4143|2.695|0.3416|369944|357627264 59674|SPCE|SPCE|92766K106|US92766K1060|Virgin Galactic Holdings, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-3|TXN4-2|TXN7-4|TXN2-5|TXN3-6|399720000|||NotApplicable|||||2017-09-29||||||| | | | | | | | | |||N|0|N|Y|408A|USA|US|||50|5020|502010|50201010|Industrials|Industrial Goods and Services|Aerospace and Defense|Aerospace|N||N||||||Y|0|Y|C|Y|2|||1.925|1.92|0.0|1.94|1.925|1.92|1.92|1.92|0.0|0.0|1.92|1.93|1.92|1.925|1.925|1.93|1.925|1.92|1.92|1.93|1.92|1.93|1.92|1.96|1.92|1.93|1.89|1.96|1.88|1.97|1.92|1.93|6.61|1.38|28098603|3367896350 68509|SPCX|SPCX|19423L672|US19423L6728|The SPAC and New Issue ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN6-2|TXN10-2|TXN5-1|TXN6-6|680000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|23.57|0.0|0.0|0.0|0.0|0.0|23.47|0.0|0.0|0.0|0.0|23.46|0.0|23.47|0.0|0.0|0.0|0.0|23.25|23.9|0.0|0.0|0.0|0.0|23.45|23.69|26.5|22.11|3278|645291 74261|SPCZ|SPCZ|53656G100|US53656G1004|RiverNorth Enhanced Pre-Merger SPAC ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-6|TXN4-5|TXN1-5|TXN3-8|TXN4-7|230000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|26.8765|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|26.8765|0.0|26.8765|0.0|0.0|0.0|0.0|25.0|28.78|13.45|40.33|0.0|0.0|26.84|26.9|27.0512|25.3975|0|215891 67440|SPD|SPD|82889N202|US82889N2027|Simplify Exchange Traded Funds|Simplify US Equity PLUS Downside Convexity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Simplify|Wolverine Trading, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-5|TXN2-4|TXN4-8|TXN4-8|TXN4-1|3050001|||Quarterly|||||2020-09-04||SPD.NV|SPD.SO|SPD.EU|SPD.TC|SPD.IV| | | | | | | | | ||The Simplify US Equity PLUS Downside Convexity ETF seeks to track the large cap US equity market while boosting performance during extreme market moves down via a systematic options overlay. The options component of the fund is designed to create a convex equity payoff on the downside, with the hopes of increasingly protecting capital as market drawdowns deepen.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||Y|0|Y||Y|2|||27.7|27.58|0.0|0.0|27.685|27.57|27.69|0.0|0.0|0.0|27.58|27.67|27.57|27.58|27.295|0.0|0.0|27.7|27.685|27.7|0.0|0.0|27.67|27.71|27.7|27.78|0.0|0.0|0.0|0.0|27.7|27.75|28.25|23.73|668485|13784623 76272|SPDG|SPDG|78468R465|US78468R4653|SPDR Series Trust|SPDR Portfolio S&P Sector Neutral Dividend ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN2-1|TXN5-8|TXN1-8|TXN2-5|100000|||Quarterly|||||2023-09-12||SPDG.NV|SPDG.SO|SPDG.EU|SPDG.TC|SPDG.IV| | | | | | | | | |1x|The SPDR Portfolio S&P Sector Neutral Dividend ETF (the Fund) seeks to provide investment results that, before fees and expenses, correspond generally to the total return performance of an index that tracks the performance of publicly traded issuers that have historically followed a policy of increasing or maintaining dividend payments and mirrors the sector weights of the broad exchange-traded US equity securities universe.|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|30.7199|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|30.8035|0.0|30.8035|0.0|0.0|30.75|30.82|30.77|30.82|30.74|30.82|30.75|30.82|30.77|30.82|30.8035|27.6694|28|71644 53286|SPDN|SPDN|25460E869|US25460E8690|Direxion Shares ETF Trust|Direxion Daily S&P 500 Bear 1X Shares|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Direxion Shares|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-1|TXN2-3|TXN7-4|TXN3-3|TXN3-2|16049982.5|||Quarterly|||||2016-06-08||SPDN.NV|SPDN.SO|SPDN.EU|SPDN.TC|SPDN.IV| | | | | | | | | |-1x|The Direxion Daily S&P 500 Bear 1X Shares (Fund) seeks daily investment results, before fees and expenses, of 100% of the inverse (or opposite) of the performance of the S&P 500 Index. The Fund seeks daily inverse investment results and does not seek to achieve its stated investment objective over a period of time greater than one day. The Fund is different and much riskier than most exchange-traded funds. |N|0|N|N|416A|USA|US|EQUITY|INVERSE|||||||||N||N||||||N|0|Y||Y|1|||14.02|14.025|0.0|0.0|14.02|14.045|14.02|14.05|0.0|0.0|14.025|14.025|14.03|14.02|14.1|14.025|14.05|14.02|14.03|14.02|14.02|14.03|14.02|14.03|14.02|14.03|14.02|14.03|13.76|14.4|14.02|14.03|16.8091|13.8501|4758619|1195589559 60186|SPDV|SPDV|26922A594|US26922A5948|ETF Series Solutions|AAM S&P 500 High Dividend Value ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Advisors Asset Management|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-4|TXN3-3|TXN2-8|TXN3-2|TXN3-3|2150000|||Monthly|||||2017-11-28||SPDV.NV|SPDV.SO|SPDV.EU|SPDV.TC|SPDV.IV| | | | | | | | | |1x|The Fund uses a passive management (or indexing) approach to track the total return performance, before fees and expenses, of the Index. The Index is a rules-based, equal-weighted index that is designed to provide exposure to the constituents of the S&P 500 Index that exhibit both high dividend yield and sustainable dividend distribution characteristics, while maintaining diversified sector exposure. The Index was developed in 2017 by S&P Dow Jones Indices, a division of S&P Global.|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||28.23|28.19|0.0|28.19|28.23|28.19|28.21|28.21|0.0|0.0|28.3|28.19|28.27|28.23|28.19|28.21|0.0|28.3|28.23|28.3|28.24|28.35|0.0|0.0|28.27|28.35|28.2|28.43|28.2|28.43|28.27|28.35|31.079|25.31|11514|2261025 24421|SPDW|SPDW|78463X889|US78463X8891|SPDR Index Shares Funds|SPDR Portfolio Developed World ex-US ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN1-8|TXN9-3|TXN2-6|TXN4-4|525700000|||BiAnnually|||||2008-11-07||GWL.NV|GWL.SO|GWL.EU|GWL.TC|GWL.IV| | | | | | | | | |1x|The SPDR S&P World ex-US ETF, before expenses, seeks to closely match the returns and characteristics of the total return performance of the The S&P Developed Ex-U.S. BMI Index (ticker: STBMWUU), an equity index based upon the world (ex-US) composite market. The S&P Developed ExU.S. BMI Index is a market capitalization weighted index that defines and measures the investable universe of publicly traded companies domiciled in developed countries outside the U.S. The Developed Index is float adjusted, meaning that only those shares publicly available to investors are included in the Developed Index calculation.|N|0|N|N|406C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||32.62|32.63|0.0|0.0|32.62|32.625|32.635|32.62|0.0|0.0|32.625|32.63|32.63|32.61|32.63|32.625|32.63|32.63|32.63|32.63|32.62|32.64|30.67|34.64|32.63|32.64|32.57|32.69|32.59|32.69|32.63|32.64|33.8|29.39|3993297|756421074 8535|SPE|SPE|84741T104|US84741T1043|Special Opportunities Fund, Inc.|Common Stock|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN4-7|TXN2-8|TXN1-8|TXN1-2|11180000|||Monthly|||||1993-05-28||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||11.67|11.7|0.0|0.0|11.67|11.59|11.6|11.67|0.0|0.0|11.56|11.25|11.55|11.48|0.0|11.6|11.3|11.6|0.0|11.6|11.52|11.6|11.52|11.6|11.26|12.43|0.0|0.0|0.0|0.0|11.52|11.6|12.23|10.26|84938|6192664 73319|SPE PRC|SPEpC|84741T401|US84741T4013|Special Opportunities Fund, Inc.|2.75% Convertible Preferred Stock, Series C|Closed end fund|G|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN1-1|TXN9-8|TXN3-4|TXN1-8|2540000|||Quarterly|||||2022-01-26|2027-01-27|||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|22.895|0.0|0.0|0.0|22.55|0.0|0.0|0.0|0.0|22.895|0.0|22.895|0.0|22.895|22.55|22.89|0.0|0.0|21.76|23.25|0.0|0.0|0.0|0.0|22.55|22.89|23.95|19.92|1451|352014 72989|SPEC|SPEC|84753T109|US84753T1097|Spectaire Holdings Inc|ORD SHS CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN6-3|TXN11-2|TXN6-6|TXN5-6|2080000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||1.81|1.84|0.0|0.0|1.77|1.75|1.76|1.75|0.0|0.0|1.75|0.0|1.75|1.795|0.0|1.75|0.0|1.74|0.0|1.75|1.39|2.1|1.39|2.1|1.63|1.91|1.39|2.1|0.0|0.0|1.72|1.78|8.04|1.29|70727|7266891 72990|SPECW|SPECW|84753T117|US84753T1170|Spectaire Holdings Inc|WT EXP 101728||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-6|TXN5-8|TXN13-7|TXN5-3|TXN6-6|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0201|0.0|0.0|0.0|0.02|0.02|0.0|0.0|0.0|0.0|0.0|0.0201|0.0|0.0201|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.02|0.03|0.1325|0.0071|38697|1494392 19502|SPEM|SPEM|78463X509|US78463X5095|SPDR Index Shares Funds|SPDR Portfolio Emerging Markets ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN4-4|TXN2-8|TXN3-2|TXN2-8|223900000|||BiAnnually|||||2008-11-07||GMM.NV|GMM.SO|GMM.EU|GMM.TC|GMM.IV| | | | | | | | | |1x|The SPDR S&P Emerging Markets ETF, before expenses, seeks to closely match the returns and characteristics of the total return performance of the S&P Emerging BMI Index (ticker: STBMEMU). The S&P Emerging BMI Index is a market capitalization weighted index that defines and measures the investable universe of publicly traded companies domiciled in emerging markets. The Emerging Index is float adjusted, meaning that only those shares publicly available to investors are included in the Emerging Index calculation.|N|0|N|N|406C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||34.69|34.68|0.0|0.0|34.68|34.685|34.68|34.68|0.0|0.0|34.69|34.68|34.69|34.68|34.685|34.68|34.665|34.68|34.68|34.68|34.68|34.71|32.42|37.1|34.68|34.69|33.08|36.57|33.98|35.33|34.68|34.69|36.44|32.055|2305112|404159397 6278|SPEU|SPEU|78463X103|US78463X1037|SPDR Index Shares Funds|SPDR Portfolio Europe ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-6|TXN1-7|TXN8-8|TXN2-3|TXN4-4|5900370|||Quarterly|||||2007-12-27||SPEU.NV|SPEU.SO|SPEU.EU|SPEU.TC|SPEU.IV| | | | | | | | | |1x|The SPDR STOXXEurope 50 ETF seeks to replicate as closely as possible, before expenses, the price and yield of the STOXX Europe 50 Index (index ticker: SX5V).The STOXX Europe 50 Index is designed to represent the performance of some of the largest companies across all components of the 20 STOXX Europe 600 Supersector Indexes. The STOXX Europe 600 Supersector Indexes are subsets of the STOXX Europe 600 Index and contain 600 of the largest stocks traded on the major exchanges in Europe. The STOXX Europe 600 Index is derived from the STOXX Europe Total Market Index (TMI) and a subset of the STOXX Global 1800 Index. The Index captures approximately 50% of the free-float market capitalization of the STOXX Europe Total Market Index, which in turn covers approximately 95% of the free-float market capitalization of the represented countries|N|0|N|N|406C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||38.55|0.0|0.0|0.0|38.55|38.49|38.55|38.47|0.0|0.0|0.0|0.0|38.53|38.54|0.0|0.0|0.0|38.53|0.0|38.53|36.6|40.42|0.0|0.0|38.52|38.61|36.6|40.42|0.0|0.0|36.83|38.6|39.82|34.3003|9337|19866005 40343|SPFF|SPFF|37950E333|US37950E3339|Global X Funds|Global X SuperIncome Preferred ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Global X|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-4|TXN3-2|TXN3-8|TXN1-8|TXN3-3|18850000|||Monthly|||||2012-07-17||SPFF.NV|SPFF.SO|SPFF.EU|SPFF.TC|SPFF.IV| | | | | | | | | |1x|The Global X SuperIncome Preferred ETF (Fund) seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the S&P Enhanced Yield North American Preferred Stock Index (Underlying Index). The Underlying Index tracks the performance of the highest yielding preferred securities in the United States and Canada, as determined by Standard & Poors (Index Provider). The Underlying Index is comprised of preferred stocks that meet certain criteria relating to size, liquidity, issuer concentration and rating, maturity and other requirements, as determined by the Index Provider.|N|0|N|N|416A|USA|US|FIXED_INCOME|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||8.97|8.95|0.0|0.0|8.98|8.95|8.9774|8.7|0.0|0.0|8.97|8.76|8.94|8.97|0.0|0.0|8.95|8.98|0.0|8.98|8.76|9.15|6.94|11.04|8.95|8.97|8.4|9.05|0.0|0.0|8.95|8.97|10.48|8.11|45286|21496056 63596|SPFI|SPFI|83946P107|US83946P1075|South Plains Financial Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN6-2|TXN11-8|TXN5-5|TXN6-4|16480000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||||||0.0|27.43|0.0|0.0|27.18|27.13|27.415|27.31|0.0|0.0|27.29|0.0|27.46|27.06|0.0|0.0|0.0|27.4|0.0|27.46|26.84|27.82|21.07|33.44|26.9|27.79|21.07|33.44|0.0|0.0|27.33|27.46|30.93|18.75|23273|7709163 9265|SPG|SPG|828806109|US8288061091|Simon Property Group, Inc.|Common Stock|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-5|TXN1-3|TXN5-6|TXN1-8|TXN1-6|326240000|||Quarterly|||||1993-12-14||||||| | | | | | | | | |||N|1|Y|Y|412A|USA|US|||35|3510|351020|35102045|Real Estate|Real Estate |Real Estate Investment Trusts|Retail REITs|N||N||||||Y|0|Y||Y|1|||130.83|130.87|0.0|130.89|130.86|130.83|130.86|130.81|0.0|0.0|130.87|130.82|130.9|130.44|130.71|130.85|130.84|130.86|130.82|130.85|130.85|130.86|121.66|138.1|130.82|130.93|130.75|131.0|130.8|131.01|130.85|130.86|133.08|100.17|1920903|351569340 9269|SPG PRJ|SPGpJ|828806885|US8288068856|Simon Property Group, Inc.|8 3/8% Series J Cumulative Redeemable Preferred Stock|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|6|H|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN3-8|TXN3-8|TXN1-3|TXN4-1|800000|||Quarterly|||||2004-12-15||||||| | | | | | | | | |||N|0|N|N|412A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|56.93|0.0|0.0|0.0|56.4|57.69|0.0|0.0|0.0|55.0|0.0|0.0|0.0|0.0|57.69|0.0|57.69|0.0|57.69|56.35|57.75|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|56.35|57.75|61.99|52.7|2313|188490 76158|SPGC|SPGC|78577G103|US78577G1031|Sacks Parente Golf Inc|COM USD$0.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-8|TXN5-5|TXN11-8|TXN6-1|TXN6-4|14600000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4020|402030|40203050|Consumer Discretionary|Consumer Products and Services|Leisure Goods|Recreational Products|N||N||||||N|0|Y||||||0.667|0.6895|0.0|0.0|0.667|0.667|0.6895|0.6737|0.0|0.0|0.6666|0.0|0.67|0.0|0.0|0.0|0.0|0.667|0.0|0.667|0.544|0.816|0.544|0.816|0.65|0.7|0.544|0.816|0.0|0.0|0.67|0.688|30.0|0.6123|16964|55149023 7712|SPGI|SPGI|78409V104|US78409V1044|S&P Global Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-5|TXN2-5|TXN6-7|TXN4-7|TXN1-7|316800000|||Quarterly|||||1929-02-14||||||| | | | | | | | | |||N|5|Y|Y|142C|USA|US|||30|3020|302010|30201030|Financials|Financial Services |Finance and Credit Services|Financial Data Providers|N||N||||||Y|0|Y||Y|1|||424.42|424.22|0.0|424.15|424.25|424.26|424.14|424.26|0.0|0.0|424.14|425.02|424.22|424.03|424.24|424.19|424.545|424.19|421.72|424.19|424.18|424.22|398.66|446.98|423.79|424.43|423.94|424.42|423.91|424.45|424.18|424.22|428.65|321.145|1513456|287209961 39655|SPGM|SPGM|78463X475|US78463X4759|SPDR Index Shares Funds|SPDR Portfolio MSCI Global Stock Market ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-4|TXN4-4|TXN1-8|TXN2-5|TXN1-1|12150000|||BiAnnually|||||2012-02-28||SPGM.NV|SPGM.SO|SPGM.EU|SPGM.TC|SPGM.IV| | | | | | | | | |1x|The SPDR MSCI ACWI IMI ETF seeks to provide investment results that, before fees and expenses, correspond generally to the total return performance of an index that tracks securities of publicly-traded companies in developed and emerging markets. There is no assurance that the Fund will achieve its investment objective. The Index is a free float-adjusted market capitalization-weighted index that is designed to measure the combined equity market performance of developed and emerging markets. The Index covers approximately 98% of the global equity investment opportunity set. To be eligible for inclusion in the Index, a security and its issuing company must meet certain size and capitalization requirements. In particular: (i) a company must have a full market capitalization within the range of the top 99% of the developed market equity universe, based on free-float adjusted market capitalization (for emerging market companies, the required full market capitalization is set at one half the corresponding level for developed market companies); and (ii) a security must have a free-float adjusted market capitalization equal to or greater than 50% of the smallest company identified above. In addition, the following liquidity requirements must be met: (i) developed market securities must have a three-month and twelve-month Annualized Traded Value Ratio (ATVR) of at least 20% and a three-month frequency of trading of at least 90% and (ii) emerging market securities must have a three-month and twelve-month ATVR of at least 15% and a three-month frequency of trading of at least 80%. Mutual funds (other than business development companies in the United States), ETFs, equity derivatives, limited partnerships, and most investment trusts are not eligible for inclusion in the Index. The composition of the Index is fully reviewed on a quarterly basis.|N|0|N|N|406C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||53.34|53.29|0.0|0.0|53.23|53.22|53.37|53.27|0.0|0.0|53.11|0.0|53.3|53.34|0.0|0.0|0.0|53.29|53.34|53.29|49.73|56.7|53.11|53.48|53.27|53.37|53.11|53.48|53.11|53.48|53.27|53.5|54.3561|45.8755|27679|15891216 38366|SPGP|SPGP|46137V431|US46137V4317|Invesco Exchange-Traded Fund Trust|Invesco S&P 500 GARP ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Invesco|Latour Trading, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-8|TXN2-6|TXN3-7|TXN2-1|TXN1-6|43270000|||Quarterly|||||2011-06-16||SPGP.NV|SPGP.SO|SPGP.EU|SPGP.TC|SPGP.IV| | | | | | | | | |1x|The Fund will invest at least 90% of its total assets in the component securities that comprise the Underlying Index. The Underlying Index is comprised of common stocks of large growth U.S. companies (including real estate investment trusts (REITs)), as classified by Research Affiliates, LLC (Research Affiliates or the Index Provider), based on the Index Providers Fundamental Index methodology.|N|0|N|N|406C|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|1|||93.9|93.9|0.0|0.0|93.91|93.91|93.91|93.91|0.0|0.0|93.93|94.12|93.9|93.69|93.88|93.79|94.41|93.87|93.71|93.87|93.69|94.11|87.86|100.51|93.88|93.9|93.77|93.95|93.72|94.01|93.88|93.9|96.18|80.32|334316|71185503 9270|SPH|SPH|864482104|US8644821048|Suburban Propane Partners, L.P.|Common Units Representing Limited Partnership Interests|Limited partnership|A|N|N|N|Y|Y|Y|Y|Y|6|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN3-5|TXN8-6|TXN4-3|TXN4-6|64020000|||Quarterly|||||1996-02-29||||||| | | | | | | | | |||N|0|N|N|304C|USA|US|||40|4040|404010|40401030|Consumer Discretionary|Retail |Retailers |Specialty Retailers |N||N||||||Y|0|Y||Y|2|||17.3|17.29|0.0|17.29|17.3|17.235|17.25|17.265|0.0|0.0|17.29|17.24|17.3|17.23|17.38|17.3|17.23|17.29|0.0|17.3|17.24|17.3|13.29|21.0|17.21|17.3|17.22|17.3|17.22|17.3|17.21|17.29|17.78|14.42|533495|51507121 37976|SPHB|SPHB|46138E370|US46138E3707|Invesco Exchange-Traded Fund Trust II|Invesco S&P 500® High Beta ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Invesco|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-7|TXN1-4|TXN5-3|TXN3-1|TXN1-6|6530000|||Quarterly|||||2011-05-05||SPHB.NV|SPHB.SO|SPHB.EU|SPHB.TC|SPHB.IV| | | | | | | | | |1x|The Fund will invest at least 90% of its total assets in common stocks that comprise the Underlying Index. The Underlying Index consists of the 100 stocks from the S&P 500 Index with the highest sensitivity to market movements, or beta, over the past 12 months as determined by Standard & Poors.|N|0|N|N|406C|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|1|||75.19|75.16|0.0|0.0|75.19|75.19|75.195|75.2|0.0|0.0|75.21|75.21|75.18|74.93|75.24|75.21|75.22|75.19|70.825|75.19|75.08|75.29|75.04|75.29|75.17|75.2|75.08|75.29|75.06|75.29|75.17|75.2|80.78|60.45|624590|135362383 40868|SPHD|SPHD|46138E362|US46138E3624|Invesco Exchange-Traded Fund Trust II|Invesco S&P 500® High Dividend Low Volatility ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Invesco|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-3|TXN3-5|TXN2-4|TXN3-7|TXN2-5|71720000|||Monthly|||||2012-10-18||SPHD.NV|SPHD.SO|SPHD.EU|SPHD.TC|SPHD.IV| | | | | | | | | |1x|The PowerShares S&P 500 High Dividend Portfolio (the Fund) seeks investment results that generally correspond (before fees and expenses) to the price and yield of the S&P 500 Low Volatility High Dividend Index (the Underlying Index). The Underlying Indexis composed of 50 securities traded on the S&P 500 Index that historically have provided high dividend yields and low volatility.|N|0|N|N|406C|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|1|||41.34|41.32|0.0|0.0|41.33|41.34|41.33|41.335|0.0|0.0|41.34|41.33|41.32|41.28|41.34|41.335|41.3|41.34|41.32|41.34|41.32|41.43|41.26|41.38|41.32|41.33|41.31|41.34|41.29|41.39|41.32|41.33|46.29|37.19|1264075|157808349 15806|SPHQ|SPHQ|46137V241|US46137V2410|Invesco Exchange-Traded Fund Trust|Invesco S&P 500® Quality ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Invesco|IMC Chicago, LLC, DBA IMC Financial Markets|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-3|TXN1-7|TXN6-8|TXN3-3|TXN1-6|124610000|||Quarterly|||||2008-11-03||SPHQ.NV|SPHQ.SO|SPHQ.EU|SPHQ.TC|SPHQ.IV| | | | | | | | | |1x|The PowerShares S&P 500 Quality Portfolio (Fund) is based on the S&P 500 Quality Index.|N|0|N|N|406C|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|1|||51.87|51.85|0.0|51.93|51.88|51.865|51.8514|51.83|0.0|0.0|51.88|51.86|51.86|51.78|51.87|51.87|51.88|51.87|51.82|51.87|51.85|51.97|51.78|51.93|51.85|51.87|51.84|51.88|51.82|51.94|51.85|51.88|52.83|43.0402|1015077|180026041 66113|SPHR|SPHR|55826T102|US55826T1025|Sphere Entertainment Co.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-5|TXN1-7|TXN1-8|TXN2-4|TXN3-3|28240000|||NotApplicable|||||2020-04-09||||||| | | | | | | | | |||N|0|N|Y|306A|USA|US|||40|4050|405010|40501030|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Recreational Services|N||N||||||Y|0|Y||Y|2|||33.58|33.62|0.0|33.67|33.58|33.66|33.67|33.67|0.0|0.0|33.6|33.47|33.66|33.64|33.96|33.62|33.69|33.66|33.54|33.62|33.61|33.66|26.28|41.09|33.5|33.91|33.54|33.73|33.61|33.77|33.61|33.66|43.93|20.685|667361|99233844 40239|SPHY|SPHY|78468R606|US78468R6062|SPDR Series Trust|SPDR Portfolio High Yield Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-6|TXN1-6|TXN3-6|TXN3-6|TXN1-1|131200000|||Monthly|||||2012-06-19||SPHY.NV|SPHY.SO|SPHY.EU|SPHY.TC|SPHY.IV| | | | | | | | | |1x|The SPDR ICE BofAML Broad High Yield Bond ETF (the Fund) seeks to provide investment results that, before fees and expenses, correspond generally to the price and yield performance of an index that tracks the broad U.S. corporate high yield market. |N|0|N|N|416A|USA|US|FIXED_INCOME|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||22.92|22.92|0.0|0.0|22.92|22.92|22.91|22.92|0.0|0.0|22.92|22.91|22.91|22.92|22.88|22.915|22.915|22.92|22.92|22.92|22.91|22.92|22.88|22.96|22.91|22.92|22.88|22.96|22.88|22.96|22.91|22.92|23.44|21.8001|1554214|277397295 52308|SPI|SPI|G8651P110|KYG8651P1101|SPI Energy Co Ltd|COM USD.000001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-1|TXN5-3|TXN13-7|TXN6-5|TXN5-4|31600000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||60|6010|601020|60102020|Energy|Energy|Alternative Energy|Renewable Energy Equipment |N||N||||||Y|0|Y||||||0.73|0.7334|0.0|0.0|0.73|0.7334|0.7334|0.709|0.0|0.0|0.7334|0.73|0.7217|0.0|0.0|0.0|0.0|0.7334|0.0|0.7217|0.6555|0.7665|0.552|0.8652|0.6442|0.74|0.584|0.8112|0.0|0.0|0.69|0.7334|1.86|0.4901|80544|20242776 17456|SPIB|SPIB|78464A375|US78464A3757|SPDR Series Trust|SPDR Portfolio Intermediate Term Corporate Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-1|TXN4-7|TXN1-4|TXN1-4|TXN4-3|225000072|||Monthly|||||2009-02-10||ITR.NV|ITR.SO|ITR.EU|ITR.TC|ITR.IV| | | | | | | | | |1x|The SPDR Barclays Capital Intermediate Term Corporate Bond ETF seeks to provide investment results that, before fees and expenses, correspond generally to the price and yield performance of the Barclays Capital Intermediate US Corporate Index, an index that tracks the intermediate term (1-10 years) sector of the United States corporate bond market. The Index is designed to measure the performance of U.S. corporate bonds that have a maturity of greater than or equal to 1 year and less than 10 years. The Index is a component of the Barclays U.S. Corporate Index and includes investment grade, fixed-rate, taxable, U.S. dollar denominated debt with $250 million or more of par amount outstanding, issued by U.S. and non-U.S. industrial, utility, and financial institutions. Subordinated issues, securities with normal call and putprovisions and sinking funds, medium-term notes (if they are publicly underwritten), 144A securities with registration rights, and global issues that are SEC-registered are included. Structured notes with embedded swaps or other special features, as well as private placements, floating- rate securities, and Eurobonds are excluded from the Index.|N|0|N|N|416A|USA|US|FIXED_INCOME|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||32.175|32.17|0.0|32.14|32.175|32.17|32.17|32.17|0.0|32.15|32.17|32.17|32.17|32.175|32.17|32.17|32.135|32.18|32.17|32.18|32.17|32.18|30.18|34.31|32.17|32.18|30.58|32.21|32.13|32.21|32.17|32.18|32.91|30.89|3892335|1313347212 24669|SPIP|SPIP|78464A656|US78464A6560|SPDR Series Trust|SPDR Portfolio TIPS ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-3|TXN2-3|TXN8-5|TXN2-7|TXN4-8|57600450|||Monthly|||||2008-11-07||SPIP.NV|SPIP.SO|SPIP.EU|SPIP.TC|SPIP.IV| | | | | | | | | |1x|The SPDR Barclays Capital TIPS ETF seeks to provide investment results that, before fees and expenses, correspond generally to the price and yield performance the Barclays U.S. Government Inflation-linked Bond Index (ticker: BCIT1T). The Barclays U.S. Government Inflation-linked Bond Index includes publicly issued, U.S. Treasury inflation protected securities that have at least 1 year remaining to maturity on index rebalancing date, with an issue size equal to or in excess of $500 million. Bonds must be capital-indexed and linked to an eligible inflation index. The securities must be denominated in U.S. dollars and pay coupon and principal in U.S. dollars. The notional coupon of a bond must be fixed or zero. Bonds must settle on or before the index rebalancing date.|N|0|N|N|416A|USA|US|FIXED_INCOME|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||25.16|25.15|0.0|0.0|25.16|25.15|25.15|25.14|0.0|0.0|25.135|25.14|25.165|25.13|25.145|25.145|0.0|25.15|25.14|25.15|25.15|25.16|23.46|26.94|25.15|25.16|25.15|25.17|24.66|25.73|25.15|25.16|26.74|24.331|395704|120247952 68037|SPIR|SPIR|848560306|US8485603067|Spire Global, Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|O|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN3-8|TXN3-8|TXN2-5|TXN1-5|20850000|||NotApplicable|||||2020-11-02||||||| | | | | | | | | |||N|0|N|Y|408A|USA|US|||50|5020|502010|50201020|Industrials|Industrial Goods and Services|Aerospace and Defense|Defense|N||N||||||Y|0|Y||Y|2|||5.72|5.71|0.0|0.0|5.73|5.705|5.73|5.69|0.0|0.0|5.75|5.75|5.705|5.7|5.7|5.72|4.93|5.68|5.64|5.72|5.68|5.72|4.35|7.0|5.59|5.84|5.64|5.77|5.63|5.78|5.68|5.72|6.1399|0.35|125760|168216607 76678|SPKL|SPKL|G8316B100|KYG8316B1005|Spark I Acquisition Corp|CL A ORD NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN6-8|TXN11-5|TXN5-6|TXN6-7|10000000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.12|0.0|0.0|0.0|0.0|0.0|0.0|0.0|7.78|12.49|7.78|12.49|9.43|10.79|7.78|12.49|0.0|0.0|10.1|10.12|10.15|10.07|29|514206 76450|SPKLU|SPKLU|G8316B126|KYG8316B1260|Spark I Acquisition Corp|UNIT (1 CLA 1/2 WT)||R|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN5-4|TXN11-6|TXN6-2|TXN5-2|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.16|0.0|0.0|0.0|0.0|10.16|0.0|10.16|0.0|0.0|0.0|0.0|9.49|10.84|0.0|0.0|0.0|0.0|10.16|10.17|10.39|10.0824|195|14917736 76679|SPKLW|SPKLW|G8316B118|KYG8316B1187|Spark I Acquisition Corp|WT EXP 100130||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-8|TXN6-8|TXN13-2|TXN6-3|TXN6-7|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y|D|||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.08|0.18|0.08|0.18|0.08|0.18|0.08|0.18|0.0|0.0|0.1|0.15|0.12|0.1|0|386117 30137|SPLB|SPLB|78464A367|US78464A3674|SPDR Series Trust|SPDR Portfolio Long Term Corporate Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-4|TXN4-5|TXN7-6|TXN4-5|TXN2-5|30449986|||Monthly|||||2009-03-10||LWC.NV|LWC.SO|LWC.EU|LWC.TC|LWC.IV| | | | | | | | | |1x|The SPDR Barclays Capital Long Term Corporate Bond ETF seeks to provide investment results that, before fees and expenses, correspond generally to the price and yield performance of the Barclays Capital Long U.S. Corporate index , an index that tracks the long term (10 years) sector of the United States corporate bond market. The Index is designed to measure the performance of U.S. corporate bonds that have a maturity of greater than or equal to 10 years. The Index is a component of the Barclays U.S. Corporate Index and includes investment grade, fixed-rate, taxable, U.S. dollar-denominated debt with $250 million or more of par amount outstanding, issued by U.S. and non-U.S. industrial, utility, and financial institutions. Subordinated issues, securities with normal call and put provisions and sinking funds, medium-term notes (if they are publicly underwritten), 144A securities with registration rights, and global issues that are SEC-registered are included. Structured notes with embedded swaps or other special features, as well as private placements, floating-rate securities, and Eurobonds are excluded from the Index.|N|0|N|N|416A|USA|US|FIXED_INCOME|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||22.53|22.56|0.0|0.0|22.56|22.56|22.56|22.565|0.0|0.0|22.56|22.56|22.56|22.57|22.55|22.555|22.565|22.56|22.56|22.56|22.5|23.68|21.08|23.98|22.55|22.57|21.44|23.68|22.08|23.01|22.55|22.57|24.65|20.019|579104|178229953 15688|SPLG|SPLG|78464A854|US78464A8541|SPDR Series Trust|SPDR Portfolio S&P 500 ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|IMC Chicago, LLC, DBA IMC Financial Markets|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-4|TXN3-1|TXN3-4|TXN3-5|TXN2-4|433100000|||Quarterly|||||2008-11-06||SPLG.NV|SPLG.SO|SPLG.EU|SPLG.TC|SPLG.IV| | | | | | | | | |1x|In seeking to track the performance of the S&P 500 Index(the Index), the Fund employs a sampling strategy, which means that the Fund is not required to purchase all of the securities represented in the Index. Instead, the Fund may purchase a subset of the securities in the Index in an effort to hold a portfolio of securities with generally the same risk and return characteristics of the Index.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||53.71|53.7|0.0|0.0|53.7|53.705|53.7018|53.71|0.0|0.0|53.715|53.72|53.705|53.71|53.67|53.71|53.72|53.72|53.7|53.72|53.7|53.78|53.7|53.71|53.69|53.71|53.7|53.72|53.64|53.74|53.69|53.71|54.051|44.07|6275079|904069684 39906|SPLK|SPLK|848637104|US8486371045|Splunk Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN5-5|TXN10-2|TXN5-5|TXN6-6|168500000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||USA||||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||||||150.99|150.97|0.0|151.06|150.96|151.04|150.9532|150.96|0.0|0.0|150.95|150.96|150.97|150.98|150.96|150.96|150.98|150.95|150.98|150.97|150.9|151.07|141.74|160.75|150.87|151.09|143.62|158.68|0.0|0.0|150.93|150.96|152.0|81.11|2079813|443069276 39875|SPLP|SPLP|85814R107|US85814R1077|Steel Partners Holdings L.P.|Common Units|Limited partnership|A|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN4-5|TXN1-5|TXN2-4|TXN4-6|21310000|||Adhoc|||||2012-04-10||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||50|5020|502030|50203000|Industrials|Industrial Goods and Services|General Industrials|Diversified Industrials|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|38.7501|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|38.7501|0.0|38.7501|0.0|38.7501|38.75|40.0|0.0|0.0|36.18|42.66|0.0|0.0|0.0|0.0|38.75|40.0|48.0|37.5|2105|712889 56644|SPLP PRA|SPLPpA|85814R206|US85814R2067|Steel Partners Holdings L.P.|6.0% Series A Preferred Units, no par value|Limited partnership|B|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN4-7|TXN6-8|TXN3-8|TXN1-1|6330000|||Quarterly|||||2017-02-10||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|23.375|0.0|0.0|0.0|23.36|23.32|23.56|0.0|0.0|23.35|0.0|23.38|0.0|0.0|23.355|23.41|23.355|0.0|23.355|23.32|23.39|23.41|23.52|22.88|23.8|0.0|0.0|0.0|0.0|22.88|23.8|23.94|22.62|17007|2483968 37977|SPLV|SPLV|46138E354|US46138E3541|Invesco Exchange-Traded Fund Trust II|Invesco S&P 500® Low Volatility ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Invesco|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN2-1|TXN5-6|TXN4-6|TXN2-3|134740000|||Monthly|||||2011-05-05||SPLV.NV|SPLV.SO|SPLV.EU|SPLV.TC|SPLV.IV| | | | | | | | | |1x|The Fund will invest at least 90% of its total assets in common stocks that comprise the Underlying Index. The Underlying Index consists of the 100 stocks from the S&P 500 Index with the lowest realized volatility over the past 12 months as determined by Standard &Poors.|N|0|N|N|406C|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|1|||61.88|61.87|0.0|62.02|61.875|61.87|61.86|61.875|0.0|0.0|61.87|61.87|61.88|61.88|61.87|61.87|61.87|61.86|61.87|61.86|61.77|62.0|61.79|61.95|61.87|61.88|61.85|61.89|61.78|61.95|61.87|61.88|66.32|57.17|1516656|543860236 29907|SPMB|SPMB|78464A383|US78464A3831|SPDR Series Trust|SPDR Portfolio Mortgage Backed Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN3-6|TXN3-7|TXN3-6|TXN1-2|214500000|||Monthly|||||2009-01-27||SPMB.NV|SPMB.SO|SPMB.EU|SPMB.TC|SPMB.IV| | | | | | | | | |1x|The SPDR Barclays Capital Mortgage Backed Bond ETF seeks to provide investment results that, before fees and expenses, correspond generally to the price and yield performance of an index that tracks the U.S. agency mortgage pass-through sector of the U.S. investment grade bond market. The Barclays Capital U.S. MBS Index (the MBS Index) measures the performance of the U.S. agency mortgage pass-through segment of the U.S. investment grade bond market. The term U.S. agency mortgage pass-through security refers to a category of pass-through securities backed by pools of mortgages and issued by one of the following U.S. government-sponsored enterprises: Government National Mortgage Association (GNMA); Federal National Mortgage Association (FNMA) and Federal Home Loan Mortgage Corporation (FHLMC).|N|0|N|N|416A|USA|US|FIXED_INCOME|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||21.37|21.37|0.0|0.0|21.37|21.375|21.37|21.37|0.0|0.0|21.375|21.37|21.37|21.375|21.375|21.375|21.37|21.38|21.36|21.38|21.36|21.38|19.81|22.71|21.36|21.37|21.36|21.39|20.92|21.84|21.36|21.37|22.67|20.0|1114858|222931226 15689|SPMD|SPMD|78464A847|US78464A8475|SPDR Series Trust|SPDR Portfolio S&P 400 Mid Cap ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-1|TXN2-2|TXN7-5|TXN3-2|TXN3-7|158850000|||Quarterly|||||2008-11-07||SPMD.NV|SPMD.SO|SPMD.EU|SPMD.TC|SPMD.IV| | | | | | | | | |1x|In seeking to track the performance of the S&P MidCap 400 Index (the Index), the Fund employs a sampling strategy, which means that the Fund is not required to purchase all of the securities represented in the Index.Instead, the Fund may purchase a subset of the securities in the Index in an effort to hold a portfolio of securities with generally the same risk and return characteristics of the Index.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||46.45|46.445|0.0|0.0|46.445|46.46|46.46|46.45|0.0|0.0|46.45|46.46|46.45|46.37|46.46|46.45|46.34|46.45|46.44|46.45|46.36|46.51|43.04|49.14|46.44|46.45|43.99|48.62|46.34|46.54|46.44|46.45|47.99|40.67|1327775|161125925 51621|SPMO|SPMO|46138E339|US46138E3392|Invesco Exchange-Traded Fund Trust II|Invesco S&P 500® Momentum ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Invesco|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-7|TXN2-1|TXN8-8|TXN3-6|TXN2-1|4120001|||Quarterly|||||2015-10-09||SPMO.NV|SPMO.SO|SPMO.EU|SPMO.TC|SPMO.IV| | | | | | | | | |1x|The PowerShares S&P 500 Momentum Factor Portfolio (the Fund) seeks investment results that generally correspond (before fees and expenses) to the price and yield of the S&P 500 Momentum Index (the Underlying Index). The Fund generally will invest at least 90% of its total assets in common stocks that comprise the Underlying Index. Strictly in accordance with its guidelines and mandated procedures, S&P Dow Jones Indices LLC (the Index Provider) compiles, maintains and calculates the Underlying Index, which is designed to track the performance of stocks in the S&P 500 Index that have a high momentum score. In general, momentum is the tendency of an investment to exhibit persistence in its relative performance; a momentum style of investing emphasizes investing in securities that have had better recent performance compared to other securities. The momentum score for each security included in the Underlying Index is based on upward price movements of the security as compared to other eligible securities within the S&P 500 Index.|N|0|N|N|406C|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|1|||61.54|61.5|0.0|0.0|61.2|61.34|61.51|61.83|0.0|0.0|61.48|61.61|61.53|61.42|0.0|61.36|0.0|61.5|0.0|61.5|61.5|61.54|0.0|0.0|61.45|61.52|0.0|0.0|0.0|0.0|61.45|61.52|62.39|51.67|66259|9596166 59151|SPMV|SPMV|46138E347|US46138E3475|Invesco S&P 500 Minimum Variance ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-7|TXN1-5|TXN7-8|TXN4-5|TXN3-1|210001|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||0.0|38.6901|0.0|0.0|0.0|0.0|38.58|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|38.6901|0.0|38.6901|0.0|0.0|0.0|0.0|38.67|38.78|38.6|38.78|38.6|38.78|38.67|38.78|38.9239|34.9058|365|715719 3770|SPNS|SPNS|G7T16G103|KYG7T16G1039|Sapiens International Corp NV|COM ANG1||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN5-8|TXN11-4|TXN6-7|TXN6-7|55160000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||ISR||||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||||||0.0|25.92|0.0|25.82|25.92|25.96|25.96|25.915|0.0|0.0|25.94|25.92|25.97|0.0|0.0|0.0|0.0|25.96|0.0|25.97|25.72|26.18|20.05|31.82|25.73|26.16|25.89|26.02|25.92|26.04|25.94|25.97|30.81|17.71|59983|29350326 42519|SPNT|SPNT|G8192H106|BMG8192H1060|SiriusPoint Ltd.|Common Shares,|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|A|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-6|TXN3-5|TXN8-6|TXN3-3|TXN4-8|167580000|||NotApplicable|||||2013-08-15||||||| | | | | | | | | |||N|0|N|Y|410B|BMU|BM|||30|3030|303020|30302020|Financials|Insurance|Non-life Insurance|Reinsurance|N||N||||||N|0|Y||Y|2|||10.69|10.745|0.0|10.9|10.74|10.745|10.74|10.745|0.0|0.0|10.74|10.73|10.74|10.75|10.86|10.74|10.7|10.74|10.74|10.74|10.74|10.75|8.34|13.07|10.73|10.77|10.71|10.78|10.7|10.76|10.74|10.75|11.34|5.715|492046|119230253 71075|SPNT PRB|SPNTpB|G8192H155|BMG8192H1557|SiriusPoint Ltd.|8.00% Resettable Fixed Rate Preference Shares, Series B, $25.00 liquidation preference per share|Operating company|B|N|N|N|Y|Y|Y|Y|Y|8|M|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN3-5|TXN3-8|TXN1-6|TXN2-6|8000000|||Quarterly|||||2021-07-07||||||| | | | | | | | | |||N|0|N|N|410B|BMU|BM|||||||||||N||N||||||N|0|Y||Y|2|||25.01|25.4|0.0|0.0|25.33|25.12|25.04|25.13|0.0|0.0|25.2|25.2|25.09|25.13|24.65|25.08|25.38|25.08|24.9|25.08|25.0|25.21|25.05|25.21|24.46|25.6|0.0|0.0|0.0|0.0|24.95|25.1|25.47|20.88|24351|5827638 4231|SPOK|SPOK|84863T106|US84863T1060|Spok Holdings Inc|COM USD.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN6-7|TXN11-2|TXN6-3|TXN5-2|19980000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||15|1510|151020|15102015|Telecommunications|Telecommunications|Telecommunications Service Providers |Telecommunications Services|N||N||||||N|0|Y||||||16.71|16.8|0.0|16.87|16.86|16.77|16.88|16.83|0.0|0.0|16.85|16.82|16.9|16.86|16.86|16.85|17.41|16.89|16.61|16.9|16.69|17.06|12.99|20.55|16.72|17.01|16.83|16.94|16.81|16.95|16.9|16.91|18.05|7.53|431686|51599298 60848|SPOT|SPOT|L8681T102|LU1778762911|Spotify Technology S.A.|Ordinary shares, nominal value of 0.000625 per share|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|5|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-7|TXN2-1|TXN4-4|TXN1-1|TXN1-2|193290000|||NotApplicable|||||2018-04-03||||||| | | | | | | | | |||N|0|Y|Y|180B|LUX|LU|||40|4030|403010|40301035|Consumer Discretionary|Media|Media|Radio and TV Broadcasters|N||N||||||Y|0|Y||Y|1|||194.26|194.2|0.0|194.26|194.18|194.23|194.13|194.2|0.0|0.0|194.24|194.06|194.17|194.26|193.95|194.17|193.93|194.17|193.78|194.17|194.15|194.17|183.31|205.61|193.87|194.49|194.03|194.4|193.98|194.43|194.15|194.17|201.415|71.72|6862758|427594516 76285|SPPL|SPPL|G8192U107|KYG8192U1076|SIMPPLE Ltd|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN5-3|TXN14-1|TXN6-6|TXN5-4|16230000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||SGP||||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||N|0|Y||||||0.0|7.2|0.0|0.0|7.11|6.85|7.1213|7.05|0.0|0.0|7.1|0.0|7.155|0.0|0.0|0.0|0.0|7.2|0.0|7.2|5.47|8.82|5.47|8.82|7.0|7.67|5.47|8.82|0.0|0.0|7.1|7.2|9.17|4.2|16723|5761918 41232|SPPP|SPPP|85207Q104|CA85207Q1046|Sprott Physical Platinum and Palladium Trust|Units|Trust|ETV|N|N|P|Y|Y|Y|Y|Y||||||||Sprott Asset Management|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-5|TXN1-5|TXN3-8|TXN4-8|TXN1-4|10837872|||NotApplicable|||||2012-12-19||SPPP.NV|SPPP.SO| | |SPPP.IV| | | | | | | | | |1x|The Trust was created to invest and hold substantially all of its assets in physical platinum and palladium bullion. The Trust seeks to provide a convenient and exchange-traded investment alternative for investors interested in holding physical platinum and palladium bullion without the inconvenience that is typical of a direct investment in physical platinum and palladium bullion. The Trust intends to achieve its objective by investing primarily in long-term holdings of unencumbered, fully allocated physical platinum and palladium bullion and will not speculate with regard to short-term changes in platinum or palladium prices. The Trust will not invest in platinum or palladium certificates, futures or other financial instruments that represent platinum or palladium or that may be exchanged for platinum or palladium. While the Trust will not rebalance the Trusts invested assets in physical platinum and palladium bullion back to equal weight after its initial purchases of bullion with the proceeds of the offering, the Trust may in the future allocate any additional proceeds raised in subsequent offerings of Units, if any, with a view to balancing the value of the Trusts holdings of physical platinum and palladium bullion at then current prices. One of the unique features of the Trust is the ability of Unitholders to redeem their Units on a monthly basis for physical platinum and palladium bullion. The Trust is managed by Sprott Asset Management LP, a leading independent asset management company headquartered in Toronto, Canada. Sprott Asset Management manages the Sprott family of funds and discretionary managed accounts. Sprott Asset Management has a history of offering investment management services to high net worth individuals and institutions for more than 30 years.|N|0|N|N|416A|CAN|CA|COMMODITIES_AND_FUTURES|INDEX|30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||9.54|9.39|0.0|0.0|9.37|9.38|9.38|9.27|0.0|0.0|9.4|9.4|9.37|9.38|0.0|9.27|0.0|9.39|9.39|9.39|8.78|9.83|7.34|11.39|9.32|9.37|9.32|9.39|0.0|0.0|9.32|9.37|14.39|9.23|131417|12669784 76618|SPQ|SPQ|82889N517|US82889N5178|Simplify Exchange Traded Funds|Simplify US Equity PLUS QIS ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Simplify|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-2|TXN4-5|TXN7-8|TXN2-3|TXN4-3|125001|||Quarterly|||||2023-11-14||SPQ.NV|SPQ.SO|SPQ.EU|SPQ.TC| | | | | | | | | | ||Under normal circumstances, the Fund invests at least 80% of its net assets (plus any borrowings for investment purposes) in equity securities of U.S. entities. The Fund is designed to provide exposure to U.S. equities plus a QIS strategy. The QIS component of the Funds strategy is designed to identify the optimal allocation among quantitative investment strategies to achieve positive returns and mitigate asset-class and single-strategy risks.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|25.8098|0.0|0.0|0.0|0.0|25.7|25.75|0.0|0.0|0.0|0.0|25.784|0.0|25.784|19.92|31.7|19.92|31.7|25.75|25.81|19.92|31.7|25.6|25.97|25.75|25.81|25.9193|25.38|186|115886 18298|SPR|SPR|848574109|US8485741099|Spirit Aerosystems Holdings, Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|A|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-2|TXN1-3|TXN7-3|TXN4-7|TXN3-7|115760000|||Quarterly|||||2006-11-21||||||| | | | | | | | | |||N|0|Y|Y|102B|USA|US|||50|5020|502010|50201010|Industrials|Industrial Goods and Services|Aerospace and Defense|Aerospace|N||N||||||Y|0|Y||Y|1|||28.07|28.1|0.0|27.91|28.07|28.09|28.1|28.08|0.0|0.0|28.07|28.05|28.1|28.11|28.01|28.09|28.04|28.1|28.075|28.09|28.09|28.1|26.25|29.67|28.07|28.12|28.02|28.14|28.01|28.16|28.09|28.1|38.55|14.65|2756362|745876321 67837|SPRB|SPRB|85209E109|US85209E1091|Spruce Biosciences Inc|COM USD.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN6-1|TXN13-4|TXN5-4|TXN5-8|40710000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||1.54|1.54|0.0|0.0|1.56|1.56|1.54|1.55|0.0|0.0|1.56|1.56|1.56|1.553|0.0|1.56|0.0|1.54|1.54|1.56|1.46|1.61|1.24|1.84|1.48|1.6|1.24|1.84|1.51|1.6|1.54|1.57|3.57|0.9547|140627|116525094 73016|SPRC|SPRC|M82618113|IL0010951403|SciSparc Ltd|ORD||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN5-4|TXN14-5|TXN5-5|TXN6-1|520000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||ISR||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y|C|||||8.1|7.35|0.0|0.0|7.54|7.5|7.3501|7.54|0.0|7.35|7.48|7.48|7.33|8.04|0.0|7.56|0.0|7.3501|7.53|7.33|5.83|7.42|5.83|9.16|7.15|7.42|5.83|9.16|0.0|0.0|7.35|7.42|14.2199|0.1407|362318|463550803 68624|SPRE|SPRE|886364769|US8863647694|Tidal ETF Trust|SP Funds S&P Global REIT Sharia ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Tidal ETF Services |GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-6|TXN2-1|TXN5-8|TXN2-3|TXN1-8|4050000|||Monthly|||||2020-12-30||SPRE.NV|SPRE.SO|SPRE.EU|SPRE.TC| | | | | | | | | | |1x|The Fund uses a passive management (or indexing) approach to track the performance, before fees and expenses, of the Index. The Index includes all real estate investment trust (REIT) securities listed in developed and emerging markets and included as constituents of the S&P Global BMI Shariah Index, a comprehensive global Sharia-compliant index of publicly-traded equity securities. Constituents included in the S&P Global BMI Shariah Index must have a float-adjusted market capitalization of at least $100 million and an annual trading value of at least $50 mil|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|18.42|0.0|0.0|0.0|18.9|19.05|18.48|0.0|0.0|0.0|0.0|19.06|18.9|16.253|0.0|0.0|19.03|0.0|19.03|0.0|0.0|0.0|0.0|19.03|19.07|0.0|0.0|0.0|0.0|19.03|19.07|22.0999|16.19|65954|8529575 60005|SPRO|SPRO|84833T103|US84833T1034|SPERO THERAPEUTICS INC|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN6-3|TXN11-7|TXN6-4|TXN6-5|53000000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||1.22|1.23|0.0|0.0|1.23|1.225|1.23|1.235|0.0|0.0|1.23|1.22|1.23|1.24|1.18|1.16|1.23|1.23|1.16|1.23|1.18|1.27|0.984|1.48|1.19|1.25|1.19|1.26|1.19|1.26|1.21|1.23|2.04|0.99|155432|83394731 64406|SPRU|SPRU|9837FR209|US9837FR2091|Spruce Power Holding Corporation|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN3-7|TXN6-8|TXN3-8|TXN2-8|18230000|||NotApplicable|||||2019-09-03||||||| | | | | | | | | |||N|0|N|Y|408A|USA|US|||40|4010|401010|40101025|Consumer Discretionary|Automobiles and Parts|Automobiles and Parts|Auto Parts|N||N||||||Y|0|Y||Y|2|||3.69|3.81|0.0|3.47|3.81|3.81|3.85|3.51|0.0|0.0|3.84|0.0|3.83|3.67|3.85|3.83|0.0|3.85|0.0|3.83|3.82|3.85|2.9|4.71|3.74|3.92|3.78|3.89|3.77|3.91|3.82|3.85|5.4|0.55|41949|83019372 71328|SPRX|SPRX|53656F383|US53656F3837|Spear Alpha ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN6-5|TXN14-4|TXN6-3|TXN6-5|600000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||19.59|0.0|0.0|0.0|0.0|19.64|19.7801|0.0|0.0|0.0|0.0|0.0|19.79|0.0|0.0|0.0|0.0|19.7801|19.59|19.79|19.74|19.82|0.0|0.0|19.76|19.79|19.76|19.8|0.0|0.0|19.76|19.79|20.1071|11.47|19573|3073322 68375|SPRY|SPRY|82835W108|US82835W1080|ARS Pharmaceuticals Inc|COM USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN5-7|TXN14-5|TXN5-7|TXN6-2|96000000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||5.19|5.195|0.0|5.12|5.19|5.19|5.19|5.19|0.0|0.0|5.19|5.18|5.21|5.14|5.19|5.195|5.08|5.19|0.0|5.21|5.17|5.22|3.99|6.24|5.15|5.24|5.17|5.22|5.17|5.22|5.18|5.2|9.65|2.55|743920|225234926 32021|SPSB|SPSB|78464A474|US78464A4748|SPDR Series Trust|SPDR Portfolio Short Term Corporate Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-7|TXN1-4|TXN8-6|TXN2-8|TXN2-2|236000000|||Monthly|||||2009-12-17||SCPB.NV|SCPB.SO|SCPB.EU|SCPB.TC|SCPB.IV| | | | | | | | | |1x|The SPDR Barclays Short Term Corporate Bond ETF seeks to provide investment results that, before fees and expenses, correspond generally to the price and yield performance of the Barclays U.S. 1-3 Year Corporate Bond Index. The Barclays U.S. 1-3 Year Corporate Bond Index is designed to measure the performance of the short term U.S. corporate bond market. The Index includes publicly issued U.S. dollar denominated corporate issues that have a remaining maturity of greater than or equal to 1 year andless than 3 years, are rated investment grade (must be Baa3/BBB- or higher using the middle rating of Moodys Investor Service, Inc., Standard & Poors, and Fitch Rating), and have $250 million or more of outstanding face value|N|0|N|N|416A|USA|US|FIXED_INCOME|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||29.56|29.56|0.0|29.57|29.56|29.56|29.56|29.56|0.0|0.0|29.56|29.55|29.56|29.56|29.555|29.56|29.565|29.55|29.56|29.55|29.55|29.57|29.52|29.57|29.55|29.56|29.51|29.58|29.51|29.58|29.55|29.56|29.73|29.1|2296475|722735999 32603|SPSC|SPSC|78463M107|US78463M1071|SPS Commerce Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN6-4|TXN12-7|TXN6-2|TXN6-3|36700000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||||||181.35|185.97|0.0|185.98|183.0|185.77|185.77|186.01|0.0|0.0|183.67|185.07|185.76|185.9|183.0|185.76|185.8|185.95|0.0|185.76|183.89|187.87|140.92|228.21|184.16|187.75|185.48|186.42|185.65|186.66|185.65|185.98|196.39|120.66|226083|37104223 65282|SPSK|SPSK|886364702|US8863647025|Tidal ETF Trust|SP Funds Dow Jones Global Sukuk ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Tidal ETF Services |Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-4|TXN3-1|TXN3-8|TXN2-7|TXN3-1|8575000|||Monthly|||||2019-12-30||SPSK.NV|SPSK.SO|SPSK.EU|SPSK.TC|SPSK.IV| | | | | | | | | ||The SP Funds Dow Jones Global Sukuk ETF (the Fund or the Sukuk ETF) seeks to track the performance, before fees and expenses, of the Dow Jones Sukuk Total Return (ex Reinvestment) Index (the Index or the Sukuk Index). The Index includes U.S. dollar-denominated investment-grade sukuk, which are financial certificates, similar to bonds, issued in the global markets and structured to comply with Islamic religious law commonly known as Sharia and its investment principles. To be eligible for inclusion in the Index, sukuk must have an outstanding issue size of at least US $200 million, a minimum time to maturity of one year, and a credit quality rating of at least BBB-/Baa3 by Standard & Poors Financial Services LLC, Moodys Investors Service, Inc. or Fitch Ratings, Inc. The Index was created in 2006 and is owned and administered by S&P Dow Jones Indices LLC (the Index Provider), a division of S&P Global.|N|0|N|N|416A|USA|US|FIXED_INCOME|INDEX|||||||||N||N||||||N|0|Y||Y|2|||17.79|17.65|0.0|0.0|17.79|17.75|17.65|17.75|0.0|0.0|17.79|17.79|17.745|17.73|0.0|17.7|0.0|17.83|17.83|17.83|13.49|21.87|13.49|21.87|17.63|17.84|13.49|21.87|0.0|0.0|17.63|17.84|19.1256|17.1001|107810|15730987 42323|SPSM|SPSM|78468R853|US78468R8530|SPDR Series Trust|SPDR Portfolio S&P 600 Small Cap ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN4-2|TXN8-3|TXN4-6|TXN2-8|223660217|||Quarterly|||||2013-07-09||SPSM.NV|SPSM.SO|SPSM.EU|SPSM.TC|SPSM.IV| | | | | | | | | |1x|In seeking to track the performance of the S&P SmallCap 600 Index (the Index), the Fund employs a sampling strategy, which means that the Fund is not required to purchase all of the securities represented in the Index. Instead, the Fund may purchase a subset of the securities in the Index in an effort to hold a portfolio of securities with generally the same risk and return characteristics of the Index. |N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||39.24|39.2|0.0|39.2|39.22|39.2|39.23|39.23|0.0|0.0|39.22|39.21|39.23|39.2|39.22|39.21|39.2|39.23|39.2|39.23|39.23|39.33|39.18|39.37|39.23|39.26|39.18|39.38|39.18|39.37|39.23|39.26|42.26|34.1698|1871069|270012706 65235|SPT|SPT|85209W109|US85209W1099|Sprout Social Inc|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN6-4|TXN10-6|TXN6-1|TXN6-7|48780000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||||||58.59|58.56|0.0|58.11|58.58|58.55|58.5|58.52|0.0|0.0|58.555|58.57|58.55|58.55|58.41|58.555|58.51|58.51|57.7|58.55|58.01|59.09|45.59|70.81|58.04|59.04|58.36|58.7|58.49|58.75|58.49|58.57|74.07|37.0|590511|167853375 76681|SPTE|SPTE|84612A101|US84612A1016|SP Funds Trust|SP Funds S&P Global Technology ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y|||||||||Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-3|TXN4-7|TXN5-8|TXN4-7|TXN4-7|50000|||Monthly|||||2023-12-01||||||| | | | | | | | | |||N|0|N|N||USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|19.96|0.0|0.0|0.0|0.0|0.0|20.0|0.0|0.0|0.0|0.0|19.9331|0.0|19.9331|0.0|0.0|0.0|0.0|19.88|19.98|0.0|0.0|0.0|0.0|19.88|19.98|20.25|19.79|68990|150469 24666|SPTI|SPTI|78464A672|US78464A6727|SPDR Series Trust|SPDR Portfolio Intermediate Term Treasury ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-1|TXN4-4|TXN5-2|TXN1-8|TXN3-6|157800336|||Monthly|||||2008-11-07||SPTI.NV|SPTI.SO|SPTI.EU|SPTI.TC|SPTI.IV| | | | | | | | | |1x|The SPDR Barclays Capital Intermediate Term Treasury ETF seeks to provide investment results that, before fees and expenses, correspond generally to the price and yield performance Barclays Capital Intermediate U.S. Treasury Index (LT08TRUU). The Barclays Capital Intermediate U.S. Treasury Index includes all publicly issued, U.S. Treasury securities that have a remaining maturity of greater than or equal to 1 year and less than 10 years, are rated investment grade, and have $250 million or more of outstanding face value. In addition, the securities must be denominated in U.S. dollars and must be fixed rate and non convertible. Excluded from the Intermediate U.S. Treasury Index are certain special issues, such as flower bonds, TINs, state and local government series bonds, TIPS, and coupon issues that have been stripped from bonds included in the index. The Intermediate U.S. Treasury Index is market capitalization weighted and the securities in the index are updated on the last business day of each month.|N|0|N|N|416A|USA|US|FIXED_INCOME|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||28.0|28.005|0.0|0.0|28.0|28.005|28.005|28.01|0.0|0.0|28.0|28.005|28.005|28.0|28.01|28.005|28.01|28.0|28.0|28.0|28.0|28.01|28.0|28.03|28.0|28.01|28.0|28.02|28.0|28.04|28.0|28.01|29.4|27.0107|2179805|1205289897 24667|SPTL|SPTL|78464A664|US78464A6644|SPDR Series Trust|SPDR Portfolio Long Term Treasury ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-5|TXN4-3|TXN4-5|TXN3-6|TXN1-3|280300000|||Monthly|||||2008-11-07||SPTL.NV|SPTL.SO|SPTL.EU|SPTL.TC|SPTL.IV| | | | | | | | | |1x|The SPDR Barclays Capital Long Term Treasury ETF seeks to provide investment results that, before fees and expenses, correspond generally to the price and yield performance of the Barclays Capital Long U.S. Treasury Index (ticker: LUTLTRUU). The Barclays Capital Long U.S. Treasury Index includes all publicly issued, U.S. Treasury securities that have a remaining maturity of 10 or more years, are rated investment grade, and have $250 million or more of outstanding face value. In addition, the securities must be denominated in U.S. dollars and must be fixed rate and non convertible. Excluded from the Long U.S. Treasury Index are certain special issues, such as flower bonds, TINs, state and local government series bonds, TIPS, and coupon issues that have been stripped from bonds included in the index. The Long U.S. Treasury Index is market capitalization weighted and the securities in the index are updated on the last business day of each month.|N|0|N|N|416A|USA|US|FIXED_INCOME|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||27.24|27.24|0.0|0.0|27.23|27.24|27.225|27.24|0.0|0.0|27.24|27.23|27.24|27.24|27.23|27.23|27.24|27.26|27.23|27.26|27.24|27.52|27.23|28.92|27.24|27.25|27.21|27.26|27.23|27.35|27.24|27.25|31.6702|24.47|4199956|1204827966 9566|SPTM|SPTM|78464A805|US78464A8053|SPDR Series Trust|SPDR Portfolio S&P 1500 Composite Stock Market ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-3|TXN2-7|TXN7-6|TXN2-8|TXN2-8|125500216|||Quarterly|||||2008-11-07||SPTM.NV|SPTM.SO|SPTM.EU|SPTM.TC|SPTM.IV| | | | | | | | | |1x|In seeking to track the performance of the S&P Composite 1500 Index (the Index), the Fund employs a sampling strategy, which means that the Fund is not required to purchase all of the securities represented in the Index. Instead, the Fund may purchase a subset of the securities in the Index in an effort to hold a portfolio of securities with generally the same risk and return characteristics of the Index.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||56.27|56.065|0.0|0.0|56.08|56.065|56.0501|56.06|0.0|0.0|56.06|55.96|56.06|55.81|56.07|56.05|56.07|56.05|0.0|56.05|56.05|56.09|56.02|59.8|56.05|56.07|56.01|56.09|56.02|56.09|56.05|56.07|56.48|46.34|328051|111870465 3782|SPTN|SPTN|847215100|US8472151005|SpartanNash Co|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN5-5|TXN14-4|TXN5-4|TXN5-4|34620000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||45|4520|452010|45201010|Consumer Staples |Personal Care, Drug and Grocery Stores |Personal Care, Drug and Grocery Stores |Food Retailers and Wholesalers |N||N||||||Y|0|Y||||||0.0|22.83|0.0|22.86|22.82|22.83|22.83|22.845|0.0|0.0|22.83|22.78|22.82|0.0|22.82|22.79|0.0|22.83|0.0|22.82|22.68|22.99|17.36|27.95|22.7|22.96|22.8|22.87|22.8|22.88|22.82|22.85|33.76|20.51|182406|61974105 39253|SPTS|SPTS|78468R101|US78468R1014|SPDR Series Trust|SPDR Portfolio Short Term Treasury ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|IMC Chicago, LLC, DBA IMC Financial Markets|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-8|TXN1-2|TXN1-8|TXN4-8|TXN2-5|193500000|||Monthly|||||2011-12-01||SST.NV|SST.SO|SST.EU|SST.TC|SST.IV| | | | | | | | | |1x|The SPDR Barclays Capital Short Term Treasury ETF (the Fund) seeks to provide investment results that, before fees and expenses, correspond generally to the price and yield performance of an index that tracks the short term sector of the United States Treasury market. he Barclays Capital 1-5 Year U.S. Treasury Index is designed to measure the performance of public obligations of the U.S. Treasury that have a remaining maturity of greater than or equal to 1 year and less than 5 years. The Index includes all publicly issued, U.S. Treasury securities that have a remaining maturity of greater than or equal to 1 year and less than 5 years, are rated investment grade, and have $250 million or more of outstanding face value. In addition, the securities must be denominated in U.S. dollars and must be fixed rate and non-convertible. Excluded from the Index are certain special issues, such as flower bonds, targeted investor notes, state and local government series bonds, inflation protected public obligations of the U.S. Treasury, commonly known as TIPS, and coupon issues that have been stripped from bonds included in the Index. Also excluded from the Index are structured notes with embedded swaps or other special features, private placements, floating rate securities and Eurobonds. The Index is market capitalization weighted and the securities in the Index are updated on the last business day of each month.|N|0|N|N|416A|USA|US|FIXED_INCOME|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||28.87|28.875|0.0|0.0|28.88|28.875|28.875|28.87|0.0|0.0|28.875|28.87|28.875|28.87|28.87|28.87|28.87|28.88|28.86|28.88|28.87|28.88|28.87|28.88|28.87|28.88|28.87|28.88|28.87|28.88|28.87|28.88|29.44|28.58|1159369|752250782 67441|SPUC|SPUC|82889N301|US82889N3017|Simplify Exchange Traded Funds|Simplify US Equity PLUS Upside Convexity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Simplify|Wolverine Trading, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-8|TXN1-4|TXN1-8|TXN1-2|TXN4-7|150001|||Quarterly|||||2020-09-04||SPUC.NV|SPUC.SO|SPUC.EU|SPUC.TC|SPUC.IV| | | | | | | | | ||The Simplify US Equity PLUS Upside Convexity ETF seeks to track the large cap US equity market while boosting performance during extreme market moves up via a systematic options overlay. The options component of the fund is designed to create a convex equity payoff on the upside, accelerating performance as markets rallies strengthen.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||31.11|0.0|0.0|0.0|0.0|31.14|31.1358|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|31.2281|0.0|31.2281|0.0|0.0|31.12|31.17|31.18|31.27|0.0|0.0|0.0|0.0|31.18|31.27|31.94|25.83|6773|587964 65253|SPUS|SPUS|886364801|US8863648015|Tidal ETF Trust|SP Funds S&P 500 Sharia Industry Exclusions ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Tidal ETF Services |GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-4|TXN2-6|TXN5-7|TXN4-8|TXN3-3|10775000|||Monthly|||||2019-12-18||SPUS.NV|SPUS.SO|SPUS.EU|SPUS.TC|SPUS.IV| | | | | | | | | |1x|The SP Funds S&P 500 Sharia Industry Exclusions ETF (the Fund or the Sharia ETF) seeks to track the performance, beforefees and expenses, of the S&P 500 Sharia Industry Exclusions Index (the Index or the Sharia Index). The Index is composed of the constituents of the S&P 500 Shariah Index other than those from the following sub-industries:Aerospace and Defense, Financial Exchanges and Data, Data Processing and Outsourced Services, and Research and ConsultingServices. The S&P 500 Shariah Index includes all Sharia-compliant constituents of the S&P 500 Index, which consists ofapproximately 500 leading U.S.-listed companies representing approximately 80% of the U.S. equity market capitalization.Islamic religious law commonly known as Sharia has certain restrictions regarding finance and commercial activities permittedfor Muslims, including interest restrictions and prohibited industries.|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||32.65|32.66|0.0|0.0|32.63|32.665|32.66|32.66|0.0|0.0|32.62|32.7|32.66|32.59|32.55|32.66|32.51|32.66|0.0|32.66|32.64|32.67|25.16|39.84|32.64|32.66|25.16|32.72|0.0|0.0|32.64|32.72|33.33|25.23|198346|11697257 44331|SPUU|SPUU|25459Y165|US25459Y1652|Direxion Shares ETF Trust|Direxion Daily S&P 500 Bull 2X Shares|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Direxion Shares|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-6|TXN1-7|TXN4-3|TXN4-2|TXN4-8|2483236|||Quarterly|||||2014-05-28||SPUU.NV|SPUU.SO|SPUU.EU|SPUU.TC|SPUU.IV| | | | | | | | | |2x|The Direxion Daily S&P 500 Bull 2X Shares seeks daily investment results, before fees and expenses, of 200% of the price performance of the S&P 500 Index.|N|0|N|N|416A|USA|US|EQUITY|LEVERAGED|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||95.38|94.61|0.0|0.0|94.43|94.73|95.36|94.6|0.0|0.0|96.34|95.13|95.38|95.11|0.0|96.449|0.0|95.36|0.0|95.36|95.06|95.65|95.32|95.39|95.33|95.39|95.06|95.65|0.0|0.0|95.33|95.39|98.92|68.21|19159|9432680 38367|SPVM|SPVM|46137V423|US46137V4234|Invesco Exchange-Traded Fund Trust|Invesco S&P Value with Momentum ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Invesco|Latour Trading, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN4-7|TXN8-5|TXN4-1|TXN4-2|720000|||Quarterly|||||2011-06-16||SPVM.NV|SPVM.SO|SPVM.EU|SPVM.TC|SPVM.IV| | | | | | | | | |1x|The Fund will invest at least 90% of its total assets in the component securities that comprise the Underlying Index. The Underlying Index is comprised of common stocks of large value U.S. companies (including real estate investment trusts (REITs)), as classified by Research Affiliates, LLC (Research Affiliates or the Index Provider), based on the Index Providers Fundamental Index methodology.|N|0|N|N|406C|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|49.34|49.35|0.0|0.0|0.0|0.0|49.36|0.0|0.0|49.37|0.0|49.35|0.0|49.35|49.24|49.44|49.24|49.41|49.32|49.35|49.24|49.41|49.24|49.41|49.32|49.35|51.76|44.458|5541|2072860 51622|SPVU|SPVU|46138E396|US46138E3962|Invesco Exchange-Traded Fund Trust II|Invesco S&P 500® Enhanced Value ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Invesco|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-6|TXN2-5|TXN4-8|TXN3-1|TXN1-2|2030001|||Quarterly|||||2015-10-09||SPVU.NV|SPVU.SO|SPVU.EU|SPVU.TC|SPVU.IV| | | | | | | | | |1x|The PowerShares S&P 500 Value Factor Portfolio (the Fund) seeks investment results that generally correspond (before fees and expenses) to the price and yield of the S&P 500 Enhanced Value Index (the Underlying Index). The Fund generally will invest at least 90% of its total assets in common stocks that comprise the Underlying Index. Strictly in accordance with its guidelines and mandated procedures, S&P Dow Jones Indices LLC (the Index Provider) compiles, maintains and calculates the Underlying Index, which is designed to track the performance of stocks in the S&P 500 Index that have the highest value score, which the Index Provider calculates based on three fundamental ratios of a companys stock: (i) book value-to-price, (ii) earnings-to-price, and (iii) sales-to-price.|N|0|N|N|406C|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||42.24|42.24|0.0|0.0|42.24|42.24|42.28|42.26|0.0|0.0|42.29|0.0|42.24|42.24|42.24|42.24|0.0|42.24|41.62|42.24|42.23|42.29|42.11|42.33|42.22|42.27|42.11|42.33|42.11|42.33|42.22|42.27|44.88|37.35|28234|5063218 44041|SPWH|SPWH|84920Y106|US84920Y1064|Sportsmans Warehouse Holdings Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN6-7|TXN10-6|TXN5-5|TXN5-8|37390000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4040|404010|40401030|Consumer Discretionary|Retail |Retailers |Specialty Retailers |N||N||||||Y|0|Y||||||5.28|5.27|0.0|5.28|5.28|5.275|5.2775|5.27|0.0|0.0|5.27|5.27|5.28|5.27|5.27|5.27|5.265|5.2775|5.25|5.28|5.27|5.31|4.03|6.35|5.27|5.31|5.24|5.31|5.26|5.31|5.27|5.28|10.62|2.98|540527|138401265 15687|SPWR|SPWR|867652406|US8676524064|SunPower Corp|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN6-7|TXN11-4|TXN6-7|TXN5-4|175190000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||60|6010|601020|60102020|Energy|Energy|Alternative Energy|Renewable Energy Equipment |N||N||||||Y|0|Y||||||5.14|5.13|0.0|5.13|5.14|5.135|5.13|5.135|0.0|0.0|5.13|5.135|5.14|5.14|5.13|5.135|5.125|5.13|5.14|5.14|5.08|5.18|4.0|6.23|5.12|5.17|5.11|5.15|5.1|5.16|5.13|5.14|24.605|3.6793|9518063|1188854095 60947|SPXB|SPXB|74347B318|US74347B3188|ProShares Trust|ProShares S&P 500 Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ProShares Advisors |Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-6|TXN4-2|TXN3-8|TXN1-3|TXN4-4|150001|||Monthly|||||2018-05-03||SPXB.NV|SPXB.SO|SPXB.EU|SPXB.TC|SPXB.IV| | | | | | | | | |1x|ProShares S&P 500 Bond ETF (the Fund) seeks investment results, before fees and expenses, that track the performance of the S&P 500/MarketAxess Investment Grade Corporate Bond Index (the Index).|N|0|N|N|416A|USA|US|FIXED_INCOME|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|74.3|0.0|0.0|0.0|0.0|74.44|0.0|0.0|0.0|0.0|0.0|74.28|0.0|0.0|0.0|0.0|74.3418|0.0|74.3418|0.0|0.0|0.0|0.0|74.32|74.45|74.26|74.39|74.26|74.38|74.32|74.46|77.22|69.239|834|112212 9279|SPXC|SPXC|78473E103|US78473E1038|SPX Technologies, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|R|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN2-1|TXN3-8|TXN1-5|TXN3-6|45650000|||NotApplicable|||||1972-08-02||||||| | | | | | | | | |||N|0|N|Y|132B|USA|US|||50|5020|502020|50202040|Industrials|Industrial Goods and Services|Electronic and Electrical Equipment|Electronic Equipment: Other|N||N||||||Y|0|Y||Y|2|||87.4|90.24|0.0|90.36|90.32|90.23|90.33|90.24|0.0|0.0|89.3|90.0|90.37|89.85|89.57|90.36|87.3|90.35|84.45|90.36|90.35|90.36|69.48|110.18|89.41|90.41|90.2|90.46|90.35|90.49|90.35|90.36|91.935|61.09|215213|48277842 51260|SPXE|SPXE|74347B581|US74347B5811|ProShares Trust|ProShares S&P 500 Ex-Energy ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ProShares Advisors |Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-8|TXN1-1|TXN1-8|TXN2-6|TXN1-6|395001|||Quarterly|||||2015-09-24||SPXE.NV|SPXE.SO|SPXE.EU|SPXE.TC|SPXE.IV| | | | | | | | | |1x|ProShares S&P 500Ex-Energy ETF (the Fund) seeks investment results, before fees and expenses, that track the performance of the S&P 500Ex-Energy Index (theIndex).|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|97.5701|0.0|0.0|0.0|0.0|0.0|97.73|0.0|0.0|0.0|0.0|97.7292|0.0|97.7292|0.0|0.0|97.27|98.16|97.65|97.73|97.27|98.16|97.27|98.16|97.65|97.73|98.2455|79.51|688|160034 29274|SPXL|SPXL|25459W862|US25459W8626|Direxion Shares ETF Trust|Direxion Daily S&P 500 Bull 3X Shares|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Direxion Shares|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN3-1|TXN3-1|TXN4-2|TXN2-3|36100001|||Quarterly|||||2008-11-05||SPXL.NV|SPXL.SO|SPXL.EU|SPXL.TC|SPXL.IV| | | | | | | | | |3x|The Large Cap Bull 3X Shares seeks daily investment results, before fees and expenses, of 300% of the price performance of the Russell 1000 Index (Large Cap Index). There is no guarantee the fund will meet its stated investment objective. The Russell 1000 Index measures the performance of the large-cap segment of the U.S. equity universe. It is a subset of the Russell 3000 Index and includes approximately 1000 of the largest securities based on a combination of their market cap and current Index membership. The Russell 1000 represents approximately 92% of the U.S. market and has an average market capitalization of $14.3 billion dollars and a median market capitalization of $5 billion dollars as of April 30, 2008.|N|0|N|N|416A|USA|US|EQUITY|LEVERAGED|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||92.45|92.46|0.0|0.0|92.46|92.46|92.4609|92.41|0.0|0.0|92.46|92.43|92.5|92.46|92.46|92.47|92.46|92.5|92.44|92.5|92.45|92.51|92.45|92.88|92.45|92.47|92.45|92.48|92.2|92.7|92.16|92.88|99.2|58.61|11774994|2694446734 51261|SPXN|SPXN|74347B573|US74347B5738|ProShares Trust|ProShares S&P 500 Ex-Financials ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ProShares Advisors |Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-5|TXN2-2|TXN2-7|TXN1-6|TXN4-8|475001|||Quarterly|||||2015-09-24||SPXN.NV|SPXN.SO|SPXN.EU|SPXN.TC|SPXN.IV| | | | | | | | | |1x|ProShares S&P 500 Ex-Financials ETF (the Fund) seeks investment results, before fees and expenses, that track the performance of the S&P 500 Ex-Financials Index (the Index).|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|98.89|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|98.4272|0.0|98.4272|0.0|0.0|98.16|98.63|98.33|98.46|98.15|98.63|98.15|98.62|98.33|98.46|99.0498|79.563|211|312625 29273|SPXS|SPXS|25460E265|US25460E2651|Direxion Shares ETF Trust|Direxion Daily S&P 500 Bear 3X Shares|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Direxion Shares|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-7|TXN2-7|TXN2-4|TXN4-7|TXN1-3|51476918.3335|||Quarterly|||||2011-02-23||SPXS.NV|SPXS.SO|SPXS.EU|SPXS.TC|SPXS.IV| | | | | | | | | |-3x|The Large Cap Bear 3X Shares seeks daily investment results, before fees and expenses, of 300% of the inverse (or opposite) of the price performance of the Russell 1000 Index (Large Cap Index). There is no guarantee the fund will meet its stated investment objective.The Russell 1000 Index measures the performance of the large-cap segment of the U.S. equity universe. It is a subset of the Russell 3000 Index and includes approximately 1000 of the largest securities based on a combination of their market cap and current Index membership. The Russell 1000 represents approximately 92% of the U.S. market and has an average market capitalization of $14.3 billion dollars and a median market capitalization of $5 billion dollars as of April 30, 2008.|N|0|N|N|416A|USA|US|EQUITY|INVERSE|||||||||N||N||||||Y|0|Y||Y|2|||13.15|13.155|0.0|0.0|13.15|13.155|13.155|13.15|0.0|0.0|13.15|13.15|13.15|13.14|13.13|13.155|13.145|13.15|13.14|13.15|13.14|13.16|13.09|13.16|13.15|13.16|13.14|13.16|13.08|13.24|13.15|13.16|23.55|12.69|18961735|5721821275 51263|SPXT|SPXT|74347B557|US74347B5571|ProShares Trust|ProShares S&P 500 Ex-Technology ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ProShares Advisors |Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-3|TXN4-6|TXN8-8|TXN3-5|TXN3-2|520001|||Quarterly|||||2015-09-24||SPXT.NV|SPXT.SO|SPXT.EU|SPXT.TC|SPXT.IV| | | | | | | | | |1x|ProShares S&P 500Ex-Technology ETF (the Fund) seeks investment results, before fees and expenses, that track the performance of the S&P 500Ex-Information Technology& Telecommunications Services Index (theIndex).|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|74.43|74.2559|71.35|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|74.5765|0.0|74.5765|0.0|0.0|74.46|74.76|74.53|74.58|74.45|74.77|74.46|74.76|74.53|74.58|75.62|65.35|281|325995 31124|SPXU|SPXU|74347B110|US74347B1109|ProShares Trust|ProShares UltraPro Short S&P500|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ProShares Advisors |Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-5|TXN2-3|TXN7-1|TXN2-8|TXN1-8|83597347|||Quarterly|||||2009-06-24||SPXU.NV|SPXU.SO|SPXU.EU|SPXU.TC|SPXU.IV| | | | | | | | | |-3x|ProShares UltraPro Short S&P500 seeks daily investment results, before fees and expenses, that correspond to triple (300%) the inverse (opposite) of the daily performance of the S&P 500. This ETF seeks a return of -300% of the return of an index (target) for a single day. Due to the compounding of daily returns, returns over periods other than one day will likely differ in amount and possibly direction from the target return for the same period. Investors should monitor their ProShares holdings consistent with their strategies, as frequently as daily. For more on correlation, leverage and other risks, please read the prospectus. The S&P 500 Index is a widely used measure of large U.S. stock market performance. It includes a representative sample of leading companies in leading industries. Companies are selected for inclusion in the Index by Standard & Poors based on adequate liquidity, appropriate market capitalization, financial viability and public float. It is not possible to invest directly in an index.|N|0|N|N|416A|USA|US|EQUITY|INVERSE|||||||||N||N||||||Y|0|Y||Y|2|||9.94|9.935|0.0|0.0|9.93|9.93|9.9348|9.92|0.0|0.0|9.93|9.93|9.94|9.93|9.93|9.93|9.925|9.94|9.94|9.94|9.93|9.94|9.93|9.94|9.93|9.94|9.93|9.94|9.73|10.17|9.93|9.94|17.83|9.66|27526637|6094109528 51262|SPXV|SPXV|74347B565|US74347B5654|ProShares Trust|ProShares S&P 500 Ex-Health Care ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ProShares Advisors |Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-1|TXN4-2|TXN9-7|TXN1-1|TXN1-7|185001|||Quarterly|||||2015-09-24||SPXV.NV|SPXV.SO|SPXV.EU|SPXV.TC|SPXV.IV| | | | | | | | | |1x|ProShares S&P 500Ex-Health Care ETF (the Fund) seeks investment results, before fees and expenses, that track the performance of the S&P 500Ex-Health Care Index (theIndex).|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|96.2599|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|96.6638|0.0|96.6638|0.0|0.0|96.4|96.89|96.63|96.71|96.39|96.9|96.41|96.9|96.63|96.71|97.272|76.8667|110|78573 15726|SPXX|SPXX|6706EW100|US6706EW1000|Nuveen S&P 500 Dynamic Overwrite Fund|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN3-4|TXN1-5|TXN3-7|TXN2-5|17300000|||Quarterly|||||2005-11-23||||||| | | | | | | | | |||N|0|N|N|406B|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||0.0|14.76|0.0|0.0|14.73|14.765|14.76|14.76|0.0|0.0|14.73|0.0|14.76|14.767|0.0|14.76|14.67|14.76|0.0|14.76|14.76|14.77|11.36|18.17|14.76|14.78|14.73|14.8|14.74|14.79|14.76|14.77|18.0|13.5708|37114|10144824 9280|SPY|SPY|78462F103|US78462F1030|SPDR S&P 500 ETF Trust|Units|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||PDR Services||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-1|TXN1-1|TXN1-1|TXN1-1|TXN1-1|954882116|||Quarterly|||||2009-02-24||SPY.NV|SPY.SO|SPY.EU|SPY.TC|SPY.IV| | | | | | | | | |1x|The SPDR S&P 500 ETF is a fund that, before expenses, generally corresponds to the price and yield performance of the S&P 500 Index. The S&P 500 Index is composed of five hundred (500) selected stocks, all of which are listed on the Exchange, the NYSE or NASDAQ, and spans over 24 separate industry groups. The Trust seeks to achieve its investment objective by holding a portfolio of the common stocks that are included in the Index (the Portfolio), with the weight of each stock in the Portfolio substantially corresponding to the weight of such stock in the Index.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||456.61|456.65|0.0|456.8|456.64|456.65|456.6501|456.59|0.0|0.0|456.59|456.59|456.7|456.58|456.57|456.63|456.79|456.69|456.66|456.69|456.64|456.7|456.65|456.69|456.66|456.67|456.63|456.69|456.2|457.0|456.66|456.67|459.65|374.77|72430888|19007730755 67439|SPYC|SPYC|82889N103|US82889N1037|Simplify Exchange Traded Funds|Simplify US Equity PLUS Convexity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Simplify|Wolverine Trading, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-7|TXN1-7|TXN8-8|TXN4-8|TXN3-7|2200001|||Quarterly|||||2020-09-04||SPYC.NV|SPYC.SO|SPYC.EU|SPYC.TC|SPYC.IV| | | | | | | | | ||The Simplify US Equity PLUS Convexity ETF seeks to track the large cap US equity market while boosting performance during extreme market moves up or down via a systematic options overlay. The options component of the fund is designed to create a convex equity payoff, with the hopes of increasingly protecting capital as market drawdowns deepen and accelerating performance as market rallies strengthen.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||29.45|29.48|0.0|0.0|0.0|0.0|29.5|0.0|0.0|0.0|0.0|0.0|29.56|29.38|0.0|0.0|0.0|29.5463|0.0|29.5463|29.5|29.55|29.46|29.51|29.5|29.59|26.87|32.57|0.0|0.0|29.5|29.59|30.2137|24.2|11505|4658812 51756|SPYD|SPYD|78468R788|US78468R7888|SPDR Series Trust|SPDR Portfolio S&P 500 High Dividend ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-4|TXN1-5|TXN8-1|TXN2-2|TXN4-7|171650000|||Quarterly|||||2015-10-22||SPYD.NV|SPYD.SO|SPYD.EU|SPYD.TC|SPYD.IV| | | | | | | | | |1x|S&P 500 High Dividend Index|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||37.66|37.655|0.0|37.33|37.66|37.67|37.665|37.67|0.0|0.0|37.67|37.66|37.65|37.6|37.63|37.67|37.66|37.65|37.6|37.65|37.65|37.66|37.6|37.71|37.65|37.66|37.6|37.71|37.63|37.71|37.65|37.66|43.33|32.88|1061789|307029343 6044|SPYG|SPYG|78464A409|US78464A4094|SPDR Series Trust|SPDR Portfolio S&P 500 Growth ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|IMC Chicago, LLC, DBA IMC Financial Markets|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-3|TXN4-3|TXN7-1|TXN2-5|TXN3-2|324050108|||Quarterly|||||2008-11-06||SPYG.NV|SPYG.SO|SPYG.EU|SPYG.TC|SPYG.IV| | | | | | | | | |1x|The SPDR S&P 500 Growth ETF, before expenses, seeks to closely match the returns and characteristics of the S&P 500 Growth Index. The S&P 500 Growth Indexmeasures the performance of the large-capitalization growth sector in the U.S. equity market. The selection universe for the S&P 500 Index includes all U.S. common equities listed on the NYSE, NASDAQ Global Select Market, NASDAQ Select Market and NASDAQ Capital Market with market capitalizations of $3.5 billion or more. The Index is market capitalization weighted and rebalanced annually on the third Friday of December|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||62.52|62.65|0.0|0.0|62.67|62.65|62.65|62.67|0.0|0.0|62.65|62.665|62.66|62.63|62.69|62.665|62.665|62.67|63.12|62.67|62.65|62.68|62.57|62.74|62.65|62.67|62.65|62.69|62.57|62.74|62.65|62.67|63.365|49.54|2417651|436686079 74544|SPYI|SPYI|78433H303|US78433H3030|NEOS S&P 500 High Income ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-4|TXN4-6|TXN9-6|TXN1-2|TXN3-5|9960000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||47.47|47.54|0.0|0.0|47.52|47.55|47.54|47.66|0.0|0.0|47.5|47.3217|47.54|47.38|47.69|0.0|47.53|47.54|47.51|47.54|36.77|58.37|36.77|58.37|47.46|47.61|47.43|47.62|46.56|48.49|47.49|47.57|50.62|44.9|238909|24202076 6052|SPYV|SPYV|78464A508|US78464A5083|SPDR Series Trust|SPDR Portfolio S&P 500 Value ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|IMC Chicago, LLC, DBA IMC Financial Markets|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-6|TXN3-2|TXN8-7|TXN4-3|TXN4-7|405852864|||Quarterly|||||2008-11-06||SPYV.NV|SPYV.SO|SPYV.EU|SPYV.TC|SPYV.IV| | | | | | | | | |1x|The SPDR S&P 500 Value ETF, before expenses, seeks to closely match the returns and characteristics of the S&P 500 Value Index. The S&P 500 Value Index measures the performance of the large-capitalization value sector in the U.S. equity market. The Index consists ofthose stocks in the S&P 500 Index exhibiting the strongest value characteristics based on: (i) book value to price ratio; (ii) earnings to price ratio; and (iii) sales to price ratio. The selection universe for the S&P 500 Index includes all U.S. common equities listed on the NYSE, NASDAQ Global Select Market, NASDAQ Select Market and NASDAQ Capital Market with market capitalizations of $3.5 billion or more. The Index is market capitalization weighted and rebalanced annually on the third Friday of December|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||44.67|44.68|0.0|44.55|44.675|44.675|44.675|44.67|0.0|0.0|44.67|44.67|44.665|44.69|44.685|44.68|44.68|44.68|44.6|44.68|44.67|44.68|44.61|44.73|44.67|44.68|44.6|44.73|44.6|44.73|44.67|44.68|44.91|37.925|4376049|552272603 52077|SPYX|SPYX|78468R796|US78468R7961|SPDR Series Trust|SPDR S&P 500 Fossil Fuel Reserves Free ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|IMC Chicago, LLC, DBA IMC Financial Markets|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN4-3|TXN5-6|TXN4-6|TXN1-4|37260000|||Quarterly|||||2015-12-01||SPYX.NV|SPYX.SO|SPYX.EU|SPYX.TC|SPYX.IV| | | | | | | | | |1x|The SPDR S&P 500 Fossil Fuel Free ETF (the Fund) seeks to provide investment results that, before fees and expenses, correspond generally to the total return performance of the S&P 500 Fossil Fuel Free Index. The Index is designed to measure the performance of companies in the S&P 500 Index that are fossil fuel free, which are defined as companies that do not own fossil fuel reserves. For purposes of the composition of the Index, fossil fuel reserves are defined as economically and technically recoverable sources of crude oil, natural gas and thermal coal but do not include metallurgical or coking coal, which are used in connection with steel production. The Index is a subset of the S&P 500 Index (the Underlying Index), which serves as the initial universe of eligible securities for the Index. In constructing the Index, the initial universe is screened in an effort to exclude companies with any ownership of fossil fuel reserves, including for third-party and in-house power generation, as determined by publicly available information, such as annual reports and other company publications. The Index is weighted by float-adjusted market capitalization. The Index is rebalanced quarterly after the close of business on the third Friday of March, June, September, and December. The rebalancing reference dates are after the close of the third Friday of February, May, August, and November, respectively. New additions to the Underlying Index are reviewed for inclusion in the Index each quarter, provided they have been added to the Underlying Index by the Index rebalancing reference dates. Fossil fuel reserve ownership information is updated annually in April and is first applied as part of the following June quarterly rebalancing. As of September 30, 2015, a significant portion of the Index comprised companies in the technology, financials and health care sectors, although this may change from time to time. As of September 30, 2015, the Index comprised 475 securities. |N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||37.3|37.3|0.0|0.0|37.32|37.31|37.3|37.29|0.0|0.0|37.3|37.24|37.31|37.28|37.23|37.28|0.0|37.3|0.0|37.3|34.85|39.58|37.11|39.58|37.29|37.31|37.1|39.58|0.0|0.0|37.1|38.76|99.7|30.86|102481|32175389 52006|SQ|SQ|852234103|US8522341036|Block, Inc.|Class A Common Stock,|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|A|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-3|TXN1-3|TXN2-1|TXN2-5|TXN2-4|553570000|||NotApplicable|||||2015-11-19||||||| | | | | | | | | |||N|0|Y|Y|104C|USA|US|||50|5020|502050|50205015|Industrials|Industrial Goods and Services|Industrial Support Services|Transaction Processing Services|N||N||||||Y|0|Y||Y|1|||65.05|65.02|0.0|65.01|65.05|65.02|65.0|65.005|0.0|0.0|65.06|65.01|65.06|65.0|65.05|65.0|65.0|65.06|65.005|65.0|65.04|65.07|60.86|65.5|65.0|65.07|64.95|65.09|64.94|65.09|65.04|65.07|89.97|38.85|8865226|2922922977 66389|SQEW|SQEW|90214Q683|US90214Q6834|Two Roads Shared Trust|LeaderShares Equity Skew ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Ultimus Fund Solutions (LeaderShares)|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-5|TXN1-4|TXN5-8|TXN4-4|TXN3-3|4125000|||Yearly|||||2020-05-12||SQEW.NV|SQEW.SO|SQEW.EU|SQEW.TC| | | | | | | | | | ||The Fund is an actively managed exchange traded fund (ETF) that normally invests at least 80% of its net assets, including any borrowings for investment purposes, in equity securities. The Fund defines equity securities to include investments in other investment companies, such as ETFs, that invest primarily in equity securities. The Fund employs a contrarian strategy seeking to buy underperforming asset classes and/or factors and sell outperforming asset classes and/or factors based on quantitative research. The primary equity style exposure and factors are large cap growth, large cap value, small cap growth, small cap value, and emerging market equities. The weightings to these equity style exposures represented by equity securities, are determined using proprietary quantitative methodologies that include statistical skew. Skew or skewness measures the asymmetry of a return distribution between different constituents in a group. Measuring the skewness allows the Adviser to take five groups of stocks (Large Cap Growth, Large Cap Value, Small Cap Growth, Small Cap Value and Emerging Markets) and determine the relative weightings of each of these five groups based on how recent returns of such group fits into its historical distribution of returns. This measure of skewness generally leads to security groups that have recently outperformed to have reduced exposure and security groups that have recently underperformed to have increased exposure at each re-balance. The Fund will invest in equity securities with a market capitalization of at least $1 billion. |N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|30.17|0.0|0.0|30.18|0.0|30.1799|30.165|0.0|0.0|0.0|0.0|30.125|30.0|0.0|30.12|28.49|30.17|30.14|30.17|29.89|30.51|30.13|30.16|30.17|30.22|30.17|30.22|0.0|0.0|30.17|30.22|31.52|27.19|9791|4559037 67197|SQFT|SQFT|74102L303|US74102L3033|Presidio Property Trust Inc|COM CL C||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-2|TXN6-2|TXN11-2|TXN6-7|TXN5-5|13130000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||35|3510|351020|35102000|Real Estate|Real Estate |Real Estate Investment Trusts|Diversified REITs|N||N||||||Y|0|Y||||||0.0|0.0|0.0|0.0|0.94|0.0|0.909061|0.9|0.0|0.0|0.9|0.0|0.91|0.0|0.0|0.0|0.0|0.9|0.0|0.9|0.722|1.14|0.722|1.14|0.89|0.9799|0.8705|0.9622|0.8705|0.9745|0.9|0.9273|1.29|0.5|23791|7801179 70837|SQFTP|SQFTP|74102L402|US74102L4023|Presidio Property Trust Inc|9.375 SER D PFD||B|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN6-1|TXN12-6|TXN5-7|TXN5-2|890000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||13.3|13.28|0.0|0.0|0.0|13.51|13.51|0.0|0.0|0.0|0.0|0.0|13.54|0.0|0.0|0.0|0.0|13.28|13.28|13.28|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|13.28|13.9|22.38|12.6|4424|485604 73294|SQFTW|SQFTW|74102L113|US74102L1136|Presidio Property Trust Inc|WRTTS||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-4|TXN5-7|TXN10-7|TXN5-3|TXN6-7|11860000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y|D|||||0.0|0.0|0.0|0.0|0.0|0.04|0.042|0.0|0.0|0.0|0.0418|0.04|0.0399|0.0|0.0|0.0|0.0|0.04|0.0|0.04|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0399|0.04|0.2401|0.0165|19560|2190461 59155|SQLV|SQLV|52468L877|US52468L8770|Royce Quant Small-Cap Quality Value ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN5-3|TXN13-2|TXN5-2|TXN5-8|750000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|38.39|0.0|0.0|0.0|0.0|0.0|0.0|38.39|0.0|0.0|0.0|0.0|38.08|38.39|0.0|0.0|0.0|0.0|38.16|38.39|39.75|33.07|312|833337 9286|SQM|SQM|833635105|US8336351056|Sociedad Quimica y Minera de Chile S.A.|American Depositary Shares (Each representing one Series B Share)|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-4|TXN3-8|TXN9-8|TXN3-6|TXN4-7|142820000|||Quarterly|||||1993-09-22||||||| | | | | | | | | |||N|0|N|Y|106B|CHL|CL|||55|5520|552010|55201000|Basic Materials|Chemicals|Chemicals|Chemicals: Diversified|N||N||||||Y|0|Y||Y|2|||49.68|49.69|0.0|49.71|49.67|49.66|49.675|49.65|0.0|0.0|49.64|49.66|49.65|49.68|49.65|49.68|49.81|49.65|49.83|49.68|49.65|49.68|39.28|60.77|49.59|49.73|49.35|52.46|49.65|49.7|49.65|49.68|100.31|44.8601|2610450|375771201 37762|SQNS|SQNS|817323207|US8173232070|Sequans Communications S.A.|American Depositary Shares, each representing four Ordinary Shares|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN3-2|TXN8-8|TXN3-5|TXN4-3|243560000|||NotApplicable|||||2019-11-29||||||| | | | | | | | | |||N|0|N|Y|114A|FRA|FR|||10|1010|101020|10102010|Technology|Technology|Technology Hardware and Equipment|Semiconductors|N||N||||||Y|0|Y||Y|2|||2.85|0.0|0.0|0.0|2.88|2.87|2.87|0.0|0.0|0.0|2.88|0.0|2.88|0.0|0.0|2.89|0.0|2.88|0.0|2.89|2.87|2.88|2.24|3.55|2.83|3.07|2.72|3.07|0.0|0.0|2.87|2.88|3.9|1.86|29986|31090405 32272|SQQQ|SQQQ|74347G432|US74347G4322|ProShares UltraPro Short QQQ|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN6-1|TXN13-2|TXN6-2|TXN5-1|239650547|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||16.36|16.36|0.0|16.37|16.37|16.36|16.3541|16.36|0.0|0.0|16.36|16.36|16.35|16.35|16.36|16.359|16.35|16.3541|16.37|16.35|16.35|16.36|16.35|16.36|16.35|16.36|16.34|16.36|16.3|16.41|16.35|16.36|58.29|15.35|125266804|29921479490 70654|SQSP|SQSP|85225A107|US85225A1079|Squarespace, Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-7|TXN4-3|TXN2-7|TXN2-7|TXN4-3|88130000|||NotApplicable|||||2021-05-19||||||| | | | | | | | | |||N|0|N|Y|180B|USA|US|||10|1010|101010|10101020|Technology|Technology|Software and Computer Services|Consumer Digital Services |N||N||||||Y|0|Y||Y|2|||28.5|28.51|0.0|28.48|28.5|28.51|28.5|28.51|0.0|0.0|28.5|28.5|28.51|28.5|28.51|28.51|28.5|28.51|28.5|28.51|28.5|28.52|21.96|35.23|28.44|28.57|28.45|28.53|28.45|28.53|28.41|28.51|34.38|19.58|576749|155074295 76467|SQY|SQY|88634T766|US88634T7660|Tidal Trust II|YieldMax SQ Option Income Strategy ETF|Trust|ETS|N|N|P|Y|Y|Y|Y|Y||||||||Tidal ETF Services |Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-7|TXN2-6|TXN7-8|TXN1-6|TXN1-3|225000|||Monthly|||||2023-10-11||SQY.NV|SQY.SO|SQY.EU|SQY.TC| | | | | | | | | | ||the Fund uses a synthetic covered call strategy to provide income and exposure to the share price returns of SQ, subject to a limit on potential investment gains as a result of the nature of the options strategy it employs.|N|0|N|N|416A|USA|US|HYBRID|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||24.7|24.95|0.0|0.0|24.97|24.95|24.93|24.99|0.0|0.0|24.26|24.95|0.0|24.931|0.0|0.0|0.0|25.03|24.97|25.03|0.0|0.0|0.0|0.0|24.92|25.03|24.88|25.03|24.88|25.03|24.92|25.03|25.03|17.41|5354|292589 7495|SR|SR|84857L101|US84857L1017|Spire Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|M|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN2-6|TXN4-6|TXN3-4|TXN3-1|53180000|||Quarterly|||||1945-01-22||||||| | | | | | | | | |||N|0|N|Y|304A|USA|US|||65|6510|651020|65102020|Utilities|Utilities|Gas, Water and Multi-utilities |Gas Distribution|N||N||||||N|0|Y||Y|2|||62.62|62.62|0.0|62.59|62.65|62.62|62.57|62.575|0.0|0.0|62.62|62.62|62.56|62.59|62.62|62.57|62.64|62.56|62.62|62.57|62.56|62.58|47.5|75.71|62.27|63.03|62.52|62.68|62.54|62.62|62.56|62.58|75.83|53.77|457279|75078836 63661|SR PRA|SRpA|84857L309|US84857L3096|Spire Inc.|Depositary Shares, each representing a 1/1,000th interest in a share of 5.90% Series A Cumulative Redeemable Perpetual Preferred Stock|Operating company|B|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN1-1|TXN1-5|TXN4-8|TXN1-3|10000000|||Quarterly|||||2019-05-22||||||| | | | | | | | | |||N|0|N|N|304A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||23.8|23.86|0.0|0.0|23.88|24.01|23.82|23.89|0.0|0.0|23.8|0.0|23.98|0.0|0.0|23.97|24.0|23.97|0.0|23.97|23.8|24.0|24.0|24.15|23.34|24.38|0.0|0.0|0.0|0.0|23.8|24.0|25.65|21.36|7310|4819713 71655|SRAD|SRAD|H8088L103|CH1134239669|Sportradar Group AG|ORD CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN5-3|TXN13-3|TXN5-5|TXN6-7|206850000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHE||||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||||||10.12|10.1|0.0|10.04|10.1|10.1|10.12|10.11|0.0|0.0|10.04|10.12|10.09|10.03|0.0|10.09|10.1|10.09|10.05|10.09|10.01|10.2|7.92|12.33|10.03|10.18|10.06|10.13|10.06|0.0|10.09|10.12|15.565|8.08|288705|66370841 76338|SRBK|SRBK|85227J106|US85227J1060|SR Bancorp Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN6-7|TXN11-3|TXN6-2|TXN6-3|9510000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||||||9.68|9.74|0.0|0.0|9.72|9.715|9.73|9.7|0.0|0.0|9.69|0.0|9.7|0.0|0.0|0.0|9.73|9.73|0.0|9.7|7.55|11.91|7.55|11.91|9.04|10.36|7.55|11.91|0.0|0.0|9.7|9.73|10.0|8.01|64935|3839642 40729|SRC|SRC|84860W300|US84860W3007|Spirit Realty Capital, Inc.|Common stock|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-1|TXN4-7|TXN8-3|TXN3-7|TXN1-6|141330000|||Quarterly|||||2018-12-13||||||| | | | | | | | | |||N|0|Y|Y|414A|USA|US|||35|3510|351020|35102045|Real Estate|Real Estate |Real Estate Investment Trusts|Retail REITs|N||N||||||Y|0|Y||Y|1|||42.58|42.6|0.0|42.43|42.59|42.59|42.58|42.59|0.0|0.0|42.6|42.58|42.58|42.58|42.46|42.59|42.58|42.59|42.59|42.59|42.58|42.59|39.45|44.88|42.54|42.63|42.54|42.61|42.55|42.59|42.58|42.59|44.65|32.22|1255182|251772528 59967|SRC PRA|SRCpA|84860W201|US84860W2017|Spirit Realty Capital, Inc.|6.000% Series A Cumulative Redeemable Preferred Stock|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN4-5|TXN7-8|TXN2-5|TXN4-4|6900000|||Quarterly|||||2017-10-27||||||| | | | | | | | | |||N|0|N|N|414A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|23.87|0.0|0.0|23.24|23.89|23.8746|23.94|0.0|0.0|23.87|23.0|23.81|0.0|0.0|23.89|23.645|23.89|0.0|23.89|23.84|23.95|0.0|0.0|23.6|23.95|0.0|0.0|0.0|0.0|23.84|23.95|24.69|19.45|8382|2732999 3787|SRCE|SRCE|336901103|US3369011032|1st Source Corp|COM USD1||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN6-4|TXN10-8|TXN6-4|TXN6-5|24430000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||||||0.0|50.89|0.0|0.0|50.63|50.76|50.9|50.88|0.0|0.0|50.67|0.0|50.9|0.0|0.0|50.76|0.0|50.9|0.0|50.9|50.17|51.35|38.67|61.25|50.63|51.07|50.71|51.0|50.68|51.03|50.82|50.9|57.19|38.77|77710|12930811 3791|SRCL|SRCL|858912108|US8589121081|Stericycle Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN5-3|TXN14-7|TXN5-7|TXN6-1|92520000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||USA||||65|6510|651030|65103035|Utilities|Utilities|Waste and Disposal Services|Waste and Disposal Services|N||N||||||Y|0|Y||||||48.99|49.03|0.0|48.69|48.85|48.99|48.99|48.995|0.0|0.0|48.99|48.92|48.99|49.01|48.86|49.03|49.01|49.01|48.855|48.99|48.89|49.1|45.77|51.71|48.89|49.1|48.93|49.05|48.93|49.03|48.99|49.02|56.12|37.78|565017|103572160 3794|SRDX|SRDX|868873100|US8688731004|Surmodics Inc|COM USD.05||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN6-6|TXN14-1|TXN6-4|TXN6-7|14160000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201020|20102015|Health Care |Health Care |Medical Equipment and Services|Medical Supplies|N||N||||||Y|0|Y||||||33.84|0.0|0.0|33.77|0.0|33.82|33.78|33.725|0.0|0.0|0.0|0.0|33.64|33.635|33.64|33.59|0.0|33.725|0.0|33.64|33.05|34.35|26.07|41.28|33.47|33.93|33.42|34.0|33.63|33.97|33.63|33.79|39.41|16.0|44133|25028709 9292|SRE|SRE|816851109|US8168511090|Sempra|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|N|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN2-7|TXN7-1|TXN3-3|TXN3-8|629330000|||Quarterly|||||1998-06-29||||||| | | | | | | | | |||N|5|Y|Y|310A|USA|US|||65|6510|651020|65102000|Utilities|Utilities|Gas, Water and Multi-utilities |Multi-Utilities|N||N||||||Y|0|Y||Y|1|||72.81|72.81|0.0|73.12|72.82|72.785|72.79|72.77|0.0|0.0|72.78|72.81|72.79|72.8|72.805|72.81|72.79|72.82|72.77|72.81|72.79|72.82|68.16|77.56|72.76|72.84|69.38|72.86|72.79|72.82|72.79|72.82|168.25|63.75|3511859|420925369 63935|SREA|SREA|816851604|US8168516040|Sempra|5.750% Junior Subordinated Notes due 2079|Operating company|G|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN4-8|TXN3-8|TXN3-6|TXN3-7|30300000|||Quarterly|||||2019-06-27|2079-07-01|||||| | | | | | | | | |||N|0|N|N|310A||US|||||||||||N||N||||||N|0|Y||Y|2|||24.07|24.195|0.0|0.0|24.04|24.04|24.02|24.25|0.0|0.0|23.96|24.13|24.05|0.0|0.0|24.05|24.06|24.05|0.0|24.05|24.0|24.05|23.8|23.96|23.52|24.52|0.0|0.0|0.0|0.0|24.0|24.05|25.43|21.01|35658|12294939 49533|SRET|SRET|37960A651|US37960A6516|Global X SuperDividend REIT ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN6-4|TXN13-5|TXN6-3|TXN6-3|11659193|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||20.96|0.0|0.0|0.0|0.0|21.06|21.1|0.0|0.0|0.0|21.02|21.0|21.02|0.0|0.0|0.0|0.0|21.1|0.0|21.02|19.66|22.05|0.0|0.0|20.84|21.27|16.64|25.2|0.0|0.0|21.0|21.1|24.86|7.28|27534|8634963 76049|SRFM|SRFM|868927104|US8689271042|Surf Air Mobility Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN5-8|TXN1-1|TXN7-8|TXN1-2|TXN2-3|73630000|||NotApplicable|||||2023-07-27||||||| | | | | | | | | |||N|0|N|Y|202A|USA|US|||40|4050|405010|40501010|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Airlines|N||N||||||N|0|Y||Y|2|||0.83|0.8288|0.0|0.0|0.7902|0.8033|0.818|0.8161|0.0|0.0|0.8041|0.8|0.8|0.849|0.0|0.8171|0.0|0.7902|0.849|0.8171|0.7902|0.8309|0.7822|0.8531|0.7776|0.8499|0.7741|0.8503|0.7706|0.8531|0.7902|0.8309|5.0|0.705|188991|57950311 50255|SRG|SRG|81752R100|US81752R1005|Seritage Growth Properties|Class A common shares of beneficial interest|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN2-3|TXN9-5|TXN3-7|TXN3-2|56190000|||Quarterly|||||2015-07-06||||||| | | | | | | | | |||N|0|N|Y|414A|USA|US|||35|3510|351020|35102045|Real Estate|Real Estate |Real Estate Investment Trusts|Retail REITs|N||N||||||Y|0|Y||Y|2|||9.25|9.23|0.0|9.23|9.24|9.24|9.235|9.245|0.0|0.0|9.24|9.24|9.24|9.25|9.24|9.25|9.26|9.24|9.25|9.25|9.23|9.24|6.98|11.24|9.2|9.27|9.2|9.27|9.19|9.28|9.23|9.24|12.79|7.07|430920|105565125 60332|SRG PRA|SRGpA|81752R308|US81752R3084|Seritage Growth Properties|7.00% Series A Cumulative Redeemable Preferred Shares of Beneficial Interest|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN3-5|TXN5-8|TXN2-5|TXN3-2|2790000|||Quarterly|||||2017-12-19||||||| | | | | | | | | |||N|0|N|N|414A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|23.95|0.0|0.0|0.0|23.93|23.85|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|23.85|0.0|23.85|0.0|23.85|23.8|23.97|23.86|23.97|22.22|25.43|0.0|0.0|0.0|0.0|23.8|23.97|24.55|21.2|2628|2445377 74717|SRHQ|SRHQ|210322103|US2103221030|Elevation Series Trust|SRH U.S. Quality ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Paralel|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-7|TXN4-2|TXN6-8|TXN2-1|TXN4-7|4004000|||Quarterly|||||2022-10-05||SRHQ.NV|SRHQ.SO|SRHQ.EU|SRHQ.TC| | | | | | | | | | |1x|The SRH U.S. Quality ETF seeks to provide investment results (before fees and expenses) that correspond to the SRH U.S. Quality Index. The ETF holds a diversified portfolio of U.S. companies featuring value, growth, and quality characteristics while maintaining overall market exposure close to that of widely-followed, broad-based U.S. equity benchmarks. The SRH U.S. Quality Index is intended to capture the performance of U.S. companies that exhibit consistent and moderate revenue growth but do not trade at excessive valuations.|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|30.5474|0.0|30.5474|0.0|0.0|0.0|0.0|30.52|30.56|24.13|36.55|0.0|0.0|30.52|30.56|30.5474|26.2233|0|370816 76548|SRHR|SRHR|210322301|US2103223010|Elevation Series Trust|SRH REIT Covered Call ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Paralel|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-3|TXN4-6|TXN5-8|TXN4-1|TXN4-1|900000|||Monthly|||||2023-11-02||SRHR.NV|SRHR.SO|SRHR.EU|SRHR.TC| | | | | | | | | | ||The SRH REIT Covered Call ETF (the Fund) is an exchange traded fund incorporated in the United States. The Fund is actively managed and seeks to provide income and capital appreciation as its investment objective by investing in U.S. REITs and implementing a covered call options writing strategy.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|55.6006|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|57.3006|0.0|57.3006|43.4|70.14|43.4|70.14|57.11|57.49|43.4|70.14|0.0|0.0|57.11|57.49|57.3457|51.27|21|878524 9296|SRI|SRI|86183P102|US86183P1021|Stoneridge, Inc.|Common Shares|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|N|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN4-2|TXN9-8|TXN1-1|TXN1-2|27550000|||NotApplicable|||||1997-10-10||||||| | | | | | | | | |||N|0|N|Y|114D|USA|US|||40|4010|401010|40101025|Consumer Discretionary|Automobiles and Parts|Automobiles and Parts|Auto Parts|N||N||||||Y|0|Y||Y|2|||16.94|16.915|0.0|16.93|16.91|16.89|16.93|16.95|0.0|0.0|16.34|16.43|16.92|16.6|16.51|16.94|0.0|16.93|16.78|16.94|16.92|16.95|12.81|20.67|16.78|17.12|16.87|17.0|16.92|17.01|16.92|16.95|24.83|14.18|61583|26544452 24849|SRL|SRL|G7T96K107|KYG7T96K1077|Scully Royalty Ltd.|Common Shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|6|O|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN4-1|TXN6-8|TXN2-8|TXN1-2|14820000|||Adhoc|||||2019-06-04||||||| | | | | | | | | |||N|0|N|Y|110B|CHN|CA|||30|3020|302020|30202015|Financials|Financial Services |Investment Banking and Brokerage Services |Investment Services|N||N||||||Y|0|Y||Y|2|||0.0|5.8|0.0|0.0|6.51|0.0|6.155|5.92|0.0|0.0|0.0|0.0|6.145|5.75|0.0|6.13|0.0|6.155|0.0|6.13|6.03|6.28|0.0|0.0|5.63|6.69|4.61|7.53|0.0|0.0|6.03|6.28|8.9|3.71|2515|1943060 41770|SRLN|SRLN|78467V608|US78467V6083|SSGA Active Trust|SPDR Blackstone Senior Loan ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-8|TXN4-1|TXN1-8|TXN2-5|TXN1-5|112400000|||Monthly|||||2013-04-04||SRLN.NV|SRLN.SO|SRLN.EU|SRLN.TC|SRLN.IV| | | | | | | | | ||The investment objective of the SPDR Blackstone / GSO Senior Loan ETF is to provide current income consistent with the preservation of capital.|N|0|N|N|416A|USA|US|FIXED_INCOME|ACTIVE|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||41.58|41.59|0.0|41.56|41.58|41.59|41.58|41.58|0.0|0.0|41.58|41.58|41.58|41.58|41.58|41.58|41.58|41.57|41.58|41.57|41.56|41.59|41.35|41.64|41.58|41.59|41.55|41.59|41.35|41.65|41.57|41.59|42.22|40.62|2743206|473606078 76113|SRM|SRM|85237B101|US85237B1017|SRM Entertainment Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN5-4|TXN12-6|TXN6-8|TXN5-2|9770000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4020|402020|40202025|Consumer Discretionary|Consumer Products and Services|Household Goods and Home Construction|Household Equipment and Products|N||N||||||N|0|Y||||||2.95|2.96|0.0|0.0|2.93|3.0|2.99|2.97|0.0|0.0|3.0|3.0|3.0|0.0|0.0|0.0|0.0|2.96|0.0|3.0|2.81|3.11|0.0|0.0|2.84|3.1|2.88|3.08|2.86|3.1|2.96|3.0|6.01|1.43|63019|14158619 75202|SROI|SROI|12811T209|US12811T2096|Calamos ETF Trust|Calamos Antetokounmpo Global Sustainable Equities ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Calamos|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-3|TXN3-7|TXN6-8|TXN1-8|TXN2-4|404000|||Yearly|||||2023-02-06||SROI.NV|SROI.SO|SROI.EU|SROI.TC| | | | | | | | | | ||The Fund is an actively managed exchange-traded fund (ETF) that does not seek to replicate the performance of a specified index. The Fund will, under normal circumstances, invest at least 80% of its net assets (plus borrowings for investment purposes, if any) in equity securities of companies in developed markets (including the U.S.) and emerging markets (including frontier market countries) that, in the view of Calamos Advisors LLC (Calamos Advisors or the Sub-adviser), have above average growth potential and meet the environmental, social and governance (ESG) criteria set out below. The Fund will maintain a minimum investment in non-U.S. equity securities, including emerging markets that will be no less than 40% of the Funds net assets under normal market conditions. The Fund will generally be invested in a minimum of five (5) countries.|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|25.38|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|25.5018|0.0|25.5018|0.0|0.0|0.0|0.0|25.47|25.52|0.0|0.0|0.0|0.0|25.47|25.52|26.73|22.9674|18|550243 403|SRPT|SRPT|803607100|US8036071004|Sarepta Therapeutics Inc|COM USD.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN6-2|TXN11-5|TXN6-4|TXN5-8|93550000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||86.08|86.09|0.0|86.1|86.09|86.08|86.05|86.05|0.0|0.0|86.07|86.18|86.12|86.04|85.93|86.085|86.33|86.07|86.51|86.12|85.57|86.64|83.51|92.06|85.61|86.61|85.96|86.21|85.92|86.22|86.05|86.07|159.89|55.25|1318854|322370355 61058|SRRK|SRRK|80706P103|US80706P1030|Scholar Rock Holding Corp|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN6-6|TXN13-7|TXN6-1|TXN5-5|72140000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||14.48|14.48|0.0|13.92|14.49|14.525|14.49|14.48|0.0|0.0|14.51|14.53|14.5|14.5|14.48|14.53|14.52|14.49|14.48|14.5|14.36|14.7|11.06|17.86|14.39|14.67|14.44|14.53|14.43|14.54|14.48|14.49|14.57|5.56|1152009|96971934 18924|SRS|SRS|74347G556|US74347G5568|ProShares Trust|ProShares UltraShort Real Estate|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ProShares Advisors |Latour Trading, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-4|TXN3-3|TXN8-3|TXN2-4|TXN3-5|2797077|||Quarterly|||||2010-04-14||SRS.NV|SRS.SO|SRS.EU|SRS.TC|SRS.IV| | | | | | | | | |-2x|ProShares UltraShort Real Estate seeks daily investment results, before fees and expenses, that correspond to twice (200%) the inverse (opposite) of the daily performance of the Dow Jones U.S. Real Estate Index. This ETF seeks a return of -200% of the return of an index (target) for a single day. Due to the compounding of daily returns, returns over periods other than one day will likely differ in amount and possibly direction from the target return for the same period. Investors should monitor their ProShares holdings consistent with their strategies, as frequently as daily. For more on correlation, leverage and other risks, please read the prospectus. The Dow Jones U.S. Real Estate Index measures the performance of the real estate industry of the U.S. equity market. Component companies include those that invest directly or indirectly through development, management or ownership of shopping malls, apartment buildings and housing developments; and real estate investment trusts (REITs) that invest in apartments, office and retail properties. REITs are passive investment vehicles that invest primarily in income-producing real estate or real estate related loans or interests. It is not possible to invest directly in an index.|N|0|N|N|416A|USA|US|EQUITY|INVERSE|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||17.68|16.58|0.0|0.0|17.18|16.24|16.2301|16.235|0.0|0.0|16.47|16.45|16.24|16.36|0.0|16.3|16.3|16.23|0.0|16.23|16.18|16.3|16.2|16.27|16.23|16.25|16.2|16.28|16.2|16.28|16.23|16.25|23.3|13.93|50556|21418920 9305|SRT|SRT|85569C107|US85569C1071|StarTek, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|O|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN4-2|TXN1-5|TXN1-4|TXN1-5|40350000|||NotApplicable|||||1997-06-19||||||| | | | | | | | | |||N|0|N|Y|104C|USA|US|||50|5020|502050|50205020|Industrials|Industrial Goods and Services|Industrial Support Services|Professional Business Support Services|N||N||||||N|0|Y||Y|2|||4.34|4.33|0.0|0.0|4.33|4.335|4.33|4.335|0.0|0.0|4.335|4.33|4.34|4.33|4.34|4.33|0.0|4.33|4.34|4.33|4.33|4.34|4.33|5.31|4.33|4.38|4.33|4.35|0.0|0.0|4.33|4.35|4.53|2.6403|182210|19546808 53533|SRTS|SRTS|81728J109|US81728J1097|Sensus Healthcare Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN6-3|TXN12-6|TXN6-2|TXN5-8|16380000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||N|0|Y||||||2.49|2.48|0.0|0.0|2.49|2.48|2.49|0.0|0.0|0.0|2.48|2.43|2.46|2.48|2.47|0.0|0.0|2.49|0.0|2.49|2.38|2.56|1.86|3.0|2.39|2.54|2.44|2.51|2.43|2.51|2.46|2.49|9.62|1.79|34930|37007342 32270|SRTY|SRTY|74347G390|US74347G3902|ProShares Trust|ProShares UltraPro Short Russell2000|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ProShares Advisors |Latour Trading, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-1|TXN3-4|TXN7-3|TXN2-7|TXN4-7|3707646|||Quarterly|||||2010-02-10||SRTY.NV|SRTY.SO|SRTY.EU|SRTY.TC|SRTY.IV| | | | | | | | | |-3x|ProShares UltraPro Short Russell2000 (SRTY) seeks daily investment results, before fees and expenses, that correspond to triple (300%) the inverse (opposite) of the daily performance of the Russell 2000 Index. The Russell 2000 Index is a measure of small-cap U.S. stock market performance. It is a float adjusted market capitalization weighted index containing approximately 2000 of the smallest companies in the Russell 3000 Index or approximately 8% of the total market capitalization of the Russell 3000 Index, which in turn represents approximately 98% of the investable U.S. equity market.|N|0|N|N|416A|USA|US|EQUITY|INVERSE|||||||||N||N||||||Y|0|Y||Y|2|||39.08|38.85|0.0|39.73|39.34|38.88|38.93|39.02|0.0|0.0|38.86|38.85|38.92|39.159|39.82|38.88|39.11|38.93|39.81|38.93|38.71|38.95|38.72|39.11|38.87|38.91|38.72|39.11|38.08|39.65|38.86|38.91|61.53|33.78|1204756|213507789 25430|SRV|SRV|231631300|US2316313004|NXG Cushing Midstream Energy Fund|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-1|TXN2-7|TXN6-2|TXN2-6|TXN4-1|2180000|||Monthly|||||2015-09-14||||||| | | | | | | | | |||N|0|N|N|406B|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||35.64|36.07|0.0|35.74|0.0|35.5|35.5598|35.64|0.0|0.0|36.04|0.0|35.6|35.64|0.0|35.51|0.0|35.51|0.0|35.51|35.51|35.62|35.28|35.85|35.0|35.74|28.7|43.95|35.51|35.67|35.51|35.62|44.3|29.74|34300|6307916 60983|SRVR|SRVR|69374H741|US69374H7411|Pacer Funds Trust|Pacer Data & Infrastructure Real Estate ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Pacer Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-4|TXN1-6|TXN8-8|TXN1-1|TXN3-6|17350000|||Quarterly|||||2018-05-16||SRVR.NV|SRVR.SO|SRVR.EU|SRVR.TC|SRVR.IV| | | | | | | | | |1x|The Pacer Benchmark Data & Infrastructure Real Estate SCTR ETF (the Fund) is an exchange traded fund that seeks to track the total return performance, before fees and expenses, of the Benchmark Data & Infrastructure Real Estate SCTR Index (the Index).|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|1|||29.25|29.22|0.0|29.23|29.25|29.22|29.305|29.26|0.0|0.0|29.22|29.23|29.26|29.23|29.24|29.13|29.23|29.305|0.0|29.305|27.15|31.0|29.27|31.0|29.29|29.34|29.25|31.0|29.24|29.36|29.29|29.34|33.0801|23.936|198117|28629487 76643|SRV RT|SRVr|231631110||NXG Cushing Midstream Energy Fund|Rights (expiring December 14, 2023)|Closed end fund|D|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN7-8|TXN3-4|TXN1-5|TXN3-8|TXN2-5|0|||Adhoc|||||2023-11-17||||||| | | | | | | | | |||N|0|N|N|406B||US|||50|5020|502040|50204000|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Industrial|N||N||||||N|0|Y|D|N||||0.4595|0.4002|0.0|0.0|0.39|0.4295|0.4866|0.39|0.0|0.0|0.43|0.0|0.4932|0.39|0.3|0.52|0.0|0.52|0.34|0.52|0.5|0.52|0.4|0.612|0.4|0.612|0.4|0.612|0.0|0.0|0.5|0.52|0.68|0.15|38506|628814 68712|SRZN|SRZN|86889P109|US86889P1093|Surrozen 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71401|SSBK|SSBK|843878307|US8438783073|Southern States Bancshares Inc|COM USD5.00||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN6-2|TXN14-3|TXN5-6|TXN5-3|8840000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|25.19|25.21|0.0|0.0|0.0|0.0|0.0|25.3|0.0|0.0|0.0|0.0|25.22|0.0|25.3|24.34|26.04|0.0|0.0|24.43|25.94|0.0|0.0|0.0|0.0|25.14|25.3|31.0|19.61|10059|4902750 9310|SSD|SSD|829073105|US8290731053|Simpson Manufacturing Co., Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|L|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-7|TXN3-2|TXN2-8|TXN4-5|TXN1-7|42670000|||Quarterly|||||1997-10-13||||||| | | | | | | | | |||N|0|N|Y|180A|USA|US|||50|5010|501010|50101035|Industrials|Construction and Materials|Construction and Materials |Building Materials: Other|N||N||||||N|0|Y||Y|2|||173.18|174.88|0.0|175.06|174.82|175.115|175.1|175.13|0.0|0.0|175.03|173.45|175.17|172.88|174.9|175.15|171.735|175.2|172.84|175.15|175.15|175.23|132.24|212.57|174.71|175.44|174.88|175.39|175.15|175.45|175.15|175.23|175.31|87.07|231959|41541054 71832|SSFI|SSFI|86280R860|US86280R8604|Strategy Shares|Day Hagan / Ned Davis Research Smart Sector Fixed Income ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Day Hagan|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-3|TXN2-7|TXN8-8|TXN1-1|TXN4-7|2000000|||Quarterly|||||2021-09-29||SSFI.NV|SSFI.SO|SSFI.EU|SSFI.TC| | | | | | | | | | |1x|The Funds investment advisor, Day Hagan Asset Management (the Advisor), actively manages the Funds portfolio using proprietary investment models co-developed with Ned Davis Research (NDR). The Fund is considered a fund of funds that, under normal market conditions, seeks to achieve its investment objective by principally investing in unaffiliated fixed income exchange traded funds that invest in nine fixed income categories (Underlying Funds). The fixed income categories that the Fund may invest are U.S. investment grade corporate,|N|0|N|N|416A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|21.29|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|21.24|0.0|21.24|0.0|0.0|0.0|0.0|21.23|21.26|0.0|0.0|0.0|0.0|21.23|21.26|22.36|19.78|67|3312290 18925|SSG|SSG|74347G622|US74347G6228|ProShares Trust|ProShares UltraShort Semiconductors|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ProShares Advisors |IMC Chicago, LLC, DBA IMC Financial Markets|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-6|TXN4-8|TXN8-7|TXN4-4|TXN3-5|1224460|||Quarterly|||||2011-02-25||SSG.NV|SSG.SO|SSG.EU|SSG.TC|SSG.IV| | | | | | | | | |-2x|ProShares UltraShort Semiconductors seeks daily investment results, before fees and expenses, that correspond to twice (200%) the inverse (opposite) of the daily performance of the Dow Jones U.S. Semiconductors Index.This ETF seeks a return of -200% of the return of an index (target) for a single day. Due to the compounding of daily returns, returns over other than one day will likely differ in amount and possibly direction from the target return for the same period. Investors should monitor their ProShares holdings consistent with their strategies, as frequently as daily. For more on correlation, leverage and other risks, please read the prospectus. The Dow Jones U.S. Semiconductor Index measures the performance of the semiconductor industry of the U.S. equity market. Component companies are engaged in the production of semiconductors and other integrated chips, as well as other related products such as circuit boards and motherboards. 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This ETF seeks a return of 200% of the return of an index (target) for a single day. Due to the compounding of daily returns, returns over periods other than one day will likely differ in amount and possibly direction from the target return for the same period. Investors should monitor their ProShares holdings consistent with their strategies, as frequently as daily. For more on correlation, leverage and other risks, please read the prospectus. The S&P 500 Index is a widely used measure of large U.S. stock market performance. It includes a representative sample of leading companies in leading industries. Companies are selected for inclusion in the Index by Standard & Poors based on adequate liquidity, appropriate market capitalization, financial viability and public float. It is not possible to invest directly in an index.|N|0|N|N|416A|USA|US|EQUITY|LEVERAGED|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||60.0|60.0|0.0|59.83|60.0|60.0|59.985|60.035|0.0|0.0|59.99|59.99|60.02|60.0|60.04|60.04|60.07|60.01|60.0|60.01|59.96|60.18|59.82|60.2|60.01|60.02|60.0|60.02|59.8|60.2|60.0|60.02|62.14|42.75|2687707|990649087 9315|SSP|SSP|811054402|US8110544025|Scripps (E.W.) Co (The)|CL A COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN6-3|TXN11-8|TXN5-7|TXN5-4|72690000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4030|403010|40301035|Consumer Discretionary|Media|Media|Radio and TV Broadcasters|N||N||||||Y|0|Y||||||7.89|7.875|0.0|7.8|7.89|7.9|7.88|7.87|0.0|0.0|7.88|7.89|7.87|7.88|7.88|7.885|7.87|7.88|7.85|7.87|7.8|7.96|6.17|9.68|7.84|7.95|7.84|7.91|7.83|7.92|7.87|7.88|16.13|4.847|413625|81585832 71607|SSPX|SSPX|47103U811|US47103U8119|Janus Detroit Street Trust|Janus Henderson U.S. Sustainable Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Janus Henderson|RBC Capital Markets, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN2-2|TXN4-8|TXN3-4|TXN4-7|350001|||Quarterly|||||2021-09-09||SSPX.NV|SSPX.SO|SSPX.EU|SSPX.TC|SSPX.IV| | | | | | | | | |1x|Janus Henderson U.S. Sustainable Equity ETF is an exchanged traded fund incorporated in the USA. 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The Syntax Stratified LargeCap Index is the is the stratified-weight version of the widely-used S&P 500 Index. 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72978|SSSSL|SSSSL|86887Q208|US86887Q2084|SuRo Capital Corp 6.00 Notes due 2026|ETN||U|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN6-7|TXN14-7|TXN5-6|TXN6-3|3000000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|23.25|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|23.22|23.5|25.0|22.28|3|402959 67164|SST|SST|87200P109|US87200P1093|System1, Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|O|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN3-4|TXN9-8|TXN2-7|TXN3-6|94410000|||NotApplicable|||||2020-08-07||||||| | | | | | | | | |||N|0|N|Y|408A|USA|KY|||10|1010|101010|10101020|Technology|Technology|Software and Computer Services|Consumer Digital Services |N||N||||||Y|0|Y|D|Y|2|||1.28|1.31|0.0|0.0|1.3|1.305|1.31|1.305|0.0|0.0|1.31|1.3|1.305|1.26|1.51|1.31|1.28|1.31|0.0|1.31|1.3|1.31|1.04|1.53|1.3|1.33|1.28|1.33|1.27|1.34|1.3|1.31|5.71|1.04|136499|27786377 67165|SST WS|SST.WS|87200P117|US87200P1176|System1, Inc.|Warrants, each whole warrant exercisable for one share of Class A Common Stock at an exercise price of $11.50 per share|Operating company|C|N|N|N|Y|Y|Y|Y|Y|6|O|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN9-8|TXN1-8|TXN3-8|TXN4-1|TXN2-1|94260000|||NotApplicable|||||2020-08-07|2027-01-27|||||| | | | | | | | | |||N|0|N|N|408A|USA|KY|||||||||||N||N||||||N|0|Y|C|N||||0.0|0.0|0.0|0.0|0.0|0.0|0.08|0.0|0.0|0.0|0.0835|0.0|0.0|0.0|0.0|0.08|0.0|0.08|0.0|0.08|0.08|0.0832|0.0|0.0|0.0747|0.0887|0.0|0.0|0.0|0.0|0.08|0.0832|0.775|0.0028|1786|3053002 58645|SSTI|SSTI|82536T107|US82536T1079|SoundThinking Inc|COM 0.005 USD||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN6-2|TXN11-5|TXN5-4|TXN5-7|12720000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502050|50205040|Industrials|Industrial Goods and Services|Industrial Support Services|Security Services|N||N||||||Y|0|Y||||||0.0|23.89|0.0|0.0|24.21|23.92|24.05|24.19|0.0|0.0|24.08|0.0|24.16|24.05|0.0|23.65|0.0|23.89|0.0|24.16|23.27|24.96|18.46|29.89|23.37|24.8|23.73|29.89|23.35|24.69|23.9|24.26|39.46|14.385|45371|12245695 40842|SSTK|SSTK|825690100|US8256901005|Shutterstock, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-7|TXN3-1|TXN2-4|TXN4-7|TXN2-8|35710000|||Quarterly|||||2012-10-11||||||| | | | | | | | | |||N|0|N|Y|108A|USA|US|||10|1010|101010|10101020|Technology|Technology|Software and Computer Services|Consumer Digital Services |N||N||||||Y|0|Y||Y|2|||47.12|47.22|0.0|47.05|47.26|47.24|47.08|47.165|0.0|0.0|47.21|47.05|47.08|47.08|46.85|47.11|47.3|47.11|46.91|47.11|47.1|47.12|47.01|47.19|46.81|47.64|47.01|47.19|47.06|47.12|47.1|47.12|81.23|33.8|524937|131864054 65422|SSUS|SSUS|86280R803|US86280R8034|Strategy Shares|Day Hagan/Ned Davis Research Smart Sector ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Day Hagan|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-7|TXN4-6|TXN5-8|TXN1-3|TXN4-1|17300000|||Yearly|||||2020-01-17||SSUS.NV|SSUS.SO|SSUS.EU|SSUS.TC|SSUS.IV| | | | | | | | | ||NDR S&P sector allocation model combined with NDR major market stop loss model|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||Y|0|Y||Y|1|||0.0|0.0|0.0|0.0|0.0|0.0|34.8882|0.0|0.0|0.0|34.8|0.0|34.88|0.0|0.0|0.0|35.0|34.88|0.0|34.88|32.46|37.21|32.46|37.21|34.87|34.9|34.73|37.21|34.78|35.0|34.87|34.9|36.95|30.01|23656|17276016 74234|SSXU|SSXU|86280R829|US86280R8299|Strategy Shares|Day Hagan/Ned Davis Research Smart Sector International ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Day Hagan|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-7|TXN3-4|TXN9-8|TXN4-4|TXN4-7|1350000|||Yearly|||||2022-07-01||SSXU.NV|SSXU.SO|SSXU.EU|SSXU.TC| | | | | | | | | | ||The Funds investment advisor, Day Hagan Asset Management (the Advisor), actively manages the Funds portfolio using proprietary investment models co-developed with Ned Davis Research (NDR). The Fund is considered a fund of funds that, under normal market conditions, seeks to achieve its investment objective by principally investing in unaffiliated international equity exchange traded funds (ETFs). The Fund will attempt to exceed returns of the MSCI ACWI ex USA Index (the Index) by overweighting and underweighting its exposure to geographic locations relative to the Index and may also invest in geographic regions not represented in the Index. The Fund may reduce its overall exposure to ETFs from time to time as determined by its risk management model, as discussed further below. The Index is a free float-adjusted market capitalization weighted index designed to measure the combined equity market performance of developed and emerging markets countries, excluding the U.S. As of May 31, 2022, the Index consisted of securities from the following countries or regions: Argentina, Australia, Austria, Belgium, Brazil, Canada, Chile, China, Colombia, Czechia, Denmark, Egypt, Finland, France, Germany, Greece, Hong Kong, Hungary, India, Indonesia, Ireland, Israel, Italy, Japan, Kuwait, Malaysia, Mexico, the Netherlands, New Zealand, Norway, Pakistan, Peru, the Philippines, Poland, Portugal, Qatar, Russia, Saudi Arabia, Singapore, South Africa, South Korea, Spain, Sweden, Switzerland, Taiwan, Thailand, Turkey, the United Arab Emirates and the United Kingdom.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|26.6501|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|26.675|0.0|26.675|26.66|26.69|0.0|0.0|26.66|26.69|0.0|0.0|0.0|0.0|26.66|26.69|29.4299|24.63|2756|2096620 9319|SSY|SSY|86737U102|US86737U1025|SunLink Health Systems Inc|Common Stock|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN12-7|TXN3-4|TXN4-8|TXN4-3|TXN1-6|7040000|||NotApplicable|||||1996-12-30||||||| | | | | | | | | |||N|0|N|N|310A|USA|US|||45|4520|452010|45201015|Consumer Staples |Personal Care, Drug and Grocery Stores |Personal Care, Drug and Grocery Stores |Drug Retailers|N||N||||||N|0|Y||Y|2|||0.988|0.0|0.0|0.0|0.988|1.01|0.9841|0.99|0.0|0.0|0.988|0.988|0.92|0.0|0.0|0.0|0.9841|0.9841|0.0|0.9841|0.9264|1.09|0.99|1.03|0.9242|1.04|0.784|1.1|0.0|0.0|0.99|1.03|1.47|0.53045|39620|4770727 3815|SSYS|SSYS|M85548101|IL0011267213|Stratasys Ltd|ORD SHR||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN5-7|TXN14-5|TXN6-2|TXN5-4|69140000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101020|10102030|Technology|Technology|Technology Hardware and Equipment|Computer Hardware|N||N||||||Y|0|Y||||||11.66|11.64|0.0|11.51|11.65|11.65|11.631|11.64|0.0|0.0|11.64|11.65|11.64|11.669|11.66|11.65|11.67|11.64|11.66|11.64|11.61|11.67|8.97|14.02|11.56|11.74|11.61|11.66|11.61|11.67|11.64|11.65|21.72|9.95|908143|181325566 32399|ST|ST|G8060N102|GB00BFMBMT84|Sensata Technologies Holding plc|Ordinary Shares|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|M|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-2|TXN4-3|TXN9-3|TXN2-5|TXN2-7|151360000|||Quarterly|||||2018-03-28||||||| | | | | | | | | |||N|0|Y|Y|114D|USA|NL|||50|5020|502020|50202025|Industrials|Industrial Goods and Services|Electronic and Electrical Equipment|Electronic Equipment: Gauges and Meters|N||N||||||Y|0|Y||Y|1|||33.33|33.32|0.0|33.02|33.32|33.3|33.32|33.3|0.0|0.0|33.33|33.295|33.33|33.33|33.31|33.32|33.27|33.32|33.3|33.32|33.31|33.32|31.18|35.06|33.31|33.35|33.31|33.34|33.28|33.35|33.31|33.32|54.34|30.56|1934298|323521684 3816|STAA|STAA|852312305|US8523123052|STAAR Surgical Co|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN6-5|TXN14-8|TXN5-1|TXN6-4|48820000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||Y|0|Y||||||32.3|32.32|0.0|31.73|32.29|32.31|32.32|32.315|0.0|0.0|32.3|32.31|32.29|31.899|32.24|32.31|32.31|32.32|32.18|32.29|31.95|32.64|24.54|39.54|32.29|32.58|32.24|32.38|32.23|32.38|32.29|32.32|81.81|30.8|878596|181706649 48686|STAF|STAF|852387505|US8523875057|Staffing 360 Solutions Inc|COM USD.00001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-8|TXN6-3|TXN10-2|TXN5-7|TXN6-2|7810000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502050|50205025|Industrials|Industrial Goods and Services|Industrial Support Services|Business Training and Employment Agencies|N||N||||||N|0|Y|C|||||0.0|0.4384|0.0|0.0|0.5|0.45|0.491|0.0|0.0|0.0|0.43|0.0|0.5|0.0|0.0|0.0|0.0|0.491|0.0|0.491|0.3716|0.5887|0.0|0.0|0.4388|0.5438|0.3716|0.5887|0.0|0.0|0.47|0.5099|4.0|0.4|22692|14819269 37761|STAG|STAG|85254J102|US85254J1025|STAG Industrial, Inc.|Common Stock, $0.01 par value|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-2|TXN1-5|TXN1-4|TXN3-8|TXN1-7|181570000|||Monthly|||||2011-04-15||||||| | | | | | | | | |||N|0|Y|Y|414A|USA|US|||35|3510|351020|35102020|Real Estate|Real Estate |Real Estate Investment Trusts|Industrial REITs|N||N||||||Y|0|Y||Y|1|||36.86|36.87|0.0|36.87|36.865|36.865|36.87|36.87|0.0|30.7475|36.865|36.865|36.86|36.86|36.79|36.84|36.805|36.87|36.8|36.84|36.86|36.87|34.45|39.08|36.81|36.87|36.83|36.89|36.84|36.89|36.86|36.87|38.83|31.0101|1548983|342044605 76692|STAX|STAX|555927300|US5559273009|Macquarie ETF Trust|Macquarie Tax-Free USA Short Term ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Macquarie|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-4|TXN2-4|TXN2-8|TXN2-5|TXN4-7|200000|||Monthly|||||2023-11-29||STAX.NV|STAX.SO|STAX.EU|STAX.TC| | | | | | | | | | ||Seeks to provide attractive levels of federal tax-exempt income through municipal bonds with less sensitivity to rates|N|0|N|N||USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|25.24|25.2262|25.24|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|25.245|0.0|25.245|19.43|31.06|19.43|31.06|25.22|25.27|19.43|31.06|0.0|0.0|18.06|25.27|25.25|25.1|1986|3421 3821|STBA|STBA|783859101|US7838591011|S&T Bancorp Inc|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN6-4|TXN10-8|TXN6-5|TXN6-8|38240000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||||||0.0|29.61|0.0|29.58|29.71|29.61|29.72|29.63|0.0|0.0|29.64|0.0|29.7|29.62|0.0|29.56|0.0|29.72|0.0|29.7|29.34|29.95|23.01|36.0|29.4|29.92|29.6|29.78|29.68|29.79|29.68|29.72|38.43|24.51|150193|35983684 74503|STBX|STBX|G8437S115|KYG8437S1158|Starbox Group Holdings Ltd|ORD USD0.001125||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-1|TXN5-1|TXN12-1|TXN6-5|TXN6-4|54380000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||MYS||||40|4030|403010|40301020|Consumer Discretionary|Media|Media|Media Agencies|N||N||||||N|0|Y||||||0.2178|0.22|0.0|0.0|0.221|0.22|0.2264|0.2211|0.0|0.0|0.22|0.0|0.234|0.221|0.0|0.2211|0.239|0.2264|0.0|0.2264|0.1918|0.264|0.2|0.2758|0.2054|0.2506|0.205|0.264|0.0|0.0|0.2178|0.235|4.46|0.2|141097|66010028 9323|STC|STC|860372101|US8603721015|Stewart Information Services Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN3-3|TXN5-8|TXN1-2|TXN3-7|27360000|||Quarterly|||||1994-01-05||||||| | | | | | | | | |||N|0|N|Y|410B|USA|US|||30|3030|303020|30302025|Financials|Insurance|Non-life Insurance|Property and Casualty Insurance|N||N||||||Y|0|Y||Y|2|||52.91|52.56|0.0|52.61|52.69|52.62|52.62|52.64|0.0|0.0|52.75|52.9|52.62|52.65|52.66|52.67|52.66|52.62|52.66|52.67|52.57|52.63|40.44|63.99|52.14|53.17|52.51|52.71|52.54|52.71|52.57|52.63|53.14|36.01|378532|47199778 74340|STCE|STCE|808524656|US8085246564|Schwab Strategic Trust|Schwab Crypto Thematic ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Charles Schwab|Flow Traders U.S. 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Equipment|N||N||||||Y|0|Y||Y|1|||198.63|199.19|0.0|199.08|199.11|199.24|199.25|199.24|0.0|0.0|198.48|203.49|199.3|199.26|199.24|199.27|199.27|199.29|199.1|199.27|199.26|199.28|186.45|210.91|199.17|199.35|199.14|199.46|199.11|199.49|199.26|199.28|254.0|173.21|493433|103097772 60054|STEL|STEL|858927106|US8589271068|Stellar Bancorp, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN4-8|TXN5-8|TXN4-2|TXN1-3|53260000|||Quarterly|||||2023-06-12||||||| | | | | | | | | 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Investments|N||N||||||N|0|Y||Y|2|||0.0|13.47|0.0|0.0|13.45|13.475|13.47|13.475|0.0|0.0|13.47|0.0|13.48|13.46|13.31|13.47|13.4|13.47|0.0|13.47|13.47|13.48|10.43|16.62|13.47|13.49|13.44|13.51|13.45|13.5|13.47|13.48|13.82|11.75|34163|15202754 60807|STG|STG|86740P207|US86740P2074|Sunlands Technology Group|American Depositary Shares, every two (2) ADSs representing one (1) Class A Ordinary Share|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN2-4|TXN3-8|TXN2-4|TXN4-8|2620000|||Adhoc|||||2018-03-23||||||| | | | | | | | | |||N|0|N|Y|180B|CHN|KY|||40|4020|402010|40201010|Consumer Discretionary|Consumer Products and Services|Consumer Services |Education 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61206|STIM|STIM|64131A105|US64131A1051|Neuronetics Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN5-2|TXN14-4|TXN6-5|TXN5-3|28930000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||Y|0|Y||||||2.01|2.02|0.0|0.0|2.25|2.14|2.25|2.25|0.0|0.0|2.0|2.09|2.21|2.11|0.0|2.11|0.0|2.25|0.0|2.21|2.06|2.37|0.0|0.0|2.09|2.25|1.62|2.48|0.0|0.0|2.16|2.24|6.9522|1.03|452734|38149974 36193|STIP|STIP|46429B747|US46429B7477|iShares Trust|iShares 0-5 Year TIPS Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Jane Street Capital, 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The Underlying Index measures the performance of the inflation-protected public obligations of the U.S. Treasury that have a remaining maturity of less than five years. Inflation-protected public obligations of the U.S. Treasury, commonly known as TIPS, are securities issued by the U.S. Treasury that are designed to provide inflation protection to investors. TIPS are income-generating instruments whose interest and principal payments are adjusted for inflation a sustained increase in prices that erodes the purchasing power of money. The inflation adjustment, which is typically applied monthly to the principal of the bond, follows a designated inflation index, the consumer price index (CPI), and TIPS principal payments are adjusted according to changes in the CPI. A fixed coupon rate is applied to the inflation-adjusted principal so that as inflation rises, both the principal value and the interest payments increase. 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31913|STK|STK|19842X109|US19842X1090|Columbia Seligman Premium Technology Growth Fund, Inc.|Common Stock, $0.01 par value|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-6|TXN3-4|TXN8-3|TXN1-3|TXN2-2|16180000|||Quarterly|||||2009-11-25||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||30.82|30.85|0.0|30.82|30.85|30.84|30.91|30.93|0.0|0.0|30.85|0.0|30.93|0.0|0.0|30.92|0.0|30.92|0.0|30.92|30.88|30.97|23.96|38.31|30.89|30.97|30.76|31.05|30.88|30.97|30.89|32.95|31.6|22.36|35135|9304702 69665|STKH|STKH|583435102|US5834351026|Steakholder Foods 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LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN3-3|TXN8-6|TXN4-3|TXN4-8|3144330000|||Yearly|||||2014-10-13||||||| | | | | | | | | |||N|0|N|Y|200A|NLD|NL|||40|4010|401010|40101020|Consumer Discretionary|Automobiles and Parts|Automobiles and Parts|Automobiles|N||N||||||Y|0|Y||Y|2|||21.99|21.98|0.0|21.96|21.98|21.98|21.975|21.98|0.0|0.0|21.99|21.98|21.97|21.99|21.97|21.98|21.995|21.97|21.98|21.98|21.97|21.98|16.88|26.69|21.97|21.98|21.95|22.01|21.97|22.02|21.97|21.98|22.085|13.7147|6692734|1312065710 3842|STLD|STLD|858119100|US8581191009|Steel Dynamics Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN6-5|TXN13-6|TXN5-2|TXN5-5|161820000|||NotApplicable|||||||||||| | | | | | | | | |||N|5|Y|N||USA||||55|5510|551020|55102010|Basic Materials|Basic Resources|Industrial Metals and Mining|Iron and Steel|N||N||||||Y|0|Y||||||118.71|118.73|0.0|118.71|118.73|118.725|118.79|118.73|0.0|119.5|118.74|119.05|118.77|118.75|118.71|118.71|119.04|118.77|119.42|118.77|118.66|118.9|111.81|126.43|118.61|118.86|118.65|118.88|0.0|0.0|118.77|118.79|136.46|90.549|1221444|361227306 65412|STLG|STLG|46436E403|US46436E4035|iShares Factors US Growth Style 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LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-3|TXN1-8|TXN6-3|TXN4-7|TXN2-2|910560000|||Quarterly|||||1994-12-08||||||| | | | | | | | | |||N|0|N|Y|114A|CHE|NL|||10|1010|101020|10102010|Technology|Technology|Technology Hardware and Equipment|Semiconductors|N||N||||||Y|0|Y||Y|2|||47.51|47.495|0.0|47.48|47.51|47.5|47.495|47.495|0.0|0.0|47.5|47.475|47.5|47.51|47.49|47.51|47.445|47.51|47.5|47.51|47.5|47.51|36.55|57.78|47.43|47.54|47.47|47.54|47.46|47.52|47.5|47.51|55.85|34.59|3564552|805019640 9388|STN|STN|85472N109|CA85472N1096|Stantec Inc.|Common Shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|6|Q|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN4-4|TXN7-5|TXN3-2|TXN2-1|110960000|||Quarterly|||||2005-08-05||||||| | | | | | | | | |||N|0|N|Y|180B|CAN|CA|||50|5010|501010|50101015|Industrials|Construction and Materials|Construction and Materials |Engineering and Contracting Services|N||N||||||N|0|Y||Y|2|||74.75|74.85|0.0|74.94|74.78|74.87|74.75|74.85|0.0|0.0|74.86|74.11|74.745|74.77|74.43|74.74|74.99|74.75|74.86|74.74|74.74|74.75|58.21|92.46|74.6|75.0|74.68|74.81|74.68|74.82|74.74|74.75|75.55|46.35|123524|19450333 69717|STNC|STNC|42588P692|US42588P6925|Hennessy Funds Trust|Hennessy Stance ESG ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Hennessy Advisors|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-5|TXN2-1|TXN8-8|TXN1-8|TXN3-1|2160155|||Yearly|||||2022-12-23||STNC.NV|STNC.SO|STNC.EU|STNC.TC| | | | | | | | | | ||The Hennessy Stance ESG Large Cap ETF seeks to achieve long-term capital appreciation.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|26.91|0.0|0.0|0.0|0.0|26.88|0.0|0.0|0.0|26.9|0.0|26.9|0.0|0.0|0.0|0.0|26.91|0.0|26.91|0.0|0.0|26.83|26.88|26.91|26.95|13.49|40.47|0.0|0.0|26.91|26.95|27.48|23.5744|21748|606198 62079|STNE|STNE|G85158106|KYG851581069|StoneCo Ltd|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN6-5|TXN13-3|TXN5-1|TXN6-7|280660000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CYM||||50|5020|502050|50205020|Industrials|Industrial Goods and Services|Industrial Support Services|Professional Business Support Services|N||N||||||Y|0|Y||||||16.44|16.43|0.0|16.05|16.44|16.44|16.42|16.41|0.0|0.0|16.41|16.42|16.43|16.44|16.45|16.42|16.425|16.43|16.42|16.43|16.41|16.45|12.48|19.99|16.41|16.45|16.41|16.46|0.0|16.47|16.43|16.44|16.6397|8.09|6005830|1205526797 32503|STNG|STNG|Y7542C130|MHY7542C1306|Scorpio Tankers Inc.|Common stock, par value $0.01 per share|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|5|A|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-7|TXN2-4|TXN9-6|TXN2-2|TXN3-6|55000000|||Quarterly|||||2019-01-18||||||| | | | | | | | | |||N|0|N|Y|200A|MCO|MH|||50|5020|502060|50206030|Industrials|Industrial Goods and Services|Industrial Transportation|Marine Transportation|N||N||||||Y|0|Y||Y|2|||55.2|55.21|0.0|54.93|55.22|55.19|55.25|55.22|0.0|0.0|55.19|54.9|55.26|55.2|55.15|55.25|55.02|55.25|54.94|55.25|55.24|55.25|43.37|67.22|54.9|55.26|55.2|55.31|55.22|55.32|55.24|55.25|64.2|40.34|830318|283524372 63872|STOK|STOK|86150R107|US86150R1077|Stoke Therapeutics Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN6-7|TXN12-4|TXN5-6|TXN6-7|44650000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||4.19|4.17|0.0|0.0|4.14|4.16|4.2|4.2|0.0|0.0|4.15|4.18|4.2|4.03|4.17|4.17|4.12|4.2|4.17|4.2|4.1|4.23|3.2|5.07|4.11|4.22|4.14|4.22|4.13|4.23|4.17|4.2|13.9999|3.35|301375|71032255 52908|STOT|STOT|78470P200|US78470P2002|SPDR DoubleLine Short Duration Total Return Tactical ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-5|TXN4-7|TXN5-8|TXN2-4|TXN4-8|3250000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|46.54|0.0|0.0|46.54|0.0|46.568|0.0|0.0|0.0|0.0|0.0|46.555|46.54|0.0|0.0|0.0|46.54|0.0|46.54|0.0|0.0|0.0|0.0|46.54|46.58|0.0|0.0|0.0|0.0|46.54|46.57|46.8|45.93|12059|4449652 31370|STPZ|STPZ|72201R205|US72201R2058|PIMCO ETF Trust|PIMCO 1-5 Year U.S. TIPS Index Exchange-Traded Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||PIMCO|Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-3|TXN4-6|TXN2-6|TXN3-4|TXN3-2|11870000|||Monthly|||||2009-08-20||STPZ.NV|STPZ.SO|STPZ.EU|STPZ.TC|STPZ.IV| | | | | | | | | |1x|The funds investment objective is to provide total return that closely corresponds, before fees and expenses, to the total return of The Merrill Lynch 1-5 Year US Inflation-Linked Treasury Index. The Merrill Lynch 1-5 Year US Inflation-Linked Treasury Index is an unmanaged index comprised of U.S. Treasury Inflation Protected Securities with at least $1 billion in outstanding face value and a remaining term to final maturity of at least 1 year and less than 5 years.|N|0|N|N|416A|USA|US|FIXED_INCOME|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||0.0|50.605|0.0|0.0|0.0|50.61|50.63|50.635|0.0|0.0|50.635|50.65|50.625|0.0|50.61|50.62|0.0|50.65|0.0|50.65|50.63|50.65|47.38|53.93|50.63|50.65|50.63|50.65|0.0|0.0|50.63|50.65|51.32|49.05|45012|26801810 59377|STR|STR|82983N108|US82983N1081|Sitio Royalties Corp.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|P|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-3|TXN4-7|TXN5-3|TXN1-2|TXN1-5|81760000|||Quarterly|||||2022-06-14||||||| | | | | | | | | |||N|0|N|Y|134B|USA|US|||60|6010|601010|60101010|Energy|Energy|Oil, Gas and Coal|Oil: Crude Producers|N||N||||||Y|0|Y||Y|2|||22.1|22.1|0.0|22.09|22.09|22.1|22.13|22.1|0.0|0.0|22.1|22.17|22.12|22.14|22.1|22.14|22.11|22.16|22.1|22.14|22.14|22.16|16.95|27.01|22.07|22.2|22.11|22.19|22.13|22.18|22.14|22.16|33.65|19.31|1128880|149539633 3851|STRA|STRA|86272C103|US86272C1036|Strategic Education Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN6-2|TXN12-5|TXN5-4|TXN5-8|24420000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4020|402010|40201010|Consumer Discretionary|Consumer Products and Services|Consumer Services |Education Services|N||N||||||Y|0|Y||||||0.0|90.54|0.0|90.77|90.62|90.49|90.85|90.83|0.0|0.0|90.74|0.0|90.86|0.0|90.4|0.0|0.0|90.83|0.0|90.86|89.81|91.66|68.57|112.08|90.49|91.13|90.55|91.11|90.71|90.86|90.71|90.86|98.22|64.53|80034|29600826 69548|STRC|STRC|80359A205|US80359A2050|Sarcos Technology & Robotics Corp|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-4|TXN6-1|TXN13-6|TXN6-6|TXN6-4|25850000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502040|50204050|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Specialty|N||N||||||N|0|Y||||||0.0|0.66|0.0|0.0|0.0|0.6599|0.655051|0.6663|0.0|0.0|0.6698|0.0|0.668|0.0|0.0|0.67|0.0|0.668|0.0|0.668|0.512|0.828|0.512|0.828|0.6468|0.6814|0.512|0.828|0.0|0.0|0.66|0.668|2.6|0.292|48024|91275005 69549|STRCW|STRCW|80359A114|US80359A1144|Sarcos Technology & Robotics Corp|WT EXP 061527||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-7|TXN5-2|TXN13-3|TXN5-4|TXN6-3|25850000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0101|0.0095|0.0|0.0|0.0|0.0096|0.0096|0.0096|0.0|0.0|0.0|0.0|0.0096|0.0|0.0096|0.0|0.0|0.0|0.0|0.0095|0.0|0.0|0.0|0.0|0.0|0.0095|0.0198|0.2917|0.0094|14233|3482508 9343|STRL|STRL|859241101|US8592411016|Sterling Infrastructure Inc|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN5-1|TXN10-6|TXN6-7|TXN6-2|30840000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5010|501010|50101010|Industrials|Construction and Materials|Construction and Materials |Construction|N||N||||||Y|0|Y||||||65.11|64.96|0.0|64.99|65.11|64.97|65.05|65.05|0.0|0.0|65.06|64.94|65.04|64.89|64.98|65.09|64.81|65.09|65.02|65.04|64.89|65.18|49.99|78.74|64.89|65.18|64.87|65.2|64.85|65.24|65.04|65.1|84.0|30.35|373138|78412918 16788|STRM|STRM|86323X106|US86323X1063|Streamline Health Solutions|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-3|TXN5-6|TXN13-8|TXN6-2|TXN5-5|58900000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||N|0|Y||||||0.289|0.294|0.0|0.0|0.295|0.2878|0.286|0.285|0.0|0.0|0.2711|0.271|0.285|0.289|0.0|0.0|0.0|0.29|0.271|0.285|0.2204|0.336|0.2169|0.3673|0.253|0.3247|0.2204|0.336|0.0|0.0|0.271|0.3045|2.35|0.213|195287|29618932 61844|STRO|STRO|869367102|US8693671021|Sutro Biopharma Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN6-4|TXN11-7|TXN6-1|TXN5-3|60950000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||2.87|2.87|0.0|2.77|2.86|2.87|2.87|2.865|0.0|0.0|2.87|2.86|2.87|2.86|2.86|2.87|0.0|2.87|2.87|2.87|2.85|2.88|2.22|3.47|2.85|2.87|2.83|2.9|2.85|2.88|2.86|2.87|8.72|2.005|569624|121235991 1188|STRR|STRR|85513Q103|US85513Q1031|STAR EQUITY HOLDINGS INC|COM 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USD.00001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN6-6|TXN11-7|TXN6-1|TXN5-8|209180000|||NotApplicable|||||||||||| | | | | | | | | |||N|5|N|N||IRL||||10|1010|101020|10102030|Technology|Technology|Technology Hardware and Equipment|Computer Hardware|N||N||||||Y|0|Y||||||78.61|78.6|0.0|78.56|78.58|78.63|78.58|78.6|0.0|0.0|78.6|78.64|78.59|78.62|78.62|78.62|78.48|78.58|78.61|78.59|78.54|78.67|73.65|83.37|78.54|78.62|78.54|78.65|78.54|78.61|78.57|78.59|79.42|48.94|1450152|580664827 74890|STXD|STXD|02072L581|US02072L5811|Strive 1000 Dividend Growth ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN6-1|TXN13-6|TXN5-8|TXN6-7|1100000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|27.97|0.0|0.0|0.0|0.0|28.0262|0.0|0.0|0.0|0.0|0.0|28.05|0.0|0.0|0.0|0.0|28.0262|0.0|28.05|0.0|0.0|0.0|0.0|28.03|28.05|0.0|0.0|0.0|0.0|28.03|28.05|28.71|24.68|1308|1917807 75173|STXE|STXE|02072L698|US02072L6983|EA Series Trust|Strive Emerging Markets Ex-China ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Alpha Architect|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-2|TXN1-3|TXN2-8|TXN3-3|TXN1-2|2600000|||Quarterly|||||2023-01-31||STXE.NB|STXE.SO|STXE.EU|STXE.TC|STXE.IV| | | | | | | | | |1x|Bloomberg Emerging Markets ex China Large & Mid Cap Index|N|0|N|N|408A|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||26.13|26.25|0.0|0.0|26.13|0.0|26.236|0.0|0.0|0.0|26.27|0.0|26.26|0.0|0.0|0.0|0.0|26.2078|0.0|26.2078|0.0|0.0|0.0|0.0|26.12|26.29|0.0|0.0|0.0|0.0|26.12|26.29|28.12|23.371|16761|11724996 74891|STXG|STXG|02072L615|US02072L6157|Strive 1000 Growth ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN6-8|TXN11-3|TXN5-7|TXN6-7|1200000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|32.43|0.0|0.0|0.0|0.0|32.4099|0.0|0.0|0.0|32.26|0.0|32.43|0.0|0.0|0.0|0.0|32.43|0.0|32.43|0.0|0.0|0.0|0.0|32.43|32.46|0.0|0.0|0.0|0.0|32.43|32.46|32.7|24.7457|7557|2026892 74892|STXK|STXK|02072L573|US02072L5738|Strive Small-Cap ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN5-7|TXN13-8|TXN6-6|TXN6-7|1250000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|26.98|26.945|0.0|0.0|0.0|0.0|0.0|27.06|0.0|0.0|0.0|0.0|27.01|0.0|27.06|0.0|0.0|0.0|0.0|27.01|27.06|0.0|0.0|0.0|0.0|27.02|27.06|28.08|23.255|2006|1824168 64419|STXS|STXS|85916J409|US85916J4094|Stereotaxis, Inc.|Common Stock, $.001 Par Value|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Brendan E. Cryan and Company, L.L.C.|CRYN|0235|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-6|TXN2-1|TXN2-8|TXN2-7|TXN3-8|80890000|||NotApplicable|||||2019-09-06||||||| | | | | | | | | |||N|0|N|N|122A|USA|US|||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||Y|0|Y|C|Y|2|||1.75|1.75|0.0|1.75|1.75|1.76|1.76|1.755|0.0|0.0|1.74|1.74|1.76|1.745|1.75|1.75|1.75|1.75|0.0|1.75|1.72|1.78|1.75|1.76|1.73|1.76|1.72|1.79|1.71|1.8|1.75|1.76|2.7452|1.33|330178|49486915 76127|STXT|STXT|02072L458|US02072L4582|EA Series Trust|Strive Total Return Bond ETF|Trust|ETF|N|N|N|Y|Y|Y|Y|Y|8|P|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-5|TXN3-8|TXN5-8|TXN1-7|TXN4-6|3070000|||Monthly|||||2023-08-10||||||| | | | | | | | | ||The Fund is an actively-managed exchange-traded fund (ETF) that, using an enhanced cash strategy, seeks to achieve its investment objective, under normal circumstances, by investing at least 80% of its net assets (plus borrowings for investment purposes) in U.S.-dollar denominated investment-grade fixed- and floating-rate bonds, and debt securities. Under normal circumstances, the Fund will seek to maintain a dollar-weighted average maturity of less than two years and a dollar-weighted average duration of less than one year.|N|0|N|N|408A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||20.05|0.0|0.0|0.0|20.05|20.06|20.0391|20.04|0.0|0.0|20.05|0.0|20.02|20.05|0.0|20.0395|0.0|20.0391|20.05|20.0395|20.01|20.06|0.0|0.0|19.92|20.09|0.0|0.0|0.0|0.0|20.01|20.06|20.15|19.145|5870|3298451 74893|STXV|STXV|02072L599|US02072L5993|Strive 1000 Value ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN6-5|TXN13-8|TXN5-6|TXN6-7|850000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|25.78|25.7799|0.0|0.0|0.0|0.0|0.0|25.7916|0.0|0.0|0.0|0.0|25.7799|0.0|25.7916|0.0|0.0|0.0|0.0|25.77|25.8|0.0|0.0|0.0|0.0|25.77|25.8|26.414|23.4027|2164|1461908 9347|STZ|STZ|21036P108|US21036P1084|Constellation Brands, Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|I|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-5|TXN1-4|TXN5-4|TXN3-3|TXN2-1|183660000|||Quarterly|||||1999-10-12||||||| | | | | | | | | |||N|5|Y|Y|118A|USA|US|||45|4510|451010|45101010|Consumer Staples |Food, Beverage and Tobacco |Beverages|Brewers|N||N||||||Y|0|Y||Y|1|||240.31|240.16|0.0|240.16|240.235|240.3|240.2|240.285|0.0|0.0|240.19|240.23|240.15|240.34|240.17|240.31|239.92|240.28|240.32|240.31|240.27|240.28|225.03|256.89|240.13|240.39|240.04|240.5|240.02|240.47|240.27|240.28|273.65|208.12|1322304|270172491 9350|SU|SU|867224107|CA8672241079|Suncor Energy Inc.|Common Shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|8|N|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-2|TXN2-5|TXN9-8|TXN3-2|TXN2-4|1295020000|||Quarterly|||||2009-08-03||||||| | | | | | | | | |||N|0|N|Y|134A|CAN|CA|||60|6010|601010|60101000|Energy|Energy|Oil, Gas and Coal|Integrated Oil and Gas|N||N||||||Y|0|Y||Y|2|||32.59|32.59|0.0|32.55|32.57|32.59|32.58|32.6|0.0|0.0|32.59|32.575|32.59|32.57|32.58|32.58|32.59|32.6|32.575|32.58|32.59|32.6|25.22|39.98|32.58|32.6|32.56|32.62|32.56|32.62|32.59|32.6|35.51|27.59|4179865|1094929225 29284|SUB|SUB|464288158|US4642881589|iShares Trust|iShares Short-Term National Muni Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-7|TXN1-6|TXN1-8|TXN3-6|TXN1-4|85850000|||Monthly|||||2008-11-07||SUB.NV|SUB.SO|SUB.EU|SUB.TC|SUB.IV| | | | | | | | | |1x|The iShares Short-Term National Muni Bond ETF seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the municipal bond sector of the U.S. market as defined by the S&P Short Term National AMT-Free Municipal Bond Index. THE UNDERLYING INDEX MEASURES THE PERFORMANCE OF THE SHORT-TERM investment-GRADE SEGMENT OF THE U.S. MUNICIPAL BOND MARKET. AS OF MAY 31, 2009, THERE WERE 1,808 ISSUES IN THE UNDERLYING INDEX. THE UNDERLYING INDEX INCLUDES MUNICIPAL BONDS FROM ISSUERS THAT ARE PRIMARILY STATE OR LOCAL GOVERNMENTS OR AGENCIES (INCLUDING THE COMMONWEALTH OF PUERTO RICO AND U.S. TERRITORIES SUCH AS THE U.S. VIRGIN ISLANDS AND GUAM) SUCH THAT THE INTEREST ON EACH BOND IS EXEMPT FROM U.S. FEDERAL INCOME TAXES AND THE FEDERAL ALTERNATIVE MINIMUM TAX (AMT) AS DETERMINED BY THE INDEX PROVIDER IN ACCORDANCE WITH ITS METHODOLOGY. EACH BOND MUST HAVE A RATING OF AT LEAST BBB- BY S&P, BAA3 BY MOODYS INVESTORS SERVICE, INC., OR BBB- BY FITCH INC. EACH BOND MUST BE DENOMINATED IN U.S. DOLLARS. EACH BOND IN THE UNDERLYING INDEX MUST BE A CONSTITUENT OF AN OFFERING WHERE THE ORIGINAL OFFERING AMOUNT WAS AT LEAST $100 MILLION. THE BOND MUST HAVE A MINIMUM PAR AMOUNT OF $25 MILLION TO BE ELIGIBLE FOR INCLUSION. TO REMAIN IN THE UNDERLYING INDEX, A BOND MUST MAINTAIN A MINIMUM PAR AMOUNT GREATER THAN OR EQUAL TO $25 MILLION AS OF THE NEXT REBALANCING DATE. IN ADDITION, EACH BOND MUST HAVE A REMAINING TERM TO MATURITY ANDOR PRE-REFUNDED OR CALL DATE THAT IS LESS THAN OR EQUAL TO FIVE YEARS AND GREATER THAN OR EQUAL TO ONE CALENDAR MONTH TO BE INCLUDED IN THE UNDERLYING INDEX. THE UNDERLYING INDEX IS A MARKET VALUE WEIGHTED INDEX, AND THE SECURITIES IN THE UNDERLYING INDEX ARE UPDATED AFTER THE CLOSE ON THE LAST BUSINESS DAY OF EACH MONTH.|N|0|N|N|412C|USA|US|FIXED_INCOME|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||104.8|104.81|0.0|0.0|104.79|104.8|104.8098|104.78|0.0|0.0|104.78|104.8|104.81|104.75|104.81|104.8|0.0|104.77|104.8|104.77|99.56|110.0|97.54|111.87|104.79|104.86|99.53|110.0|102.55|106.91|104.79|104.86|105.16|102.5|592000|151280914 9359|SUI|SUI|866674104|US8666741041|Sun Communities, Inc.|Common Stock|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|6|T|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-4|TXN1-6|TXN1-8|TXN3-2|TXN4-2|124450000|||Quarterly|||||1993-12-09||||||| | | | | | | | | |||N|0|Y|Y|412A|USA|US|||35|3510|351020|35102040|Real Estate|Real Estate |Real Estate Investment Trusts|Residential REITs|N||N||||||Y|0|Y||Y|1|||132.6|132.54|0.0|132.52|132.59|132.55|132.63|132.62|0.0|0.0|132.6|132.56|132.61|132.6|132.62|132.61|132.23|132.6|132.59|132.61|132.57|132.61|123.0|139.69|132.4|132.68|132.49|132.71|132.47|132.73|132.57|132.61|163.83|102.74|822168|169123849 49503|SUM|SUM|86614U100|US86614U1007|Summit Materials, Inc.|Class A Common Stock,|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-5|TXN3-4|TXN2-8|TXN4-5|TXN3-5|119460000|||Adhoc|||||2015-03-12||||||| | | | | | | | | |||N|0|N|Y|100A|USA|US|||50|5010|501010|50101035|Industrials|Construction and Materials|Construction and Materials |Building Materials: Other|N||N||||||Y|0|Y||Y|2|||35.54|35.53|0.0|35.45|35.54|35.54|35.52|35.545|0.0|0.0|35.56|35.53|35.52|35.52|35.57|35.54|35.57|35.54|35.54|35.54|35.51|35.54|27.19|43.45|35.5|35.57|35.47|35.6|35.48|35.61|35.51|35.54|39.56|25.43|601434|195596571 40730|SUN|SUN|86765K109|US86765K1097|Sunoco LP|Common units representing limited partner interests|Limited partnership|A|N|N|N|Y|Y|Y|Y|Y|5|A|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-7|TXN2-7|TXN7-7|TXN3-5|TXN4-7|84070000|||Quarterly|||||2012-09-20||||||| | | | | | | | | |||N|0|N|N|134F|USA|US|||60|6010|601010|60101020|Energy|Energy|Oil, Gas and Coal|Oil Refining and Marketing|N||N||||||Y|0|Y||Y|2|||53.33|53.38|0.0|53.24|53.3|53.39|53.28|53.32|0.0|0.0|53.33|53.37|53.23|53.82|53.75|53.22|53.3|53.22|55.09|53.22|53.22|53.28|41.37|65.72|49.72|53.31|53.17|53.32|53.16|53.34|53.22|53.28|55.8|40.8101|433255|53611790 38958|SUNW|SUNW|86803X204|US86803X2045|Sunworks Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-8|TXN5-8|TXN14-3|TXN5-4|TXN5-6|56780000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||60|6010|601020|60102020|Energy|Energy|Alternative Energy|Renewable Energy Equipment |N||N||||||Y|0|Y||||||0.2924|0.2935|0.0|0.277|0.293|0.2927|0.2932|0.2938|0.0|0.0|0.2929|0.2929|0.2929|0.2915|0.295|0.2927|0.28435|0.2929|0.294|0.2929|0.2755|0.3098|0.24|0.3529|0.2863|0.2999|0.24|0.3432|0.0|0.0|0.2924|0.295|2.46|0.252|1331949|274980468 9361|SUP|SUP|868168105|US8681681057|Superior Industries International, Inc.|Common Stock (California)|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN4-1|TXN5-8|TXN4-2|TXN3-1|28090000|||NotApplicable|||||1989-12-06||||||| | | | | | | | | |||N|0|N|Y|132B|USA|US|||40|4010|401010|40101025|Consumer Discretionary|Automobiles and Parts|Automobiles and Parts|Auto Parts|N||N||||||N|0|Y||Y|2|||2.93|3.0|0.0|0.0|2.98|3.0|3.0|3.0|0.0|0.0|2.91|0.0|2.99|0.0|0.0|3.0|0.0|3.0|0.0|3.0|2.98|3.0|2.27|3.66|2.91|3.07|2.92|3.06|2.92|3.06|2.98|3.0|7.38|2.49|49442|17908012 73855|SUPL|SUPL|74347G317|US74347G3175|ProShares Trust|ProShares Supply Chain Logistics ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ProShares Advisors |Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-8|TXN2-4|TXN6-8|TXN1-5|TXN4-1|50001|||Quarterly|||||2022-04-07||SUPL.NV|SUPL.SO|SUPL.EU|SUPL.TC|SUPL.IV| | | | | | | | | |1x|The Fund invests in securities that ProShare Advisors believes, in combination, should track the performance of the Index. The Index consists of companies involved in the supply chain logistics required to move raw materials, intermediate goods, and finished products around the globe. Supply chain logistics includes activities such as the provision of logistics support, logistics software, rail and air freight, trucking, and sea shipping. The Index is owned and administered by FactSet Research Systems, Inc. (the Index Provider). In order to be included in the Index, a company must be included in at least one of 18 FactSet Revere Business Industry Classification System Sub-Industries (RBICS Sub-Industries) that the Index Provider has identified as supply chain logistics related. These 18 eligible RBICS Sub-Industries are: Asia/Pacific Rail Transportation Autonomous Drone Manufacturers Commercial Transportation Equipment Distributors Container Deep Sea and Offshore Shipping Dry Bulk Deep Sea and Offshore Shipping Execution and Quote Platforms Services Express Couriers Freight Truckload Road Transportation Freight Less-Than-Truckload Road Transportation General Transportation and Related Services Logistics and Supply Chain Service Providers Multi-Size Trucking Road Transportation Multi-Type Deep Sea and Offshore Shipping Transportation Industry Software Europe, Middle East and Africa Rail Transportation Other Americas Railroad Transportation United States Class I Railroad Transportation United States Short-Line Railroad Transportation The Index Provider then selects into the Index the 25 largest companies, by market capitalization, that generate 75% or more of their revenue from products or services associated with the eligible RBICS Sub-Industries. If fewer than 25 companies meet the percentage revenue criterion, the Index Provider will reduce the revenue threshold to 50%, and select for inclusion those companies that have the highest percentage of revenue from products or services associated with the eligible RBICS Sub-Industries, until the Index reaches 25 constituents. Selected companies are weighted based on market capitalization, subject to a maximum weight of 4.5% for any single company. Selected companies must be U.S., non-U.S developed, or emerging market companies listed for trading on a stock exchange and meet certain market capitalization and liquidity requirements. The Index is reconstituted and rebalanced semiannually in June and December. The weightings of each security in the Index are allowed to fluctuate between rebalance dates. The Index is published under the Bloomberg ticker symbol [Ticker]. The Fund will invest principally in the financial instruments set forth below. Equity Securities The Fund invests in common stock issued by public companies. Depositary Receipts The Fund may invest in depositary receipts, which principally include: American Depositary Receipts (ADRs), which represent the right to receive securities of foreign issuers deposited in a bank or trust company and are an alternative to purchasing the underlying securities in their national markets and currencies Global Depositary Receipts (GDRs), which are receipts for shares in a foreign-based corporation traded in capital markets around the world. ProShare Advisors determines the type, quantity and mix of investment positions that it believes, in combination, the Fund should hold to produce returns consistent with the Funds investment objective. The Fund will generally use a replication strategy to achieve its investment objective, meaning that it will invest in all of the component securities of the Index in approximately the same proportion as the Index. However, the Fund may also use a representative sampling strategy to invest in or gain exposure to only a representative sample of the securities in the Index or to securities not contained in the Index or in financial instruments, with the intent of obtaining exposure with aggregate characteristics similar to those of the Index. In managing the assets of the Fund, ProShare Advisors does not invest the assets of the Fund in securities or financial instruments based on ProShare Advisors view of the investment merit of a particular security, instrument, or company, nor does it conduct conventional investment research or analysis or forecast market movement or trends. The Fund seeks to remain fully invested at all times in securities and/or financial instruments that, in combination, provide exposure to the returns of the Index without regard to market conditions, trends or direction. The Fund will concentrate (i.e., invest in securities that represent 25 percent or more of the value of the Index) or focus (i.e., invest in securities that represent a substantial portion of its value, but less than 25 percent) its investments in a particular industry or group of industries, country or region to approximately the same extent the Index is so concentrated or focused. As of December 17, 2021, the Index was concentrated in the transportation industry group.|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|38.75|37.34|0.0|0.0|35.42084|0.0|0.0|0.0|0.0|0.0|0.0|38.9399|0.0|38.9399|0.0|0.0|0.0|0.0|38.82|39.03|0.0|0.0|0.0|0.0|38.82|39.03|41.9319|34.1521|591|43245 39959|SUPN|SUPN|868459108|US8684591089|Supernus Pharmaceuticals Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN6-8|TXN11-3|TXN6-8|TXN5-6|54630000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103015|Health Care |Health Care |Pharmaceuticals and Biotechnology|Pharmaceuticals |N||N||||||Y|0|Y||||||27.9|28.09|0.0|27.98|28.11|28.1|28.11|28.11|0.0|0.0|28.12|28.02|28.11|28.1|28.03|28.1|27.91|28.12|0.0|28.11|27.86|28.36|21.26|34.69|27.86|28.31|28.09|28.17|28.09|28.18|28.11|28.12|42.09|21.99|353259|100390457 75269|SUPP|SUPP|29287L304|US29287L3042|TCW Transform Supply Chain ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-1|TXN2-2|TXN7-8|TXN2-6|TXN4-7|200000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|52.62|0.0|0.0|0.0|0.0|52.94|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|52.62|0.0|52.62|0.0|0.0|0.0|0.0|52.59|52.74|0.0|0.0|0.0|0.0|52.63|52.66|54.2|46.259|1432|394982 53139|SUPV|SUPV|40054A108|US40054A1088|Grupo Supervielle S.A.|American Depositary Shares (each representing five Class B shares)|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-5|TXN3-6|TXN4-5|TXN2-5|TXN2-5|382670000|||Yearly|||||2016-05-19||||||| | | | | | | | | |||N|0|N|Y|402A|ARG|AR|||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||Y|2|||3.34|3.35|0.0|3.27|3.35|3.34|3.35|3.34|0.0|0.0|3.34|3.35|3.345|3.34|3.3|3.34|3.35|3.345|3.33|3.34|3.34|3.35|2.61|4.1|3.33|3.35|3.32|3.38|3.33|3.36|2.68|3.35|3.6|1.69|1046217|126894401 38892|SURE|SURE|00768Y818|US00768Y8185|AdvisorShares Trust|AdvisorShares Insider Advantage ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||AdvisorShares|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-3|TXN4-8|TXN7-8|TXN1-8|TXN1-1|435000|||Yearly|||||2011-10-05||DBLV.NV|DBLV.SO|DBLV.EU|DBLV.TC|DBLV.IV| | | | | | | | | ||The investment objective of the AdvisorShares DoubleLine Value Equity ETF (DBLV) seeks to generate long-term returns in excess of the total return of the Russell 3000 Index, with less volatility than the Index. DBLV is sub-advised by TrimTabs Asset Management (Portfolio Manager), a subsidiary of TrimTabs Investment Research (TrimTabs). The Fund seeks to achieve this objective by investing in stocks with liquidity and fundamental characteristics that are historically associated with superior long-term performance. Stock selection for TTFS is based on extensive historical research from TrimTabs, the leading independent institutional research firm focusing on stock prices as a function of supply and demand rather than value.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|98.89|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|100.6802|0.0|100.6802|99.71|101.72|0.0|0.0|100.53|100.91|99.26|100.9|99.96|100.9|100.53|100.91|100.6802|84.389|27|64264 54675|SURG|SURG|86882L204|US86882L2043|SurgePays Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN5-7|TXN10-6|TXN5-8|TXN6-4|14230000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||15|1510|151020|15102015|Telecommunications|Telecommunications|Telecommunications Service Providers |Telecommunications Services|N||N||||||Y|0|Y|C|||||5.72|5.97|0.0|5.93|5.98|6.03|6.0|6.04|0.0|0.0|5.98|6.08|5.995|6.02|5.93|5.99|6.06|6.0|5.74|5.995|5.76|6.02|4.6|7.47|5.84|6.02|5.95|6.04|5.93|6.04|5.97|6.02|8.33|3.88|783987|37741846 72210|SURGW|SURGW|86882L113||SurgePays, Inc. Warrant|||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN6-6|TXN14-7|TXN5-5|TXN6-5|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||50|5020|502040|50204000|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Industrial|N||N||||||N|0|Y|C|||||1.56|1.87|0.0|0.0|1.51|0.0|1.5102|1.51|0.0|0.0|1.5|0.0|1.66|1.61|0.0|0.0|0.0|1.66|0.0|1.66|0.0|0.0|0.0|0.0|1.41|1.77|0.0|0.0|0.0|0.0|1.5|1.66|3.55|0.8246|37933|4331209 75222|SURI|SURI|82889N624|US82889N6242|Simplify Exchange Traded Funds|Simplify Propel Opportunities ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Simplify|Wolverine Trading, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-1|TXN3-1|TXN4-8|TXN4-5|TXN1-7|4480001|||Quarterly|||||2023-02-07||SURI.NV|SURI.SO|SURI.EU|SURI.TC| | | | | | | | | | ||The Simplify Propel Opportunities ETF (the Fund) seeks to provide long-term growth of capital by concentrating its investments (i.e., invests more than 25% of its net assets) in the securities of issuers in the biotechnology, pharmaceuticals, healthcare technology, and life science tools and services industries.|N|0|N|N|416A|USA|US|HYBRID|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|20.2399|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|20.233|0.0|20.233|0.0|0.0|20.13|20.28|19.92|20.37|10.03|30.06|0.0|0.0|19.92|20.37|25.02|17.93|516|2600941 7334|SUSA|SUSA|464288802|US4642888022|iShares Trust|iShares MSCI USA ESG Select ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN2-4|TXN5-2|TXN3-8|TXN1-6|53500000|||Quarterly|||||2007-12-06||KLD.NV|KLD.SO|KLD.EU|KLD.TC|KLD.IV| | | | | | | | | |1x|The iShares MSCI USA ESG Select ETF (the Fund) seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the MSCI USA ESG Select Index (the Underlying Index). The Underlying Index is an optimized index designed to measure the equity performance of U.S. companies that have positive environmental, social and governance (ESG) characteristics, while exhibiting risk and return characteristics similar to the MSCI USA Index. As of March 31, 2012, the Underlying Index consisted of 168 companies included in the MSCI USA Index. MSCI Inc. (MSCI) analyzes each eligible companys ESG performance using proprietary ratings covering environmental, social, and governance and ethics criteria. The index methodology is designed so that companies with relatively high overall ratings have a higher representation in the Underlying Index than in the MSCI USA Index; and companies with relatively low overall ratings have a lower representation in the Underlying Index than in the MSCI USA Index. Exceptions may result from the Underlying Indexs objective of having risk and return characteristics the same as the MSCI USA Index. Companies that MSCI determines are involved in the tobacco industry are excluded from the Underlying Index. Components primarily include consumer discretionary, health care and information technology companies. The components of the Underlying Index, and the degree to which these components represent certain industries, may change over time.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||96.06|96.24|0.0|0.0|96.29|96.29|96.24|96.14|0.0|0.0|96.29|0.0|96.24|96.06|96.2|96.14|96.29|96.29|0.0|96.29|96.24|96.46|96.11|96.32|96.24|96.27|96.11|96.32|96.11|96.32|96.24|96.27|97.71|80.74|133526|61236760 59156|SUSB|SUSB|46435G243|US46435G2434|iShares ESG Aware 1-5 Year USD Corporate Bond|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN6-1|TXN11-5|TXN5-5|TXN6-4|35350000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||24.16|24.16|0.0|0.0|24.145|24.16|24.16|24.16|0.0|0.0|24.16|24.17|24.17|24.145|24.16|24.145|24.15|24.16|0.0|24.17|22.52|25.82|24.15|24.18|24.16|24.18|24.14|24.19|24.14|24.18|24.16|24.17|24.23|23.55|194627|37755221 59157|SUSC|SUSC|46435G193|US46435G1931|iShares Trust iShares ESG Aware USD Corporate Bond ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN6-4|TXN11-7|TXN6-5|TXN5-4|50350000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||22.53|22.53|0.0|0.0|22.53|22.53|22.53|22.53|0.0|0.0|22.525|22.54|22.51|22.53|22.57|22.51|0.0|22.53|22.53|22.51|20.98|23.92|20.98|23.92|22.51|22.55|22.5|23.92|22.5|0.0|22.52|22.55|23.56|21.1|279606|96727038 63597|SUSL|SUSL|46435U218|US46435U2188|iShares Trust - iShares ESG MSCI USA Leaders ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN5-7|TXN13-4|TXN6-1|TXN5-3|14450000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||80.87|80.95|0.0|0.0|80.95|80.99|80.97|80.81|0.0|0.0|80.83|0.0|80.96|80.95|80.9|80.93|80.93|80.95|0.0|80.96|80.95|81.12|0.0|0.0|80.95|80.99|0.0|0.0|0.0|0.0|80.95|80.99|81.54|64.98|132349|37575275 32409|SUZ|SUZ|86959K105|US86959K1051|Suzano S.A.|American Depositary Shares (each representing One Ordinary Share)|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-7|TXN4-5|TXN1-3|TXN4-5|TXN3-2|1324120000|||Adhoc|||||2018-12-10||||||| | | | | | | | | |||N|0|N|Y|180A|BRA|BR|||55|5510|551010|55101015|Basic Materials|Basic Resources|Industrial Materials|Paper|N||N||||||Y|0|Y||Y|2|||10.47|10.465|0.0|10.47|10.47|10.465|10.46|10.46|0.0|0.0|10.465|10.46|10.465|10.49|10.49|10.47|10.49|10.46|10.47|10.47|10.46|10.48|8.19|12.97|10.46|10.48|10.42|10.52|10.41|10.52|10.46|10.48|11.595|7.46|2344948|336211712 9363|SVA|SVA|P8696W104|AGP8696W1045|Sinovac Biotech Ltd|SHS||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN6-6|TXN10-3|TXN6-6|TXN6-6|69080000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||20|2010|201030|20103015|Health Care |Health Care |Pharmaceuticals and Biotechnology|Pharmaceuticals |N||N||||||N|0|Y||||X|P|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0|0 68009|SVAL|SVAL|46436E536|US46436E5362|Ishares Us Small Cap Value Factor ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-3|TXN1-7|TXN5-8|TXN2-2|TXN4-8|3000000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||28.53|28.623|0.0|0.0|28.54|28.53|28.6295|28.53|0.0|0.0|28.53|0.0|28.21|28.54|0.0|28.53|0.0|28.623|0.0|28.623|28.57|28.68|0.0|0.0|28.61|28.65|0.0|0.0|0.0|0.0|28.61|28.65|31.0101|23.69|11980|4862463 6851|SVC|SVC|81761L102|US81761L1026|Service Properties Trust|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN5-6|TXN11-2|TXN5-3|TXN6-8|165770000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||35|3510|351020|35102015|Real Estate|Real Estate |Real Estate Investment Trusts|Hotel and Lodging REITs|N||N||||||Y|0|Y||||||7.7|7.71|0.0|7.71|7.71|7.71|7.71|7.7|0.0|0.0|7.71|7.7|7.7|7.7|7.71|7.7|7.68|7.7|7.71|7.7|7.69|7.76|5.97|9.29|7.69|7.77|7.67|7.97|7.67|0.0|7.69|7.71|11.565|6.835|938743|217399746 58216|SVFD|SVFD|80512Q402|US80512Q4029|Save Foods Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN6-8|TXN12-7|TXN6-1|TXN6-3|1470000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||ISR||||55|5520|552010|55201020|Basic Materials|Chemicals|Chemicals|Specialty Chemicals|N||N||||||N|0|Y|C|||||1.75|0.0|0.0|0.0|1.82|1.78|1.8342|1.8|0.0|0.0|1.81|0.0|1.84|1.75|0.0|1.75|0.0|1.8342|0.0|1.8342|0.0|0.0|0.0|0.0|1.73|1.9|0.0|0.0|0.0|0.0|1.75|1.84|3.58|0.4546|11689|115940157 74808|SVII|SVII|G83752108|KYG837521080|Spring Valley Acquisition Corp II|CL A ORD||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN6-1|TXN13-6|TXN5-1|TXN6-1|23000000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|10.78|10.78|10.78|10.78|0.0|0.0|0.0|0.0|10.79|0.0|0.0|10.79|0.0|10.78|0.0|10.78|0.0|10.79|0.0|0.0|10.71|11.45|0.0|0.0|10.75|10.82|10.78|10.79|10.79|10.08|144284|16425554 74809|SVIIR|SVIIR|G83752132||Spring Valley Acquisition Corp. II Rights|||D|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-4|TXN5-4|TXN14-6|TXN5-1|TXN5-2|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||50|5020|502040|50204000|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Industrial|N||N||||||N|0|Y|C|||||0.0|0.0|0.0|0.0|0.0|0.095|0.095|0.1153|0.0|0.0|0.095|0.095|0.1099|0.0|0.0|0.0|0.0|0.095|0.0|0.095|0.0|0.0|0.0|0.0|0.0|0.11|0.0|0.0|0.0|0.0|0.096|0.1099|0.29|0.0201|119036|2235842 74747|SVIIU|SVIIU|G83752124|KYG837521247|Spring Valley Acquisition Corp II|UNITS||R|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN6-8|TXN11-8|TXN6-8|TXN6-2|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|9.79|11.23|0.0|0.0|0.0|0.0|9.79|11.23|11.5|9.961|0|542373 74810|SVIIW|SVIIW|G83752116|KYG837521163|Spring Valley Acquisition Corp II|WT EXP 022526||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-1|TXN6-2|TXN10-4|TXN5-7|TXN5-4|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.1|0.1378|0.36|0.0675|0|1913647 73795|SVIX|SVIX|92891H101|US92891H1014|1x Short VIX Futures ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-3|TXN4-1|TXN1-4|TXN2-3|TXN2-5|4050000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||34.51|34.48|0.0|0.0|34.51|34.51|34.49|34.51|0.0|0.0|34.52|34.5|34.55|34.511|34.5|34.49|0.0|34.48|34.51|34.48|32.77|36.03|32.38|36.76|34.42|34.57|32.77|36.03|33.83|35.22|34.42|34.57|35.087|12.47|1178876|550680457 28948|SVM|SVM|82835P103|CA82835P1036|Silvercorp Metals Inc.|Common shares without par value|Operating company|A|N|Y|A|Y|Y|Y|Y|Y|||J. Streicher & Co. 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USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN6-1|TXN12-1|TXN5-6|TXN6-8|18570000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4030|403010|40301020|Consumer Discretionary|Media|Media|Media Agencies|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|1.52|1.5|1.52|1.54|0.0|0.0|1.53|1.53|1.5|1.55|0.0|0.0|0.0|1.52|0.0|1.52|1.24|1.86|0.0|0.0|1.42|1.59|1.24|1.86|0.0|0.0|1.49|1.52|1.87|0.91|23238|6066292 72298|SWAGW|SWAGW|86260J110|US86260J1108|Stran & Company Inc|WT EXP 110126||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-3|TXN5-1|TXN11-8|TXN5-4|TXN6-7|18520000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.069|0.0|0.0|0.0|0.0|0.069|0.0|0.069|0.0|0.0|0.0|0.0|0.0467|0.0682|0.0|0.0|0.0|0.0|0.0501|0.064|0.1499|0.0306|4000|436835 62239|SWAN|SWAN|032108888|US0321088884|Amplify ETF Trust|Amplify BlackSwan Growth & Treasury Core ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Amplify Investments|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-1|TXN3-6|TXN4-8|TXN3-7|TXN1-7|6770000|||Quarterly|||||2018-11-06||SWAN.NV|SWAN.SO|SWAN.EU|SWAN.TC|SWAN.IV| | | | | | | | | |1x| SWAN seeks investment results that generally correspond (before fees and expenses) to the price and yield of the S-Network BlackSwan Core Total Return Index (the Index).S-Network BlackSwan Core Total Return Index|N|0|N|N|406B|USA|US|FIXED_INCOME|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|25.32|25.54|25.4599|25.35|0.0|0.0|0.0|0.0|25.33|25.32|0.0|0.0|0.0|25.4555|0.0|25.4555|0.0|0.0|0.0|0.0|25.38|25.46|0.0|0.0|0.0|0.0|25.38|25.46|26.39|22.9265|9732|8431952 63143|SWAV|SWAV|82489T104|US82489T1043|ShockWave Medical Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN6-8|TXN10-3|TXN6-4|TXN5-1|36900000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||USA||||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||Y|0|Y||||||178.19|178.105|0.0|178.25|178.18|178.18|178.17|178.16|0.0|0.0|178.18|179.61|178.13|178.22|176.87|178.18|177.38|178.15|178.22|178.13|176.49|179.8|166.04|188.41|176.59|179.44|177.74|178.67|177.71|178.36|178.13|178.17|315.95|157.0|484931|134118600 9375|SWBI|SWBI|831754106|US8317541063|Smith & Wesson Brands Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN6-4|TXN14-7|TXN6-5|TXN6-2|46150000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4020|402030|40203050|Consumer Discretionary|Consumer Products and Services|Leisure Goods|Recreational Products|N||N||||||Y|0|Y||||||14.08|14.09|0.0|0.0|14.08|14.085|14.09|14.075|0.0|0.0|14.08|14.08|14.08|14.09|14.08|14.07|14.07|14.09|14.07|14.08|13.96|14.2|10.61|17.08|13.97|14.19|14.08|14.1|14.05|14.11|14.08|14.09|14.86|8.205|335645|117894040 62001|SWI|SWI|83417Q204|US83417Q2049|SolarWinds Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-6|TXN1-1|TXN3-4|TXN4-2|TXN2-6|165850000|||Adhoc|||||2018-10-19||||||| | | | | | | | | |||N|0|N|Y|180B|USA|US|||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||Y|2|||11.97|11.97|0.0|11.46|11.98|11.98|11.98|11.975|0.0|0.0|11.99|11.97|11.98|11.97|11.98|11.97|11.97|11.975|11.98|11.97|11.97|11.98|9.11|14.57|11.96|12.0|11.94|12.01|11.93|12.02|11.97|11.98|12.22|8.065|500314|101614948 70359|SWIM|SWIM|51819L107|US51819L1070|Latham Group 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USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN6-1|TXN13-4|TXN5-8|TXN6-1|12000000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||HKG||||30|3020|302020|30202010|Financials|Financial Services |Investment Banking and Brokerage Services |Asset Managers and Custodians|N||N||||||N|0|Y||||||2.78|2.88|0.0|0.0|2.82|2.87|2.88|2.87|0.0|0.0|2.84|0.0|2.82|2.78|0.0|2.87|0.0|2.87|0.0|2.87|2.14|3.5|2.14|3.5|2.76|3.07|2.14|3.5|0.0|0.0|2.8|2.88|12.74|1.8404|62307|50660057 9378|SWK|SWK|854502101|US8545021011|Stanley Black & Decker, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|P|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-6|TXN3-5|TXN2-7|TXN4-4|TXN3-7|153310000|||Quarterly|||||1966-06-15||||||| | | | | | | | | |||N|5|Y|Y|110E|USA|US|||50|5020|502040|50204040|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Tools|N||N||||||Y|0|Y||Y|1|||94.28|94.13|0.0|94.14|94.09|94.22|94.16|94.15|0.0|0.0|94.1|94.07|94.115|94.26|94.17|94.13|94.09|94.13|94.15|94.13|94.13|94.14|88.11|100.04|94.09|94.18|93.99|94.24|94.0|94.15|94.13|94.14|104.21|71.27|1373725|373440357 32230|SWKH|SWKH|78501P203|US78501P2039|SWK Holdings Corp|COM 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120127||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-6|TXN6-5|TXN12-6|TXN6-3|TXN5-3|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.085|0.169|0.3665|0.0097|0|1950224 64502|SWTX|SWTX|85205L107|US85205L1070|SpringWorks Therapeutics Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN6-7|TXN12-2|TXN6-6|TXN6-6|62580000|||NotApplicable|||||||||||| | | | | | | | | 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USD.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN6-6|TXN14-5|TXN5-8|TXN6-3|9190000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||2.52|2.56|0.0|0.0|2.59|2.55|2.55|2.55|0.0|0.0|2.65|0.0|2.55|2.55|2.55|2.55|0.0|2.55|2.55|2.55|2.42|2.78|1.95|3.23|2.5|2.68|2.12|3.06|0.0|0.0|2.55|2.63|5.708|0.234|29251|45803097 44702|SYF|SYF|87165B103|US87165B1035|Synchrony Financial|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|P|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-3|TXN2-3|TXN4-2|TXN2-2|TXN3-2|413800000|||Quarterly|||||2014-07-31||||||| | | | | | | | | |||N|5|Y|Y|408A|USA|US|||50|5020|502050|50205015|Industrials|Industrial Goods and Services|Industrial Support Services|Transaction Processing Services|N||N||||||Y|0|Y||Y|1|||33.95|33.96|0.0|34.31|33.95|33.96|33.96|33.96|0.0|0.0|33.96|33.955|33.96|33.945|33.955|33.97|33.945|33.96|33.96|33.97|33.96|33.97|31.52|34.0|33.95|33.98|33.91|34.0|33.91|33.98|33.96|33.97|37.995|26.59|4350151|1162732898 65092|SYF PRA|SYFpA|87165B202|US87165B2025|Synchrony Financial|Depositary Shares, each Representing a 1/40th Interest in a Share of 5.625% Fixed Rate Non-Cumulative Perpetual Preferred Stock, Series A|Operating company|B|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN1-4|TXN3-8|TXN3-1|TXN3-1|30000000|||Quarterly|||||2019-11-21||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||17.04|17.03|0.0|0.0|17.08|17.12|17.12|17.07|0.0|0.0|17.01|17.08|17.12|0.0|0.0|17.05|0.0|17.08|16.81|17.05|17.08|17.14|12.99|20.86|16.73|17.48|12.99|20.86|0.0|0.0|17.08|17.14|20.13|13.72|101100|21747857 74161|SYII|SYII|87166N700|US87166N7003|Syntax ETF Trust|Syntax Stratified Total Market II ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Syntax Advisors|GTS Securities 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9402|SYK|SYK|863667101|US8636671013|Stryker Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|E|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-4|TXN1-1|TXN8-4|TXN1-1|TXN2-4|379900000|||Quarterly|||||1997-07-24||||||| | | | | | | | | |||N|5|Y|Y|122A|USA|US|||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||Y|0|Y||Y|1|||290.84|290.78|0.0|290.81|290.81|290.77|290.73|290.83|0.0|0.0|290.76|291.04|290.9|290.74|291.17|290.95|291.04|290.83|290.87|290.95|290.83|290.94|273.46|311.86|290.69|291.03|290.55|291.14|290.46|290.99|290.83|290.94|306.93|233.96|1584779|319251390 42008|SYLD|SYLD|132061201|US1320612013|Cambria Shareholder Yield ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-6|TXN2-3|TXN7-8|TXN2-8|TXN4-5|14800000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||63.94|63.95|0.0|0.0|64.05|63.85|64.0616|63.94|0.0|0.0|63.82|0.0|64.01|63.94|63.85|63.94|0.0|63.95|0.0|63.95|63.94|64.61|59.69|67.87|63.89|64.15|59.69|67.87|0.0|0.0|63.95|63.99|66.6|54.32|71904|17521022 69521|SYM|SYM|87151X101|US87151X1019|Symbotic Inc|CL A COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN6-1|TXN11-3|TXN5-3|TXN6-2|80860000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502040|50204000|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Industrial|N||N||||||Y|0|Y||||||55.68|55.72|0.0|55.67|55.66|55.77|55.6925|55.74|0.0|0.0|55.73|55.77|55.68|55.809|55.59|55.809|55.62|55.6925|56.61|55.68|55.62|55.85|43.4|68.19|55.59|55.85|55.52|56.0|55.67|55.99|55.67|55.76|64.14|10.2101|1066701|208948577 3915|SYNA|SYNA|87157D109|US87157D1090|Synaptics Inc|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN6-4|TXN13-5|TXN5-3|TXN5-6|39200000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101020|10102010|Technology|Technology|Technology Hardware and Equipment|Semiconductors|N||N||||||Y|0|Y||||||100.35|100.33|0.0|100.36|100.51|100.18|100.34|100.39|0.0|0.0|100.61|100.5|100.29|100.32|100.3|100.39|0.0|100.31|0.0|100.29|99.41|101.28|76.04|123.18|99.59|101.23|100.09|100.59|100.28|100.41|100.28|100.41|142.14|67.73|276378|118343015 74697|SYNB|SYNB|746729805|US7467298052|Putnam ETF Trust|Putnam BioRevolution ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Putnam|RBC Capital Markets, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-4|TXN4-8|TXN1-5|TXN4-6|TXN4-7|225000|||Yearly|||||2022-09-30||SYNB.NV|SYNB.SO|SYNB.EU|SYNB.TC| | | | | | | | | | ||Putnam BioRevolution ETF seeks long term capital appreciation.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|27.3303|0.0|27.3303|0.0|0.0|0.0|0.0|27.26|27.38|0.0|0.0|0.0|0.0|26.61|27.38|28.7577|24.4661|25|104705 3926|SYPR|SYPR|871655106|US8716551069|Sypris Solutions Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN5-3|TXN12-2|TXN6-2|TXN6-5|22460000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502060|50206015|Industrials|Industrial Goods and Services|Industrial Transportation|Commercial Vehicles and Parts|N||N||||||Y|0|Y||||||0.0|1.95|0.0|0.0|1.915|1.89|1.9161|1.91|0.0|0.0|0.0|1.94|1.89|0.0|0.0|0.0|1.9|1.9161|0.0|1.89|1.76|2.04|0.0|0.0|1.82|1.99|1.46|2.35|0.0|0.0|1.89|1.92|2.3|1.73|11940|4689675 76406|SYRA|SYRA|87168W203|US87168W2035|Syra Health Corp|CL A COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN5-4|TXN14-1|TXN5-4|TXN6-2|5590000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201010|20101030|Health Care |Health Care |Health Care Providers|Health Care: Misc.|N||N||||||N|0|Y|C|||||1.19|0.0|0.0|0.0|1.2|1.19|1.18|1.19|0.0|0.0|1.06|1.11|1.2|1.2|0.0|0.0|0.0|1.2|1.2|1.2|0.896|1.52|0.896|1.52|1.04|1.31|0.896|1.52|0.0|0.0|1.11|1.22|3.7|1.05|60660|1742717 52857|SYRE|SYRE|00773J202|US00773J2024|Spyre Therapeutics Inc|COM USD.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN5-7|TXN11-6|TXN6-2|TXN6-5|4050000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y|C|||||0.0|18.84|0.0|0.0|18.88|19.48|19.15|19.01|0.0|0.0|18.685|19.27|19.29|0.0|0.0|18.65|18.21|19.04|18.6|19.29|18.19|19.86|14.27|23.15|18.6|19.68|18.69|19.43|18.62|19.64|19.0|19.29|21.4|10.42|26419|452984 53408|SYRS|SYRS|87184Q206|US87184Q2066|Syros Pharmaceuticals Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN5-3|TXN14-1|TXN5-3|TXN5-1|21070000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||2.86|2.88|0.0|0.0|2.9|2.87|2.87|2.88|0.0|0.0|2.89|2.7|2.91|2.93|2.93|2.89|0.0|2.87|2.89|2.87|2.78|2.98|2.22|3.61|2.81|2.97|2.22|3.56|2.83|2.96|2.87|2.92|5.67|2.0902|236300|20228841 75556|SYT|SYT|871241105|US8712411052|SYLA Technologies Co Ltd|ADS||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN5-4|TXN14-8|TXN5-3|TXN6-4|260000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||JPN||||30|3020|302020|30202010|Financials|Financial Services |Investment Banking and Brokerage Services |Asset Managers and Custodians|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|3.765|0.0|0.0|0.0|3.8|0.0|3.87|0.0|0.0|0.0|0.0|3.765|0.0|3.765|0.0|0.0|0.0|0.0|3.41|4.13|0.0|0.0|0.0|0.0|3.65|3.88|8.3999|2.8|1953|1222293 67662|SYTA|SYTA|83013Q707|CA83013Q7075|Siyata Mobile Inc|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN6-3|TXN11-7|TXN5-3|TXN6-8|3900000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CAN||||||||||||N||N|||||83013Q608|N|0|Y||||||3.2|3.07|0.0|0.0|3.2|3.1|3.185|2.91|0.0|0.0|3.2|3.2|3.16|3.11|0.0|0.0|2.99|3.1|3.2|3.1|2.59|3.62|2.57|3.8|2.96|3.33|2.64|3.62|0.0|0.0|3.1|3.17|5.09|0.0404|127468|1377414169 67663|SYTAW|SYTAW|83013Q152|CA83013Q1524|Siyata Mobile Inc|Wrrt||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-3|TXN5-7|TXN12-3|TXN6-8|TXN6-7|1850000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CAN||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0501|0.0|0.0|0.0|0.0|0.0|0.05|0.0|0.0|0.0|0.0|0.05|0.0|0.05|0.0|0.0|0.0|0.0|0.04|0.0749|0.0|0.0|0.0|0.0|0.05|0.0619|0.1969|0.02|12909|2378233 69804|SYUS|SYUS|87166N403|US87166N4034|Syntax ETF Trust|Syntax Stratified U.S. Total Market ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Syntax Advisors|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-4|TXN1-8|TXN6-8|TXN4-7|TXN3-2|400000|||Yearly|||||2021-03-19||SYUS.NV|SYUS.SO|SYUS.EU|SYUS.TC|SYUS.IV| | | | | | | | | |1x|The Syntax Stratified U.S. Total Market ETF seeks to obtain capital growth that meets or exceeds the performance of the S&P Composite 1500 Index by investing in exchange-traded funds or underlying securities that provide Stratified Weight U.S. total equity market exposure.|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|43.641|0.0|43.641|0.0|0.0|0.0|0.0|43.58|43.68|0.0|0.0|0.0|0.0|43.58|43.68|44.6238|38.9072|0|433235 9408|SYY|SYY|871829107|US8718291078|Sysco Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|N|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-3|TXN4-8|TXN7-6|TXN3-3|TXN1-6|504370000|||Quarterly|||||1981-01-20||||||| | | | | | | | | |||N|5|Y|Y|118D|USA|US|||45|4520|452010|45201010|Consumer Staples |Personal Care, Drug and Grocery Stores |Personal Care, Drug and Grocery Stores |Food Retailers and Wholesalers |N||N||||||Y|0|Y||Y|1|||72.93|72.95|0.0|72.99|73.0|72.985|73.0|72.99|0.0|0.0|72.97|72.9|73.0|73.0|72.9|73.0|72.96|73.0|72.98|73.0|72.99|73.0|68.7|77.15|72.97|73.02|72.95|73.03|72.95|73.05|72.99|73.0|85.75|62.235|2963085|580965877 18918|SZK|SZK|74347G630|US74347G6301|ProShares Trust|ProShares UltraShort Consumer Staples|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ProShares Advisors |IMC Chicago, LLC, DBA IMC Financial Markets|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-5|TXN3-7|TXN3-8|TXN3-6|TXN1-7|120568|||Quarterly|||||2008-11-12||SZK.NV|SZK.SO|SZK.EU|SZK.TC|SZK.IV| | | | | | | | | |-2x|ProShares UltraShort Consumer Goods seeks daily investment results, before fees and expenses, that correspond to twice (200%) the inverse (opposite) of the daily performance of the Dow Jones U.S. Consumer Goods Index. This ETF seeks a return of -200% of the return of an index (target) for a single day. Due to the compounding of daily returns, returns over periods other than one day will likely differ in amount and possibly direction from the target return for the same period. Investors should monitor their ProShares holdings consistent with their strategies, as frequently as daily. For more on correlation, leverage and other risks, please read the prospectus. The Dow Jones U.S. Consumer Goods Index measures the performance of consumer spending in the goods industry of the U.S. equity market. Component companies include automobiles and auto parts and tires, brewers and distillers, farming and fishing, durable and non-durable household product manufacturers, cosmetic companies, food and tobacco products, clothing accessories and footwear. 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73385|SZZLW|SZZLW|83014E117|US83014E1174|Sizzle Acquisition Corp|WT EX 110226||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-3|TXN6-4|TXN14-7|TXN6-2|TXN6-7|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0445|0.0699|0.4844|0.0399|0|2603134 9059|T|T|00206R102|US00206R1023|AT&T Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|P|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-2|TXN1-8|TXN3-8|TXN3-1|TXN2-2|7150020000|||Quarterly|||||1983-11-21||||||| | | | | | | | | |||N|1|Y|Y|306A|USA|US|||15|1510|151020|15102015|Telecommunications|Telecommunications|Telecommunications Service Providers |Telecommunications Services|N||N||||||Y|0|Y||Y|1|||16.67|16.66|0.0|16.63|16.67|16.665|16.665|16.665|0.0|0.0|16.67|16.67|16.665|16.67|16.665|16.66|16.665|16.665|16.67|16.66|16.66|16.67|15.61|17.7|16.66|16.67|16.64|16.7|16.66|16.67|16.66|16.67|22.84|13.43|40542461|8890279883 65256|T PRA|TpA|00206R508|US00206R5081|AT&T Inc.|Depositary Shares, each representing a 1/1,000th interest in a share of 5.000% Perpetual Preferred Stock, Series A|Operating company|B|N|N|N|Y|Y|Y|Y|Y|8|I|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN3-3|TXN5-8|TXN1-6|TXN1-6|48000000|||Quarterly|||||2019-12-18||||||| | | | | | | | | |||N|0|N|N|306A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||19.64|19.625|0.0|0.0|19.69|19.68|19.69|19.73|0.0|0.0|19.69|0.0|19.69|19.68|0.0|19.69|0.0|19.69|0.0|19.69|19.69|19.73|15.44|24.45|19.31|20.13|15.44|24.45|0.0|0.0|19.69|19.73|22.85|18.2|130103|27006100 65644|T PRC|TpC|00206R706|US00206R7061|AT&T Inc.|Depositary Shares, each representing a 1/1,000th interest in a share of 4.750% Perpetual Preferred Stock, Series C|Operating company|B|N|N|N|Y|Y|Y|Y|Y|8|I|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN4-8|TXN9-8|TXN2-6|TXN4-3|70000000|||Quarterly|||||2020-02-21||||||| | | | | | | | | |||N|0|N|N|306A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||18.7|18.89|0.0|18.77|18.76|18.81|18.79|18.8|0.0|0.0|18.86|18.86|18.77|19.26|18.73|18.76|0.0|18.77|18.77|18.76|18.77|18.85|14.74|23.05|18.45|19.18|14.74|23.05|0.0|0.0|18.77|18.85|21.53|17.02|179497|36108668 9417|TAC|TAC|89346D107|CA89346D1078|TransAlta Corporation|Common Shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-3|TXN4-5|TXN9-1|TXN4-1|TXN2-3|309870000|||Quarterly|||||2001-07-31||||||| | | | | | | | | |||N|0|N|Y|302A|CAN|CA|||65|6510|651010|65101015|Utilities|Utilities|Electricity|Conventional Electricity|N||N||||||Y|0|Y||Y|2|||8.17|8.17|0.0|0.0|8.16|8.165|8.17|8.155|0.0|0.0|8.16|8.16|8.16|8.16|8.16|8.16|8.155|8.17|8.16|8.16|8.16|8.17|6.31|10.03|8.15|8.18|8.13|8.19|8.16|8.18|8.16|8.17|10.4|7.22|409709|89752313 73739|TACK|TACK|14064D550|US14064D5501|Capitol Series Trust|Fairlead Tactical Sector ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Ultimus Fund Solutions (Cary Street Partners)|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-5|TXN1-7|TXN1-5|TXN3-1|TXN2-4|8590000|||Quarterly|||||2022-03-23||TACK.NV|TACK.SO|TACK.EU|TACK.TC| | | | | | | | | | |1x|The Fund is a diversified actively-managed exchange-traded fund (ETF) that under normal circumstances will invest more than 80% of the Funds net assets in other passive domestic equity sector ETFs and ETFs investing respectively in gold and U.S. Treasuries. The Funds principal investment strategy will employ a systematic approach to technical analysis focused on the identification of important trends.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||24.0|0.0|0.0|0.0|0.0|23.93|23.95|23.935|0.0|0.0|23.93|0.0|23.95|0.0|0.0|23.94|0.0|23.92|23.92|23.92|23.69|24.18|23.88|23.91|23.92|23.95|23.92|23.95|0.0|0.0|23.92|23.95|24.91|22.23|24005|11729113 3929|TACT|TACT|892918103|US8929181035|TransAct Technologies Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN5-1|TXN10-7|TXN5-4|TXN5-3|9960000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101020|10102030|Technology|Technology|Technology Hardware and Equipment|Computer Hardware|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|6.74|6.75|6.73|0.0|0.0|0.0|6.72|0.0|6.72|6.76|0.0|0.0|0.0|6.8|0.0|6.72|6.52|6.99|0.0|0.0|6.57|6.8|0.0|0.0|0.0|0.0|6.71|6.79|9.44|4.92|20969|5184631 74609|TAFI|TAFI|00039J202|US00039J2024|AB Active ETFs, Inc.|AB Tax-Aware Short Duration Municipal ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||AllianceBernstein|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-3|TXN2-8|TXN6-8|TXN2-3|TXN1-8|11602000|||Monthly|||||2022-09-14||TAFI.NV|TAFI.SO|TAFI.EU|TAFI.TC|TAFI.IV| | | | | | | | | ||AB Tax-Aware Short Duration Municipal ETF is an actively-managed exchange-traded fund (ETF). Seeks to provide relative stability of principal and a moderate rate of after-tax return and income. Invests principally in a national portfolio of both municipal and taxable fixed-income securities. Under normal circumstances, at least 80% of its total assets in municipal securities that pay interest that is exempt from federal income tax. Will typically maintain a dollar-weighted average duration of less than three years.|N|0|N|N|416A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|1|||0.0|24.97|0.0|0.0|0.0|24.97|24.98|24.98|0.0|0.0|24.97|0.0|24.98|24.98|24.97|24.98|24.965|24.98|0.0|24.98|23.25|26.71|23.25|26.71|24.97|24.98|24.92|26.71|0.0|0.0|24.97|24.98|25.33|24.4137|105160|22873030 71829|TAGG|TAGG|87283Q602|US87283Q6026|T. Rowe Price Exchange-Traded Funds, Inc.|T. Rowe Price QM US Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||T. Rowe Price|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN2-7|TXN4-8|TXN4-5|TXN4-7|2475000|||Monthly|||||2021-09-29||TAGG.NV|TAGG.SO|TAGG.EU|TAGG.TC| | | | | | | | | | |1x|The T Rowe Price QM US Bond ETF seeks to provide a total return that exceeds the performance of the US investment grade bond market.|N|0|N|N|400A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|41.71|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|41.82|0.0|41.82|0.0|0.0|0.0|0.0|41.77|41.83|0.0|0.0|0.0|0.0|41.77|41.83|43.86|39.65|148246|1194363 39810|TAGS|TAGS|88166A706|US88166A7063|Teucrium Commodity Trust|Teucrium Agricultural Fund|Trust|ETV|N|N|P|Y|Y|Y|Y|Y||||||||Teucrium|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-4|TXN1-1|TXN9-8|TXN1-4|TXN3-1|637502|||NotApplicable|||||2012-03-28||TAGS.NV|TAGS.SO|TAGS.EU|TAGS.TC|TAGS.IV| | | | | | | | | |1x|The investment objective of the Fund is to have the daily changes in percentage terms of the Shares NAV reflect the daily changes in percentage terms of a weighted average (the Underlying Fund Average) of the NAVs per share of four other commodity pools that are series of the Trust and are sponsored by the Sponsor: the Teucrium Corn Fund, the Teucrium Wheat Fund, the Teucrium Soybean Fund and the Teucrium Sugar Fund (collectively, the Underlying Funds). The Fund seeks to achieve its investment objective by investing under normal market conditions in the publicly-traded shares of each Underlying Fund so that the Underlying Fund Average will have a weighting of 25% to each Underlying Fund, and the Funds assets will be rebalanced, generally on a daily basis, to maintain the approximate 25% allocation to each Underlying Fund.|N|0|N|N|416A|USA|US|COMMODITIES_AND_FUTURES|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||30.57|0.0|0.0|0.0|0.0|31.0|30.8|30.65|0.0|0.0|31.05|31.0|0.0|31.07|0.0|0.0|0.0|30.89|0.0|30.89|28.82|33.13|30.79|30.98|30.78|30.99|30.79|30.98|30.79|30.98|30.79|30.98|33.975|29.22|3884|1175410 56983|TAIL|TAIL|132061862|US1320618622|CAMBRIA TAIL RISK ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-2|TXN4-8|TXN3-8|TXN2-2|TXN1-3|8850000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||12.74|12.74|0.0|0.0|12.74|12.73|12.7201|12.745|0.0|0.0|12.74|0.0|12.735|12.74|12.75|12.72|12.74|12.74|12.74|12.74|0.0|0.0|12.73|12.77|12.7|12.77|12.71|12.84|12.7|12.84|12.7|12.77|15.9|12.52|67006|33410839 3933|TAIT|TAIT|874028103|US8740281030|Taitron Components Inc|CL A COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN5-2|TXN10-2|TXN6-7|TXN5-5|5260000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502020|50202010|Industrials|Industrial Goods and Services|Electronic and Electrical Equipment|Electrical Components |N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|3.4|3.405|0.0|0.0|0.0|0.0|0.0|3.39|3.402|0.0|0.0|0.0|3.405|0.0|3.405|0.0|0.0|0.0|0.0|3.23|3.53|0.0|0.0|0.0|0.0|3.39|3.43|4.32|3.31|11087|2719897 62717|TAK|TAK|874060205|US8740602052|Takeda Pharmaceutical Company Limited|American Depositary Shares (each representing 1/2 of a share of Common Stock)|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|6|T|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-4|TXN1-8|TXN2-5|TXN4-1|TXN4-2|1582390000|||Adhoc|||||2018-12-24||||||| | | | | | | | | |||N|0|N|Y|140A|JPN|JP|||20|2010|201030|20103015|Health Care |Health Care |Pharmaceuticals and Biotechnology|Pharmaceuticals |N||N||||||Y|0|Y||Y|2|||14.09|14.09|0.0|14.06|14.09|14.095|14.1|14.09|0.0|0.0|14.09|14.09|14.09|14.1|14.085|14.1|14.09|14.09|14.095|14.1|14.09|14.1|10.85|17.17|14.09|14.1|14.06|14.13|14.08|14.13|14.09|14.1|17.15|13.19|2486966|518157165 35891|TAL|TAL|874080104|US8740801043|TAL Education Group|American Depositary Shares (each representing 0.3333 of a share of Class A Common Shares)|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-5|TXN1-7|TXN9-4|TXN1-5|TXN1-2|163670000|||Adhoc|||||2010-10-20||||||| | | | | | | | | |||N|0|N|Y|180B|CHN|KY|||40|4020|402010|40201010|Consumer Discretionary|Consumer Products and Services|Consumer Services |Education Services|N||N||||||Y|0|Y||Y|2|||11.58|11.57|0.0|11.57|11.58|11.57|11.57|11.575|0.0|0.0|11.57|11.555|11.575|11.56|11.555|11.57|11.555|11.58|11.56|11.57|11.57|11.58|9.13|14.29|11.57|11.58|10.95|11.63|11.51|11.62|11.57|11.58|12.705|5.085|9521999|1701495707 67094|TALK|TALK|87427V103|US87427V1035|Talkspace Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN5-8|TXN13-8|TXN6-5|TXN5-7|167100000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201010|20101025|Health Care |Health Care |Health Care Providers|Health Care Services|N||N||||||Y|0|Y||||||2.24|2.25|0.0|0.0|2.24|2.25|2.25|2.25|0.0|0.0|2.25|2.25|2.26|2.25|2.25|2.25|2.24|2.24|2.25|2.26|2.22|2.27|1.72|2.71|2.22|2.27|2.22|2.27|2.23|2.26|2.24|2.25|2.369|0.53|1306272|142869049 67095|TALKW|TALKW|87427V111|US87427V1118|Talkspace Inc|WT EXP 062125||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-1|TXN6-5|TXN14-6|TXN5-7|TXN5-4|167070000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y|C|||||0.0|0.1026|0.0|0.0|0.0|0.103|0.1181|0.0|0.0|0.0|0.0|0.103|0.1177|0.0|0.0|0.1026|0.0|0.1027|0.0|0.1177|0.0|0.0|0.0|0.0|0.1|0.1079|0.0|0.0|0.0|0.0|0.1027|0.1079|0.1595|0.0144|27547|13194317 60977|TALO|TALO|87484T108|US87484T1088|Talos Energy Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-5|TXN1-7|TXN9-2|TXN2-8|TXN3-3|124080000|||NotApplicable|||||2018-05-10||||||| | | | | | | | | |||N|0|N|Y|134A|USA|US|||60|6010|601010|60101010|Energy|Energy|Oil, Gas and Coal|Oil: Crude Producers|N||N||||||Y|0|Y||Y|2|||13.3|13.295|0.0|13.26|13.29|13.295|13.29|13.28|0.0|0.0|13.3|13.29|13.3|13.29|13.32|13.29|13.31|13.295|13.29|13.29|13.29|13.3|10.2|16.37|13.27|13.32|13.26|13.32|13.25|13.33|13.29|13.3|21.51|10.69|1748273|406449530 27726|TAN|TAN|46138G706|US46138G7060|Invesco Exchange-Traded Fund Trust II|Invesco Solar ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Invesco|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-5|TXN3-7|TXN2-5|TXN2-8|TXN2-2|28408000|||Yearly|||||2018-05-21||TAN.NV|TAN.SO|TAN.EU|TAN.TC|TAN.IV| | | | | | | | | |1x|The Guggenheim Solar ETF seeks investment results that correspond generally to the performance, before the Funds fees and expenses, of an equity index called the MAC Global Solar Energy Index. The Index is designed to track companies within the following business segments of the solar energy industry: companies that produce solar power equipment and products for end-users, companies that produce fabrication products (such as the equipment used by solar cell and module producers to manufacture solar power equipment) or services (such as companies specializing in the solar cell manufacturing or the provision of consulting services to solar cell and module producers) for solar power equipment producers, companies that supply raw materials or components to solar power equipment producers or integrators; companies that derive a significant portion of their business (measured in the manner set forth below under Index Methodology section) from solar power system sales, distribution, installation, integration or financing; and companies that specialize in selling electricity derived from solar power.|N|0|N|N|406C|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|1|||47.74|47.73|0.0|47.93|47.74|47.74|47.74|47.76|0.0|0.0|47.74|47.76|47.73|47.62|47.7|47.73|47.73|47.74|47.57|47.74|47.48|48.05|44.84|50.97|47.67|47.72|47.34|48.7|47.35|49.5|47.67|47.72|83.968|40.55|3032425|190713723 49575|TANH|TANH|G8675X149|VGG8675X1490|Tantech Holdings Ltd|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN6-6|TXN10-3|TXN6-6|TXN6-2|3460000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||45|4520|452010|45201030|Consumer Staples |Personal Care, Drug and Grocery Stores |Personal Care, Drug and Grocery Stores |Nondurable Household Products|N||N||||||N|0|Y||||||2.43|0.0|0.0|0.0|0.0|2.44|2.44|0.0|0.0|0.0|0.0|0.0|2.39|0.0|0.0|0.0|0.0|2.44|0.0|2.39|2.26|2.57|1.81|2.98|2.21|2.5|1.85|2.96|0.0|0.0|2.39|2.45|7.97|0.829|2996|52555052 27667|TAOP|TAOP|G8675V127|VGG8675V1278|Taoping Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN5-5|TXN12-3|TXN6-1|TXN5-5|1970000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||10|1010|101010|10101010|Technology|Technology|Software and Computer Services|Computer Services|N||N||||||Y|0|Y||||||1.54|1.41|0.0|0.0|1.63|1.57|1.63|1.62|0.0|0.0|1.58|1.45|1.58|1.487|0.0|1.41|1.41|1.63|0.0|1.63|1.49|1.7|1.2|1.9|1.47|1.7|1.28|1.84|0.0|0.0|1.57|1.64|6.0|0.4606|150945|73646126 9421|TAP|TAP|60871R209|US60871R2094|Molson Coors Beverage 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(The)|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN5-7|TXN13-5|TXN5-1|TXN6-6|53660000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||||||40.0|40.0|0.0|40.33|40.0|39.99|40.0|39.98|0.0|0.0|39.98|39.99|39.99|39.791|39.94|39.98|40.32|39.98|40.0|39.99|39.57|40.36|30.97|49.41|39.61|40.34|39.91|40.07|39.87|40.09|39.99|40.0|41.52|25.1275|880722|83573646 61372|TBC|TBC|00206R409|US00206R4092|AT&T Inc.|5.625% Global Notes due 2067|Operating company|G|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN3-6|TXN7-8|TXN2-2|TXN2-1|33000000|||Quarterly|||||2018-08-08|2067-08-01|||||| | | | | | | | | |||N|0|N|N|306A||US|||||||||||N||N||||||N|0|Y||Y|2|||23.65|23.62|0.0|0.0|23.84|23.6|23.58|23.61|0.0|0.0|23.72|0.0|23.62|23.63|23.23|23.58|23.59|23.58|23.83|23.58|23.58|23.62|18.28|29.17|23.11|24.12|18.28|29.17|0.0|0.0|23.58|23.62|25.62|21.39|69509|12482172 70026|TBCP|TBCP|88605T100|US88605T1007|Thunder Bridge Capital Partners III Inc|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN5-8|TXN11-2|TXN5-4|TXN5-1|11960000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.25|0.0|0.0|0.0|0.0|10.27|0.0|0.0|0.0|0.0|10.25|0.0|10.25|0.0|0.0|0.0|0.0|9.63|10.96|0.0|0.0|0.0|0.0|10.25|10.28|10.55|9.6684|123|1222059 69079|TBCPU|TBCPU|88605T209|US88605T2096|Thunder Bridge Capital Partners III 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021528||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-1|TXN5-5|TXN12-4|TXN6-2|TXN6-5|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.05|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.035|0.05|0.2734|0.035|5|2236247 31362|TBF|TBF|74347X849|US74347X8496|ProShares Trust|ProShares Short 20+ Year Treasury|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ProShares Advisors |Pundion LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-3|TXN4-8|TXN4-6|TXN1-7|TXN2-4|6850000|||Quarterly|||||2009-08-20||TBF.NV|TBF.SO|TBF.EU|TBF.TC|TBF.IV| | | | | | | | | |-1x|ProShares Short 20 Year Treasury seeks daily investment results, before fees and expenses and interest income earned on cash and financial instruments, that correspond to the inverse (opposite) of the daily performance of the Barclays Capital 20 Year U.S. Treasury Index. This ETF seeks a return of -100% of the return of an index (target) for a single day. Due to the compounding of daily returns, returns over periods other than one day will likely differ in amount and possibly direction from the target return for the same period. Investors should monitor their ProShares holdings consistent with their strategies, as frequently as daily. For more on correlation, leverage and other risks, please read the prospectus. The Barclays Capital 20 Year U.S. Treasury Index includes all publicly issued, U.S. Treasury securities that have a remaining maturity greater than 20 years, are non-convertible, are denominated in U.S. dollars, are rated investment grade (at least Baa3 by Moodys Investors Service or BBB- by S&P), are fixed rate, and have more than $250 million par outstanding. The Index is weighted by the relative market value of all securities meeting the Index criteria. 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The Fund seeks to achieve its investment objective by investing in equity securities of small-, mid- and large- capitalization companies that the Sub-Adviser believes have the potential to grow their dividends over time. The Fund will invest primarily in companies that have operations and/or domiciled in the U.S. and that trade on U.S. stock exchanges. 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Agencies|N||N||||||Y|0|Y||Y|2|||15.09|15.13|0.0|14.54|15.08|15.13|15.1|15.09|0.0|0.0|15.1|15.12|15.1|15.09|15.01|15.1|15.13|15.1|15.11|15.1|15.1|15.11|11.54|18.52|15.08|15.24|15.09|15.13|15.06|15.14|15.1|15.11|21.21|10.15|487812|55786261 74381|TBIL|TBIL|74933W452|US74933W4520|Us Treasury 3 Month Bill ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN6-7|TXN11-5|TXN6-4|TXN5-8|53900000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||49.87|49.87|0.0|0.0|49.88|49.875|49.8703|49.875|0.0|0.0|49.875|49.875|49.88|49.875|0.0|49.875|49.875|49.87|49.87|49.88|49.87|49.89|49.87|49.88|49.87|49.88|49.87|49.89|49.87|49.88|49.87|49.88|50.1|49.83|1581087|136168672 70917|TBIO|TBIO|192003101|US1920031010|Telesis Bio Inc|COM USD.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-2|TXN5-4|TXN13-1|TXN5-1|TXN6-1|29980000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||0.4273|0.4278|0.0|0.0|0.4273|0.4278|0.4283|0.4242|0.0|0.0|0.4278|0.4278|0.4252|0.0|0.0|0.43|0.0|0.4299|0.0|0.4252|0.3273|0.498|0.3375|0.498|0.3968|0.458|0.3375|0.498|0.0|0.0|0.4205|0.43|3.32|0.3|102206|34286165 67276|TBJL|TBJL|45782C235|US45782C2355|Innovator 20 Year Treasury Bond 9 Buffer ETF July|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-7|TXN1-5|TXN4-8|TXN1-2|TXN3-4|4300000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|19.3081|0.0|0.0|0.0|0.0|19.2709|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|19.3081|0.0|19.3081|18.93|20.75|0.0|0.0|19.15|19.43|18.02|20.75|0.0|0.0|19.26|19.32|20.97|17.54|7057|5841757 67980|TBLA|TBLA|M8744T106|IL0011754137|Taboola.com Ltd|ORD SHS||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN5-5|TXN10-4|TXN6-4|TXN5-8|298240000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101010|10101020|Technology|Technology|Software and Computer Services|Consumer Digital Services |N||N||||||Y|0|Y||||||3.57|3.58|0.0|3.64|3.57|3.575|3.57|3.585|0.0|0.0|3.585|3.58|3.57|3.58|3.585|3.58|3.58|3.57|3.58|3.57|3.55|3.62|3.54|3.61|3.55|3.62|3.55|3.61|3.55|3.61|3.57|3.59|4.45|2.16|1400840|267461452 67981|TBLAW|TBLAW|M8744T114|IL0011754210|Taboola.com Ltd|WT EXP 062926||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-5|TXN6-5|TXN10-4|TXN6-3|TXN6-7|345890000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y|D|||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.2849|0.3671|0.0|0.0|0.0|0.0|0.3051|0.3443|1.0|0.2865|14|3593538 71262|TBLD|TBLD|885213108|US8852131080|Thornburg Income Builder Opportunities Trust|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN5-2|TXN13-3|TXN5-3|TXN6-5|32080000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||||||0.0|15.25|0.0|15.25|15.24|15.25|15.23|15.25|0.0|0.0|15.25|0.0|15.26|0.0|15.27|15.27|0.0|15.28|0.0|15.26|11.83|18.34|11.83|18.97|15.25|16.29|15.2|15.31|15.23|15.3|15.25|15.28|15.95|13.44|86951|14584210 56493|TBLL|TBLL|46138G888|US46138G8886|Invesco Exchange-Traded Fund Trust II|Invesco Short Term Treasury ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Invesco|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-6|TXN4-8|TXN3-8|TXN1-6|TXN4-1|14670001|||Monthly|||||2017-01-12||CLTL.NV|CLTL.SO|CLTL.EU|CLTL.TC|CLTL.IV| | | | | | | | | |1x|The PowerShares Treasury Collateral Portfolio (the Fund) seeks investment results that generally correspond (before fees and expenses) to the price and yield of the ICE U.S. Treasury Short Bond Index (the Underlying Index). The Underlying Index is designed to measure the performance of U.S. Treasury Obligations with a maximum remaining maturity of 12 months. U.S. Treasury Obligations refer to securities issued or guaranteed by the U.S. Treasury where the payment of principal and interest is backed by the full faith and credit of the U.S. government. They include U.S. Treasury notes, U.S. Treasury bills and U.S. Treasury floating rate bonds.|N|0|N|N|406C|USA|US|FIXED_INCOME|INDEX|||||||||N||N||||||N|0|Y||Y|1|||105.615|105.615|0.0|105.61|105.615|105.615|105.62|105.615|0.0|0.0|105.61|105.61|105.615|105.615|105.61|105.615|0.0|105.62|0.0|105.62|105.61|105.64|81.85|129.44|105.61|105.63|105.61|105.64|0.0|0.0|105.6|105.63|106.21|105.27|274703|7977623 62516|TBLT|TBLT|89157G884|US89157G8841|Toughbuilt Industries Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-6|TXN6-6|TXN12-5|TXN6-8|TXN5-5|36920000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502040|50204040|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Tools|N||N||||||N|0|Y||||||0.178|0.1755|0.0|0.0|0.1778|0.1784|0.1778|0.175|0.0|0.0|0.1777|0.1717|0.1776|0.0|0.0|0.0|0.0|0.1784|0.1755|0.1776|0.1672|0.1859|0.142|0.2146|0.1701|0.1799|0.1672|0.1859|0.0|0.0|0.1775|0.1789|2.36|0.14|188389|159048821 75705|TBMC|TBMC|89278D109|US89278D1090|Trailblazer Merger Corp I|CL A COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN5-7|TXN14-7|TXN6-7|TXN5-3|9020000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|10.41|0.0|0.0|10.41|10.41|10.41|10.41|0.0|0.0|0.0|0.0|10.41|0.0|0.0|0.0|0.0|10.41|0.0|10.41|0.0|0.0|0.0|0.0|9.71|10.7|0.0|0.0|0.0|0.0|10.4|10.41|10.43|10.08|77900|3847927 75706|TBMCR|TBMCR|89278D125||Trailblazer Merger Corporation I Rights|||D|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-1|TXN6-8|TXN11-4|TXN5-8|TXN6-1|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||50|5020|502040|50204000|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Industrial|N||N||||||N|0|Y|D|||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0808|0.228|0.0808|0.228|0.0808|0.228|0.0808|0.228|0.0|0.0|0.101|0.19|0.44|0.091011|0|2894815 31204|TBNK|TBNK|88145X108|US88145X1081|Territorial Bancorp Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN6-7|TXN14-5|TXN5-7|TXN6-6|8830000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|8.2|0.0|0.0|0.0|0.0|0.0|8.2|0.0|0.0|0.0|0.0|8.2|0.0|8.2|7.97|8.45|0.0|0.0|8.08|8.41|0.0|0.0|0.0|0.0|8.2|8.28|25.5|6.85|6427|6324982 44234|TBPH|TBPH|G8807B106|KYG8807B1068|Theravance Biopharma Inc|COM USD.00001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN6-2|TXN11-1|TXN5-1|TXN5-3|49800000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CYM||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||10.77|10.77|0.0|10.66|10.77|10.75|10.77|10.765|0.0|0.0|10.77|10.77|10.76|10.69|10.73|10.765|10.71|10.775|10.65|10.76|10.66|10.87|8.27|13.19|10.68|10.8|10.76|10.8|10.76|10.8|10.77|10.78|12.03|8.25|491154|110899068 27834|TBT|TBT|74347B201|US74347B2016|ProShares Trust|ProShares UltraShort 20+ Year Treasury|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ProShares Advisors |IMC Chicago, LLC, DBA IMC Financial Markets|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN4-6|TXN2-4|TXN1-5|TXN4-7|12906929|||Quarterly|||||2008-11-12||TBT.NV|TBT.SO|TBT.EU|TBT.TC|TBT.IV| | | | | | | | | |-2x|ProShares UltraShort 20 Year Treasury seeks daily investment results, before fees and expenses and interest income earned on cash and financial instruments, that correspond to twice (200%) the inverse (opposite) of the daily performance of the Barclays Capital 20 Year U.S. Treasury Index. This ETF seeks a return of -200% of the return of an index (target) for a single day. Due to the compounding of daily returns, returns over periods other than one day will likely differ in amount and possibly direction from the target return for the same period. Investors should monitor their ProShares holdings consistent with their strategies, as frequently as daily. For more on correlation, leverage and other risks, please read the prospectus. The Barclays Capital 20 Year U.S. Treasury Index includes all publicly issued, U.S. Treasury securities that have a remaining maturity greater than 20 years, are non-convertible, are denominated in U.S. dollars, are rated investment grade (at least Baa3 by Moodys Investors Service or BBB- by S&P), are fixed rate, and have more than $250 million par outstanding. The Index is weighted by the relative market value of all securities meeting the Index criteria. Excluded from the Index are certain special issues, such as flower bonds, targeted investor notes (TINs), U.S. Treasury inflation protected securities (TIPs), state and local government series bonds (SLGs), and coupon issues that have been stripped from assets already included.|N|0|N|N|416A|USA|US|FIXED_INCOME|INVERSE|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||35.24|35.25|0.0|35.44|35.28|35.24|35.29|35.23|0.0|0.0|35.28|35.24|35.24|35.36|35.22|35.24|35.28|35.27|35.37|35.27|34.66|35.27|34.66|35.88|35.24|35.27|34.66|35.88|35.19|35.35|35.24|35.27|44.96|26.57|1815413|667579294 71831|TBUX|TBUX|87283Q701|US87283Q7016|T. Rowe Price Exchange-Traded Funds, Inc.|T. Rowe Price Ultra Short-Term Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||T. Rowe Price|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-6|TXN4-4|TXN2-8|TXN2-1|TXN4-2|2300000|||Monthly|||||2021-09-29||TBUX.NV|TBUX.SO|TBUX.EU|TBUX.TC| | | | | | | | | | |1x|The fund seeks a high level of income consistent with low volatility of principal value.|N|0|N|N|400A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|49.09|48.9615|0.0|0.0|0.0|0.0|49.09|0.0|0.0|0.0|0.0|49.09|0.0|49.09|0.0|0.0|0.0|0.0|49.08|49.1|0.0|0.0|0.0|0.0|49.08|49.1|49.33|48.385|3889|1626919 37662|TBX|TBX|74348A608|US74348A6082|ProShares Trust|ProShares Short 7-10 Year Treasury|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ProShares Advisors |IMC Chicago, LLC, DBA IMC Financial Markets|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-2|TXN2-1|TXN4-4|TXN2-3|TXN4-4|975000|||Quarterly|||||2011-04-05||TBX.NV|TBX.SO|TBX.EU|TBX.TC|TBX.IV| | | | | | | | | |-1x|ProShares Short 7-10 Year Treasury seeks daily investment results, before fees and expenses, that correspond to the inverse (-1x) of the daily performance of the Barclays U.S. 7-10 Year Treasury Bond Index.The Index includes all publicly issued, U.S. Treasury securities that have a remaining maturity of between 7 and 10 years, are non-convertible, are denominated in U.S. dollars, are rated investment grade (at least Baa3 by Moodys Investors Service, Inc.or BBB- by Standard and Poors Financial Services, LLC, are fixedrate, and havemore than $250million par outstanding. The Indexis weighted by the relative market value of all securities meetingthe Index criteria. Excluded from the Index are certain specialissues, such as flower bonds, targeted investor notes (TINs), U.S.Treasury inflation-protected securities (TIPs), state and localgovernment bonds (SLGs), and coupon issues that have beenstripped from assets already included. The Index is publishedunder theBloomberg ticker symbol LT09TRUU.|N|0|N|N|416A|USA|US|FIXED_INCOME|INVERSE|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||0.0|0.0|0.0|0.0|0.0|30.05|30.025|30.07|0.0|0.0|30.02|0.0|30.03|0.0|30.03|0.0|0.0|30.03|0.0|30.03|30.02|30.03|29.98|30.07|30.02|30.03|30.01|30.04|29.98|30.06|30.02|30.03|31.51|27.39|48729|19062212 62418|TC|TC|89856T203|US89856T2033|Tuanche Co Ltd|ADR||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-5|TXN6-5|TXN13-5|TXN5-6|TXN5-1|331140000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||40|4040|404010|40401030|Consumer Discretionary|Retail |Retailers |Specialty Retailers |N||N||||||N|0|Y||||||0.2651|0.0|0.0|0.0|0.2651|0.27|0.267|0.269|0.0|0.0|0.27|0.0|0.266|0.0|0.0|0.0|0.0|0.266|0.0|0.266|0.0|0.0|0.0|0.0|0.265|0.2879|0.0|0.0|0.0|0.0|0.266|0.27|1.08|0.25|25086|18209867 75885|TCAF|TCAF|87283Q867|US87283Q8675|T. Rowe Price Exchange-Traded Funds, Inc.|T. Rowe Price Capital Appreciation Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||T. Rowe Price|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-7|TXN4-5|TXN9-3|TXN3-6|TXN2-5|18950000|||Yearly|||||2023-06-15||TCAF.NV|TCAF.SO|TCAF.EU|TCAF.TC| | | | | | | | | | ||The fund seeks to provide long-term capital growth.|N|0|N|N|400A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|1|||26.54|26.58|0.0|0.0|26.59|26.59|26.59|26.58|0.0|0.0|26.59|26.57|26.58|26.52|26.59|26.56|26.51|26.6|26.57|26.6|26.53|26.81|24.75|28.22|26.53|26.58|26.53|28.22|26.01|27.1|26.53|26.58|26.72|23.95|357495|27539232 71208|TCBC|TCBC|87224V108|US87224V1089|TC Bancshares Inc|COM USD0.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN5-4|TXN13-7|TXN5-3|TXN5-3|4550000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|13.35|13.25|0.0|0.0|0.0|0.0|0.0|13.375|0.0|0.0|0.0|0.0|13.43|0.0|13.43|0.0|0.0|0.0|0.0|12.75|13.74|0.0|0.0|0.0|0.0|13.35|13.4|17.275|12.35|4799|1463567 3960|TCBI|TCBI|88224Q107|US88224Q1076|Texas Capital Bancshares Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN5-6|TXN12-6|TXN5-7|TXN6-2|48020000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||||||57.0|57.05|0.0|57.01|57.04|56.98|57.0|57.005|0.0|0.0|57.01|0.0|57.0|57.0|57.19|57.15|57.1|57.04|57.0|57.0|56.56|57.53|43.52|70.47|56.58|57.16|56.94|68.4|56.98|57.06|57.0|57.06|69.265|42.79|350917|113061640 69992|TCBIO|TCBIO|88224Q305|US88224Q3056|Texas Capital Bancshares Inc|5.75 DEP PFD B||B|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN6-3|TXN12-6|TXN6-8|TXN6-2|12000000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||18.51|0.0|0.0|0.0|0.0|18.65|18.515|18.72|0.0|0.0|18.75|0.0|18.53|0.0|0.0|18.75|18.7|18.51|18.75|18.51|0.0|18.89|0.0|0.0|18.13|19.13|0.0|0.0|0.0|0.0|18.5|18.75|23.5|12.0|31123|6833134 3961|TCBK|TCBK|896095106|US8960951064|TriCo Bancshares|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN6-8|TXN10-4|TXN6-7|TXN6-8|33270000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||||||37.25|37.12|0.0|37.11|37.23|37.08|37.27|37.255|0.0|0.0|37.23|37.03|37.28|37.035|37.04|37.24|37.17|37.2|36.91|37.28|36.86|37.62|28.17|45.32|36.87|37.58|37.05|37.45|37.2|37.5|37.2|37.29|53.29|28.66|234497|19782688 73434|TCBP|TCBP|87807D202|US87807D2027|TC BIOPHARM (HOLDINGS) PLC|ADR||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-2|TXN5-2|TXN14-3|TXN6-4|TXN6-3|9360000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||GBR||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y|C|||||0.3593|0.36|0.0|0.0|0.36|0.374|0.370081|0.3741|0.0|0.0|0.374|0.374|0.373|0.0|0.0|0.374|0.371|0.370081|0.0|0.373|0.296|0.4537|0.296|0.4537|0.37|0.385|0.296|0.4537|0.0|0.0|0.37|0.3781|9.61|0.32|763124|175505111 73435|TCBPW|TCBPW|87807D111|US87807D1110|TC BIOPHARM (HOLDINGS) PLC|WT EXP 020828||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-4|TXN5-3|TXN10-2|TXN6-8|TXN5-3|6590000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||GBR||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.047|0.047|0.0|0.0|0.0|0.0|0.047|0.0|0.047|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.042|0.047|0.3|0.0019|134|9611652 71158|TCBS|TCBS|88231Q108|US88231Q1085|Texas Community Bancshares Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN6-3|TXN10-8|TXN5-8|TXN6-5|3210000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|12.1|0.0|12.2744|12.09|0.0|0.0|0.0|0.0|12.17|0.0|0.0|0.0|0.0|12.06|0.0|12.06|0.0|0.0|0.0|0.0|11.58|13.21|0.0|0.0|0.0|0.0|12.1|12.7|15.84|9.38|3582|904590 72299|TCBX|TCBX|88422P109|US88422P1093|Third Coast Bancshares Inc|COM USD1||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN6-1|TXN10-7|TXN6-1|TXN6-1|13600000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||||||17.76|18.17|0.0|0.0|17.82|18.19|18.11|18.09|0.0|0.0|17.8|0.0|18.17|0.0|18.17|17.805|0.0|18.11|0.0|18.17|17.35|18.99|0.0|0.0|17.52|18.9|0.0|0.0|0.0|0.0|18.06|18.18|21.5|12.305|55022|6837471 73332|TCHI|TCHI|46436E429|US46436E4290|iShares MSCI China Multisector Tech ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN6-8|TXN14-6|TXN6-6|TXN6-3|400000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|17.24|0.0|0.0|0.0|17.3|0.0|17.2655|0.0|0.0|0.0|0.0|17.24|0.0|17.2655|13.85|20.85|0.0|0.0|17.23|17.3|13.85|21.19|0.0|0.0|17.23|17.3|22.2688|16.2815|968|264575 67141|TCHP|TCHP|87283Q107|US87283Q1076|T. Rowe Price Exchange-Traded Funds, Inc.|T. Rowe Price Blue Chip Growth ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||T. Rowe Price|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-7|TXN3-3|TXN4-8|TXN3-1|TXN3-5|15110000|||Yearly|||||2020-08-05||TCHP.NV|TCHP.SO|TCHP.EU|TCHP.TC|TCHP.IV| | | | | | | | | ||This fund seeks to provide long-term capital growth. Income is a secondary objective.|N|0|N|N|400A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|1|||29.56|29.62|0.0|0.0|29.61|29.56|29.6128|29.56|0.0|0.0|29.635|0.0|29.62|29.55|29.64|29.55|0.0|29.61|29.64|29.61|29.61|29.93|29.53|29.55|29.61|29.64|29.61|29.64|0.0|0.0|29.61|29.64|30.23|19.95|341239|19942889 9436|TCI|TCI|893617209|US8936172092|Transcontinental Realty Investors, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN2-6|TXN5-8|TXN3-8|TXN3-4|8640000|||NotApplicable|||||1986-09-10||||||| | | | | | | | | |||N|0|N|Y|412A|USA|US|||35|3510|351010|35101010|Real Estate|Real Estate |Real Estate Investment and Services Development|Real Estate Holding and Development |N||N||||||N|0|Y||Y|2|||32.88|33.35|0.0|29.92|32.91|31.25|33.0049|32.89|0.0|0.0|32.39|31.82|31.7|32.87|0.0|31.27|32.38|31.82|45.5|31.27|31.26|32.62|0.0|0.0|30.63|32.85|0.0|0.0|0.0|0.0|31.26|32.62|47.35|27.23|11104|1178317 75534|TCJH|TCJH|G8923U103|KYG8923U1031|Top KingWin Ltd|CL A ORD USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN5-8|TXN14-6|TXN6-4|TXN6-6|10960000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y|C|||||1.49|1.48|0.0|0.0|1.59|1.48|1.48|1.48|0.0|0.0|1.55|1.53|1.48|1.49|0.0|1.55|0.0|1.48|1.55|1.48|1.16|1.94|1.16|1.94|1.38|1.63|1.16|1.94|0.0|0.0|1.48|1.56|10.76|1.0|132622|58914919 53373|TCMD|TCMD|87357P100|US87357P1003|Tactile Systems Technology Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN6-7|TXN10-4|TXN6-1|TXN5-3|23500000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||Y|0|Y||||||13.71|13.62|0.0|13.62|13.7|13.67|13.67|13.7|0.0|0.0|13.71|13.61|13.68|13.705|13.71|13.61|13.58|13.67|13.58|13.68|13.55|13.87|10.48|16.75|13.56|13.84|13.64|13.74|13.65|13.75|13.67|13.68|26.11|9.28|565410|76179201 71958|TCN|TCN|89612W102|CA89612W1023|Tricon Residential Inc.|Common Shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-3|TXN2-1|TXN4-7|TXN2-1|TXN3-2|272990000|||Quarterly|||||2021-10-07||||||| | | | | | | | | |||N|0|N|Y|180B|CAN|CA|||35|3510|351010|35101010|Real Estate|Real Estate |Real Estate Investment and Services Development|Real Estate Holding and Development |N||N||||||Y|0|Y||Y|2|||8.12|8.11|0.0|8.11|8.12|8.11|8.115|8.115|0.0|0.0|8.115|8.115|8.11|8.11|8.1|8.11|8.11|8.115|8.11|8.11|8.11|8.12|6.22|10.0|8.11|8.12|8.09|8.14|8.08|8.12|8.11|8.12|9.56|6.525|1184016|231470575 73353|TCOA|TCOA|89301B104|US89301B1044|Zalatoris Acquisition Corp.|Class A Common Stock|Special purpose acquisition company|A|N|N|N|Y|Y|Y|Y|Y|6|O|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN1-4|TXN8-8|TXN4-5|TXN4-5|6360000|||NotApplicable|||||2022-01-31||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|2|Y||Y|2|||0.0|10.64|0.0|0.0|10.55|10.62|10.64|0.0|0.0|0.0|0.0|0.0|10.62|0.0|0.0|10.64|0.0|10.64|0.0|10.64|10.62|10.77|10.62|10.68|9.95|11.45|0.0|0.0|0.0|0.0|10.62|10.77|10.78|9.96|2103|18069091 73354|TCOA WS|TCOA.WS|89301B112|US89301B1127|Zalatoris Acquisition Corp.|Public warrants, each whole public warrant exercisable for one share of Class A Common Stock at an exercise price of $11.50 per share|Special purpose acquisition company|C|N|N|N|Y|Y|Y|Y|Y|6|O|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN7-8|TXN3-4|TXN9-8|TXN3-7|TXN3-1|0|||NotApplicable|||||2022-01-31||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||||||||||N||N||||||N|2|Y||N||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.032|0.06|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.032|0.06|0.4291|0.0101|0|1639897 72826|TCOA U|TCOA.U|89301B203|US89301B2034|Zalatoris Acquisition Corp.|Units, each consisting of one share of Class A common stock and one-half of one redeemable public warrant|Special purpose acquisition company|R|N|N|N|Y|Y|Y|Y|Y|6|O|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN3-7|TXN5-8|TXN3-5|TXN1-5|0|||NotApplicable|||||2021-12-10||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||||||||||N||N||||||N|2|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.55|10.88|0.0|0.0|10.51|10.91|8.48|13.04|0.0|0.0|10.62|10.88|10.84|9.89|0|93874 1037|TCOM|TCOM|89677Q107|US89677Q1076|Trip com Group Ltd|ADR||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN6-6|TXN13-1|TXN5-6|TXN6-1|669500000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||40|4050|405010|40501015|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Travel and Tourism|N||N||||||Y|0|Y||||||33.71|33.71|0.0|33.73|33.71|33.71|33.705|33.705|0.0|0.0|33.71|33.71|33.7|33.72|33.71|33.71|33.71|33.72|33.71|33.7|33.7|33.73|26.04|41.63|33.68|33.74|33.57|33.85|33.7|33.73|33.71|33.72|43.59|30.7|2573488|1055770225 49245|TCON|TCON|89237H209|US89237H2094|TRACON Pharmaceuticals Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-3|TXN6-3|TXN14-2|TXN6-3|TXN5-5|31140000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y|D|||||0.2001|0.2015|0.0|0.1925|0.2|0.201|0.2038|0.2001|0.0|0.0|0.2038|0.2038|0.203|0.1991|0.2002|0.2038|0.0|0.2038|0.1991|0.203|0.1892|0.2142|0.16|0.236|0.1882|0.204|0.16|0.236|0.0|0.0|0.2|0.2038|2.19|0.1255|1197321|315315837 39857|TCPC|TCPC|09259E108|US09259E1082|Blackrock TCP Capital Corp|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN5-1|TXN10-8|TXN6-4|TXN6-2|57770000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||Y|0|Y||||||11.95|11.95|0.0|11.96|11.97|11.955|11.95|11.96|0.0|0.0|11.95|11.95|11.95|11.97|11.96|11.955|11.94|11.97|0.0|11.95|11.95|11.97|9.27|14.9|11.95|11.97|11.93|11.99|11.92|12.0|11.95|11.97|13.52|9.6|331885|60409764 15643|TCRT|TCRT|98973P101|US98973P1012|Alaunos Therapeutics Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-3|TXN6-5|TXN14-8|TXN6-2|TXN6-3|240630000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||0.0651|0.0654|0.0|0.0|0.0666|0.0651|0.065|0.0651|0.0|0.0|0.0654|0.0667|0.066|0.065|0.0|0.067|0.0661|0.0667|0.0|0.066|0.0627|0.0701|0.0516|0.0794|0.064|0.0683|0.0627|0.0701|0.0|0.0|0.065|0.067|0.8596|0.0461|2055618|394653346 71181|TCRX|TCRX|89854M101|US89854M1018|TScan Therapeutics Inc|COM USD.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN5-3|TXN11-6|TXN6-7|TXN6-2|43550000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||6.0|6.11|0.0|6.12|6.06|6.15|6.11|6.125|0.0|0.0|6.06|6.35|6.12|6.06|6.15|6.08|6.04|6.06|6.07|6.12|5.74|6.38|4.73|7.49|5.82|6.32|5.98|7.49|6.06|6.13|6.06|6.13|7.15|1.45|172567|116696489 43014|TCS|TCS|210751103|US2107511030|The Container Store Group, Inc.|Common Stock, $0.01 par value per share|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|P|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN1-6|TXN5-8|TXN3-2|TXN1-8|51720000|||NotApplicable|||||2013-11-01||||||| | | | | | | | | |||N|0|N|Y|146F|USA|US|||40|4040|404010|40401030|Consumer Discretionary|Retail |Retailers |Specialty Retailers |N||N||||||Y|0|Y||Y|2|||2.12|2.14|0.0|0.0|2.12|2.13|2.135|2.13|0.0|0.0|2.13|2.13|2.13|2.11|2.1|2.13|2.14|2.135|2.14|2.13|2.13|2.14|1.65|2.48|2.12|2.15|2.1|2.16|2.09|2.17|2.13|2.14|5.8|1.5618|350029|104060406 9448|TCX|TCX|898697206|US8986972060|Tucows Inc|CL A COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN6-4|TXN11-8|TXN6-2|TXN6-7|10900000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CAN||||10|1010|101010|10101020|Technology|Technology|Software and Computer Services|Consumer Digital Services |N||N||||||Y|0|Y||||||22.89|22.8|0.0|0.0|22.83|0.0|22.85|22.8|0.0|0.0|22.73|0.0|22.8|22.74|0.0|22.76|22.8|22.8|0.0|22.8|22.3|23.23|17.6|28.0|22.63|22.98|17.88|27.58|22.64|23.02|22.69|22.8|38.0|15.65|27247|15412760 9450|TD|TD|891160509|CA8911605092|The Toronto-Dominion Bank|Common Shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-3|TXN3-5|TXN5-2|TXN3-6|TXN1-4|1791420000|||Quarterly|||||1996-08-30||||||| | | | | | | | | |||N|0|N|Y|402A|CAN|CA|||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||Y|2|||60.73|60.73|0.0|60.73|60.73|60.73|60.74|60.73|0.0|0.0|60.73|60.74|60.73|60.74|60.75|60.73|60.75|60.73|60.735|60.73|60.72|60.73|46.85|73.95|60.7|60.79|60.67|60.8|60.68|60.79|60.72|60.73|70.67|54.69|2909489|568869148 25577|TDC|TDC|88076W103|US88076W1036|Teradata Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-7|TXN4-7|TXN8-3|TXN1-4|TXN2-1|97800000|||NotApplicable|||||2007-09-12||||||| | | | | | | | | |||N|0|Y|Y|108B|USA|US|||10|1010|101010|10101010|Technology|Technology|Software and Computer Services|Computer Services|N||N||||||Y|0|Y||Y|1|||47.79|47.86|0.0|47.85|47.86|47.84|47.85|47.845|0.0|0.0|47.8|47.81|47.85|47.84|47.84|47.84|47.84|47.84|47.83|47.84|47.83|47.84|44.54|50.54|47.79|47.87|47.81|47.88|47.83|47.89|47.83|47.84|57.73|32.28|882106|209664785 71864|TDCX|TDCX|87190U100|US87190U1007|TDCX Inc.|American depositary shares, each representing one Class A ordinary share|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN4-4|TXN9-8|TXN4-2|TXN4-3|21420000|||NotApplicable|||||2021-10-01||||||| | | | | | | | | |||N|0|N|Y|108B|SGP|KY|||10|1010|101010|10101010|Technology|Technology|Software and Computer Services|Computer Services|N||N||||||Y|0|Y||Y|2|||5.05|5.02|0.0|5.05|5.04|5.0|5.015|5.01|0.0|0.0|5.07|5.05|5.02|0.0|0.0|5.02|5.095|5.02|0.0|5.02|5.0|5.02|3.97|6.18|4.69|5.35|4.98|5.05|4.97|5.06|5.0|5.02|15.38|4.35|35544|27426090 9452|TDF|TDF|88018T101|US88018T1016|Templeton Dragon Fund, Inc.|Common Stock|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN4-7|TXN6-8|TXN2-8|TXN1-8|33800000|||BiAnnually|||||1994-09-21||||||| | | | | | | | | |||N|0|N|N|406C|SGP|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||8.43|8.43|0.0|8.42|8.43|8.42|8.4287|8.435|0.0|0.0|8.44|8.44|8.43|8.43|0.0|8.42|8.43|8.42|0.0|8.42|8.42|8.43|6.51|10.51|8.42|8.44|8.39|8.46|8.4|8.45|8.42|8.43|12.49|7.82|114036|13159701 16221|TDG|TDG|893641100|US8936411003|TransDigm Group Incorporated|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|4|0.01|0.01|5000000|1|100|TXN7-7|TXN2-6|TXN7-8|TXN4-4|TXN4-2|55310000|||Adhoc|||||2006-03-15||||||| | | | | | | | | |||N|5|Y|Y|102B|USA|US|||50|5020|502010|50201010|Industrials|Industrial Goods and Services|Aerospace and Defense|Aerospace|N||N||||||Y|0|Y||Y|1|||964.68|967.33|0.0|962.36|958.66|966.25|966.97|967.785|0.0|0.0|965.55|967.69|967.61|961.61|957.71|967.38|979.05|966.97|961.18|967.38|966.98|967.38|896.09|1028.26|966.5|967.86|966.65|968.66|966.98|968.9|966.96|967.38|1013.08|599.42|168748|62895827 40556|TDIV|TDIV|33738R118|US33738R1187|First Trust Exchange Traded Fund VI First Trust NASDAQ Technology Dividend Index Fund|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN5-6|TXN12-7|TXN5-3|TXN6-3|34560000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|61.28|0.0|0.0|0.0|61.25|61.2871|0.0|0.0|0.0|61.18|0.0|61.3|0.0|0.0|0.0|0.0|61.28|0.0|61.3|61.16|61.41|61.16|61.41|61.28|61.31|61.16|61.41|61.17|61.41|61.28|61.3|61.54|46.66|78774|25258468 50243|TDOC|TDOC|87918A105|US87918A1051|Teladoc Health, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|11|Q|Virtu Americas LLC|NITC|295|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-4|TXN1-6|TXN5-1|TXN2-8|TXN2-3|165560000|||NotApplicable|||||2015-07-01||||||| | | | | | | | | |||N|0|Y|Y|122A|USA|US|||20|2010|201010|20101025|Health Care |Health Care |Health Care Providers|Health Care Services|N||N||||||Y|0|Y||Y|1|||19.04|19.04|0.0|19.03|19.04|19.03|19.035|19.03|0.0|0.0|19.03|19.03|19.03|19.02|19.025|19.03|19.03|19.035|19.02|19.03|19.03|19.04|17.83|20.18|19.03|19.05|19.0|19.06|18.99|19.07|19.03|19.04|34.36|15.02|4276164|1066790164 9459|TDS|TDS|879433829|US8794338298|Telephone and Data Systems, Inc.|Common Shares|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|O|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN4-1|TXN5-7|TXN1-3|TXN3-8|106000000|||Quarterly|||||2012-01-25||||||| | | | | | | | | |||N|0|N|Y|306A|USA|US|||15|1510|151020|15102015|Telecommunications|Telecommunications|Telecommunications Service Providers |Telecommunications Services|N||N||||||Y|0|Y||Y|2|||20.1|20.04|0.0|20.24|20.04|20.07|20.04|20.04|0.0|0.0|20.02|20.0|20.03|20.04|20.085|20.03|20.11|20.03|20.03|20.03|20.03|20.04|15.55|24.68|20.0|20.07|19.98|20.06|19.99|20.06|20.03|20.04|21.75|6.435|1364286|498846099 69551|TDS PRU|TDSpU|879433787|US8794337878|Telephone and Data Systems, Inc.|Depositary Shares, Each Representing a 1/1,000th Interest in a 6.625% Series UU Cumulative Redeemable Perpetual Preferred Stock|Operating company|B|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN4-2|TXN3-8|TXN4-7|TXN2-4|16800000|||Quarterly|||||2021-03-08||||||| | | | | | | | | |||N|0|N|N|306A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||15.93|15.79|0.0|0.0|14.85|15.88|15.87|15.89|0.0|0.0|15.85|15.89|15.87|15.56|0.0|15.9|0.0|15.9|15.89|15.9|15.85|15.91|12.06|19.47|15.84|16.25|12.06|19.47|0.0|0.0|15.85|15.91|20.34|10.1|83170|11573228 71475|TDS PRV|TDSpV|879433761|US8794337613|Telephone and Data Systems, Inc.|Depositary Shares, Each Representing a 1/1,000th Interest in a 6.000% Series VV Cumulative Redeemable Perpetual Preferred Stock|Operating company|B|N|N|N|Y|Y|Y|Y|Y|6|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN4-1|TXN6-8|TXN4-2|TXN3-6|27600000|||Quarterly|||||2021-08-19||||||| | | | | | | | | |||N|0|N|N|306A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||14.32|14.3|0.0|0.0|14.49|14.29|14.3|14.305|0.0|0.0|14.19|0.0|14.27|14.32|0.0|14.31|0.0|14.34|14.49|14.31|14.28|14.34|10.92|17.78|13.98|14.62|10.92|17.78|0.0|0.0|14.3|14.59|18.26|9.1899|189849|20833275 67527|TDSB|TDSB|30151E723|US30151E7233|Cabana Target Drawdown 7 ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN5-2|TXN14-3|TXN5-1|TXN6-7|4500000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|21.37|21.3738|0.0|0.0|0.0|0.0|0.0|21.37|0.0|0.0|0.0|0.0|21.37|0.0|21.37|0.0|0.0|0.0|0.0|21.26|21.5|0.0|0.0|0.0|0.0|21.37|21.39|22.37|20.63|6826|10455757 67528|TDSC|TDSC|30151E715|US30151E7159|Cabana Target Drawdown 10 ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN5-8|TXN14-3|TXN5-3|TXN6-3|13150000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||22.6|22.63|0.0|0.0|0.0|22.63|22.649|22.64|0.0|0.0|22.64|22.64|22.62|22.62|22.62|22.65|22.64|22.649|0.0|22.62|0.0|0.0|0.0|0.0|22.58|22.69|22.58|22.67|22.59|22.68|22.62|22.65|23.6|21.73|78798|32174267 67529|TDSD|TDSD|30151E699|US30151E6995|Cabana Target Drawdown 13 ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN6-3|TXN13-3|TXN5-5|TXN6-7|3150000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||22.16|0.0|0.0|0.0|0.0|0.0|22.1498|0.0|0.0|0.0|22.14|0.0|22.16|0.0|0.0|22.12|22.16|22.16|22.16|22.16|20.67|23.59|0.0|0.0|22.16|22.19|22.16|22.19|0.0|0.0|22.16|22.19|22.87|20.65|14596|8101425 67530|TDSE|TDSE|30151E681|US30151E6813|Cabana Target Drawdown 16 ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN6-3|TXN11-7|TXN5-2|TXN6-7|2150000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|22.45|0.0|0.0|0.0|22.45|22.43|0.0|0.0|0.0|0.0|0.0|22.4602|0.0|0.0|0.0|0.0|22.46|22.4|22.4602|22.24|22.7|0.0|0.0|22.44|22.49|22.44|22.49|0.0|0.0|22.44|22.49|23.62|21.5299|16436|5253234 38841|TDTF|TDTF|33939L605|US33939L6056|FlexShares Trust|FlexShares iBoxx 5-Year Target Duration TIPS Index Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Northern Trust Investments|Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-8|TXN1-5|TXN4-7|TXN3-7|TXN2-3|35650001|||Monthly|||||2011-09-22||TDTF.NV|TDTF.SO|TDTF.EU|TDTF.TC|TDTF.IV| | | | | | | | | |1x|The fund seeks to provide investment results that, before fees and expenses, correspond generally to the price and yield performance of the iBoxx 5-Year Target Duration TIPS Index (the Undlerying Index).The Underlying Index reflects the performance of a selection of inflation protected public obligations of the U.S. Treasury, commonly known as TIPS, with a targeted average duration of approximately five years. The Underlying Index includes publicly issued TIPS that have maturity dates of at least three years but not more than twenty years from an index rebalancing date. TIPS are securities issued by the U.S. Treasury that are designed to provide inflation protection to investors. TIPS principal and interest payments are linked to an official inflation measure (as measured by the Consumer Price Index, or CPI) and the payments are supported by the full faith and credit of the United States. In addition to tracking the performance of the Underlying Index, the Investment Adviser seeks to minimize portfolio turnover and tax inefficiencies. |N|0|N|N|416A|USA|US|FIXED_INCOME|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||23.145|23.155|0.0|0.0|23.16|23.155|23.16|23.145|0.0|0.0|23.155|23.165|23.165|23.14|23.14|23.155|23.165|23.155|23.14|23.155|23.15|23.16|21.66|24.7|23.15|23.16|23.15|23.17|0.0|0.0|23.15|23.17|24.63|22.53|215061|42960437 38840|TDTT|TDTT|33939L506|US33939L5066|FlexShares Trust|FlexShares iBoxx 3-Year Target Duration TIPS Index Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Northern Trust Investments|Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-1|TXN3-7|TXN8-8|TXN4-4|TXN3-4|81454000|||Monthly|||||2011-09-22||TDTT.NV|TDTT.SO|TDTT.EU|TDTT.TC|TDTT.IV| | | | | | | | | |1x|The fund seeks to provide investment results that, before fees and expenses, correspond generally to the price and yield performance of the iBoxx 3-Year Target Duration TIPS Index (the Undlerying Index). The Underlying Index reflects the performance of a selection of inflation protected public obligations of the U.S. Treasury, commonly known as TIPS, with a targeted average duration of approximately three years. The Underlying Index includes publicly issued TIPS that have maturity dates of at least one year but not more than ten years from an index rebalancing date. TIPS are securities issued by the U.S. Treasury that are designed to provide inflation protection to investors. TIPS principal and interest payments are linked to an official inflation measure (as measured by the Consumer Price Index, or CPI) and the payments are supported by the full faith and credit of the United States. In addition to tracking the performance of the Underlying Index, the Investment Adviser seeks to minimize portfolio turnover and tax inefficiencies.|N|0|N|N|416A|USA|US|FIXED_INCOME|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||23.34|23.345|0.0|0.0|23.34|23.34|23.341|23.33|0.0|0.0|23.34|23.33|23.34|23.34|0.0|23.34|23.34|23.345|23.32|23.345|23.34|23.35|21.82|24.88|23.34|23.35|23.33|23.35|22.92|23.88|23.34|23.35|24.24|22.955|677394|106102211 69983|TDUP|TDUP|88556E102|US88556E1029|ThredUp Inc|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN5-2|TXN12-2|TXN5-6|TXN6-6|77290000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4040|404010|40401020|Consumer Discretionary|Retail |Retailers |Apparel Retailers|N||N||||||Y|0|Y||||||2.34|2.335|0.0|2.37|2.33|2.335|2.335|2.33|0.0|0.0|2.33|2.33|2.34|2.34|2.33|2.335|2.35|2.335|2.34|2.34|2.32|2.35|1.83|2.89|2.32|2.35|2.31|2.37|2.33|2.37|2.33|2.35|4.39|1.07|1137909|228832410 64972|TDV|TDV|74347G606|US74347G6061|ProShares S&P Technology Dividend Aristocrats ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-7|TXN2-5|TXN5-8|TXN2-8|TXN4-1|3820001|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||66.05|66.2607|0.0|0.0|66.05|66.06|66.0601|65.42|0.0|0.0|66.06|0.0|65.95|66.07|0.0|0.0|0.0|66.2607|0.0|66.2607|66.11|66.38|0.0|0.0|66.21|66.28|0.0|0.0|0.0|0.0|66.23|66.28|68.0599|54.0593|9486|5913134 67142|TDVG|TDVG|87283Q404|US87283Q4047|T. Rowe Price Exchange-Traded Funds, Inc.|T. Rowe Price Dividend Growth ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||T. Rowe Price|RBC Capital Markets, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-3|TXN3-7|TXN3-8|TXN2-1|TXN1-2|9840000|||Quarterly|||||2020-08-05||TDVG.NV|TDVG.SO|TDVG.EU|TDVG.TC|TDVG.IV| | | | | | | | | ||This fund seeks a high level of dividend income and long-term capital growth. |N|0|N|N|400A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||34.28|34.25|0.0|0.0|34.28|34.27|34.2627|34.235|0.0|0.0|34.22|0.0|34.22|34.24|34.25|0.0|34.25|34.28|0.0|34.28|34.24|34.33|34.25|34.33|34.24|34.28|0.0|0.0|0.0|0.0|34.24|34.28|34.47|30.356|47191|12887008 76128|TDVI|TDVI|33738D812|US33738D8121|FT Cboe Vest Technology Dividend Target Income ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-3|TXN1-1|TXN1-5|TXN1-4|TXN4-7|150000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|20.4443|0.0|0.0|0.0|0.0|20.3881|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|20.4443|0.0|20.4443|0.0|0.0|20.35|20.41|20.41|20.47|20.18|20.47|0.0|0.0|20.41|20.84|20.64|18.27|2799|256150 9461|TDW|TDW|88642R109|US88642R1095|Tidewater Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-7|TXN3-7|TXN4-7|TXN1-3|TXN1-1|52840000|||NotApplicable|||||2017-08-01||||||| | | | | | | | | |||N|0|N|Y|134F|USA|US|||60|6010|601010|60101030|Energy|Energy|Oil, Gas and Coal|Oil Equipment and Services|N||N||||||Y|0|Y||Y|2|||60.57|60.49|0.0|60.49|60.57|60.55|60.4775|60.56|0.0|0.0|60.46|60.82|60.46|60.57|60.55|60.54|60.55|60.54|60.45|60.54|60.53|60.54|47.16|75.53|60.23|60.64|60.4|60.61|60.49|60.64|60.53|60.54|73.55|28.59|678542|188769909 62378|TDW WS|TDW.WS|88642R174||Tidewater Inc.|Warrants to purchase common stock (expiring 11/14/2024)|Operating company|C|N|N|A|Y|Y|Y|Y|Y|||J. Streicher & Co. L.L.C.|JSCO|3856|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-3|TXN3-8|TXN3-8|TXN2-3|TXN2-7|0|||Monthly|||||2018-11-16|2024-11-14|||||| | | | | | | | | |||N|0|N|N|134F||US|||50|5020|502040|50204000|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Industrial|N||N||||||N|0|Y||N||||0.0|0.0|0.0|0.0|0.0|0.0|3.69|3.42|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|3.69|3.69|0.0|3.69|0.0|0.0|3.38|3.57|3.12|7.5|0.0|0.0|0.0|0.0|3.38|3.57|7.79|1.65|350|688907 9462|TDY|TDY|879360105|US8793601050|Teledyne Technologies Incorporated|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN3-1|TXN2-8|TXN3-1|TXN3-5|47190000|||NotApplicable|||||1999-11-23||||||| | | | | | | | | |||N|5|Y|Y|102B|USA|US|||50|5020|502020|50202020|Industrials|Industrial Goods and Services|Electronic and Electrical Equipment|Electronic Equipment: Control and Filter|N||N||||||Y|0|Y||Y|1|||407.28|409.71|0.0|409.43|409.38|409.52|409.59|409.5|0.0|0.0|409.55|408.8|409.51|409.31|409.79|409.58|409.51|409.53|408.53|409.58|409.53|409.6|381.1|434.72|409.32|409.77|409.12|410.06|409.04|410.25|409.53|409.6|448.71|364.98|230772|55833447 63310|TEAF|TEAF|27901F109|US27901F1093|Ecofin Sustainable and Social Impact Term Fund|Common shares of beneficial interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN3-7|TXN6-8|TXN3-7|TXN2-5|13490000|||Monthly|||||2019-03-27||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||11.99|0.0|0.0|0.0|11.81|11.82|11.81|0.0|0.0|0.0|11.81|11.82|11.82|11.8|0.0|11.81|11.81|11.81|11.98|11.81|11.81|11.86|9.23|14.76|11.81|11.85|11.3|11.92|0.0|0.0|11.81|11.85|13.94|11.11|59292|7313902 52135|TEAM|TEAM|049468101|US0494681010|Atlassian Corp|CL A ORD USD.1||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN5-7|TXN12-4|TXN6-1|TXN6-8|155010000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||AUS||||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||||||194.35|194.39|0.0|194.3|194.36|194.36|194.35|194.35|0.0|0.0|194.34|194.41|194.43|194.32|194.39|194.44|194.46|194.32|194.48|194.43|194.16|194.54|181.13|205.81|194.14|194.63|194.08|194.67|194.32|194.48|194.32|194.44|215.77|116.4|1660567|433424208 65332|TECB|TECB|46436E502|US46436E5024|iShares Trust|iShares U.S. Tech Breakthrough Multisector ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Latour Trading, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-8|TXN3-3|TXN4-1|TXN4-6|TXN4-7|7750000|||Quarterly|||||2020-01-10||TECB.NV|TECB.SO|TECB.EU|TECB.TC|TECB.IV| | | | | | | | | |1x|The iShares U.S. Tech Breakthrough Multisector ETF (the Fund) seeks to track theinvestment results of an index composed of U.S. companies that could benefit fromvarious breakthrough technologies, including robotics and artificial intelligence, cloudand data tech, cybersecurity, genomics and immunology, and financial technology.|N|0|N|N|412C|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||40.26|40.71|0.0|0.0|0.0|40.22|40.375|40.78|0.0|0.0|40.22|0.0|40.26|40.01|40.22|40.22|0.0|40.3578|0.0|40.3578|40.34|40.45|0.0|0.0|40.34|40.36|32.44|48.66|0.0|0.0|40.34|40.36|40.78|26.58|20287|9430065 3973|TECH|TECH|09073M104|US09073M1045|Bio-Techne Corp|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN5-6|TXN14-8|TXN5-1|TXN6-4|158150000|||NotApplicable|||||||||||| | | | | | | | | |||N|5|Y|N||USA||||20|2010|201020|20102015|Health Care |Health Care |Medical Equipment and Services|Medical Supplies|N||N||||||Y|0|Y||||||65.31|65.31|0.0|65.51|65.33|65.31|65.3|65.27|0.0|0.0|65.28|65.3|65.3|65.26|65.31|65.31|65.26|65.27|65.31|65.3|65.24|65.35|61.27|69.57|65.23|65.33|65.23|65.39|0.0|0.0|65.27|65.3|89.91|51.79|1076441|235885833 16766|TECK|TECK|878742204|CA8787422044|Teck Resources Limited|Class B Subordinate Voting Shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-6|TXN3-2|TXN6-1|TXN3-3|TXN3-3|511920000|||Quarterly|||||2006-06-29||||||| | | | | | | | | |||N|0|N|Y|130E|CAN|CA|||55|5510|551020|55102000|Basic Materials|Basic Resources|Industrial Metals and Mining|General Mining|N||N||||||Y|0|Y||Y|2|||37.42|37.41|0.0|37.44|37.42|37.42|37.415|37.43|0.0|0.0|37.42|37.425|37.42|37.42|37.48|37.42|37.42|37.42|37.43|37.42|37.42|37.43|29.45|45.97|37.41|37.46|37.37|37.48|37.42|37.49|37.42|37.43|49.34|32.48|2992088|945286693 29711|TECL|TECL|25459W102|US25459W1027|Direxion Shares ETF Trust|Direxion Daily Technology Bull 3X Shares|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Direxion Shares|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-6|TXN1-4|TXN5-2|TXN3-6|TXN3-7|45550000|||Quarterly|||||2008-12-17||TYH.NV|TYH.SO|TYH.EU|TYH.TC|TYH.IV| | | | | | | | | |3x|The Technology Bull 3X Shares seeks daily investment results, before fees and expenses, of 300% of the price performance of the Russell 1000 Technology Index. There is no guarantee the fund will meet its stated investment objective.The Russell 1000 Technology is a capitalization weighted index of companies that serve the electronics and computer industries or that manufacture products based on the latest applied science. The index currently has 105 components, derived from the Russell 1000, with an average market cap of over $19 billion dollars and a median market capitalization of $6.1 billion dollars as of April 30, 2008.|N|0|N|N|416A|USA|US|EQUITY|LEVERAGED|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||58.09|58.04|0.0|0.0|58.12|58.07|58.0599|58.07|0.0|0.0|58.1|58.09|58.07|56.42|58.12|58.07|58.11|58.08|58.11|58.08|57.67|58.43|43.93|70.27|58.07|58.08|57.89|58.39|57.91|58.24|58.07|58.08|61.63|20.15|3924695|700940684 29712|TECS|TECS|25460G393|US25460G3939|Direxion Shares ETF Trust|Direxion Daily Technology Bear 3X Shares|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Direxion Shares|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-4|TXN1-8|TXN5-5|TXN3-7|TXN1-6|10100260|||Quarterly|||||2008-12-16||TECS.NV|TECS.SO|TECS.EU|TECS.TC|TECS.IV| | | | | | | | | |-3x|The Technology Bear 3X Shares seeks daily investment results, before fees and expenses, of 300% of the inverse (or opposite) of the price performance of the Russell 1000 Technology Index. There is no guarantee the fund will meet its stated investment objective.The Russell 1000 Technology Index is a capitalization weighted index of companies that serve the electronics and computer industries or that manufacture products based on the latest applied science. The index currently has 105 components, derived from the Russell 1000, with an average market cap of over $19 billion dollars and a median market capitalization of $6.1 billion dollars as of April 30, 2008.|N|0|N|N|416A|USA|US|EQUITY|INVERSE|||||||||N||N||||||Y|0|Y||Y|2|||11.55|11.57|0.0|11.85|11.55|11.56|11.555|11.55|0.0|0.0|11.555|11.555|11.56|11.68|11.56|11.55|11.72|11.55|11.8|11.55|11.54|11.57|9.2|14.38|11.56|11.57|11.49|11.64|11.53|11.64|11.56|11.57|44.42|10.881|3755902|773322406 63709|TECTP|TECTP|87217L208|US87217L2088|Tectonic Financial Inc|NON-CUM PFD B||B|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN5-1|TXN14-6|TXN5-6|TXN6-6|1730000|||NotApplicable|||||||||||| | | | | | | | | 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9471|TEF|TEF|879382208|US8793822086|Telefonica S.A.|American Depositary Shares (Each representing One share of Capital Stock)|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN1-8|TXN9-8|TXN1-7|TXN2-7|5750460000|||BiAnnually|||||1987-06-12||||||| | | | | | | | | |||N|0|N|Y|306A|ESP|ES|||15|1510|151020|15102015|Telecommunications|Telecommunications|Telecommunications Service Providers |Telecommunications Services|N||N||||||N|0|Y||Y|2|||4.32|4.32|0.0|4.25|4.32|4.315|4.315|4.32|0.0|0.0|4.31|4.3|4.315|4.32|4.31|4.32|4.305|4.32|4.31|4.32|4.3|4.32|3.32|5.25|4.3|4.32|4.28|4.34|4.31|4.33|4.31|4.32|4.53|3.38|853625|227382196 9472|TEI|TEI|880192109|US8801921094|Templeton Emerging Markets Income Fund|Shares of Beneficial Interest|Closed 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Rowe Price Exchange-Traded Funds, Inc.|T. Rowe Price Equity Income ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||T. Rowe Price|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-5|TXN4-1|TXN9-7|TXN3-3|TXN1-1|3750000|||Quarterly|||||2020-08-05||TEQI.NV|TEQI.SO|TEQI.EU|TEQI.TC|TEQI.IV| | | | | | | | | ||This fund seeks dividend income and long-term capital growth.|N|0|N|N|400A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|35.15|0.0|0.0|0.0|0.0|35.0946|0.0|0.0|0.0|0.0|0.0|35.27|34.48|0.0|0.0|0.0|35.1777|35.08|35.1777|34.81|35.53|35.13|35.18|35.15|35.19|35.15|35.19|0.0|0.0|35.15|35.19|36.23|31.75|7234|2856972 9477|TER|TER|880770102|US8807701029|Teradyne Inc|COM USD.125||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN6-1|TXN10-6|TXN6-3|TXN5-4|152880000|||NotApplicable|||||||||||| | | | | | | | | |||N|5|Y|N||USA||||10|1010|101020|10102020|Technology|Technology|Technology Hardware and Equipment|Production Technology Equipment|N||N||||||Y|0|Y||||||93.195|93.13|0.0|92.58|93.3|93.24|93.13|93.15|0.0|0.0|93.19|93.29|93.16|93.15|93.18|93.18|93.11|93.15|93.11|93.16|93.06|93.26|87.43|98.09|93.1|93.17|93.07|93.21|93.07|93.23|93.14|93.16|119.2|81.075|1381401|375094563 69080|TERN|TERN|880881107|US8808811074|Terns Pharmaceuticals Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN5-3|TXN10-2|TXN5-1|TXN6-2|61800000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||6.055|6.06|0.0|6.06|6.07|6.055|6.065|6.06|0.0|0.0|6.06|6.13|6.07|6.065|6.04|6.065|6.09|6.065|6.17|6.07|5.99|6.19|4.79|7.52|6.0|6.18|6.04|6.09|6.04|6.09|6.06|6.07|14.0435|3.26|2117234|128145760 73648|TETE|TETE|G87119106|KYG871191063|Technology & Telecommunication Acquisition Corporation|CL A ORD USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN6-1|TXN10-7|TXN6-1|TXN6-3|2980000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||MYS||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|11.44|0.0|0.0|0.0|0.0|11.49|0.0|11.49|0.0|0.0|0.0|0.0|10.72|12.19|0.0|0.0|0.0|0.0|11.37|11.45|12.25|10.21|284|2756184 73236|TETEU|TETEU|G87119122|KYG871191220|Technology & Telecommunication Acquisition Corporation|UNITS||R|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN5-1|TXN10-8|TXN6-4|TXN5-2|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||MYS||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|11.09|12.84|0.0|0.0|0.0|0.0|11.09|12.84|12.04|9.6|0|34690 73649|TETEW|TETEW|G87119114|KYG871191147|Technology & Telecommunication Acquisition Corporation|WT EXP 021527||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-6|TXN6-7|TXN11-6|TXN5-3|TXN5-3|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||MYS||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.017|0.03|0.1499|0.015|0|2340259 3985|TEVA|TEVA|881624209|US8816242098|Teva Pharmaceutical Industries Limited|American Depositary Shares, each representing one Ordinary Share|Operating company|H|N|N|N|Y|Y|Y|Y|Y|6|T|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-4|TXN3-2|TXN6-4|TXN1-8|TXN3-2|1120970000|||Quarterly|||||2012-05-30||||||| | | | | | | | | |||N|0|N|Y|140A|ISR|IL|||20|2010|201030|20103015|Health Care |Health Care |Pharmaceuticals and Biotechnology|Pharmaceuticals |N||N||||||Y|0|Y||Y|2|||10.025|10.025|0.0|10.01|10.02|10.025|10.03|10.025|0.0|0.0|10.025|10.03|10.025|10.02|10.025|10.03|10.02|10.025|10.03|10.03|10.02|10.03|7.74|12.07|10.02|10.03|9.99|10.04|9.98|10.03|10.02|10.03|11.445|7.085|7766424|2394102632 9480|TEX|TEX|880779103|US8807791038|Terex Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|O|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-5|TXN3-7|TXN6-6|TXN4-7|TXN1-6|67300000|||Quarterly|||||1991-03-19||||||| | | | | | | | | |||N|0|N|Y|170A|USA|US|||50|5020|502040|50204020|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Construction and Handling|N||N||||||Y|0|Y||Y|2|||51.96|51.97|0.0|51.78|51.93|51.975|51.91|51.955|0.0|0.0|51.96|51.93|51.9|51.9|51.99|51.92|51.93|51.92|51.93|51.92|51.91|51.92|39.53|63.11|51.83|52.03|51.83|52.01|51.82|52.03|51.91|51.92|65.64|40.504|605080|208022065 4973|TFC|TFC|89832Q109|US89832Q1094|Truist Financial Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-4|TXN3-5|TXN7-3|TXN3-1|TXN2-8|1333670000|||Quarterly|||||1991-10-08||||||| | | | | | | | | |||N|5|Y|Y|402B|USA|US|||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||Y|1|||33.27|33.28|0.0|33.25|33.28|33.285|33.285|33.29|0.0|0.0|33.28|33.28|33.27|33.29|33.29|33.28|33.28|33.27|33.29|33.28|33.28|33.29|31.36|35.55|33.27|33.29|33.25|33.33|33.25|33.33|33.28|33.29|53.34|25.56|11962310|2671347861 65189|TFC PRI|TFCpI|89832Q810|US89832Q8107|Truist Financial Corporation|Depositary Shares each representing 1/4,000th interest in a share of Series I Non-Cumulative Perpetual Preferred Stock|Operating company|B|N|N|N|Y|Y|Y|Y|Y|6|H|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN1-5|TXN4-8|TXN4-4|TXN2-8|6900000|||Quarterly|||||2019-12-09||||||| | | | | | | | | |||N|0|N|N|402B|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||21.27|21.64|0.0|0.0|21.41|21.32|21.41|21.35|0.0|0.0|21.5|21.8|21.41|0.0|0.0|21.37|0.0|21.32|0.0|21.37|21.25|21.47|0.0|0.0|20.92|21.9|0.0|0.0|0.0|0.0|21.25|21.47|22.6452|16.64|50108|2815925 66579|TFC PRO|TFCpO|89832Q745|US89832Q7455|Truist Financial Corporation|Depositary Shares, Each Representing a 1/1,000th Interest in a Share of Series O Non-Cumulative Perpetual Preferred Stock|Operating company|B|N|N|N|Y|Y|Y|Y|Y|6|H|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN2-3|TXN2-8|TXN2-1|TXN2-2|23000000|||Quarterly|||||2020-06-01||||||| | | | | | | | | |||N|0|N|N|402B|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||22.2|22.21|0.0|0.0|22.15|22.16|22.13|22.18|0.0|0.0|22.205|0.0|22.2|0.0|0.0|22.2|21.78|22.13|0.0|22.2|22.12|22.21|0.0|0.0|21.75|22.64|0.0|0.0|0.0|0.0|22.12|22.21|24.68|18.6|77423|13652308 67166|TFC PRR|TFCpR|89832Q695|US89832Q6952|Truist Financial Corporation|Depositary Shares, each representing 1/1,000th interest in a share of Series R Non-Cumulative Perpetual Preferred Stock|Operating company|B|N|N|N|Y|Y|Y|Y|Y|6|H|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN3-1|TXN6-8|TXN4-2|TXN2-5|37000000|||Quarterly|||||2020-08-07||||||| | | | | | | | | |||N|0|N|N|402B|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||19.57|19.84|0.0|18.85|19.87|19.65|19.6|19.66|0.0|0.0|19.615|19.35|19.72|19.65|19.93|19.6|19.58|19.6|0.0|19.6|19.6|19.73|15.23|24.35|19.6|20.07|15.23|24.35|0.0|0.0|19.6|19.73|22.6|16.22|74639|25943803 64871|TFFP|TFFP|87241J104|US87241J1043|TFF Pharmaceuticals Inc|COM USD0.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-5|TXN6-5|TXN14-6|TXN5-8|TXN5-4|59130000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||0.3769|0.3788|0.0|0.0|0.3799|0.3794|0.3799|0.374|0.0|0.0|0.3799|0.3788|0.3775|0.361|0.0|0.3681|0.369|0.3769|0.3799|0.3769|0.296|0.4509|0.296|0.4509|0.3694|0.3799|0.296|0.4509|0.0|0.0|0.3769|0.3788|1.33|0.2058|274110|37597759 25593|TFI|TFI|78468R721|US78468R7219|SPDR Series Trust|SPDR Nuveen Bloomberg Municipal Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-4|TXN1-1|TXN3-6|TXN1-5|TXN4-1|80151036|||Monthly|||||2008-11-07||TFI.NV|TFI.SO|TFI.EU|TFI.TC|TFI.IV| | | | | | | | | |1x|The SPDR Barclays Capital Municipal Bond ETF seeks to provide investment results that, before fees and expenses, correspond generally to the price and yield performance of the Barclays Capital Municipal Managed Money Index (ticker: LMMITR). The Barclays Capital Municipal Managed Money Index is a rules-based, market-value weighted index engineered for the tax exempt bond market. All bonds in the National Municipal Bond Index must be rated Aa3/AA- or higher by at least two of the following statistical ratings agencies: Moodys, S&P and Fitch. If only two of the three agencies rate the security, the lower rating is used to determine index eligibility. If only one of the agencies rates the security, the rating must be at least Aa3/AA-. Each index security must have an outstanding par value of at least $7 million and be issued as part of a transaction of at least $75 million. The bonds must be fixed rate, have been issued within the last five years, and must be at least one year from their maturity date. Bonds subject to AMT, hospital bonds, housing bonds, tobacco bonds, and airline bonds, along with remarketed issues, taxable municipal bonds, floaters, and derivatives are all excluded from the National Municipal Bond Index.|N|0|N|N|416A|USA|US|FIXED_INCOME|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||46.005|45.995|0.0|0.0|46.0|46.005|46.0075|46.0|0.0|0.0|46.01|45.97|46.0|46.005|45.985|45.995|45.95|46.01|46.015|46.01|45.91|46.11|43.06|48.99|45.99|46.0|43.71|48.32|45.07|46.94|45.99|46.0|47.37|42.9523|578262|214970592 65590|TFII|TFII|87241L109|CA87241L1094|TFI International Inc.|Common Shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|6|P|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-4|TXN1-5|TXN8-1|TXN1-1|TXN3-5|85930000|||Quarterly|||||2020-02-13||||||| | | | | | | | | |||N|0|N|Y|200A|CAN|CA|||50|5020|502060|50206010|Industrials|Industrial Goods and Services|Industrial Transportation|Trucking|N||N||||||Y|0|Y||Y|2|||121.87|121.85|0.0|122.15|122.07|121.85|121.91|122.03|0.0|0.0|122.06|122.16|121.85|123.38|122.52|121.86|122.06|121.89|121.86|121.86|121.85|121.91|93.2|149.02|121.62|122.2|121.77|122.0|121.82|122.02|121.85|121.91|138.16|98.32|217040|62885951 48736|TFIN|TFIN|89679E300|US89679E3009|Triumph Financial Inc|COM USD0.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN6-5|TXN13-1|TXN5-2|TXN5-5|23290000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||||||0.0|70.805|0.0|70.74|70.64|70.73|70.75|70.68|0.0|0.0|70.72|0.0|70.7|70.54|70.6|70.74|0.0|70.75|70.69|70.7|69.92|71.44|70.58|70.9|70.41|71.01|70.59|70.88|70.7|70.91|70.7|70.76|72.62|45.08|166684|39287408 66816|TFINP|TFINP|89679E409|US89679E4098|Triumph Financial Inc|7.125 DP SH PF C||B|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN6-2|TXN13-3|TXN6-7|TXN6-8|1800000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||||||19.55|0.0|0.0|0.0|0.0|19.57|19.5699|0.0|0.0|0.0|19.5|19.5|19.6|0.0|0.0|0.0|19.65|19.5699|19.4|19.5699|0.0|0.0|0.0|0.0|17.89|20.97|0.0|0.0|0.0|0.0|19.16|19.6|26.53|15.75|8879|955585 67277|TFJL|TFJL|45782C243|US45782C2439|Innovator 20 Year Treasury Bond 5 Floor ETF July|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-4|TXN2-7|TXN4-8|TXN4-1|TXN3-3|480000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|20.0331|0.0|0.0|0.0|0.0|20.03|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|20.0331|0.0|20.0331|19.8|20.28|19.95|20.03|19.87|20.16|18.7|21.33|0.0|0.0|19.98|20.05|21.5|18.621|12030|2634499 43484|TFLO|TFLO|46434V860|US46434V8607|iShares Trust|iShares Treasury Floating Rate Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-4|TXN2-5|TXN1-5|TXN1-8|TXN3-7|210900000|||Monthly|||||2014-02-04||TFLO.NV|TFLO.SO|TFLO.EU|TFLO.TC|TFLO.IV| | | | | | | | | |1x|The iShares Treasury Floating Rate Bond ETF (the Fund) seeks to track the investment results of an index composed of U.S. Treasury floating rate bonds. The Fund seeks to track the investment results of the Barclays U.S. Treasury Floating Rate Index (the Underlying Index), which is a market capitalization-weighted index that measures the performance of floating rate public obligations of the U.S. Treasury.|N|0|N|N|412C|USA|US|FIXED_INCOME|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||50.53|50.53|0.0|0.0|50.525|50.53|50.52|50.53|0.0|0.0|50.53|50.53|50.525|50.525|50.53|50.53|50.525|50.52|50.53|50.52|50.52|50.53|50.52|50.54|50.52|50.53|50.52|50.54|50.52|50.54|50.52|50.53|50.76|50.28|1967851|478038530 74928|TFLR|TFLR|87283Q883|US87283Q8832|T. Rowe Price Exchange-Traded Funds, Inc.|T. Rowe Price Floating Rate ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||T. Rowe Price|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN1-5|TXN2-8|TXN2-3|TXN3-1|2100000|||Monthly|||||2022-11-17||TFLR.NV|TFLR.SO|TFLR.EU|TFLR.TC| | | | | | | | | | ||The fund seeks high current income and, secondarily, capital appreciation.|N|0|N|N|400A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||51.13|0.0|0.0|0.0|0.0|51.06|51.06|51.06|0.0|0.0|51.06|0.0|0.0|51.05|0.0|0.0|0.0|51.13|51.13|51.13|51.05|51.15|0.0|0.0|51.05|51.14|51.05|51.15|0.0|0.0|51.05|51.14|51.59|49.645|3139|790654 74547|TFPM|TFPM|89679M104|CA89679M1041|Triple Flag Precious Metals Corp.|Common Shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|6|O|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-6|TXN1-1|TXN7-7|TXN2-3|TXN4-1|201570000|||Quarterly|||||2022-08-30||||||| | | | | | | | | |||N|0|N|Y|130C|CAN|CA|||55|5510|551030|55103025|Basic Materials|Basic Resources|Precious Metals and Mining|Gold Mining|N||N||||||Y|0|Y||Y|2|||13.85|13.83|0.0|0.0|13.83|13.83|13.86|13.84|0.0|0.0|13.8|13.83|13.86|13.8|13.87|13.86|13.83|13.85|13.83|13.86|13.86|13.87|10.7|17.02|13.79|13.91|13.83|13.89|13.83|13.9|13.86|13.87|17.33|11.85|188766|41410823 75996|TFPN|TFPN|88636J873|US88636J8734|Tidal Trust II|Blueprint-Chesapeake Multi-Asset Trend ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Tidal ETF Services |Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-5|TXN1-5|TXN2-8|TXN4-5|TXN4-5|2700000|||Yearly|||||2023-07-12||TFPN.NV|TFPN.SO|TFPN.EU|TFPN.TC| | | | | | | | | | ||Fund is comprised of 2 components: (i) Derivatives Component: The Fund will invest in futures contracts and futures-related instruments (such as forwards) and spot contracts in global markets across a wide range of asset classes, including equities, fixed income, currencies and commodities. (ii) Long-Short Component: The Fund will invest in both long and short positions in equity securities.|N|0|N|N|416A|USA|US|HYBRID|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||24.41|24.47|0.0|0.0|24.47|24.46|24.462|0.0|0.0|0.0|0.0|0.0|24.47|0.0|24.47|0.0|0.0|24.52|0.0|24.52|18.79|30.3|24.05|24.92|24.45|24.59|18.79|24.93|24.03|24.91|18.79|24.65|27.85|24.4|8434|3730833 69149|TFSA|TFSA|88104C202|US88104C2026|Terra Income Fund 6, LLC|7.00% Notes due 2026|Business development company|G|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN3-4|TXN8-8|TXN3-7|TXN3-6|1540000|||Quarterly|||||2021-02-11|2026-03-31|||||| | | | | | | | | |||N|0|N|N|408A||US|||||||||||N||N||||||N|0|Y||Y|2|||23.07|23.14|0.0|0.0|23.08|23.77|23.85|23.14|0.0|0.0|0.0|0.0|0.0|23.09|0.0|23.14|0.0|23.14|0.0|23.14|23.17|23.91|0.0|0.0|23.17|24.18|0.0|0.0|0.0|0.0|23.17|24.35|24.4|20.86|1301|206438 24389|TFSL|TFSL|87240R107|US87240R1077|TFS Financial Corp|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN6-2|TXN14-4|TXN5-4|TXN5-6|280360000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||||||13.425|13.415|0.0|0.0|13.4|13.405|13.4|13.41|0.0|0.0|13.41|13.42|13.41|13.39|13.37|13.41|13.41|13.405|13.425|13.41|13.39|13.43|12.43|14.16|13.38|13.42|13.37|13.44|13.37|13.42|13.4|13.41|15.15|10.965|442663|75283514 9487|TFX|TFX|879369106|US8793691069|Teleflex Incorporated|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|A|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-5|TXN3-4|TXN5-7|TXN4-2|TXN4-7|46990000|||Quarterly|||||1994-04-28||||||| | | | | | | | | |||N|5|Y|Y|170A|USA|US|||20|2010|201020|20102015|Health Care |Health Care |Medical Equipment and Services|Medical Supplies|N||N||||||Y|0|Y||Y|1|||229.47|229.49|0.0|229.67|229.3|229.6|229.47|229.4|0.0|0.0|229.6|229.41|229.41|229.22|228.93|229.36|228.77|229.46|229.21|229.36|229.36|229.37|214.97|244.36|229.25|229.59|229.12|229.7|228.97|229.47|229.36|229.37|276.43|177.633|268154|71182853 9488|TG|TG|894650100|US8946501009|Tredegar Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN4-1|TXN3-8|TXN4-8|TXN3-6|34410000|||Quarterly|||||1989-07-05||||||| | | | | | | | | |||N|0|N|Y|106A|USA|US|||55|5510|551010|55101000|Basic Materials|Basic Resources|Industrial Materials|Diversified Materials|N||N||||||Y|0|Y||Y|2|||5.01|5.01|0.0|0.0|5.0|5.01|5.0|5.0|0.0|0.0|5.01|4.87|5.02|5.0|0.0|5.01|5.0|5.01|5.01|5.01|5.01|5.03|3.79|6.13|4.96|5.05|4.97|5.06|4.97|5.06|5.01|5.03|12.51|4.35|85529|54294989 73370|TGAA|TGAA|G8675N109|KYG8675N1097|Target Global Acquisition I Corp|CL A COM USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN6-5|TXN13-2|TXN5-4|TXN6-1|9840000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CYM||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|10.975|10.98|0.0|0.0|0.0|0.0|0.0|12.03|0.0|0.0|0.0|0.0|10.98|0.0|10.98|0.0|0.0|0.0|0.0|10.32|12.69|0.0|0.0|0.0|0.0|10.99|12.07|12.19|10.19|16752|12746193 72834|TGAAU|TGAAU|G8675N117|KYG8675N1170|Target Global Acquisition I Corp|UNITS||R|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN5-8|TXN13-3|TXN6-1|TXN5-2|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CYM||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|12.07|0.0|0.0|0.0|0.0|0.0|0.0|0.0|9.12|14.49|0.0|0.0|10.89|12.88|9.12|14.49|0.0|0.0|10.89|12.08|11.54|10.18|93|454869 73371|TGAAW|TGAAW|G8675N125|KYG8675N1253|Target Global Acquisition I Corp|WT EXP 120826||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-7|TXN5-2|TXN11-7|TXN6-3|TXN5-6|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CYM||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.067|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.067|0.0|0.067|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.045|0.07|0.6918|0.0163|175|2039111 70001|TGAN|TGAN|89386L100|US89386L1008|Transphorm Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN5-8|TXN14-7|TXN5-2|TXN5-7|62000000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101020|10102010|Technology|Technology|Technology Hardware and Equipment|Semiconductors|N||N||||||N|0|Y||||||3.06|3.045|0.0|0.0|3.07|3.06|3.07|3.045|0.0|0.0|0.0|0.0|3.07|0.0|0.0|3.06|0.0|3.07|0.0|3.07|2.97|3.15|2.33|3.71|3.0|3.13|3.02|3.12|3.02|3.1|3.05|3.07|5.9|1.94|30620|11396935 9490|TGB|TGB|876511106|CA8765111064|Taseko Mines Limited|Common Shares|Operating company|A|N|Y|A|Y|Y|Y|Y|Y|||J. Streicher & Co. L.L.C.|JSCO|3856|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-1|TXN1-7|TXN7-8|TXN4-3|TXN4-7|288730000|||NotApplicable|||||2004-10-04||||||| | | | | | | | | |||N|0|N|N|130E|CAN|CA|||55|5510|551020|55102040|Basic Materials|Basic Resources|Industrial Metals and Mining|Copper|N||N||||||Y|0|Y||Y|2|||1.22|1.22|0.0|1.24|1.22|1.21|1.21|1.22|0.0|0.0|1.22|1.22|1.21|1.22|1.22|1.21|1.22|1.22|1.215|1.22|1.19|1.21|1.2|1.21|1.2|1.21|1.18|1.24|1.18|1.24|1.2|1.21|1.9|1.05|591063|230002479 25827|TGH|TGH|G8766E109|BMG8766E1093|Textainer Group Holdings Limited|Common Share|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN3-3|TXN2-8|TXN1-8|TXN1-1|40850000|||Quarterly|||||2007-10-10||||||| | | | | | | | | |||N|0|N|Y|200A|BMU|BM|||50|5020|502060|50206060|Industrials|Industrial Goods and Services|Industrial Transportation|Transportation Services|N||N||||||Y|0|Y||Y|2|||49.255|49.24|0.0|0.0|49.26|49.25|49.25|49.27|0.0|0.0|49.25|49.26|49.23|49.26|49.27|49.24|49.23|49.24|49.26|49.24|49.24|49.25|38.13|60.33|49.18|49.46|39.24|59.2|49.12|49.65|49.24|49.25|49.595|28.84|351821|85649867 70280|TGH PRA|TGHpA|88314W204|US88314W2044|Textainer Group Holdings Limited|Depositary Shares, each representing a 1/1000th interest in a share of 7.000% Series A Cumulative Redeemable Perpetual Preference Shares|Operating company|B|N|Y|N|Y|Y|Y|Y|Y|8|I|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN3-3|TXN9-8|TXN2-5|TXN2-8|6000000|||Quarterly|||||2021-04-19||||||| | | | | | | | | |||N|0|N|N|200A|BMU|BM|||||||||||N||N||||||N|0|Y||Y|2|||0.0|24.8|0.0|0.0|0.0|24.73|24.79|24.71|0.0|0.0|24.71|0.0|24.77|0.0|0.0|24.73|24.79|24.73|0.0|24.73|24.73|24.78|24.79|24.84|24.7|24.87|0.0|0.0|0.0|0.0|24.73|24.78|25.25|21.61|20518|4603896 71521|TGH PRB|TGHpB|88314W303|US88314W3034|Textainer Group Holdings Limited|Depositary Shares, each representing a 1/1,000th interest in a share of 6.250% Series B Cumulative Redeemable Perpetual Preference Shares|Operating company|B|N|Y|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN2-6|TXN2-8|TXN3-2|TXN4-8|6000000|||Quarterly|||||2021-08-25||||||| | | | | | | | | |||N|0|N|N|200A|BMU|BM|||||||||||N||N||||||N|0|Y||Y|2|||0.0|24.33|0.0|0.0|24.109375|24.33|24.33|24.33|0.0|0.0|24.35|0.0|24.34|0.0|0.0|24.36|24.34|24.36|0.0|24.36|24.33|24.4|18.56|29.86|24.3|24.6|18.56|29.86|0.0|0.0|24.33|24.4|24.7|18.2305|45200|5581712 9496|TGI|TGI|896818101|US8968181011|Triumph Group, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-3|TXN4-3|TXN7-5|TXN1-1|TXN1-4|76860000|||Quarterly|||||1996-10-25||||||| | | | | | | | | |||N|0|N|Y|102B|USA|US|||50|5020|502010|50201010|Industrials|Industrial Goods and Services|Aerospace and Defense|Aerospace|N||N||||||Y|0|Y||Y|2|||11.67|11.68|0.0|11.66|11.67|11.655|11.67|11.65|0.0|0.0|11.665|11.67|11.67|11.68|11.66|11.67|11.66|11.67|11.43|11.67|11.67|11.68|9.06|14.33|11.64|11.7|11.65|11.7|11.64|11.71|11.67|11.68|13.33|7.0|997169|247994812 67754|TGIF|TGIF|886364884|US8863648841|Tidal ETF Trust|SoFi Weekly Income ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Tidal ETF Services |Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN3-7|TXN4-8|TXN3-8|TXN2-7|230000|||NotApplicable|||||2020-10-02||TGIF.NV|TGIF.SO|TGIF.EU|TGIF.TC| | | | | | | | | | ||The Fund is an actively-managed exchange-traded fund (ETF) that seeks to achieve its investment objective, under normal circumstances, by investing in U.S.-dollar denominated investment grade and non-investment grade (also known as high-yield or junk) fixed income securities and instruments and expects to distribute income from its investments to shareholders weekly.|N|0|N|N|416A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|93.4|96.35|96.23|0.0|0.0|0.0|0.0|96.67|0.0|0.0|0.0|0.0|96.87|0.0|96.87|0.0|0.0|0.0|0.0|96.34|97.58|0.0|0.0|0.0|0.0|96.39|97.62|97.59|92.22|1632|332768 74280|TGL|TGL|89458T106|US89458T1060|Treasure Global Inc|COM USD0.00001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-8|TXN5-4|TXN10-2|TXN6-3|TXN6-6|27430000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101010|10101020|Technology|Technology|Software and Computer Services|Consumer Digital Services |N||N||||||N|0|Y||||||0.1155|0.1156|0.0|0.0|0.117|0.115|0.1152|0.117|0.0|0.0|0.115|0.1151|0.115|0.117|0.1163|0.0|0.1187|0.1159|0.1187|0.115|0.0896|0.1414|0.0896|0.1414|0.1111|0.1159|0.0896|0.1414|0.0|0.0|0.1157|0.1159|3.18|0.1001|1208119|178662814 76119|TGLR|TGLR|26923N769|US26923N7690|LAFFER TENGLER Equity Income ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN3-7|TXN6-8|TXN4-6|TXN3-1|280000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|24.1692|0.0|0.0|0.0|24.1|24.1001|0.0|0.0|0.0|0.0|0.0|24.11|0.0|0.0|0.0|0.0|24.1692|0.0|24.1692|0.0|0.0|24.1|24.16|24.13|24.2|23.76|24.31|0.0|0.0|24.13|25.0|26.73|21.81|4083|636396 39995|TGLS|TGLS|G87264100|KYG872641009|Tecnoglass Inc.|Ordinary Shares|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN1-3|TXN6-8|TXN1-2|TXN1-4|47100000|||Quarterly|||||2022-05-09||||||| | | | | | | | | |||N|0|N|Y|100A|USA|KY|||50|5020|502030|50203020|Industrials|Industrial Goods and Services|General Industrials|Glass|N||N||||||Y|0|Y||Y|2|||36.96|37.505|0.0|37.46|37.48|37.525|37.4|37.4|0.0|0.0|37.51|37.53|37.46|37.46|37.1|37.46|37.57|37.4|37.54|37.46|37.4|37.46|28.44|45.27|37.2|37.8|37.35|37.52|37.34|37.46|37.4|37.46|54.4|28.0|338281|97639203 6470|TGNA|TGNA|87901J105|US87901J1051|TEGNA Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|C|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-4|TXN4-7|TXN3-2|TXN1-5|TXN2-2|196970000|||Quarterly|||||1969-03-10||||||| | | | | | | | | |||N|0|N|Y|142A|USA|US|||40|4030|403010|40301035|Consumer Discretionary|Media|Media|Radio and TV Broadcasters|N||N||||||Y|0|Y||Y|2|||15.63|15.63|0.0|15.31|15.63|15.63|15.64|15.64|0.0|0.0|15.64|15.63|15.635|15.63|15.66|15.64|15.65|15.63|15.64|15.64|15.63|15.65|12.02|19.19|15.63|15.67|15.6|15.67|15.63|15.67|15.63|15.65|22.29|13.655|2610060|488751634 75881|TGRT|TGRT|87283Q842|US87283Q8428|T. Rowe Price Exchange-Traded Funds, Inc.|T. Rowe Price Growth ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||T. Rowe Price|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-7|TXN3-4|TXN7-8|TXN4-4|TXN4-7|2150000|||Yearly|||||2023-06-15||TGRT.NV|TGRT.SO|TGRT.EU|TGRT.TC| | | | | | | | | | ||The fund seeks to provide long-term capital growth.|N|0|N|N|400A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|27.21|0.0|0.0|0.0|0.0|27.2501|27.22|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|27.2871|0.0|27.2871|0.0|0.0|0.0|0.0|27.27|27.3|13.79|41.35|0.0|0.0|27.27|27.3|27.71|24.2497|1020|276029 67143|TGRW|TGRW|87283Q305|US87283Q3056|T. Rowe Price Exchange-Traded Funds, Inc.|T. Rowe Price Growth Stock ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||T. Rowe Price|RBC Capital Markets, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-7|TXN1-1|TXN6-8|TXN3-7|TXN4-7|1915000|||Yearly|||||2020-08-05||TGRW.NV|TGRW.SO|TGRW.EU|TGRW.TC|TGRW.IV| | | | | | | | | ||This fund seeks to provide long-term capital growth. 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Markets|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-4|TXN2-6|TXN4-8|TXN4-6|TXN2-3|877473|||Yearly|||||2023-01-23||THCX.NV|THCX.SO|THCX.EU|THCX.TC|THCX.IV| | | | | | | | | |1x|Using a passive indexing approach, the Fund will normally invest at least 80% of its total assets in securities of the Innovation Labs Cannabis Index, which is designed to measure the performance of a group of publicly-listed companies that are involved in the cannabis industry.|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||16.41|0.0|0.0|0.0|0.0|17.0|17.4501|17.395|0.0|0.0|16.48|0.0|17.57|0.0|0.0|0.0|0.0|17.61|0.0|17.61|0.0|0.0|0.0|0.0|17.61|17.62|0.0|0.0|0.0|0.0|17.61|17.62|23.22|1.6695|9534|4175550 27583|THD|THD|464286624|US4642866242|iShares Inc.|iShares MSCI Thailand ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-4|TXN2-7|TXN7-7|TXN4-3|TXN4-4|4500000|||BiAnnually|||||2008-03-28||THD.NV|THD.SO|THD.EU|THD.TC|THD.IV| | | | | | | | | |1x|The iShares MSCI Thailand Investable Market Index Fund seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the MSCI Thailand Investable Market Index. THE UNDERLYING INDEX IS A FREE FLOAT ADJUSTED MARKET CAPITALIZATION INDEX DESIGNED TO MEASURE BROAD BASED EQUITY MARKET PERFORMANCE IN THAILAND. THE UNDERLYING INDEX CONSISTS OF STOCKS TRADED PRIMARILY ON THE STOCK EXCHANGE OF THAILAND (SET). AS OF SEPTEMBER 30, 2008, THE UNDERLYING INDEXS THREE LARGEST INDUSTRIES WERE FINANCIALS, ENERGY AND TELECOMMUNICATION SERVICES.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||60.91|61.37|0.0|0.0|61.3|61.4|61.408|61.33|0.0|0.0|61.93|60.91|61.39|61.395|61.1|61.77|0.0|61.41|63.4|61.41|58.81|65.07|57.86|65.21|61.39|61.46|58.81|65.07|0.0|0.0|61.39|61.46|80.79|58.9|63708|20025343 3998|THFF|THFF|320218100|US3202181000|First Financial Corp/IN|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN5-2|TXN12-1|TXN6-1|TXN5-8|11760000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||||||40.12|40.11|0.0|0.0|40.11|40.18|40.165|40.05|0.0|0.0|40.05|0.0|40.18|40.12|0.0|0.0|0.0|40.18|0.0|40.18|39.68|40.57|30.23|49.37|40.02|40.31|40.05|40.34|40.0|40.33|40.17|40.19|47.67|31.0|44565|11338540 15749|THG|THG|410867105|US4108671052|The Hanover Insurance Group, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|I|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN3-8|TXN9-8|TXN3-6|TXN4-3|35760000|||Quarterly|||||1995-10-11||||||| | | | | | | | | |||N|0|Y|Y|410B|USA|US|||30|3030|303020|30302025|Financials|Insurance|Non-life Insurance|Property and Casualty Insurance|N||N||||||N|0|Y||Y|1|||126.75|126.8|0.0|126.51|125.08|126.8|126.81|126.845|0.0|0.0|124.33|126.81|126.845|124.7|122.4|126.85|125.24|126.85|125.05|126.85|126.75|126.81|117.82|133.57|126.54|127.11|126.67|127.03|126.64|127.06|126.75|126.81|148.78|103.825|160952|42934505 74601|THLV|THLV|885155101|US8851551015|THOR Financial Technologies Trust|THOR Low Volatility ETF|Trust|ETF|N|N|N|Y|Y|Y|Y|Y|8|P|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN2-6|TXN8-8|TXN2-1|TXN1-1|2004000|||Yearly|||||2023-02-01||||||| | | | | | | | | |1x|The Fund seeks to provide investment results that generally correspond, before fees and expenses, to the performance of the Thor U.S. Sector Low Volatility Waveform Index (the Index).|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||0.0|24.68|0.0|0.0|0.0|0.0|24.94|0.0|0.0|0.0|0.0|24.41|0.0|0.0|0.0|24.9488|0.0|24.94|0.0|24.9488|24.93|24.96|24.9|24.93|24.93|24.96|24.58|25.09|0.0|0.0|24.93|24.96|27.75|22.44|6062|9417083 12845|THM|THM|46050R102|CA46050R1029|International Tower Hill Mines Ltd|Common Shares|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||J. Streicher & Co. L.L.C.|JSCO|3856|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN11-8|TXN1-2|TXN1-5|TXN3-7|TXN1-2|195890000|||NotApplicable|||||2010-08-26||||||| | | | | | | | | |||N|0|N|N|130E|CAN|CA|||55|5510|551030|55103025|Basic Materials|Basic Resources|Precious Metals and Mining|Gold Mining|N||N||||||N|0|Y|C|Y|2|||0.5003|0.5003|0.0|0.0|0.5444|0.5142|0.5193|0.506|0.0|0.0|0.5125|0.5125|0.51|0.0|0.0|0.0|0.5142|0.5142|0.0|0.5142|0.4788|0.5456|0.51|0.5158|0.495|0.5456|0.4884|0.5432|0.4808|0.5456|0.51|0.5158|0.7485|0.31|104586|22005761 2247|THMO|THMO|88362L209|US88362L2097|ThermoGenesis Holdings Inc|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-2|TXN6-8|TXN11-2|TXN5-5|TXN6-2|3140000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.92|0.94|0.945|0.0|0.0|0.0|0.0|0.0|0.945|0.0|0.0|0.0|0.0|0.945|0.0|0.945|0.8976|0.987|0.0|0.0|0.8821|1.01|0.7|1.05|0.0|0.0|0.9449|0.945|6.67|0.075|14688|91550812 66366|THNQ|THNQ|301505731|US3015057314|Exchange Traded Concepts Trust|ROBO Global Artificial Intelligence ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Exchange Traded Concepts|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-7|TXN3-5|TXN2-8|TXN4-2|TXN1-3|2875000|||Yearly|||||2020-05-11||THNQ.NV|THNQ.SO|THNQ.EU|THNQ.TC|THNQ.IV| | | | | | | | | |1x|The ROBO Global Artificial Intelligence Index is designed to measure the perforrmance of publicly-traded companies that have a portion of their business and revenue derived from the field of artifical intelligence.|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||38.65|38.69|0.0|0.0|38.69|38.69|38.81|38.69|0.0|0.0|38.69|0.0|38.69|38.69|38.69|38.69|0.0|38.8578|0.0|38.8578|35.85|41.31|0.0|0.0|38.77|38.92|35.85|41.31|0.0|0.0|38.77|38.92|39.0632|25.37|29930|4791677 9509|THO|THO|885160101|US8851601018|Thor Industries, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|A|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN3-8|TXN5-8|TXN1-6|TXN3-7|53280000|||Quarterly|||||1986-08-29||||||| | | | | | | | | |||N|0|Y|Y|144E|USA|US|||40|4020|402030|40203055|Consumer Discretionary|Consumer Products and Services|Leisure Goods|Recreational Vehicles and Boats|N||N||||||Y|0|Y||Y|1|||105.67|105.71|0.0|105.67|105.67|105.48|105.7|105.66|0.0|0.0|105.67|105.69|105.7|105.48|105.69|105.65|105.53|105.69|105.52|105.65|105.65|105.71|98.45|112.29|104.78|106.49|105.54|105.8|105.65|105.87|105.65|105.71|116.31|74.0|593184|138828415 44703|THQ|THQ|879105104|US8791051043|abrdn Healthcare Opportunities Fund|Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN1-5|TXN6-8|TXN1-4|TXN4-2|41340000|||Monthly|||||2014-07-29||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||0.0|17.48|0.0|17.5|17.48|17.5|17.48|17.48|0.0|0.0|17.52|17.14|17.485|17.51|0.0|17.49|17.52|17.48|0.0|17.49|17.48|17.49|13.4|21.26|17.48|17.5|17.45|17.52|17.47|17.5|17.48|17.49|20.8887|15.29|112210|25164607 37981|THR|THR|88362T103|US88362T1034|Thermon Group Holdings, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN3-8|TXN8-8|TXN1-7|TXN3-4|33700000|||NotApplicable|||||2011-05-05||||||| | | | | | | | | |||N|0|N|Y|100A|USA|US|||50|5020|502020|50202020|Industrials|Industrial Goods and Services|Electronic and Electrical Equipment|Electronic Equipment: Control and Filter|N||N||||||N|0|Y||Y|2|||31.22|31.23|0.0|30.61|31.19|31.16|31.18|31.26|0.0|0.0|31.21|31.19|31.15|31.22|31.22|31.19|31.25|31.18|31.19|31.19|31.18|31.21|23.72|37.82|30.93|31.47|31.11|31.28|31.16|31.29|31.18|31.21|33.5|18.77|120293|40630321 74624|THRD|THRD|88427A107|US88427A1079|Third Harmonic Bio Inc|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN5-2|TXN10-8|TXN5-8|TXN5-5|40360000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||9.43|9.43|0.0|0.0|9.47|9.5|9.493|9.49|0.0|0.0|9.41|9.47|9.5|0.0|9.485|0.0|0.0|9.43|0.0|9.5|9.11|9.78|7.28|11.71|9.4|9.73|9.34|9.58|9.35|9.6|9.47|9.5|23.425|3.75|237609|27002994 299|THRM|THRM|37253A103|US37253A1034|Gentherm Inc|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN5-3|TXN13-8|TXN6-2|TXN5-6|32800000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4010|401010|40101025|Consumer Discretionary|Automobiles and Parts|Automobiles and Parts|Auto Parts|N||N||||||Y|0|Y||||||46.36|46.41|0.0|45.8|46.36|46.35|46.5|46.49|0.0|0.0|46.25|44.76|46.49|46.54|45.74|46.2|45.98|46.54|46.01|46.49|46.01|46.96|34.97|56.88|46.02|46.87|46.39|46.61|46.49|46.63|46.49|46.54|76.125|38.205|251773|39564786 71971|THRX|THRX|88369M101|US88369M1018|Theseus Pharmaceuticals Inc|COM USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN5-5|TXN14-1|TXN5-1|TXN6-5|44230000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||3.84|3.83|0.0|0.0|3.83|3.84|3.83|3.84|0.0|0.0|3.84|3.83|3.86|3.84|3.84|3.84|3.84|3.85|3.84|3.86|3.84|3.88|2.98|4.7|3.77|3.92|3.81|3.88|3.81|3.88|3.84|3.86|14.7672|2.05|221133|103694311 67740|THRY|THRY|886029206|US8860292064|Thryv Holdings Inc|COM NEW||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN5-2|TXN12-4|TXN6-2|TXN5-4|35170000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4030|403010|40301020|Consumer Discretionary|Media|Media|Media Agencies|N||N||||||Y|0|Y||||||19.42|19.26|0.0|0.0|19.32|19.27|19.325|19.33|0.0|0.0|19.3|19.5|19.31|19.41|19.21|19.3|0.0|19.325|0.0|19.31|19.06|19.56|14.93|23.86|19.08|19.42|19.27|19.38|19.26|19.4|19.31|19.35|26.01|15.99|240663|43854142 9510|THS|THS|89469A104|US89469A1043|TreeHouse Foods, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|M|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-7|TXN1-8|TXN6-7|TXN1-6|TXN4-6|55300000|||NotApplicable|||||2005-06-16||||||| | | | | | | | | |||N|0|N|Y|118B|USA|US|||45|4510|451020|45102020|Consumer Staples |Food, Beverage and Tobacco |Food Producers|Food Products|N||N||||||Y|0|Y||Y|2|||42.1|42.0|0.0|41.94|41.95|42.0|41.955|42.02|0.0|0.0|41.94|42.03|41.94|42.05|42.11|41.96|42.01|41.95|42.0|41.96|41.96|41.99|31.72|50.56|41.9|42.27|41.91|42.03|41.96|42.04|41.94|41.99|55.3|36.11|265583|82634329 76632|THTA|THTA|886364280|US8863642802|Tidal ETF Trust|SoFi Enhanced Yield ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y|||||||||Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-3|TXN1-1|TXN5-8|TXN2-4|TXN3-6|150000|||Monthly|||||2023-11-15||||||| | | | | | | | | |||N|0|N|N|416A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||20.11|20.09|0.0|0.0|20.11|0.0|20.14|20.11|0.0|0.0|0.0|20.1|20.11|20.11|0.0|0.0|0.0|20.1399|20.11|20.1399|15.4|25.01|15.4|20.2|20.08|20.15|20.07|20.21|20.07|20.2|20.12|25.79|20.16|19.98|98800|276313 37330|THTX|THTX|88338H704|CA88338H7040|Theratechnologies Inc|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN5-2|TXN14-5|TXN6-2|TXN6-7|24200000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CAN||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||1.62|1.69|0.0|0.0|0.0|1.67|1.6784|1.62|0.0|0.0|1.69|1.69|1.69|1.621|0.0|1.62|0.0|1.6784|1.61|1.6784|1.6|1.74|1.37|2.05|1.65|1.76|1.6|1.79|1.63|1.72|1.66|1.7|3.29|0.552|59472|34502917 50219|THW|THW|87911L108|US87911L1089|abrdn World Healthcare Fund|Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN4-4|TXN3-8|TXN3-8|TXN4-6|38000000|||Monthly|||||2015-06-26||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||11.56|11.56|0.0|0.0|0.0|11.585|11.56|11.585|0.0|0.0|11.57|11.45|11.59|11.56|11.48|11.56|11.53|11.56|0.0|11.56|11.56|11.58|8.84|14.06|11.56|11.6|11.54|11.61|11.55|11.59|11.56|11.58|15.84|9.76|156227|24416186 60737|THWWW|THWWW|87615L115|US87615L1153|Target Hospitality Corp|WT EXP 3/15/2024||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN5-6|TXN13-7|TXN5-7|TXN5-7|101660000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y|C|||||0.0|0.0|0.0|0.0|0.0|1.02|1.0357|0.0|0.0|0.0|1.14|0.0|1.05|0.0|0.0|0.0|0.0|1.0357|0.0|1.0357|0.0|0.0|0.0|0.0|1.03|1.16|0.0|0.0|0.0|0.0|1.05|1.08|7.56|1.0036|1165|4181341 66838|THY|THY|66538J738|US66538J7384|Northern Lights Fund Trust|Toews Agility Shares Dynamic Tactical Income ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Ultimus Fund Solutions (Toews)|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-1|TXN2-6|TXN9-8|TXN4-7|TXN4-8|1400000|||Monthly|||||2023-04-24||.|.|.|.|.| | | | | | | | | |||N|0|N|N|416A|USA|US|HYBRID|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||21.99|22.0|0.0|0.0|21.99|0.0|22.0|22.03|0.0|0.0|21.98|0.0|22.0|21.99|0.0|0.0|0.0|22.02|0.0|22.02|0.0|0.0|0.0|0.0|22.0|22.02|0.0|0.0|0.0|0.0|22.0|22.02|23.67|21.17|22640|2777133 74790|THYF|THYF|87283Q875|US87283Q8758|T. Rowe Price Exchange-Traded Funds, Inc.|T. Rowe Price U.S. High Yield ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||T. Rowe Price|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-2|TXN1-8|TXN5-8|TXN2-6|TXN4-7|775000|||Monthly|||||2022-10-26||THYF.NV|THYF.SO|THYF.EU|THYF.TC| | | | | | | | | | ||The fund seeks total return, and secondarily, current income.|N|0|N|N|400A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|50.6|50.55|0.0|0.0|0.0|50.6|0.0|50.61|50.62|0.0|0.0|0.0|50.58|50.53|50.58|0.0|0.0|0.0|0.0|50.5|50.65|0.0|0.0|0.0|0.0|50.51|50.65|53.1|48.1|1507|315471 62775|TIGO|TIGO|L6388F110|LU0038705702|Millicom International Cellular SA|COM USD2||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN6-7|TXN14-3|TXN6-3|TXN5-1|172100000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||LUX||||15|1510|151020|15102015|Telecommunications|Telecommunications|Telecommunications Service Providers |Telecommunications Services|N||N||||||Y|0|Y||||||0.0|17.13|0.0|0.0|17.07|17.12|17.14|17.12|0.0|0.0|17.13|17.08|17.13|17.14|0.0|17.21|0.0|17.14|0.0|17.13|16.98|17.29|13.37|21.16|17.12|17.26|13.37|21.16|17.1|17.17|17.12|17.15|21.15|12.329|82990|28748422 63281|TIGR|TIGR|91531W106|US91531W1062|UP Fintech Holding Ltd|ADR||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN5-6|TXN10-8|TXN5-1|TXN6-2|2221400000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||30|3020|302020|30202015|Financials|Financial Services |Investment Banking and Brokerage Services |Investment Services|N||N||||||Y|0|Y||||||4.28|4.29|0.0|4.25|4.29|4.29|4.285|4.285|0.0|0.0|4.29|4.29|4.28|4.27|4.28|4.285|4.29|4.285|4.29|4.28|4.28|4.3|3.35|5.23|4.28|4.3|4.25|4.32|4.24|4.33|4.28|4.29|5.8|2.31|1588466|298394964 69814|TIL|TIL|45783C101|US45783C1018|Instil Bio Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-3|TXN5-5|TXN11-7|TXN5-3|TXN6-8|130080000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||0.337|0.338|0.0|0.0|0.337|0.334|0.3351|0.337|0.0|0.0|0.3341|0.3303|0.34|0.337|0.0|0.337|0.337|0.3366|0.337|0.34|0.3235|0.355|0.2643|0.4152|0.3332|0.353|0.2643|0.4152|0.0|0.0|0.34|0.346|1.31|0.325|285463|148836040 1997|TILE|TILE|458665304|US4586653044|Interface Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN6-7|TXN12-5|TXN5-7|TXN6-4|58110000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4020|402020|40202015|Consumer Discretionary|Consumer Products and Services|Household Goods and Home Construction|Household Furnishings|N||N||||||N|0|Y||||||0.0|10.995|0.0|11.01|11.01|11.015|11.0|11.02|0.0|0.0|11.0|10.96|11.01|11.0|11.01|11.015|11.01|11.0|11.01|11.01|10.98|11.1|8.49|13.26|10.97|11.01|10.98|11.03|10.98|11.03|11.0|11.01|12.29|6.51|286708|79214893 74039|TILL|TILL|53656F144|US53656F1443|Listed Funds Trust|Teucrium Agricultural Strategy No K-1 ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Teucrium|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-6|TXN3-1|TXN8-8|TXN4-5|TXN2-1|162500|||Yearly|||||2022-05-17||TILL.NV|TILL.SO|TILL.EU|TILL.TC|TILL.IV| | | | | | | | | |1x|The Teucrium Agricultural Strategy No K-1 ETF (TILL) provides investors an easy way to gain long only price exposure to corn, wheat, soybeans, and sugar futures in a brokerage account. TILL is an actively managed fund seeking long term capital appreciation. The managers select specific futures contracts according to a proprietary model. The fund seeks to own one contract per market, maintaining perpetual, long only exposure to each commodity. Generally, rebalances occur monthly, to maintain an approximate equal weight between holdings.|N|0|N|N|412C|USA||COMMODITIES_AND_FUTURES|ACTIVE|||||||||N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|35.15|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|35.22|0.0|35.22|35.11|35.34|35.11|35.33|35.18|35.33|35.11|35.33|35.12|35.32|35.12|35.32|38.3799|33.1101|19|3150147 38838|TILT|TILT|33939L100|US33939L1008|FlexShares Morningstar US Market Factors Tilt Index Fund|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-8|TXN4-7|TXN8-8|TXN1-6|TXN3-7|8400001|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|173.96|0.0|0.0|173.58|0.0|174.0|0.0|0.0|0.0|171.07|0.0|173.99|173.26|0.0|0.0|0.0|173.96|0.0|173.96|173.59|174.29|0.0|0.0|173.89|174.0|0.0|0.0|0.0|0.0|173.9|173.99|175.84|145.7762|14248|2187437 67864|TIMB|TIMB|88706T108|US88706T1088|TIM S.A.|American Depositary Shares, as evidenced by American Depositary Receipts, each representing five Common Shares|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-2|TXN2-4|TXN2-4|TXN2-6|TXN1-2|2420800000|||Yearly|||||2020-10-13||||||| | | | | | | | | |||N|0|N|Y|306A|BRA|BR|||15|1510|151020|15102015|Telecommunications|Telecommunications|Telecommunications Service Providers |Telecommunications Services|N||N||||||Y|0|Y||Y|2|||17.55|17.545|0.0|17.54|17.54|17.545|17.54|17.545|0.0|0.0|17.54|17.54|17.55|17.55|17.58|17.53|17.64|17.53|17.755|17.53|17.53|17.55|13.61|21.54|17.51|17.56|17.45|17.63|17.52|17.63|17.53|17.55|18.03|10.195|341094|117255395 73338|TIME|TIME|14064D568|US14064D5683|Capitol Series Trust|Clockwise Core Equity & Innovation ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Ultimus Fund Solutions (Clockwise)|RBC Capital Markets, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-3|TXN4-7|TXN7-8|TXN3-2|TXN4-7|750000|||Yearly|||||2022-01-28||CWC.NV|CWC.SO|CWC.EU|CWC.TC| | | | | | | | | | |1x|The Fund is an actively-managed exchange-traded fund (ETF) that will invest under normal circumstances primarily in domestic equity securities of companies that are relevant to the Funds investment theme of 5G enabled opportunistic investing. The Fund may also invest in fixed income securities on an opportunistic basis. The Adviser defines 5G enabled opportunistic investing as investing in companies that, in the Advisers opinion, best leverage the proliferation of 5G internet and cloud-based products and services. 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THE UNDERLYING INDEX MEASURES THE PERFORMANCE OF THE INFLATION-PROTECTED PUBLIC OBLIGATIONS OF THE U.S. TREASURY. INFLATION-PROTECTED PUBLIC OBLIGATIONS OF THE U.S. TREASURY, COMMONLY KNOWN AS TIPS, ARE SECURITIES ISSUED BY THE U.S. TREASURY THAT ARE DESIGNED TO PROVIDE INFLATION PROTECTION TO INVESTORS. TIPS ARE INCOME-GENERATING INSTRUMENTS WHOSE INTEREST AND PRINCIPAL PAYMENTS ARE ADJUSTED FOR INFLATIONA SUSTAINED INCREASE IN PRICES THAT ERODES THE PURCHASING POWER OF MONEY. THE INFLATION ADJUSENT, WHICH IS TYPICALLY APPLIED MONTHLY TO THE PRINCIPAL OF THE BOND, FOLLOWS A DESIGNATED INFLATION INDEX, SUCH AS THE CONSUMER PRICE INDEX. A FIXED COUPON RATE IS APPLIED TO THE INFLATION-ADJUSTED PRINCIPAL SO THAT AS INFLATION RISES, BOTH THE PRINCIPAL VALUE AND THE INTEREST PAYMENTS INCREASE. THIS CAN PROVIDE INVESTORS WITH A HEDGE AGAINST INFLATION, AS IT HELPS PRESERVE THE PURCHASING POWER OF AN investment. BECAUSE OF THIS INFLATION ADJUSENT FEATURE, INFLATION-PROTECTED BONDS TYPICALLY HAVE LOWER YIELDS THAN CONVENTIONAL FIXED-RATE BONDS. AS OF MAY 31, 2009, THERE WERE 27 ISSUES IN THE UNDERLYING INDEX. THE UNDERLYING INDEX INCLUDES ALL PUBLICLY-ISSUED U.S. TREASURY INFLATION-PROTECTED SECURITIES THAT HAVE AT LEAST ONE YEAR REMAINING TO MATURITY, ARE RATED investment GRADE AND HAVE $250 MILLION OR MORE OF OUTSTANDING FACE VALUE. IN ADDITION, THE SECURITIES MUST BE DENOMINATED IN U.S. DOLLARS AND MUST BE FIXED-RATE AND NONCONVERTIBLE. 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LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN4-2|TXN2-8|TXN2-3|TXN2-8|4370000|||NotApplicable|||||2012-01-03||||||| | | | | | | | | |||N|0|N|Y|104C|USA|US|||50|5020|502050|50205020|Industrials|Industrial Goods and Services|Industrial Support Services|Professional Business Support Services|N||N||||||N|0|Y|D|Y|2|||0.0|6.67|0.0|0.0|0.0|7.0|7.0308|6.94|0.0|0.0|6.8|0.0|7.05|6.72|0.0|7.0308|0.0|7.0308|0.0|7.0308|7.0|7.1|5.45|8.63|6.72|7.38|5.45|7.92|0.0|0.0|7.0|7.1|11.25|0.5565|20897|9840036 26437|TITN|TITN|88830R101|US88830R1014|Titan Machinery Inc|COM USD.00001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN5-6|TXN12-6|TXN6-2|TXN6-1|22860000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502040|50204010|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Agricultural|N||N||||||Y|0|Y||||||25.37|25.59|0.0|25.27|25.58|25.61|25.66|25.62|0.0|0.0|25.66|25.58|25.66|25.66|25.35|25.48|0.0|25.66|0.0|25.66|25.35|25.88|19.74|30.84|25.38|25.83|25.6|25.71|25.58|25.73|25.65|25.66|47.87|21.44|378621|57873697 72351|TIVC|TIVC|888705209|US8887052095|Tivic Health Systems Inc|COM USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN6-8|TXN12-5|TXN5-2|TXN5-5|1470000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||N|0|Y|D|||||2.08|2.17|0.0|0.0|2.14|2.09|2.16|2.29|0.0|0.0|2.12|2.12|2.17|2.09|0.0|2.08|0.0|2.17|2.08|2.17|1.61|2.67|1.61|2.67|2.0|2.24|1.61|2.67|0.0|0.0|2.08|2.17|4.01|0.0352|170670|2716878475 69001|TIXT|TIXT|87975H100|CA87975H1001|TELUS International (Cda) Inc.|Subordinate Voting Shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-5|TXN3-8|TXN8-6|TXN4-7|TXN4-7|73670000|||NotApplicable|||||2021-02-03||||||| | | | | | | | | |||N|0|N|Y|180B|CAN|CA|||10|1010|101010|10101010|Technology|Technology|Software and Computer Services|Computer Services|N||N||||||Y|0|Y||Y|2|||7.51|7.61|0.0|7.6|7.6|7.605|7.61|7.605|0.0|0.0|7.6|7.6|7.605|7.61|7.6|7.61|7.58|7.605|7.6|7.61|7.59|7.61|5.86|9.18|7.54|7.64|7.58|7.63|7.57|7.64|7.59|7.61|24.52|6.025|239588|51008314 76024|TJUL|TJUL|45783Y541|US45783Y5419|Innovator Equity Defined Protection ETF - 2 Yr to July 2025|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-4|TXN1-4|TXN7-8|TXN3-6|TXN2-4|8830000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||25.1|25.13|0.0|0.0|25.16|25.1|25.1681|25.11|0.0|0.0|25.1|0.0|25.17|25.1|25.1|25.1|0.0|25.13|0.0|25.13|19.33|30.83|19.33|30.83|25.11|25.19|19.33|25.32|0.0|0.0|25.13|25.19|25.29|24.13|61280|12717657 9526|TJX|TJX|872540109|US8725401090|The TJX Companies, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|N|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-4|TXN1-1|TXN7-7|TXN2-4|TXN3-6|1139680000|||Quarterly|||||1965-11-17||||||| | | | | | | | | |||N|5|Y|Y|146B|USA|US|||40|4040|404010|40401020|Consumer Discretionary|Retail |Retailers |Apparel Retailers|N||N||||||Y|0|Y||Y|1|||88.575|88.56|0.0|88.57|88.56|88.57|88.57|88.58|0.0|0.0|88.55|88.54|88.56|88.58|88.59|88.57|88.49|88.55|88.585|88.57|88.54|88.55|88.24|89.14|88.54|88.6|88.54|88.61|88.5|88.62|88.54|88.55|93.78|72.92|5884521|1175490284 9527|TK|TK|Y8564W103|MHY8564W1030|Teekay Corporation|Common Stock|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-5|TXN3-8|TXN5-8|TXN1-8|TXN2-7|90950000|||NotApplicable|||||1995-07-20||||||| | | | | | | | | |||N|0|N|Y|208A|BMU|BS|||50|5020|502060|50206030|Industrials|Industrial Goods and Services|Industrial Transportation|Marine Transportation|N||N||||||Y|0|Y||Y|2|||6.87|6.88|0.0|0.0|6.88|6.875|6.875|6.885|0.0|0.0|6.88|6.88|6.875|6.88|6.98|6.87|6.92|6.875|7.075|6.87|6.87|6.88|5.44|8.45|6.87|6.91|6.85|6.91|6.86|6.92|6.87|6.88|7.67|3.945|392776|187192362 9530|TKC|TKC|900111204|US9001112047|Turkcell Iletisim Hizmetleri A.S.|American Depositary Shares (Each representing 2 1/2 Tradable Shares)|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN1-7|TXN5-8|TXN3-5|TXN3-2|2200000000|||Yearly|||||2000-07-11||||||| | | | | | | | | |||N|0|N|Y|306A|TUR|TR|||15|1510|151020|15102015|Telecommunications|Telecommunications|Telecommunications Service Providers |Telecommunications Services|N||N||||||Y|0|Y||Y|2|||5.1|5.0|0.0|4.95|5.0|5.005|5.0|4.985|0.0|0.0|5.0|5.0|4.995|4.98|4.96|4.98|0.0|5.0|4.97|4.98|4.98|5.0|3.88|6.05|4.97|5.02|4.97|5.03|4.98|5.03|4.98|5.0|5.63|3.52|207954|87820614 73237|TKLF|TKLF|98741L101|US98741L1017|Yoshitsu Co Ltd|ADS||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-5|TXN5-4|TXN14-5|TXN6-4|TXN6-6|36250000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||JPN||||40|4040|404010|40401010|Consumer Discretionary|Retail |Retailers |Diversified Retailers|N||N||||||N|0|Y||||||0.82|0.782|0.0|0.0|0.82|0.82|0.77|0.819|0.0|0.0|0.82|0.7856|0.77|0.8199|0.82|0.0|0.0|0.784|0.82|0.784|0.6242|0.948|0.6242|0.948|0.7098|0.8553|0.7415|0.8377|0.7426|0.8422|0.7603|0.802|1.69|0.4309|169947|56430795 70978|TKNO|TKNO|02080L102|US02080L1026|Alpha Teknova Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN6-3|TXN11-4|TXN5-4|TXN6-6|40730000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||2.82|2.85|0.0|0.0|2.91|2.85|2.81|2.82|0.0|0.0|2.855|2.85|2.89|2.65|0.0|0.0|2.8|2.81|0.0|2.89|2.22|3.46|2.22|3.54|2.68|3.02|2.22|3.46|0.0|0.0|2.81|2.89|6.48|1.62|74476|15074577 76277|TKO|TKO|87256C101|US87256C1018|TKO Group Holdings, Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-4|TXN3-2|TXN4-5|TXN2-7|TXN2-3|83370000|||NotApplicable|||||2023-09-12||||||| | | | | | | | | |||N|0|Y|N|144D|USA|US|||40|4030|403010|40301010|Consumer Discretionary|Media|Media|Entertainment|N||N||||||Y|0|Y||Y|1|||75.53|75.49|0.0|75.62|75.5|75.51|75.485|75.5|0.0|0.0|75.5|75.495|75.485|75.49|75.5|75.5|75.55|75.5|75.495|75.5|75.49|75.5|70.76|80.48|75.1|75.64|75.4|75.6|75.44|75.52|75.49|75.5|106.16|75.44|1217068|78618554 9535|TKR|TKR|887389104|US8873891043|The Timken Company|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-5|TXN3-8|TXN5-8|TXN3-8|TXN4-8|70550000|||Quarterly|||||1922-09-26||||||| | | | | | | | | |||N|0|Y|Y|126E|USA|US|||55|5510|551020|55102015|Basic Materials|Basic Resources|Industrial Metals and Mining|Metal Fabricating|N||N||||||Y|0|Y||Y|1|||75.2|75.18|0.0|74.6|75.1|74.99|75.09|75.09|0.0|0.0|75.19|75.19|75.085|75.15|75.19|75.09|74.97|75.07|75.16|75.09|75.07|75.09|69.79|79.86|74.77|75.56|75.02|75.15|75.03|75.15|75.07|75.09|95.08|65.71|461790|135983749 74559|TLF|TLF|87538X105|US87538X1054|Tandy Leather Factory Inc|COM USD.0024||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN6-6|TXN13-3|TXN6-6|TXN6-5|8400000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4040|404010|40401030|Consumer Discretionary|Retail |Retailers |Specialty Retailers |N||N||||||N|0|Y||||||4.09|4.09|0.0|4.09|0.0|4.06|4.01|0.0|0.0|0.0|4.09|4.09|4.22|0.0|0.0|0.0|0.0|4.01|0.0|4.01|0.0|0.0|0.0|0.0|3.89|4.42|0.0|0.0|0.0|0.0|4.02|4.24|5.05|3.75|15957|848203 73284|TLGY|TLGY|G8656T109|KYG8656T1094|TLGY Acquisition Corporation|ORD SHS CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN6-8|TXN14-3|TXN6-6|TXN6-6|7320000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.37|11.78|11.05|0.0|0.0|0.0|11.05|11.08|11.35|10.21|50001|6389358 72711|TLGYU|TLGYU|G8656T117|KYG8656T1177|TLGY Acquisition Corporation|UNITS||R|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN5-7|TXN11-6|TXN6-7|TXN6-7|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|8.8|14.53|0.0|0.0|10.96|12.11|8.8|14.53|0.0|0.0|11.04|12.11|11.175|10.0|0|64187 73285|TLGYW|TLGYW|G8656T125|KYG8656T1250|TLGY Acquisition Corporation|WRTTS||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-4|TXN5-4|TXN13-8|TXN6-1|TXN6-2|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.03|0.03|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.03|0.03|0.03|0.03|0.0|0.03|0.0|0.03|0.03|0.03|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.016|0.04|0.3195|0.0044|4000|4239062 18790|TLH|TLH|464288653|US4642886539|iShares Trust|iShares 10-20 Year Treasury Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-6|TXN3-1|TXN9-5|TXN2-3|TXN3-4|70600000|||Monthly|||||2007-12-06||TLH.NV|TLH.SO|TLH.EU|TLH.TC|TLH.IV| | | | | | | | | |1x|The ICE U.S. Treasury 10-20 Year Bond Index is part of a series of indices intended to assess U.S. Treasury issued debt. 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Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN5-4|TXN12-2|TXN6-2|TXN6-1|730290000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CAN||||20|2010|201030|20103020|Health Care |Health Care |Pharmaceuticals and Biotechnology|Cannabis Producers|N||N||||||Y|0|Y||||||2.06|2.05|0.0|2.05|2.06|2.055|2.05|2.055|0.0|0.0|2.055|2.06|2.06|2.055|2.06|2.055|2.055|2.05|2.05|2.06|2.03|2.07|2.0|2.46|2.05|2.06|2.02|2.09|2.04|2.07|2.05|2.06|5.12|1.5|23704587|4382555080 68207|TLS|TLS|87969B101|US87969B1017|Telos Corp|COM 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USD0.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-1|TXN6-4|TXN10-2|TXN5-3|TXN5-5|102270000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||GBR||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||0.0|0.61|0.0|0.0|0.6199|0.6201|0.6176|0.6176|0.0|0.0|0.0|0.0|0.6201|0.0|0.0|0.0|0.0|0.6201|0.0|0.6201|0.5771|0.6509|0.4652|0.7438|0.5815|0.6613|0.4652|0.7438|0.0|0.0|0.61|0.6201|1.3928|0.5005|29758|61686530 69096|TLSI|TLSI|89680M101|US89680M1018|TriSalus Life Sciences Inc|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN5-5|TXN13-2|TXN5-4|TXN5-7|26320000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||3.97|3.97|0.0|0.0|4.0|3.97|4.0|3.925|0.0|0.0|3.88|3.87|4.01|0.0|3.96|4.0|3.97|4.0|4.0|4.0|3.01|5.02|3.88|5.02|3.88|4.1|3.01|5.02|0.0|0.0|3.88|4.1|16.24|3.32|68189|3413502 69097|TLSIW|TLSIW|89680M119|US89680M1190|TriSalus Life Sciences Inc|WT EX||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-4|TXN5-4|TXN14-1|TXN5-5|TXN6-3|26320000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y|D|||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.315|0.26|0.0|0.0|0.0|0.0|0.26|0.0|0.26|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.25|0.315|0.4775|0.0911|855|1862282 9549|TLT|TLT|464287432|US4642874329|iShares Trust iShares 20 Year Treasury Bond ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN6-3|TXN11-3|TXN6-5|TXN5-2|501500000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||92.58|92.6|0.0|92.62|92.58|92.6|92.615|92.58|0.0|0.0|92.58|92.56|92.615|92.61|92.61|92.56|92.53|92.58|92.54|92.615|92.51|93.55|91.51|98.29|92.61|92.62|92.59|97.08|92.44|92.76|92.61|92.62|109.68|82.42|33766250|6817732487 40783|TLTD|TLTD|33939L803|US33939L8037|FlexShares Trust|FlexShares Morningstar Developed Markets ex-US Factor Tilt Index Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Northern Trust Investments|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN3-1|TXN8-8|TXN4-3|TXN2-2|7800001|||Quarterly|||||2012-09-28||TLTD.NV|TLTD.SO|TLTD.EU|TLTD.TC|TLTD.IV| | | | | | | | | |1x|The Fund seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the Morningstar Developed Markets ex-US Factor Tilt Index.The Morningstar Developed Markets ex-U.S. Factor Tilt Index measures the performance of developed equity markets (excluding the U.S.) with increased exposure toward small-capitalization and value stocks. |N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||65.53|0.0|0.0|0.0|0.0|65.51|65.5|0.0|0.0|0.0|0.0|0.0|65.5|65.98|0.0|0.0|0.0|65.51|0.0|65.51|52.24|78.63|0.0|0.0|65.44|65.52|61.9|69.49|0.0|0.0|65.44|65.52|67.595|59.275|22893|3404738 40784|TLTE|TLTE|33939L308|US33939L3087|FlexShares Trust|FlexShares Morningstar Emerging Markets Factor Tilt Index Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Northern Trust Investments|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-3|TXN4-1|TXN3-8|TXN4-1|TXN3-5|4700001|||Quarterly|||||2012-09-28||TLTE.NV|TLTE.SO|TLTE.EU|TLTE.TC|TLTE.IV| | | | | | | | | |1x|The Fund seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the Morningstar Developed Markets ex-US Factor Tilt Index (the Underlying Index). The Morningstar Emerging Markets Factor Tilt Index measures the performance of emerging equity markets with increased exposure toward small-capitalization and value stocks. |N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|49.46|50.11|0.0|0.0|50.07|0.0|0.0|0.0|0.0|0.0|0.0|49.5054|0.0|49.5054|39.51|59.79|0.0|0.0|49.46|49.55|46.9|52.33|0.0|0.0|49.46|49.55|52.15|45.915|2720|2755535 74493|TLTW|TLTW|46436E338|US46436E3383|iShares 20 Year Treasury Bond BuyWrite Strategy ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-7|TXN2-8|TXN9-8|TXN1-5|TXN4-8|28930000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||27.91|27.91|0.0|0.0|27.9|27.905|27.905|27.9|0.0|0.0|27.91|27.91|27.905|27.91|27.88|27.905|27.905|27.91|27.89|27.91|27.88|27.91|26.13|29.62|27.89|27.91|27.85|28.06|27.85|28.06|27.9|27.91|35.549|26.7|963415|93226287 39978|TLYS|TLYS|886885102|US8868851028|Tilly's, Inc.|Class A Common Stock, $0.001 par value per share|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN1-8|TXN4-8|TXN4-6|TXN1-8|22650000|||Adhoc|||||2012-05-04||||||| | | | | | | | | |||N|0|N|Y|148B|USA|US|||40|4040|404010|40401020|Consumer Discretionary|Retail |Retailers |Apparel Retailers|N||N||||||Y|0|Y||Y|2|||7.86|7.85|0.0|7.87|7.88|7.87|7.879|7.86|0.0|0.0|7.86|7.85|7.86|7.85|7.87|7.86|7.84|7.87|7.84|7.86|7.85|7.87|6.05|9.59|7.76|7.98|7.8|7.92|7.85|7.92|7.85|7.87|9.99|6.05|296045|38895755 9551|TM|TM|892331307|US8923313071|Toyota Motor Corporation|American Depositary Shares (Each representing ten Ordinary Shares)|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|8|Q|GTS Securities 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The Fund is different and much riskier than most exchange-traded funds.|N|0|N|N|416A|USA|US|FIXED_INCOME|INVERSE|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||36.81|36.86|0.0|0.0|36.9|36.86|36.87|36.89|0.0|0.0|36.84|36.88|36.86|36.91|36.91|36.88|36.93|36.82|36.89|36.82|35.78|37.98|36.55|37.04|36.81|36.82|36.55|37.21|36.6|37.0|36.81|36.82|158.68|34.14|2647417|240839681 29271|TNA|TNA|25459W847|US25459W8477|Direxion Shares ETF Trust|Direxion Daily Small Cap Bull 3X Shares|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Direxion Shares|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-3|TXN1-2|TXN9-2|TXN4-1|TXN4-4|58600000.998|||Quarterly|||||2008-11-05||TNA.NV|TNA.SO|TNA.EU|TNA.TC|TNA.IV| | | | | | | | | |3x|The small cap Bull 3X Shares seeks daily investment results, before fees and expenses, of 300% of the price performance of the Russell 2000 Index (small cap Index). There is no guarantee the fund will meet its stated investment objective. The Russell 2000 Index measures the performance of the small cap segment of the U.S. equity universe and is comprised of the smallest 2000 companies in the Russell 3000 Index, representing approximately 10% of the total market capitalization of that Index. It includes approximately 2000 of the smallest securities based on a combination of their market cap and current index membership. The companies included in the Index have an average market capitalization of more than $700 million dollars and a median market capitalization of $500 million dollars as of April 30, 2008.|N|0|N|N|416A|USA|US|EQUITY|LEVERAGED|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||32.305|32.275|0.0|31.89|32.26|32.27|32.29|32.3|0.0|0.0|32.26|32.26|32.285|32.3|32.32|32.3|32.3|32.29|32.29|32.29|32.28|32.3|32.12|32.41|32.28|32.29|32.27|32.3|32.16|32.4|32.28|32.29|46.33|21.5785|25186752|3059681682 9572|TNC|TNC|880345103|US8803451033|Tennant Company|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN4-5|TXN5-8|TXN3-1|TXN2-5|18680000|||Quarterly|||||2000-10-30||||||| | | | | | | | | |||N|0|N|Y|126E|USA|US|||50|5020|502040|50204050|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Specialty|N||N||||||N|0|Y||Y|2|||87.02|87.02|0.0|87.08|87.05|87.05|87.03|87.07|0.0|0.0|87.06|87.04|87.07|87.08|85.82|87.11|86.06|87.11|87.14|87.11|87.04|87.11|66.62|106.18|86.37|87.84|86.91|87.24|87.04|87.28|87.04|87.11|89.53|58.59|175431|21166965 43112|TNDM|TNDM|875372203|US8753722037|Tandem Diabetes Care Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN5-2|TXN13-8|TXN6-4|TXN5-5|65210000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||USA||||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||Y|0|Y||||||21.22|21.22|0.0|20.72|21.21|21.22|21.21|21.22|0.0|0.0|21.21|21.21|21.22|21.2|21.07|21.22|21.21|21.21|21.11|21.22|21.07|21.35|19.74|22.48|21.08|21.33|21.18|21.27|21.18|21.25|21.21|21.22|47.175|13.82|1171900|320128221 43810|TNET|TNET|896288107|US8962881079|TriNet Group, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|P|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN3-6|TXN1-8|TXN4-2|TXN4-3|50510000|||NotApplicable|||||2014-03-27||||||| | | | | | | | | |||N|0|N|Y|108B|USA|US|||50|5020|502050|50205020|Industrials|Industrial Goods and Services|Industrial Support Services|Professional Business Support Services|N||N||||||Y|0|Y||Y|2|||118.32|118.35|0.0|118.25|118.37|118.01|118.35|118.39|0.0|0.0|117.73|118.35|118.37|118.0|118.23|118.3|118.08|118.35|114.67|118.3|118.3|118.38|90.39|144.29|118.09|118.56|118.16|118.52|118.3|118.53|118.3|118.38|121.6|61.93|290365|96829647 67430|TNGX|TNGX|87583X109|US87583X1090|Tango Therapeutics Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN5-4|TXN10-6|TXN5-6|TXN5-3|101990000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||7.74|7.75|0.0|7.62|7.73|7.74|7.73|7.74|0.0|0.0|7.76|7.77|7.73|7.73|7.77|7.73|7.74|7.73|0.0|7.73|7.68|7.83|5.91|9.51|7.67|7.82|7.7|7.77|7.7|7.76|7.73|7.74|13.03|2.47|339109|205455620 26536|TNK|TNK|Y8565N300|MHY8565N3002|Teekay Tankers Ltd.|Class A Common Stock|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|5|A|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN3-1|TXN8-7|TXN2-5|TXN2-1|29310000|||Adhoc|||||2019-11-25||||||| | | | | | | | | |||N|0|N|Y|200A|BMU|MH|||50|5020|502060|50206030|Industrials|Industrial Goods and Services|Industrial Transportation|Marine Transportation|N||N||||||Y|0|Y||Y|2|||49.49|49.5|0.0|49.5|49.49|49.49|49.53|49.53|0.0|0.0|49.53|49.53|49.53|49.5|49.6|49.55|50.85|49.54|50.75|49.55|49.53|49.55|39.19|60.95|49.42|49.64|49.45|49.61|49.44|49.63|49.53|49.55|54.11|26.4|305650|106597058 16871|TNL|TNL|894164102|US8941641024|Travel + Leisure Co.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|M|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-7|TXN3-1|TXN8-1|TXN3-7|TXN2-8|72420000|||Quarterly|||||2006-07-19||||||| | | | | | | | | |||N|0|Y|Y|128A|USA|US|||40|4050|405010|40501025|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Hotels and Motels |N||N||||||Y|0|Y||Y|1|||37.48|37.43|0.0|38.25|37.41|37.42|37.42|37.4|0.0|0.0|37.4|37.5|37.4|37.49|37.84|37.41|37.32|37.41|37.41|37.41|37.4|37.41|35.1|39.65|37.25|37.67|37.36|37.46|37.36|37.43|37.4|37.41|44.99|32.1|873763|167992266 73953|TNON|TNON|88066N204|US88066N2045|Tenon Medical Inc|COM USD0.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN6-2|TXN10-5|TXN6-8|TXN5-5|2470000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||N|0|Y|C|||||1.87|1.93|0.0|0.0|1.93|1.97|1.93|1.97|0.0|0.0|1.93|2.06|1.97|2.08|1.91|1.98|0.0|1.93|0.0|1.97|1.85|2.08|1.52|2.41|1.9|2.06|1.52|2.41|0.0|0.0|1.92|1.99|4.7|0.0768|170783|297176416 75886|TNONW|TNONW|88066N113|US88066N1138|Tenon Medical Inc|WT EXP 061628||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-1|TXN6-5|TXN10-2|TXN5-8|TXN5-7|24710000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y|D|||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0222|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.045|0.0|0.0|0.0|0.0|0.0222|0.045|0.2184|0.01|41|3661206 9579|TNP|TNP|G9108L173|BMG9108L1735|Tsakos Energy Navigation Limited|Common Shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN3-4|TXN1-5|TXN3-3|TXN1-1|30180000|||BiAnnually|||||2002-03-05||||||| | | | | | | | | |||N|0|N|Y|208A|GRC|BM|||50|5020|502060|50206030|Industrials|Industrial Goods and Services|Industrial Transportation|Marine Transportation|N||N||||||Y|0|Y||Y|2|||20.14|20.19|0.0|20.08|20.2|20.15|20.18|20.19|0.0|0.0|20.03|20.08|20.19|20.14|20.48|20.2|20.09|20.16|20.08|20.2|20.16|20.2|15.81|24.65|20.02|20.24|20.12|20.24|20.16|20.23|20.16|20.2|24.776|15.0|153858|73522607 57005|TNP PRE|TNPpE|G9108L157|BMG9108L1578|Tsakos Energy Navigation Limited|Series E Fixed-to-Floating Rate Cumulative Redeemable Perpetual Preferred Shares, par value $1.00|Operating company|B|N|Y|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN2-3|TXN2-8|TXN2-7|TXN1-2|4750000|||Quarterly|||||2017-04-10||||||| | | | | | | | | |||N|0|N|N|208A|GRC|BM|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|25.31|25.285|0.0|0.0|0.0|0.0|0.0|25.29|0.0|0.0|25.28|25.3|25.28|0.0|25.28|25.27|25.3|25.29|25.34|25.15|27.08|0.0|0.0|0.0|0.0|25.27|25.3|25.8789|23.65|9084|1897517 61223|TNP PRF|TNPpF|G9108L165|BMG9108L1651|Tsakos Energy Navigation Limited|Series F Fixed-to-Floating Rate Cumulative Redeemable Perpetual Preferred Shares|Operating company|B|N|Y|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN1-4|TXN1-5|TXN1-2|TXN4-7|6750000|||Quarterly|||||2018-07-03||||||| | | | | | | | | |||N|0|N|N|208A|GRC|BM|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|25.57|25.56|0.0|0.0|0.0|25.59|0.0|25.6|0.0|0.0|25.62|25.57|25.62|24.0025|25.62|25.59|25.62|25.55|25.8|23.86|27.38|0.0|0.0|0.0|0.0|25.59|25.62|25.85|23.99|6622|3098947 42397|TNXP|TNXP|890260854|US8902608541|Tonix Pharmaceuticals Holding Corp|COM USD0.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-3|TXN5-6|TXN13-4|TXN5-3|TXN6-6|23850000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y|C|||||0.4748|0.492|0.0|0.481|0.4748|0.47|0.4793|0.4749|0.0|0.0|0.4704|0.4972|0.4749|0.48|0.4949|0.497|0.5|0.4793|0.48|0.4749|0.4417|0.5162|0.376|0.5851|0.4604|0.5132|0.4441|0.5129|0.4406|0.5164|0.4651|0.4935|2.24|0.289|3833025|304426313 71298|TNYA|TNYA|87990A106|US87990A1060|Tenaya Therapeutics Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN5-5|TXN12-2|TXN6-8|TXN5-4|68110000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||2.0|1.995|0.0|0.0|2.0|2.0|2.0|2.0|0.0|0.0|1.99|1.96|1.99|1.98|1.99|2.0|2.0|1.995|1.96|1.99|1.97|2.02|1.54|2.42|1.97|2.02|1.97|2.02|1.96|2.02|1.99|2.0|8.0914|1.64|621579|101858567 66264|TOI|TOI|68236X100|US68236X1000|The Oncology Institute Inc|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN5-2|TXN12-5|TXN6-3|TXN6-7|73750000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201010|20101010|Health Care |Health Care |Health Care Providers|Health Care Facilities|N||N||||||N|0|Y|D|||||1.49|1.49|0.0|0.0|1.5|1.48|1.4895|1.485|0.0|0.0|1.49|1.48|1.49|1.48|1.5|1.49|1.49|1.49|0.0|1.49|1.45|1.54|1.16|1.77|1.43|1.52|1.45|1.52|1.44|1.53|1.48|1.49|2.655|0.33|349979|90828874 66265|TOIIW|TOIIW|68236X118|US68236X1182|The Oncology Institute Inc|WT EXP||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-5|TXN6-6|TXN12-2|TXN6-8|TXN5-3|73730000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.12|0.22|0.0|0.0|0.0|0.0|0.12|0.22|0.365|0.022|0|2051786 26505|TOK|TOK|464288265|US4642882652|iShares Trust|iShares MSCI Kokusai ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-3|TXN1-6|TXN6-8|TXN2-8|TXN4-3|1950000|||BiAnnually|||||2007-12-12||TOK.NV|TOK.SO|TOK.EU|TOK.TC|TOK.IV| | | | | | | | | |1x|The iShares MSCI Kokusai ETF (the Fund) seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the MSCI Kokusai Index (the Underlying Index). The Underlying Index is designed to measure equity market performance in those countries that MSCI Inc. (MSCI) has classified as having developed economies, excluding Japan (DEEJ). As of June 30, 2012, the MSCI Kokusai Index consisted of securities of issuers in the following countries or regions: Australia, Austria, Belgium, Canada, Denmark, Finland, France, Germany, Greece, Hong Kong, Ireland, Israel, Italy, the Netherlands, New Zealand, Norway, Portugal, Singapore, Spain, Sweden, Switzerland, the United Kingdom and the United States. Components primarily include consumer staples, energy, financial, healthcare and information technology companies. The components of the Underlying Index, and the degree to which these components represent certain industries, may change over time.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|95.0|0.0|0.0|0.0|94.62|95.19|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|95.3116|0.0|95.3116|75.95|114.25|0.0|0.0|95.19|95.44|75.95|114.25|0.0|0.0|95.19|95.44|95.69|79.7874|1082|1496822 64160|TOKE|TOKE|132061821|US1320618218|Cambria Cannabis ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-7|TXN2-6|TXN7-8|TXN4-6|TXN1-2|1750000|||NotApplicable|||||||||||| | | | | | | | | 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Construction|N||N||||||Y|0|Y||Y|1|||87.23|87.23|0.0|87.21|87.22|87.23|87.18|87.2|0.0|0.0|87.17|87.23|87.16|87.23|87.23|87.21|87.29|87.2|87.23|87.21|87.2|87.22|82.1|93.28|86.9|87.36|87.09|87.31|87.09|87.33|87.2|87.22|88.72|45.47|1701089|363738932 75683|TOLL|TOLL|87975E107|US87975E1073|Tema Monopolies and Oligopolies ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-6|TXN2-6|TXN6-8|TXN4-8|TXN1-2|240000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|27.41|0.0|0.0|0.0|0.0|27.04|0.0|0.0|0.0|0.0|0.0|27.28|0.0|0.0|0.0|0.0|27.41|0.0|27.41|0.0|0.0|0.0|0.0|27.17|27.54|0.0|0.0|0.0|0.0|27.3|27.4|27.46|23.6483|1045|316593 43826|TOLZ|TOLZ|74347B508|US74347B5084|ProShares Trust|ProShares DJ Brookfield Global Infrastructure ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ProShares Advisors |SG Americas Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-3|TXN2-1|TXN9-8|TXN4-1|TXN3-5|3350001|||Quarterly|||||2014-03-27||TOLZ.NV|TOLZ.SO|TOLZ.EU|TOLZ.TC|TOLZ.IV| | | | | | | | | |1x|The Index, constructed and maintained by S&P Dow Jones Indices LLC, consists of companies domiciled globally that qualify as pure-play infrastructure companies companies whose primary business is the ownership and operation of infrastructure assets, activities that generally generate long-term stable cash flows.Eligible companies must have more than 70% of cash flows derived from the following infrastructure assets (exclusive of cash flow from infrastructure-related businesses, such as energy exploration and generation): Airports; Toll Roads; Ports; Communications; Electricity Transmission & Distribution;Oil & Gas Storage & Transportation; Water; or Diversified (multiple infrastructure assets),Additionally, companies must meet minimum market capitalization and trading volume requirements.Index weights are based on a modified free-float adjusted market capitalization methodology.The Index is reconstituted and rebalanced quarterly in March, June, September and December.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|44.77|45.111|44.71|0.0|0.0|0.0|0.0|0.0|45.07|0.0|0.0|0.0|45.1177|0.0|45.1177|0.0|0.0|0.0|0.0|45.1|45.24|0.0|0.0|0.0|0.0|45.1|45.24|47.555|39.44|17172|5730702 31356|TOMZ|TOMZ|890023203|US8900232039|TOMI Environmental Solutions Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN6-6|TXN13-5|TXN6-1|TXN5-2|19820000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502040|50204050|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Specialty|N||N||||||N|0|Y||||||1.03|1.04|0.0|0.0|0.0|0.0|0.9988|1.04|0.0|0.0|1.03|0.0|1.0|0.0|0.0|0.0|0.0|1.03|1.04|1.03|0.0|0.0|0.0|0.0|0.9898|1.08|0.0|0.0|0.0|0.0|1.0|1.02|1.39|0.45|14116|23599216 39223|TOON|TOON|37229T509|US37229T5092|Kartoon Studios, Inc.|Common Stock|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN1-4|TXN7-8|TXN1-7|TXN3-5|35190000|||Adhoc|||||2023-06-26||||||| | | | | | | | | |||N|0|N|N|144A|USA|US|||40|4030|403010|40301010|Consumer Discretionary|Media|Media|Entertainment|N||N||||||Y|0|Y||Y|2|||1.65|1.65|0.0|0.0|1.7|1.66|1.65|1.695|0.0|0.0|1.68|1.65|1.64|1.65|0.0|1.57|1.67|1.67|1.58|1.67|1.63|1.69|1.65|1.67|1.64|1.69|1.63|1.69|1.62|1.7|1.65|1.67|3.45|0.9346|238549|43857664 74112|TOP|TOP|G989A6102|KYG989A61029|TOP Financial Group Limited|ORD SHS USD0.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN5-1|TXN12-4|TXN6-1|TXN6-1|35010000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||HKG||||30|3020|302020|30202015|Financials|Financial Services |Investment Banking and Brokerage Services |Investment Services|N||N||||||N|0|Y||||||4.54|4.535|0.0|0.0|4.54|4.54|4.55|4.545|0.0|0.0|4.53|4.57|4.58|0.0|4.58|4.54|0.0|4.55|0.0|4.58|3.52|5.57|3.52|5.57|4.52|4.62|3.52|5.57|0.0|0.0|4.53|4.6|256.44|3.5|107995|341365071 4048|TOPS|TOPS|Y8897Y230|MHY8897Y2307|Top Ships Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN5-1|TXN12-8|TXN6-7|TXN6-2|1690000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||DEU||||50|5020|502060|50206030|Industrials|Industrial Goods and Services|Industrial Transportation|Marine Transportation|N||N||||||N|0|Y||||||12.86|0.0|0.0|0.0|0.0|12.86|12.84|12.66|0.0|0.0|0.0|0.0|12.85|12.86|0.0|0.0|0.0|12.84|0.0|12.84|12.26|13.27|9.96|15.86|12.61|13.21|12.49|13.01|12.49|13.04|12.64|12.86|14.94|0.5555|26180|323740264 75289|TORO|TORO|Y8900D108|MHY8900D1085|Toro Corp|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN5-3|TXN12-1|TXN5-8|TXN6-2|19200000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CYP||||50|5020|502060|50206030|Industrials|Industrial Goods and Services|Industrial Transportation|Marine Transportation|N||N||||||Y|0|Y||||||0.0|4.7|0.0|0.0|0.0|4.81|4.6603|4.66|0.0|0.0|4.7|4.7|4.67|0.0|0.0|0.0|4.65|4.66|0.0|4.66|4.53|4.85|3.66|5.75|4.53|4.83|3.66|5.75|0.0|0.0|4.61|4.71|7.2493|1.42|44271|105803032 71755|TOST|TOST|888787108|US8887871080|Toast, Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-7|TXN1-5|TXN8-8|TXN2-6|TXN1-2|425260000|||NotApplicable|||||2021-09-22||||||| | | | | | | | | |||N|0|Y|Y|180B|USA|US|||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||Y|1|||15.13|15.12|0.0|15.21|15.13|15.12|15.125|15.13|0.0|0.0|15.12|15.12|15.125|15.14|15.14|15.12|15.14|15.125|15.12|15.12|15.12|15.13|14.25|16.15|15.11|15.14|15.1|15.15|15.09|15.16|15.12|15.13|27.0|13.765|7391709|1692303402 49393|TOTL|TOTL|78467V848|US78467V8485|SSGA Active Trust|SPDR DoubleLine Total Return Tactical ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-6|TXN4-6|TXN7-5|TXN2-6|TXN3-5|81850000|||Monthly|||||2015-02-24||TOTL.NV|TOTL.SO|TOTL.EU|TOTL.TC|TOTL.IV| | | | | | | | | ||The SPDR DoubleLine Total Return Tactical ETF seeks to maximize total return. |N|0|N|N|416A|USA|US|FIXED_INCOME|ACTIVE|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||39.155|39.15|0.0|0.0|39.155|39.15|39.16|39.15|0.0|0.0|39.15|39.16|39.15|39.155|39.145|39.16|39.15|39.16|39.155|39.16|37.19|39.24|36.55|41.78|39.14|39.16|37.19|41.09|38.35|39.93|39.14|39.16|41.679|37.45|639292|118097784 71830|TOTR|TOTR|87283Q800|US87283Q8006|T. Rowe Price Exchange-Traded Funds, Inc.|T. Rowe Price Total Return ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||T. Rowe Price|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-1|TXN4-2|TXN5-8|TXN2-7|TXN4-7|2750000|||Monthly|||||2021-09-29||TOTR.NV|TOTR.SO|TOTR.EU|TOTR.TC| | | | | | | | | | |1x|The fund seeks to maximize total return through income and, secondarily, capital appreciation.|N|0|N|N|400A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|39.95|0.0|0.0|0.0|0.0|39.91|39.97|0.0|0.0|0.0|0.0|39.95|0.0|0.0|0.0|0.0|39.97|0.0|39.97|0.0|0.0|0.0|0.0|39.93|39.98|0.0|0.0|0.0|0.0|39.93|39.98|42.28|38.01|1100|521010 44133|TOUR|TOUR|89977P106|US89977P1066|Tuniu Corp|ADR||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-3|TXN5-2|TXN14-1|TXN5-6|TXN5-6|354030000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||40|4050|405010|40501015|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Travel and Tourism|N||N||||||Y|0|Y||||||0.899|0.8999|0.0|0.0|0.8568|0.8784|0.8568|0.8784|0.0|0.0|0.8612|0.8612|0.8523|0.901|0.0|0.0|0.0|0.8523|0.901|0.8523|0.845|0.945|0.845|1.07|0.8353|0.918|0.744|1.03|0.0|0.0|0.8523|0.9|2.9|0.725|205842|89584296 75884|TOUS|TOUS|87283Q834|US87283Q8345|T. Rowe Price Exchange-Traded Funds, Inc.|T. Rowe Price International Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||T. Rowe Price|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-4|TXN3-2|TXN3-8|TXN2-8|TXN3-7|2800000|||Yearly|||||2023-06-15||TOUS.NV|TOUS.SO|TOUS.EU|TOUS.TC| | | | | | | | | | ||The fund seeks to provide long-term capital growth.|N|0|N|N|400A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|24.9223|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|24.922|0.0|24.922|0.0|0.0|0.0|0.0|24.9|24.94|0.0|0.0|0.0|0.0|24.9|24.94|25.9|22.3646|3592|1080415 24910|TOVX|TOVX|87164U409|US87164U4094|Theriva Biologics, Inc.|Common Stock|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Brendan E. 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Cryan and Company, L.L.C.|CRYN|0235|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN12-6|TXN4-3|TXN7-8|TXN2-1|TXN4-2|38200000|||Adhoc|||||2015-12-21||||||| | | | | | | | | |||N|0|N|N|310A|USA|US|||35|3510|351010|35101010|Real Estate|Real Estate |Real Estate Investment and Services Development|Real Estate Holding and Development |N||N||||||N|0|Y||Y|2|||0.169|0.1611|0.0|0.0|0.162|0.162|0.162|0.1675|0.0|0.0|0.1615|0.1611|0.1611|0.0|0.0|0.1697|0.162|0.162|0.0|0.162|0.1526|0.1715|0.1616|0.164|0.1611|0.1716|0.1297|0.1938|0.0|0.0|0.1616|0.164|0.98|0.161|164258|8848116 53511|TPIC|TPIC|87266J104|US87266J1043|TPI Composites Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN6-8|TXN13-4|TXN6-8|TXN6-8|42570000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||60|6010|601020|60102020|Energy|Energy|Alternative Energy|Renewable Energy Equipment |N||N||||||Y|0|Y||||||2.8|2.81|0.0|2.73|2.82|2.815|2.82|2.795|0.0|0.0|2.81|2.8|2.82|2.76|2.79|2.815|2.795|2.82|2.8|2.82|2.81|2.84|2.15|3.43|2.81|2.83|2.78|2.84|2.8|2.84|2.81|2.82|14.8|1.63|1647604|287937571 65148|TPIF|TPIF|887432334|US8874323343|Timothy Plan|Timothy Plan International ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Timothy Partners|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-7|TXN4-3|TXN3-8|TXN4-8|TXN1-6|3700000|||Monthly|||||2019-12-03||TPIF.NV|TPIF.SO|TPIF.EU|TPIF.TC|TPIF.IV| | | | | | | | | |1x|-|N|0|N|N|408A|USA||EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|25.04|25.13|25.11|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|25.13|0.0|25.13|0.0|0.0|0.0|0.0|25.11|25.15|0.0|0.0|0.0|0.0|25.08|25.15|26.67|22.23|4011|3401076 9601|TPL|TPL|88262P102|US88262P1021|Texas Pacific Land Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|H|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|4|0.01|0.01|5000000|1|100|TXN8-8|TXN2-8|TXN1-8|TXN3-3|TXN2-2|7680000|||Quarterly|||||1927-01-13||||||| | | | | | | | | |||N|0|Y|Y|412C|USA|US|||60|6010|601010|60101010|Energy|Energy|Oil, Gas and Coal|Oil: Crude Producers|N||N||||||N|0|Y||Y|1|||1745.65|1642.21|0.0|1685.44|1615.92|1703.8|1597.53|1595.02|0.0|0.0|1655.71|1630.0|1595.01|1730.38|1737.16|1597.16|1618.06|1594.98|1602.98|1597.16|1596.92|1603.27|1488.6|1710.63|1564.08|1633.93|1517.87|1683.15|1593.6|1603.27|1593.6|1603.27|2659.43|1266.21|59898|8795018 63499|TPLC|TPLC|887432359|US8874323590|Timothy Plan|Timothy Plan US Large/Mid Cap Core ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Timothy Partners|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-3|TXN4-3|TXN9-7|TXN2-2|TXN3-6|6100000|||Monthly|||||2019-05-01||TPLC.NV|TPLC.SO|TPLC.EU|TPLC.TC|TPLC.IV| | | | | | | | | |1x|Large Cap Core|N|0|N|N|408A|USA||EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||36.19|0.0|0.0|0.0|36.49|36.56|36.5609|0.0|0.0|0.0|0.0|0.0|36.55|36.56|0.0|0.0|0.0|36.5586|36.49|36.5586|0.0|0.0|0.0|0.0|36.52|36.58|36.46|36.62|36.46|36.64|36.52|36.58|37.23|32.41|6254|6650301 71273|TPLE|TPLE|887432284|US8874322840|Timothy Plan|Timothy Plan US Large/Mid Cap Core Enhanced ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Timothy Partners|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-1|TXN1-2|TXN9-8|TXN4-5|TXN2-3|2600000|||Monthly|||||2021-07-29||TPLE.NV|TPLE.SO|TPLE.EU|TPLE.TC|TPLE.IV| | | | | | | | | |1x|Large/mid cap fund that tracks the Victory US Large/Mid Cap Long/Cash Volatility Weighted BRI Index|N|0|N|N|408A|USA||EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|21.81|21.79|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|21.82|21.825|0.0|21.825|0.0|0.0|21.79|21.83|21.8|21.85|21.77|21.89|21.77|21.88|21.8|21.85|25.14|20.8496|3110|1176661 75148|TPMN|TPMN|887432268|US8874322683|Timothy Plan|Timothy Plan Market Neutral ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Timothy Partners|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-1|TXN3-7|TXN7-8|TXN4-8|TXN1-1|1390000|||Monthly|||||2023-01-25||TPMN.NV|TPMN.SO|TPMN.EU|TPMN.TC|TPMN.IV| | | | | | | | | ||The Fund pursues its investment objective by implementing a proprietary, market neutral investment strategy designed to seek income from its investments while maintaining a low correlation to the foreign and domestic equity and bond markets.|N|0|N|N|408A|USA||HYBRID|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||25.48|0.0|0.0|0.0|0.0|0.0|25.5|0.0|0.0|0.0|0.0|0.0|25.43|0.0|0.0|25.48|0.0|25.465|0.0|25.465|25.43|25.5|0.0|0.0|25.43|25.5|0.0|0.0|0.0|0.0|25.43|25.5|26.43|24.3276|2790|4938988 57228|TPOR|TPOR|25460E679|US25460E6793|Direxion Shares ETF Trust|Direxion Daily Transportation Bull 3X Shares|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Direxion Shares|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-7|TXN1-6|TXN9-6|TXN2-6|TXN3-5|1000001|||Quarterly|||||2017-05-03||TPOR.NV|TPOR.SO|TPOR.EU|TPOR.TC|TPOR.IV| | | | | | | | | |3x|The Fund seeks daily investment results, before fees andexpenses, of 300% of the daily performance of the Dow Jones Transportation Average|N|0|N|N|416A|USA|US|EQUITY|LEVERAGED|||||||||N||N||||||Y|0|Y||Y|2|||30.1|30.58|0.0|0.0|30.11|30.0|30.11|29.94|0.0|0.0|30.0|30.57|30.03|30.46|29.98|27.5|0.0|30.03|29.21|30.03|0.0|0.0|0.0|0.0|30.03|30.12|29.94|30.16|29.94|30.17|30.03|30.12|37.71|17.41|77837|5464918 5546|TPR|TPR|876030107|US8760301072|Tapestry, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|A|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-6|TXN2-2|TXN8-5|TXN1-8|TXN4-7|229190000|||Quarterly|||||2000-10-05||||||| | | | | | | | | |||N|5|Y|Y|146F|USA|US|||40|4020|402040|40204020|Consumer Discretionary|Consumer Products and Services|Personal Goods|Clothing and Accessories|N||N||||||Y|0|Y||Y|1|||33.02|33.03|0.0|32.98|33.02|33.025|33.02|33.04|0.0|0.0|33.02|33.04|33.03|33.02|33.03|33.02|33.07|33.02|33.065|33.02|33.02|33.03|30.92|35.12|33.01|33.05|32.98|33.07|33.02|33.07|33.02|33.03|47.48|25.99|3919281|810795486 65147|TPSC|TPSC|887432342|US8874323426|Timothy Plan|Timothy Plan US Small Cap Core ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Timothy Partners|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-6|TXN3-7|TXN3-7|TXN2-7|TXN2-5|2900000|||Monthly|||||2019-12-03||TPSC.NV|TPSC.SO|TPSC.EU|TPSC.TC|TPSC.IV| | | | | | | | | |1x|-|N|0|N|N|408A|USA||EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||32.78|0.0|0.0|0.0|0.0|33.0|33.0101|32.96|0.0|0.0|32.95|0.0|0.0|32.68|0.0|32.55|0.0|33.0132|0.0|33.0132|0.0|0.0|32.92|33.11|33.0|33.07|32.92|33.12|32.92|33.12|33.0|33.07|34.63|28.97|5916|4355108 40933|TPST|TPST|87978U108|US87978U1088|Tempest Therapeutics Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN5-5|TXN13-4|TXN5-5|TXN6-7|19250000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||3.4|3.38|0.0|3.4|3.39|3.375|3.375|3.37|0.0|0.0|3.38|3.43|3.38|3.42|3.39|3.375|3.38|3.375|3.34|3.38|3.35|3.39|2.59|4.2|3.3|3.44|3.35|4.1|3.35|3.39|3.37|3.39|9.77|0.17|849840|706848317 70869|TPTA|TPTA|88104K105||Terra Property Trust, Inc.|6.00% Notes due 2026|Real estate investment trust|G|N|N|N|Y|Y|Y|Y|Y|6|H|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN2-4|TXN7-8|TXN3-7|TXN3-8|0|||Quarterly|||||2021-06-15|2026-06-30|||||| | | | | | | | | |||N|0|N|N|414A||US|||50|5020|502040|50204000|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Industrial|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|18.91|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|18.91|0.0|18.91|0.0|18.91|17.94|20.06|0.0|0.0|16.75|19.3|0.0|0.0|0.0|0.0|17.05|19.3|22.4|16.81|1111|359603 43660|TPVG|TPVG|89677Y100|US89677Y1001|TriplePoint Venture Growth BDC Corp.|Common Stock, $0.01 par value|Business development company|A|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN1-4|TXN8-7|TXN3-1|TXN2-3|36090000|||Quarterly|||||2014-03-06||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||Y|0|Y||Y|2|||10.5|10.495|0.0|10.6|10.49|10.49|10.49|10.495|0.0|0.0|10.51|10.5|10.495|10.49|10.5|10.49|10.5|10.495|10.56|10.49|10.49|10.5|8.18|13.0|10.42|10.5|10.46|10.53|10.46|10.52|10.49|10.5|13.07|9.13|354385|55141942 9606|TPX|TPX|88023U101|US88023U1016|Tempur Sealy International, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-2|TXN2-2|TXN3-8|TXN4-3|TXN2-5|172270000|||Quarterly|||||2003-12-18||||||| | | | | | | | | |||N|0|Y|Y|124B|USA|US|||40|4020|402020|40202015|Consumer Discretionary|Consumer Products and Services|Household Goods and Home Construction|Household Furnishings|N||N||||||Y|0|Y||Y|1|||43.93|43.895|0.0|43.93|43.93|43.895|43.9|43.93|0.0|0.0|43.93|43.88|43.9|43.89|43.895|43.93|43.9|43.93|43.93|43.93|43.9|43.93|40.75|46.51|43.88|43.94|43.9|43.98|43.82|44.0|43.9|43.93|47.7|31.18|2595134|439165071 50222|TPYP|TPYP|56167N720|US56167N7205|Managed Portfolio Series|Tortoise North American Pipeline Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Tortoise Capital Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN3-3|TXN1-8|TXN4-6|TXN2-4|20600000|||Quarterly|||||2017-03-21||TPYP.NV|TPYP.SO|TPYP.EC|TPYP.TC|TPYP.IV| | | | | | | | | |1x|The Tortoise North American Pipeline Fund (the Fund) seeks investment results that correspond (before fees andexpenses) generally to the price and distribution rate (total return) performance of the Tortoise North AmericanPipeline Index (the Underlying Index).|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||26.43|26.42|0.0|0.0|26.42|26.42|26.415|26.42|0.0|0.0|26.42|0.0|26.415|26.42|0.0|0.0|26.47|26.42|26.43|26.42|26.38|26.44|26.31|26.44|26.38|26.44|26.25|26.44|26.35|26.44|26.38|26.44|26.5154|22.62|117901|16219233 31272|TPZ|TPZ|89147X104|US89147X1046|Tortoise Power and Energy Infrastructure Fund, Inc.|Common Stock|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN2-3|TXN6-7|TXN3-5|TXN3-7|5890000|||Monthly|||||2009-07-29||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||13.71|13.7|0.0|0.0|0.0|13.72|13.7152|13.7|0.0|0.0|13.72|0.0|13.73|0.0|13.71|13.73|0.0|13.75|13.51|13.73|13.73|13.75|13.68|13.75|13.71|14.66|0.0|0.0|0.0|0.0|13.73|13.75|13.99|12.305|43433|3144875 32273|TQQQ|TQQQ|74347X831|US74347X8314|ProShares UltraPro QQQ|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN6-1|TXN11-1|TXN5-1|TXN5-2|424550000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||42.96|42.96|0.0|42.65|42.94|42.96|42.961|42.94|0.0|0.0|42.95|42.94|42.98|42.93|42.93|42.95|42.955|42.96|42.93|42.98|42.96|42.97|42.95|42.97|42.96|42.97|42.95|42.97|42.84|43.1|42.96|42.97|47.14|16.1|90571804|29472725434 9610|TR|TR|890516107|US8905161076|Tootsie Roll Industries, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN1-2|TXN2-8|TXN2-8|TXN4-5|40170000|||Quarterly|||||1922-02-24||||||| | | | | | | | | |||N|0|N|Y|118B|USA|US|||45|4510|451020|45102020|Consumer Staples |Food, Beverage and Tobacco |Food Producers|Food Products|N||N||||||Y|0|Y||Y|2|||34.28|34.17|0.0|34.19|34.3|34.18|34.33|34.25|0.0|0.0|34.29|34.27|34.29|34.25|34.37|34.32|32.08|34.33|33.06|34.32|34.32|34.33|25.91|41.52|33.95|34.54|34.22|34.37|34.26|34.38|34.26|34.38|47.49|29.0657|72329|30641555 16994|TRAK|TRAK|700215304|US7002153044|ReposiTrak|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|J|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN3-1|TXN6-8|TXN1-5|TXN2-6|18160000|||Quarterly|||||2023-11-02||||||| | | | | | | | | |||N|0|N|N|104C|USA|US|||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||Y|2|||9.95|10.115|0.0|0.0|9.93|9.935|10.09|10.08|0.0|0.0|10.16|0.0|10.15|9.94|10.0|10.11|0.0|10.15|0.0|10.11|10.06|10.16|7.68|12.42|9.9|10.36|7.92|12.42|0.0|0.0|10.06|10.16|10.35|8.9352|37498|832223 9613|TRC|TRC|879080109|US8790801091|Tejon Ranch Co.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|P|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN3-3|TXN2-8|TXN2-4|TXN4-8|26730000|||Adhoc|||||1999-07-28||||||| | | | | | | | | |||N|0|N|Y|412A|USA|US|||35|3510|351010|35101010|Real Estate|Real Estate |Real Estate Investment and Services Development|Real Estate Holding and Development |N||N||||||N|0|Y||Y|2|||16.5|16.51|0.0|0.0|16.51|16.49|16.53|16.515|0.0|0.0|16.37|16.05|16.46|16.323|0.0|16.49|0.0|16.5|16.5|16.49|16.49|16.5|0.0|0.0|16.32|16.71|0.0|0.0|0.0|0.0|16.49|16.5|20.645|15.25|38230|8911464 72183|TRDA|TRDA|29384C108|US29384C1080|Entrada Therapeutics Inc|COM USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN5-1|TXN11-3|TXN6-1|TXN5-6|33370000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||0.0|13.57|0.0|0.0|0.0|13.59|13.63|13.67|0.0|0.0|0.0|0.0|13.65|13.29|0.0|13.48|0.0|13.66|0.0|13.65|13.06|14.11|10.27|16.79|13.29|13.98|13.3|13.96|13.24|14.09|13.56|13.65|21.64|9.32|81243|15924903 28637|TREE|TREE|52603B107|US52603B1070|LendingTree Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN5-3|TXN13-6|TXN5-6|TXN5-3|13000000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302010|30201020|Financials|Financial Services |Finance and Credit Services|Consumer Lending|N||N||||||Y|0|Y||||||19.54|19.68|0.0|19.37|19.75|19.76|19.77|19.735|0.0|0.0|19.72|0.0|19.75|19.67|19.36|19.77|0.0|19.76|19.66|19.75|19.52|19.97|15.33|23.97|19.55|19.94|19.69|19.83|19.71|19.84|19.75|19.77|47.82|10.12|276486|65838440 9678|TREX|TREX|89531P105|US89531P1057|Trex Company, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-6|TXN1-4|TXN9-5|TXN4-6|TXN2-6|108600000|||Adhoc|||||1999-04-08||||||| | | | | | | | | |||N|0|Y|Y|110A|USA|US|||50|5010|501010|50101035|Industrials|Construction and Materials|Construction and Materials |Building Materials: Other|N||N||||||Y|0|Y||Y|1|||72.67|72.75|0.0|72.18|72.75|72.67|72.66|72.645|0.0|0.0|72.67|72.67|72.64|72.74|72.48|72.66|71.99|72.66|72.16|72.66|72.62|72.66|67.5|76.77|72.54|72.75|72.55|72.74|72.54|72.75|72.62|72.66|76.05|40.69|667052|238001770 74142|TRFK|TRFK|69374H386|US69374H3865|Pacer Funds Trust|Pacer Data and Digital Revolution ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Pacer Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-4|TXN2-8|TXN1-5|TXN2-3|TXN4-7|160000|||Quarterly|||||2022-06-09||TRFK.NV|TRFK.SO|TRFK.EU|TRFK.TC|TRFK.IV| | | | | | | | | |2x|The Pacer Data Transmission and Communication Revolution Index (the Index) is a rules-based index that tracks the performance of publicly traded companies involved in the use, manipulation, transmission, and storage of data and the ancillary services surrounding those processes. The Index identifies companies for inclusion based on their revenue exposure and by using various keyword searches in company filings, investor presentations, websites, and business descriptions.|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|33.82|33.6555|34.01|0.0|0.0|0.0|0.0|33.45|0.0|0.0|0.0|0.0|33.7344|0.0|33.7344|0.0|0.0|0.0|0.0|33.7|33.76|0.0|0.0|0.0|0.0|33.7|33.76|37.82|21.5177|1275|369220 74262|TRFM|TRFM|26922B683|US26922B6838|ETF Series Solutions|AAM Transformers ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Advisors Asset Management|RBC Capital Markets, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-8|TXN3-8|TXN4-8|TXN3-6|TXN4-7|875000|||Yearly|||||2022-07-12||TRFM.NV|TRFM.SO|TRFM.EU|TRFM.TC|TRFM.IV| | | | | | | | | |1x|The Fund uses a passive management (or indexing) approach to track the total return performance, before fees and expenses, of the Pence Transformers Index. The Index is a rules-based index that measures the performance of U.S.-listed common equity securities, including American Depositary Receipts (ADRs) for foreign securities, of companies poised to benefit from a significant disruption and/or transformation of consumer behavior and technological innovation|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|29.4|29.475|29.23|0.0|0.0|29.43|0.0|29.47|0.0|0.0|0.0|0.0|29.4769|0.0|29.4769|0.0|0.0|0.0|0.0|29.4|29.55|26.44|32.06|0.0|0.0|28.82|29.55|30.889|21.1721|7001|909610 36208|TRGP|TRGP|87612G101|US87612G1013|Targa Resources Corp.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|A|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-5|TXN4-5|TXN6-8|TXN4-7|TXN3-6|222980000|||Quarterly|||||2010-12-07||||||| | | | | | | | | |||N|5|Y|Y|304C|USA|US|||60|6010|601010|60101035|Energy|Energy|Oil, Gas and Coal|Pipelines|N||N||||||Y|0|Y||Y|1|||89.29|89.3|0.0|89.27|89.29|89.29|89.295|89.3|0.0|0.0|89.32|89.31|89.295|89.3|89.32|89.31|89.32|89.3|89.29|89.31|89.29|89.31|89.21|89.38|89.25|89.34|89.2|89.37|89.19|89.41|89.29|89.31|91.435|64.85|2168419|375016358 9584|TRI|TRI|884903808|CA8849038085|Thomson Reuters Corporation|Common Shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-3|TXN3-1|TXN3-8|TXN1-4|TXN2-4|455300000|||Quarterly|||||2023-06-23||||||| | | | | | | | | |||N|0|N|Y|108B|CAN|CA|||30|3020|302010|30201030|Financials|Financial Services |Finance and Credit Services|Financial Data Providers|N||N||||||Y|0|Y||Y|2|||141.39|141.39|0.0|141.32|141.34|141.37|141.35|141.37|0.0|0.0|141.39|141.03|141.35|141.1|140.64|141.38|141.29|141.33|141.33|141.38|141.39|141.4|107.76|171.7|141.22|141.41|141.27|141.45|141.33|141.4|141.39|141.4|142.37|111.0|290009|93853831 4076|TRIB|TRIB|896438306|US8964383066|Trinity Biotech PLC|SPON ADR||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-1|TXN5-3|TXN11-5|TXN5-1|TXN5-3|152830000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||IRL||||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||Y|0|Y||||||0.52|0.0|0.0|0.0|0.0|0.52|0.506|0.506|0.0|0.0|0.505|0.0|0.5179|0.0|0.0|0.0|0.0|0.5|0.0|0.5|0.475|0.5564|0.3898|0.6264|0.4761|0.5651|0.3898|0.624|0.0|0.0|0.51|0.5299|1.37|0.37|12977|9571233 68965|TRIN|TRIN|896442308|US8964423086|Trinity Capital Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN5-8|TXN13-3|TXN6-3|TXN5-8|43630000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||0.0|14.765|0.0|0.0|14.76|14.755|14.76|14.77|0.0|0.0|14.77|14.77|14.755|14.77|14.76|14.765|14.78|14.76|0.0|14.755|14.73|14.79|11.47|18.35|14.66|14.88|14.73|14.78|14.73|14.79|14.75|14.76|15.37|10.23|237116|77184241 74324|TRINL|TRINL|896442506|US8964425065|Trinity Capital Inc 7.00 Notes Due 2025|STRUCT PRODUCT||U|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN5-8|TXN10-3|TXN5-2|TXN6-3|7300000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||||||||||N||N||||||N|0|Y||||||0.0|25.01|0.0|0.0|25.09|25.02|25.08|25.03|0.0|0.0|0.0|0.0|25.08|0.0|0.0|0.0|0.0|25.08|0.0|25.08|0.0|25.2|0.0|0.0|24.53|25.81|0.0|0.0|0.0|0.0|25.08|25.2|28.14|24.57|7812|1898769 39318|TRIP|TRIP|896945201|US8969452015|TripAdvisor Inc|COM 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LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN3-8|TXN4-2|TXN6-8|TXN3-6|TXN3-4|0|||NotApplicable|||||2021-12-06||||||| | | | | | | | | |||N|0|N|N|408A|USA|KY|||||||||||N||N||||||N|0|Y||N||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0172|0.04|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0172|0.04|0.1709|0.01|0|2088129 72025|TRIS U|TRIS.U|G9074V122|KYG9074V1225|Tristar Acquisition I Corp.|Units, each consisting of one Class A Ordinary Share and one-half of one Redeemable Warrant to purchase one Class A Ordinary Share|Special purpose acquisition company|R|N|N|N|Y|Y|Y|Y|Y|6|O|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN2-3|TXN2-8|TXN1-1|TXN3-6|0|||NotApplicable|||||2021-10-14||||||| | | | | | | | | |||N|0|N|N|408A|USA|KY|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|10.76|10.77|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.83|0.0|10.83|0.0|10.83|10.7|10.84|0.0|0.0|10.11|11.57|0.0|0.0|0.0|0.0|10.7|10.84|10.83|9.92|200|117024 70245|TRKA|TRKA|89689F404|US89689F4046|Troika Media Group Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN5-1|TXN13-3|TXN6-4|TXN5-6|16680000|||NotApplicable|||||||||||| | | | | | | | | 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4087|TRMB|TRMB|896239100|US8962391004|Trimble Inc|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN5-1|TXN13-1|TXN6-5|TXN5-1|248770000|||NotApplicable|||||||||||| | | | | | | | | |||N|5|Y|N||USA||||50|5020|502020|50202025|Industrials|Industrial Goods and Services|Electronic and Electrical Equipment|Electronic Equipment: Gauges and Meters|N||N||||||Y|0|Y||||||46.81|46.81|0.0|46.57|46.81|46.84|46.79|46.79|0.0|0.0|46.81|46.82|46.81|46.85|46.83|46.81|46.79|46.81|46.73|46.81|46.75|46.84|43.89|50.0|46.77|46.86|46.78|46.84|46.78|46.86|46.8|46.81|62.01|39.57|1417647|302086356 60271|TRMD|TRMD|G89479102|GB00BZ3CNK81|Torm PLC|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN6-2|TXN11-3|TXN5-7|TXN5-8|82310000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||GBR||||50|5020|502060|50206030|Industrials|Industrial Goods and Services|Industrial Transportation|Marine Transportation|N||N||||||Y|0|Y||||||28.01|28.02|0.0|28.0|27.98|28.03|27.98|27.98|0.0|0.0|28.02|28.01|28.0|28.0|28.43|28.005|28.03|27.98|28.0|28.0|27.75|28.28|22.09|34.99|27.81|28.25|27.95|28.01|27.94|28.01|27.98|28.0|36.6|22.31|680593|94036055 4089|TRMK|TRMK|898402102|US8984021027|Trustmark Corp|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN5-3|TXN13-6|TXN5-6|TXN5-3|61070000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||||||24.99|25.05|0.0|24.87|25.04|25.05|25.06|25.05|0.0|0.0|25.05|25.0|25.05|25.0|24.98|24.9|25.04|25.05|25.04|25.05|24.97|25.1|19.22|30.35|24.95|25.06|25.02|25.09|25.01|25.1|25.04|25.06|36.4|18.96|648447|70741858 70521|TRML|TRML|89157D105|US89157D1054|Tourmaline Bio Inc|COM USD.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN6-1|TXN13-1|TXN5-2|TXN5-5|20340000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||0.0|18.93|0.0|18.95|18.97|18.975|18.995|19.0|0.0|0.0|19.07|0.0|19.0|18.945|0.0|0.0|18.8|19.0|0.0|19.0|18.2|19.64|14.31|23.42|18.58|19.37|14.31|23.42|18.36|19.59|18.88|19.0|20.0|9.18|103384|2084895 70920|TRMR|TRMR|89484T104|US89484T1043|Tremor International Ltd|ADR||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN6-6|TXN12-5|TXN6-4|TXN5-6|145460000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||ISR||||40|4030|403010|40301020|Consumer Discretionary|Media|Media|Media Agencies|N||N||||||N|0|Y||||||3.95|3.87|0.0|0.0|3.89|3.86|3.89|3.815|0.0|0.0|3.79|3.9|3.88|3.925|3.91|3.91|3.925|3.89|3.8|3.88|3.07|4.34|2.98|4.75|3.78|3.94|3.8|3.93|3.79|3.92|3.84|3.89|8.59|3.155|937510|25241843 9619|TRN|TRN|896522109|US8965221091|Trinity Industries, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-3|TXN1-7|TXN2-6|TXN1-1|TXN1-1|81870000|||Quarterly|||||1972-06-28||||||| | | | | | | | | |||N|0|N|Y|126A|USA|US|||50|5020|502060|50206025|Industrials|Industrial Goods and Services|Industrial Transportation|Railroad Equipment|N||N||||||Y|0|Y||Y|2|||26.09|26.12|0.0|26.08|26.15|26.03|26.16|26.155|0.0|0.0|26.15|26.04|26.15|26.16|26.15|26.16|25.69|26.15|25.62|26.16|26.15|26.16|19.66|31.48|26.12|26.19|26.12|26.19|26.11|26.19|26.15|26.16|31.35|20.04|407514|95577490 63556|TRND|TRND|69374H675|US69374H6751|Pacer Funds Trust|Pacer Trendpilot Fund of Funds ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Pacer Advisors|RBC Capital Markets, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-4|TXN3-6|TXN2-8|TXN2-6|TXN2-1|1750000|||Yearly|||||2019-05-06||TRND.NV|TRND.SO|TRND.EU|TRND.TC|TRND.IV| | | | | | | | | |1x|The Index uses an objective, rules-based approach to a portfolio of Trendpilot ETFs based on the following weights,and rebalanced quarterly.The Indexs exposure to 20% Pacer Trendpilot US Large Cap Index, 20% Pacer Trendpilot Mid Cap Index, 20% PacerNasdaq-100 Trendpilot Index, and 40% Pacer Trendpilot International Index.|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||29.09|0.0|0.0|0.0|29.09|0.0|29.0901|29.03|0.0|0.0|0.0|0.0|0.0|29.11|0.0|0.0|0.0|29.1849|29.09|29.1849|29.14|29.23|29.07|29.24|29.13|29.25|29.06|29.24|29.07|29.24|29.1|29.25|29.8|25.81|4813|1373120 32176|TRNO|TRNO|88146M101|US88146M1018|Terreno Realty Corp|Common Stock, $0.01 par value per share|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-5|TXN3-7|TXN8-5|TXN3-7|TXN3-8|85390000|||Quarterly|||||2010-02-10||||||| | | | | | | | | |||N|0|N|Y|414A|USA|US|||35|3510|351020|35102020|Real Estate|Real Estate |Real Estate Investment Trusts|Industrial REITs|N||N||||||N|0|Y||Y|2|||59.35|59.39|0.0|59.37|59.4|59.42|59.41|59.395|0.0|0.0|59.35|59.38|59.43|59.43|59.37|59.43|59.35|59.43|59.38|59.43|59.41|59.43|45.29|72.21|59.38|59.49|59.37|59.46|59.41|59.46|59.41|59.43|67.03|50.42|893389|127921394 75645|TRNR|TRNR|45840Y104|US45840Y1047|Interactive Strength 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USD.5||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN6-5|TXN13-2|TXN6-4|TXN5-7|8830000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502020|50202025|Industrials|Industrial Goods and Services|Electronic and Electrical Equipment|Electronic Equipment: Gauges and Meters|N||N||||||N|0|Y||||||98.5|97.6|0.0|97.66|97.56|97.72|97.55|97.58|0.0|0.0|0.0|0.0|97.42|0.0|0.0|97.9|0.0|97.5|99.08|97.42|96.05|99.27|74.9|120.47|97.41|98.1|96.83|98.24|96.74|97.62|97.42|97.55|115.41|65.6015|64595|10941796 71369|TRON|TRON|G2426E104|KYG2426E1044|Corner Growth Acquisition Corp 2|ORD SHS CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN6-7|TXN11-3|TXN5-3|TXN6-4|6340000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.52|11.91|0.0|0.0|0.0|0.0|11.2|11.39|12.48|9.71|7|1544533 70891|TRONU|TRONU|G2426E112|KYG2426E1127|Corner Growth Acquisition Corp 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| | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y|D|||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0298|0.0|0.0|0.0|0.0|0.0298|0.0|0.0298|0.008|0.06|0.008|0.06|0.008|0.06|0.008|0.06|0.0|0.0|0.01|0.05|0.2|0.0041|2111|3153644 36284|TROO|TROO|G9094C104|KYG9094C1042|TROOPS Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN5-2|TXN14-3|TXN6-3|TXN5-4|101600000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||HKG||||10|1010|101020|10102030|Technology|Technology|Technology Hardware and Equipment|Computer Hardware|N||N||||||Y|0|Y||||||2.66|0.0|0.0|0.0|0.0|2.83|2.7999|0.0|0.0|0.0|0.0|0.0|2.79|0.0|2.93|0.0|0.0|2.7999|0.0|2.79|2.37|2.98|0.0|0.0|2.34|3.01|2.25|3.39|0.0|0.0|2.5|2.8|4.99|1.8|16939|5688586 4096|TROW|TROW|74144T108|US74144T1088|T. Rowe Price Group Inc|COM USD.2||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN5-1|TXN13-2|TXN5-4|TXN6-2|223470000|||NotApplicable|||||||||||| | | | | | | | | |||N|5|Y|N||USA||||30|3020|302020|30202010|Financials|Financial Services |Investment Banking and Brokerage Services |Asset Managers and Custodians|N||N||||||Y|0|Y||||||102.02|102.0|0.0|102.06|102.04|102.005|101.99|101.99|0.0|0.0|101.99|102.04|102.01|101.99|101.67|102.02|102.04|102.01|102.08|102.01|101.91|102.07|95.18|108.89|101.94|102.03|101.92|102.07|101.91|102.08|101.99|102.01|132.76|87.43|1002881|345096030 40230|TROX|TROX|G9087Q102|GB00BJT16S69|Tronox Holdings plc|Ordinary Shares|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-3|TXN4-4|TXN7-5|TXN3-6|TXN3-5|156790000|||Quarterly|||||2019-03-27||||||| | | | | | | | | |||N|0|N|Y|106A|USA|AU|||55|5520|552010|55201020|Basic Materials|Chemicals|Chemicals|Specialty Chemicals|N||N||||||Y|0|Y||Y|2|||13.44|13.44|0.0|13.36|13.45|13.44|13.45|13.45|0.0|0.0|13.45|13.4|13.45|13.4|13.45|13.42|13.4|13.45|13.4|13.42|13.43|13.46|10.44|16.23|13.43|13.46|13.4|13.47|13.39|13.45|13.43|13.46|17.61|10.08|1100702|277850319 9621|TRP|TRP|87807B107|CA87807B1076|TC Energy Corporation|Common Shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|8|M|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-6|TXN2-7|TXN8-6|TXN4-8|TXN1-1|1037000000|||Quarterly|||||1985-05-30||||||| | | | | | | | | |||N|0|N|Y|304B|CAN|CA|||60|6010|601010|60101035|Energy|Energy|Oil, Gas and Coal|Pipelines|N||N||||||Y|0|Y||Y|2|||38.13|38.12|0.0|38.13|38.11|38.12|38.12|38.115|0.0|0.0|38.12|38.12|38.12|38.13|38.15|38.13|38.11|38.12|38.11|38.13|38.12|38.14|29.11|46.14|38.1|38.14|38.09|38.15|38.12|38.15|38.12|38.14|45.18|32.515|3248991|560859294 71118|TRPL|TRPL|69374H444|US69374H4442|Pacer Funds Trust|Pacer Metaurus US Large Cap Dividend Multiplier 300 ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Pacer Advisors|Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN4-8|TXN8-8|TXN1-6|TXN4-7|25000|||Quarterly|||||2021-07-13||TRPL.NV|TRPL.SO|TRPL.EU|TRPL.TC|TRPL.IV| | | | | | | | | |1x|The Pacer Metaurus US Large Cap Dividend Multiplier 300 ETF (the Fund) is an exchange traded fund (ETF) that seeks to track the total return performance, before fees and expenses, of the Metaurus US Large Cap Dividend Multiplier Index Series 300 (the Index).|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|38.2801|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|38.9752|0.0|38.9752|0.0|0.0|0.0|0.0|38.86|39.05|0.0|0.0|0.0|0.0|38.86|39.05|39.2889|33.7055|10|8520 24568|TRS|TRS|896215209|US8962152091|TriMas Corp|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN5-7|TXN12-5|TXN5-1|TXN6-4|41410000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502030|50203030|Industrials|Industrial Goods and Services|General Industrials|Containers and Packaging|N||N||||||N|0|Y||||||25.9|25.89|0.0|25.78|25.89|25.88|25.89|25.88|0.0|0.0|25.91|25.8|25.9|25.8|25.85|25.92|25.84|25.88|25.82|25.9|25.61|26.14|20.0|31.59|25.65|26.09|25.84|25.93|25.85|25.94|25.88|25.9|31.885|22.59|190597|26843619 4102|TRST|TRST|898349204|US8983492047|TrustCo Bank Corp NY|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN6-8|TXN13-1|TXN6-6|TXN5-5|19020000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||||||0.0|28.6|0.0|28.43|28.64|28.655|28.68|28.66|0.0|0.0|28.62|0.0|28.64|28.47|28.47|28.69|0.0|28.66|0.0|28.64|28.38|28.95|21.71|35.21|28.4|28.93|22.41|35.21|28.64|28.76|28.64|28.69|38.81|23.78|65947|19417106 9623|TRT|TRT|896712205|US8967122057|Trio-Tech International|Common Stock|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Brendan E. Cryan and Company, L.L.C.|CRYN|0235|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-1|TXN3-8|TXN5-8|TXN4-8|TXN1-5|4100000|||NotApplicable|||||1998-09-29||||||| | | | | | | | | |||N|0|N|N|108A|USA|US|||10|1010|101020|10102020|Technology|Technology|Technology Hardware and Equipment|Production Technology Equipment|N||N||||||N|0|Y||Y|2|||5.14|5.0|0.0|0.0|4.89|4.95|4.91|5.07|0.0|0.0|0.0|4.88|4.96|4.97|6.95|5.14|4.9|4.9|0.0|4.9|4.73|5.15|4.9|4.96|4.85|5.11|4.0|6.15|0.0|0.0|4.9|4.96|8.62|4.1947|12009|4145354 71608|TRTL|TRTL|G8956E109|KYG8956E1098|TortoiseEcofin Acquisition Corp. III|Class A Ordinary Shares|Special purpose acquisition company|A|N|N|N|Y|Y|Y|Y|Y|6|T|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN3-1|TXN6-8|TXN1-5|TXN4-4|17270000|||NotApplicable|||||2021-09-09||||||| | | | | | | | | |||N|0|N|N|408A|USA|KY|||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|10.58|0.0|10.67|0.0|0.0|0.0|0.0|0.0|10.67|0.0|0.0|10.67|0.0|10.67|0.0|10.67|10.55|10.68|10.57|10.67|10.33|10.89|0.0|0.0|0.0|0.0|10.54|10.67|11.2073|9.89|429|27356654 71611|TRTL WS|TRTL.WS|G8956E117|KYG8956E1171|TortoiseEcofin Acquisition Corp. III|Warrants, each whole warrant exercisable for one Class A ordinary share at an exercise price of $11.50 per share|Special purpose acquisition company|C|N|N|N|Y|Y|Y|Y|Y|6|T|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN3-8|TXN4-7|TXN4-8|TXN4-4|TXN2-6|0|||NotApplicable|||||2021-09-09||||||| | | | | | | | | |||N|0|N|N|408A|USA|KY|||||||||||N||N||||||N|0|Y||N||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.1008|0.1148|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.1008|0.1148|0.4|0.0305|0|3111616 71189|TRTL U|TRTL.U|G8956E208|KYG8956E2088|TortoiseEcofin Acquisition Corp. III|Units each consisting of one Class A Ordinary Share, and one-fourth of one redeemable warrant|Special purpose acquisition company|R|N|N|N|Y|Y|Y|Y|Y|6|T|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN1-1|TXN9-8|TXN2-7|TXN1-4|0|||NotApplicable|||||2021-07-20||||||| | | | | | | | | |||N|0|N|N|408A|USA|KY|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.55|11.65|0.0|0.0|10.52|12.42|8.35|13.98|0.0|0.0|10.58|11.65|10.905|9.93|0|603962 63276|TRTN PRA|TRTNpA|G9078F123||Triton International Limited|8.50% Series A Cumulative Redeemable Perpetual Preference Shares|Operating company|B|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN4-8|TXN6-8|TXN1-3|TXN4-8|0|||Quarterly|||||2019-03-20||||||| | | | | | | | | |||N|0|N|N|200A||BM|||50|5020|502040|50204000|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Industrial|N||N||||||N|0|Y||Y|2|||25.66|0.0|0.0|0.0|0.0|25.66|25.786|0.0|0.0|0.0|25.77|25.99|0.0|0.0|0.0|25.786|25.77|25.786|0.0|25.786|25.6|25.99|25.65|25.99|23.9|27.71|0.0|0.0|0.0|0.0|25.6|25.99|26.29|23.23|4324|2810437 63977|TRTN PRB|TRTNpB|G9078F131||Triton International Limited|8.00% Series B Cumulative Redeemable Perpetual Preference Shares|Operating company|B|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN2-6|TXN8-8|TXN3-7|TXN4-1|0|||Quarterly|||||2019-07-03||||||| | | | | | | | | |||N|0|N|N|200A||BM|||50|5020|502040|50204000|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Industrial|N||N||||||N|0|Y||Y|2|||25.68|25.285|0.0|0.0|0.0|25.5|25.46|25.39|0.0|0.0|25.1|0.0|25.61|25.12|0.0|25.5|25.5|25.5|0.0|25.5|25.55|25.68|25.07|25.5|25.06|26.19|0.0|0.0|0.0|0.0|25.55|25.68|26.1|22.18|7104|4544609 65027|TRTN PRC|TRTNpC|G9078F149||Triton International Limited|7.375% Series C Cumulative Redeemable Perpetual Preference Shares|Operating company|B|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN2-5|TXN6-8|TXN4-6|TXN3-2|0|||Quarterly|||||2019-11-13||||||| | | | | | | | | |||N|0|N|N|200A||BM|||50|5020|502040|50204000|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Industrial|N||N||||||N|0|Y||Y|2|||0.0|24.3|0.0|0.0|0.0|24.5|24.3501|24.34|0.0|0.0|0.0|0.0|24.37|0.0|0.0|24.46|0.0|24.44|0.0|24.46|24.46|24.5|0.0|0.0|23.88|24.89|0.0|0.0|0.0|0.0|24.46|24.5|25.835|20.31|8318|3354686 65473|TRTN PRD|TRTNpD|G9078F206||Triton International Limited|6.875% Series D Cumulative Redeemable Perpetual Preference Shares|Operating company|B|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN1-8|TXN6-8|TXN2-6|TXN2-2|0|||Quarterly|||||2020-01-29||||||| | | | | | | | | |||N|0|N|N|200A||BM|||50|5020|502040|50204000|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Industrial|N||N||||||N|0|Y||Y|2|||22.92|22.58|0.0|0.0|0.0|22.71|23.0|22.92|0.0|0.0|0.0|22.05|22.75|0.0|0.0|23.0|0.0|23.0|0.0|23.0|22.41|23.07|0.0|0.0|22.23|23.54|0.0|0.0|0.0|0.0|22.73|23.07|25.77|19.085|6251|2901115 71492|TRTN PRE|TRTNpE|G9078F156||Triton International Limited|5.75% Series E Cumulative Redeemable Perpetual Preference Shares|Operating company|B|N|N|N|Y|Y|Y|Y|Y|6|H|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN3-8|TXN9-8|TXN4-6|TXN2-3|0|||Quarterly|||||2021-08-23||||||| | | | | | | | | |||N|0|N|N|200A||BM|||50|5020|502040|50204000|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Industrial|N||N||||||N|0|Y||Y|2|||0.0|19.79|0.0|0.0|0.0|19.65|19.22|19.0|0.0|0.0|0.0|0.0|19.72|0.0|0.0|19.22|0.0|19.22|0.0|19.22|19.19|20.09|0.0|0.0|18.77|20.32|0.0|0.0|0.0|0.0|19.19|20.09|22.85|16.78|6075|3787958 59208|TRTX|TRTX|87266M107|US87266M1071|TPG RE Finance Trust, Inc.|Common Stock, $0.001 par value per share|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-6|TXN3-1|TXN4-5|TXN1-4|TXN1-4|77740000|||Quarterly|||||2017-07-20||||||| | | | | | | | | |||N|0|N|Y|414A|USA|US|||30|3020|302030|30203010|Financials|Financial Services |Mortgage Real Estate Investment Trusts|Mortgage REITs: Commercial|N||N||||||Y|0|Y||Y|2|||6.2|6.21|0.0|6.07|6.2|6.2|6.2|6.215|0.0|0.0|6.2|6.215|6.205|6.2|6.22|6.2|6.21|6.2|6.22|6.2|6.2|6.21|4.79|7.59|6.19|6.23|6.17|6.23|6.2|6.21|6.2|6.21|9.2286|4.645|422571|93857780 70896|TRTX PRC|TRTXpC|87266M206|US87266M2061|TPG RE Finance Trust, Inc.|6.25% Series C Cumulative Redeemable Preferred Stock, $0.001 par value per share|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|8|I|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN4-1|TXN2-8|TXN3-5|TXN3-7|8050000|||Quarterly|||||2021-06-17||||||| | | | | | | | | |||N|0|N|N|414A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||13.89|14.07|0.0|0.0|0.0|13.875|13.85|13.975|0.0|0.0|13.95|0.0|13.9|13.89|0.0|13.85|0.0|13.85|0.0|13.85|13.85|13.9|0.0|0.0|13.56|14.15|0.0|0.0|13.85|13.99|13.85|13.9|19.6|13.0|26432|4595543 61734|TRTY|TRTY|132061839|US1320618390|Cambria Trinity ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-1|TXN3-6|TXN4-8|TXN4-1|TXN2-2|4600000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|24.74|0.0|0.0|0.0|0.0|24.78|24.82|0.0|0.0|24.83|0.0|0.0|0.0|0.0|0.0|24.83|24.74|0.0|24.74|24.71|24.86|24.73|24.84|24.57|24.91|0.0|0.0|0.0|0.0|24.7|24.78|26.76|23.51|2829|3277611 50203|TRU|TRU|89400J107|US89400J1079|TransUnion|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|P|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-3|TXN4-4|TXN1-8|TXN2-3|TXN2-4|193700000|||Quarterly|||||2015-06-25||||||| | | | | | | | | |||N|0|Y|Y|408A|USA|US|||50|5020|502050|50205020|Industrials|Industrial Goods and Services|Industrial Support Services|Professional Business Support Services|N||N||||||Y|0|Y||Y|1|||60.38|60.39|0.0|60.4|60.39|60.36|60.4|60.38|0.0|0.0|60.38|60.32|60.39|60.4|59.96|60.4|60.03|60.4|60.4|60.4|60.37|60.4|56.56|63.8|60.31|60.46|60.3|60.44|60.35|60.41|60.37|60.4|82.75|42.09|1601013|404496790 44236|TRUE|TRUE|89785L107|US89785L1070|TrueCar Inc|COM USD.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN5-6|TXN13-1|TXN5-4|TXN5-2|90780000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101010|10101020|Technology|Technology|Software and Computer Services|Consumer Digital Services |N||N||||||Y|0|Y||||||2.79|2.81|0.0|0.0|2.79|2.79|2.79|2.79|0.0|0.0|2.79|2.79|2.81|2.79|2.8|2.8|0.0|2.79|0.0|2.81|2.74|2.83|2.2|3.47|2.79|2.83|2.77|2.96|2.77|2.83|2.79|2.81|3.49|1.76|219981|58079840 44644|TRUP|TRUP|898202106|US8982021060|Trupanion Inc|COM USD.00001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN5-2|TXN11-2|TXN5-7|TXN5-3|41550000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3030|303010|30301010|Financials|Insurance|Life Insurance|Life Insurance|N||N||||||Y|0|Y||||||29.54|29.44|0.0|29.6|29.42|29.435|29.44|29.43|0.0|0.0|29.44|29.55|29.41|29.4|29.84|29.435|29.66|29.44|29.57|29.41|29.19|29.77|22.67|36.07|29.19|29.7|29.3|29.54|29.31|29.56|29.4|29.45|69.15|18.45|784809|216164238 9320|TRV|TRV|89417E109|US89417E1091|The Travelers Companies, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-4|TXN3-5|TXN7-7|TXN2-8|TXN4-3|228400000|||Quarterly|||||1991-11-08||||||| | | | | | | | | |||Y|5|Y|Y|410B|USA|US|||30|3030|303020|30302025|Financials|Insurance|Non-life Insurance|Property and Casualty Insurance|N||N||||||Y|0|Y||Y|1|||183.2|183.17|0.0|183.15|183.2|183.16|183.17|183.17|0.0|0.0|183.15|183.15|183.17|183.14|183.15|183.19|183.3|183.17|183.22|183.19|183.17|183.18|172.5|193.9|183.02|183.27|183.04|183.33|183.03|183.32|183.17|183.18|194.51|157.3301|2288095|312662342 54681|TRVG|TRVG|89686D303|US89686D3035|trivago 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Streicher & Co. L.L.C.|JSCO|3856|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN11-1|TXN1-5|TXN1-5|TXN1-4|TXN3-4|277630000|||NotApplicable|||||2005-05-12||||||| | | | | | | | | |||N|0|N|N|130E|CAN|CA|||55|5510|551030|55103025|Basic Materials|Basic Resources|Precious Metals and Mining|Gold Mining|N||N||||||Y|0|Y||Y|2|||0.405|0.405|0.0|0.0|0.405|0.4026|0.4098|0.405|0.0|0.0|0.4039|0.4097|0.4097|0.4046|0.0|0.402|0.3951|0.3951|0.0|0.3951|0.38|0.4225|0.402|0.4098|0.4|0.4207|0.38|0.4225|0.398|0.407|0.402|0.4098|0.597|0.31|730337|84891014 9629|TS|TS|88031M109|US88031M1099|Tenaris S.A.|American Depositary Shares (Each representing Two Ordinary Shares)|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|6|I|Citadel Securities 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USD.008||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN6-6|TXN14-2|TXN5-6|TXN6-7|108110000|||NotApplicable|||||||||||| | | | | | | | | |||N|5|Y|N||USA||||40|4040|404010|40401030|Consumer Discretionary|Retail |Retailers |Specialty Retailers |N||N||||||Y|0|Y||||||211.99|211.98|0.0|211.77|211.99|212.0|211.98|212.02|0.0|0.0|212.0|211.96|212.01|211.98|211.98|211.98|211.95|212.01|211.88|212.01|211.8|212.16|199.34|226.21|211.9|212.06|211.85|212.16|211.84|212.21|211.96|212.01|251.17|185.0|1364596|272698166 76198|TSDD|TSDD|38747R769|US38747R7695|GraniteShares 1.5x Short TSLA Daily 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Equipment|Semiconductors|N||N||||||Y|0|Y||||||27.56|27.55|0.0|27.55|27.53|27.555|27.542|27.55|0.0|0.0|27.56|27.53|27.56|27.56|27.55|27.55|27.38|27.56|27.49|27.56|27.49|27.61|21.29|33.76|27.5|27.59|27.52|27.58|27.53|27.56|27.53|27.56|46.5|21.43|585539|211717312 67634|TSHA|TSHA|877619106|US8776191061|Taysha Gene Therapies Inc|COM USD0.00001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN6-3|TXN14-5|TXN6-6|TXN5-3|186960000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||1.825|1.82|0.0|1.81|1.82|1.825|1.82|1.825|0.0|0.0|1.83|1.83|1.82|1.825|1.82|1.825|1.8|1.825|1.825|1.82|1.81|1.83|1.44|2.2|1.81|1.83|1.8|1.86|1.81|1.84|1.82|1.83|3.89|0.5|2034878|468907506 5667|TSI|TSI|872340104|US8723401043|TCW Strategic Income Fund, Inc.|Common Stock|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN2-4|TXN7-8|TXN2-4|TXN3-7|47790000|||Quarterly|||||1987-02-26||||||| | | | | | | | | |||N|0|N|N|406B|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||0.0|4.68|0.0|0.0|4.66|4.69|4.698|4.69|0.0|0.0|4.69|0.0|4.69|4.69|0.0|4.69|0.0|4.69|0.0|4.69|4.69|4.7|3.62|5.76|4.36|5.01|4.66|4.73|0.0|0.0|4.69|4.7|5.08|4.48|61606|23797428 68640|TSJA|TSJA|45782C169|US45782C1696|Innovator Triple Stacker ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN4-7|TXN2-8|TXN4-2|TXN4-8|180000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|28.4093|0.0|0.0|0.0|0.0|0.0|27.92|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|28.4093|0.0|28.4093|0.0|0.0|0.0|0.0|28.4|28.5|28.35|28.56|28.39|28.51|28.4|28.51|28.4093|23.39|44|295245 74382|TSL|TSL|38747R702|US38747R7026|GraniteShares 1.25x Long TSLA Daily ETF|ETF||ETS|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN5-8|TXN14-1|TXN6-5|TXN5-4|370000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||16.5|16.41|0.0|0.0|16.5|0.0|16.37|0.0|0.0|0.0|0.0|0.0|16.39|16.601|0.0|16.649|0.0|16.37|0.0|16.39|16.22|16.39|16.37|16.39|16.37|16.39|16.37|16.45|0.0|0.0|16.37|16.39|23.06|6.4|27151|19130680 32918|TSLA|TSLA|88160R101|US88160R1014|Tesla Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN6-5|TXN14-1|TXN5-3|TXN6-1|3178920000|||NotApplicable|||||||||||| | | | | | | | | |||N|1|Y|N||USA||||40|4010|401010|40101020|Consumer Discretionary|Automobiles and Parts|Automobiles and Parts|Automobiles|N||N||||||Y|0|Y||||||235.5|235.6|0.0|235.52|235.59|235.54|235.56|235.59|0.0|0.0|235.51|235.48|235.58|235.48|235.47|235.55|235.59|235.56|235.53|235.58|235.41|235.68|234.0|243.79|235.44|235.63|235.26|235.75|235.27|235.8|235.53|235.58|299.29|101.81|104099817|32273724908 74311|TSLH|TSLH|45783Y715|US45783Y7159|Innovator Hedged TSLA Strategy ETF|ETF||ETS|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-4|TXN2-7|TXN8-8|TXN4-3|TXN4-7|80000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|25.3653|0.0|0.0|0.0|0.0|25.55|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|25.3653|0.0|25.3653|0.0|0.0|0.0|0.0|25.3|25.41|0.0|0.0|0.0|0.0|25.3|25.49|28.4746|21.6054|18|74719 74384|TSLL|TSLL|25460G286|US25460G2865|Direxion Daily TSLA Bull 1.5X Shares|ETF||ETS|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN5-7|TXN13-3|TXN5-2|TXN6-1|68930000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||13.725|13.72|0.0|13.83|13.72|13.725|13.7115|13.72|0.0|0.0|13.72|13.72|13.72|13.72|13.885|13.72|13.72|13.71|13.72|13.72|13.71|13.73|13.71|13.73|13.71|13.72|13.71|13.73|13.69|13.74|13.71|13.72|21.095|4.64|14024826|3400500845 76524|TSLP|TSLP|78433H766|US78433H7668|Kurv Yield Premium Strategy Tesla (TSLA) ETF|ETF||ETS|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-6|TXN1-2|TXN1-8|TXN2-5|TXN4-7|20000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|27.4067|0.0|0.0|0.0|27.8|27.2246|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|27.4067|0.0|27.4067|0.0|0.0|0.0|0.0|27.38|27.46|0.0|0.0|0.0|0.0|27.38|27.42|28.5|24.0598|521|40732 74281|TSLQ|TSLQ|46144X867|US46144X8671|AXS TSLA Bear Daily ETF|ETF||ETS|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN6-6|TXN13-4|TXN5-5|TXN5-4|2400000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||33.58|33.56|0.0|33.19|33.56|33.56|33.58|33.42|0.0|0.0|33.58|33.58|33.56|33.58|33.56|33.58|33.4|33.56|33.52|33.56|33.52|33.64|33.56|33.59|33.56|33.58|33.55|33.6|33.51|33.63|33.56|33.57|93.89|28.22|3897293|558489318 76199|TSLR|TSLR|38747R777|US38747R7778|GraniteShares 1.75x Long TSLA Daily ETF|ETF||ETS|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN5-8|TXN13-4|TXN5-2|TXN6-4|260000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||23.79|23.72|0.0|0.0|0.0|23.95|23.88|23.68|0.0|0.0|23.77|0.0|23.78|0.0|0.0|23.77|0.0|23.79|0.0|23.78|23.74|23.82|23.77|23.81|23.77|23.8|23.77|23.81|0.0|0.0|23.77|23.8|33.78|17.43|41786|6355588 74385|TSLS|TSLS|25460G260|US25460G2600|Direxion Daily TSLA Bear 1X Shares|ETF||ETS|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN5-2|TXN12-4|TXN6-4|TXN6-6|2030000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||20.09|20.13|0.0|0.0|20.12|20.135|20.1359|20.135|0.0|0.0|20.13|20.13|20.14|20.12|20.16|20.13|20.05|20.1359|20.13|20.14|20.12|20.14|20.12|20.14|20.13|20.14|20.12|20.14|0.0|20.17|20.13|20.14|58.05|17.11|969014|261747531 76498|TSLT|TSLT|26923N835|US26923N8359|T-REX 2X Long Tesla Daily Target ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN5-1|TXN11-6|TXN6-6|TXN6-7|1420000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||22.64|22.37|0.0|0.0|22.6|22.5|22.4312|23.07|0.0|0.0|22.51|22.67|22.45|22.551|22.58|22.39|22.65|22.37|22.63|22.45|22.38|22.46|22.38|22.45|22.38|22.45|22.38|22.45|0.0|0.0|22.38|22.45|25.88|15.81|347243|9001097 43784|TSLX|TSLX|83012A109|US83012A1097|Sixth Street Specialty Lending, Inc.|Common Stock, $0.01 par value|Business development company|A|N|N|N|Y|Y|Y|Y|Y|5|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN3-3|TXN8-7|TXN4-6|TXN3-8|87550000|||Quarterly|||||2014-03-21||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||20.96|20.96|0.0|0.0|20.96|20.955|20.955|20.965|0.0|0.0|20.96|20.96|20.955|20.96|20.97|20.96|20.97|20.96|20.96|20.96|20.95|20.97|16.22|25.71|20.93|20.99|20.93|20.99|20.93|20.99|20.95|20.97|21.21|16.86|228370|89350752 74955|TSLY|TSLY|88634T709|US88634T7090|Tidal Trust II|YieldMax TSLA Option Income Strategy ETF|Trust|ETS|N|N|P|Y|Y|Y|Y|Y||||||||Tidal ETF Services |Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-8|TXN2-6|TXN8-7|TXN1-1|TXN2-4|67950000|||Monthly|||||2022-11-23||TSLY.NV|TSLY.SO|TSLY.EU|TSLY.TC| | | | | | | | | | ||The fund seeks to deliver participation in the price returns of the common stock of Tesla, Inc. (NASDAQ: TSLA) (TSLA) whil providing current monthly income through a portfolio substantially composed of short-term U.S. Treasury securities, cash and cash equivalents, and in option contracts that reference the price performance of TSLA.|N|0|N|N|416A|USA|US|HYBRID|ACTIVE|||||||||N||N||||||Y|0|Y||Y|1|||11.575|11.57|0.0|11.6|11.575|11.575|11.5798|11.6|0.0|0.0|11.575|11.6|11.575|11.58|11.6|11.575|11.59|11.58|11.59|11.58|11.56|11.58|10.86|11.61|11.57|11.58|11.54|11.59|11.54|11.59|11.57|11.58|21.17|10.74|6351020|341602213 76499|TSLZ|TSLZ|26923N827|US26923N8276|T-Rex 2X Inverse Tesla Daily Target ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN5-8|TXN11-1|TXN5-8|TXN6-7|110000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||28.449|29.07|0.0|0.0|28.67|28.72|28.965|28.79|0.0|0.0|28.67|28.45|29.0|28.881|0.0|28.881|28.45|29.07|28.45|29.0|28.99|29.1|22.43|29.1|28.99|29.1|28.99|29.1|0.0|0.0|28.99|29.1|45.099|25.2545|85644|1552238 9637|TSM|TSM|874039100|US8740391003|Taiwan Semiconductor Manufacturing Company Ltd.|American Depositary Shares (Each representing five Common Shares)|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|5|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-2|TXN4-5|TXN7-5|TXN2-6|TXN2-5|25932070000|||Quarterly|||||1997-10-08||||||| | | | | | | | | |||N|0|N|Y|114A|TWN|TW|||10|1010|101020|10102010|Technology|Technology|Technology Hardware and Equipment|Semiconductors|N||N||||||Y|0|Y||Y|2|||97.0|97.02|0.0|97.04|97.0|97.03|97.03|97.01|0.0|0.0|97.02|97.0|97.02|97.01|97.03|97.01|96.9|97.03|97.015|97.01|97.01|97.03|75.26|119.0|97.0|97.04|96.97|97.06|95.0|100.5|97.01|97.03|110.69|72.84|10619352|2517521159 74716|TSME|TSME|88588G109|US88588G1094|Thrivent ETF Trust|Thrivent Small-Mid Cap ESG ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Thrivent|RBC Capital Markets, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-8|TXN4-1|TXN5-8|TXN2-2|TXN4-7|4824000|||Yearly|||||2022-10-05||TSME.NV|TSME.SO|TSME.EU|TSME.TC|TSME.IV| | | | | | | | | ||This ETF looks to provide investors with consistent, competitive performance through favorable stock selection while monitoring risk. The ETF typically invests in a combination of small- and mid-sized companies across the growth and value spectrums. 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LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-7|TXN2-4|TXN3-4|TXN4-2|TXN4-8|2412250000|||Quarterly|||||1991-10-25||||||| | | | | | | | | |||N|0|N|Y|134B|FRA|FR|||60|6010|601010|60101000|Energy|Energy|Oil, Gas and Coal|Integrated Oil and Gas|N||N||||||Y|0|Y||Y|2|||66.18|66.17|0.0|66.13|66.18|66.165|66.2|66.165|0.0|0.0|66.17|66.2|66.19|66.21|66.16|66.22|66.1|66.22|66.195|66.22|66.18|66.22|51.26|81.04|66.12|66.24|62.94|66.27|66.18|66.22|66.18|66.22|69.51|54.94|1774717|338502317 4124|TTEC|TTEC|89854H102|US89854H1023|TTEC Holdings Inc|COM 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USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN5-8|TXN11-1|TXN6-7|TXN5-2|53250000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||USA||||50|5010|501010|50101015|Industrials|Construction and Materials|Construction and Materials |Engineering and Contracting Services|N||N||||||Y|0|Y||||||162.67|165.53|0.0|165.37|165.39|165.39|165.42|165.41|0.0|0.0|165.46|162.68|165.45|0.0|165.65|165.52|164.56|165.47|0.0|165.45|164.17|166.96|155.21|175.98|164.18|166.89|157.32|172.97|165.38|165.54|165.44|165.5|173.27|131.19|388445|70107173 24557|TTGT|TTGT|87874R100|US87874R1005|TechTarget Inc|COM 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LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN4-3|TXN9-7|TXN3-8|TXN4-2|130080000|||NotApplicable|||||1997-10-14||||||| | | | | | | | | |||N|0|N|Y|106A|USA|US|||60|6010|601010|60101030|Energy|Energy|Oil, Gas and Coal|Oil Equipment and Services|N||N||||||Y|0|Y||Y|2|||4.64|4.64|0.0|4.72|4.64|4.635|4.635|4.64|0.0|0.0|4.635|4.64|4.64|4.64|4.65|4.65|4.645|4.64|4.65|4.65|4.64|4.65|3.61|5.72|4.63|4.65|4.6|4.67|4.59|4.68|4.64|4.65|6.7688|2.43|962923|346043048 4132|TTMI|TTMI|87305R109|US87305R1095|TTM Technologies Inc|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN6-8|TXN12-5|TXN5-3|TXN6-2|102250000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101020|10102015|Technology|Technology|Technology Hardware and Equipment|Electronic Components|N||N||||||Y|0|Y||||||14.81|14.82|0.0|14.83|14.82|14.815|14.82|14.81|0.0|0.0|14.81|14.81|14.81|14.815|14.77|14.815|14.82|14.82|14.81|14.81|14.81|14.84|11.52|18.31|14.81|14.85|14.81|14.85|14.79|14.85|14.81|14.83|17.46|11.13|517394|141724996 30878|TTNP|TTNP|888314606|US8883146065|Titan Pharmaceuticals Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-7|TXN6-1|TXN13-2|TXN5-4|TXN6-6|15070000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||0.34|0.0|0.0|0.0|0.0|0.34|0.34|0.3298|0.0|0.0|0.34|0.34|0.3351|0.0|0.0|0.0|0.0|0.34|0.0|0.34|0.3106|0.3675|0.26|0.408|0.3106|0.3675|0.3106|0.3675|0.0|0.0|0.33|0.35|1.094|0.31|40548|10221491 44740|TTOO|TTOO|89853L302|US89853L3024|T2 Biosystems Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN6-7|TXN10-5|TXN5-8|TXN6-4|4050000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||N|0|Y||||||4.31|4.23|0.0|4.23|4.24|4.23|4.23|4.23|0.0|0.0|4.21|4.23|4.21|4.23|4.21|4.34|4.24|4.23|0.0|4.21|4.09|4.34|4.18|4.27|4.13|4.3|4.18|4.26|4.21|4.27|4.21|4.24|10.46|0.054|328553|10030687319 38973|TTP|TTP|89148H207|US89148H2076|Tortoise Pipeline & Energy Fund, Inc.|Common Stock|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN2-4|TXN5-6|TXN2-3|TXN4-2|2230000|||Quarterly|||||2011-10-27||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||0.0|28.15|0.0|0.0|0.0|28.41|28.129|28.25|0.0|0.0|28.15|0.0|28.14|0.0|0.0|28.13|0.0|28.13|0.0|28.13|28.12|28.13|0.0|0.0|28.12|30.13|21.61|33.99|0.0|0.0|28.12|28.13|29.641|23.7201|9389|1486394 36288|TTSH|TTSH|88677Q109|US88677Q1094|Tile Shop Holdings Inc|COM USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN6-8|TXN14-2|TXN6-2|TXN6-2|44530000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4040|404010|40401030|Consumer Discretionary|Retail |Retailers |Specialty Retailers |N||N||||||N|0|Y||||||0.0|6.88|0.0|0.0|6.89|6.89|6.89|6.91|0.0|0.0|6.905|6.9|6.91|0.0|0.0|0.0|0.0|6.92|0.0|6.91|6.64|7.13|5.35|8.47|6.74|7.04|6.81|6.99|6.8|7.02|6.89|6.91|6.99|3.91|59619|19255132 39817|TTT|TTT|74347G887|US74347G8877|ProShares Trust|ProShares UltraPro Short 20+ Year Treasury|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ProShares Advisors |IMC Chicago, LLC, DBA IMC Financial Markets|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-4|TXN4-1|TXN6-6|TXN1-3|TXN3-2|593605|||Quarterly|||||2012-03-29||TTT.NV|TTT.SO|TTT.EU|TTT.TC|TTT.IV| | | | | | | | | |-3x|The Fund seeks daily investment results, before fees and expenses, that correspond to three times the inverse (-3x) the daily performance of its underlying index. The Barclays Capital U.S. 20 Year Treasury Index includes all publicly issued, U.S. Treasury securities that have a remaining maturity greater than 20 years, are non-convertible, are denominated in U.S. dollars, are rated investment grade (at least Baa3 by Moodys Investors Service or BBB- by S&P), are fixed rate, and have more than $250 million par outstanding. The Index is weighted by the relative market value of all securities meeting the Index criteria. Excluded from the Index are certain special issues, such as flower bonds, targeted investor notes(TINs), U.S. Treasury inflation protected securities (TIPS), state and local government series bonds (SLGs), and coupon issues that have been stripped from assets already included.|N|0|N|N|416A|USA|US|FIXED_INCOME|INVERSE|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||83.48|84.49|0.0|0.0|83.99|84.7|83.98|85.94|0.0|0.0|84.74|83.91|83.56|83.99|0.0|83.89|0.0|83.89|83.89|83.89|81.97|85.77|81.62|84.13|83.44|83.8|81.62|84.14|83.27|84.14|83.45|83.79|122.213|56.41|17430|17039378 4134|TTWO|TTWO|874054109|US8740541094|Take-Two Interactive Software Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN6-4|TXN12-1|TXN5-6|TXN5-1|170070000|||NotApplicable|||||||||||| | | | | | | | | |||N|5|Y|N||USA||||40|4020|402030|40203040|Consumer Discretionary|Consumer Products and Services|Leisure Goods|Electronic Entertainment|N||N||||||Y|0|Y||||||157.56|157.55|0.0|157.53|157.54|157.545|157.52|157.56|0.0|0.0|157.56|157.54|157.56|157.555|157.56|157.66|157.64|157.55|157.7|157.56|157.41|157.65|146.1|166.44|157.47|157.67|157.39|157.67|157.52|157.6|157.54|157.57|161.605|97.2051|1878865|371362032 9664|TU|TU|87971M103|CA87971M1032|Telus Corporation|Common Shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|6|N|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-6|TXN3-6|TXN3-6|TXN1-5|TXN3-5|1455000000|||Quarterly|||||2013-02-04||||||| | | | | | | | | |||N|0|N|Y|306A|CAN|CA|||15|1510|151020|15102015|Telecommunications|Telecommunications|Telecommunications Service Providers |Telecommunications Services|N||N||||||Y|0|Y||Y|2|||18.65|18.655|0.0|18.68|18.64|18.655|18.645|18.645|0.0|0.0|18.65|18.65|18.655|18.65|18.65|18.64|18.655|18.65|18.65|18.64|18.65|18.66|14.14|22.54|18.65|18.66|18.62|18.68|18.62|18.68|18.65|18.66|21.82|15.47|1992459|376635011 74905|TUA|TUA|82889N657|US82889N6572|Simplify Exchange Traded Funds|Simplify Short Term Treasury Futures Strategy ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Simplify|Jane Street Capital, 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ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN6-4|TXN11-2|TXN5-4|TXN6-4|5850000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||27.6|0.0|0.0|0.0|0.0|27.55|27.6101|0.0|0.0|0.0|0.0|27.55|27.67|27.6|0.0|0.0|0.0|27.6101|27.6|27.67|27.42|27.98|0.0|0.0|27.67|27.73|27.67|27.73|0.0|0.0|27.67|27.73|28.53|21.33|53948|4150601 74059|TUGN|TUGN|53656F169|US53656F1690|STF Tactical Growth & Income ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN6-4|TXN13-7|TXN5-3|TXN6-8|1800000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||21.75|0.0|0.0|0.0|0.0|0.0|21.7398|0.0|0.0|0.0|0.0|0.0|21.77|21.74|0.0|0.0|0.0|21.76|21.74|21.77|21.51|21.97|0.0|0.0|21.71|21.77|21.71|21.77|0.0|0.0|21.71|21.77|23.25|18.72|10065|2720398 9667|TUP|TUP|899896104|US8998961044|Tupperware Brands Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|C|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-4|TXN4-4|TXN2-7|TXN4-1|TXN1-4|46270000|||Quarterly|||||1996-05-20||||||| | | | | | | | | |||N|0|N|Y|124D|USA|US|||40|4020|402020|40202025|Consumer Discretionary|Consumer Products and Services|Household Goods and Home Construction|Household Equipment and Products|N||N||||||Y|6|Y||Y|2|||1.98|1.97|0.0|1.97|1.97|1.97|1.975|1.975|0.0|0.0|1.975|1.97|1.975|2.01|1.98|1.98|1.98|1.98|1.97|1.98|1.97|1.98|1.62|2.37|1.96|1.98|1.95|2.01|1.94|1.99|1.97|1.98|5.91|0.61|3028114|1894731370 27582|TUR|TUR|464286715|US4642867158|iShares MSCI Turkey ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN6-5|TXN11-4|TXN6-4|TXN5-7|5500000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||35.78|35.81|0.0|0.0|35.78|35.78|35.7801|35.74|0.0|0.0|35.74|0.0|35.79|35.76|35.72|35.76|35.78|35.82|0.0|35.79|35.49|36.16|33.44|38.32|35.52|36.12|34.06|37.67|0.0|0.0|35.78|35.82|39.76|27.61|99032|63697977 76355|TURB|TURB|899924104|US8999241040|Turbo Energy SA|ADS||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN6-8|TXN14-5|TXN6-7|TXN5-7|55090000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||ESP||||50|5020|502020|50202010|Industrials|Industrial Goods and Services|Electronic and Electrical Equipment|Electrical Components |N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|1.7|1.68|1.78|0.0|0.0|0.0|0.0|1.69|0.0|0.0|0.0|0.0|1.68|0.0|1.68|1.28|2.08|1.28|2.08|1.55|1.85|1.28|2.08|0.0|0.0|1.65|1.75|7.9|1.19|12634|11049509 4012|TURN|TURN|68235B208|US68235B2088|180 Degree Capital Corp|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN6-4|TXN11-3|TXN6-5|TXN5-7|10370000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||Y|0|Y||||||0.0|0.0|0.0|0.0|0.0|3.85|3.8498|3.845|0.0|0.0|0.0|0.0|3.84|0.0|0.0|0.0|0.0|3.8498|0.0|3.8498|2.99|4.75|0.0|0.0|3.59|4.11|2.99|4.76|0.0|0.0|3.84|3.86|5.69|3.72|3877|3306539 74350|TUSI|TUSI|89157W301|US89157W3016|Touchstone Ultra Short Income ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-3|TXN2-4|TXN1-5|TXN4-3|TXN4-7|2400000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|25.07|0.0|0.0|0.0|25.09|25.05|25.09|0.0|0.0|0.0|0.0|25.06|25.09|0.0|25.09|0.0|25.07|0.0|25.07|0.0|0.0|0.0|0.0|25.05|25.09|0.0|0.0|0.0|0.0|25.05|25.09|25.165|24.83|5871|413951 54137|TUSK|TUSK|56155L108|US56155L1089|Mammoth Energy Services Inc|COM USD0.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN5-8|TXN12-3|TXN5-5|TXN5-5|47940000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||60|6010|601010|60101030|Energy|Energy|Oil, Gas and Coal|Oil Equipment and Services|N||N||||||Y|0|Y||||||0.0|4.62|0.0|0.0|4.58|4.6|4.605|4.46|0.0|0.0|4.59|0.0|4.6|4.56|0.0|4.6|0.0|4.605|0.0|4.6|4.5|4.68|3.46|5.58|4.52|4.66|4.56|5.47|4.56|4.65|4.58|4.6|8.79|3.405|62676|40477671 69772|TUYA|TUYA|90114C107|US90114C1071|Tuya Inc.|American Depositary Shares, each representing one Class A Ordinary Share|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN2-1|TXN4-8|TXN4-8|TXN1-8|505390000|||NotApplicable|||||2021-03-18||||||| | | | | | | | | |||N|0|N|Y|180B|CHN|KY|||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||Y|2|||2.38|2.355|0.0|0.0|2.35|2.355|2.34|2.345|0.0|0.0|2.35|2.36|2.35|2.5|2.48|2.36|2.38|2.35|2.5|2.36|2.34|2.36|1.84|2.91|2.33|2.36|2.32|2.38|2.31|2.39|2.34|2.36|3.12|1.23|820909|94405716 9669|TV|TV|40049J206|US40049J2069|Grupo Televisa, S.A.B.|Global Depositary Shares (Each representing Five Ordinary Participation Certificates)|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|8|R|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-5|TXN1-5|TXN7-8|TXN4-7|TXN4-4|2814500000|||Yearly|||||1993-12-14||||||| | | | | | | | | |||N|0|N|Y|144A|MEX|MX|||40|4030|403010|40301035|Consumer Discretionary|Media|Media|Radio and TV Broadcasters|N||N||||||Y|0|Y||Y|2|||3.4|3.405|0.0|3.39|3.4|3.4|3.405|3.4|0.0|0.0|3.395|3.4|3.41|3.395|3.39|3.4|3.4|3.41|3.4|3.4|3.4|3.41|2.66|4.16|3.4|3.42|3.37|3.43|3.36|3.44|3.4|3.41|6.57|2.1|5352415|609170729 75882|TVAL|TVAL|87283Q859|US87283Q8592|T. Rowe Price Exchange-Traded Funds, Inc.|T. Rowe Price Value ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||T. Rowe Price|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-6|TXN1-7|TXN8-8|TXN1-1|TXN4-7|2050000|||Yearly|||||2023-06-15||TVAL.NV|TVAL.SO|TVAL.EU|TVAL.TC| | | | | | | | | | ||The fund seeks to provide long-term capital growth.|N|0|N|N|400A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|25.84|26.2627|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|26.2235|0.0|26.2235|0.0|0.0|26.19|26.22|26.21|26.23|13.14|39.4|0.0|0.0|26.21|26.23|26.54|23.8301|12|99427 9670|TVC|TVC|880591300|US8805913006|Tennessee Valley Authority|Power Bonds 1998 Series D due June 1, 2028|Other|G|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN1-4|TXN3-8|TXN2-2|TXN3-8|10260000|||Quarterly|||||1998-06-19|2028-06-01|||||| | | | | | | | | |||N|0|N|N|302A|USA|US|||65|6510|651010|65101015|Utilities|Utilities|Electricity|Conventional Electricity|N||N||||||N|0|Y||Y|2|||22.52|22.57|0.0|0.0|0.0|22.55|22.54|22.57|0.0|0.0|22.54|0.0|22.59|22.21|21.516625|22.52|22.51|22.49|0.0|22.52|22.49|22.6|22.47|22.51|22.07|22.65|0.0|0.0|0.0|0.0|22.49|22.6|22.7|20.82|64783|4594916 9671|TVE|TVE|880591409|US8805914095|Tennessee Valley Authority|Power Bonds 1999 Series A due May 1, 2029 (Putable Automatic Rate Reset Securities)|Other|G|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN2-2|TXN1-5|TXN2-3|TXN3-4|8330000|||Quarterly|||||1999-05-19|2029-05-01|||||| | | | | | | | | |||N|0|N|N|302A|USA|US|||65|6510|651010|65101015|Utilities|Utilities|Electricity|Conventional Electricity|N||N||||||N|0|Y||Y|2|||21.67|21.64|0.0|0.0|0.0|21.7|21.7913|21.76|0.0|0.0|21.8|21.88|21.78|21.67|0.0|21.75|21.83|21.7|0.0|21.75|21.65|21.79|21.73|21.83|21.31|22.24|0.0|0.0|0.0|0.0|21.65|21.79|22.3335|20.6099|16350|4122943 38570|TVTX|TVTX|89422G107|US89422G1076|Travere Therapeutics Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN6-4|TXN13-8|TXN6-1|TXN6-8|75150000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103015|Health Care |Health Care |Pharmaceuticals and Biotechnology|Pharmaceuticals |N||N||||||Y|0|Y||||||6.29|6.285|0.0|6.2|6.29|6.28|6.29|6.29|0.0|0.0|6.29|6.245|6.29|6.29|6.26|6.28|6.28|6.29|6.27|6.29|6.28|6.32|4.86|7.58|6.27|6.34|6.25|6.32|6.27|6.33|6.28|6.29|23.18|5.25|1025823|338084758 63373|TW|TW|892672106|US8926721064|Tradeweb Markets Inc|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN5-3|TXN12-3|TXN6-5|TXN6-1|114730000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||USA||||30|3020|302020|30202015|Financials|Financial Services |Investment Banking and Brokerage Services |Investment Services|N||N||||||Y|0|Y||||||94.65|94.64|0.0|94.68|94.64|94.61|94.6|94.63|0.0|0.0|94.62|94.62|94.64|94.67|94.57|94.61|94.63|94.65|94.59|94.64|94.56|94.71|88.46|100.74|94.54|94.71|94.55|94.72|94.58|94.67|94.6|94.65|97.18|60.38|1020285|195338623 74386|TWEB|TWEB|886364512|US8863645128|SoFi Web 3 ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN5-8|TXN12-3|TXN5-4|TXN6-7|100000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||0.0|0.0|0.0|0.0|0.0|19.51|19.4199|0.0|0.0|0.0|0.0|0.0|19.5|0.0|0.0|0.0|0.0|19.4199|0.0|19.5|0.0|0.0|0.0|0.0|19.12|19.72|0.0|0.0|0.0|0.0|19.33|19.51|21.92|11.21|1634|342221 9675|TWI|TWI|88830M102|US88830M1027|Titan International, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|N|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN2-4|TXN9-8|TXN1-1|TXN2-6|61890000|||Quarterly|||||1994-03-23||||||| | | | | | | | | |||N|0|N|Y|132B|USA|US|||50|5020|502040|50204010|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Agricultural|N||N||||||Y|0|Y||Y|2|||13.51|13.765|0.0|13.39|13.75|13.77|13.77|13.76|0.0|0.0|13.76|13.76|13.765|13.77|13.71|13.77|13.7|13.77|13.76|13.77|13.76|13.77|10.54|16.75|13.73|13.79|13.73|13.8|13.72|13.81|13.76|13.77|17.29|9.23|286116|96944873 4144|TWIN|TWIN|901476101|US9014761012|Twin Disc Inc|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN5-5|TXN14-6|TXN6-7|TXN6-1|13960000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502040|50204050|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Specialty|N||N||||||N|0|Y||||||13.8|13.7|0.0|0.0|13.68|13.88|13.65|13.705|0.0|0.0|13.85|0.0|13.65|0.0|0.0|0.0|0.0|13.65|13.74|13.65|13.33|14.09|0.0|0.0|13.39|14.0|10.8|16.8|0.0|0.0|13.65|13.82|15.0|8.6|47703|4188132 70065|TWIO|TWIO|84858T509|US84858T5092|Spinnaker ETF Series|Trajan Wealth Income Opportunities ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Nottingham|Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN3-8|TXN5-8|TXN3-6|TXN3-3|4190000|||Quarterly|||||2021-04-01||TWIO.NV|TWIO.SO|TWIO.EU|TWIO.TC| | | | | | | | | | |1x|The Fund seeks to achieve its investment objective of current income, conservation of principal and the opportunity for limited capital appreciation by investing in a combination of domestic preferred securities, income producing fixed income securities, and income producing common stocks|N|0|N|N|406B|USA|US|HYBRID|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|8.68|8.46|0.0|0.0|8.47|0.0|0.0|8.47|0.0|0.0|0.0|8.7084|0.0|8.7084|0.0|0.0|0.0|0.0|8.65|8.76|0.0|0.0|0.0|0.0|8.65|8.77|9.32|7.88|4491|4498062 71671|TWKS|TWKS|88546E105|US88546E1055|Thoughtworks Holding Inc|COM 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LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-4|TXN2-6|TXN2-4|TXN1-5|TXN1-5|181040000|||NotApplicable|||||2016-06-23||||||| | | | | | | | | |||N|0|Y|Y|108A|USA|US|||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||Y|1|||67.52|67.53|0.0|67.53|67.5|67.515|67.525|67.53|0.0|0.0|67.505|67.48|67.525|67.52|67.505|67.52|67.52|67.52|67.44|67.52|67.52|67.53|63.3|71.1|67.42|67.68|67.5|67.6|67.5|67.61|67.52|67.53|79.7|42.78|2957030|916254577 70293|TWLV|TWLV|90118T106|US90118T1060|Twelve Seas Investment Co II|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN5-5|TXN14-4|TXN6-7|TXN6-4|13000000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.57|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|9.91|11.4|0.0|0.0|0.0|0.0|10.55|10.75|11.165|9.97|2|12292567 69363|TWLVU|TWLVU|90118T205|US90118T2050|Twelve Seas Investment Co II|UNITS||R|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN6-1|TXN12-2|TXN6-2|TXN6-7|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|7.31|13.41|0.0|0.0|8.53|11.92|7.31|13.41|0.0|0.0|9.13|11.18|10.865|9.5594|0|432037 70294|TWLVW|TWLVW|90118T114|US90118T1144|Twelve Seas Investment Co II|WT EXP 030228||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-3|TXN6-5|TXN14-8|TXN5-6|TXN6-5|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.03|0.03|0.03|0.0|0.0|0.0|0.0|0.03|0.0|0.03|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.029|0.0319|0.149|0.0005|4957|2073599 18863|TWM|TWM|74347G689|US74347G6897|ProShares Trust|ProShares UltraShort Russell2000|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ProShares Advisors |Latour Trading, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-7|TXN2-2|TXN3-2|TXN2-8|TXN1-1|5513966|||Quarterly|||||2011-02-24||TWM.NV|TWM.SO|TWM.EU|TWM.TC|TWM.IV| | | | | | | | | |-2x|ProShares UltraShort Russell2000 seeks daily investment results, before fees and expenses, that correspond to twice (200%) the inverse (opposite) of the daily performance of the Russell 2000 Index. This ETF seeks a return of -200% of the return of an index (target) for a single day. Due to the compounding of daily returns, returns over periods other than one day will likely differ in amount and possibly direction from the target return for the same period. Investors should monitor their ProShares holdings consistent with their strategies, as frequently as daily. For more on correlation, leverage and other risks, please read the prospectus. The Russell 2000 Index consists of 2,000 of the smallest U.S.-domiciled, publicly traded common stocks included in the Russell 3000 Index.|N|0|N|N|416A|USA|US|EQUITY|INVERSE|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||13.87|13.86|0.0|0.0|13.86|13.85|13.8597|14.01|0.0|0.0|13.85|13.85|13.86|13.855|13.9|13.85|13.85|13.86|14.125|13.86|13.85|13.86|13.85|13.86|13.85|13.86|13.82|13.88|13.81|13.92|13.85|13.86|18.645|12.41|2017378|479739460 9677|TWN|TWN|874036106|US8740361063|The Taiwan Fund, Inc.|Common Stock|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN3-4|TXN4-8|TXN2-1|TXN4-7|7470000|||Yearly|||||1988-12-01||||||| | | | | | | | | |||N|0|N|N|406B|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||0.0|33.1|0.0|0.0|0.0|33.1|32.905|0.0|0.0|0.0|32.3|0.0|32.92|0.0|0.0|32.89|0.0|32.89|0.0|32.89|32.62|32.92|32.61|33.1|32.62|32.92|0.0|0.0|0.0|0.0|32.61|32.92|34.2|22.92|16936|3173621 31757|TWO|TWO|90187B804|US90187B8046|Two Harbors Investment Corp.|Common Stock|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|6|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-7|TXN4-7|TXN1-3|TXN1-8|TXN3-3|96190000|||Quarterly|||||2017-11-02||||||| | | | | | | | | |||N|0|N|Y|414A|USA|US|||30|3020|302030|30203020|Financials|Financial Services |Mortgage Real Estate Investment Trusts|Mortgage REITs: Residential|N||N||||||Y|0|Y||Y|2|||14.01|14.02|0.0|13.97|14.02|14.02|14.02|14.015|0.0|0.0|14.015|14.03|14.015|14.03|14.03|14.01|14.03|14.02|14.03|14.01|14.01|14.02|10.78|17.07|13.98|14.02|13.98|14.04|13.98|14.04|14.01|14.02|18.67|9.83|962820|257536099 56839|TWO PRA|TWOpA|90187B200|US90187B2007|Two Harbors Investment Corp.|8.125% Series A Fixed-to-Floating Rate Cumulative Redeemable Preferred Stock ($25.00 liquidation preference per share)|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN1-2|TXN7-8|TXN4-3|TXN4-6|5100000|||Quarterly|||||2017-03-16||||||| | | | | | | | | |||N|0|N|N|414A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||21.57|20.98|0.0|0.0|0.0|21.4|21.42|21.57|0.0|0.0|21.5|0.0|21.24|21.57|0.0|21.57|0.0|21.57|20.22438|21.57|21.32|21.66|0.0|0.0|21.44|22.09|0.0|0.0|0.0|0.0|21.44|21.66|22.86|18.85|10878|2840590 59232|TWO PRB|TWOpB|90187B309|US90187B3096|Two Harbors Investment Corp.|7.625% Series B Fixed-to-Floating Rate Cumulative Redeemable Preferred Stock|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN3-1|TXN5-8|TXN3-1|TXN1-3|10500000|||Quarterly|||||2017-07-21||||||| | | | | | | | | |||N|0|N|N|414A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|20.45|0.0|0.0|19.95|20.635|20.5815|20.545|0.0|0.0|20.43|0.0|20.62|0.0|0.0|20.62|0.0|20.62|0.0|20.62|20.45|20.63|0.0|0.0|20.5|21.06|0.0|0.0|0.0|0.0|20.45|20.63|21.6|17.87|11695|6058400 60181|TWO PRC|TWOpC|90187B507|US90187B5075|Two Harbors Investment Corp.|7.25% Series C Fixed-to-Floating Rate Cumulative Redeemable Preferred Stock|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN2-3|TXN1-5|TXN3-5|TXN1-7|9990000|||Quarterly|||||2017-11-28||||||| | | | | | | | | |||N|0|N|N|414A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|20.98|0.0|0.0|0.0|20.97|20.98|20.98|0.0|0.0|0.0|0.0|20.99|0.0|0.0|20.97|0.0|20.97|0.0|20.97|20.97|21.0|20.93|20.99|20.54|20.99|0.0|0.0|0.0|0.0|20.97|21.0|21.72|17.88|18328|6220310 70011|TWOA|TWOA|G9152V101|KYG9152V1014|two|Class A Ordinary Shares|Special purpose acquisition company|A|N|N|N|Y|Y|Y|Y|Y|5|L|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN1-7|TXN2-8|TXN3-4|TXN1-2|5000000|||NotApplicable|||||2021-03-30||||||| | | | | | | | | |||N|0|N|N|408A|USA|KY|||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|10.55|10.65|10.65|10.57|0.0|0.0|0.0|0.0|10.65|0.0|0.0|11.0|0.0|10.65|0.0|11.0|10.61|10.63|0.0|0.0|9.87|11.33|8.32|12.72|0.0|0.0|10.61|10.63|11.6|10.0|31601|13958821 43834|TWOU|TWOU|90214J101|US90214J1016|2U Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN5-1|TXN12-3|TXN6-1|TXN6-2|82070000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4020|402010|40201010|Consumer Discretionary|Consumer Products and Services|Consumer Services |Education Services|N||N||||||Y|0|Y||||||1.05|1.045|0.0|1.04|1.075|1.045|1.05|1.045|0.0|0.0|1.07|1.07|1.05|1.075|1.08|1.07|1.085|1.05|1.04|1.05|1.03|1.06|0.872|1.28|1.03|1.06|1.02|1.08|1.04|1.09|1.04|1.05|13.15|0.88|2605361|335928833 62186|TWST|TWST|90184D100|US90184D1000|Twist Bioscience Corp|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN6-5|TXN13-3|TXN5-4|TXN5-8|57670000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||25.58|25.57|0.0|25.58|25.66|25.58|25.59|25.59|0.0|0.0|25.57|25.59|25.59|25.59|25.66|25.58|25.65|25.59|25.23|25.59|25.35|25.63|19.64|30.9|25.38|25.66|25.53|25.67|25.54|25.69|25.57|25.59|31.51|11.46|1099295|274150228 16044|TX|TX|880890108|US8808901081|Ternium S.A.|American Depositary Shares, (Each representing ten shares)|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN4-2|TXN5-8|TXN4-4|TXN3-4|1963080000|||Yearly|||||2006-02-01||||||| | | | | | | | | |||N|0|N|Y|130D|LUX|LU|||55|5510|551020|55102010|Basic Materials|Basic Resources|Industrial Metals and Mining|Iron and Steel|N||N||||||Y|0|Y||Y|2|||40.26|39.77|0.0|39.76|39.74|39.82|39.775|39.945|0.0|0.0|39.82|39.81|39.74|39.83|39.95|39.74|39.92|39.73|40.92|39.74|39.74|39.75|30.93|49.49|39.72|39.99|39.68|39.8|39.67|39.81|39.74|39.75|45.81|28.47|115531|53293203 64490|TXG|TXG|88025U109|US88025U1097|10x Genomics Inc|COM CL A 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Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN6-6|TXN14-8|TXN6-2|TXN6-8|10580000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103015|Health Care |Health Care |Pharmaceuticals and Biotechnology|Pharmaceuticals |N||N||||||Y|0|Y||||||0.0|2.51|0.0|0.0|0.0|2.55|2.5805|2.51|0.0|0.0|2.53|0.0|2.54|0.0|0.0|0.0|0.0|2.5805|2.59|2.54|2.36|2.73|1.93|3.18|2.41|2.7|2.36|2.73|0.0|0.0|2.51|2.59|7.18|1.95|24267|7040468 9688|TXN|TXN|882508104|US8825081040|Texas Instruments Inc|COM USD1||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN5-4|TXN11-2|TXN5-2|TXN5-8|908200000|||NotApplicable|||||||||||| | | | | | | | | |||N|1|Y|N||USA||||10|1010|101020|10102010|Technology|Technology|Technology Hardware and Equipment|Semiconductors|N||N||||||Y|0|Y||||||157.43|157.43|0.0|157.49|157.455|157.42|157.4|157.46|0.0|0.0|157.53|157.38|157.42|157.46|157.54|157.52|157.39|157.43|157.26|157.42|157.29|157.55|147.48|166.15|157.37|157.48|157.32|157.49|157.33|157.52|157.42|157.43|188.12|139.48|6571960|1188473175 75155|TXO|TXO|87313P103|US87313P1030|TXO Partners, L.P.|Common Units Representing Limited Partner Interests|Limited partnership|R|N|N|N|Y|Y|Y|Y|Y|5|A|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN2-3|TXN3-8|TXN1-5|TXN2-3|30750000|||Quarterly|||||2023-01-27||||||| | | | | | | | | |||N|0|N|N|134A|USA|US|||60|6010|601010|60101010|Energy|Energy|Oil, Gas and Coal|Oil: Crude Producers|N||N||||||N|0|Y||Y|2|||0.0|18.5|0.0|18.34|18.52|18.52|18.52|18.39|0.0|0.0|18.49|18.3|18.48|18.36|0.0|18.51|18.36|18.52|18.39|18.51|18.4|18.52|14.06|22.4|18.2|18.82|14.06|22.4|18.4|18.51|18.38|18.51|25.0|17.23|49742|7885480 4153|TXRH|TXRH|882681109|US8826811098|Texas Roadhouse Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN5-2|TXN13-1|TXN5-6|TXN5-5|66780000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||USA||||40|4050|405010|40501040|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Restaurants and Bars|N|Y|N||||||Y|0|Y||||||114.38|114.44|0.0|114.48|114.37|114.41|114.35|114.395|0.0|0.0|114.4|114.44|114.41|114.38|114.38|114.45|114.46|114.35|114.44|114.41|114.13|114.66|107.19|122.18|114.33|114.66|108.59|114.52|114.32|114.42|114.38|114.42|118.16|90.375|1323051|221115118 76000|TXS|TXS|88224A102|US88224A1025|Texas Capital Funds Trust|Texas Capital Texas Equity Index ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Ultimus Fund Solutions (Texas Capital)|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-3|TXN1-6|TXN5-8|TXN3-2|TXN1-2|704000|||Quarterly|||||2023-07-13||TXS.NV|TXS.SO|TXS.EU|TXS.TC|TXS.IV| | | | | | | | | |1x|companies headquartered in Texas enjoy certain economic, regulatory, taxation, workforce and other benefits relative to companies headquartered in other states. In the Advisers view, the strong business environment in the State of Texas is demonstrated by, among other things, its infrastructure spending and resources, relatively low cost of conducting business, export data, and third-party rankings and recognitions.|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|25.32|25.3346|25.365|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|25.4135|25.36|25.4135|25.15|25.68|25.36|25.4|25.39|25.43|25.39|25.43|0.0|0.0|25.39|25.43|26.0|22.5748|1993|1040249 9689|TXT|TXT|883203101|US8832031012|Textron Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|I|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-4|TXN2-3|TXN7-3|TXN4-4|TXN3-1|196010000|||Quarterly|||||1947-12-22||||||| | | | | | | | | |||N|5|Y|Y|170A|USA|US|||50|5020|502010|50201010|Industrials|Industrial Goods and Services|Aerospace and Defense|Aerospace|N||N||||||Y|0|Y||Y|1|||77.27|77.28|0.0|77.28|77.26|77.235|77.275|77.265|0.0|0.0|77.225|77.23|77.27|77.23|77.235|77.27|76.8|77.27|77.23|77.27|77.26|77.28|72.46|81.69|77.22|77.29|77.19|77.3|77.26|77.35|77.26|77.28|81.39|61.27|1496022|309812783 9697|TY|TY|895436103|US8954361031|Tri-Continental Corporation|Common Stock|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-6|TXN1-5|TXN4-7|TXN1-4|TXN4-2|53920000|||Quarterly|||||1930-04-10||||||| | | | | | | | | |||N|0|N|N|406B|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||27.76|27.78|0.0|0.0|27.78|27.77|27.76|27.94|0.0|0.0|27.77|0.0|27.76|0.0|0.0|27.75|0.0|27.75|0.0|27.75|27.75|27.78|21.5|34.7|27.75|27.81|27.68|27.86|27.72|27.81|27.75|29.65|28.515|25.16|37670|11436596 9698|TY PR|TYp|895436202|US8954362021|Tri-Continental Corporation|$2.50 Cumulative Preferred Stock|Closed end fund|B|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN4-5|TXN9-8|TXN1-8|TXN1-3|710000|||Quarterly|||||1963-05-06||||||| | | | | | | | | |||N|0|N|N|406B|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|44.31|44.3206|0.0|0.0|0.0|44.0|0.0|44.4|0.0|0.0|44.37|0.0|44.37|0.0|44.37|44.08|44.4|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|42.01|45.98|50.0|42.0|573|190327 71823|TYA|TYA|82889N798|US82889N7984|Simplify Intermediate Term Treasury Futures Strategy ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN1-8|TXN2-7|TXN4-7|TXN4-2|3725001|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||13.33|13.41|0.0|0.0|13.33|13.33|13.3955|13.37|0.0|0.0|13.37|13.33|13.37|13.33|13.33|13.33|0.0|13.41|13.33|13.41|13.37|13.41|0.0|0.0|13.39|13.41|13.37|13.41|0.0|0.0|13.38|13.41|17.1|11.78|351094|7188183 30777|TYD|TYD|25459W565|US25459W5655|Direxion Shares ETF Trust|Direxion Daily 7-10 Year Treasury Bull 3X Shares|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Direxion Shares|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-4|TXN2-4|TXN2-7|TXN3-1|TXN3-5|2050000|||Quarterly|||||2009-04-16||TYD.NV|TYD.SO|TYD.EU|TYD.TC|TYD.IV| | | | | | | | | |3x|The Direxion Daily 7-10 Year Treasury Bull 3x Shares ETF seeks daily investment results, before fees and expenses, of 300% of the performance of the NYSE 7-10 Year Treasury Bond Index. The Fund seeks daily leveraged investment results and does not seek to achieve its stated investment objective over a period of time greater than one day. The Fund is different and much riskier than most exchangetraded funds.|N|0|N|N|416A|USA|US|FIXED_INCOME|LEVERAGED|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||25.94|26.2|0.0|0.0|25.94|25.98|26.03|0.0|0.0|0.0|25.98|25.91|26.0|25.99|26.13|26.2|0.0|25.99|25.95|25.99|25.98|26.04|25.92|31.89|25.98|26.04|25.98|26.04|25.92|26.11|25.98|26.03|33.81|22.25|46302|9781267 9700|TYG|TYG|89147L886|US89147L8862|Tortoise Energy Infrastructure Corporation|Common Stock|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN1-6|TXN2-8|TXN4-8|TXN3-7|11930000|||Quarterly|||||2004-02-25||||||| | | | | | | | | |||N|0|N|N|406B|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||28.47|28.48|0.0|28.33|28.48|28.45|28.465|28.475|0.0|0.0|28.33|0.0|28.48|28.42|27.8|28.465|0.0|28.465|28.45|28.465|28.45|28.48|22.01|34.85|26.47|28.48|28.41|28.53|28.42|28.51|28.45|28.48|34.29|26.72|82372|9076154 71563|TYGO|TYGO|88675P103|US88675P1030|Tigo Energy Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN5-4|TXN13-8|TXN5-7|TXN5-6|58740000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||1.97|1.97|0.0|0.0|2.0|1.95|1.96|2.01|0.0|0.0|1.97|2.0|1.98|1.96|0.0|2.0|0.0|1.96|1.96|1.96|1.86|2.12|1.52|2.45|1.92|2.04|1.93|2.04|1.93|0.0|1.96|2.0|27.0|1.8|158515|13148808 9701|TYL|TYL|902252105|US9022521051|Tyler Technologies, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|P|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN2-5|TXN7-8|TXN4-6|TXN1-1|42120000|||NotApplicable|||||1969-03-24||||||| | | | | | | | | |||N|5|Y|Y|108B|USA|US|||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||Y|1|||407.07|412.58|0.0|413.02|412.27|412.09|412.95|412.74|0.0|0.0|412.27|410.73|413.04|412.69|408.92|412.94|412.31|412.94|412.94|412.94|412.93|412.95|387.53|435.55|412.5|413.12|412.11|413.59|412.01|413.0|412.68|413.0|426.83|301.69|177955|56591723 74948|TYLG|TYLG|37960A743|US37960A7431|Global X Funds|Global X Information Technology Covered Call & Growth ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Global X|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-6|TXN3-3|TXN9-8|TXN2-4|TXN4-7|130000|||Monthly|||||2022-11-22||TYLG.NV|TYLG.SO|TYLG.EU|TYLG.TC| | | | | | | | | | |1x|The Global X Information Technology Covered Call & Growth ETF (Fund) seeks to provide investment results that correspond generally to the price and yield performance, before fees and expenses, of the Cboe Technology Select Sector Half BuyWrite Index (Underlying Index).|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||0.0|31.16|0.0|0.0|0.0|31.16|31.0486|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|31.0839|0.0|31.0839|0.0|0.0|0.0|0.0|31.0|31.15|15.67|46.99|0.0|0.0|31.0|31.15|31.4|23.5281|615|190957 30778|TYO|TYO|25459W557|US25459W5572|Direxion Shares ETF Trust|Direxion Daily 7-10 Year Treasury Bear 3X Shares|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Direxion Shares|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-3|TXN3-8|TXN2-8|TXN1-5|TXN3-3|1500000|||Quarterly|||||2009-04-16||TYO.NV|TYO.SO|TYO.EU|TYO.TC|TYO.IV| | | | | | | | | |-3x|The Direxion Daily 7-10 Year Treasury Bear 3x Shares ETF seeks daily investment results, before fees and expenses, of 300% of the inverse (or opposite) of the performance of the NYSE 7-10 Year Treasury Bond Index. The Fund seeks daily leveraged investment results and does not seek to achieve its stated investment objective over a period of time greater than one day. The Fund is different and much riskier than most exchange-traded funds.|N|0|N|N|416A|USA|US|FIXED_INCOME|INVERSE|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||14.36|14.36|0.0|0.0|14.36|14.36|14.37|14.36|0.0|0.0|14.36|14.36|14.36|14.37|14.36|14.36|0.0|14.3|14.36|14.3|14.33|14.37|0.0|0.0|14.33|14.37|14.32|14.37|0.0|0.0|14.33|14.37|16.77|11.41|53110|14366748 71672|TYRA|TYRA|90240B106|US90240B1061|Tyra Biosciences Inc|COM USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN5-6|TXN13-3|TXN6-8|TXN6-7|43060000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||0.0|12.65|0.0|0.0|12.38|12.68|12.38|12.675|0.0|0.0|11.94|0.0|12.67|0.0|0.0|0.0|0.0|12.54|0.0|12.67|11.98|13.14|0.0|0.0|12.21|12.94|10.15|14.32|0.0|0.0|12.48|12.67|19.74|6.25|21899|13394158 29272|TZA|TZA|25460E232|US25460E2321|Direxion Shares ETF Trust|Direxion Daily Small Cap Bear 3X Shares|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Direxion Shares|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-3|TXN2-2|TXN9-1|TXN3-1|TXN3-5|14472797.005|||Quarterly|||||2011-02-23||TZA.NV|TZA.SO|TZA.EU|TZA.TC|TZA.IV| | | | | | | | | |-3x|The small cap Bear 3X Shares seeks daily investment results, before fees and expenses, of 300% of the inverse (or opposite) of the price performance of the Russell 2000 (small cap Index). There is no guarantee the fund will meet its stated investment objective.The Russell 2000 Index measures the performance of the small cap segment of the U.S. equity universe and is comprised of the smallest 2000 companies in the Russell 3000 Index, representing approximately 10% of the total market capitalization of that Index. It includes approximately 2000 of the smallest securities based on a combination of their market cap and current index membership. The companies included in the Index have an average market capitalization of more than $700 million dollars and a median market capitalization of $500 million dollars as of April 30, 2008.|N|0|N|N|416A|USA|US|EQUITY|INVERSE|||||||||N||N||||||Y|0|Y||Y|2|||25.45|25.445|0.0|26.13|25.43|25.405|25.44|25.44|0.0|0.0|25.41|25.42|25.42|25.38|25.39|25.44|25.4|25.41|25.41|25.41|25.41|25.43|25.4|25.43|25.41|25.43|25.4|25.43|25.33|25.5|25.41|25.43|40.22|21.98|12852441|2687592612 4156|TZOO|TZOO|89421Q205|US89421Q2057|Travelzoo|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN6-4|TXN10-6|TXN6-3|TXN6-5|13970000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4050|405010|40501015|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Travel and Tourism|N||N||||||Y|0|Y||||||10.42|10.48|0.0|10.38|10.37|10.4|10.37|10.41|0.0|0.0|10.39|10.09|10.4|10.41|10.5|10.46|10.5|10.39|10.53|10.4|10.19|10.63|8.01|12.91|10.18|10.59|8.25|10.44|10.32|10.45|10.34|10.4|10.86|4.1|225757|27378087 67532|U|U|91332U101|US91332U1016|Unity Software Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-2|TXN1-1|TXN4-6|TXN1-3|TXN3-2|380020000|||NotApplicable|||||2020-09-18||||||| | | | | | | | | |||N|0|Y|Y|180B|USA|US|||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||Y|1|||32.64|32.64|0.0|32.65|32.63|32.64|32.6323|32.63|0.0|0.0|32.64|32.625|32.635|32.64|32.64|32.63|32.63|32.6323|32.61|32.63|32.63|32.64|30.45|34.39|32.63|32.65|32.56|32.69|32.56|32.69|32.63|32.64|50.08|22.2|11660207|2623910696 52756|UA|UA|904311206|US9043112062|Under Armour, Inc.|Class C Common Stock, $0.0003 1/3 par value per share|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|N|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-6|TXN4-8|TXN5-5|TXN3-8|TXN1-1|214920000|||Adhoc|||||2016-03-23||||||| | | | | | | | | |||N|0|Y|Y|148B|USA|US|||40|4020|402040|40204020|Consumer Discretionary|Consumer Products and Services|Personal Goods|Clothing and Accessories|N||N||||||Y|0|Y||Y|1|||8.03|8.04|0.0|8.02|8.03|8.04|8.038|8.03|0.0|0.0|8.04|8.04|8.04|8.03|8.03|8.04|8.025|8.04|8.03|8.04|8.03|8.04|7.58|8.5|8.03|8.05|8.0|8.06|7.99|8.07|8.03|8.04|11.415|5.86|2831520|735527985 15701|UAA|UAA|904311107|US9043111072|Under Armour, Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|N|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN1-4|TXN9-8|TXN3-3|TXN2-3|188790000|||Adhoc|||||2006-12-18||||||| | | | | | | | | |||N|0|Y|Y|148B|USA|US|||40|4020|402040|40204020|Consumer Discretionary|Consumer Products and Services|Personal Goods|Clothing and Accessories|N||N||||||Y|0|Y||Y|1|||8.56|8.56|0.0|8.7|8.55|8.55|8.56|8.55|0.0|0.0|8.56|8.56|8.56|8.55|8.55|8.55|8.545|8.56|8.54|8.55|8.55|8.56|7.98|9.04|8.55|8.57|8.53|8.58|8.55|8.58|8.55|8.56|13.045|6.29|4871806|1612846363 44089|UAE|UAE|46434V761|US46434V7617|iShares Trust - iShares MSCI UAE Capped ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN5-4|TXN11-8|TXN6-1|TXN5-6|2500000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|14.601|0.0|0.0|0.0|0.0|0.0|14.66|0.0|0.0|0.0|0.0|14.601|0.0|14.66|11.61|17.76|0.0|0.0|14.6|14.74|11.62|17.76|0.0|0.0|14.6|14.66|15.81|13.31|6667|6170424 16048|UAL|UAL|910047109|US9100471096|United Airlines Holdings Inc|COM NEW||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN6-6|TXN10-7|TXN6-7|TXN5-8|328020000|||NotApplicable|||||||||||| | | | | | | | | |||N|5|Y|N||USA||||40|4050|405010|40501010|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Airlines|N||N||||||Y|0|Y||||||40.52|40.52|0.0|40.5|40.51|40.52|40.52|40.52|0.0|0.0|40.52|40.53|40.52|40.49|40.51|40.52|40.53|40.52|40.51|40.52|40.51|40.55|37.75|42.79|40.51|40.54|40.48|40.57|0.0|0.0|40.51|40.52|58.23|33.68|7435105|1719698773 15194|UAMY|UAMY|911549103|US9115491030|United States Antimony Corporation|Common Stock|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||J. Streicher & Co. L.L.C.|JSCO|3856|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN10-4|TXN2-2|TXN2-8|TXN4-3|TXN1-7|107650000|||NotApplicable|||||2012-05-21||||||| | | | | | | | | |||N|0|N|N|100A|USA|US|||55|5510|551020|55102000|Basic Materials|Basic Resources|Industrial Metals and Mining|General Mining|N||N||||||Y|0|Y||Y|2|||0.26|0.265|0.0|0.0|0.26|0.265|0.2651|0.2655|0.0|0.0|0.2651|0.2664|0.2651|0.0|0.0|0.26555|0.266|0.266|0.0|0.266|0.2595|0.2746|0.2651|0.268|0.2646|0.27|0.212|0.3228|0.264|0.271|0.2651|0.268|0.5|0.2401|273737|37677054 37701|UAN|UAN|126633205|US1266332055|CVR Partners, LP|Common Units representing limited partner interests|Limited partnership|A|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN3-6|TXN7-8|TXN3-1|TXN2-8|10570000|||Quarterly|||||2011-04-08||||||| | | | | | | | | |||N|0|N|N|106B|USA|US|||55|5520|552010|55201015|Basic Materials|Chemicals|Chemicals|Fertilizers|N||N||||||Y|0|Y||Y|2|||69.19|68.03|0.0|68.02|68.21|67.84|68.1304|68.105|0.0|0.0|68.06|68.34|68.24|69.01|66.63|68.21|0.0|68.24|67.93|68.21|68.01|68.27|53.31|83.55|63.25|73.05|67.62|68.61|68.02|68.61|68.01|68.27|119.5292|66.32|43779|17007725 63346|UAPR|UAPR|45782C805|US45782C8055|Innovator U.S. Equity Ultra Buffer ETF - April|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-4|TXN3-4|TXN2-8|TXN3-5|TXN4-5|3400000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||26.9|26.934|0.0|0.0|26.89|0.0|26.9103|0.0|0.0|0.0|26.96|0.0|26.89|26.96|26.85|0.0|26.96|26.934|26.96|26.934|0.0|0.0|26.9|26.97|26.88|26.97|26.87|26.99|26.87|26.99|26.91|26.96|26.9893|24.6512|4351|12585256 64217|UAUG|UAUG|45782C672|US45782C6729|Innovator U.S. Equity Ultra Buffer ETF - August|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-3|TXN1-5|TXN1-5|TXN4-5|TXN2-5|13300000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||29.85|29.85|0.0|0.0|29.85|29.71|29.835|0.0|0.0|0.0|0.0|0.0|29.82|29.85|29.85|0.0|0.0|29.85|29.85|29.85|23.01|36.62|23.01|36.62|29.77|29.9|23.01|29.91|29.74|29.91|21.38|29.87|29.96|25.92|29108|23444888 28529|UAVS|UAVS|00848K101|US00848K1016|AgEagle Aerial Systems Inc.|Common Stock $0.001 par value|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN12-8|TXN4-1|TXN4-8|TXN4-4|TXN4-2|117880000|||NotApplicable|||||2018-03-27||||||| | | | | | | | | |||N|0|N|N|134A|USA|US|||50|5020|502010|50201010|Industrials|Industrial Goods and Services|Aerospace and Defense|Aerospace|N||N||||||Y|0|Y||Y|2|||0.1273|0.1281|0.0|0.0|0.1257|0.128|0.1259|0.1259|0.0|0.0|0.128|0.1264|0.1257|0.122|0.0|0.1296|0.1246|0.1246|0.129|0.1246|0.1202|0.1334|0.126|0.1275|0.1246|0.1298|0.1174|0.1334|0.123|0.128|0.126|0.1275|0.6|0.0976|3076077|273266659 4164|UBCP|UBCP|909911109|US9099111091|United Bancorp Inc|COM USD1||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN5-3|TXN10-8|TXN5-5|TXN5-8|5720000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||||||11.23|0.0|0.0|0.0|0.0|11.48|11.48|0.0|0.0|0.0|0.0|0.0|11.48|0.0|0.0|0.0|0.0|11.48|0.0|11.48|0.0|0.0|0.0|0.0|10.59|11.93|0.0|0.0|0.0|0.0|11.01|11.48|16.0|9.7|9081|934692 63582|UBER|UBER|90353T100|US90353T1007|Uber Technologies, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-1|TXN3-4|TXN4-3|TXN3-1|TXN2-2|2057860000|||NotApplicable|||||2019-05-10||||||| | | | | | | | | |||N|0|Y|Y|180B|USA|US|||40|4020|402010|40201070|Consumer Discretionary|Consumer Products and Services|Consumer Services |Consumer Services: Misc.|N||N||||||Y|0|Y||Y|1|||58.66|58.66|0.0|58.65|58.66|58.66|58.655|58.65|0.0|0.0|58.66|58.58|58.66|58.66|58.66|58.63|58.62|58.66|58.615|58.63|58.65|58.66|55.61|61.0|58.65|58.66|58.6|58.71|58.6|58.67|58.65|58.66|60.92|23.9|85417307|5293962233 4166|UBFO|UBFO|911460103|US9114601035|United Security Bancshares|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN5-5|TXN10-5|TXN5-1|TXN5-7|17140000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||||||0.0|8.25|0.0|0.0|0.0|8.15|8.25|8.15|0.0|0.0|8.25|8.15|8.24|0.0|0.0|0.0|0.0|8.25|0.0|8.24|7.92|8.51|0.0|0.0|8.06|8.45|0.0|0.0|0.0|0.0|8.19|8.25|8.45|5.5|21734|5757807 71940|UBND|UBND|92647X863|US92647X8636|VictoryShares Core Plus Intermediate Bond ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN6-8|TXN13-4|TXN5-2|TXN6-2|11150000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|21.21|0.0|0.0|0.0|0.0|21.16|0.0|0.0|0.0|0.0|0.0|21.175|0.0|0.0|0.0|0.0|21.16|0.0|21.175|0.0|0.0|0.0|0.0|21.16|21.19|0.0|0.0|0.0|0.0|21.16|21.19|22.13|20.18|11946|1848194 60910|UBOT|UBOT|25460G823|US25460G8235|Direxion Shares ETF Trust|Direxion Daily Robotics, Artificial Intelligence & Automation Index Bull 2X Shares|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Direxion Shares|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-8|TXN3-5|TXN9-8|TXN4-7|TXN2-8|1573645.5|||Quarterly|||||2018-04-19||UBOT.NV|UBOT.SO|UBOT.EU|UBOT.TC|UBOT.IV| | | | | | | | | |3x|The Fund seeks daily investment results, before fees and expense, of 300% of the daily performance of Indxx Global Robotics and Artificial Intelligence Thematic Index.|N|0|N|N|416A|USA|US|EQUITY|LEVERAGED|||||||||N||N||||||Y|0|Y||Y|2|||18.4|18.3|0.0|0.0|18.22|18.4|18.41|18.75|0.0|0.0|18.26|18.26|18.4|18.4|0.0|0.0|0.0|18.3|0.0|18.3|17.91|19.41|18.27|18.47|18.26|18.43|18.26|18.48|18.26|18.48|18.26|18.43|24.84|11.51|32035|8092906 32622|UBR|UBR|74347B490|US74347B4905|ProShares Trust|ProShares Ultra MSCI Brazil Capped|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ProShares Advisors |Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-3|TXN2-5|TXN7-5|TXN2-4|TXN2-3|161557|||Quarterly|||||2010-04-29||UBR.NV|UBR.SO|UBR.EU|UBR.TC|UBR.IV| | | | | | | | | |2x|ProShares Ultra MSCI Brazil seeks daily investment results, before fees and expenses, that correspond to twice (200%) the daily performance of the MSCI Brazil Index. The MSCI Brazil Index is a free float-adjusted market capitalization-weighted index that is designed to measure the equity market performance of the Brazilian market. To construct the Index, every listed security in the market is identified. Securities are free floatadjusted, classified in accordance with the Global Industry Classification Standard (GICS ), and screened by size, liquidity and minimum free float. The Index is divided into large- and mid-cap segments and provides exhaustive coverage of these size segments by targeting around 85% of free float-adjusted market capitalization in the Brazilian market.|N|0|N|N|416A|USA|US|EQUITY|LEVERAGED|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|31.25|30.1417|0.0|0.0|0.0|0.0|0.0|30.19|31.22|0.0|0.0|0.0|29.8213|0.0|29.8213|28.29|31.61|28.66|30.54|29.7|30.13|28.65|31.98|29.2|30.54|29.7|30.13|32.46|17.662|598|495734 48774|UBS|UBS|H42097107|CH0244767585|UBS Group AG|Registered shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-2|TXN1-7|TXN1-3|TXN2-1|TXN1-1|3462090000|||Yearly|||||2014-11-21||||||| | | | | | | | | |||N|0|N|Y|416A|CHE|CH|||30|3020|302020|30202010|Financials|Financial Services |Investment Banking and Brokerage Services |Asset Managers and Custodians|N||N||||||Y|0|Y||Y|2|||28.42|28.41|0.0|28.42|28.41|28.415|28.415|28.42|0.0|0.0|28.4|28.41|28.42|28.42|28.38|28.42|28.4|28.42|28.37|28.42|28.41|28.42|21.78|34.47|28.41|28.43|28.39|28.44|28.38|28.45|28.41|28.42|28.735|17.605|2597438|791664574 4173|UBSI|UBSI|909907107|US9099071071|United Bankshares Inc|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN5-7|TXN12-7|TXN5-8|TXN5-7|134930000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||||||35.165|35.175|0.0|35.19|35.175|35.175|35.18|35.18|0.0|0.0|35.17|35.2|35.16|35.18|35.18|35.2|35.01|35.18|35.19|35.16|35.14|35.23|26.71|42.71|35.12|35.24|35.13|35.22|35.15|35.2|35.17|35.19|42.75|25.35|750949|188377091 32164|UBT|UBT|74347R172|US74347R1721|ProShares Trust|ProShares Ultra 20+ Year Treasury|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ProShares Advisors |IMC Chicago, LLC, DBA IMC Financial Markets|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-3|TXN1-4|TXN4-6|TXN1-7|TXN2-2|3925000|||Quarterly|||||2010-01-21||UBT.NV|UBT.SO|UBT.EU|UBT.TC|UBT.IV| | | | | | | | | |2x|ProShares Ultra 20 Year Treasury (UBT) seeks daily investment results, before fees and expenses and interest income earned on cash and financial instruments, that correspond to twice (200%) the daily performance of the Barclays Capital 20 Year U.S. Treasury Bond Index. The Index includes all publicly issued, U.S. Treasury securities that have a remaining maturity greater than 20 years, are non-convertible, are denominated in U.S. dollars, are rated investment grade (at least Baa3 by Moodys Investors Service or BBB- by S&P), are fixed rate, and have more than $250 million par outstanding.|N|0|N|N|416A|USA|US|FIXED_INCOME|LEVERAGED|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||19.84|19.88|0.0|0.0|19.83|19.88|19.83|19.86|0.0|0.0|19.91|19.85|19.88|19.83|19.84|19.88|0.0|19.84|19.83|19.84|19.51|20.21|19.79|19.94|19.87|19.96|19.79|20.21|19.79|19.89|19.87|19.96|29.3626|15.7302|420603|24261090 60951|UBX|UBX|91381U200|US91381U2006|Unity Biotechnology Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN5-5|TXN11-2|TXN5-1|TXN6-2|14620000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||1.95|1.92|0.0|0.0|1.95|1.95|1.96|1.92|0.0|0.0|1.95|0.0|1.93|1.93|1.91|1.91|0.0|1.96|0.0|1.93|1.89|2.01|1.54|2.38|1.92|1.99|1.91|1.98|1.9|0.0|1.92|1.95|5.72|1.4606|62980|51736133 75624|UCAR|UCAR|G9520U108|KYG9520U1085|U Power Ltd|ORD||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-2|TXN5-7|TXN14-6|TXN6-7|TXN6-8|52500000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||50|5020|502020|50202040|Industrials|Industrial Goods and Services|Electronic and Electrical Equipment|Electronic Equipment: Other|N||N||||||Y|0|Y|C|||||0.6881|0.6866|0.0|0.6501|0.689|0.6865|0.69|0.68|0.0|0.0|0.6866|0.6866|0.6839|0.6879|0.6898|0.6879|0.688|0.6865|0.6881|0.6839|0.6452|0.7063|0.5473|0.76|0.684|0.689|0.5473|0.8032|0.0|0.0|0.6865|0.689|75.0|0.63|9795278|382319370 4177|UCBI|UCBI|90984P303|US90984P3038|United Community Banks Inc|COM USD1||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN5-7|TXN11-1|TXN5-2|TXN6-1|118980000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||||||26.44|26.43|0.0|26.42|26.43|26.435|26.43|26.43|0.0|0.0|26.43|26.43|26.42|26.44|26.37|26.43|26.43|26.43|26.28|26.42|26.26|26.47|19.97|32.34|26.39|26.48|26.4|26.46|26.4|26.46|26.42|26.44|38.28|20.37|727782|147828622 66698|UCBIO|UCBIO|90985F205|US90985F2056|United Community Banks Inc|DP PF I||U|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN6-7|TXN14-4|TXN5-4|TXN6-2|3660000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|22.35|0.0|0.0|0.0|22.45|22.4999|0.0|0.0|0.0|0.0|0.0|22.47|0.0|0.0|0.0|0.0|22.47|0.0|22.47|0.0|22.5|0.0|0.0|21.87|22.95|0.0|0.0|0.0|0.0|22.34|22.5|25.98|15.375|3404|2792087 18908|UCC|UCC|74347R750|US74347R7504|ProShares Trust|ProShares Ultra Consumer Discretionary|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ProShares Advisors |IMC Chicago, LLC, DBA IMC Financial Markets|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-6|TXN3-7|TXN3-5|TXN1-1|TXN1-5|425000|||Quarterly|||||2008-11-12||UCC.NV|UCC.SO|UCC.EU|UCC.TC|UCC.IV| | | | | | | | | |2x|ProShares Ultra Consumer Services seeks daily investment results, before fees and expenses, that correspond to twice (200%) the daily performance of the Dow Jones U.S. Consumer Services Index. This ETF seeks a return of 200% of the return of an index (target) for a single day. Due to the compounding of daily returns, returns over periods other than one day will likely differ in amount and possibly direction from the target return for the same period. Investors should monitor their ProShares holdings consistent with their strategies, as frequently as daily. For more on correlation, leverage and other risks, please read the prospectus. The Dow Jones U.S. Consumer Services Index measures the performance of consumer spending in the services industry of the U.S. equity market. Component companies include airlines, broadcasting and entertainment, apparel and broadline retailers, food and drug retailers, media agencies, publishing, gambling, hotels, restaurants and bars, and travel and tourism. It is not possible to invest directly in an index.|N|0|N|N|416A|USA|US|EQUITY|LEVERAGED|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|32.965|31.96|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|32.8002|0.0|32.8002|0.0|0.0|32.61|32.94|32.71|32.85|32.61|32.95|32.61|32.94|32.71|32.85|36.9|21.595|57169|999537 51644|UCIB|UCIB|90274D390|US90274D3908|UBS AG|ETRACS UBS Bloomberg Constant Maturity Commodity Index (CMCI) Total Return ETN Series B due April 5, 2038|Operating company|ETN|N|N|P|Y|Y|Y|Y|Y||||||||UBS||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-5|TXN2-2|TXN8-8|TXN2-3|TXN3-1|1100000|||NotApplicable|||||2015-10-09|2038-04-05| |UCIB.SO| | |UCIB.IV| | | | | | | | | |1x|The ETRACS UBS Bloomberg Constant Maturity Commodity Index (CMCI) Total Return ETN Series B due April 5, 2038 provide exposure to potential price appreciation in the UBS Bloomberg Constant Maturity Commodity Index (CMCI) Total Return, subject to a fee amount of 0.55% per annum, calculated on a daily basis. Investing in the Securities involves significant risks. The Securities do not guarantee any return of your initial investment. You may lose some or all of your principal if the Index (calculated as described herein) does not rise by an amount sufficient to offset the cumulative effect of the Fee Amount. The Securities do not pay any interest during their term. Instead, you will receive a cash payment at maturity or upon early redemption based on the performance of the Index less the Fee Amount.|N|0|N|N|416A|GBR|CH|COMMODITIES_AND_FUTURES|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|24.5599|25.21|0.0|0.0|0.0|0.0|24.15|0.0|0.0|0.0|0.0|24.445|0.0|24.445|24.04|24.91|24.04|24.91|24.3|24.91|24.03|24.91|24.03|24.75|24.04|24.75|26.49|20.89|716|701429 66667|UCL|UCL|90354D104|US90354D1046|UCLOUDLINK GROUP INC|ADR||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN6-8|TXN13-6|TXN5-6|TXN6-6|247720000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||HKG||||15|1510|151020|15102015|Telecommunications|Telecommunications|Telecommunications Service Providers |Telecommunications Services|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|2.35|2.3237|0.0|0.0|0.0|0.0|0.0|2.39|0.0|0.0|0.0|0.0|2.35|0.0|2.35|0.0|0.0|0.0|0.0|2.12|2.55|0.0|0.0|0.0|0.0|2.27|2.39|6.6|1.17|2521|6246157 9728|UCO|UCO|74347Y888|US74347Y8883|ProShares Trust II|ProShares Ultra Bloomberg Crude Oil|Trust|ETV|N|N|P|Y|Y|Y|Y|Y||||||||ProShares Advisors |IMC Chicago, LLC, DBA IMC Financial Markets|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-6|TXN2-4|TXN3-5|TXN4-2|TXN3-1|22343096|||Adhoc|||||2011-02-24||UCO.NV|UCO.SO|UCO.EU|UCO.TC|UCO.IV| | | | | | | | | |2x|ProShares Ultra DJ-UBS Crude Oil seeks daily investment results, before fees and expenses, that correspond to twice (200%) the daily performance of the Dow JonesUBS Crude Oil Sub-Index. ProShares Ultra DJ-UBS Crude Oil is not an investment company registered under the Investment Company Act of 1940. Please read the prospectus carefully before investing. This ETF seeks a return of 200% of the return of an index (target) for a single day. Due to the compounding of daily returns, returns over periods other than one day will likely differ in amount and possibly direction from the target return for the same period. Investors should monitor their ProShares holdings consistent with their strategies, as frequent as daily. For more on correlation, leverage and other risks, please read the prospectus. The Dow JonesUBS Crude Oil Sub-Index ( a sub-index of DJUBS Commodity Index) is intended to reflect the crude oil segment of the commodities market. The Index consists of futures contracts on crude oil only. Visit Dow Jones Indexes for more information. Unlike equities, which entitle the holder to a continuing stake in a corporation, commodity futures contracts specify a delivery date for an underlying physical commodity. The Dow JonesUBS Commodity Index purchases futures contracts of a commodity, and, as the date for a futures contract comes due, the DJUBSCI sells that contract and purchases a new short-term contract with delivery dates a few months out. The Dow JonesUBS Commodity index thus rolls its futures positions, and continually avoids delivery of the physical commodity. The Dow JonesUBS Commodity Index is valued using the settlement prices for the underlying futures contracts. The DJAIGCI rolls its contracts over the course of 5 consecutive business days, starting on the 6th business day of the month. Each day, 20% of each futures position that is included in the months roll is rolled. Not all contracts are rolled every month. Please download A Primer on Index Calculation and Performance from djindexes.com for a list of futures and their roll months. |N|0|N|N|416A|USA|US|COMMODITIES_AND_FUTURES|LEVERAGED|||||||||N||N||||||Y|0|Y||Y|2|||27.835|27.89|0.0|28.08|27.85|27.89|27.8799|27.89|0.0|0.0|27.88|27.89|27.89|27.91|27.9|27.89|27.88|27.89|27.85|27.89|27.77|27.89|27.85|28.08|27.88|27.89|27.76|27.89|27.31|28.43|27.88|27.89|37.11|20.74|3981954|657216481 61085|UCON|UCON|33740F888|US33740F8885|First Trust Exchange-Traded Fund VIII|First Trust TCW Unconstrained Plus Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||First Trust|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-4|TXN4-4|TXN2-8|TXN2-5|TXN1-2|69050002|||Monthly|||||2018-06-05||UCON.NV|UCON.SO|UCON.EU|UCON.TC|UCON.IV| | | | | | | | | ||Under normalmarket conditions, the Fund intends to invest at least 80% of its net assets (including investment borrowings) in a portfolio of fixed income securities. The Funds investment sub-advisor, TCW Investment Management Company LLC (TCW or the Sub-Advisor), will manage the Funds portfolio in an unconstrained manner, meaning that its investment universe is not limited to the securities of any particular index and it has discretion to invest in fixed income securities of any type or credit quality, including up to 70% in high yield (or junk) securities, up to 60% in emerging market securities and up to 50% in securities denominated in foreign currencies. Additionally, under normalmarket conditions, the Funds average portfolio duration will vary from between 0 to 10 years. 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The Fund seeks a high level of current income and, as a secondary objective, growth of income, by investing in U.S. exchange-traded dividend-paying and dividend-growth companies that meet the Funds environmental, social and governance (ESG) criteria. The Fund may also invest in U.S. exchange-traded equity securities of issuers domiciled outside the U.S., including American Depositary Receipts (ADRs). The Fund may also invest in real estate investment trusts (REITs), with a typical sector limit of 25% or two times the weight in the Russell 1000 Value Index, whichever is greater.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|25.0492|0.0|25.0492|0.0|0.0|0.0|0.0|25.01|25.08|12.47|37.4|0.0|0.0|25.01|25.08|26.6234|22.7472|1|21510 53237|UDIV|UDIV|35473P306|US35473P3064|Franklin Templeton ETF Trust|Franklin U.S. Core Dividend Tilt Index ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Franklin Advisors|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-1|TXN4-2|TXN2-8|TXN2-6|TXN3-6|1650000|||Quarterly|||||2016-06-03||FLQD.NV|FLQD.SO|FLQD.EU|FLQD.TC|FLQD.IV| | | | | | | | | |1x|The Funds investment goal is to seek to provide investment results that closely correspond, before fees and expenses, to the performance of the LibertyQ Global Dividend Index.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|35.43|35.4501|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|35.4933|35.42|35.4933|0.0|0.0|35.42|35.6|35.47|35.51|35.42|35.6|35.42|35.6|35.47|35.51|35.69|29.54|1757|1629937 72184|UDMY|UDMY|902685106|US9026851066|UDEMY INC|COM USD0.00001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN5-7|TXN13-5|TXN6-4|TXN5-6|153330000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4020|402010|40201010|Consumer Discretionary|Consumer Products and Services|Consumer Services |Education Services|N||N||||||Y|0|Y||||||14.69|14.69|0.0|14.68|14.66|14.695|14.7|14.69|0.0|0.0|14.685|14.66|14.68|14.73|14.67|14.69|14.66|14.7|14.66|14.68|14.68|14.71|11.39|17.95|14.65|14.72|14.65|14.72|14.65|14.72|14.68|14.7|14.975|8.17|639587|133847976 19269|UDN|UDN|46141D104|US46141D1046|Invesco DB US Dollar Index Trust|Invesco DB US Dollar Index Bearish Fund|Trust|ETV|N|N|P|Y|Y|Y|Y|Y||||||||Invesco|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-2|TXN3-2|TXN7-7|TXN3-6|TXN4-1|3400040|||Yearly|||||2008-11-25||UDN.NV|UDN.SO|UDN.EU|UDN.TC|UDN.IV| | | | | | | | | |-1x|The PowerShares DB US Dollar Bearish Fund (Symbol: UDN) is based on the Deutsche Bank Short US Dollar Index (USDX) Futures Index (DB Short USD Futures Index). The Index, which is managed by DB Commodity Services LLC, is a rules-based index composed solely of short USDX futures contracts. The USDX futures contract is designed to replicate the performance of being short the US Dollar against the following currencies: Euro, Japanese Yen, British Pound, Canadian Dollar, Swedish Krona and Swiss Franc.|N|0|N|N|416A|USA|US|CURRENCY|INVERSE|||||||||N||N||||||Y|0|Y||Y|1|||18.92|18.93|0.0|0.0|18.52|18.91|18.92|18.93|0.0|0.0|18.93|0.0|18.925|18.92|0.0|18.925|18.925|18.91|0.0|18.91|17.73|20.1|17.73|20.1|18.9|18.93|17.73|20.1|0.0|0.0|18.9|18.93|19.47|18.15|54181|29112173 32265|UDOW|UDOW|74347X823|US74347X8231|ProShares Trust|ProShares UltraPro Dow30|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ProShares Advisors |Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-4|TXN2-7|TXN5-7|TXN2-4|TXN4-3|9350000|||Quarterly|||||2010-02-11||UDOW.NV|UDOW.SO|UDOW.EU|UDOW.TC|UDOW.IV| | | | | | | | | |3x|ProShares UltraPro Dow30 (UDOW) seeks daily investment results, before fees and expenses, that correspond to triple (300%) the daily performance of the Dow Jones Industrial Average. The Index includes 30 large-cap, blue-chip U.S. stocks, excluding utility and transportation companies. Components are selected through a discretionary process with no predetermined criteria except that components should be established U.S. companies that are leaders in their industries, have an excellent reputation, demonstrate sustained growth, are of interest to a large number of investors and accurately represent the sectors covered by the average.|N|0|N|N|416A|USA|US|EQUITY|LEVERAGED|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||66.76|66.67|0.0|0.0|66.67|66.69|66.66|66.66|0.0|0.0|66.71|66.69|66.69|66.66|66.74|66.7|66.39|66.68|66.6|66.68|66.67|66.73|66.4|67.02|66.69|66.71|66.65|66.75|66.4|67.0|66.69|66.71|67.05|47.33|2525135|645132327 9731|UDR|UDR|902653104|US9026531049|UDR Inc.|Common Stock|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-3|TXN2-8|TXN2-3|TXN1-3|TXN2-5|328930000|||Quarterly|||||1990-05-07||||||| | | | | | | | | |||N|5|Y|Y|412A|USA|US|||35|3510|351020|35102040|Real Estate|Real Estate |Real Estate Investment Trusts|Residential REITs|N||N||||||Y|0|Y||Y|1|||34.63|34.62|0.0|0.0|34.61|34.62|34.63|34.625|0.0|0.0|34.62|34.62|34.62|34.62|34.62|34.61|34.61|34.61|34.61|34.61|34.61|34.62|32.33|36.51|34.6|34.63|34.59|34.64|34.61|34.65|34.61|34.62|45.46|30.95|2270695|552514547 49159|UE|UE|91704F104|US91704F1049|Urban Edge Properties|Common Shares|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-5|TXN3-6|TXN1-8|TXN2-5|TXN4-3|117640000|||Quarterly|||||2015-01-05||||||| | | | | | | | | |||N|0|N|Y|412A|USA|US|||35|3510|351020|35102045|Real Estate|Real Estate |Real Estate Investment Trusts|Retail REITs|N||N||||||Y|0|Y||Y|2|||17.63|17.63|0.0|17.37|17.63|17.64|17.63|17.63|0.0|0.0|17.655|17.65|17.635|17.64|17.65|17.64|17.54|17.64|17.64|17.64|17.64|17.66|13.33|21.29|17.63|17.68|17.61|17.68|17.6|17.66|17.64|17.66|17.68|13.125|807262|236293076 16078|UEC|UEC|916896103|US9168961038|Uranium Energy Corp|Common stock|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-3|TXN3-4|TXN4-6|TXN1-4|TXN3-5|385850000|||NotApplicable|||||2007-09-28||||||| | | | | | | | | |||N|0|N|N|130E|USA|US|||55|5510|551020|55102050|Basic Materials|Basic Resources|Industrial Metals and Mining|Nonferrous Metals|N||N||||||Y|0|Y||Y|2|||6.73|6.74|0.0|6.67|6.73|6.73|6.73|6.735|0.0|0.0|6.73|6.73|6.73|6.74|6.73|6.72|6.75|6.77|6.725|6.75|6.72|6.77|6.72|6.73|6.72|6.77|6.7|6.75|6.72|6.76|6.72|6.73|6.77|2.3|9413397|1586375054 4182|UEIC|UEIC|913483103|US9134831034|Universal Electronics Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN6-3|TXN11-6|TXN6-3|TXN6-8|12950000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4020|402030|40203010|Consumer Discretionary|Consumer Products and Services|Leisure Goods|Consumer Electronics|N||N||||||Y|0|Y||||||7.7|7.69|0.0|0.0|7.66|7.78|7.77|7.64|0.0|0.0|7.79|0.0|7.77|7.67|0.0|7.69|7.65|7.85|0.0|7.77|7.55|8.09|6.04|9.68|7.6|8.03|7.66|7.95|7.64|7.96|7.77|7.87|25.91|7.02|115282|32529773 59949|UEVM|UEVM|92647N543|US92647N5436|VictoryShares Emerging Markets Value Momentum ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN5-7|TXN14-1|TXN5-4|TXN6-8|4050000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|43.05|0.0|0.0|0.0|0.0|42.7921|0.0|0.0|0.0|0.0|0.0|42.847|0.0|0.0|43.05|0.0|42.7921|0.0|42.847|0.0|0.0|0.0|0.0|42.65|43.12|0.0|0.0|0.0|0.0|42.81|42.87|44.7299|39.36|4079|850897 4187|UFCS|UFCS|910340108|US9103401082|United Fire Group Inc|COM USD.3333||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN6-2|TXN12-4|TXN6-5|TXN6-3|25270000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3030|303020|30302025|Financials|Insurance|Non-life Insurance|Property and Casualty Insurance|N||N||||||N|0|Y||||||0.0|21.53|0.0|21.21|21.51|21.53|21.47|21.43|0.0|0.0|21.51|21.13|21.48|21.48|0.0|21.48|21.21|21.47|0.0|21.48|21.28|21.74|16.42|26.31|21.29|21.68|16.73|26.31|21.39|0.0|21.45|21.48|32.54|18.4101|80092|18901339 65508|UFEB|UFEB|45782C425|US45782C4252|Innovator U.S. Equity Ultra Buffer ETF - February|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN3-1|TXN4-8|TXN2-8|TXN4-2|1780000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|28.8992|0.0|0.0|0.0|28.85|28.8401|0.0|0.0|0.0|28.85|0.0|0.0|28.85|28.84|28.85|0.0|28.8992|28.85|28.8992|28.85|28.93|28.83|28.91|28.88|28.94|28.86|28.96|28.82|28.97|28.88|28.94|28.98|25.6331|2144|5431901 9738|UFI|UFI|904677200|US9046772003|Unifi, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN1-6|TXN1-5|TXN3-5|TXN1-1|18120000|||NotApplicable|||||2010-11-04||||||| | | | | | | | | |||N|0|N|Y|148A|USA|US|||55|5510|551010|55101020|Basic Materials|Basic Resources|Industrial Materials|Textile Products|N||N||||||N|0|Y||Y|2|||6.44|6.43|0.0|0.0|6.46|6.46|6.46|6.39|0.0|0.0|6.4|6.62|6.46|6.39|6.4|6.46|6.55|6.43|6.5|6.46|6.43|6.48|4.98|7.88|6.33|6.54|6.38|6.53|6.37|6.55|6.43|6.48|10.535|5.85|57873|27764769 75504|UFIV|UFIV|74933W510|US74933W5105|US Treasury 5 Year Note ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN6-5|TXN11-1|TXN6-7|TXN5-4|180000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|48.43|0.0|48.405|0.0|0.0|0.0|48.4|0.0|48.41|0.0|0.0|0.0|0.0|48.43|0.0|48.41|48.39|48.43|0.0|0.0|48.39|48.43|48.39|48.43|0.0|0.0|48.39|48.43|50.83|47.05|3816|353601 63417|UFO|UFO|74280R205|US74280R2058|Procure ETF Trust II - Procure Space ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN6-2|TXN10-8|TXN5-5|TXN6-4|2175000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||0.0|0.0|0.0|0.0|0.0|16.68|16.5801|0.0|0.0|0.0|16.65|0.0|16.62|16.65|0.0|0.0|0.0|16.5801|0.0|16.62|15.47|17.86|0.0|0.0|16.45|16.81|15.47|17.86|0.0|0.0|16.61|16.66|21.81|15.055|13918|1645938 4191|UFPI|UFPI|90278Q108|US90278Q1085|UFP Industries Inc|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN6-6|TXN12-3|TXN6-6|TXN6-8|61810000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||55|5510|551010|55101010|Basic Materials|Basic Resources|Industrial Materials|Forestry|N||N||||||N|0|Y||||||113.87|113.76|0.0|113.72|113.73|113.82|113.65|113.65|0.0|0.0|113.44|113.82|113.68|0.0|0.0|113.81|113.82|113.65|0.0|113.68|113.08|114.51|87.27|138.21|113.51|114.44|113.56|135.39|113.68|113.83|113.68|113.79|114.12|75.01|272490|90634735 4192|UFPT|UFPT|902673102|US9026731029|UFP Technologies Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN5-4|TXN14-4|TXN5-7|TXN5-2|7640000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201020|20102015|Health Care |Health Care |Medical Equipment and Services|Medical Supplies|N||N||||||N|0|Y||||||166.9|168.39|0.0|169.11|0.0|170.21|170.23|169.13|0.0|0.0|170.0|0.0|170.49|166.1|166.1|0.0|0.0|170.23|0.0|170.49|166.64|173.27|131.74|208.4|167.09|171.2|169.45|171.49|170.14|171.52|170.14|170.55|205.0825|103.6409|64472|19628433 9739|UG|UG|910571108|US9105711082|United-Guardian Inc.|COM USD.1||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN5-8|TXN10-3|TXN6-3|TXN6-5|4590000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||55|5520|552010|55201020|Basic Materials|Chemicals|Chemicals|Specialty Chemicals|N||N||||||N|0|Y||||||8.01|8.36|0.0|0.0|8.01|0.0|7.9592|0.0|0.0|0.0|0.0|0.0|7.97|0.0|0.0|0.0|0.0|7.9592|0.0|7.9592|7.62|8.56|0.0|0.0|7.86|8.46|0.0|0.0|0.0|0.0|7.95|8.1|12.51|5.79|3337|1590140 27313|UGA|UGA|91201T102|US91201T1025|United States Gasoline Fund, LP|United States Gasoline Fund, LP|Limited partnership|ETV|N|N|P|Y|Y|Y|Y|Y||||||||United States Commodity Funds |Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-4|TXN3-2|TXN8-4|TXN2-3|TXN1-5|1300000|||NotApplicable|||||2008-11-25||UGA.NV|UGA.SO| | |UGA.IV| | | | | | | | | |1x|The investment objective of UGA is for the daily changes in percentage terms of its units NAV to reect the daily changes in percentage terms of the spot price of gasoline, as measured by the daily changes in theprice of the futures contract on unleaded gasoline (also known as reformulated gasoline blendstock for oxygen blending, or RBOB) for delivery to the New York harbor, traded on the New York Mercantile Exchange (the NYMEX) that is the near month contract to expire, except when the near month contract is within two weeks of expiration, in which case it will be measured by the futures contract that is the next month contract to expire, less UGAs expenses (the Benchmark Futures Contract.) It is not the intent of UGA to be operated in a fashion such that its NAV will equal, in dollar terms, the spot price of gasoline or any particular futures contract based on gasoline. It is not the intent of UGA to be operated in a fashion such that its NAV will reect the percentage change of the price of any particular futures contract as measured over a time period greater than one day. UGA may invest in interests other than the Benchmark Futures Contract to comply with accountability levels and position limits.|N|0|N|N|416A|USA|US|COMMODITIES_AND_FUTURES|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||61.58|61.93|0.0|61.89|61.94|61.74|61.915|61.57|0.0|0.0|61.57|61.92|61.93|61.38|61.57|61.57|61.57|61.9|0.0|61.9|57.36|65.95|61.82|61.93|61.81|61.89|61.81|61.93|61.83|61.93|61.81|61.89|76.08|49.22|35568|6944211 18907|UGE|UGE|74347R768|US74347R7686|ProShares Trust|ProShares Ultra Consumer Staples|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ProShares Advisors |IMC Chicago, LLC, DBA IMC Financial Markets|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-4|TXN1-3|TXN5-8|TXN2-2|TXN3-4|350000|||Quarterly|||||2008-11-12||UGE.NV|UGE.SO|UGE.EU|UGE.TC|UGE.IV| | | | | | | | | |2x|ProShares Ultra Consumer Goods seeks daily investment results, before fees and expenses, that correspond to twice (200%) the daily performance of the Dow Jones U.S. Consumer Goods Index. This ETF seeks a return of 200% of the return of an index (target) for a single day. Due to the compounding of daily returns, returns over periods other than one day will likely differ in amount and possibly direction from the target return for the same period. Investors should monitor their ProShares holdings consistent with their strategies, as frequently as daily. For more on correlation, leverage and other risks, please read the prospectus. The Dow Jones U.S. Consumer Goods Index measures the performance of consumer spending in the goods industry of the U.S. equity market. Component companies include automobiles and auto parts and tires, brewers and distillers, farming and fishing, durable and non-durable household product manufacturers, cosmetic companies, food and tobacco products, clothing accessories and footwear. It is not possible to invest directly in an index.|N|0|N|N|416A|USA|US|EQUITY|LEVERAGED|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||15.24|15.25|0.0|0.0|15.24|15.25|15.3017|15.2|0.0|0.0|0.0|0.0|15.3|0.0|0.0|0.0|0.0|15.29|15.24|15.29|0.0|0.0|15.2|15.39|15.24|15.36|15.2|15.4|15.2|15.39|15.24|15.36|18.6449|13.103|4552|1417688 9740|UGI|UGI|902681105|US9026811052|UGI Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-2|TXN3-2|TXN2-3|TXN2-4|TXN2-7|210900000|||Quarterly|||||1929-06-27||||||| | | | | | | | | |||N|0|Y|Y|304A|USA|US|||65|6510|651020|65102020|Utilities|Utilities|Gas, Water and Multi-utilities |Gas Distribution|N||N||||||Y|0|Y||Y|1|||22.83|22.815|0.0|22.6|22.83|22.82|22.82|22.83|0.0|22.65|22.83|22.83|22.815|22.82|22.825|22.8|22.61|22.8|22.81|22.8|22.79|22.8|21.13|24.25|22.77|22.83|22.77|22.85|22.77|22.85|22.79|22.8|43.19|20.19|2326471|453342527 70752|UGIC|UGIC|902681113|US9026811136|UGI Corporation|Corporate Units|Operating company|G|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN1-2|TXN1-8|TXN2-7|TXN3-1|2200000|||Quarterly|||||2021-05-28|2024-06-01|||||| | | | | | | | | |||N|0|N|N|304A||US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|53.47|0.0|0.0|0.0|52.0|54.1013|52.59|0.0|0.0|53.33|0.0|54.2|0.0|0.0|54.1013|0.0|54.1013|0.0|54.1013|54.12|54.2|0.0|0.0|53.02|55.28|0.0|0.0|0.0|0.0|54.12|54.2|95.905|50.2|2794|1882703 29623|UGL|UGL|74347W601|US74347W6012|ProShares Trust II|ProShares Ultra Gold|Trust|ETV|N|N|P|Y|Y|Y|Y|Y||||||||ProShares Advisors |Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-6|TXN3-7|TXN5-8|TXN1-8|TXN1-3|2900000|||NotApplicable|||||2008-12-03|2099-05-31|UGL.NV|UGL.SO|UGL.EU|UGL.TC|UGL.IV| | | | | | | | | |2x|ProShares Ultra Gold seeks daily investment results, before fees and expenses, that correspond to twice (200%) the daily performance of gold bullion as measured by the U.S. Dollar p.m. fixing price for delivery in London. ProShares Ultra Gold is not an investment company registered under the Investment Company Act of 1940. Please read the prospectus carefully before investing. This ETF seeks a return of 200% of the return of a benchmark (target) for a single day. Due to the compounding of daily returns, returns over periods other than one day will likely differ in amount and possibly direction from the target return for the same period. Investors should monitor their ProShares holdings consistent with their strategies, as frequent as daily. For more on correlation, leverage and other risks, please read the prospectus. The London Gold Price Fixing is the procedure by which the price of Gold is set on the London market by five members of the London Gold Pool. It is designed to fix a price for settling contracts between members of the London bullion market, but informally the Gold Fixing provides a recognized rate that is used as a benchmark for pricing the majority of gold products and derivatives throughout the worlds markets. Gold is priced in US dollars per ounce. The London Bullion Market Associations (LMBA) Gold Pool sets or fixes the price of Gold twice a day, at 10:30 GMT and 15:00 GMT (10:00 a.m. ET). The ProShares Gold ETFs will be benchmarked to the 15:00 GMT, or the London Gold PM price. Daily price quotes can be viewed at London Bullion Market Association. |N|0|N|N|416A|USA|US|COMMODITIES_AND_FUTURES|LEVERAGED|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||62.29|62.28|0.0|0.0|62.02|62.16|62.1852|62.45|0.0|0.0|62.23|62.15|62.17|62.23|0.0|62.22|61.92|62.13|61.98|62.13|59.47|62.23|62.03|62.18|62.13|62.17|62.12|62.17|62.02|62.26|62.13|62.17|68.14|50.62|288049|26287198 9741|UGP|UGP|90400P101|US90400P1012|Ultrapar Participacoes S.A.|American Depositary Shares (Each representing one Common Share)|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-1|TXN2-5|TXN8-3|TXN3-5|TXN1-7|1115210000|||BiAnnually|||||2011-08-17||||||| | | | | | | | | |||N|0|N|Y|304C|BRA|BR|||60|6010|601010|60101020|Energy|Energy|Oil, Gas and Coal|Oil Refining and Marketing|N||N||||||N|0|Y||Y|2|||5.13|5.12|0.0|0.0|5.125|5.125|5.13|5.12|0.0|0.0|5.13|5.13|5.125|5.12|5.13|5.12|5.13|5.13|5.12|5.12|5.12|5.13|3.98|6.29|5.12|5.14|5.09|5.16|5.12|5.17|5.12|5.13|5.255|2.18|1329261|330341383 65517|UGRO|UGRO|91704K202|US91704K2024|urban-gro Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN6-1|TXN12-8|TXN6-1|TXN6-6|11670000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||45|4510|451020|45102010|Consumer Staples |Food, Beverage and Tobacco |Food Producers|Farming, Fishing, Ranching and Plantations|N||N||||||Y|0|Y||||||0.0|1.16|0.0|1.15|0.0|1.18|1.16|1.17|0.0|0.0|1.18|0.0|1.165|0.0|0.0|0.0|1.15|1.165|0.0|1.165|0.0|0.0|0.0|0.0|1.12|1.23|0.0|0.0|0.0|0.0|1.15|1.18|5.04|0.9988|48318|21556026 4194|UHAL|UHAL|023586100|US0235861004|U-Haul Holding Company|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN1-3|TXN2-8|TXN2-3|TXN3-4|19610000|||Quarterly|||||2022-12-19||||||| | | | | | | | | |||N|0|Y|Y|180B|USA|US|||40|4020|402010|40201040|Consumer Discretionary|Consumer Products and Services|Consumer Services |Rental and Leasing Services: Consumer|N||N||||||N|0|Y||Y|1|||58.62|58.7|0.0|58.53|58.75|58.76|58.76|58.7|0.0|0.0|59.2|58.69|58.67|59.1|58.77|58.74|58.47|58.7|58.55|58.74|58.71|58.75|54.96|62.34|58.64|58.82|58.62|58.85|58.59|58.75|58.71|58.75|70.57|48.07|147372|43885144 74873|UHAL B|UHAL.B|023586506|US0235865062|U-Haul Holding Company|Series N Non-Voting Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN3-5|TXN7-8|TXN4-3|TXN1-2|176470000|||Quarterly|||||2022-12-19||||||| | | | | | | | | |||N|0|Y|Y|180B|USA|US|||40|4020|402010|40201040|Consumer Discretionary|Consumer Products and Services|Consumer Services |Rental and Leasing Services: Consumer|N||N||||||Y|0|Y||Y|1|||54.11|56.29|0.0|56.35|56.29|56.41|56.32|56.415|0.0|0.0|56.29|56.11|56.29|57.39|56.78|56.28|56.27|56.28|56.36|56.28|56.28|56.34|53.25|60.27|55.97|56.49|53.25|60.27|56.18|56.33|56.28|56.34|65.27|43.62|268488|64491046 69789|UHG|UHG|91060H108|US91060H1086|United Homes Group Inc|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN6-1|TXN11-2|TXN6-7|TXN5-8|11380000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4020|402020|40202010|Consumer Discretionary|Consumer Products and Services|Household Goods and Home Construction|Home Construction|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|7.76|7.61|0.0|0.0|0.0|0.0|0.0|7.78|0.0|0.0|0.0|0.0|7.61|0.0|7.78|7.17|8.29|5.82|9.55|7.26|8.11|5.82|9.55|0.0|0.0|7.6|7.8|29.0|4.79|5027|6911159 69790|UHGWW|UHGWW|91060H116|US91060H1169|United Homes Group Inc|WT EXP 03/30/28||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-1|TXN6-7|TXN11-2|TXN5-2|TXN6-5|48360000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y|C|||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.7638|0.7638|0.8|0.0|0.0|0.0|0.0|0.8|0.0|0.8|0.0|0.0|0.0|0.0|0.71|0.0|0.0|0.0|0.0|0.0|0.71|0.79|1.5|0.2125|4244|7884209 9742|UHS|UHS|913903100|US9139031002|Universal Health Services, Inc.|Class B Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|T|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN4-4|TXN7-7|TXN3-5|TXN2-7|61010000|||Quarterly|||||1991-06-07||||||| | | | | | | | | |||N|5|Y|Y|122B|USA|US|||20|2010|201010|20101010|Health Care |Health Care |Health Care Providers|Health Care Facilities|N||N||||||Y|0|Y||Y|1|||139.91|139.92|0.0|139.37|139.85|139.9|139.84|139.87|0.0|0.0|139.71|138.79|139.81|139.84|139.12|139.76|139.82|139.76|137.59|139.76|139.75|139.86|130.95|148.53|139.73|139.94|139.62|140.03|139.75|140.03|139.75|139.86|158.57|113.69|304030|145534308 9743|UHT|UHT|91359E105|US91359E1055|Universal Health Realty Income Trust|Shares of Beneficial Interest|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN2-7|TXN2-8|TXN3-7|TXN3-2|13820000|||Quarterly|||||1986-12-26||||||| | | | | | | | | |||N|0|N|Y|412A|USA|US|||35|3510|351020|35102010|Real Estate|Real Estate |Real Estate Investment Trusts|Health Care REITs|N||N||||||N|0|Y||Y|2|||39.76|43.02|0.0|42.93|41.88|43.0|42.9789|43.0|0.0|0.0|41.7|42.77|42.96|39.98|41.38|43.05|37.48|43.03|0.0|43.05|42.96|43.03|33.31|51.85|42.73|43.18|42.8|43.16|42.96|43.19|42.96|43.03|57.52|37.0|57122|11214434 38929|UI|UI|90353W103|US90353W1036|Ubiquiti Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN3-2|TXN7-8|TXN1-8|TXN1-8|60450000|||Quarterly|||||2019-08-20||||||| | | | | | | | | |||N|0|Y|Y|306A|USA|US|||15|1510|151010|15101010|Telecommunications|Telecommunications|Telecommunications Equipment|Telecommunications Equipment|N||N||||||N|0|Y||Y|1|||115.39|114.18|0.0|116.62|114.11|114.24|114.31|114.03|0.0|0.0|115.48|114.25|114.44|115.175|116.77|114.41|114.6|114.53|112.23|114.41|114.32|114.53|107.19|122.35|113.06|115.25|113.74|115.04|114.32|114.97|114.32|114.53|303.755|103.0|102238|18191863 9746|UIS|UIS|909214306|US9092143067|Unisys Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|I|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-5|TXN3-4|TXN5-8|TXN1-8|TXN4-4|68390000|||NotApplicable|||||2009-10-26||||||| | | | | | | | | |||N|0|N|Y|108A|USA|US|||10|1010|101010|10101010|Technology|Technology|Software and Computer Services|Computer Services|N||N||||||Y|0|Y||Y|2|||5.31|5.3|0.0|5.3|5.28|5.295|5.3|5.295|0.0|0.0|5.3|5.29|5.3|5.31|5.295|5.3|5.285|5.3|5.295|5.3|5.29|5.3|4.03|6.38|5.29|5.32|5.26|5.33|5.28|5.34|5.29|5.3|6.06|2.6|776200|201717333 59945|UITB|UITB|92647N527|US92647N5279|VictoryShares Core Intermediate Bond ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN5-8|TXN10-6|TXN5-8|TXN6-3|36550000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|45.61|0.0|0.0|0.0|45.61|45.66|45.64|0.0|0.0|45.61|0.0|45.67|45.62|0.0|0.0|0.0|45.66|0.0|45.67|42.46|48.75|42.46|48.75|45.64|45.68|42.46|48.75|0.0|0.0|45.64|45.68|47.4|43.14|37562|15816646 59948|UIVM|UIVM|92647N550|US92647N5501|VictoryShares International Value Momentum ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN5-7|TXN11-5|TXN6-6|TXN6-8|5350000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|44.325|0.0|0.0|0.0|0.0|0.0|44.34|0.0|0.0|0.0|0.0|44.325|0.0|44.34|0.0|0.0|0.0|0.0|44.32|44.4|0.0|0.0|0.0|0.0|44.34|44.4|45.05|40.34|704|1703517 62741|UJAN|UJAN|45782C300|US45782C3007|Innovator U.S. Equity Ultra Buffer ETF - January|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-6|TXN2-7|TXN1-5|TXN1-2|TXN1-2|3350000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||34.12|34.09|0.0|0.0|0.0|0.0|34.09|0.0|0.0|0.0|0.0|0.0|34.09|34.08|0.0|0.0|0.0|34.09|34.12|34.09|34.08|34.15|34.07|34.17|34.08|34.16|34.09|34.19|34.05|34.16|24.49|43.71|34.1346|29.58|10923|7207771 37742|UJB|UJB|74348A707|US74348A7072|ProShares Trust|ProShares Ultra High Yield|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ProShares Advisors |Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-5|TXN3-5|TXN2-6|TXN3-8|TXN2-8|370000|||Quarterly|||||2011-04-14||UJB.NV|UJB.SO|UJB.EU|UJB.TC|UJB.IV| | | | | | | | | |2x|ProShares Ultra High Yield seeks daily investment results, before fees and expenses, that correspond to two times (2x) the daily performance of the Markit iBoxx $ Liquid High Yield Index. The Index is a modified market-value weighted index designed to provide a balanced representation of U.S. dollar-denominated high yield corporate bonds for sale within the United States by means of including the most liquid high yield corporate bonds available as determined by the index provider. Currently, the bonds eligible for inclusion in the Index include U.S. dollar-denominated, corporate bonds for sale in the United States that are issued by companies domiciled in the U.S., Bermuda, Canada, the Cayman Islands, Western Europe or Japan; are rated sub-investment grade by Moodys Investors Service, Inc., Fitch, Inc. or Standard and Poors Financial Services, LLC; are from issuers with at least $1 billion par outstanding; have at least $400 million of outstanding face value; and are between three and fifteen years to maturity. There is no limit to the number of issues in the Index. Index rebalances occur monthly. The Index is published under the Bloomberg ticker symbol IBOXHY. |N|0|N|N|416A|USA|US|FIXED_INCOME|LEVERAGED|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|65.5328|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|65.5422|0.0|65.5422|65.5|65.59|0.0|0.0|65.51|65.58|65.51|65.59|0.0|0.0|65.51|65.57|66.8738|58.05|78113|4310688 61371|UJUL|UJUL|45782C839|US45782C8394|Innovator U.S. Equity Ultra Buffer ETF - July|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-7|TXN3-7|TXN4-8|TXN1-3|TXN1-5|4650000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||29.4|29.43|0.0|0.0|29.4|0.0|29.4599|29.46|0.0|0.0|0.0|0.0|0.0|29.47|0.0|0.0|0.0|29.43|29.4|29.43|27.47|31.62|29.39|29.46|29.41|29.5|29.37|29.54|29.42|29.5|29.37|29.54|29.64|25.5141|13735|8895051 63737|UJUN|UJUN|45782C730|US45782C7305|Innovator U.S. Equity Ultra Buffer ETF - June|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-4|TXN4-6|TXN9-8|TXN1-5|TXN4-5|2530000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||29.39|29.4532|0.0|0.0|29.4|0.0|29.43|29.4|0.0|0.0|29.4|0.0|0.0|29.39|0.0|29.4|29.44|29.4532|29.4|29.4532|0.0|0.0|29.34|29.48|29.41|29.49|29.39|29.52|29.39|29.52|29.41|29.49|29.55|26.48|10872|5250068 64966|UK|UK|G9449A134|KYG9449A1343|Ucommune Group Holdings Ltd|ORD USD0.024||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN5-1|TXN10-2|TXN5-4|TXN5-1|500000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||||||||||N||N||||||N|0|Y|D|||||3.78|3.35|0.0|0.0|3.66|3.62|3.55|3.61|0.0|0.0|3.7|3.7|3.56|3.615|0.0|0.0|0.0|3.55|0.0|3.56|2.77|4.43|2.77|4.43|3.29|3.86|2.77|4.43|0.0|0.0|3.5|3.62|6.85|0.2405|44111|56409650 64968|UKOMW|UKOMW|G9449A118|KYG9449A1186|Ucommune Group Holdings Ltd|WT EXP 111725||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-5|TXN5-8|TXN11-7|TXN5-5|TXN6-6|6510000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||||||||||N||N||||||N|0|Y|C|||||0.0|0.006|0.0|0.0|0.0|0.006|0.0058|0.006|0.0|0.0|0.0058|0.006|0.006|0.0|0.0|0.0|0.0|0.006|0.0|0.006|0.0|0.0|0.0|0.0|0.006|0.0148|0.0|0.0|0.0|0.0|0.006|0.0073|0.0493|0.0028|27471|1618044 9747|UL|UL|904767704|US9047677045|Unilever PLC|American Depositary Shares (each representing One Ordinary Share)|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-6|TXN4-1|TXN4-4|TXN1-4|TXN4-4|2500420000|||Quarterly|||||1961-12-12||||||| | | | | | | | | |||N|0|N|Y|118B|GBR|GB|||45|4520|452010|45201020|Consumer Staples |Personal Care, Drug and Grocery Stores |Personal Care, Drug and Grocery Stores |Personal Products|N||N||||||Y|0|Y||Y|2|||48.1|48.1|0.0|47.99|48.1|48.1|48.1|48.105|0.0|0.0|48.105|48.1|48.095|48.1|48.09|48.1|48.09|48.1|48.07|48.1|48.09|48.1|37.17|58.76|48.09|48.11|48.06|48.14|48.05|48.14|48.09|48.1|55.9886|46.1614|2329424|469940155 4197|ULBI|ULBI|903899102|US9038991025|Ultralife Corp|COM USD.1||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN5-5|TXN13-8|TXN5-3|TXN5-1|16340000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502020|50202010|Industrials|Industrial Goods and Services|Electronic and Electrical Equipment|Electrical Components |N||N||||||N|0|Y||||||7.38|7.41|0.0|0.0|7.41|7.4|7.41|7.42|0.0|0.0|7.35|0.0|7.41|7.41|0.0|7.48|0.0|7.39|0.0|7.41|7.31|7.51|5.73|9.11|7.32|7.48|7.35|7.47|7.35|7.42|7.38|7.42|11.85|3.67|59429|23949988 70086|ULCC|ULCC|35909R108|US35909R1086|Frontier Group Holdings Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN6-7|TXN12-6|TXN6-8|TXN5-1|221060000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4050|405010|40501010|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Airlines|N||N||||||Y|0|Y||||||4.42|4.425|0.0|4.39|4.43|4.425|4.42|4.42|0.0|0.0|4.425|4.43|4.43|4.43|4.42|4.425|4.42|4.42|4.42|4.43|4.42|4.44|3.44|5.4|4.42|4.43|4.39|4.46|4.38|4.47|4.42|4.43|14.095|3.19|3196125|393556499 29578|ULE|ULE|74347W874|US74347W8745|ProShares Trust II|ProShares Ultra Euro|Trust|ETV|N|N|P|Y|Y|Y|Y|Y||||||||ProShares Advisors |Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN3-8|TXN4-8|TXN4-7|TXN1-3|600000|||NotApplicable|||||2008-11-25|2099-05-31|ULE.NV|ULE.SO|ULE.EU|ULE.TC|ULE.IV| | | | | | | | | |2x|ProShares Ultra Euro seeks daily investment results, before fees and expenses, that correspond to twice (200%) the U.S. Dollar price of the Euro. The Ultra Euro ProShares is not an investment company registered under the Investment Company Act of 1940. Please read the prospectus carefully before investing. This ETF seeks a return of 200% of the return of a benchmark (target) for a single day. Due to the compounding of daily returns, returns over periods other than one day will likely differ in amount and possibly direction from the target return for the same period. Investors should monitor their ProShares holdings consistent with their strategies, as frequent as daily. For more on correlation, leverage and other risks, please read the prospectus. The Euro benchmark is the 4 pm ET Euro in U.S. Dollar terms (EUR/USD cross rate) as published in The Wall Street Journal and will be tracked to 4 decimal places. The EUR/USD cross rate is expressed as a rate that reflects the number of U.S. dollars that can be exchanged for one Euro. The EUR/USD cross rate is published daily in the Money & Investing section of The Wall Street Journal currencies chart.|N|0|N|N|416A|USA|US|CURRENCY|LEVERAGED|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||11.4|11.41|0.0|0.0|0.0|11.41|11.4|11.49|0.0|0.0|11.4|0.0|11.35|0.0|0.0|0.0|0.0|11.4102|0.0|11.4102|10.97|11.53|10.97|11.53|11.39|11.43|10.97|11.53|0.0|0.0|11.39|11.43|12.32|10.6201|24343|4571199 4157|ULH|ULH|91388P105|US91388P1057|Universal Logistics Holdings Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN5-2|TXN12-3|TXN5-7|TXN6-8|26280000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502060|50206010|Industrials|Industrial Goods and Services|Industrial Transportation|Trucking|N||N||||||N|0|Y||||||25.51|25.5|0.0|0.0|0.0|25.735|25.73|25.735|0.0|0.0|25.51|0.0|25.88|25.46|25.56|25.5|25.7|25.53|0.0|25.88|24.92|26.44|0.0|0.0|24.99|26.36|20.51|31.18|0.0|0.0|25.53|25.89|45.0|20.85|56860|10878430 42861|ULST|ULST|78467V707|US78467V7073|SSGA Active Trust|SPDR SSgA Ultra Short Term Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN2-2|TXN2-8|TXN3-5|TXN4-3|16175000|||Monthly|||||2013-10-10||ULST.NV|ULST.SO|ULST.EU|ULST.TC|ULST.IV| | | | | | | | | ||The SPDR SSgA Ultra Short Term Bond ETF seeks to provide current income consistent with preservation of capital and daily liquidity through short duration high quality investments.|N|0|N|N|416A|USA|US|FIXED_INCOME|ACTIVE|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||0.0|40.3|0.0|0.0|40.3|40.295|40.2975|40.29|0.0|0.0|40.29|0.0|40.29|40.29|0.0|40.29|40.3|40.28|40.295|40.28|37.78|42.81|37.78|42.81|40.28|40.31|37.78|42.81|0.0|0.0|40.29|43.52|40.44|39.89|413721|40294559 26030|ULTA|ULTA|90384S303|US90384S3031|Ulta Beauty Inc|COM USD.0158||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN6-6|TXN14-6|TXN6-8|TXN6-7|48560000|||NotApplicable|||||||||||| | | | | | | | | |||N|5|Y|N||USA||||40|4040|404010|40401030|Consumer Discretionary|Retail |Retailers 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volatility.|N|0|N|N|406B|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|47.71|47.915|47.58248|0.0|0.0|47.58248|0.0|47.71|47.59248|0.0|0.0|0.0|47.71|0.0|47.71|0.0|0.0|0.0|0.0|47.7|47.77|0.0|0.0|0.0|0.0|47.7|47.77|49.44|47.14|355|1612471 59946|ULVM|ULVM|92647N576|US92647N5766|VictoryShares US Value Momentum ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN5-8|TXN13-6|TXN5-4|TXN6-3|2550000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|65.4|0.0|0.0|0.0|0.0|0.0|65.4267|0.0|0.0|0.0|0.0|65.4|0.0|65.4267|0.0|0.0|0.0|0.0|65.37|65.58|65.29|65.61|65.29|65.61|65.37|65.45|66.31|58.8975|344|1508295 76500|ULY|ULY|916931108|US9169311084|Urgent.ly Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN5-2|TXN10-3|TXN6-7|TXN5-1|13130000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101010|10101020|Technology|Technology|Software and Computer Services|Consumer Digital Services |N||N||||||N|0|Y|C|||||3.92|4.06|0.0|0.0|4.05|3.94|4.06|4.06|0.0|0.0|0.0|0.0|4.15|3.92|0.0|3.92|4.4|4.01|4.01|4.15|3.2|5.4|3.2|5.4|3.92|4.5|3.2|5.4|0.0|0.0|4.0|4.41|12.0|3.27|223949|9158347 65725|UMAR|UMAR|45782C375|US45782C3759|Innovator U.S. Equity Ultra Buffer ETF - March|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-3|TXN1-6|TXN4-8|TXN2-6|TXN1-4|1450000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||31.09|31.1|0.0|0.0|31.1|0.0|31.1|0.0|0.0|0.0|0.0|0.0|0.0|31.09|0.0|0.0|0.0|31.1|31.09|31.1|30.82|31.47|31.09|31.13|31.08|31.17|29.01|31.22|31.05|31.22|31.08|31.17|31.1735|27.7165|4395|7676411 66261|UMAY|UMAY|45782C292|US45782C2926|Innovator U.S. Equity Ultra Buffer ETF - May|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-5|TXN1-8|TXN5-8|TXN3-8|TXN4-3|2000000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|28.825|0.0|0.0|0.0|0.0|28.81|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|28.825|0.0|28.825|28.79|28.85|28.77|28.83|28.78|28.87|28.74|28.91|28.79|28.86|28.78|28.87|28.9|25.77|3985|6647829 4202|UMBF|UMBF|902788108|US9027881088|UMB Financial Corp|COM USD12.5||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN5-6|TXN12-5|TXN5-8|TXN6-8|48530000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||||||75.79|76.01|0.0|76.03|76.02|76.0|76.05|76.0|0.0|0.0|75.89|75.81|76.0|0.0|0.0|75.99|75.88|76.08|0.0|76.0|75.85|76.21|58.4|91.63|75.85|76.17|75.83|76.19|76.0|0.0|76.0|76.07|92.68|50.68|248205|91967713 9749|UMC|UMC|910873405|US9108734057|United Microelectronics Corporation|American Depositary Shares (Each representing five Common Shares)|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-3|TXN2-7|TXN8-6|TXN1-5|TXN3-8|12503100000|||Yearly|||||2007-10-09||||||| | | | | | | | | |||N|0|N|Y|114A|TWN|TW|||10|1010|101020|10102010|Technology|Technology|Technology Hardware and Equipment|Semiconductors|N||N||||||Y|0|Y||Y|2|||7.85|7.85|0.0|7.86|7.86|7.85|7.855|7.855|0.0|0.0|7.85|7.86|7.855|7.85|7.83|7.85|7.845|7.85|7.86|7.85|7.85|7.86|6.12|9.7|7.84|7.86|7.82|7.89|7.84|7.88|7.85|7.86|8.97|6.48|6504549|1527578520 32267|UMDD|UMDD|74347X815|US74347X8157|ProShares Trust|ProShares UltraPro MidCap400|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ProShares Advisors |Latour Trading, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-3|TXN4-1|TXN2-5|TXN3-7|TXN1-2|1420000|||Quarterly|||||2010-02-11||UMDD.NV|UMDD.SO|UMDD.EU|UMDD.TC|UMDD.IV| | | | | | | | | |3x|ProShares UltraPro MidCap400 (UMDD) seeks daily investment results, before fees and expenses, that correspond to triple (300%) the daily performance of the S&P MidCap400 Index. The S&P MidCap 400 Index is a measure of mid-size company U.S. stock market performance. It is a float-adjusted market capitalization weighted index of 400 U.S. operating companies and REITs. Securities are selected for inclusion in the index by the S&P U.S. Index Committee through a non-mechanical process that factors criteria such as liquidity, price, market capitalization and financial viability.|N|0|N|N|416A|USA|US|EQUITY|LEVERAGED|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|19.47|0.0|0.0|19.15|19.35|19.4633|18.75|0.0|0.0|19.1|0.0|19.4|19.36|17.73|0.0|0.0|19.47|0.0|19.47|19.34|19.56|0.0|0.0|19.44|19.47|0.0|0.0|0.0|0.0|19.41|19.47|24.7599|13.44|22233|3651259 9750|UMH|UMH|903002103|US9030021037|UMH Properties, Inc.|Common Stock|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-6|TXN3-1|TXN7-4|TXN1-8|TXN1-7|66400000|||Quarterly|||||2012-03-02||||||| | | | | | | | | |||N|0|N|Y|414A|USA|US|||35|3510|351020|35102040|Real Estate|Real Estate |Real Estate Investment Trusts|Residential REITs|N||N||||||N|0|Y||Y|2|||14.82|14.81|0.0|14.83|14.81|14.82|14.81|14.825|0.0|0.0|14.83|14.78|14.805|14.43|14.63|14.8|14.65|14.8|14.5|14.8|14.8|14.81|11.18|17.92|14.69|14.86|14.77|14.84|14.77|14.84|14.8|14.81|18.87|13.26|451906|94759984 60562|UMH PRD|UMHpD|903002509|US9030025095|UMH Properties, Inc.|6.375% Series D Cumulative Redeemable Preferred Stock, Liquidation Preference $25 per share|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN4-3|TXN4-8|TXN1-2|TXN4-5|10600000|||Quarterly|||||2018-01-25||||||| | | | | | | | | |||N|0|N|N|414A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||21.78|21.66|0.0|0.0|0.0|21.64|21.58|21.65|0.0|0.0|21.66|0.0|21.66|0.0|0.0|21.74|21.86|21.66|0.0|21.74|21.58|21.9|21.64|21.72|21.15|22.34|0.0|0.0|0.0|0.0|20.4|22.43|23.4147|19.83|17054|6640619 69897|UMI|UMI|90290T882|US90290T8826|USCF ETF Trust|USCF Midstream Energy Income Fund ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||United States Commodity Funds |GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-6|TXN2-6|TXN7-8|TXN3-5|TXN3-8|6180000|||Quarterly|||||2021-03-24||UMI.NV|UMI.SO|UMI.EU|UMI.TC|UMI.IV| | | | | | | | | |1x|The Fund is an actively managed exchange-traded fund. The Funds investment sub-adviser, Miller/Howard Investments, Inc., utilizes a bottom-up fundamental research process to evaluate these midstream energy infrastructure companies on a number of key metrics, including income, growth of income, distribution coverage, leverage, direct-commodity price exposure, and contract quality.The Fund will seek to achieve its investment objectives by investing, under normal market conditions, at least 80% of its net assets in equity securities of U.S. and Canadian companies of any market capitalization deemed by the Sub-Adviser to be engaged in the midstream energy sector.The midstream energy sector primarily includes publicly-traded master limited partnerships and limited liability companies taxed as partnerships (MLPs), and companies structured or who elect to be taxed as C-corporations that derive the majority of their revenue from operating or providing midstream energy services. The Sub-Adviser considers midstream energy services to be transportation, storage, and gathering & processing infrastructure that primarily collect fees for transporting customers oil, natural gas, and other products.The Fund may directly invest up to 25% of its total assets in equity securities of certain MLPs treated as publicly-traded partnerships. The Fund will invest more than 25% of the value of its total assets in the energy, oil, and gas industries.|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|37.04|37.0499|36.27|0.0|0.0|0.0|0.0|0.0|37.05|0.0|0.0|0.0|37.0868|0.0|37.0868|0.0|0.0|0.0|0.0|37.02|37.09|0.0|0.0|0.0|0.0|37.02|37.09|37.3378|30.65|5254|2990619 73128|UMMA|UMMA|53656F268|US53656F2680|Wahed Dow Jones Islamic World ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN6-3|TXN12-4|TXN6-8|TXN5-4|2600000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||21.72|21.72|0.0|0.0|21.72|21.72|21.74|21.72|0.0|0.0|0.0|0.0|21.72|21.72|21.72|0.0|0.0|21.74|0.0|21.72|16.81|26.7|16.81|26.7|21.6|21.88|16.81|26.7|0.0|0.0|21.72|21.76|22.7618|19.18|6784|2091080 9753|UNB|UNB|905400107|US9054001071|Union Bankshares Inc|COM USD2.0||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN6-4|TXN13-1|TXN5-3|TXN6-5|4510000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||||||30.52|30.43|0.0|0.0|0.0|30.5|29.54|30.42|0.0|0.0|30.0|29.89|30.7|30.46|0.0|0.0|0.0|30.7|0.0|30.7|28.87|32.15|0.0|0.0|29.03|31.9|30.0|0.0|30.01|0.0|30.01|30.99|30.87|20.07|20483|1412707 70892|UNCY|UNCY|90466Y103|US90466Y1038|Unicycive Therapeutics Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-4|TXN5-2|TXN13-2|TXN6-2|TXN6-1|34750000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||0.518|0.52|0.0|0.5|0.52|0.5147|0.4922|0.503|0.0|0.0|0.5|0.5191|0.528|0.0|0.0|0.0|0.0|0.4922|0.52|0.4922|0.392|0.612|0.392|0.612|0.4575|0.5295|0.392|0.612|0.0|0.0|0.49|0.5295|2.87|0.4004|105546|385265540 9754|UNF|UNF|904708104|US9047081040|UniFirst Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|P|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN1-6|TXN9-8|TXN2-7|TXN3-6|15130000|||Quarterly|||||1983-07-26||||||| | | | | | | | | |||N|0|N|Y|148B|USA|US|||50|5020|502050|50205010|Industrials|Industrial Goods and Services|Industrial Support Services|Industrial Suppliers|N||N||||||N|0|Y||Y|2|||172.55|176.815|0.0|176.88|173.365|176.815|176.785|177.06|0.0|0.0|172.12|171.62|177.17|172.585|173.365|177.13|173.33|177.13|176.72|177.13|176.79|177.2|136.34|217.73|175.78|177.78|176.32|177.49|176.73|177.63|176.8|211.96|205.59|150.5|106271|16377620 4208|UNFI|UNFI|911163103|US9111631035|United Natural Foods, Inc.|Common Stock, $0.01 par value per share|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|M|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-7|TXN2-1|TXN2-5|TXN1-5|TXN3-8|59410000|||NotApplicable|||||2019-01-02||||||| | | | | | | | | |||N|0|N|Y|118D|USA|US|||45|4520|452010|45201010|Consumer Staples |Personal Care, Drug and Grocery Stores |Personal Care, Drug and Grocery Stores |Food Retailers and Wholesalers |N||N||||||Y|0|Y||Y|2|||16.23|16.23|0.0|16.0|16.23|16.225|16.23|16.225|0.0|0.0|16.23|16.1|16.23|16.23|16.21|16.21|16.12|16.23|14.96|16.21|16.22|16.23|12.3|19.6|16.17|16.34|16.2|16.26|16.19|16.26|16.22|16.23|47.5883|12.88|770080|162241474 25107|UNG|UNG|912318300|US9123183009|United States Natural Gas Fund, LP|United States Natural Gas Fund, LP|Limited partnership|ETV|N|N|P|Y|Y|Y|Y|Y||||||||United States Commodity Funds |Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-7|TXN4-3|TXN6-2|TXN4-5|TXN2-1|182184588|||NotApplicable|||||2011-03-07||UNG.NV|UNG.SO| | |UNG.IV| | | | | | | | | |1x|The United States Natural Gas Fund, LP (UNG) is an exchange-traded security designed to track the changes in the price of natural gas, as measured by the changes in the price of the futures contract on natural gas traded on the NYMEX, that is the near month contract to expire. The investment objective of USNG is for the daily changes in percentage terms of its units net asset value (NAV) to reflect the daily changes in percentage terms of the spot price of natural gas delivered at the Henry Hub, Louisiana, as measured by the daily changes in the price of the futures contract on natural gas traded on the New York Mercantile Exchange (the NYMEX) that is the near month contract to expire, except when the near month contract is within two weeks of expiration, in which case it will be measured by the futures contract that is the next month contract to expire, less USNGs expenses (the Benchmark Futures Contract).|N|0|N|N|416A|USA|US|COMMODITIES_AND_FUTURES|INDEX|||||||||N||N||||||Y|0|Y||Y|1|||5.335|5.335|0.0|5.27|5.33|5.335|5.3301|5.33|0.0|0.0|5.33|5.33|5.335|5.335|5.33|5.335|5.325|5.34|5.34|5.34|5.32|5.36|5.33|5.34|5.33|5.34|5.33|5.35|5.33|5.44|5.33|5.34|21.67|5.22|21958324|4759679692 9755|UNH|UNH|91324P102|US91324P1021|UnitedHealth Group Incorporated|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|N|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|4|0.01|0.01|5000000|1|100|TXN2-1|TXN1-1|TXN2-3|TXN3-1|TXN4-8|924930000|||Quarterly|||||1991-10-10||||||| | | | | | | | | |||Y|1|Y|Y|122B|USA|US|||20|2010|201010|20101020|Health Care |Health Care |Health Care Providers|Health Care Management Services|N||N||||||Y|0|Y||Y|1|||548.46|548.46|0.0|548.32|548.46|548.46|548.3|548.44|0.0|0.0|548.51|548.73|548.26|548.56|548.78|548.28|548.71|548.44|548.56|548.28|548.44|548.45|513.73|583.18|548.16|548.45|547.97|548.76|548.21|548.45|548.44|548.45|554.7|436.51|2709303|762998235 49672|UNIT|UNIT|91325V108|US91325V1089|Uniti Group Inc|COM USD.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN6-3|TXN14-7|TXN6-6|TXN6-4|238670000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||35|3510|351020|35102025|Real Estate|Real Estate |Real Estate Investment Trusts|Infrastructure REITs|N||N||||||Y|0|Y||||||5.935|5.94|0.0|5.91|5.95|5.935|5.945|5.935|0.0|0.0|5.94|5.95|5.94|5.94|5.92|5.94|5.92|5.935|5.94|5.94|5.92|5.94|4.59|7.21|5.91|5.94|5.91|5.98|0.0|5.95|5.93|5.94|7.45|2.94|1390162|624247574 75216|UNIY|UNIY|97717Y469|US97717Y4695|WisdomTree Voya Yield Enhanced USD Universal Bond Fund|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN5-3|TXN13-2|TXN6-1|TXN5-1|24800000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|48.1784|0.0|0.0|0.0|0.0|0.0|0.0|48.1784|0.0|0.0|0.0|0.0|48.14|48.2|0.0|0.0|0.0|0.0|48.15|48.2|50.045|45.85|12|7882772 31867|UNL|UNL|91288X109|US91288X1090|United States 12 Month Natural Gas Fund, LP|United States 12 Month Natural Gas Fund, LP|Limited partnership|ETV|N|N|P|Y|Y|Y|Y|Y||||||||United States Commodity Funds |Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-4|TXN2-3|TXN7-8|TXN3-2|TXN3-8|1900000|||NotApplicable|||||2009-11-18||UNL.NV|UNL.SO| | |UNL.IV| | | | | | | | | |1x|The net assets of United States 12 Month Natural Gas Fund, LP will consist primarily of investments in futures contracts for natural gas, crude oil, heating oil, gasoline and other petroleum-based fuels that are traded on the New York Mercantile Exchange, ICE Futures (formerly, the International Petroleum Exchange) or other U.S. and foreign exchanges and other natural gas-related investments such as cash-settled options on Futures Contracts, forward contracts for natural gas, and over-the-counter transactions that are based on the price of natural gas, crude oil and other petroleum-based fuels, Futures Contracts and indices based on the foregoing.|N|0|N|N|416A|USA|US|COMMODITIES_AND_FUTURES|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||9.349|9.29|0.0|9.29|0.0|9.27|9.3374|0.0|0.0|0.0|9.27|9.27|9.28|9.349|0.0|9.2|0.0|9.33|0.0|9.33|8.65|9.96|9.33|9.36|9.33|9.36|9.33|9.38|9.33|9.36|9.33|9.36|23.07|9.19|49033|6620770 9762|UNM|UNM|91529Y106|US91529Y1064|Unum Group|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN1-2|TXN9-8|TXN2-7|TXN1-3|195050000|||Quarterly|||||1986-11-06||||||| | | | | | | | | |||N|0|Y|Y|410B|USA|US|||30|3030|303010|30301010|Financials|Insurance|Life Insurance|Life Insurance|N||N||||||Y|0|Y||Y|1|||43.29|43.3|0.0|43.15|43.295|43.3|43.29|43.3|0.0|0.0|43.31|43.3|43.295|43.29|43.19|43.3|43.3|43.29|43.2|43.3|43.28|43.3|40.68|45.85|43.24|43.34|43.28|43.34|43.28|43.35|43.28|43.3|52.15|36.27|887191|321098785 61137|UNMA|UNMA|91529Y601|US91529Y6014|Unum Group|6.250% Junior Subordinated Notes due 2058|Operating company|G|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN3-4|TXN5-8|TXN2-5|TXN2-7|12000000|||Quarterly|||||2018-06-19|2058-06-15|||||| | | | | | | | | |||N|0|N|N|410B||US|||||||||||N||N||||||N|0|Y||Y|2|||23.89|23.94|0.0|0.0|23.89|23.93|23.88|23.83|0.0|0.0|23.85|23.109375|23.92|23.96|22.109375|23.87|0.0|23.97|0.0|23.87|23.86|23.98|0.0|0.0|23.39|24.37|0.0|0.0|0.0|0.0|23.86|24.09|25.5984|21.49|45496|3642619 64940|UNOV|UNOV|45782C565|US45782C5655|Innovator U.S. Equity Ultra Buffer ETF - November|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-2|TXN2-3|TXN3-8|TXN3-3|TXN3-2|1830000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||31.01|31.0598|0.0|0.0|0.0|0.0|31.03|0.0|0.0|0.0|0.0|0.0|0.0|31.14|0.0|0.0|0.0|31.0598|0.0|31.0598|30.78|31.48|31.01|31.06|31.01|31.1|28.94|33.31|0.0|0.0|28.94|31.15|31.4114|27.43|8534|3046803 9765|UNP|UNP|907818108|US9078181081|Union Pacific Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|P|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-3|TXN4-7|TXN9-6|TXN4-2|TXN2-6|609600000|||Quarterly|||||1969-06-20||||||| | | | | | | | | |||N|1|Y|Y|204A|USA|US|||50|5020|502060|50206020|Industrials|Industrial Goods and Services|Industrial Transportation|Railroads|N||N||||||Y|0|Y||Y|1|||233.96|233.82|0.0|233.89|233.89|233.82|233.84|233.84|0.0|0.0|233.975|233.96|233.84|233.87|233.83|233.9|233.95|233.84|233.86|233.9|233.84|233.85|219.06|248.35|233.73|233.91|221.45|244.64|233.65|233.9|233.84|233.85|240.4799|183.69|3881955|654236628 4212|UNTY|UNTY|913290102|US9132901029|Unity Bancorp Inc|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN5-4|TXN11-8|TXN5-4|TXN6-6|10060000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||||||27.95|0.0|0.0|0.0|0.0|28.165|27.8401|28.3|0.0|0.0|0.0|0.0|28.15|0.0|0.0|0.0|0.0|28.165|0.0|28.15|27.13|29.07|0.0|0.0|27.77|28.73|0.0|0.0|0.0|0.0|27.84|28.16|29.2|20.01|11621|4870817 61878|UOCT|UOCT|45782C821|US45782C8212|Innovator U.S. Equity Ultra Buffer ETF - 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This ETF seeks a return of 300% of the return of an index (target) for a single day. Due to the compounding of daily returns, returns over periods other than one day will likely differ in amount and possibly direction from the target return for the same period. Investors should monitor their ProShares holdings consistent with their strategies, as frequently as daily. For more on correlation, leverage and other risks, please read the prospectus. The S&P 500 Index is a widely used measure of large U.S. stock market performance. It includes a representative sample of leading companies in leading industries. Companies are selected for inclusion in the Index by Standard & Poors based on adequate liquidity, appropriate market capitalization, financial viability and public float. It is not possible to invest directly in an index.|N|0|N|N|416A|USA|US|EQUITY|LEVERAGED|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||48.62|48.63|0.0|0.0|48.62|48.62|48.6121|48.61|0.0|0.0|48.62|48.61|48.64|48.62|48.61|48.63|48.6|48.65|48.64|48.65|48.61|48.64|48.39|48.85|48.62|48.63|48.61|48.64|47.7|49.66|48.62|48.63|52.2214|30.89|8888122|1911007192 9772|UPS|UPS|911312106|US9113121068|United Parcel Service, Inc.|Class B Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-1|TXN4-8|TXN7-2|TXN2-5|TXN4-5|723260000|||Quarterly|||||1999-11-10||||||| | | | | | | | | |||N|1|Y|Y|202B|USA|US|||50|5020|502060|50206040|Industrials|Industrial Goods and Services|Industrial Transportation|Delivery Services|N||N||||||Y|0|Y||Y|1|||156.02|155.95|0.0|155.94|155.98|155.94|155.92|155.92|0.0|0.0|155.94|155.98|155.91|155.92|155.98|155.92|156.07|155.92|156.06|155.92|155.91|155.95|145.89|165.75|155.89|156.0|155.85|156.02|155.83|155.95|155.91|155.95|197.8|133.68|2717892|787971639 68518|UPST|UPST|91680M107|US91680M1071|Upstart Holdings Inc|COM USD.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN5-8|TXN13-2|TXN6-4|TXN5-6|85060000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302010|30201020|Financials|Financial Services |Finance and Credit Services|Consumer Lending|N||N||||||Y|0|Y||||||34.29|34.3|0.0|34.29|34.27|34.27|34.2819|34.29|0.0|0.0|34.27|34.26|34.29|34.26|34.25|34.3|34.07|34.29|34.06|34.29|34.18|34.59|26.12|42.01|34.15|34.56|34.2|34.36|34.27|34.37|34.27|34.3|72.58|11.93|15498882|1831876059 32624|UPV|UPV|74347X526|US74347X5260|ProShares Trust|ProShares Ultra FTSE Europe|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ProShares Advisors |Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-7|TXN2-1|TXN6-6|TXN2-5|TXN4-6|75000|||Quarterly|||||2010-04-29||UPV.NV|UPV.SO|UPV.EU|UPV.TC|UPV.IV| | | | | | | | | |2x|The FTSE Developed Europe All Cap Index is a market-capitalization weighted index representing the performance of large, mid and small cap companies in Developed European markets, including the UK. The index is comprised of approximately 1250 securities from 16 countries, and derived from the FTSE Global Equity Index Series (GEIS), which covers over 7,400 securities in 47 different countries and captures 98% of the worlds investable market capitalization.|N|0|N|N|416A|USA|US|EQUITY|LEVERAGED|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|44.55|53.6665|0.0|0.0|0.0|0.0|0.0|0.0|53.681|0.0|0.0|0.0|53.8498|0.0|53.8498|49.78|57.28|0.0|0.0|53.77|53.92|49.78|57.28|0.0|0.0|53.77|53.92|58.525|43.1743|388|298916 18916|UPW|UPW|74347R685|US74347R6852|ProShares Trust|ProShares Ultra Utilities|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ProShares Advisors |IMC Chicago, LLC, DBA IMC Financial Markets|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-1|TXN4-2|TXN3-8|TXN2-3|TXN2-6|235000|||Quarterly|||||2008-11-12||UPW.NV|UPW.SO|UPW.EU|UPW.TC|UPW.IV| | | | | | | | | |2x|ProShares Ultra Utilities seeks daily investment results, before fees and expenses, that correspond to twice (200%) the daily performance of the Dow Jones U.S. Utilities Index. This ETF seeks a return of 200% of the return of an index (target) for a single day. Due to the compounding of daily returns, returns over periods other than one day will likely differ in amount and possibly direction from the target return for the same period. Investors should monitor their ProShares holdings consistent with their strategies, as frequently as daily. For more on correlation, leverage and other risks, please read the prospectus. The Dow Jones U.S. Utilities Index measures the performance of the utilities economic sector of the U.S. equity market. Component companies include electric utilities, gas utilities and water utilities. It is not possible to invest directly in an index.|N|0|N|N|416A|USA|US|EQUITY|LEVERAGED|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||0.0|53.23|0.0|0.0|0.0|0.0|52.9093|49.28|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|52.7599|55.904172|52.7599|0.0|0.0|0.0|0.0|52.65|52.81|52.48|52.98|52.48|52.97|52.65|52.81|75.0|40.2622|63950|730980 74570|UPWD|UPWD|46654Q302|US46654Q3020|JPMorgan Social Advancement ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN5-8|TXN14-2|TXN6-7|TXN6-8|230000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|56.33|0.0|0.0|0.0|0.0|0.0|0.0|56.33|0.0|0.0|0.0|0.0|55.73|56.84|0.0|0.0|0.0|0.0|56.22|56.33|56.88|49.0977|7|2110 61892|UPWK|UPWK|91688F104|US91688F1049|Upwork Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN6-3|TXN13-5|TXN6-7|TXN5-4|136110000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101010|10101020|Technology|Technology|Software and Computer Services|Consumer Digital Services |N||N||||||Y|0|Y||||||13.965|13.97|0.0|13.99|13.96|13.965|13.965|13.97|0.0|0.0|13.965|13.97|13.97|13.99|13.905|13.965|13.99|13.97|13.97|13.97|13.95|13.99|10.95|17.03|13.95|13.97|13.94|13.99|13.95|14.0|13.96|13.97|15.875|6.56|2855902|469589483 70963|UPXI|UPXI|39959A106|US39959A1060|Upexi Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-1|TXN6-5|TXN13-7|TXN5-4|TXN6-4|20310000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103020|Health Care |Health Care |Pharmaceuticals and Biotechnology|Cannabis Producers|N||N||||||Y|0|Y|C|||||0.0|0.7847|0.0|0.0|0.0|0.8301|0.8108|0.83|0.0|0.0|0.8464|0.8301|0.8453|0.0|0.0|0.0|0.0|0.8297|0.0|0.8297|0.6564|1.02|0.64|1.02|0.7707|0.9011|0.8067|0.8729|0.7989|0.8718|0.8256|0.8454|4.94|0.57|20022|12666775 35980|URA|URA|37954Y871|US37954Y8710|Global X Funds|Global X Uranium ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Global X|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-4|TXN3-6|TXN8-5|TXN1-6|TXN2-1|84521666|||BiAnnually|||||2010-11-05||URA.NV|URA.SO|URA.EU|URA.TC|URA.IV| | | | | | | | | |1x|The Global X Uranium ETF seeks to provide investment results that correspond generally to the price and yield performance, before fees and expenses, of the Solactive Global Uranium Index. The Solactive Global Uranium Index is designed to reflect the performance of the uranium mining industry. It is comprised of companies globally that are primarily engaged in some aspect of the uranium mining industry such as mining, refining, exploration, and manufacturing of equipment for the uranium industry.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||29.405|29.38|0.0|29.4|29.38|29.39|29.39|29.39|0.0|0.0|29.39|29.39|29.37|29.41|29.38|29.38|29.4|29.39|29.39|29.39|29.28|30.5|27.43|31.24|29.31|29.39|27.83|30.5|29.09|29.56|29.35|29.41|29.52|18.31|2222062|421513768 4218|URBN|URBN|917047102|US9170471026|Urban Outfitters Inc|COM USD.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN5-6|TXN10-2|TXN6-5|TXN6-1|92770000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4040|404010|40401020|Consumer Discretionary|Retail |Retailers |Apparel Retailers|N||N||||||Y|0|Y||||||36.81|36.82|0.0|36.67|36.82|36.82|36.82|36.82|0.0|0.0|36.82|36.84|36.8|36.795|36.74|36.82|36.82|36.83|36.81|36.8|36.77|36.86|29.09|45.31|36.75|36.87|36.81|36.86|36.76|36.87|36.82|36.83|37.815|23.26|1927402|387678155 18913|URE|URE|74347X625|US74347X6250|ProShares Trust|ProShares Ultra Real Estate|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ProShares Advisors |Latour Trading, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-7|TXN1-3|TXN5-7|TXN3-3|TXN1-2|1083744|||Quarterly|||||2010-04-15||URE.NV|URE.SO|URE.EU|URE.TC|URE.IV| | | | | | | | | |2x|ProShares Ultra Real Estate seeks daily investment results, before fees and expenses, that correspond to twice (200%) the daily performance of the Dow Jones U.S. Real Estate Index. This ETF seeks a return of 200% of the return of an index (target) for a single day. Due to the compounding of daily returns, returns over periods other than one day will likely differ in amount and possibly direction from the target return for the same period. Investors should monitor their ProShares holdings consistent with their strategies, as frequently as daily. For more on correlation, leverage and other risks, please read the prospectus. The Dow Jones U.S. Real Estate Index measures the performance of the real estate industry of the U.S. equity market. Component companies include those that invest directly or indirectly through development, management or ownership of shopping malls, apartment buildings and housing developments; and real estate investment trusts (REITs) that invest in apartments, office and retail properties. REITs are passive investment vehicles that invest primarily in income-producing real estate or real estate related loans or interests. It is not possible to invest directly in an index.|N|0|N|N|416A|USA|US|EQUITY|LEVERAGED|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||0.0|56.56|0.0|0.0|0.0|56.65|57.16|0.0|0.0|0.0|54.4|0.0|57.29|57.21|0.0|0.0|0.0|57.4927|0.0|57.4927|57.23|57.71|0.0|0.0|57.46|57.55|57.33|57.79|57.33|57.79|57.46|57.55|74.1537|41.0|1680|885606 28517|URG|URG|91688R108|CA91688R1082|Ur-Energy Inc|Common Shares|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-8|TXN4-7|TXN6-5|TXN3-5|TXN3-2|265990000|||NotApplicable|||||2008-07-24||||||| | | | | | | | | |||N|0|N|N|130E|USA|CA|||55|5510|551020|55102050|Basic Materials|Basic Resources|Industrial Metals and Mining|Nonferrous Metals|N||N||||||N|0|Y||Y|2|||1.59|1.59|0.0|0.0|1.595|1.59|1.59|1.59|0.0|0.0|1.6|1.6|1.595|1.6|1.6|1.595|1.6|1.6|1.59|1.6|1.59|1.6|1.59|1.6|1.59|1.6|1.56|1.63|1.58|1.61|1.58|1.6|1.71|0.8201|1820512|403833305 57252|URGN|URGN|M96088105|IL0011407140|UroGen Pharma Ltd|COM USD0.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN5-7|TXN13-1|TXN5-5|TXN5-6|30870000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||13.32|13.32|0.0|13.23|13.31|13.34|13.32|13.35|0.0|0.0|13.25|13.29|13.33|13.33|13.25|13.31|0.0|13.31|0.0|13.33|13.14|13.46|10.26|16.41|13.16|13.44|13.26|13.41|13.31|13.36|13.31|13.33|24.13|7.15|121785|72840832 9774|URI|URI|911363109|US9113631090|United Rentals, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|T|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-6|TXN3-7|TXN5-5|TXN3-7|TXN2-6|67780000|||Quarterly|||||1997-12-18||||||| | | | | | | | | |||N|5|Y|Y|180B|USA|US|||50|5020|502060|50206050|Industrials|Industrial Goods and Services|Industrial Transportation|Commercial Vehicle-Equipment Leasing|N||N||||||Y|0|Y||Y|1|||490.18|489.98|0.0|489.78|490.59|490.18|489.808|490.22|0.0|0.0|490.52|488.46|490.07|490.16|490.26|490.09|488.85|489.86|489.19|490.09|489.85|489.86|461.55|524.48|489.76|490.41|489.22|490.81|489.09|490.18|489.85|489.86|505.155|325.15|1013068|192004141 75196|URNJ|URNJ|85208P808|US85208P8086|Sprott Junior Uranium Miners ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN5-3|TXN13-5|TXN6-2|TXN6-2|7390000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CAN||||||||||||N||N||||||N|0|Y||||||25.52|25.485|0.0|0.0|25.6|25.59|25.59|25.35|0.0|0.0|25.575|0.0|25.6|25.51|0.0|25.62|25.33|25.59|25.17|25.6|23.62|27.18|19.7|31.22|25.43|25.59|23.62|27.18|0.0|0.0|25.5|25.59|25.8999|13.66|413613|24456199 65163|URNM|URNM|85208P303|US85208P3038|Sprott Funds Trust|Sprott Uranium Miners ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Sprott Asset Management|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-7|TXN1-7|TXN8-8|TXN1-3|TXN2-2|33165000|||Yearly|||||2022-04-25||URNM.NV|URNM.SO|URNM.EU|URNM.TC| | | | | | | | | | ||Sprott Uranium Miners Fund (NYSE Arca: URNM) seeks to invest at least 80% of its total assets in securities of the North Shore Global Uranium Mining Index (URNMX). The Index is designed to track the performance of companies that devote at least 50% of their assets to the uranium mining industry, which may include mining, exploration, development, and production of uranium, or holding physical uranium, owning uranium royalties, or engaging in other, non-mining activities that support the uranium mining industry.|N|0|N|N|416A|CAN|US|COMMODITIES_AND_FUTURES|INDEX|||||||||N||N||||||Y|0|Y||Y|1|||50.42|50.43|0.0|50.43|50.42|50.42|50.4436|50.43|0.0|0.0|50.425|50.44|50.42|50.4|50.3|50.45|50.0|50.45|50.31|50.45|47.25|53.12|47.25|53.12|50.35|50.44|47.25|50.96|49.74|50.95|50.35|50.44|66.35|28.22|1091352|118418533 70408|UROY|UROY|91702V101|CA91702V1013|Uranium Royalty Corp|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN5-4|TXN14-8|TXN5-4|TXN6-4|101170000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CAN||||55|5510|551020|55102050|Basic Materials|Basic Resources|Industrial Metals and Mining|Nonferrous Metals|N||N||||||Y|0|Y||||||2.94|2.94|0.0|0.0|2.94|2.94|2.94|2.94|0.0|0.0|2.94|2.94|2.93|2.95|2.93|2.935|2.93|2.94|2.94|2.93|2.93|3.0|2.26|3.6|2.93|2.95|2.9|2.97|2.9|2.97|2.93|2.94|3.29|1.81|746011|180066977 39415|URTH|URTH|464286392|US4642863926|iShares Inc.|iShares MSCI World ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-6|TXN4-3|TXN9-4|TXN4-6|TXN4-3|22600000|||BiAnnually|||||2012-01-12||URTH.NV|URTH.SO|URTH.EU|URTH.TC|URTH.IV| | | | | | | | | |1x|The iShares MSCI World ETF (the Fund) seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the MSCI World Index (the Underlying Index). The Underlying Index is designed to measure the performance of equity securities in the top 85% of equity market capitalization, as calculated by the index provider, in certain developed market countries. As of June 30, 2012, the Underlying Index consisted of companies in the following 24 countries: Australia, Austria, Belgium, Canada, Denmark, Finland, France, Germany, Greece, Hong Kong, Ireland, Israel, Italy, Japan, the Netherlands, New Zealand, Norway, Portugal, Singapore, Spain, Sweden, Switzerland, the United Kingdom and the United States. Components primarily include consumer discretionary, consumer staples, financial, healthcare, industrials and information technology companies. The components of the Underlying Index, and the degree to which these components represent certain industries, may change over time.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||128.04|128.04|0.0|127.86|128.07|127.89|127.98|127.91|0.0|0.0|128.06|127.84|127.98|128.08|127.85|128.06|127.6|128.04|128.13|128.04|118.95|128.04|118.87|136.58|127.97|128.04|127.83|128.18|127.83|128.18|127.97|128.04|129.0095|107.42|291312|48663243 32269|URTY|URTY|74347X799|US74347X7993|ProShares Trust|ProShares UltraPro Russell2000|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ProShares Advisors |Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-8|TXN3-3|TXN9-3|TXN3-8|TXN3-2|8250000|||Quarterly|||||2010-02-11||URTY.NV|URTY.SO|URTY.EU|URTY.TC|URTY.IV| | | | | | | | | |3x|ProShares UltraPro Russell2000 (URTY) seeks daily investment results, before fees and expenses, that correspond to triple (300%) the daily performance of the Russell 2000 Index. The Russell 2000 Index is a measure of small-cap U.S. stock market performance. It is a float adjusted market capitalization weighted index containing approximately 2000 of the smallest companies in the Russell 3000 Index or approximately 8% of the total market capitalization of the Russell 3000 Index, which in turn represents approximately 98% of the investable U.S. equity market.|N|0|N|N|416A|USA|US|EQUITY|LEVERAGED|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||37.56|37.83|0.0|36.75|37.86|37.9|37.88|37.87|0.0|0.0|37.85|37.87|37.82|37.5|37.87|37.881|37.89|37.89|37.92|37.89|37.72|38.03|37.66|37.9|37.83|37.89|37.66|38.02|37.11|38.64|37.83|37.89|54.68|25.36|1854370|202112206 9776|USA|USA|530158104|US5301581048|Liberty All-Star Equity Fund|Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-4|TXN4-3|TXN1-8|TXN4-6|TXN3-3|270860000|||Quarterly|||||1986-10-24||||||| | | | | | | | | |||N|0|N|N|406B|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||6.14|6.14|0.0|0.0|6.14|6.145|6.145|6.14|0.0|0.0|6.145|6.145|6.145|6.15|6.13|6.15|6.14|6.145|6.14|6.15|6.14|6.15|4.75|7.53|6.14|6.15|6.12|6.17|6.13|6.15|6.14|6.15|7.04|5.585|1251222|166596949 41296|USAC|USAC|90290N109|US90290N1090|USA Compression Partners, LP|Common units representing limited partner interests|Limited partnership|A|N|N|N|Y|Y|Y|Y|Y|6|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN1-4|TXN7-7|TXN1-5|TXN1-6|98300000|||Quarterly|||||2013-01-15||||||| | | | | | | | | |||N|0|N|N|134C|USA|US|||60|6010|601010|60101030|Energy|Energy|Oil, Gas and Coal|Oil Equipment and Services|N||N||||||Y|0|Y||Y|2|||23.93|23.96|0.0|23.94|23.96|23.95|23.96|23.96|0.0|0.0|23.96|23.99|23.96|24.13|24.02|23.95|24.0|23.96|0.0|23.95|23.92|23.96|18.38|29.82|23.79|24.16|23.9|23.99|23.91|24.0|23.92|23.96|26.61|17.945|369938|46293921 60300|USAI|USAI|69374H634|US69374H6348|Pacer Funds Trust|Pacer American Energy Independence ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Pacer Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-5|TXN4-5|TXN7-8|TXN2-7|TXN4-3|1600000|||Monthly|||||2019-12-16||USAI.NV|USAI.SO|USAI.EU|USAI.TC|USAI.IV| | | | | | | | | |1x|The Fund uses a passive management (or indexing) approach to track the performance, before fees and expenses, of the Index. The Index is based on a proprietary methodology developed by SL Advisors, LLC, the Funds investment adviser and index provider (the Adviser). The Index uses a proprietary, rules-based methodology to measure the performance of a portfolio of U.S. and Canadian exchange-listed equity securities of companies that generate a majority of their cash flow from certain qualifying midstream energy infrastructure activities. Midstream energy infrastructure refers to the processing, storage, transportation, and distribution of crude oil, natural gas, refined products, coal, and their related products. |N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||0.0|29.35|0.0|0.0|0.0|29.35|29.3486|0.0|0.0|0.0|29.35|0.0|29.35|0.0|0.0|0.0|0.0|29.3339|0.0|29.3339|0.0|0.0|0.0|0.0|29.3|29.36|0.0|0.0|0.0|0.0|29.3|29.36|29.4457|24.2|7541|1075927 4223|USAP|USAP|913837100|US9138371003|Universal Stainless & Alloy Products Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN5-4|TXN10-2|TXN6-8|TXN6-8|9090000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||55|5510|551020|55102010|Basic Materials|Basic Resources|Industrial Metals and Mining|Iron and Steel|N||N||||||Y|0|Y||||||17.69|17.61|0.0|17.58|17.59|17.55|17.7|17.65|0.0|0.0|17.65|17.8|17.68|17.56|0.0|17.56|0.0|17.69|17.49|17.68|17.1|18.07|13.78|21.65|17.16|18.12|13.78|21.65|17.55|17.68|17.55|17.68|17.89|6.795|57600|9140271 39482|USAS|USAS|03062D100|CA03062D1006|Americas Gold and Silver Corporation|Common Shares no par value|Operating company|A|N|Y|A|Y|Y|Y|Y|Y|||Brendan E. Cryan and Company, L.L.C.|CRYN|0235|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN11-6|TXN2-4|TXN5-8|TXN4-6|TXN1-6|217080000|||Monthly|||||2017-01-19||||||| | | | | | | | | |||N|0|N|N|130E|CAN|CA|||55|5510|551020|55102000|Basic Materials|Basic Resources|Industrial Metals and Mining|General Mining|N||N||||||N|0|Y||Y|2|||0.2656|0.2685|0.0|0.2633|0.2685|0.269|0.2689|0.2666|0.0|0.0|0.2666|0.269|0.2673|0.263|0.0|0.2656|0.26|0.26|0.2685|0.26|0.2555|0.282|0.2658|0.27|0.2557|0.27|0.2555|0.282|0.256|0.269|0.2658|0.27|0.7599|0.21|871340|103584276 1189|USAU|USAU|90291C201|US90291C2017|U.S. Gold Corp|COM USD1||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN6-2|TXN12-8|TXN6-1|TXN5-3|9300000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||55|5510|551030|55103025|Basic Materials|Basic Resources|Precious Metals and Mining|Gold Mining|N||N||||||Y|0|Y||||||0.0|4.01|0.0|0.0|3.87|3.87|3.8501|3.99|0.0|0.0|3.86|3.86|3.9|0.0|0.0|0.0|0.0|3.9|0.0|3.9|3.63|4.1|0.0|0.0|3.63|4.06|3.04|4.62|0.0|0.0|3.85|3.9|7.48|2.9201|111209|15773678 9777|USB|USB|902973304|US9029733048|U.S. Bancorp|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-4|TXN4-6|TXN9-4|TXN4-6|TXN1-7|1557010000|||Quarterly|||||1984-05-07||||||| | | | | | | | | |||N|1|Y|Y|402B|USA|US|||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||Y|1|||39.5|39.49|0.0|39.48|39.48|39.49|39.49|39.49|0.0|0.0|39.49|39.48|39.49|39.49|39.46|39.49|39.455|39.49|39.48|39.49|39.48|39.49|37.19|42.25|39.48|39.5|39.44|39.53|39.48|39.53|39.48|39.49|49.95|27.27|10125927|3139044495 32836|USB PRA|USBpA|902973866|US9029738666|U.S. Bancorp|Depositary Shares (each representing a 1/100th interest in a share of Series A Non-Cumulative Preferred Stock, $100,000 liquidation preference per share)|Operating company|B|N|N|N|Y|Y|Y|Y|Y|6|H|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|4|0.01|0.01|5000000|1|100|TXN9-8|TXN3-4|TXN8-8|TXN1-5|TXN1-6|580000|||Quarterly|||||2010-06-11||||||| | | | | | | | | |||N|0|N|N|402B|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|791.0|0.0|0.0|0.0|799.0|794.66|762.5|0.0|0.0|742.0|742.0|798.4|0.0|0.0|799.0|0.0|799.0|0.0|799.0|790.41|795.0|0.0|0.0|774.6|810.9|0.0|0.0|0.0|0.0|790.41|795.0|836.1359|664.207|1424|864134 16282|USB PRH|USBpH|902973155|US9029731554|U.S. Bancorp|Depositary Shares (Each representing 1/1,000 Interest in a share of Series B Non-Cumulative Perpetual Preferred Stock)|Operating company|B|N|N|N|Y|Y|Y|Y|Y|6|H|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN4-1|TXN4-8|TXN3-3|TXN1-1|40000000|||Quarterly|||||2006-03-31||||||| | | | | | | | | |||N|0|N|N|402B|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||20.01|20.04|0.0|20.0|0.0|20.1|20.17|20.105|0.0|0.0|20.15|20.0|20.1|20.01|0.0|20.17|20.1|20.17|20.01|20.17|20.14|20.17|15.5|24.57|19.72|20.58|15.5|24.57|0.0|0.0|20.14|20.17|21.57|15.81|90386|26559031 61445|USB PRP|USBpP|902973759|US9029737593|U.S. Bancorp|Depositary shares, each representing a 1/1000th interest in a share of Series K Non-Cumulative Perpetual Preferred Stock|Operating company|B|N|N|N|Y|Y|Y|Y|Y|6|H|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN3-2|TXN8-8|TXN4-6|TXN1-4|23000000|||Quarterly|||||2018-08-17||||||| | | | | | | | | |||N|0|N|N|402B|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|22.35|0.0|0.0|22.18|22.18|22.18|22.18|0.0|0.0|22.19|22.41|22.19|22.18|0.0|22.29|0.0|22.17|0.0|22.29|22.17|22.3|17.3|27.48|21.73|22.75|17.3|27.48|0.0|0.0|17.3|27.48|25.2|19.0|69641|15757500 68031|USB PRQ|USBpQ|902973734|US9029737346|U.S. Bancorp|Depositary Shares, Each Representing a 1/1,000th Interest in a Share of Series L Non-Cumulative Perpetual Preferred Stock|Operating company|B|N|N|N|Y|Y|Y|Y|Y|6|H|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN4-3|TXN9-8|TXN2-5|TXN1-1|20000000|||Quarterly|||||2020-10-30||||||| | | | | | | | | |||N|0|N|N|402B|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||16.3|0.0|0.0|15.3|16.29|16.25|16.2|16.29|0.0|0.0|16.27|0.0|16.19|16.3|0.0|16.2|0.0|16.2|16.3|16.2|16.19|16.3|0.0|0.0|15.85|16.59|0.0|0.0|0.0|0.0|16.19|16.3|23.16|13.32|30248|11915674 69049|USB PRR|USBpR|902973718|US9029737189|U.S. Bancorp|Depositary Shares, Each Representing a 1/1,000th Interest in a Share of Series M Non-Cumulative Perpetual Preferred Stock|Operating company|B|N|N|N|Y|Y|Y|Y|Y|6|H|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN2-6|TXN1-5|TXN4-4|TXN3-2|30000000|||Quarterly|||||2021-02-05||||||| | | | | | | | | |||N|0|N|N|402B|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||16.9|16.85|0.0|0.0|16.85|16.9|16.85|16.88|0.0|0.0|0.0|0.0|16.91|16.85|16.9|16.91|0.0|16.91|16.85|16.91|16.91|16.95|13.18|21.0|16.56|17.21|13.18|21.0|0.0|0.0|16.91|16.95|19.57|14.24|75103|21630947 73493|USB PRS|USBpS|902973668|US9029736686|U.S. Bancorp|Depositary Shares, each representing a 1/1,000th interest in a share of Series O Non-Cumulative Perpetual Preferred Stock|Operating company|B|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN1-8|TXN1-5|TXN4-1|TXN4-4|18000000|||Quarterly|||||2022-02-16||||||| | | | | | | | | |||N|0|N|N|402B|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|19.1|0.0|0.0|19.19|19.2|19.24|19.23|0.0|0.0|19.35|0.0|19.23|19.2|0.0|19.24|0.0|19.24|0.0|19.24|19.15|19.24|14.89|23.76|18.85|19.64|14.89|23.76|0.0|0.0|19.15|19.24|21.86|16.01|39627|11677180 72027|USBF|USBF|46436E452|US46436E4522|iShares USD Bond Factor ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN6-3|TXN10-8|TXN6-2|TXN6-8|150000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|82.8895|0.0|0.0|0.0|0.0|0.0|0.0|82.8895|0.0|0.0|0.0|0.0|82.81|82.96|0.0|0.0|0.0|0.0|82.82|82.95|86.6574|78.5669|0|2539 75567|USCA|USCA|23306X605|US23306X6058|DBX ETF Trust|Xtrackers MSCI USA Climate Action Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||DBX Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-4|TXN3-7|TXN7-8|TXN4-7|TXN3-5|81300001|||Quarterly|||||2023-04-04||USCA.NV|USCA.SO|USCA.EU|USCA.TC|USCA.IV| | | | | | | | | |1x|Fund will aim to track the underlying index, which aims to provide exposure to US equities that are leading their sector peers in taking action relating to a climate transition|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|1|||0.0|0.0|0.0|0.0|0.0|0.0|28.3832|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|28.4039|0.0|28.4039|28.11|28.69|0.0|0.0|28.38|28.42|26.38|30.57|0.0|0.0|28.38|28.42|28.56|24.582|101|83163805 71237|USCB|USCB|90355N101|US90355N1019|USCB Financial Holdings Inc|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN6-2|TXN11-3|TXN6-3|TXN5-8|19540000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|12.02|11.89|0.0|0.0|0.0|11.89|0.0|12.02|11.17|12.94|0.0|0.0|11.61|12.61|0.0|0.0|0.0|0.0|11.85|12.31|13.4|8.56|4043|5141017 35592|USCI|USCI|911717106|US9117171069|United States Commodity Index Funds Trust|United States Commodity Index Fund|Trust|ETV|N|N|P|Y|Y|Y|Y|Y||||||||United States Commodity Funds |Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-6|TXN1-8|TXN8-8|TXN2-6|TXN2-8|3200000|||NotApplicable|||||2010-08-10||USCI.NV|USCI.SO| | |USCI.IV| | | | | | | | | |1x|The investment objective of USCI is for the daily changes in percentage terms of its units NAV to reflect the daily changes in percentage terms of the SummerHaven Dynamic Commodity Index (the CommodityIndex), less USCIs expenses. The Commodity Index is designed to reflect the performance of a diversified group of commodities. The Commodity Index is owned and maintained by SummerHaven Index Management, LLC (SummerHaven Indexing) and calculated and published by Bloomberg, L.P. The Commodity Index is comprised of 14 Futures Contracts that will be selected on a monthly basis from a list of 27 possible Futures Contracts. The Futures Contracts that at any given time make up the Commodity Index are referred to herein as Benchmark Component Futures Contracts. It is not the intent of USCI to be operated in a fashion such that its NAV will reflect the percentage change of the price of any particular futures contract as measured over a time period greater than one day. USCI believes that it is not practical to manage the portfolios to achieve such an investment goal when investing in Futures Contracts and Other Commodity-Related Investments.|N|0|N|N|416A|USA|US|COMMODITIES_AND_FUTURES|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||0.0|57.85|0.0|57.27|0.0|57.27|57.22|57.39|0.0|0.0|0.0|57.65|57.22|57.35|0.0|0.0|57.21|57.27|0.0|57.27|54.46|60.41|57.18|57.33|57.16|57.25|57.17|57.33|57.18|57.33|57.16|57.25|61.0725|51.36|13123|4467098 75824|USCL|USCL|46436E155|US46436E1551|iShares Climate Conscious & Transition MSCI USA ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN5-8|TXN11-3|TXN6-2|TXN5-4|43430000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|53.94|0.0|0.0|0.0|0.0|0.0|0.0|53.94|0.0|0.0|53.78|53.99|53.78|53.99|53.77|53.99|53.77|53.99|53.87|53.93|54.23|48.39|22|42732974 72973|USCT|USCT|G88935112|KYG889351121|Roth CH Acquisition Co|ORD SHS CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN5-4|TXN10-8|TXN6-3|TXN6-1|7790000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|10.92|0.0|0.0|0.0|10.92|0.0|0.0|0.0|0.0|10.92|0.0|10.92|0.0|0.0|0.0|0.0|10.92|0.0|10.92|0.0|0.0|0.0|0.0|10.9|10.95|0.0|0.0|0.0|0.0|10.9|10.95|11.42|10.265|3842|6872708 72151|USCTU|USCTU|G88935104|KYG889351048|Roth CH Acquisition Co|UNITS||R|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN6-8|TXN14-1|TXN5-2|TXN5-2|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.94|0.0|0.0|0.0|0.0|10.94|11.1|10.94|0.0|0.0|0.0|0.0|10.85|12.02|0.0|0.0|0.0|0.0|10.89|12.02|11.8|10.1|204|25092 72974|USCTW|USCTW|G88935120|KYG889351204|Roth CH Acquisition Co|WT EXP||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-2|TXN5-5|TXN11-8|TXN5-3|TXN6-1|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.05|0.0|0.0|0.0|0.0|0.05|0.0|0.05|0.0|0.0|0.0|0.0|0.0|0.08|0.0|0.0|0.0|0.0|0.035|0.05|0.32|0.0003|5000|3389762 18914|USD|USD|74347R669|US74347R6696|ProShares Trust|ProShares Ultra Semiconductors|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ProShares Advisors |IMC Chicago, LLC, DBA IMC Financial Markets|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-8|TXN3-6|TXN8-7|TXN4-1|TXN2-7|7260000|||Quarterly|||||2008-11-12||USD.NV|USD.SO|USD.EU|USD.TC|USD.IV| | | | | | | | | |2x|ProShares Ultra Semiconductors seeks daily investment results, before fees and expenses, that correspond to twice (200%) the daily performance of the Dow Jones U.S. Semiconductors Index. This ETF seeks a return of 200% of the return of an index (target) for a single day. Due to the compounding of daily returns, returns over periods other than one day will likely differ in amount and possibly direction from the target return for the same period. Investors should monitor their ProShares holdings consistent with their strategies, as frequently as daily. For more on correlation, leverage and other risks, please read the prospectus. The Dow Jones U.S. Semiconductor Index measures the performance of the semiconductor industry of the U.S. equity market. Component companies are engaged in the production of semiconductors and other integrated chips, as well as other related products such as circuit boards and motherboards. It is not possible to invest directly in an index.|N|0|N|N|416A|USA|US|EQUITY|LEVERAGED|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||0.0|43.2|0.0|0.0|43.03|43.21|43.1999|42.21|0.0|0.0|43.18|43.04|43.19|45.844|44.28|43.1|44.85|43.27|0.0|43.27|42.97|43.36|33.37|52.22|43.16|43.17|43.0|43.45|43.0|43.45|43.16|43.17|48.82|15.4973|195363|31426991 43303|USDU|USDU|97717W471|US97717W4713|WisdomTree Trust|WisdomTree Bloomberg U.S. Dollar Bullish Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||WisdomTree|Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-4|TXN4-7|TXN5-8|TXN2-8|TXN4-8|8950000|||Yearly|||||2013-12-18||USDU.NV|USDU.SO|USDU.EU|USDU.TC|USDU.IV| | | | | | | | | ||The WisdomTree Bloomberg U.S. Dollar Bullish Fund (USDU) is an actively managed exchange traded fund that seeks to provide total returns, before expenses, that exceed the performance of the Index. The Index tracks changes in the value of the U.S. dollar against a basket of developed and emerging market currencies which (i) are deemed to have the highest liquidity in the currency markets and (ii) represent countries that make the largest contribution to trade flows with the United States. The Index also considers the impact of short-term interest rate differences inherent in achieving such exposure by incorporating the net interest rate differential between the short-term interest rates in the U.S. and the countries of those leading currencies and the daily federal funds rate. The Index is structured to potentially benefit from a general rise in the level of the U.S. dollar relative to the basket of global currencies.|N|0|N|N|406C|USA|US|CURRENCY|ACTIVE|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||27.34|27.34|0.0|0.0|27.33|27.34|27.345|27.34|0.0|0.0|27.34|27.34|27.345|27.34|27.38|27.36|0.0|27.33|27.34|27.33|27.33|28.67|25.55|29.09|27.33|27.35|27.33|28.67|0.0|0.0|27.33|27.39|28.57|25.37|226573|68061066 75664|USE|USE|90290T874|US90290T8743|USCF ETF Trust|USCF Energy Commodity Strategy Absolute Return Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||United States Commodity Funds |Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN3-5|TXN6-4|TXN2-8|TXN3-3|100000|||Quarterly|||||2023-05-04||USE.NV|USE.SO|USE.EU|USE.TC|USE.IV| | | | | | | | | ||The USCF Energy Commodity Strategy Absolute Return Fund is an actively managed exchange-traded fund (ETF). The Fund seeks long-term total return by using a proprietary methodology to invest in and allocate among energy-related derivative instruments based upon oil, petroleum, natural gas, and other energy-related derivative instruments.|N|0|N|N|416A|USA|US|COMMODITIES_AND_FUTURES|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|35.28|0.0|0.0|0.0|35.7|0.0|0.0|0.0|38.88|0.0|0.0|0.0|0.0|0.0|35.786|0.0|35.786|35.68|35.85|35.7|35.83|35.75|35.78|35.68|35.84|35.69|35.84|35.75|35.78|38.88|29.6231|226|33807 74246|USEA|USEA|Y92335101|MHY923351016|United Maritime Corp|COM USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN6-2|TXN10-7|TXN6-5|TXN6-2|8710000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||GRC||||50|5020|502060|50206030|Industrials|Industrial 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LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-5|TXN3-8|TXN2-3|TXN2-5|TXN4-8|245850000|||NotApplicable|||||2016-05-26||||||| | | | | | | | | |||N|0|Y|Y|118C|USA|US|||45|4510|451020|45102020|Consumer Staples |Food, Beverage and Tobacco |Food Producers|Food Products|N||N||||||Y|0|Y||Y|1|||44.22|44.23|0.0|44.04|44.21|44.245|44.22|44.22|0.0|0.0|44.23|44.24|44.215|44.22|44.235|44.21|44.24|44.21|44.24|44.21|44.21|44.23|41.29|44.24|44.19|44.27|44.18|44.25|44.19|44.26|44.21|44.23|44.52|33.68|1149675|453183023 76056|USFI|USFI|35473P413|US35473P4138|BrandywineGLOBAL - U.S. Fixed Income 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LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-6|TXN4-7|TXN1-5|TXN2-4|TXN1-6|366977500|||Monthly|||||2014-02-04||USFR.NV|USFR.SO|USFR.EU|USFR.TC|USFR.IV| | | | | | | | | |1x|The WisdomTree Bloomberg Floating Rate Treasury Fund (the Fund) seeks to track the price and yield performance, before fees and expenses, of an index that measures the performance of the market for floating rate public obligations of the U.S. Treasury.|N|0|N|N|406C|USA|US|FIXED_INCOME|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||50.33|50.33|0.0|50.33|50.33|50.33|50.33|50.33|0.0|0.0|50.33|50.33|50.335|50.335|50.33|50.33|50.335|50.33|50.32|50.33|50.32|50.34|50.33|50.4|50.33|50.34|50.32|50.34|50.27|50.4|50.33|50.34|50.52|50.2|5435662|950891605 75630|USGO|USGO|90291W108|US90291W1080|US GoldMining Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN6-6|TXN12-8|TXN6-6|TXN5-6|12400000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||55|5510|551020|55102000|Basic Materials|Basic Resources|Industrial Metals and Mining|General Mining|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|7.0|7.065|0.0|0.0|0.0|0.0|0.0|6.97|0.0|0.0|0.0|0.0|7.0|0.0|7.0|0.0|0.0|0.0|0.0|6.58|7.38|0.0|0.0|0.0|0.0|6.97|7.1|17.24|4.91|8096|8037249 75631|USGOW|USGOW|90291W116|US90291W1163|US GoldMining Inc|WT EXP||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN5-7|TXN14-8|TXN5-1|TXN6-8|12400000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y|D|||||0.0|0.0|0.0|0.0|0.0|2.8|0.0|0.0|0.0|0.0|0.0|0.0|2.67|0.0|0.0|0.0|0.0|2.7|0.0|2.7|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|2.3|2.7|4.8|0.5501|1357|2555123 59943|USHY|USHY|46435U853|US46435U8532|iShares Broad USD High Yield Corporate Bond ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-1|TXN4-7|TXN3-3|TXN3-4|TXN2-1|298750000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||35.6|35.61|0.0|0.0|35.6|35.6|35.6|35.6|0.0|0.0|35.6|35.6|35.61|35.6|35.6|35.6|35.61|35.61|35.61|35.61|33.78|37.27|33.16|37.89|35.6|35.61|33.78|37.28|34.78|36.37|35.6|35.61|36.23|33.765|3946437|1320184511 18781|USIG|USIG|464288620|US4642886208|iShares Broad USD Investment Grade Corporate Bond|CREDIT BOND||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN6-5|TXN11-3|TXN5-3|TXN5-6|194800000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||49.665|49.66|0.0|49.64|49.67|49.665|49.665|49.665|0.0|0.0|49.66|49.66|49.68|49.66|49.665|49.665|49.67|49.67|49.665|49.68|49.63|52.18|46.22|52.96|49.65|49.78|49.63|52.18|49.63|0.0|49.65|49.68|51.77|46.7|1043622|245094518 50480|USIO|USIO|917313108|US9173131080|Usio Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN6-4|TXN13-2|TXN6-1|TXN6-1|26310000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502050|50205015|Industrials|Industrial Goods and Services|Industrial Support Services|Transaction Processing Services|N||N||||||Y|0|Y||||||0.0|1.77|0.0|0.0|1.77|1.77|1.78|1.8|0.0|0.0|1.75|1.75|1.74|1.8|0.0|1.77|0.0|1.78|0.0|1.78|0.0|0.0|0.0|0.0|1.66|1.85|0.0|0.0|0.0|0.0|1.74|1.78|2.37|1.32|36337|8069135 26450|USL|USL|91288V103|US91288V1035|United States 12 Month Oil Fund, LP|United States 12 Month Oil Fund, LP|Limited partnership|ETV|N|N|P|Y|Y|Y|Y|Y||||||||United States Commodity Funds |Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-8|TXN3-7|TXN8-3|TXN2-5|TXN1-3|2050000|||NotApplicable|||||2008-11-25|2099-05-31|USL.NV|USL.SO| | |USL.IV| | | | | | | | | |1x|The United States 12 Month Oil Fund, LP (USL) is an exchange-traded security designed to track the changes in the price of oil, as measured by the changes in the average of the prices of 12 futures contracts on crude oil traded on the NYMEX, that is the near month contract to expire and the contracts for the following eleven months, for a total of 12 consecutive months contracts. The investment objective of US12OF is for the daily changes in percentage terms of its units per unit net asset value (NAV) to reflect the daily changes in percentage terms of the spot price of light, sweet crude oil delivered to Cushing, Oklahoma, as measured by the daily changes in the average of the prices of 12 futures contracts for light, sweet crude oil traded on the New York Mercantile Exchange (the NYMEX), consisting of the near month contract to expire and the contracts for the following 11 months, for a total of 12 consecutive months contracts, except when the near month contract is within two weeks of expiration, in which case it will be measured by the futures contract that is the next month contract to expire and the contracts for the following 11 consecutive months (the Benchmark Oil Futures Contracts), less US12OFs expenses. When calculating thedaily movement of the average price of the 12 contracts, each contract month will be equally weighted. It is not the intent of US12OF to be operated in a fashion such that the per unit NAV will equal, in dollar terms, the spot price of light, sweet crude oil or any particular futures contract based on light, sweet crude oil. It is not the intent of US12OF to be operated in a fashion such that its per unit NAV will reflect the percentage change of the price of any particular futures contract as measured over a time period greater than one day.|N|0|N|N|416A|USA|US|COMMODITIES_AND_FUTURES|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||36.13|36.51|0.0|0.0|36.07|35.75|36.125|37.51|0.0|0.0|36.0|0.0|36.5|36.211|0.0|0.0|0.0|36.1159|36.13|36.1159|34.09|38.1|36.03|36.15|36.07|36.11|36.07|36.11|36.07|36.17|36.07|36.11|41.08|29.7|14030|4414348 4230|USLM|USLM|911922102|US9119221029|United States Lime & Minerals Inc|COM USD.1||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN6-6|TXN10-4|TXN6-1|TXN6-5|5700000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5010|501010|50101035|Industrials|Construction and Materials|Construction and Materials |Building Materials: Other|N||N||||||N|0|Y||||||217.0|218.135|0.0|0.0|217.46|218.57|218.63|218.095|0.0|0.0|217.6|0.0|218.62|0.0|217.34|0.0|0.0|218.63|216.64|218.62|210.09|226.38|0.0|0.0|210.7|225.23|216.8|0.0|0.0|0.0|217.21|218.96|226.47|129.29|27129|1907543 9784|USM|USM|911684108|US9116841084|United States Cellular Corporation|Common Shares|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|O|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN3-3|TXN7-8|TXN3-7|TXN2-2|52000000|||Adhoc|||||2008-09-15||||||| | | | | | | | | |||N|0|N|Y|306A|USA|US|||15|1510|151020|15102015|Telecommunications|Telecommunications|Telecommunications Service Providers |Telecommunications Services|N||N||||||N|0|Y||Y|2|||43.71|43.66|0.0|43.68|43.65|43.66|43.64|43.65|0.0|0.0|43.74|43.8|43.645|43.72|43.81|43.68|43.74|43.63|43.83|43.68|43.63|43.68|34.08|53.7|43.31|44.07|43.5|43.8|43.51|43.68|43.63|43.68|47.944|13.79|298276|87422028 59838|USMC|USMC|74255Y870|US74255Y8701|Principal Exchange-Traded Funds Principal US Mega-Cap ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN6-6|TXN13-8|TXN5-8|TXN6-5|43180000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|45.08|0.0|0.0|45.03|45.09|45.09|45.09|0.0|0.0|45.05|0.0|45.09|44.91|0.0|0.0|0.0|45.08|0.0|45.09|45.05|45.1|34.37|55.94|45.05|45.1|44.98|45.26|44.9|45.26|45.05|45.09|45.4553|35.5|61669|16320196 58933|USMF|USMF|97717Y857|US97717Y8571|Wisdomtree US Multifactor Fund ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-4|TXN2-7|TXN5-5|TXN4-1|TXN4-4|5780000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||0.0|41.12|0.0|0.0|41.13|0.0|41.12|0.0|0.0|0.0|0.0|0.0|41.03|40.28|0.0|40.97|0.0|41.12|41.15|41.12|40.95|41.01|41.05|41.15|41.05|41.16|41.05|41.16|41.05|41.16|41.05|41.16|41.15|35.4|10500|6511588 69044|USML|USML|90278V701|US90278V7010|UBS AG|ETRACS 2x Leveraged MSCI US Minimum Volatility Factor TR ETN|Operating company|ETN|N|N|P|Y|Y|Y|Y|Y||||||||UBS|IMC Chicago, LLC, DBA IMC Financial Markets|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN3-1|TXN7-8|TXN4-8|TXN4-8|1000000|||NotApplicable|||||2021-02-05|2051-02-09|USML.NV|USML.SO|USML.EU|USML.TC|USML.IV| | | | | | | | | |2x|ETRACS 2x Leveraged MSCI US Minimum Volatility Factor TR ETN is an exchange-traded note issued in the USA. It provides 2 times leveraged long exposure to the compounded quarterly performance of the total return version of the MSCI USA Minimum Volatility GR USD. The underlying index is designed to optimize the MSCI USA Index for the lowest absolute volatility with a certain set of constraints. The MSCI USA Index is designed to measure the performance of the large and mid-cap segments of the U.S. equity market. The Securities are senior unsecured debt securites.|N|0|N|N|416A|GBR|CH|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|29.9267|0.0|29.9267|0.0|0.0|0.0|0.0|29.85|29.98|28.78|30.97|0.0|0.0|29.85|29.98|30.1145|24.9551|3|30552 38946|USMV|USMV|46429B697|US46429B6974|iShares MSCI USA Min Vol Factor ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-5|TXN1-1|TXN1-2|TXN2-2|TXN1-3|355900000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||76.85|76.84|0.0|0.0|76.84|76.84|76.84|76.85|0.0|0.0|76.85|76.85|76.84|76.85|76.86|76.86|76.85|76.84|76.85|76.84|76.84|76.85|76.8|76.9|76.84|76.85|76.83|76.88|76.75|76.9|76.84|76.85|77.03|68.77|2648223|743935443 4232|USNA|USNA|90328M107|US90328M1071|USANA Health Sciences, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN1-1|TXN6-8|TXN3-7|TXN4-2|19130000|||Adhoc|||||2011-01-03||||||| | | | | | | | | |||N|0|N|Y|120A|USA|US|||45|4510|451020|45102020|Consumer Staples |Food, Beverage and Tobacco |Food Producers|Food Products|N||N||||||Y|0|Y||Y|2|||47.99|48.02|0.0|48.09|48.12|48.21|48.02|48.02|0.0|0.0|48.1|48.18|48.02|48.11|48.13|48.04|47.06|48.03|46.935|48.04|48.04|48.08|36.83|59.93|47.67|48.61|37.97|57.76|47.91|48.19|48.04|48.08|69.6|44.01|55095|16049653 74219|USNZ|USNZ|23306X209|US23306X2099|DBX ETF Trust|Xtrackers Net Zero Pathway Paris Aligned US Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||DBX Advisors|Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-7|TXN4-1|TXN1-5|TXN4-4|TXN4-8|5350001|||Quarterly|||||2022-06-28||USNZ.NV|USNZ.SO|USNZ.EU|USNZ.TC|USNZ.IV| | | | | | | | | ||Fund will aim to track the underlying index, which aims to provide exposure to US equities aligned with the Paris Agreement and consistent with the Net Zero Investment Framework|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||N|2|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|29.5647|0.0|29.5647|29.51|29.58|29.46|29.53|29.53|29.59|0.0|0.0|0.0|0.0|29.53|29.59|29.72|24.0972|0|1422078 16583|USO|USO|91232N207|US91232N2071|United States Oil Fund, LP|Shares of United States Oil Fund, LP|Limited partnership|ETV|N|N|P|Y|Y|Y|Y|Y||||||||United States Commodity Funds |Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-8|TXN2-5|TXN7-4|TXN1-4|TXN2-1|20220000|||NotApplicable|||||2008-11-25||USO.NV|USO.SO| | |USO.IV| | | | | | | | | |1x|The United States Oil Fund, LP (USO) is an exchange-traded security designed to track the changes in the price of oil, as measured by the changes in the price of the futures contract on light, sweet crude oil traded on NYMEX, that is the near month contract to expire. The investment objective of USOF is for the daily changes in percentage terms of its units NAV to reflect the daily changes in percentage terms of the spot price of light, sweet crude oil delivered to Cushing, Oklahoma, as measured by the daily changes in the price of the futures contract on light, sweet crude oil as traded on the New York Mercantile Exchange (the NYMEX) that is the near month contract to expire, except when the near month contract is within two weeks of expiration, in which case it will be measured by the futures contract that is the next month contract to expire (the Benchmark Oil Futures Contract), less USOFs expenses. It is not the intent of USOF to be operated in a fashion such that its per unit NAV will equal, in dollar terms, the spot price of light, sweet crude oil or any particular futures contract based on light, sweet crude oil. It is not the intent of USOF to be operated in a fashion such that its NAV will reflect the percentage change of the price of anyparticular futures contract as measured over a time period greater than one day. USOF may invest in interests other than the Benchmark Oil Futures Contract to comply with accountability levels and position limits. |N|0|N|N|416A|USA|US|COMMODITIES_AND_FUTURES|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||68.49|68.49|0.0|68.5|68.48|68.49|68.495|68.48|0.0|0.0|68.48|68.49|68.49|68.49|68.43|68.49|68.49|68.47|68.49|68.47|68.38|68.7|68.28|68.68|68.48|68.5|68.28|68.68|67.12|69.86|68.48|68.5|83.29|57.83|5103958|851839462 57170|USOI|USOI|22539U602|US22539U6029|Credit Suisse AG Credit Suisse X-Links Crude Oil Shares Covered Call ETN|ETN||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN6-2|TXN12-7|TXN6-4|TXN6-4|920000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||BHS||||||||||||N||N||||||N|0|Y||||||0.0|71.85|0.0|72.19|71.8|71.74|71.875|71.86|0.0|0.0|72.31|71.37|72.0|72.006|0.0|0.0|71.87|71.87|0.0|72.0|68.11|75.8|71.81|72.0|71.81|72.0|71.81|72.08|71.81|72.08|71.86|72.0|87.11|70.065|78167|13513355 4234|USPH|USPH|90337L108|US90337L1089|U.S. Physical Therapy, Inc|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|J|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN2-3|TXN5-8|TXN1-7|TXN3-8|14990000|||Quarterly|||||2012-08-14||||||| | | | | | | | | |||N|0|N|Y|122A|USA|US|||20|2010|201010|20101010|Health Care |Health Care |Health Care Providers|Health Care Facilities|N||N||||||Y|0|Y||Y|2|||87.55|87.39|0.0|87.53|87.22|87.58|87.545|87.68|0.0|0.0|87.22|87.62|87.55|87.12|87.22|87.77|87.22|87.77|87.11|87.77|87.68|87.77|67.45|108.57|86.63|88.53|87.27|88.18|87.68|88.14|87.68|87.77|124.11|78.08|92983|21163421 53238|USPX|USPX|35473P405|US35473P4054|Franklin Templeton ETF Trust|Franklin U.S. Equity Index ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Franklin Advisors|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-7|TXN1-5|TXN6-5|TXN3-7|TXN4-1|23750000|||Quarterly|||||2016-06-03||FLQG.NV|FLQG.SO|FLQG.EU|FLQG.TC|FLQG.IV| | | | | | | | | |1x|The Funds investment goal is to seek to provide investment results that closely correspond, before fees and expenses, to the performance of the LibertyQ Global Equity Index.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||0.0|39.9|0.0|0.0|40.06|40.04|40.03|40.06|0.0|0.0|0.0|0.0|40.06|0.0|0.0|40.02|0.0|40.03|0.0|40.03|0.0|0.0|0.0|0.0|40.02|40.06|40.0|40.1|40.0|40.1|40.02|40.06|40.3|32.65|22579|12472836 24456|USRT|USRT|464288521|US4642885218|iShares Trust|iShares Core U.S. REIT ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-2|TXN4-7|TXN3-8|TXN1-3|TXN2-2|41650000|||Quarterly|||||2007-05-04||USRT.NV|USRT.SO|USRT.EU|USRT.TC|USRT.IV| | | | | | | | | |1x|The FTSE NAREIT Equity REITs Index is a free float-adjusted market capitalization-weighted index designed to measure performance of U.S. listed equity REITs, excluding timber REITs, infrastructure REITs and mortgage REITs.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||51.45|51.69|0.0|0.0|51.69|51.7|51.69|51.7|0.0|0.0|51.71|51.41|51.69|51.43|51.51|51.69|51.51|51.72|51.41|51.72|51.69|51.77|51.54|51.87|51.69|51.72|51.54|51.79|51.54|51.87|51.69|51.72|56.7499|43.76|501348|72973073 76226|USSE|USSE|81580H449|US81580H4496|Segall Bryant & Hamill Trust|Segall Bryant & Hamill Select Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y|||||||||GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-8|TXN1-6|TXN7-8|TXN4-4|TXN4-8|1480000|||Yearly|||||2023-08-30||||||| | | | | | | | | |||N|0|N|N|416A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|25.51|0.0|0.0|0.0|0.0|25.5|0.0|0.0|0.0|0.0|0.0|25.515|0.0|0.0|0.0|0.0|25.51|0.0|25.51|0.0|0.0|25.48|25.51|25.49|25.53|0.0|0.0|0.0|0.0|25.49|25.53|25.65|23.3688|26494|2339360 63137|USSG|USSG|233051150|US2330511500|DBX ETF Trust|Xtrackers MSCI USA ESG Leaders Equity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||DBX Advisors|RBC Capital Markets, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN4-1|TXN8-2|TXN4-3|TXN3-1|31950001|||Quarterly|||||2019-03-07||USSG.NV|USSG.SO|USSG.EU|USSG.TC|USSG.IV| | | | | | | | | |1x|Fund will aim to track the underlying index, which aims to provide access to US equities that demonstrate better exposure to Environmental, Social, & Governance standards than their peers.|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|1|||42.44|42.46|0.0|0.0|42.44|42.47|42.5099|42.55|0.0|0.0|42.5|42.4|42.47|42.33|42.5|42.45|42.51|42.5645|0.0|42.5645|42.54|45.2|39.79|45.2|42.54|42.59|39.79|45.2|0.0|0.0|42.54|42.59|42.8525|34.2202|296090|65309991 9786|UST|UST|74347R180|US74347R1804|ProShares Trust|ProShares Ultra 7-10 Year Treasury|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ProShares Advisors |IMC Chicago, LLC, DBA IMC Financial Markets|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-7|TXN4-5|TXN5-8|TXN1-2|TXN4-6|365000|||Quarterly|||||2010-01-21||UST.NV|UST.SO|UST.EU|UST.TC|UST.IV| | | | | | | | | |2x|ProShares Ultra 7-10 Year Treasury (UST) seeks daily investment results, before fees and expenses and interest income earned on cash and financial instruments, that correspond to twice (200%) the daily performance of the Barclays Capital 7-10 Year U.S. Treasury Bond Index. The Index includes all publicly issued, U.S. Treasury securities that have a remaining maturity of between 7 and 10 years, are non-convertible, are denominated in U.S. dollars, are rated (at least Baa3 by Moodys Investors Service or BBB- by S&P), are fixed rate, and have more than $250 million par outstanding.|N|0|N|N|416A|USA|US|FIXED_INCOME|LEVERAGED|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||43.31|43.09|0.0|0.0|43.12|43.09|43.09|43.12|0.0|0.0|43.09|43.3|43.09|43.12|43.09|43.111|0.0|43.2412|0.0|43.2412|43.17|43.31|43.17|43.55|43.17|43.31|43.17|43.31|43.17|43.55|43.17|43.31|51.37|38.91|10903|2546818 59944|USTB|USTB|92647N535|US92647N5352|VictoryShares Short-Term Bond ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN5-7|TXN14-3|TXN6-2|TXN6-6|10950000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||49.26|49.23|0.0|0.0|49.26|49.23|49.2398|49.225|0.0|0.0|49.23|0.0|49.24|49.23|0.0|49.23|0.0|49.23|0.0|49.24|45.83|52.6|45.83|52.6|49.22|49.26|45.83|52.6|0.0|0.0|49.22|49.24|49.6|48.37|100664|12919322 59947|USVM|USVM|92647N568|US92647N5683|VictoryShares US Small Mid Cap Value Momentum ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN6-6|TXN11-3|TXN5-5|TXN6-8|3300000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||69.17|69.25|0.0|0.0|69.17|0.0|69.1|68.94|0.0|0.0|69.24|0.0|69.23|68.95|0.0|68.94|0.0|69.1|69.24|69.23|69.22|0.0|0.0|0.0|69.22|69.75|0.0|0.0|0.0|69.37|69.22|69.37|69.86|59.91|9413|1362245 75505|USVN|USVN|74933W528|US74933W5287|US Treasury 7 Year Note ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN5-3|TXN13-3|TXN6-7|TXN6-2|70000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|47.7145|0.0|0.0|0.0|0.0|0.0|0.0|47.7145|47.69|47.73|0.0|0.0|47.69|47.73|47.69|47.75|0.0|0.0|47.7|47.73|50.7753|45.865|2|58763 71653|USVT|USVT|90386H370|US90386H3701|Ultimus Managers Trust|U.S. Value ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Lyrical Asset Management LP|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN2-4|TXN8-8|TXN1-7|TXN4-8|225000|||Yearly|||||2021-09-14||USVT.NV|USVT.SO|USVT.EU|USVT.TC| | | | | | | | | | |1x|The Lyrical U.S. Value Index (the Index), developed by Lyrical Asset Management LP (the Adviser), seeks to create a passively managed proxy for deep value investing by using propriety investment screens to identify 200 stocks from a universe of potential investment candidates of the cheapest quintile (e.g., bottom one-fifth) of the top 1,000 US stocks by market capitalization, based on one year forward median analyst projected price to earnings ratio, per FactSet Research Systems Inc. (FactSet). Cheapest is defined as the lowest projected forward price-to-earnings ratio for the next twelve months (NTM P/E). The NTM P/E is determined using the greater of the non-GAAP or GAAP median consensus estimate of forward price-to-earnings ratio available as of each quarter-end. Each stock in the cheapest quintile is then equally weighted as compared to other stocks within the Index. As a result, it is anticipated that the Index will be comprised primarily of mid-capitalization US companies.|N|0|N|N|408A|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|28.21|0.0|0.0|0.0|27.04|26.1401|0.0|0.0|0.0|0.0|0.0|28.21|0.0|0.0|0.0|0.0|28.3143|0.0|28.3143|0.0|0.0|0.0|0.0|28.28|28.34|25.29|42.34|0.0|0.0|28.29|28.34|29.79|23.7|1614|710159 66761|USXF|USXF|46436E767|US46436E7673|iShares Trust iShares ESG Advanced MSCI USA ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN5-4|TXN11-6|TXN6-4|TXN5-8|20450000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||37.65|37.65|0.0|0.0|37.71|37.72|37.7|37.7|0.0|0.0|37.68|0.0|37.75|37.65|37.65|37.65|37.65|37.7|0.0|37.75|28.73|46.77|28.73|46.77|37.7|37.77|28.73|46.77|0.0|0.0|37.7|37.75|37.97|30.0111|88897|13464583 74387|UTEN|UTEN|74933W536|US74933W5360|US Treasury 10 Year Note ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN6-3|TXN11-2|TXN5-8|TXN5-1|2840000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||0.0|0.0|0.0|0.0|43.77|43.695|43.77|43.76|0.0|0.0|43.72|43.72|43.75|43.77|0.0|43.69|0.0|43.77|43.77|43.75|43.75|43.79|33.69|53.9|43.75|43.77|43.75|43.78|0.0|0.0|43.75|43.77|47.57|41.43|51762|6236765 51268|UTES|UTES|26923G806|US26923G8069|ETFis Series Trust I|Virtus Reaves Utilities ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Virtus ETF Advisers |Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-8|TXN2-8|TXN9-8|TXN1-8|TXN2-5|1050004|||Quarterly|||||2016-10-24||UTES.NV|UTES.SO|UTES.EU|UTES.TC|UTES.IV| | | | | | | | | ||The investment seeks to provide total return through a combination of capital appreciation and income. Under normal market conditions, the fund invests not less than 80% of its total assets in equity securities of companies in the Utility Sector (Utility Sector Companies). The manager considers a company to be a Utility Sector Company if the company is a utility or if at least 50% of the companys assets or customers are committed to, or at least 50% of the companys revenues, gross income or profits derive from, the provision of products, services or equipment for the generation or distribution of electricity, gas or water. The fund is non-diversified.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|44.79|0.0|0.0|0.0|44.79|44.7958|44.795|0.0|0.0|0.0|0.0|44.79|0.0|0.0|0.0|0.0|44.6104|0.0|44.6104|41.52|47.78|0.0|0.0|44.56|44.64|41.52|47.78|0.0|0.0|44.56|44.64|49.2925|38.82|11091|731880 9790|UTF|UTF|19248A109|US19248A1097|Cohen & Steers Infrastructure Fund, Inc.|Common Shares, $0.001 par value|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN4-4|TXN2-7|TXN1-8|TXN3-7|93720000|||Monthly|||||2004-03-26||||||| | | | | | | | | |||N|0|N|N|406B|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||22.06|22.06|0.0|0.0|22.09|22.04|22.07|22.09|0.0|0.0|22.06|22.05|22.06|21.96|0.0|22.07|22.06|22.06|0.0|22.07|22.05|22.07|17.25|27.31|20.71|23.46|22.04|22.1|22.03|22.09|22.05|22.07|26.19|18.15|257113|46409042 9791|UTG|UTG|756158101|US7561581015|Reaves Utility Income Fund|Common Shares of Beneficial Interest|Closed end fund|P|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-6|TXN4-7|TXN8-6|TXN1-4|TXN1-2|72970000|||Monthly|||||2004-02-25||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||0.0|26.83|0.0|0.0|26.85|26.85|26.85|26.82|0.0|0.0|26.8|26.9|26.84|26.84|26.81|0.0|26.85|26.85|26.83|26.85|25.27|28.09|26.83|26.85|26.75|27.0|26.81|26.87|26.83|26.85|26.83|26.85|30.71|23.24|244934|56159179 4239|UTHR|UTHR|91307C102|US91307C1027|United Therapeutics Corp|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN5-1|TXN11-4|TXN6-2|TXN5-4|46990000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||USA||||20|2010|201030|20103015|Health Care |Health Care |Pharmaceuticals and Biotechnology|Pharmaceuticals |N||N||||||Y|0|Y||||||0.0|239.95|0.0|239.84|239.33|240.58|239.965|239.925|0.0|0.0|239.93|240.03|239.94|240.55|239.69|239.69|241.18|239.8|239.42|239.94|237.85|242.15|223.52|253.69|237.98|241.94|239.45|240.29|239.72|239.97|239.8|239.97|283.09|204.44|258269|91080276 75506|UTHY|UTHY|74933W551|US74933W5519|US Treasury 30 Year Bond ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN6-4|TXN10-3|TXN5-8|TXN6-8|110000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|44.47|44.32|0.0|0.0|0.0|0.0|0.0|44.4458|0.0|0.0|0.0|0.0|44.47|0.0|44.4458|44.41|0.0|0.0|0.0|44.41|44.48|44.41|0.0|0.0|0.0|44.41|44.46|52.1458|39.96|5080|379006 9793|UTI|UTI|913915104|US9139151040|Universal Technical Institute, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN2-1|TXN8-8|TXN4-3|TXN1-1|34070000|||NotApplicable|||||2003-12-17||||||| | | | | | | | | |||N|0|N|Y|180B|USA|US|||40|4020|402010|40201010|Consumer Discretionary|Consumer Products and Services|Consumer Services |Education Services|N||N||||||Y|0|Y||Y|2|||11.94|11.97|0.0|11.88|11.94|11.95|11.97|11.95|0.0|0.0|11.97|11.89|11.96|11.95|11.68|11.96|11.78|11.94|11.94|11.96|11.93|11.94|9.26|14.4|11.88|11.98|11.9|14.4|11.91|12.03|11.93|11.94|12.04|5.57|243362|26186680 9795|UTL|UTL|913259107|US9132591077|Unitil Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN4-4|TXN2-8|TXN1-6|TXN2-2|16100000|||Quarterly|||||2008-08-21||||||| | | | | | | | | |||N|0|N|Y|300A|USA|US|||65|6510|651010|65101015|Utilities|Utilities|Electricity|Conventional Electricity|N||N||||||Y|0|Y||Y|2|||49.17|50.02|0.0|49.64|50.06|50.02|50.03|49.93|0.0|0.0|50.04|49.98|50.05|50.23|44.605|50.08|48.92|50.12|50.2|50.08|50.04|50.12|37.94|60.88|49.72|50.27|39.12|59.59|50.04|50.37|50.04|50.12|60.59|41.43|65577|15845554 4241|UTMD|UTMD|917488108|US9174881089|Utah Medical Products Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN6-8|TXN13-2|TXN6-8|TXN6-5|3630000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201020|20102015|Health Care |Health Care |Medical Equipment and Services|Medical Supplies|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|84.085|0.0|0.0|0.0|84.51|0.0|84.19|0.0|0.0|0.0|0.0|84.085|0.0|84.19|81.46|86.9|0.0|0.0|81.88|86.71|0.0|0.0|0.0|0.0|83.52|84.85|109.5|75.0|8442|2402691 75507|UTRE|UTRE|74933W494|US74933W4942|US Treasury 3 Year Note ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN5-7|TXN13-6|TXN6-3|TXN5-1|70000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|48.9439|0.0|0.0|0.0|0.0|0.0|48.98|0.0|0.0|0.0|0.0|48.9439|0.0|48.98|48.96|49.0|0.0|0.0|48.97|49.0|48.96|49.0|0.0|0.0|48.97|48.99|50.47|48.22|1605|145817 61812|UTRN|UTRN|301505749|US3015057496|Exchange Traded Concepts Trust|Vesper U.S. Large Cap Short-Term Reversal Strategy ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Exchange Traded Concepts|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-7|TXN4-8|TXN9-8|TXN1-1|TXN2-7|1300000|||Yearly|||||2018-09-21||UTRN.NV|UTRN.SO|UTRN.EU|UTRN.TC|UTRN.IV| | | | | | | | | |1x|TheVesper US Large Cap Short-Term Reversal Strategy ETF (the Fund) seeks to provide investment results that,before fees and expenses, track the price and yield performance of the Vesper US Large Cap Short-Term Reversal Index(the Index). |N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|23.4935|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|23.5449|0.0|23.5449|23.5|23.69|0.0|0.0|23.48|23.58|23.48|23.59|0.0|0.0|23.48|23.58|25.7|21.59|4071|2184831 72116|UTRS|UTRS|60343F205|US60343F2056|Minerva Surgical Inc|COM USD0.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN6-6|TXN14-5|TXN6-4|TXN6-8|8880000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||N|0|Y||||||2.44|2.17|0.0|0.0|2.02|2.23|2.2347|2.43|0.0|0.0|2.23|2.23|2.24|2.317|2.13|0.0|0.0|2.24|0.0|2.24|1.69|2.82|1.69|2.82|2.1|2.42|1.69|2.82|0.0|0.0|2.2|2.3|3.8599|0.149886|88488|370305591 4242|UTSI|UTSI|G9310A122|KYG9310A1224|Utstarcom Holdings Corp|COM USD.00125||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN6-5|TXN10-7|TXN5-3|TXN6-1|9070000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||15|1510|151010|15101010|Telecommunications|Telecommunications|Telecommunications Equipment|Telecommunications Equipment|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|3.48|3.615|0.0|0.0|0.0|0.0|0.0|3.42|0.0|0.0|0.0|0.0|3.53|0.0|3.53|3.2|3.89|0.0|0.0|3.2|3.89|2.83|4.44|0.0|0.0|3.37|3.7|5.025|3.1|6247|812288 57226|UTSL|UTSL|25460E711|US25460E7114|Direxion Shares ETF Trust|Direxion Daily Utilities Bull 3X Shares|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Direxion Shares|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-4|TXN3-6|TXN9-6|TXN1-2|TXN2-2|2050001|||Quarterly|||||2017-05-03||UTSL.NV|UTSL.SO|UTSL.EU|UTSL.TC|UTSL.IV| | | | | | | | | |3x|The Fund seeks daily investment results, before fees andexpenses, of 300% of the daily performance of the Utilities Select Sector Index|N|0|N|N|416A|USA|US|EQUITY|LEVERAGED|||||||||N||N||||||N|0|Y||Y|2|||21.2|21.2|0.0|20.53|21.2|21.06|21.05|20.99|0.0|0.0|21.12|21.55|21.05|21.2|21.21|21.42|0.0|21.04|21.2|21.04|20.91|21.18|16.61|21.12|21.04|21.06|20.96|21.14|20.96|21.14|21.04|21.06|38.26|14.11|89820|27668034 74388|UTWO|UTWO|74933W486|US74933W4868|US Treasury 2 Year Note ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN6-6|TXN14-8|TXN6-3|TXN6-8|7580000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||0.0|48.05|0.0|0.0|0.0|48.065|48.0697|48.055|0.0|0.0|48.06|48.06|48.07|0.0|48.05|48.06|48.06|48.065|48.06|48.07|48.06|48.07|48.0|0.0|48.06|48.07|48.06|48.08|48.0|0.0|48.06|48.07|49.565|47.67|101741|20942035 75508|UTWY|UTWY|74933W544|US74933W5444|US Treasury 20 Year Bond ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN5-3|TXN13-3|TXN6-2|TXN5-7|420000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|45.22|0.0|0.0|0.0|45.34|45.34|0.0|0.0|0.0|0.0|45.22|45.3454|0.0|0.0|0.0|0.0|45.34|0.0|45.3454|0.0|0.0|0.0|0.0|45.29|45.37|0.0|0.0|0.0|0.0|45.33|45.37|51.77|41.55|16698|988492 62466|UTZ|UTZ|918090101|US9180901012|Utz Brands, Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-7|TXN1-2|TXN8-5|TXN4-3|TXN1-7|81140000|||Quarterly|||||2018-11-26||||||| | | | | | | | | |||N|0|N|Y|408A|USA|KY|||45|4510|451020|45102020|Consumer Staples |Food, Beverage and Tobacco |Food Producers|Food Products|N||N||||||Y|0|Y||Y|2|||13.9|13.905|0.0|13.9|13.9|13.915|13.9|13.9|0.0|0.0|13.91|13.91|13.9|13.92|13.97|13.9|13.91|13.905|13.935|13.9|13.9|13.92|10.83|17.01|13.88|13.96|13.88|13.94|13.87|13.95|13.9|13.92|19.105|11.17|705982|125126011 19268|UUP|UUP|46141D203|US46141D2036|Invesco DB US Dollar Index Trust|Invesco DB US Dollar Index Bullish Fund|Trust|ETV|N|N|P|Y|Y|Y|Y|Y||||||||Invesco|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN4-4|TXN6-6|TXN1-7|TXN4-6|18400040|||Yearly|||||2008-11-25||UUP.NV|UUP.SO|UUP.EU|UUP.TC|UUP.IV| | | | | | | | | |1x|The PowerShares DB US Dollar Bullish Fund (Symbol: UUP) is based on the Deutsche Bank Long US Dollar Index (USDX) Futures Index (DB Long USD Futures Index). The Index, which is managed by DB Commodity Services LLC, is a rules-based index composed solely of long USDX futures contracts. The USDX futures contract is designed to replicate the performance of being long the US Dollar against the following currencies: Euro, Japanese Yen, British Pound, Canadian Dollar, Swedish Krona and Swiss Franc.|N|0|N|N|416A|USA|US|CURRENCY|INDEX|||||||||N||N||||||Y|0|Y||Y|1|||29.34|29.34|0.0|29.3|29.34|29.335|29.335|29.34|0.0|0.0|29.335|29.34|29.34|29.35|29.36|29.335|29.34|29.33|29.35|29.33|29.28|29.34|29.33|29.34|29.33|29.34|29.33|29.34|28.74|29.48|29.33|29.34|30.165|27.22|2271836|511062108 9800|UUU|UUU|913821302|US9138213023|Universal Security Instruments, Inc|Common Stock|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Brendan E. Cryan and Company, L.L.C.|CRYN|0235|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-8|TXN3-5|TXN9-8|TXN2-6|TXN3-1|2310000|||NotApplicable|||||2003-07-28||||||| | | | | | | | | |||N|0|N|N|180A|USA|US|||40|4020|402020|40202025|Consumer Discretionary|Consumer Products and Services|Household Goods and Home Construction|Household Equipment and Products|N||N||||||N|0|Y||Y|2|||2.4|2.17|0.0|0.0|2.16|2.15|2.17|0.0|0.0|0.0|2.17|2.16|2.16|2.27|0.0|0.0|2.18|2.18|0.0|2.18|2.08|2.24|2.15|2.18|2.13|2.24|2.08|2.26|2.08|2.26|2.15|2.18|5.2|1.5|33699|33029682 39493|UUUU|UUUU|292671708|CA2926717083|Energy Fuels Inc.|Common Shares|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-6|TXN2-4|TXN3-6|TXN1-4|TXN2-5|161250000|||NotApplicable|||||2013-12-04||||||| | | | | | | | | |||N|0|N|N|310A|USA|CA|||55|5510|551020|55102050|Basic Materials|Basic Resources|Industrial Metals and Mining|Nonferrous Metals|N||N||||||Y|0|Y||Y|2|||7.755|7.75|0.0|7.76|7.75|7.76|7.7509|7.755|0.0|0.0|7.76|7.77|7.78|7.795|7.77|7.76|7.79|7.79|7.755|7.79|7.74|7.78|7.75|7.77|7.75|7.78|7.38|8.22|7.75|7.76|7.75|7.77|9.025|4.85|2688036|467244144 15300|UVE|UVE|91359V107|US91359V1070|Universal Insurance Holdings, Inc.|Common Stock, $.01 Par Value|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-7|TXN4-3|TXN8-7|TXN3-2|TXN2-5|29190000|||Quarterly|||||2013-12-03||||||| | | | | | | | | |||N|0|N|Y|410A|USA|US|||30|3030|303020|30302025|Financials|Insurance|Non-life Insurance|Property and Casualty Insurance|N||N||||||Y|0|Y||Y|2|||16.829|16.76|0.0|16.89|16.9|16.89|16.895|16.88|0.0|0.0|16.79|16.83|16.895|16.829|16.79|16.9|16.89|16.91|16.81|16.9|16.9|16.91|13.04|20.87|16.75|17.01|16.88|16.94|16.87|16.94|16.9|16.91|20.15|9.13|171750|65009399 73796|UVIX|UVIX|92891H507|US92891H5072|2x Long Vix Futures ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN1-5|TXN3-4|TXN2-1|TXN1-7|4380000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||17.48|17.44|0.0|0.0|17.42|17.41|17.41|17.46|0.0|0.0|17.41|17.42|17.41|17.41|17.41|17.42|17.38|17.44|17.44|17.44|17.38|17.41|17.29|17.51|17.38|17.4|17.29|17.51|0.0|0.0|17.39|17.4|45.82|2.6|3335111|1901955200 4245|UVSP|UVSP|915271100|US9152711001|Univest Financial Corp|COM USD5.0||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN6-8|TXN14-7|TXN5-6|TXN6-8|29510000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||||||0.0|19.82|0.0|19.53|19.8|19.83|19.81|19.81|0.0|0.0|19.85|19.83|19.81|0.0|0.0|19.78|0.0|19.81|0.0|19.81|19.64|20.01|15.24|24.09|19.67|19.99|19.76|19.87|19.75|19.83|19.81|19.83|29.0499|16.1|117256|24663101 9803|UVV|UVV|913456109|US9134561094|Universal Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN4-6|TXN1-5|TXN2-5|TXN1-1|24560000|||Quarterly|||||1927-11-11||||||| | | | | | | | | |||N|0|N|Y|152A|USA|US|||45|4510|451030|45103010|Consumer Staples |Food, Beverage and Tobacco |Tobacco|Tobacco|N||N||||||Y|0|Y||Y|2|||57.25|59.35|0.0|58.59|59.36|59.39|59.32|59.32|0.0|0.0|59.39|59.33|59.31|57.42|59.17|59.33|55.35|59.32|59.36|59.33|59.33|59.34|45.7|71.9|59.2|59.48|59.24|59.41|59.21|59.43|59.33|59.34|59.439|44.4|155841|28631924 38888|UVXY|UVXY|74347Y771|US74347Y7711|ProShares Ultra VIX Short-Term Futures ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN3-2|TXN5-3|TXN4-2|TXN1-5|38970000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||9.96|9.98|0.0|0.0|9.96|9.96|9.9569|9.96|0.0|0.0|9.96|9.96|9.96|9.97|9.96|9.96|9.96|9.98|9.95|9.98|9.95|9.96|9.85|10.02|9.95|9.96|9.94|10.01|0.0|0.0|9.95|9.96|22.95|1.97|20425600|8222333328 18859|UWM|UWM|74347R842|US74347R8429|ProShares Trust|ProShares Ultra Russell 2000|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ProShares Advisors |Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-4|TXN4-7|TXN6-2|TXN1-2|TXN4-6|5550000|||Quarterly|||||2008-11-12||UWM.NV|UWM.SO|UWM.EU|UWM.TC|UWM.IV| | | | | | | | | |2x|ProShares Ultra Russell2000 seeks daily investment results, before fees and expenses, that correspond to twice (200%) the daily performance of the Russell 2000 Index. This ETF seeks a return of 200% of the return of an index (target) for a single day. Due to the compounding of daily returns, returns over periods other than one day will likely differ in amount and possibly direction from the target return for the same period. Investors should monitor their ProShares holdings consistent with their strategies, as frequently as daily. For more on correlation, leverage and other risks, please read the prospectus. The Russell 2000 Index consists of 2,000 of the smallest U.S.-domiciled, publicly traded common stocks included in the Russell 3000 Index.|N|0|N|N|416A|USA|US|EQUITY|LEVERAGED|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||33.11|33.085|0.0|0.0|33.1|33.105|33.1011|33.11|0.0|0.0|33.09|33.11|33.08|33.05|32.41|33.1|32.91|33.07|33.105|33.07|33.08|33.11|33.09|33.18|33.09|33.1|32.99|33.18|32.44|33.78|33.09|33.1|40.21|25.12|1114471|217218734 65811|UWMC|UWMC|91823B109|US91823B1098|UWM Holdings Corporation|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-5|TXN2-5|TXN8-7|TXN3-6|TXN3-4|93650000|||Quarterly|||||2021-01-22||||||| | | | | | | | | |||N|0|Y|Y|400A|USA|US|||30|3020|302010|30201025|Financials|Financial Services |Finance and Credit Services|Mortgage Finance|N||N||||||Y|0|Y||Y|1|||5.73|5.73|0.0|5.74|5.74|5.73|5.731|5.73|0.0|0.0|5.73|5.73|5.735|5.76|5.76|5.73|5.74|5.731|5.75|5.73|5.73|5.74|5.36|6.14|5.73|5.75|5.7|5.77|5.7|5.77|5.73|5.74|6.98|3.23|740984|256733881 65812|UWMC WS|UWMC.WS|91823B117|US91823B1171|UWM Holdings Corporation|Warrants, each exercisable for one share of Class A Common Stock at an exercise price of $11.50 per share|Operating company|C|N|N|N|Y|Y|Y|Y|Y|5|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN4-8|TXN4-7|TXN9-8|TXN4-1|TXN3-8|93650000|||NotApplicable|||||2021-01-22|9999-01-01|||||| | | | | | | | | |||N|0|N|N|400A|USA|US|||||||||||N||N||||||N|0|Y||N||||0.0|0.0|0.0|0.0|0.0|0.1693|0.16|0.0|0.0|0.0|0.1649|0.1649|0.16|0.0|0.0|0.16|0.0|0.16|0.0|0.16|0.16|0.17|0.0|0.0|0.1494|0.1813|0.0|0.0|0.0|0.0|0.132|0.178|0.366|0.109649|21071|8557527 18911|UXI|UXI|74347R727|US74347R7272|ProShares Trust|ProShares Ultra Industrials|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ProShares Advisors |IMC Chicago, LLC, DBA IMC Financial Markets|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN1-7|TXN5-8|TXN2-2|TXN1-4|680000|||Quarterly|||||2008-11-12||UXI.NV|UXI.SO|UXI.EU|UXI.TC|UXI.IV| | | | | | | | | |2x|ProShares Ultra Industrials seeks daily investment results, before fees and expenses, that correspond to twice (200%) the daily performance of the Dow Jones U.S. Industrials Index. This ETF seeks a return of 200% of the return of an index (target) for a single day. Due to the compounding of daily returns, returns over periods other than one day will likely differ in amount and possibly direction from the target return for the same period. Investors should monitor their ProShares holdings consistent with their strategies, as frequently as daily. For more on correlation, leverage and other risks, please read the prospectus. The Dow Jones U.S. Industrials Index measures the performance of the industrial economic sector of the U.S. equity market. Component companies include building materials, heavy construction, factory equipment, heavy machinery, industrial services, pollution control, containers and packaging, industrial diversified, air freight, marine transportation, railroads, trucking, land-transportation equipment, shipbuilding, transportation services, advanced industrial equipment, electric components and equipment, and aeorspace. It is not possible to invest directly in an index.|N|0|N|N|416A|USA|US|EQUITY|LEVERAGED|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||26.1|26.27|0.0|0.0|0.0|0.0|26.06|26.1|0.0|0.0|0.0|0.0|25.94|26.09|0.0|0.0|0.0|26.2445|0.0|26.2445|0.0|0.0|0.0|0.0|26.19|26.32|21.34|30.04|0.0|0.0|26.19|26.32|28.11|20.31|123882|1252187 61191|UXIN|UXIN|91818X207|US91818X2071|Uxin Limited|ADR||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-6|TXN5-6|TXN14-8|TXN5-2|TXN6-1|1370140000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||40|4040|404010|40401030|Consumer Discretionary|Retail |Retailers |Specialty Retailers |N||N||||||Y|0|Y|D|||||0.94|0.97|0.0|0.0|0.97|0.9711|0.9898|0.97|0.0|0.0|0.97|0.944|0.97|0.0|0.0|0.98|0.95|0.9898|0.0|0.97|0.912|1.04|0.7523|1.19|0.9506|1.01|0.912|1.04|0.0|0.0|0.97|0.99|3.92|0.8|268019|57055167 18909|UYG|UYG|74347X633|US74347X6334|ProShares Trust|ProShares Ultra Financials|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ProShares Advisors |Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-7|TXN3-3|TXN3-7|TXN2-1|TXN1-4|11157750|||Quarterly|||||2010-04-15||UYG.NV|UYG.SO|UYG.EU|UYG.TC|UYG.IV| | | | | | | | | |2x|ProShares Ultra Financials seeks daily investment results, before fees and expenses, that correspond to twice (200%) the daily performance of the Dow Jones U.S. Financials Index. This ETF seeks a return of 200% of the return of an index (target) for a single day. Due to the compounding of daily returns, returns over periods other than one day will likely differ in amount and possibly direction from the target return for the same period. Investors should monitor their ProShares holdings consistent with their strategies, as frequently as daily. For more on correlation, leverage and other risks, please read the prospectus. The Dow Jones U.S. Financials Index measures the performance of the financials industry of the U.S. equity market. Component companies include banks; insurance companies and brokers; real estate companies, including REITs, real estate holding and development companies, and real estate services companies; financial services companies, including asset managers, consumer finance companies, specialty finance companies, investment services providers, mortgage finance providers, corporate closed-end investment entities such as investment trusts and venture capital trusts; and non-corporate, open-ended investment instruments such as open-ended investment companies and funds, unit trusts, ETFs, currency funds and split capital trusts. It is not possible to invest directly in an index.|N|0|N|N|416A|USA|US|EQUITY|LEVERAGED|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||50.81|50.81|0.0|0.0|50.87|50.52|50.87|0.0|0.0|0.0|50.7|50.7|50.83|50.77|0.0|50.69|50.79|50.81|0.0|50.81|50.6|51.06|38.38|62.72|50.8|50.87|50.79|50.88|50.6|51.06|50.8|50.87|54.59|37.887|58884|6585877 74782|UYLD|UYLD|03463K752|US03463K7524|Angel Oak Funds Trust|Angel Oak UltraShort Income ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Angel Oak|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-6|TXN4-5|TXN2-8|TXN3-3|TXN4-8|2100000|||Monthly|||||2022-10-25||UYLD.NV|UYLD.SO|UYLD.EC|UYLD.TC| | | | | | | | | | ||The Angel Oak UltraShort Income ETF seeks to provide current income while seeking to minimize price volatility and maintain liquidity. In pursuing its investment objective, the ETF will, under normal circumstances, invest in securities which cause the Fund to have a dollar-weighted average maturity of less than two years and a dollar-weighted average duration of less than one year. The Fund invests primarily in agency and non-agency residential mortgage-backed securities (RMBS), asset-backed securities (ABS), including securities backed by assets such as credit card receivables, student loans, automobile loans, and residential and commercial real estate, collateralized loan obligations (CLOs), collateralized debt obligations (CDOs), collateralized mortgage obligations (CMOs), and other debt securitizations; corporate debt and other debt securities; and U.S. Treasury and U.S. government agency securities.|N|0|N|N|416A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|50.55|50.55|0.0|0.0|0.0|0.0|50.55|0.0|0.0|50.53|0.0|50.54|0.0|50.54|0.0|0.0|0.0|0.0|50.52|50.56|0.0|0.0|0.0|0.0|50.52|50.56|53.8|50.1767|4241|2428419 18906|UYM|UYM|74347R776|US74347R7769|ProShares Trust|ProShares Ultra Materials|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ProShares Advisors |Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-5|TXN4-2|TXN1-8|TXN2-5|TXN3-1|1650000|||Quarterly|||||2008-11-12||UYM.NV|UYM.SO|UYM.EU|UYM.TC|UYM.IV| | | | | | | | | |2x|ProShares Ultra Basic Materials seeks daily investment results, before fees and expenses, that correspond to twice (200%) the daily performance of the Dow Jones U.S. Basic Materials Index. This ETF seeks a return of 200% of the return of an index (target) for a single day. Due to the compounding of daily returns, returns over periods other than one day will likely differ in amount and possibly direction from the target return for the same period. Investors should monitor their ProShares holdings consistent with their strategies, as frequently as daily. For more on correlation, leverage and other risks, please read the prospectus. The Dow Jones U.S. Basic Materials Index measures the performance of the basic materials economic sector of the U.S. equity market. Component companies are involved in the production of aluminum, commodity chemicals, specialty chemicals, forest products, non-ferrous metals, paper products, precious metals and steel. It is not possible to invest directly in an index.|N|0|N|N|416A|USA|US|EQUITY|LEVERAGED|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||23.14|22.47|0.0|0.0|23.1|23.15|23.1343|23.15|0.0|0.0|23.13|21.95|23.06|23.07|23.13|23.15|0.0|23.12|23.1|23.12|22.58|23.54|0.0|0.0|23.02|23.09|23.02|23.09|22.94|23.12|23.02|23.09|26.24|19.01|15329|3285096 67285|UZD|UZD|911684702|US9116847024|United States Cellular Corporation|6.250% Senior Notes due 2069|Operating company|G|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN3-3|TXN5-8|TXN3-3|TXN4-6|20000000|||Quarterly|||||2020-08-19|2069-09-01|||||| | | | | | | | | |||N|0|N|N|306A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||19.39|19.21|0.0|0.0|19.39|19.29|19.2|19.28|0.0|0.0|19.29|19.29|19.29|0.0|0.0|19.34|0.0|19.29|19.38|19.34|19.2|19.35|15.01|23.93|19.16|19.68|15.01|23.93|19.2|19.35|19.2|19.35|20.2431|13.4|45550|12177352 68494|UZE|UZE|911684801|US9116848014|United States Cellular Corporation|5.500% Senior Notes due 2070|Operating company|G|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN1-5|TXN4-8|TXN1-2|TXN2-1|20000000|||Quarterly|||||2020-12-15|2070-03-01|||||| | | | | | | | | |||N|0|N|N|306A||US|||||||||||N||N||||||N|0|Y||Y|2|||17.46|17.32|0.0|0.0|17.25|17.29|17.26|17.255|0.0|0.0|17.47|16.71625|17.31|17.32|0.0|17.3|0.0|17.25|17.4|17.3|17.24|17.31|13.53|21.27|17.1|17.67|13.53|21.27|0.0|0.0|17.25|17.65|18.73|12.01|58465|11562188 70729|UZF|UZF|911684884|US9116848840|United States Cellular Corporation|5.500% Senior Notes due 2070|Operating company|G|N|N|N|Y|Y|Y|Y|Y|6|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN1-7|TXN1-5|TXN2-3|TXN1-5|20000000|||Quarterly|||||2021-05-26|2070-06-01|||||| | | | | | | | | |||N|0|N|N|306A||US|||||||||||N||N||||||N|0|Y||Y|2|||17.12|17.25|0.0|0.0|17.12|17.12|17.185|17.085|0.0|0.0|17.12|0.0|17.12|17.07|17.24|17.12|0.0|17.12|0.0|17.12|17.12|17.19|13.34|21.16|16.78|17.54|13.34|21.16|0.0|0.0|17.12|17.19|18.9243|12.02|56603|8721621 27530|V|V|92826C839|US92826C8394|Visa Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN1-7|TXN3-3|TXN2-6|TXN1-8|1580680000|||Quarterly|||||2008-03-19||||||| | | | | | | | | |||Y|1|Y|Y|408A|USA|US|||50|5020|502050|50205015|Industrials|Industrial Goods and Services|Industrial Support Services|Transaction Processing Services|N||N||||||Y|0|Y||Y|1|||254.44|254.43|0.0|254.43|254.41|254.415|254.406|254.45|0.0|0.0|254.41|254.44|254.39|254.48|254.43|254.44|254.42|254.406|254.44|254.44|254.4|254.44|239.57|271.9|254.32|254.67|254.25|254.58|254.26|254.6|254.4|254.44|257.385|202.13|5247450|1392395689 15303|VABK|VABK|928031103|US9280311039|Virginia National Bankshares Corp|COM USD2.5||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN6-8|TXN14-3|TXN5-6|TXN5-1|5370000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||||||0.0|37.3|0.0|0.0|0.0|37.0|37.76|0.0|0.0|0.0|37.6|37.0|37.7|0.0|0.0|0.0|0.0|37.2|0.0|37.7|35.61|39.62|0.0|0.0|35.8|38.69|0.0|0.0|0.0|0.0|36.93|37.8|41.74|24.96|10183|3627906 69128|VABS|VABS|92790A603|US92790A6038|Virtus ETF Trust II|Virtus Newfleet ABS/MBS ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Virtus ETF Advisers |Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-6|TXN2-8|TXN9-8|TXN3-1|TXN4-8|450004|||Monthly|||||2021-02-10||VABS.NV|VABS.SO|VABS.EU|VABS.TC|VABS.IV| | | | | | | | | |1x|Actively managed focused on Asset Backed Securities|N|0|N|N|416A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|23.33|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|23.535|0.0|23.535|23.51|23.56|0.0|0.0|23.52|23.56|23.51|23.56|0.0|0.0|23.52|23.55|23.62|22.89|1|209646 39020|VAC|VAC|57164Y107|US57164Y1073|Marriott Vacations Worldwide Corporation|Common Stock par value $0.01 per share|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|R|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-7|TXN1-4|TXN6-4|TXN3-6|TXN3-1|35520000|||Quarterly|||||2011-11-08||||||| | | | | | | | | |||N|0|Y|Y|128A|USA|US|||40|4050|405010|40501025|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Hotels and Motels |N||N||||||Y|0|Y||Y|1|||77.12|77.12|0.0|77.12|77.09|77.13|77.12|77.11|0.0|0.0|77.11|77.12|77.11|77.065|78.47|77.1|77.05|77.09|77.08|77.1|77.08|77.12|72.52|81.43|76.63|77.62|76.97|77.26|77.08|77.24|77.08|77.12|165.85|72.78|765779|108008960 70455|VAL|VAL|G9460G101|BMG9460G1015|Valaris Limited|Common shares|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|A|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN4-8|TXN7-7|TXN1-6|TXN1-6|72900000|||NotApplicable|||||2021-05-03||||||| | | | | | | | | |||N|0|N|Y|134F|BMU|GB|||60|6010|601010|60101030|Energy|Energy|Oil, Gas and Coal|Oil Equipment and Services|N||N||||||Y|0|Y||Y|2|||68.77|68.64|0.0|68.5|68.62|68.63|68.62|68.615|0.0|0.0|68.66|68.64|68.66|68.62|68.66|68.68|68.76|68.64|68.72|68.68|68.64|68.68|53.4|85.02|68.51|68.77|55.04|83.74|68.64|68.68|68.64|68.68|80.0|54.13|403073|209942992 70456|VAL WS|VAL.WS|G9460G119|BMG9460G1197|Valaris Limited|Warrants|Operating company|C|N|N|N|Y|Y|Y|Y|Y|5|A|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN2-4|TXN3-8|TXN1-2|TXN3-4|73100000|||NotApplicable|||||2021-05-03|2028-04-29|||||| | | | | | | | | |||N|0|N|N|134F|BMU|GB|||||||||||N||N||||||N|0|Y||N||||0.0|0.0|0.0|0.0|0.0|11.9|11.47|0.0|0.0|0.0|0.0|0.0|11.5|0.0|0.0|11.5|0.0|11.5|0.0|11.5|11.4|11.79|0.0|0.0|11.38|12.26|0.0|0.0|0.0|0.0|11.4|11.59|15.5|8.0|4403|3021735 8931|VALE|VALE|91912E105|US91912E1055|Vale S.A.|American Depositary Shares (Each representing one Common Share)|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-6|TXN2-3|TXN6-6|TXN4-4|TXN4-4|4539010000|||BiAnnually|||||2002-03-21||||||| | | | | | | | | |||N|0|N|Y|130D|BRA|BR|||55|5510|551020|55102010|Basic Materials|Basic Resources|Industrial Metals and Mining|Iron and Steel|N||N||||||Y|0|Y||Y|2|||14.81|14.8|0.0|14.82|14.81|14.81|14.805|14.81|0.0|0.0|14.81|14.81|14.8|14.81|14.81|14.8|14.815|14.805|14.81|14.8|14.8|14.81|11.71|18.11|14.8|14.81|14.74|14.88|14.79|14.82|14.8|14.81|19.31|12.22|28980034|5161661599 70501|VALN|VALN|92025Y103|US92025Y1038|Valneva SE|ADS||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN6-6|TXN14-4|TXN5-1|TXN6-5|138900000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||FRA||||20|2010|201030|20103015|Health Care |Health Care |Pharmaceuticals and Biotechnology|Pharmaceuticals |N||N||||||N|0|Y|D|||||0.0|0.0|0.0|0.0|0.0|0.0|11.475|0.0|0.0|0.0|0.0|0.0|11.06|0.0|0.0|0.0|0.0|11.475|0.0|11.475|11.02|11.47|0.0|0.0|11.02|11.47|0.0|0.0|0.0|0.0|11.02|11.47|17.05|9.07|3049|1686433 60409|VALQ|VALQ|025072208|US0250722081|American Century ETF Trust|American Century U.S. Quality Value ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||American Century Investments|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN2-4|TXN1-5|TXN1-4|TXN4-7|4050000|||Quarterly|||||2018-01-16||VALQ.NV|VALQ.SO|VALQ.EU|VALQ.TC|VALQ.IV| | | | | | | | | |1x|The underlying index is constructed using a rules-based methodology that screens and weights stocks based on fundamental measures of quality, value and income. A quality screen seeks to eliminate the bottom of the universe of stocks based on measures of profitability, earnings quality, management quality and earnings estimate revisions. A valuation score is computed for the remaining stocks, determined by the attractiveness of each stock relative to its peers in the same industry group based on value, earnings yield and cash flow yield metrics. |N|0|N|N|406B|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|51.21|0.0|0.0|0.0|50.52|0.0|51.27|0.0|0.0|0.0|0.0|51.363|0.0|51.363|40.6|61.59|51.26|51.33|51.33|51.38|40.6|61.59|0.0|0.0|51.33|51.38|51.363|45.46|43168|1736547 4247|VALU|VALU|920437100|US9204371002|Value Line Inc|COM USD.1||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN6-2|TXN13-2|TXN6-3|TXN6-8|9430000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302010|30201030|Financials|Financial Services |Finance and Credit Services|Financial Data Providers|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|45.3|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|42.24|48.42|0.0|0.0|0.0|0.0|44.06|46.56|62.09|32.071|892|681979 50602|VAMO|VAMO|132061888|US1320618887|Cambria Value and Momentum ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-8|TXN4-1|TXN8-8|TXN2-5|TXN4-6|2350000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|27.03|0.0|0.0|0.0|0.0|26.99|0.0|0.0|0.0|0.0|0.0|26.99|0.0|0.0|0.0|0.0|27.03|0.0|27.03|0.0|0.0|0.0|0.0|26.84|27.26|0.0|0.0|0.0|0.0|27.03|27.11|28.1|23.73|14244|5596196 48899|VANI|VANI|92854B109|US92854B1098|Vivani Medical Inc|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-2|TXN5-3|TXN10-3|TXN6-4|TXN6-3|51030000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201020|20102015|Health Care |Health Care |Medical Equipment and Services|Medical Supplies|N||N||||||Y|0|Y||||||0.0|0.95|0.0|0.0|0.969|0.0|0.952|0.99|0.0|0.0|0.94|0.0|0.95|0.0|0.0|0.0|0.0|0.952|0.0|0.95|0.9025|1.05|0.0|0.0|0.931|1.01|0.744|1.14|0.0|0.0|0.95|0.99|1.89|0.7536|10685|11312378 62299|VAPO|VAPO|922107305|US9221073052|Vapotherm, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|D|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN2-2|TXN1-5|TXN2-2|TXN3-4|6140000|||NotApplicable|||||2018-11-14||||||| | | | | | | | | |||N|0|N|Y|122A|USA|US|||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||N|2|Y||Y|2|||2.52|2.38|0.0|0.0|2.52|2.45|2.39|2.52|0.0|0.0|2.46|2.46|2.45|0.0|0.0|2.39|0.0|2.38|3.09|2.39|2.37|2.5|1.88|3.08|2.32|2.55|2.24|2.65|0.0|0.0|2.37|2.5|4.1|0.34|26959|40232276 69593|VAQC|VAQC|G9460A104|KYG9460A1040|Vector Acquisition Corp II|UNITS||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN5-5|TXN11-4|TXN5-4|TXN6-2|16260000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|8.31|12.69|0.0|0.0|10.52|10.79|8.31|12.69|0.0|0.0|10.52|10.58|11.86|10.0|0|14610672 38408|VATE|VATE|45784J105|US45784J1051|INNOVATE Corp.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN3-1|TXN5-8|TXN1-6|TXN2-3|79240000|||NotApplicable|||||2017-05-16||||||| | | | | | | | | |||N|0|N|Y|306A|USA|US|||50|5020|502030|50203000|Industrials|Industrial Goods and Services|General Industrials|Diversified Industrials|N||N||||||Y|0|Y||Y|2|||1.04|1.05|0.0|0.0|1.055|1.04|1.06|1.055|0.0|0.0|1.08|1.09|1.05|1.09|0.0|1.06|1.09|1.05|1.05|1.06|1.04|1.05|0.832|1.28|1.03|1.07|1.02|1.07|1.01|1.08|1.04|1.05|3.53|0.97|164508|73012930 9814|VAW|VAW|92204A801|US92204A8018|Vanguard World Funds|Vanguard Materials ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Vanguard|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-6|TXN3-1|TXN2-6|TXN1-8|TXN4-7|14199091|||Quarterly|||||2008-09-19||VAW.NV|VAW.SO|VAW.EU|VAW.TC|VAW.IV| | | | | | | | | |1x|Vanguard Materials ETF is an exchange-traded share class of Vanguard Materials Index Fund, which employs a passive managementor indexinginvestment approach designed to track the performance of the MSCI US Investable Market Materials Index, an index of stocks of large, medium, and small U.S. companies in the materials sector, as classified under the Global Industry Classification Standard (GICS). This GICS sector is made up of companies in a wide range of commodity-related manufacturing industries. Included within this sector are companies that manufacture chemicals, construction materials, glass, paper, forest products, and related packaging products, as well as metals, minerals, and mining companies, including producers of steel. The fund attempts to replicate the target index by investing all, or substantially all, of its assets in the stocks that make up the index, holding each stock in approximately the same proportion as its weighting in the index. The fund also may sample its target index by holding stocks that, in the aggregate, are intended to approximate the index in terms of key characteristics, such as price/earnings ratio, earnings growth, and dividend yield. Typically, the fund will use a sampling strategy only if regulatory constraints or other considerations prevent it from replicating the index.|N|0|N|N|406C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||181.39|181.5|0.0|0.0|181.42|181.5|181.34|181.38|0.0|0.0|181.5|182.84|181.33|181.29|181.37|181.5|0.0|181.38|181.47|181.38|180.99|181.71|180.96|181.74|181.28|181.36|180.95|181.74|181.15|181.74|181.27|181.35|189.76|162.48|46270|18322897 72352|VAXX|VAXX|92244V104|US92244V1044|Vaxxinity Inc|COM CL A USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-8|TXN6-4|TXN12-7|TXN6-3|TXN6-3|112870000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y|C|||||0.8001|0.8104|0.0|0.8|0.81|0.8128|0.8001|0.8128|0.0|0.0|0.8001|0.8001|0.8098|0.787|0.8044|0.80305|0.7994|0.8001|0.7772|0.8098|0.7654|0.8445|0.64|0.996|0.795|0.8399|0.7755|0.8428|0.7735|0.8417|0.8001|0.8076|4.47|0.7235|479120|56206886 9816|VB|VB|922908751|US9229087518|Vanguard Index Funds|Vanguard Small-Cap ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Vanguard|Latour Trading, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-3|TXN3-6|TXN2-4|TXN4-1|TXN1-5|232672484|||Quarterly|||||2008-09-19||VB.NV|VB.SO|VB.EU|VB.TC|VB.IV| | | | | | | | | |1x|Vanguard small cap ETF is an exchange-traded share class of Vanguard small cap Index Fund, which employs a passive managementor indexinginvestment approach designed to track the performance of the MSCI US small cap 1750 Index, a broadly diversified index of stocks of smaller U.S. companies. The fund attempts to replicate the target index by investing all, or substantially all, of its assets in the stocks that make up the index, holding each stock in approximately the same proportion as its weighting in the index.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||201.29|201.27|0.0|0.0|201.26|201.31|201.3042|201.28|0.0|0.0|201.3|201.31|201.31|201.3|201.3|201.29|194.23|201.31|200.95|201.31|201.25|201.66|188.5|213.02|201.25|201.31|200.98|201.59|201.1|201.55|201.25|201.31|210.0|174.84|1263019|139577451 9817|VBF|VBF|46132L107|US46132L1070|Invesco Bond Fund|Common Stock|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN4-3|TXN7-8|TXN2-5|TXN1-7|11420000|||Monthly|||||1971-01-29||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||15.71|15.55|0.0|0.0|15.62|15.5|15.8|15.71|0.0|0.0|15.45|0.0|15.65|0.0|15.74|15.72|0.0|15.81|0.0|15.72|15.6|15.83|11.81|19.09|14.61|16.88|11.81|19.09|0.0|0.0|15.6|16.43|16.9597|13.68|22629|6618507 4256|VBFC|VBFC|92705T200|US92705T2006|Village Bank and Trust Financial Corp|COM USD4.||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN6-2|TXN14-7|TXN6-2|TXN6-6|1490000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|41.8|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|38.11|44.72|0.0|0.0|0.0|0.0|39.7|43.0|64.17|37.64|38|148285 3162|VBIV|VBIV|91822J202|CA91822J2020|VBI Vaccines Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-2|TXN5-2|TXN14-6|TXN6-6|TXN6-1|23690000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||0.64|0.62|0.0|0.0|0.64|0.62|0.629534|0.6321|0.0|0.0|0.6312|0.0|0.615|0.0|0.0|0.64|0.0|0.615|0.0|0.615|0.57|0.6707|0.504|0.744|0.5978|0.6452|0.5793|0.6627|0.0|0.0|0.61|0.632|4.45|0.099|96982|204222605 9818|VBK|VBK|922908595|US9229085959|Vanguard Index Funds|Vanguard Small-Cap Growth ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Vanguard|Latour Trading, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-3|TXN3-1|TXN1-7|TXN1-4|TXN2-3|63334102|||Quarterly|||||2008-09-19||VBK.NV|VBK.SO|VBK.EU|VBK.TC|VBK.IV| | | | | | | | | |1x|Vanguard small cap Growth ETF is an exchange-traded share class of Vanguard small cap Growth Index Fund, which employs a passive managementor indexinginvestment approach designed to track the performance of the MSCI US small cap Growth Index, a broadly diversified index of growth stocks of smaller U.S. companies. The fund attempts to replicate the target index by investing all, or substantially all, of its assets in the stocks that make up the index, holding each stock in approximately the same proportion as its weighting in the index.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||226.45|226.45|0.0|0.0|226.51|226.56|226.45|226.24|0.0|0.0|226.47|225.68|226.45|226.54|226.47|226.54|225.06|226.38|224.54|226.38|226.01|226.92|210.0|240.85|226.39|226.48|226.07|226.78|226.07|226.78|226.4|226.49|240.76|195.0401|270485|51381985 46171|VBND|VBND|26922A602|US26922A6029|ETF Series Solutions|Vident U.S. Bond Strategy ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Vident Financial|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN4-7|TXN8-8|TXN2-7|TXN1-8|9200000|||Monthly|||||2018-03-06||VBND.NV|VBND.SO|VBND.EU|VBND.TC|VBND.IV| | | | | | | | | |1x|The Vident Core US Bond Strategy ETF (the Fund) seeks to provide investment results that,before fees and expenses, track the price and yield performance of the Vident Core US Bond Index(the Index). |N|0|N|N|416A|USA|US|FIXED_INCOME|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||42.46|43.11|0.0|0.0|0.0|43.01|43.075|42.73|0.0|0.0|0.0|0.0|0.0|43.02|0.0|0.0|0.0|43.1|0.0|43.1|42.45|43.49|0.0|0.0|43.02|43.11|39.9|45.92|0.0|0.0|43.02|43.11|44.46|40.76|17846|4784646 71773|VBNK|VBNK|92512J106|CA92512J1066|VersaBank|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN5-3|TXN12-8|TXN5-2|TXN6-4|25920000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CAN||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||||||0.0|8.01|0.0|0.0|0.0|8.01|8.04|0.0|0.0|0.0|8.04|0.0|8.07|0.0|0.0|0.0|0.0|8.04|0.0|8.04|0.0|0.0|0.0|0.0|7.8|8.08|0.0|0.0|0.0|0.0|7.8|8.08|9.02|6.365|8728|4358525 10190|VBR|VBR|922908611|US9229086114|Vanguard Index Funds|Vanguard Small-Cap Value ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Vanguard|Latour Trading, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-8|TXN1-2|TXN9-3|TXN3-2|TXN1-6|148999973|||Quarterly|||||2008-09-19||VBR.NV|VBR.SO|VBR.EU|VBR.TC|VBR.IV| | | | | | | | | |1x|Vanguard small cap Value ETF is an exchange-traded share class of Vanguard small cap Value Index Fund, which employs a passive managementor indexinginvestment approach designed to track the performance of the MSCI US small cap Value Index, a broadly diversified index of value stocks of smaller U.S. companies. 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We then deploy an intelligent option overlay designed to create convexity in the portfolio to help improve drawdowns and enhance the upside.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|8.92|9.05|0.0|0.0|0.0|0.0|0.0|8.93|0.0|0.0|0.0|0.0|8.9907|0.0|8.9907|0.0|0.0|8.9|9.01|8.91|9.07|0.0|0.0|0.0|0.0|8.91|9.07|9.94|5.29|1587|847743 67629|VCEB|VCEB|921910691|US9219106914|Vanguard Esg U.S. Corporate Bond ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-3|TXN1-1|TXN7-8|TXN4-4|TXN3-2|7600000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||61.5|61.6|0.0|0.0|61.59|61.53|61.6|61.6|0.0|0.0|61.51|0.0|61.6|61.54|0.0|61.51|0.0|61.6|61.53|61.6|0.0|0.0|0.0|0.0|61.53|61.62|0.0|0.0|0.0|0.0|61.52|61.62|63.94|57.76|51506|5730921 354|VCEL|VCEL|92346J108|US92346J1088|Vericel Corp|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN5-5|TXN13-8|TXN5-5|TXN5-5|47730000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||0.0|36.04|0.0|35.08|36.03|35.98|36.0|36.0|0.0|0.0|36.0|36.02|36.02|35.69|35.81|35.81|35.68|36.0|35.96|36.02|35.91|36.07|27.88|44.06|35.91|36.07|35.87|36.12|35.94|36.14|35.96|36.03|39.895|22.16|311465|80400184 75477|VCIG|VCIG|G98218103|VGG982181031|VCI Global Ltd|ORD SHS||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN6-6|TXN13-8|TXN6-6|TXN5-2|36810000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||MYS||||50|5020|502050|50205020|Industrials|Industrial Goods and Services|Industrial Support Services|Professional Business Support Services|N||N||||||N|0|Y||||||2.62|2.56|0.0|0.0|2.59|2.51|2.58|2.61|0.0|0.0|2.57|2.54|2.6|2.57|0.0|2.575|0.0|2.56|2.6|2.56|2.0|3.19|2.0|3.19|2.4|2.78|2.0|3.19|0.0|0.0|2.56|2.62|24.2047|1.53|83732|286177762 31891|VCIT|VCIT|92206C870|US92206C8709|Vanguard Scottsdale Funds Vanguard Intermediate-Term Corporate Bond ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN6-5|TXN13-6|TXN5-3|TXN6-3|497010000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||78.7|78.71|0.0|78.69|78.71|78.71|78.7|78.7|0.0|0.0|78.71|78.7|78.72|78.69|78.71|78.71|78.71|78.72|78.69|78.72|78.66|78.73|78.66|78.94|78.66|78.73|78.66|78.94|78.66|78.94|78.72|78.73|81.66|73.78|13719619|1376381171 71325|VCLN|VCLN|92790A702|US92790A7028|Virtus ETF Trust II|Virtus Duff & Phelps Clean Energy ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Virtus ETF Advisers |Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-6|TXN4-7|TXN3-8|TXN3-7|TXN4-8|400004|||BiAnnually|||||2021-08-04||VCLN.NV|VCLN.SO|VCLN.EU|VCLN.TC| | | | | | | | | | |1x|Virtus Duff & Phelps Clean Energy ETF (the Fund) seeks capital appreciation. Under normal market conditions, the Fund will invest not less than 80% of its net assets (plus the amount of any borrowings for investment purposes) in equity securities of clean energy companies. Duff & Phelps Investment Management Co., the Funds sub-adviser (the Sub-Adviser), defines clean energy companies as those that derive a majority of their value from one or more of the following clean energy businesses: (a) the production of clean energy (e.g., biofuel, biomass, hydroelectricity, solar energy, wind energy, and battery storage, among others); (b) the provision of clean energy technology and equipment; or (c) the transmission and distribution of clean energy. In determining whether a company derives a majority of its value from clean energy businesses, the Sub-Adviser may evaluate the companys reported or estimated Earnings Before Interest, Taxes, Depreciation, and Amortization (EBITDA); Free Cash Flow (FCF); asset base; customer base; technologies or business segment; long term sustainability; displacement of current technologies; and/or other similar criteria.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|17.4831|0.0|17.4831|0.0|0.0|0.0|0.0|17.42|17.54|0.0|0.0|0.0|0.0|17.42|17.54|24.35|15.4347|22|260897 31892|VCLT|VCLT|92206C813|US92206C8139|Vanguard Scottsdale Funds Vanguard Long-Term Corporate Bond ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN6-7|TXN10-6|TXN5-7|TXN6-7|81450000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||75.99|76.01|0.0|0.0|75.98|75.98|76.0|75.99|0.0|0.0|76.0|75.97|76.1|75.97|75.98|75.96|75.98|76.01|75.92|76.1|72.23|79.88|71.14|81.27|75.91|76.13|72.23|76.3|0.0|0.0|75.93|76.01|83.22|67.47|972723|351402590 61397|VCNX|VCNX|918640202|US9186402023|Vaccinex Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-7|TXN5-8|TXN14-8|TXN6-6|TXN5-1|12490000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y|D|||||0.7211|0.68|0.0|0.0|0.7211|0.7211|0.710001|0.7175|0.0|0.0|0.72|0.7299|0.73|0.0|0.0|0.0|0.0|0.729|0.0|0.729|0.6697|0.777|0.592|0.876|0.6582|0.7785|0.592|0.804|0.0|0.0|0.705|0.73|2.04|0.11|157559|97669486 9826|VCR|VCR|92204A108|US92204A1088|Vanguard World Funds|Vanguard Consumer Discretionary ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Vanguard|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-5|TXN2-4|TXN1-6|TXN1-4|TXN4-1|17099710|||Quarterly|||||2008-09-19||VCR.NV|VCR.SO|VCR.EU|VCR.TC|VCR.IV| | | | | | | | | |1x|Vanguard Consumer Discretionary ETF is an exchange-traded share class of Vanguard Consumer Discretionary Index Fund. The fund employs a passive managementor indexinginvestment approach designed to track the performance of the MSCI US Investable Market Consumer Discretionary Index, an index of stocks of large, medium, and small U.S. companies in the consumer discretionary sector, as classified under the Global Industry Classification Standard (GICS). This GICS sector is made up of those manufacturing and service industries that tend to be the most sensitive to economic cycles. Its manufacturing segment includes the following industries: automotive, household durable goods, textiles and apparel, and leisure equipment. The services segment includes hotels, restaurants and other leisure facilities, media production and services, and consumer retailing. The fund attempts to replicate the target index by investing all, or substantially all, of its assets in the stocks that make up the index, holding each stock in approximately the same proportion as its weighting in the index. The fund also may sample its target index by holding stocks that, in the aggregate, are intended to approximate the index in terms of key characteristics, such as price/earnings ratio, earnings growth, and dividend yield. Typically, the fund will use a sampling strategy only if regulatory constraints or other considerations prevent it from replicating the index.|N|0|N|N|406C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||289.32|289.06|0.0|0.0|289.09|288.76|289.1068|289.4|0.0|0.0|290.1|284.94|289.06|290.1|290.1|290.11|0.0|289.14|284.93|289.14|288.56|289.6|270.64|307.38|289.02|289.14|288.53|289.52|288.53|289.27|289.02|289.14|297.445|213.73|51536|18566624 70167|VCSA|VCSA|91854V206|US91854V2060|Vacasa Inc|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN6-8|TXN10-2|TXN5-1|TXN6-7|12450000|||NotApplicable|||||||||||| | | | | | | 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Vehicles|N||N||||||Y|0|Y||||||76.37|76.365|0.0|0.0|76.36|76.365|76.37|76.365|0.0|0.0|76.365|76.37|76.365|76.36|76.365|76.365|76.365|76.365|76.36|76.365|76.36|76.42|76.33|76.46|76.36|76.38|76.33|76.46|76.33|76.46|76.36|76.37|76.68|74.43|3968592|1150594716 60655|VCTR|VCTR|92645B103|US92645B1035|Victory Capital Holdings Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN6-6|TXN11-5|TXN6-4|TXN6-4|65990000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302020|30202010|Financials|Financial Services |Investment Banking and Brokerage Services |Asset Managers and 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Vehicles|N||N||||||Y|0|Y|C|||||9.01|0.0|0.0|0.0|8.11|10.25|9.89|0.0|0.0|0.0|0.0|0.0|9.75|0.0|0.0|0.0|0.0|9.89|11.0|9.89|0.0|0.0|0.0|0.0|7.99|10.57|0.0|0.0|0.0|0.0|8.5|9.89|11.64|7.68|11317|2847964 71387|VCXAU|VCXAU|G87076124|KYG870761247|10X Capital Venture Acquisition Corp II|UNITS||R|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN5-1|TXN13-2|TXN5-3|TXN5-3|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||9.78|0.0|0.0|0.0|0.0|10.73|9.5|0.0|0.0|0.0|0.0|0.0|9.77|0.0|0.0|0.0|0.0|10.0|0.0|10.0|0.0|0.0|0.0|0.0|8.3|10.66|0.0|0.0|0.0|0.0|8.89|10.0|10.94|7.4|3952|205048 71908|VCXAW|VCXAW|G87076116|KYG870761163|10X Capital Venture Acquisition Corp II|WT EX 041928||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-8|TXN6-5|TXN10-5|TXN5-1|TXN6-1|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y|C|||||0.0|0.0|0.0|0.0|0.0|0.0|0.07|0.0|0.0|0.0|0.0|0.0|0.0699|0.0|0.0|0.0|0.0|0.0699|0.0|0.0699|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0438|0.07|0.14|0.0246|2948|2175418 73607|VCXB|VCXB|G87077106|KYG870771063|10X Capital Venture Acquisition Corp. III|Class A Ordinary Shares|Special purpose acquisition company|A|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-8|TXN3-6|TXN5-8|TXN3-5|TXN4-4|5210000|||Adhoc|||||2023-10-09||||||| | | | | | | | | |||N|0|N|N|408A|USA|KY|||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|10.6699|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.6699|0.0|0.0|10.65|10.71|10.44|10.92|0.0|0.0|0.0|0.0|10.65|10.71|11.155|9.71|4|2440760 73609|VCXB WS|VCXB.WS|G87077114|KYG870771147|10X Capital Venture Acquisition Corp. III|Redeemable warrants, each whole warrant exercisable for one Class A ordinary share, each at an exercise price of $11.50 per share|Special purpose acquisition company|C|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN11-4|TXN3-2|TXN4-8|TXN2-4|TXN4-5|0|||NotApplicable|||||2023-10-09||||||| | | | | | | | | |||N|0|N|N|408A|USA|KY|||||||||||N||N||||||N|0|Y|C|N||||0.0|0.0|0.0|0.0|0.0|0.051|0.05|0.0|0.0|0.0|0.06|0.06|0.0|0.0|0.0|0.0|0.051|0.051|0.0|0.051|0.0|0.0|0.035|0.06|0.025|0.075|0.0|0.0|0.0|0.0|0.035|0.06|0.32|0.0076|515500|5009029 73183|VCXB U|VCXB.U|G87077122|KYG870771220|10X Capital Venture Acquisition Corp. III|Units, each consisting of one Class A ordinary share and one-half of one redeemable warrant|Special purpose acquisition company|R|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-8|TXN3-3|TXN8-8|TXN1-5|TXN4-2|0|||Adhoc|||||2023-10-09||||||| | | | | | | | | |||N|0|N|N|408A|USA|KY|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|11.1|0.0|0.0|0.0|0.0|0.0|10.78|0.0|0.0|0.0|0.0|0.0|0.0|11.1|8.0|15.34|10.1|12.2|10.1|12.2|8.0|15.34|0.0|0.0|10.1|12.2|11.3|9.9|3|39311 42979|VCYT|VCYT|92337F107|US92337F1075|Veracyte Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN6-4|TXN14-1|TXN6-8|TXN5-2|73040000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||26.21|26.07|0.0|25.92|26.06|26.08|26.06|26.09|0.0|0.0|26.06|26.04|26.07|26.07|25.93|26.08|26.25|26.05|25.89|26.07|26.0|26.11|20.27|31.99|26.01|26.11|26.0|26.14|26.03|26.13|26.04|26.06|32.4|19.52|647746|148996711 9828|VDC|VDC|92204A207|US92204A2078|Vanguard World Funds|Vanguard Consumer Staples ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Vanguard|Latour Trading, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-5|TXN2-5|TXN8-6|TXN1-8|TXN3-4|33773010|||Quarterly|||||2008-09-19||VDC.NV|VDC.SO|VDC.EU|VDC.TC|VDC.IV| | | | | | | | | |1x|Vanguard Consumer Staples ETF is an exchange-traded share class of Vanguard Consumer Staples Index Fund. The fund employs a passive managementor indexinginvestment approach designed to track the performance of the MSCI US Investable Market Consumer Staples Index, an index of stocks of large, medium, and small U.S. companies in the consumer staples sector, as classified under the Global Industry Classification Standard (GICS). This GICS sector is made up of companies whose businesses are less sensitive to economic cycles. It includes manufacturers and distributors of food, beverages, and tobacco, as well as producers of nondurable household goods and personal products. It also includes food and drug retailing companies as well as hypermarkets and consumer supercenters. The fund attempts to replicate the target index by investing all, or substantially all, of its assets in the stocks that make up the index, holding each stock in approximately the same proportion as its weighting in the index. The fund also may sample its target index by holding stocks that, in the aggregate, are intended to approximate the index in terms of key characteristics, such as price/earnings ratio, earnings growth, and dividend yield. Typically, the fund will use a sampling strategy only if regulatory constraints or other considerations prevent it from replicating the index.|N|0|N|N|406C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||187.99|188.16|0.0|186.64|188.46|188.3|188.195|188.215|0.0|0.0|188.22|186.71|188.195|188.06|188.22|188.48|188.3|188.16|188.1|188.16|188.16|188.63|175.45|199.04|188.17|188.23|188.04|188.5|188.04|188.49|188.17|188.23|201.65|172.75|186948|31402618 9829|VDE|VDE|92204A306|US92204A3068|Vanguard World Funds|Vanguard Energy ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Vanguard|Pundion LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-8|TXN2-4|TXN6-2|TXN2-4|TXN3-2|67338896|||Quarterly|||||2008-09-19||VDE.NV|VDE.SO|VDE.EU|VDE.TC|VDE.IV| | | | | | | | | |1x|Vanguard Energy ETF is an exchange-traded share class of Vanguard Energy Index Fund. The fund employs a passive managementor indexinginvestment approach designed to track the performance of the MSCI US Investable Market Energy Index, an index of stocks of large, medium, and small U.S. companies in the energy sector, as classified under the Global Industry Classification Standard (GICS). This GICS sector is made up of companies whose businesses are dominated by either of the following activities: the construction or provision of oil rigs, drilling equipment, and other energy-related service and equipment (such as seismic data collection); or companies engaged in the exploration, production, marketing, refining, and/or transportation of oil and gas products. The fund attempts to replicate the target index by investing all, or substantially all, of its assets in the stocks that make up the index, holding each stock in approximately the same proportion as its weighting in the index. The fund also may sample its target index by holding stocks that, in the aggregate, are intended to approximate the index in terms of key characteristics, such as price/earnings ratio, earnings growth, and dividend yield. Typically, the fund will use a sampling strategy only if regulatory constraints or other considerations prevent it from replicating the index.|N|0|N|N|406C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||118.56|118.4|0.0|0.0|118.48|118.48|118.4|119.91|0.0|0.0|118.42|118.48|118.41|118.562|118.46|118.62|0.0|118.41|117.9|118.41|118.18|118.68|118.19|118.58|118.38|118.41|118.31|118.49|118.19|118.49|118.37|118.43|131.07|104.17|545235|122638942 73002|VDNI|VDNI|56167N423|US56167N4236|Managed Portfolio Series|V-Shares US Leadership Diversity ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||V-Square Quantitative Management|Latour Trading, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-8|TXN3-3|TXN5-8|TXN2-8|TXN4-2|50000|||BiAnnually|||||2021-12-21||VDNI.NV|VDNI.SO|VDNI.EU|VDNI.TC|VDNI.IV| | | | | | | | | |1x|The Fund seeks to track the investment results of the ISS ESG U.S. Diversity Index (the Underlying Index), which has been developed by Institutional Shareholders Services Inc. (the Index Provider or ISS).The Underlying Index is a free float-adjusted market capitalization weighted equity index designed to reflect the equity performance of U.S. companies exhibit broad ethnic and gender representation for Directors and Named Executive Officers (NEO), as determined by the Index Provider.|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|25.0111|0.0|25.0111|24.92|25.09|0.0|0.0|24.95|25.07|12.57|37.69|0.0|0.0|24.95|25.07|25.1324|20.4549|0|12186 25153|VEA|VEA|921943858|US9219438580|Vanguard Tax-Managed Funds|Vanguard FTSE Developed Markets ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Vanguard|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-5|TXN1-8|TXN9-1|TXN2-6|TXN4-2|2523892788|||Quarterly|||||2008-09-18||VEA.NV|VEA.SO|VEA.EU|VEA.TC|VEA.IV| | | | | | | | | |1x|Vanguard FTSE Developed Markets ETF is a solid, low-cost option for exposure to foreign developed-markets stocks. As of December 21, 2015, VEA transitioned from the FTSE Developed ex North America Index to the FTSE Developed All Cap ex US Index. This change added small-cap and Canadian stocks, which currently account for about 8% of the new index, to the funds portfolio of large- and mid-cap stocks in overseas developed markets. The addition of these stocks will help improve diversification, allowing the fund to offer comprehensive market-cap-weighted exposure to 24 foreign developed markets, making it one of the broadest funds of its kind. |N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||46.03|46.04|0.0|0.0|46.02|46.03|46.035|46.04|0.0|0.0|46.035|46.04|46.04|46.03|46.035|46.03|46.05|46.02|46.03|46.02|46.02|46.04|42.99|49.0|46.03|46.04|45.6|46.06|45.6|46.48|46.03|46.04|47.81|41.48|10810058|2384271926 4264|VECO|VECO|922417100|US9224171002|Veeco Instruments Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN5-1|TXN10-5|TXN6-5|TXN5-7|56340000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101020|10102020|Technology|Technology|Technology Hardware and Equipment|Production Technology Equipment|N||N||||||Y|0|Y||||||28.2|28.16|0.0|27.7|28.16|28.16|28.16|28.18|0.0|0.0|28.18|27.97|28.18|28.18|27.995|28.175|28.17|28.18|27.93|28.18|27.98|28.36|21.84|34.06|28.01|28.32|28.12|28.23|28.1|28.24|28.16|28.18|31.09|17.7|361557|117170730 71211|VEEE|VEEE|90177C101|US90177C1018|Twin Vee PowerCats Co|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN5-4|TXN14-2|TXN6-6|TXN6-6|9520000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4020|402030|40203055|Consumer Discretionary|Consumer Products and Services|Leisure Goods|Recreational Vehicles and Boats|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|1.27|0.0|0.0|0.0|0.0|0.0|1.28|0.0|0.0|0.0|0.0|1.27|0.0|1.27|1.04|1.54|0.0|0.0|1.2|1.35|1.04|1.54|0.0|0.0|1.26|1.3|2.41|1.21|5214|9252719 42885|VEEV|VEEV|922475108|US9224751084|Veeva Systems Inc.|Class A common stock, par value $0.00001 per share|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-6|TXN4-2|TXN5-7|TXN4-6|TXN3-2|146160000|||NotApplicable|||||2013-10-16||||||| | | | | | | | | |||N|0|Y|Y|108B|USA|US|||20|2010|201010|20101025|Health Care |Health Care |Health Care Providers|Health Care Services|N||N||||||Y|0|Y||Y|1|||178.9|178.94|0.0|178.89|178.91|178.94|178.97|178.94|0.0|0.0|178.93|178.96|178.93|178.94|179.04|179.01|178.88|179.04|178.955|179.01|178.93|179.04|167.71|190.3|178.8|179.19|178.72|179.2|178.94|179.07|178.94|179.23|225.485|157.0|1298941|231696188 40712|VEGA|VEGA|00768Y768|US00768Y7682|AdvisorShares Trust|AdvisorShares STAR Global Buy-Write ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||AdvisorShares|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-6|TXN4-3|TXN8-8|TXN2-8|TXN4-5|1390000|||Yearly|||||2012-09-18||VEGA.NV|VEGA.SO|VEGA.EU|VEGA.TC|VEGA.IV| | | | | | | | | ||The AdvisorShares STAR Global Buy-Write ETF (VEGA) seeks consistent repeatable returns across all market cycles. VEGA is subadvised by Partnervest Advisory Services, LLC (Portfolio Manager). The portfolio manager seeks to achieve the investment objective by using a proprietary strategy known as Volatility Enhanced Global Appreciation (VEGA). VEGA employs a Buy-Write or Covered Call overlay for their global allocation strategy using Exchange Traded Products (ETPs). The strategy simultaneously writes (sells) a call option against each position in order to seek cumulative price appreciation from the portfolios global exposure, while generating a consistent income stream from the sale of covered call and/or cash-secured put options. When volatility is low the portfolio manager buys protective put options to manage downside risk.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||37.89|0.0|0.0|0.0|0.0|0.0|38.0099|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|37.9798|0.0|37.9798|37.59|38.36|0.0|0.0|37.9|38.05|37.9|38.06|0.0|0.0|37.9|38.06|38.55|33.8658|1914|1197667 39514|VEGI|VEGI|464286350|US4642863504|iShares Inc.|iShares MSCI Agriculture Producers ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-3|TXN1-2|TXN3-8|TXN1-6|TXN1-3|4350000|||BiAnnually|||||2012-02-02||VEGI.NV|VEGI.SO|VEGI.EU|VEGI.TC|VEGI.IV| | | | | | | | | |1x|The iShares MSCI Global Agriculture Producers ETF (the Fund) seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the MSCI ACWI Select Agriculture Producers Investable Market Index (the Underlying Index). The Underlying Index has been developed by MSCI Inc. (MSCI) to measure the combined performance of equity securities of companies primarily engaged in the business of agriculture in both developed and emerging markets. MSCI begins with the MSCI All Country World Investable Market Index, and then selects securities of companies that are primarily focused on early phase agricultural production, including companies engaged in the production of fertilizers, agricultural chemicals, agricultural products and farm machinery and related parts. Additionally, companies involved in the production of packaged foods and meats are included in the Underlying Index to the extent they derive the majority of their total revenues from agricultural commodity production. Companies that are manufacturers of finished products that rely on agricultural commodities as raw materials are excluded from the Underlying Index.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||37.27|36.92|0.0|0.0|37.27|37.0|36.9247|37.0|0.0|0.0|36.97|0.0|36.95|37.11|37.11|37.27|0.0|36.965|37.27|36.965|29.56|44.44|0.0|0.0|36.94|37.0|29.56|44.44|0.0|0.0|36.94|37.0|45.16|35.54|63296|9903093 64458|VEGN|VEGN|26922A297|US26922A2978|US Vegan Climate ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-3|TXN3-6|TXN6-8|TXN2-2|TXN4-8|1950000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||41.01|40.955|0.0|0.0|0.0|41.09|40.875|40.7|0.0|0.0|0.0|0.0|40.94|0.0|0.0|0.0|0.0|40.955|0.0|40.955|40.9|40.96|40.83|40.89|40.92|40.98|40.09|41.25|0.0|0.0|40.92|40.98|41.25|30.86|3171|917023 65410|VEL|VEL|92262D101|US92262D1019|Velocity Financial, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|P|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN1-6|TXN7-8|TXN4-4|TXN1-4|32780000|||NotApplicable|||||2020-01-17||||||| | | | | | | | | |||N|0|N|Y|408A|USA|US|||30|3020|302010|30201025|Financials|Financial Services |Finance and Credit Services|Mortgage Finance|N||N||||||N|0|Y||Y|2|||14.84|14.5|0.0|0.0|14.035|14.55|14.62|14.45|0.0|0.0|15.06|0.0|14.035|14.15|0.0|14.16|13.98|14.035|0.0|14.16|13.77|14.31|0.0|0.0|13.48|14.6|0.0|0.0|0.0|0.0|13.77|14.31|18.05|7.81|19034|4925390 75011|VEMY|VEMY|92790A801|US92790A8018|Virtus ETF Trust II|Virtus Stone Harbor Emerging Markets High Yield Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Virtus ETF Advisers |Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-7|TXN3-3|TXN8-8|TXN2-2|TXN2-5|250004|||Monthly|||||2022-12-13||VEMY.NV|VEMY.SO|VEMY.EU|VEMY.TC|VEMY.IV| | | | | | | | | |1x|actively managed energing market debt with focus on income|N|0|N|N|416A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|25.1388|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|22.6802|0.0|25.1899|0.0|25.1899|0.0|0.0|0.0|0.0|25.14|25.24|0.0|0.0|0.0|0.0|25.14|25.26|26.5969|23.65|40|110390 32576|VEON|VEON|91822M502|US91822M5022|VEON Ltd|ADR||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN5-1|TXN13-3|TXN6-7|TXN6-3|1756730000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||NLD||||15|1510|151020|15102015|Telecommunications|Telecommunications|Telecommunications Service Providers |Telecommunications Services|N||N||||||Y|0|Y||||||19.77|19.9|0.0|19.93|0.0|20.03|19.81|19.77|0.0|0.0|19.85|0.0|19.7|19.77|19.81|0.0|0.0|19.82|0.0|19.7|15.6|24.0|0.0|0.0|19.45|20.24|15.6|19.99|19.61|19.82|19.75|19.82|21.6|0.421|60540|75809857 70628|VERA|VERA|92337R101|US92337R1014|Vera Therapeutics Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN6-2|TXN11-5|TXN6-7|TXN5-4|44430000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||13.84|13.88|0.0|13.84|13.84|13.84|13.86|13.86|0.0|0.0|13.83|13.87|13.87|13.86|0.0|13.82|14.12|13.86|0.0|13.87|13.71|13.99|10.87|16.97|13.73|13.98|13.78|13.92|13.8|13.93|13.85|13.87|21.02|5.2|218127|152016107 53711|VERB|VERB|92337U203|US92337U2033|Verb Technology Co Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-6|TXN6-2|TXN12-4|TXN6-8|TXN5-5|16410000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||N|0|Y||||||0.2095|0.209|0.0|0.0|0.2098|0.209|0.2082|0.2074|0.0|0.0|0.209|0.2082|0.211|0.211|0.2088|0.209|0.211|0.2082|0.211|0.211|0.1952|0.2195|0.1708|0.2508|0.2001|0.212|0.1952|0.2195|0.0|0.0|0.2074|0.212|3.45|0.0762|2395658|761225279 63235|VERBW|VERBW|92337U112|US92337U1126|Verb Technology Co Inc|Wrrt EXP 031324||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-8|TXN5-4|TXN10-3|TXN6-4|TXN6-7|7870000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0011|0.0174|0.0|0.0|0.0|0.0|0.0032|0.004|0.25|0.0026|397|5530336 57409|VERI|VERI|92347M100|US92347M1009|Veritone Inc|COM USD0.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN6-1|TXN11-8|TXN5-3|TXN5-6|37050000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||||||2.25|2.26|0.0|2.39|2.26|2.255|2.265|2.26|0.0|0.0|2.26|2.24|2.26|2.46|2.25|2.26|2.46|2.26|2.23|2.26|2.2|2.29|1.73|2.79|2.21|2.29|2.23|2.29|2.25|2.28|2.26|2.27|10.99|1.54|442370|137461235 59819|VERO|VERO|92332W204|US92332W2044|Venus Concept Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN6-7|TXN12-5|TXN6-7|TXN6-3|5530000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CAN||||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||N|0|Y||||||1.41|0.0|0.0|0.0|0.0|1.4|1.4593|1.43|0.0|0.0|1.4|1.4|1.49|1.41|0.0|0.0|0.0|1.4593|0.0|1.4593|1.37|1.58|0.0|0.0|1.4|1.56|0.0|0.0|0.0|0.0|1.45|1.49|4.7|0.1501|13907|32662757 73706|VERS|VERS|74347G325|US74347G3258|ProShares Trust|ProShares Metaverse ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ProShares Advisors |Latour Trading, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-3|TXN2-4|TXN6-8|TXN2-3|TXN4-5|170001|||Quarterly|||||2022-03-17||VERS.NV|VERS.SO|VERS.EU|VERS.TC|VERS.IV| | | | | | | | | |1x|The Fund invests in securities that ProShare Advisors believes, in combination, should track the performance of the Index. The Index consists of companies that provide or use innovative technologies to offer products and services around the Metaverse. Metaverse is a term used to refer to internet-based interactions, engagements, and transactions made in immersive, persistent and shared virtual or physical spaces. The Metaverse is enabled by several connected technologies such as virtual and augmented reality, digital environments, artificial intelligence and advanced computing. The Index includes companies exposed to the Metaverse industry through involvement in one or more of the following product or service areas: Metaverse Technology: Produces technology, infrastructure or hardware used to develop or operate the Metaverse, including technologies for virtual and augmented reality. Metaverse Platforms: Provides or develops non-physical, virtual environment or digital worlds where users and businesses can interact through virtual technologies. This includes platforms and services that facilitate virtual marketplaces as well as the integration of social network platforms. Metaverse Devices: Produces devices used to access or interact with the Metaverse. This includes the production of wearable devices and specialized visuals and audio or gaming equipment used for interacting in virtual and augmented reality. Interchange Standards: Develops and distributes tools, formats, services and engines that facilitates the creation of the Metaverse by setting actual or de facto standards for interoperability. Data Processing: Provides computing power to support the Metaverse. This includes high-intensity data processing services such as rendering, data matching and synchronization or motion capturing. The Index is constructed and maintained by Solactive AG (the Index Provider). At each Index reconstitution, the Index Provider uses an automated scan of company filings and other public information in search of terms and phrases which the Index Provider believes will identify companies that have or are expected to have significant exposure to the provision of products and/or services that contribute to the Metaverse industry. Each company identified receives a score, as determined by the automated scan, that reflects its exposure to the Metaverse industry. The Index Provider then reviews each company and excludes any company that does not have relevant business exposure. The remaining companies are then ranked based on the assigned score. The 50 companies ranked highest are selected into the Index, subject to certain turnover requirements. Selected companies are weighted using a modified equal-weight approach, with companies having relatively higher scores receiving additional weight. The 10 largest companies, by market capitalization, also receive additional weight in the index. The Index consists of U.S. companies that are listed on the New York Stock Exchange or The Nasdaq Stock Market and meet certain market capitalization and liquidity requirements. Companies in the following FactSet Industries are excluded from the index: (1) Major Pharmaceuticals, (2) Other Pharmaceuticals, (3) Original Equipment Manufacturer Auto Parts, (4) Major Telecommunications, (5) Specialty Telecommunications, (6) Wireless Telecommunications, and (7) Food Retail. The Index is reconstituted and rebalanced semiannually in May and November. Security weights are allowed to fluctuate between rebalance dates. 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ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN6-5|TXN10-7|TXN6-1|TXN6-4|153960000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||57.76|57.76|0.0|0.0|57.73|57.76|57.73|57.73|0.0|0.0|57.76|57.72|57.76|57.7|57.73|57.76|57.735|57.76|57.76|57.76|54.82|60.58|54.08|61.32|57.76|57.8|54.86|60.58|0.0|57.99|57.76|57.8|67.2516|51.905|3720812|408083246 9840|VGM|VGM|46131M106|US46131M1062|Invesco Trust for Investment Grade Municipals|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN1-5|TXN7-8|TXN1-6|TXN4-3|54230000|||Monthly|||||1992-02-19||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||9.62|9.62|0.0|0.0|9.58|9.6|9.61|9.62|0.0|0.0|9.61|9.61|9.615|0.0|0.0|9.61|9.6|9.6|0.0|9.61|9.6|9.62|9.57|9.65|8.95|10.22|9.58|9.64|9.59|9.63|9.6|9.62|10.55|8.15|111936|28531882 9841|VGR|VGR|92240M108|US92240M1080|Vector Group Ltd.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-3|TXN2-8|TXN2-8|TXN1-2|TXN3-5|155930000|||Quarterly|||||1987-10-08||||||| | | | | | | | | |||N|0|N|Y|152A|USA|US|||45|4510|451030|45103010|Consumer Staples |Food, Beverage and Tobacco |Tobacco|Tobacco|N||N||||||Y|0|Y||Y|2|||11.05|11.055|0.0|11.02|11.05|11.05|11.06|11.05|0.0|0.0|11.05|11.05|11.06|11.05|11.02|11.06|11.055|11.05|11.06|11.06|11.05|11.06|8.53|13.58|11.01|11.08|11.02|11.08|11.04|11.08|11.05|11.06|14.39|9.86|691902|170111020 31896|VGSH|VGSH|92206C102|US92206C1027|Vanguard Short Term Government Bond ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN5-8|TXN14-5|TXN5-8|TXN6-5|382590000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||57.94|57.945|0.0|0.0|57.95|57.945|57.945|57.945|0.0|0.0|57.945|57.94|57.94|57.95|57.92|57.945|57.945|57.94|57.95|57.94|57.94|57.95|57.94|57.98|57.94|57.95|57.94|57.96|57.94|58.02|57.94|57.95|58.93|57.31|4048168|715612693 76717|VGSR|VGSR|56170L695|US56170L6956|Vert Global Sustainable Real Estate ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN6-8|TXN11-6|TXN6-8|TXN6-8|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|9.52|0.0|0.0|0.0|0.0|0.0|9.5538|0.0|0.0|0.0|0.0|9.56|0.0|9.5538|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|9.54|9.57|9.56|9.52|3517|3517 9842|VGT|VGT|92204A702|US92204A7028|Vanguard World Funds|Vanguard Information Technology ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Vanguard|Pundion LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-8|TXN2-2|TXN2-3|TXN2-6|TXN2-4|121508799|||Quarterly|||||2008-09-19||VGT.NV|VGT.SO|VGT.EU|VGT.TC|VGT.IV| | | | | | | | | |1x|Vanguard Information Technology ETF is an exchange-traded share class of Vanguard Information Technology Index Fund, which employs a passive managementor indexinginvestment approach designed to track the performance of the MSCI US Investable Market Information Technology Index, an index of stocks of large, medium, and small U.S. companies in the information technology sector, as classified under the Global Industry Classification Standard (GICS). This GICS sector is made up of companies in the following three general areas: technology software and services including companies that primarily develop software in various fields (such as the Internet, applications, systems, databases, management, and/or home entertainment), and companies that provide information technology consulting and services, data processing, and outsourced services; technology hardware and equipment, including manufacturers and distributors of communications equipment, computers and peripherals, electronic equipment, and related instruments; and semiconductors and semiconductor equipment manufacturers. The fund attempts to replicate the target index by investing all, or substantially all, of its assets in the stocks that make up the index, holding each stock in approximately the same proportion as its weighting in the index. The fund also may sample its target index by holding stocks that, in the aggregate, are intended to approximate the index in terms of key characteristics, such as price/earnings ratio, earnings growth, and dividend yield. Typically, the fund will use a sampling strategy only if regulatory constraints or other considerations prevent it from replicating the index.|N|0|N|N|406C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||459.26|459.96|0.0|461.32|459.86|460.0|460.03|460.03|0.0|0.0|460.0|459.86|460.02|458.25|458.45|460.18|464.88|459.92|458.03|459.92|459.09|460.89|431.26|486.66|459.97|460.13|437.0|481.91|459.64|460.28|459.97|460.13|466.67|310.0|408019|132900903 9843|VGZ|VGZ|927926303|CA9279263037|Vista Gold Corp.|Common Stock|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Brendan E. Cryan and Company, L.L.C.|CRYN|0235|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN12-1|TXN1-8|TXN9-8|TXN2-6|TXN2-3|121090000|||NotApplicable|||||2007-05-10||||||| | | | | | | | | |||N|0|N|N|130E|USA|CA|||55|5510|551030|55103025|Basic Materials|Basic Resources|Precious Metals and Mining|Gold Mining|N||N||||||Y|0|Y||Y|2|||0.3967|0.399|0.0|0.0|0.391|0.39|0.3965|0.396|0.0|0.0|0.3952|0.3952|0.3937|0.399|0.0|0.0|0.381|0.381|0.399|0.381|0.3705|0.4116|0.3901|0.395|0.3705|0.4116|0.3705|0.4116|0.385|0.425|0.3901|0.395|0.7599|0.301|247616|44036117 69017|VHAQ|VHAQ|92853V106|US92853V1061|Viveon Health Acquisition Corp.|Common Stock|Special purpose acquisition company|A|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-4|TXN3-4|TXN6-8|TXN1-4|TXN2-8|6650000|||NotApplicable|||||2021-02-04||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|4|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|11.3|11.35|11.04|11.5|0.0|0.0|0.0|0.0|11.3|11.35|12.48|7.85|0|1284175 68585|VHAQ U|VHAQ.U|92853V205|US92853V2051|Viveon Health Acquisition Corp.|Units, each consisting of 1 share of common stock, 1 Warrant entitling the holder to purchase 1/2 of a share of common stock, and 1 right to receive 1/20 of a share of common stock|Special purpose acquisition company|R|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-6|TXN1-3|TXN5-8|TXN2-7|TXN1-2|0|||NotApplicable|||||2020-12-23||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||||||||||N||N||||||N|4|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|7.61|13.93|9.51|11.61|7.61|13.93|7.61|13.93|0.0|0.0|9.51|11.61|13.09|8.63|0|78705 69019|VHAQ RT|VHAQr|92853V122||Viveon Health Acquisition Corp.|Rights, each exchangeable into one-twentieth of a share of Common Stock|Special purpose acquisition company|D|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN11-5|TXN4-7|TXN8-8|TXN3-8|TXN4-4|0|||NotApplicable|||||2021-02-04||||||| | | | | | | | | |||N|0|N|N|408A||US|||50|5020|502040|50204000|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Industrial|N||N||||||N|4|Y|C|N||||0.0|0.0|0.0|0.0|0.0|0.0|0.0394|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.06|0.06|0.0|0.06|0.0|0.0|0.05|0.06|0.0433|0.07|0.0|0.0|0.0|0.0|0.05|0.06|0.179|0.0002|360|10764589 26086|VHC|VHC|92823T207|US92823T2078|VirnetX Holding Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN2-8|TXN8-8|TXN4-8|TXN1-7|3620000|||Adhoc|||||2020-07-23||||||| | | | | | | | | |||N|0|N|Y|108A|USA|US|||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||N|0|Y||Y|2|||7.33|7.37|0.0|0.0|8.38|7.25|7.34|7.32|0.0|0.0|6.9|7.38|7.34|0.0|0.0|7.35|0.0|7.37|0.0|7.35|7.3|7.38|0.0|0.0|7.17|7.53|5.52|8.52|0.0|0.0|7.3|7.38|8.61|0.2219|20635|154266306 9844|VHI|VHI|918905209|US9189052098|Valhi, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN2-1|TXN7-8|TXN2-3|TXN1-6|28290000|||Quarterly|||||1967-10-23||||||| | | | | | | | | |||N|0|N|Y|128B|USA|US|||55|5520|552010|55201020|Basic Materials|Chemicals|Chemicals|Specialty Chemicals|N||N||||||N|0|Y||Y|2|||13.56|13.56|0.0|0.0|13.01|14.19|14.2298|13.9|0.0|0.0|13.9|0.0|14.13|13.73|0.0|14.46|0.0|14.13|12.64|14.46|14.12|14.46|0.0|0.0|13.79|14.77|10.86|16.84|0.0|0.0|14.11|14.49|26.5999|10.8001|20999|3747558 9845|VHT|VHT|92204A504|US92204A5048|Vanguard World Funds|Vanguard Health Care ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Vanguard|Latour Trading, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-4|TXN2-4|TXN9-7|TXN2-5|TXN2-4|66934162|||Quarterly|||||2008-09-19||VHT.NV|VHT.SO|VHT.EU|VHT.TC|VHT.IV| | | | | | | | | |1x|Vanguard Health Care ETF is an exchange-traded share class of Vanguard Health Care Index Fund, which employs a passive managementor indexinginvestment approach designed to track the performance of the MSCI US Investable Market Health Care Index, an index of stocks of large, medium, and small U.S. companies in the health care sector, as classified under the Global Industry Classification Standard (GICS). This GICS sector is made up of two main industry groups. The first group includes companies that manufacture health care equipment and supplies or provide health care related services (such as distributors of health care products, providers of basic healthcare services, and owners and operators of health care facilities and organizations). The second group includes companies primarily involved in the research, development, production, and marketing of pharmaceuticals and biotechnology products. The fund attempts to replicate the target index by investing all, or substantially all, of its assets in the stocks that make up the index, holding each stock in approximately the same proportion as its weighting in the index. The fund also may sample its target index by holding stocks that, in the aggregate, are intended to approximate the index in terms of key characteristics, such as price/earnings ratio, earnings growth, and dividend yield. Typically, the fund will use a sampling strategy only if regulatory constraints or other considerations prevent it from replicating the index.|N|0|N|N|406C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||240.78|241.02|0.0|240.49|240.78|241.03|241.045|240.88|0.0|0.0|240.78|240.91|241.03|240.78|240.78|241.14|241.12|240.92|240.49|240.92|240.56|241.54|225.19|257.1|240.94|241.04|240.84|241.27|240.73|241.27|240.96|241.04|259.04|222.27|204907|46681599 44674|VIA|VIA|92556D304|US92556D3044|Via Renewables Inc|CL A COM 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LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN4-8|TXN2-6|TXN5-8|TXN2-6|TXN3-1|4530000|||NotApplicable|||||2020-09-25||||||| | | | | | | | | |||N|0|N|Y|108A|DEU|DE|||10|1010|101020|10102015|Technology|Technology|Technology Hardware and Equipment|Electronic Components|N||N||||||N|4|Y||Y|2|||0.0|0.81|0.0|0.0|0.0|0.85|0.85|0.82|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.85|0.0|0.85|0.0|0.85|0.8201|0.85|0.0|0.0|0.7656|0.9026|0.0|0.0|0.0|0.0|0.8201|0.85|4.0|0.7802|4627|1594397 56888|VIASP|VIASP|92556D205|US92556D2053|Via Renewables Inc|PFD SER 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35710|VIOO|VIOO|921932828|US9219328286|Vanguard Admiral Funds|Vanguard S&P Small-Cap 600 ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Vanguard|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-2|TXN2-7|TXN1-8|TXN2-2|TXN4-1|24475073|||Yearly|||||2010-09-09||VIOO.NV|VIOO.SO|VIOO.EU|VIOO.TC|VIOO.IV| | | | | | | | | |1x|Vanguard S&P Small-Cap 600 Index Fund seeks to track the performance of a benchmark index that measures the investment return of small-capitalization stocks in the United States.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment 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Appliance|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.92|0.9221|0.92|0.9202|0.0|0.0|0.92205|0.9211|0.9212|0.0|0.0|0.92395|0.0|0.92|0.0|0.92|0.8645|0.9969|0.728|1.13|0.9|0.9494|0.728|1.1|0.0|0.0|0.92|0.9494|1.6|0.8097|165847|12355763 35712|VIOV|VIOV|921932778|US9219327783|Vanguard Admiral Funds|Vanguard S&P Small-Cap 600 Value ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Vanguard|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-8|TXN2-2|TXN2-7|TXN3-4|TXN1-3|15577093|||Quarterly|||||2010-09-09||VIOV.NV|VIOV.SO|VIOV.EU|VIOV.TC|VIOV.IV| | | | | | | | | |1x|Vanguard S&P Small-Cap 600 Value Index Fund seeks to track the performance of a benchmark index that measures the investment return of small-capitalization value stocks in the United 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ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-4|TXN1-4|TXN2-2|TXN4-4|TXN2-6|10080000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||17.24|17.25|0.0|0.0|17.24|17.24|17.25|17.25|0.0|0.0|17.25|17.25|17.24|17.34|17.25|17.24|17.23|17.25|17.24|17.25|17.22|17.27|17.11|17.27|17.23|17.24|17.21|17.31|16.92|17.63|17.23|17.24|28.96|5.21|3091142|1413773967 42899|VJET|VJET|92912L206|US92912L2060|voxeljet AG|ADR||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN5-6|TXN13-3|TXN5-3|TXN6-7|9140000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||DEU||||10|1010|101020|10102035|Technology|Technology|Technology Hardware and Equipment|Electronic Office Equipment|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|1.55|1.535|0.0|0.0|0.0|1.53|0.0|1.54|0.0|0.0|0.0|0.0|1.535|0.0|1.535|1.44|1.63|0.0|0.0|1.44|1.63|1.44|1.63|0.0|0.0|1.54|1.55|2.95|1.02|7889|6449045 9859|VKI|VKI|46132E103|US46132E1038|Invesco Advantage Municipal Income Trust II|Common Shares of Beneficial Interest|Closed end fund|P|N|N|A|Y|Y|Y|Y|Y|||Brendan E. Cryan and Company, L.L.C.|CRYN|0235|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-6|TXN4-6|TXN7-6|TXN4-8|TXN1-7|44410000|||Monthly|||||1993-10-14||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||8.34|8.31|0.0|8.34|8.32|8.315|8.31|8.315|0.0|0.0|8.32|8.25|8.32|8.34|0.0|8.315|8.31|8.31|8.34|8.31|8.15|8.48|8.31|8.32|7.8|8.89|8.28|8.35|8.29|8.34|8.31|8.32|9.17|7.07|259144|21814956 9861|VKQ|VKQ|46131J103|US46131J1034|Invesco Municipal Trust|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN2-8|TXN8-8|TXN3-6|TXN3-8|55340000|||Monthly|||||1991-11-21||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||9.3|9.31|0.0|9.29|9.31|9.3|9.32|9.3|0.0|0.0|9.31|9.31|9.31|0.0|0.0|9.32|9.34|9.32|0.0|9.32|9.3|9.32|7.17|11.41|8.69|9.92|9.27|9.34|9.3|9.32|9.3|9.32|10.3474|7.94|209632|28633803 44943|VKTX|VKTX|92686J106|US92686J1060|Viking Therapeutics Inc|COM USD.00001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN6-2|TXN14-5|TXN5-6|TXN5-5|100030000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||15.09|15.08|0.0|15.01|15.07|15.08|15.08|15.07|0.0|14.71|15.07|15.08|15.08|15.07|15.08|15.095|15.1|15.08|15.08|15.08|15.04|15.09|11.82|18.76|14.91|15.16|15.04|15.13|15.03|15.11|15.07|15.08|25.7199|3.54|8174173|667580813 71953|VLCN|VLCN|92864V202|US92864V2025|Volcon Inc|COM USD0.00001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-1|TXN5-7|TXN12-8|TXN5-6|TXN6-2|10150000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4020|402030|40203055|Consumer Discretionary|Consumer Products and Services|Leisure Goods|Recreational Vehicles and Boats|N||N||||||N|0|Y|C|||||0.1284|0.1284|0.0|0.129|0.13|0.1284|0.131|0.13|0.0|0.0|0.1299|0.1309|0.1306|0.131|0.131|0.1309|0.131|0.131|0.1284|0.1306|0.114|0.147|0.1009|0.1587|0.123|0.135|0.114|0.131|0.0|0.0|0.129|0.131|2.42|0.12|9769149|85335449 68866|VLD|VLD|92259N104|US92259N1046|Velo3D, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|E|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN3-7|TXN1-2|TXN3-6|TXN2-7|TXN1-2|203010000|||NotApplicable|||||2021-01-25||||||| | | | | | | | | |||N|0|N|Y|180B|USA|KY|||50|5020|502040|50204050|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Specialty|N||N||||||Y|0|Y||Y|2|||0.9576|0.9575|0.0|0.9646|0.96|0.9537|0.9535|0.9525|0.0|0.0|0.9531|0.9541|0.9552|0.9557|0.9556|0.9576|0.9595|0.9541|0.9881|0.9576|0.9534|0.9555|0.792|1.19|0.9504|0.9726|0.9373|0.9737|0.9509|0.9577|0.9504|0.9544|3.95|0.92|1452458|370008327 68868|VLD WS|VLD.WS|92259N112|US92259N1129|Velo3D, Inc.|Redeemable warrants, each whole warrant exercisable for one share of Common Stock at an exercise price of $11.50|Operating company|C|N|N|N|Y|Y|Y|Y|Y|8|E|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN3-8|TXN3-7|TXN1-5|TXN2-2|TXN4-7|200320000|||NotApplicable|||||2021-01-25|2026-09-29|||||| | | | | | | | | |||N|0|N|N|180B|USA|KY|||||||||||N||N||||||N|0|Y||N||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0385|0.0|0.0385|0.0|0.0385|0.0385|0.055|0.0|0.0|0.036|0.0586|0.0|0.0|0.0|0.0|0.0385|0.055|0.62|0.02|420|3127558 4298|VLGEA|VLGEA|927107409|US9271074091|Village Super Market Inc|CL A COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN6-8|TXN12-8|TXN5-1|TXN5-2|10650000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||45|4520|452010|45201010|Consumer Staples |Personal Care, Drug and Grocery Stores |Personal Care, Drug and Grocery Stores |Food Retailers and Wholesalers |N||N||||||N|0|Y||||||26.36|26.36|0.0|0.0|26.27|26.36|26.33|26.335|0.0|0.0|0.0|0.0|26.28|26.34|0.0|0.0|0.0|26.33|0.0|26.28|26.01|26.64|0.0|0.0|26.03|26.6|0.0|0.0|26.11|26.5|26.27|26.37|26.66|20.25|35585|5659484 71860|VLN|VLN|M9607U115|IL0011796880|Valens Semiconductor Ltd.|Ordinary shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|6|O|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN3-5|TXN1-5|TXN3-6|TXN4-8|98880000|||NotApplicable|||||2021-09-30||||||| | | | | | | | | |||N|0|N|Y|180B|ISR|IL|||10|1010|101020|10102010|Technology|Technology|Technology Hardware and Equipment|Semiconductors|N||N||||||Y|0|Y||Y|2|||2.3|2.37|0.0|0.0|2.35|2.38|2.37|2.36|0.0|0.0|2.37|2.38|2.37|2.36|0.0|2.36|2.38|2.37|2.35|2.36|2.36|2.38|1.85|2.94|2.31|2.43|2.33|2.4|2.33|2.4|2.36|2.38|5.99|1.95|147936|102183218 71861|VLN WS|VLN.WS|M9607U107|IL0011796963|Valens Semiconductor Ltd.|Warrants, each warrant to purchase one-half of one Ordinary Share|Operating company|C|N|Y|N|Y|Y|Y|Y|Y|6|O|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN8-8|TXN3-2|TXN4-8|TXN4-4|TXN3-4|101840000|||NotApplicable|||||2021-09-30|2026-09-29|||||| | | | | | | | | |||N|0|N|N|180B|ISR|IL|||||||||||N||N||||||N|0|Y|D|N||||0.0|0.0|0.0|0.0|0.0|0.0697|0.0625|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.067|0.0|0.067|0.0|0.067|0.06|0.0668|0.0|0.0|0.0625|0.0714|0.0|0.0|0.0|0.0|0.0625|0.0857|0.4799|0.03|35295|4032593 9867|VLO|VLO|91913Y100|US91913Y1001|Valero Energy Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|A|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN2-3|TXN2-6|TXN3-6|TXN2-5|340450000|||Quarterly|||||1980-01-02||||||| | | | | | | | | |||N|5|Y|Y|304B|USA|US|||60|6010|601010|60101020|Energy|Energy|Oil, Gas and Coal|Oil Refining and Marketing|N||N||||||Y|0|Y||Y|1|||126.48|126.45|0.0|126.43|126.47|126.44|126.43|126.45|0.0|0.0|126.5|126.47|126.45|126.43|126.5|126.46|126.61|126.46|126.5|126.46|126.46|126.49|118.61|134.76|126.41|126.51|126.4|126.56|126.36|126.55|126.46|126.49|160.16|104.18|2960032|917322958 42675|VLRS|VLRS|21240E105|US21240E1055|Controladora Vuela Compañia de Aviación, S.A. de C.V.|American Depositary Shares, each representing ten (10) Ordinary Participation Certificates, each CPO representing the economic interest in one (1) share of Series A Common Stock|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-7|TXN2-4|TXN5-3|TXN4-5|TXN1-8|1108460000|||NotApplicable|||||2013-09-18||||||| | | | | | | | | |||N|0|N|Y|200A|MEX|MX|||40|4050|405010|40501010|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Airlines|N||N||||||Y|0|Y||Y|2|||8.0|8.01|0.0|8.01|8.0|8.005|8.02|8.02|0.0|0.0|8.0|8.01|8.015|8.01|8.02|8.01|8.01|8.02|8.02|8.01|8.01|8.02|6.2|9.83|8.0|8.04|7.97|8.06|8.01|8.05|8.01|8.02|15.0495|5.52|405037|110796853 9869|VLT|VLT|46131F101|US46131F1012|Invesco High Income Trust II|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN2-8|TXN3-8|TXN3-1|TXN2-1|6500000|||Monthly|||||2009-05-26||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||10.19|0.0|0.0|0.0|0.0|10.19|10.198|10.18|0.0|0.0|10.19|10.11|10.18|10.0|0.0|10.19|10.19|10.19|0.0|10.19|10.16|10.19|10.15|10.19|9.46|10.21|0.0|0.0|0.0|0.0|10.16|10.19|11.25|9.29|25918|4019786 76378|VLTO|VLTO|92338C103|US92338C1036|Veralto Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|D|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN3-5|TXN4-8|TXN3-4|TXN4-8|246310000|||NotApplicable|||||2023-09-27||||||| | | | | | | | | |||N|5|Y|Y|126C|USA|US|||50|5020|502020|50202030|Industrials|Industrial Goods and Services|Electronic and Electrical Equipment|Electronic Equipment: Pollution Control|N||N||||||Y|0|Y||Y|1|||75.83|75.83|0.0|75.79|75.8|75.83|75.79|75.78|0.0|0.0|75.83|75.83|75.77|75.825|75.83|75.78|75.88|75.8|75.83|75.78|75.79|75.8|71.18|80.75|75.77|75.83|75.75|75.92|75.67|75.93|75.79|75.8|89.0|65.51|1625807|190916381 40896|VLU|VLU|78464A128|US78464A1280|SPDR Series Trust|SPDR S&P 1500 Value Tilt ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-6|TXN1-4|TXN3-8|TXN4-2|TXN2-2|1760000|||Quarterly|||||2012-10-25||VLU.NV|VLU.SO|VLU.EU|VLU.TC|VLU.IV| | | | | | | | | |1x|The SPDR S&P 1500 Value Tilt ETF (the Fund) seeks to provide investment results that, before fees and expenses, correspond generally to the total return performance of an index that tracks the performance ofU.S. equity securities exhibiting value characteristics. |N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|153.165|0.0|0.0|0.0|145.17|0.0|0.0|152.96|0.0|0.0|0.0|153.3195|0.0|153.3195|153.01|153.63|0.0|0.0|153.25|153.33|142.64|164.13|0.0|0.0|153.24|153.34|155.015|134.09|7620|2138850 41860|VLUE|VLUE|46432F388|US46432F3881|iShares MSCI USA Value Factor ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN4-2|TXN6-6|TXN3-4|TXN1-6|67500000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||95.5|95.48|0.0|0.0|95.49|95.49|95.469|95.495|0.0|0.0|95.47|95.43|95.46|95.27|95.3|95.271|95.36|95.48|95.5|95.48|95.3|95.66|95.33|95.58|95.44|95.48|95.43|95.49|95.33|95.58|95.44|95.47|99.94|85.71|550275|84664228 9870|VLY|VLY|919794107|US9197941076|Valley National Bancorp|COM USD2.5||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN5-4|TXN12-8|TXN6-6|TXN6-7|507680000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||||||9.82|9.82|0.0|9.82|9.81|9.82|9.815|9.815|0.0|0.0|9.815|9.82|9.81|9.82|9.82|9.815|9.81|9.82|9.82|9.81|9.79|9.82|7.54|12.0|9.81|9.82|9.78|9.84|0.0|0.0|9.81|9.82|12.6089|6.385|3514964|1039328504 59365|VLYPO|VLYPO|919794305|US9197943056|Valley National Bancorp|PFD SER B||B|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN6-4|TXN13-6|TXN6-7|TXN5-8|4000000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||23.15|23.0|0.0|0.0|23.17|22.95|22.94|0.0|0.0|0.0|23.0|0.0|23.1|23.13|0.0|0.0|0.0|22.95|0.0|22.95|22.01|24.66|0.0|0.0|22.43|23.64|0.0|0.0|0.0|0.0|22.89|23.18|25.64|15.11|9344|5905780 50254|VLYPP|VLYPP|919794206|US9197942066|Valley National Bancorp|PERP PFD SER A||B|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN5-6|TXN13-3|TXN6-5|TXN6-8|4600000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|19.66|19.7386|0.0|0.0|0.0|0.0|0.0|19.63|0.0|0.0|0.0|0.0|19.7386|0.0|19.7386|0.0|0.0|0.0|0.0|19.25|20.25|0.0|0.0|0.0|0.0|19.63|19.83|26.5|13.73|10088|6831640 68282|VMAR|VMAR|C96657116|CAC966571167|Vision Marine Technologies Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN5-2|TXN13-2|TXN5-6|TXN5-3|11560000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CAN||||40|4020|402030|40203055|Consumer Discretionary|Consumer Products and Services|Leisure Goods|Recreational Vehicles and Boats|N||N||||||N|0|Y|C|||||1.075|1.08|0.0|0.0|1.08|1.08|1.0601|1.08|0.0|0.0|1.08|1.08|1.06|1.06|0.0|1.08|1.12|1.0601|1.08|1.06|0.92|1.32|0.88|1.32|1.03|1.07|0.92|1.32|0.0|0.0|1.06|1.07|5.65|1.01|376839|13374526 74144|VMAT|VMAT|56167N266|US56167N2669|V Shares MSCI World ESG Materiality and Carbon Fund|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-1|TXN3-1|TXN4-8|TXN1-5|TXN4-8|100000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|27.985|0.0|0.0|0.0|0.0|25.71|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|27.985|0.0|27.985|25.92|29.88|0.0|0.0|27.76|28.22|25.92|29.88|0.0|0.0|27.93|28.04|28.1466|22.9|14|117777 31897|VMBS|VMBS|92206C771|US92206C7719|Vanguard Scottsdale Funds Vanguard Mortgage-Backed Securities ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN5-4|TXN10-8|TXN6-5|TXN5-5|387760000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||44.9|44.9|0.0|0.0|44.89|44.9|44.895|44.895|0.0|0.0|44.9|44.87|44.92|44.895|44.88|44.9|44.88|44.9|44.89|44.92|44.9|44.93|42.05|47.84|44.9|44.93|44.89|44.93|0.0|0.0|44.9|44.92|47.555|42.06|1749278|389512772 9872|VMC|VMC|929160109|US9291601097|Vulcan Materials Company|Common Stock, $1 Par Value|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-5|TXN1-5|TXN6-5|TXN3-4|TXN1-2|132870000|||Quarterly|||||2007-11-19||||||| | | | | | | | | |||N|5|Y|Y|170A|USA|US|||50|5010|501010|50101035|Industrials|Construction and Materials|Construction and Materials |Building Materials: Other|N||N||||||Y|0|Y||Y|1|||215.09|214.98|0.0|214.85|214.85|214.93|214.77|214.81|0.0|0.0|215.53|214.95|214.78|215.14|214.82|214.8|215.17|214.81|214.93|214.8|214.8|214.81|214.64|214.95|214.56|214.93|214.61|225.8|214.63|214.86|214.8|214.81|229.75|159.76|830932|187248405 73929|VMCA|VMCA|G9R16L100|KYG9R16L1008|Valuence Merger Corp I|CL A ORD USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN5-3|TXN10-2|TXN5-3|TXN5-4|6210000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||11.18|11.175|0.0|0.0|11.18|11.175|11.18|0.0|0.0|0.0|0.0|0.0|11.18|0.0|0.0|0.0|0.0|11.18|0.0|11.18|0.0|0.0|0.0|0.0|10.49|11.86|0.0|0.0|0.0|0.0|11.08|11.23|11.85|10.29|62251|14619082 73586|VMCAU|VMCAU|G9R16L126|KYG9R16L1263|Valuence Merger Corp I|UNITS||R|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN5-7|TXN14-6|TXN5-5|TXN5-1|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|11.5|0.0|0.0|0.0|0.0|11.08|11.5|11.25|10.03|4|277708 73930|VMCAW|VMCAW|G9R16L118|KYG9R16L1180|Valuence Merger Corp I|WT EXP||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-6|TXN6-8|TXN11-4|TXN5-2|TXN6-7|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0181|0.04|0.2498|0.015|0|3861603 64272|VMD|VMD|92663R105|CA92663R1055|Viemed Healthcare Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN5-1|TXN13-7|TXN5-2|TXN6-6|38490000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201010|20101025|Health Care |Health Care |Health Care Providers|Health Care Services|N||N||||||Y|0|Y||||||7.79|7.79|0.0|7.78|7.78|7.72|7.76|7.74|0.0|0.0|7.76|0.0|7.78|7.869|0.0|7.7|0.0|7.78|7.7|7.78|7.69|7.89|5.94|9.44|7.71|7.85|5.94|7.83|7.75|0.0|7.77|7.79|12.0099|5.9|53820|31066249 70658|VMEO|VMEO|92719V100|US92719V1008|Vimeo Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN5-1|TXN12-8|TXN5-7|TXN6-8|157460000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||||||3.7|3.69|0.0|3.74|3.7|3.7|3.7|3.7|0.0|0.0|3.69|3.685|3.69|3.69|3.68|3.7|3.68|3.7|3.7|3.69|3.69|3.72|2.85|4.5|3.69|3.72|3.66|3.72|3.65|3.73|3.69|3.7|5.19|3.015|795284|345445768 9873|VMI|VMI|920253101|US9202531011|Valmont Industries, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN2-8|TXN8-8|TXN3-3|TXN2-4|20890000|||Quarterly|||||2002-08-30||||||| | | | | | | | | |||N|0|Y|Y|180A|USA|US|||50|5020|502030|50203000|Industrials|Industrial Goods and Services|General Industrials|Diversified Industrials|N||N||||||Y|0|Y||Y|1|||224.56|223.16|0.0|224.54|224.57|223.11|223.13|223.18|0.0|0.0|224.53|223.15|223.09|224.5|225.18|223.18|223.03|223.32|206.91|223.18|223.28|223.41|209.13|236.85|222.85|223.49|222.76|223.57|222.72|223.43|223.28|223.41|345.65|188.625|177963|37588594 9876|VMO|VMO|46132C107|US46132C1071|Invesco Municipal Opportunity Trust|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|D|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN2-4|TXN6-8|TXN4-4|TXN1-3|67440000|||Monthly|||||1992-06-03||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||9.28|9.3|0.0|9.32|9.29|9.295|9.295|9.29|0.0|0.0|9.27|9.29|9.295|9.321|0.0|9.3|9.28|9.295|0.0|9.3|9.28|9.3|7.17|11.42|8.7|9.93|9.26|9.32|9.29|9.3|9.28|9.3|10.19|7.86|268990|34775690 57232|VMOT|VMOT|02072L508|US02072L5084|Alpha Architect Value Momentum Trend|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN5-4|TXN10-4|TXN6-2|TXN6-1|1650000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||22.96|22.96|0.0|0.0|22.96|22.96|22.992|22.98|0.0|0.0|22.98|0.0|22.98|0.0|0.0|23.01|0.0|22.98|22.96|22.98|0.0|0.0|0.0|0.0|22.97|23.07|22.9|0.0|22.9|23.15|22.99|23.07|25.37|21.1|78545|1372227 72821|VNAM|VNAM|37960A883|US37960A8835|Global X Funds|Global X MSCI Vietnam ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Global X|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-3|TXN3-7|TXN4-8|TXN3-1|TXN3-8|640000|||BiAnnually|||||2021-12-09||VNAM.NV|VNAM.SO|VNAM.EU|VNAM.TC|VNAM.IV| | | | | | | | | |1x|The Global X MSCI Vietnam ETF (Fund) seeks to provide investment results that correspond generally to the price and yield performance, before fees and expenses, of the MSCI Vietnam IMI Select 25/50 Index (Underlying Index).|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||16.31|16.34|0.0|0.0|16.31|0.0|16.43|0.0|0.0|0.0|0.0|0.0|16.41|16.31|0.0|0.0|0.0|16.475|0.0|16.475|0.0|0.0|0.0|0.0|16.41|16.53|0.0|0.0|0.0|0.0|16.41|16.53|19.25|14.2|4239|1456605 43190|VNCE|VNCE|92719W207|US92719W2070|Vince Holding Corp.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN3-6|TXN1-5|TXN1-4|TXN4-2|12500000|||NotApplicable|||||2017-10-24||||||| | | | | | | | | |||N|0|N|Y|148B|USA|US|||40|4020|402040|40204020|Consumer Discretionary|Consumer Products and Services|Personal Goods|Clothing and Accessories|N||N||||||N|0|Y||Y|2|||0.0|1.34|0.0|0.0|0.0|1.34|1.3408|1.25|0.0|0.0|1.33|0.0|1.34|0.0|0.0|1.34|0.0|1.34|0.0|1.34|1.3|1.34|0.0|0.0|1.29|1.38|1.04|1.6|0.0|0.0|1.3|1.34|8.48|1.0|9759|1173266 16352|VNDA|VNDA|921659108|US9216591084|Vanda Pharmaceuticals Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN6-8|TXN10-4|TXN6-6|TXN6-4|57530000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103015|Health Care |Health Care |Pharmaceuticals and Biotechnology|Pharmaceuticals |N||N||||||Y|0|Y||||||3.86|3.855|0.0|0.0|3.86|3.855|3.859|3.85|0.0|0.0|3.85|3.85|3.85|3.855|3.85|3.855|3.85|3.859|3.86|3.85|3.81|3.87|2.98|4.66|3.84|3.87|3.82|3.88|3.84|3.87|3.85|3.86|11.0425|3.295|467628|183782410 37842|VNET|VNET|90138A103|US90138A1034|VNET Group Inc|ADR||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN6-4|TXN13-2|TXN5-5|TXN6-2|857360000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||10|1010|101010|10101010|Technology|Technology|Software and Computer Services|Computer Services|N||N||||||Y|0|Y||||||2.73|2.72|0.0|0.0|2.73|2.725|2.725|2.725|0.0|0.0|2.72|2.72|2.71|2.72|2.72|2.725|2.72|2.73|2.72|2.71|2.7|2.76|2.14|2.8|2.7|2.76|2.69|2.76|2.71|2.74|2.72|2.73|6.83|2.53|1138842|412458767 54420|VNLA|VNLA|47103U886|US47103U8861|Janus Detroit Street Trust|Janus Henderson Short Duration Income ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Janus Henderson|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-8|TXN1-6|TXN7-8|TXN1-4|TXN3-1|50100000|||Monthly|||||2016-11-17||VNLA.NV|VNLA.SO|VNLA.EU|VNLA.TC|VNLA.IV| | | | | | | | | ||Janus Short Duration Income ETF seeks to provide a steady income stream with preservation of capital across various market cycles.|N|0|N|N|416A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||Y|0|Y||Y|1|||48.15|48.145|0.0|0.0|48.14|48.15|48.15|48.145|0.0|0.0|48.15|48.16|48.145|48.15|0.0|48.15|48.17|48.12|48.155|48.12|45.69|50.61|45.1|51.18|48.13|48.15|45.1|51.18|0.0|0.0|48.13|48.15|48.8|47.37|740428|96409968 31338|VNM|VNM|92189F817|US92189F8178|VanEck Vietnam ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-8|TXN1-5|TXN8-8|TXN2-1|TXN2-5|41150000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||13.6|13.59|0.0|0.0|13.6|13.595|13.6|13.59|0.0|0.0|13.6|13.59|13.6|13.59|13.6|13.595|0.0|13.6|0.0|13.59|12.91|13.61|12.67|14.39|13.46|13.61|13.46|13.8|13.46|13.8|13.46|13.61|15.645|11.16|783918|168729691 67541|VNMC|VNMC|63875W307|US63875W3079|Natixis ETF Trust II|Natixis Vaughan Nelson Mid Cap ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Natixis|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-5|TXN3-3|TXN6-8|TXN4-3|TXN4-8|110400|||Yearly|||||2020-09-17||VNMC.NV|VNMC.SO|VNMC.EU|VNMC.TC|VNMC.IV| | | | | | | | | ||The Fund seeks long-term capital appreciation and will primarily invest, under normal market conditions, in companies that, at the time of purchase, have market capitalizations either within the capitalization range of the Russell Midcap Value Index. The Russell Midcap Value Index is an unmanaged index that measures the performance of companies with lower price-to-book ratios and lower forecasted growth values within the broader Russell Midcap Index, or of $15 billion or less. |N|0|N|N|408A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|31.1391|0.0|31.1391|24.52|37.29|0.0|0.0|31.09|31.17|24.52|37.29|0.0|0.0|31.1|31.16|31.1391|27.1376|13|171628 9880|VNO|VNO|929042109|US9290421091|Vornado Realty Trust|Common Shares of Beneficial Interest|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-6|TXN2-2|TXN1-2|TXN2-7|TXN3-1|190320000|||Quarterly|||||1962-01-31||||||| | | | | | | | | |||N|0|Y|Y|414A|USA|US|||35|3510|351020|35102030|Real Estate|Real Estate |Real Estate Investment Trusts|Office REITs|N||N||||||Y|0|Y||Y|1|||27.76|27.76|0.0|27.73|27.75|27.755|27.76|27.75|0.0|0.0|27.76|27.75|27.76|27.75|27.745|27.76|27.73|27.76|27.75|27.76|27.75|27.76|25.96|29.46|27.73|27.78|27.71|27.79|27.7|27.81|27.75|27.76|27.8|12.31|4239621|866657141 41385|VNO PRL|VNOpL|929042844|US9290428443|Vornado Realty Trust|5.40% Series L Cumulative Redeemable Preferred Shares|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN2-3|TXN5-8|TXN1-3|TXN3-5|12000000|||Quarterly|||||2013-02-01||||||| | | | | | | | | |||N|0|N|N|414A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||16.64|16.57|0.0|0.0|16.52|16.55|16.615|16.615|0.0|0.0|16.61|16.7|16.57|0.0|0.0|16.67|0.0|16.67|16.54|16.67|16.52|16.7|0.0|0.0|16.23|17.04|0.0|0.0|0.0|0.0|16.52|16.7|20.09|11.2706|79425|7298030 60314|VNO PRM|VNOpM|929042828|US9290428286|Vornado Realty Trust|5.25% Series M Cumulative Redeemable Preferred Shares of Beneficial Interest|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN2-6|TXN8-8|TXN4-4|TXN1-2|12780000|||Quarterly|||||2017-12-15||||||| | | | | | | | | |||N|0|N|N|414A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||15.95|15.89|0.0|0.0|16.06|15.87|15.92|0.0|0.0|0.0|15.89|15.92|15.9|0.0|0.0|15.92|16.18|15.92|0.0|15.92|15.87|16.09|16.02|16.09|15.85|16.38|0.0|0.0|0.0|0.0|15.87|16.09|19.57|10.76|40239|11701839 68362|VNO PRN|VNOpN|929042810|US9290428104|Vornado Realty Trust|5.25% Series N Cumulative Redeemable Preferred Shares of Beneficial Interest, liquidation preference $25.00 per share|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN2-5|TXN3-8|TXN1-6|TXN1-4|12000000|||Quarterly|||||2020-12-03||||||| | | | | | | | | |||N|0|N|N|414A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||16.24|16.26|0.0|0.0|15.92|15.96|15.93|16.2|0.0|0.0|16.1|0.0|16.06|16.06|0.0|15.93|16.06|15.93|16.06|15.93|15.92|16.1|0.0|0.0|15.86|16.42|0.0|0.0|0.0|0.0|15.92|16.1|19.13|10.77|28937|12593979 71834|VNO PRO|VNOpO|929042794|US9290427940|Vornado Realty Trust|4.45% Series O Cumulative Redeemable Preferred Shares, Liquidation Preference $25.00 Per Share|Real estate investment trust|B|N|N|N|Y|Y|Y|Y|Y|6|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN4-5|TXN8-8|TXN3-3|TXN1-1|12000000|||Quarterly|||||2021-09-29||||||| | | | | | | | | |||N|0|N|N|414A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|14.0|0.0|0.0|13.8|13.82|13.81|13.955|0.0|0.0|0.0|0.0|13.8|0.0|0.0|13.81|0.0|13.81|0.0|13.81|13.75|13.99|0.0|0.0|13.8|13.98|0.0|0.0|0.0|0.0|13.71|13.89|16.94|9.2|51481|9956515 44469|VNOM|VNOM|927959106|US9279591062|Viper Energy Inc|CL A COM USD0.000001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN6-7|TXN11-7|TXN6-5|TXN6-3|87140000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||60|6010|601010|60101010|Energy|Energy|Oil, Gas and Coal|Oil: Crude Producers|N||N||||||Y|0|Y||||||30.7|30.72|0.0|30.38|30.68|30.69|30.71|30.715|0.0|0.0|30.7|30.65|30.71|30.53|30.7|30.73|30.67|30.71|30.5|30.71|30.64|30.79|23.64|37.55|30.64|30.79|30.66|30.78|30.69|30.78|30.69|30.73|34.11|24.48|1026950|100628893 9889|VNQ|VNQ|922908553|US9229085538|Vanguard Specialized Funds|Vanguard Real Estate ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Vanguard|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-1|TXN2-2|TXN6-7|TXN1-1|TXN2-2|378927391|||Quarterly|||||2008-09-19||VNQ.NV|VNQ.SO|VNQ.EU|VNQ.TC|VNQ.IV| | | | | | | | | |1x|Vanguard REIT ETF is an exchange-traded share class of Vanguard REIT Index Fund, which employs a passive managementor indexinginvestment approach designed to track the performance of the MSCI US REIT Index, a benchmark of U.S. property trusts that covers about two-thirds of the value of the entire U.S. REIT market. 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The Fund may invest a greater percentage of its assets in a particular issuer and may invest in fewer issuers than a diversified fund. Typically, the ETFs portfolio will hold 20 to 40 securities. The ETF may invest in companies with any market capitalization, although, it will typically focus its investments in mid to large- capitalization companies. The S&P 500 is an unmanaged index of 500 common stocks chosen for market size, liquidity, and industry group representation, among other factors. 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The fund attempts to replicate the target index by investing all, or substantially all, of its assets in the stocks that make up the index, holding each stock in approximately the same proportion as its weighting in the index.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||139.24|139.39|0.0|0.0|139.56|139.51|139.54|139.46|0.0|0.0|139.55|138.15|139.49|139.45|139.39|139.37|139.28|139.46|139.34|139.46|139.47|139.79|130.11|148.73|139.47|139.52|132.56|146.03|139.18|139.76|139.47|139.52|147.74|123.92|500386|90155514 35760|VONE|VONE|92206C730|US92206C7305|Vanguard Russell 1000 Index Fund|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN5-1|TXN12-4|TXN5-8|TXN5-5|19250000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||207.95|208.13|0.0|0.0|208.21|207.97|208.09|207.835|0.0|0.0|207.99|0.0|208.17|207.99|207.96|207.97|0.0|208.13|207.96|208.17|207.76|208.61|208.11|208.48|208.11|208.2|207.9|208.48|207.91|208.48|208.11|208.17|209.207|170.65|166346|19117103 35761|VONG|VONG|92206C680|US92206C6802|Vanguard Russell 1000 Growth Index Fund|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN6-6|TXN13-7|TXN6-8|TXN6-3|215960000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||74.35|74.51|0.0|74.53|74.5|74.5|74.49|74.51|0.0|0.0|74.54|74.5|74.51|74.44|74.49|74.49|74.51|74.49|74.5|74.51|74.42|74.67|74.42|74.6|74.49|74.52|74.42|74.6|74.42|74.57|74.49|74.51|75.56|53.82|931547|190470472 35762|VONV|VONV|92206C714|US92206C7149|Vanguard Russell 1000 Value ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN5-8|TXN12-1|TXN5-4|TXN6-7|106580000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||69.96|69.94|0.0|69.77|69.96|69.95|69.9438|69.96|0.0|0.0|69.95|69.95|69.94|69.96|69.97|69.955|69.9|69.94|69.86|69.94|69.85|70.03|69.82|70.03|69.92|69.95|69.81|70.03|69.81|70.03|69.92|69.94|72.02|62.92|1275517|120100272 35704|VOO|VOO|922908363|US9229083632|Vanguard Index Funds|Vanguard S&P 500 ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Vanguard|Latour Trading, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-4|TXN3-2|TXN1-3|TXN2-2|TXN3-6|846779130|||Quarterly|||||2010-09-09||VOO.NV|VOO.SO|VOO.EU|VOO.TC|VOO.IV| | | | | | | | | |1x|Vanguard 500 Index Fund seeks to track the performance of a benchmark index that measures the investment return of large-capitalization stocks.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||419.56|419.65|0.0|419.81|419.63|419.62|419.579|419.66|0.0|0.0|419.6|419.65|419.68|419.56|419.63|419.64|419.64|419.74|419.78|419.74|419.6|419.72|418.98|420.27|419.62|419.63|419.45|419.82|419.2|420.0|419.62|419.63|422.37|344.34|5806079|926898509 35705|VOOG|VOOG|921932505|US9219325050|Vanguard Admiral Funds|Vanguard S&P 500 Growth ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Vanguard|Latour Trading, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-6|TXN4-8|TXN6-1|TXN4-6|TXN1-7|31910972|||Quarterly|||||2010-09-09||VOOG.NV|VOOG.SO|VOOG.EU|VOOG.TC|VOOG.IV| | | | | | | | | |1x|Vanguard S&P 500 Growth Index Fund seeks to track the performance of a benchmark index that measures the investment return of large-capitalization growth stocks in the United States.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||260.45|260.93|0.0|0.0|260.92|260.9|260.925|261.03|0.0|0.0|260.45|260.9|260.87|260.45|260.45|260.72|0.0|260.92|261.65|260.92|260.42|261.42|242.19|277.5|260.86|260.92|260.5|261.21|260.5|261.05|260.85|260.95|263.725|206.24|108110|25657258 35706|VOOV|VOOV|921932703|US9219327031|Vanguard Admiral Funds|Vanguard S&P 500 Value ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Vanguard|Latour Trading, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-5|TXN2-1|TXN7-7|TXN2-2|TXN4-5|23700000|||Quarterly|||||2010-09-09||VOOV.NV|VOOV.SO|VOOV.EU|VOOV.TC|VOOV.IV| | | | | | | | | |1x|Vanguard S&P 500 Value Index Fund seeks to track the performance of a benchmark index that measures the investment return of large-capitalization value stocks in the United States.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||160.06|160.94|0.0|160.06|161.02|160.8|160.98|160.98|0.0|0.0|160.88|160.88|160.98|160.74|160.88|160.71|0.0|160.95|160.06|160.95|160.65|161.36|150.06|170.38|160.95|160.99|160.71|161.15|160.71|161.15|160.95|160.99|161.81|136.595|67321|19682036 69081|VOR|VOR|929033108|US9290331084|Vor Biopharma Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN6-2|TXN13-1|TXN5-6|TXN5-2|67810000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||2.15|2.13|0.0|0.0|2.12|2.16|2.12|2.135|0.0|0.0|2.16|2.18|2.15|2.17|0.0|2.06|0.0|2.15|2.09|2.15|2.07|2.22|1.75|2.56|2.1|2.19|2.11|2.18|2.1|2.19|2.14|2.15|7.57|1.62|153509|32381930 17055|VOT|VOT|922908538|US9229085389|Vanguard Index Funds|Vanguard Mid-Cap Growth ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Vanguard|Latour Trading, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-7|TXN2-5|TXN2-4|TXN2-6|TXN2-6|53651721|||Quarterly|||||2008-09-19||VOT.NV|VOT.SO|VOT.EU|VOT.TC|VOT.IV| | | | | | | | | |1x|Mid-Cap Growth ETF is an exchange-traded share class of Vanguard Mid-Cap Growth Index Fund, which employs a passive managementor indexinginvestment approach designed to track the performance of the MSCI US Mid Cap Growth Index, a broadly diversified index of growth stocks of medium-size U.S. companies. The fund attempts to replicate the target index by investing all, or substantially all, of its assets in the stocks that make up the index, holding each stock in approximately the same proportion as its weighting in the index.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||207.0|206.42|0.0|0.0|206.43|206.79|207.02|206.97|0.0|0.0|206.4|205.19|206.97|206.62|207.34|206.52|0.0|207.02|188.35|207.02|206.52|207.38|193.09|219.84|206.92|206.98|197.19|216.27|206.55|207.75|206.9|207.01|215.18|175.7|142327|32830359 70944|VOTE|VOTE|29287L106|US29287L1061|TCW Transform 500 ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-7|TXN2-8|TXN2-5|TXN2-1|TXN2-8|11640000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|53.36|0.0|0.0|0.0|53.36|53.3325|0.0|0.0|0.0|0.0|0.0|53.265|53.29|0.0|0.0|0.0|53.36|0.0|53.36|53.33|53.37|40.09|65.85|53.34|53.36|53.23|53.48|53.24|53.48|53.33|53.36|53.6876|43.42|22049|9023194 9899|VOX|VOX|92204A884|US92204A8844|Vanguard World Funds|Vanguard Communication Services ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Vanguard|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-4|TXN2-6|TXN1-8|TXN2-8|TXN2-4|30352297|||Quarterly|||||2008-09-19||VOX.NV|VOX.SO|VOX.EU|VOX.TC|VOX.IV| | | | | | | | | |1x|Vanguard Telecommunication Services ETF is an exchange-traded share class of Vanguard Telecommunication Services Index Fund, which employs a passive managementor indexinginvestment approach designed to track the performance of the MSCI US Investable Market Telecommunication Services Index, an index of stocks of large, medium, and small U.S. companies in the telecommunication services sector, as classified under the Global Industry Classification Standard (GICS). This GICS sector is made up of companies that provide communications services primarily through a fixed-line, cellular, wireless, high bandwidth, and/or fiber-optic cable network. The fund attempts to replicate the target index by investing all, or substantially all, of its assets in the stocks that make up the index, holding each stock in approximately the same proportion as its weighting in the index. The fund also may sample its target index by holding stocks that, in the aggregate, are intended to approximate the index in terms of key characteristics, such as price/earnings ratio, earnings growth, and dividend yield. Typically, the fund will use a sampling strategy only if regulatory constraints or other considerations prevent it from replicating the index.|N|0|N|N|406C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||111.18|111.42|0.0|0.0|111.45|111.43|111.48|111.155|0.0|0.0|110.94|111.03|111.43|111.09|110.88|111.54|0.0|111.49|0.0|111.49|111.43|111.72|103.27|118.26|111.43|111.49|111.4|111.53|111.12|111.68|111.43|111.49|114.25|79.7112|247128|49750000 72658|VOXR|VOXR|92919F103|CA92919F1036|Vox Royalty Corp|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN6-7|TXN12-4|TXN6-3|TXN6-6|48810000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CAN||||55|5510|551020|55102000|Basic Materials|Basic Resources|Industrial Metals and Mining|General Mining|N||N||||||N|0|Y||||||2.09|2.085|0.0|0.0|2.05|2.09|2.05|0.0|0.0|0.0|2.12|2.1|2.1|2.07|0.0|2.1|2.09|2.05|2.14|2.05|1.63|2.6|1.63|2.6|2.05|2.16|2.03|2.13|2.02|2.14|2.05|2.1|3.1599|1.46|58697|9184949 4312|VOXX|VOXX|91829F104|US91829F1049|VOXX International Corp|CL A COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN5-4|TXN13-7|TXN5-5|TXN6-5|20380000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4020|402030|40203010|Consumer Discretionary|Consumer Products and Services|Leisure Goods|Consumer Electronics|N||N||||||N|0|Y||||||11.43|11.42|0.0|0.0|11.44|11.395|11.42|11.385|0.0|0.0|11.36|11.25|11.41|0.0|0.0|11.38|0.0|11.39|11.39|11.41|11.17|11.61|0.0|0.0|11.18|11.59|8.69|13.78|0.0|0.0|11.36|11.41|14.75|7.245|48056|17730380 41908|VOYA|VOYA|929089100|US9290891004|Voya Financial, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-6|TXN4-5|TXN8-7|TXN1-2|TXN1-8|104470000|||Quarterly|||||2013-05-02||||||| | | | | | | | | |||N|0|Y|Y|410B|USA|US|||30|3020|302020|30202010|Financials|Financial Services |Investment Banking and Brokerage Services |Asset Managers and Custodians|N||N||||||Y|0|Y||Y|1|||72.13|72.13|0.0|72.18|72.13|72.105|72.18|72.18|0.0|0.0|72.15|72.13|72.18|72.13|72.105|72.17|71.64|72.18|72.1|72.17|72.17|72.18|67.3|76.23|72.0|72.44|72.08|72.24|72.17|72.24|72.17|72.18|78.11|58.83|648801|271258135 63881|VOYA PRB|VOYApB|929089209|US9290892093|Voya Financial, Inc.|Depositary Shares, each representing a 1/40th interest in a share of 5.35% Fixed-Rate Reset Non-Cumulative Preferred Stock, Series B|Operating company|B|N|N|N|Y|Y|Y|Y|Y|6|H|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN2-4|TXN6-8|TXN2-4|TXN1-5|12000000|||Quarterly|||||2019-06-20||||||| | | | | | | | | |||N|0|N|N|410B|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||23.94|23.96|0.0|0.0|23.96|23.98|23.97|23.95|0.0|0.0|0.0|23.94|23.97|23.98|23.96|23.94|0.0|23.97|0.0|23.94|23.88|24.0|0.0|0.0|23.48|24.38|0.0|0.0|0.0|0.0|23.88|24.0|25.47|19.83|54631|6754165 62938|VPC|VPC|26923G798|US26923G7988|ETFis Series Trust I|Virtus Private Credit Strategy ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Virtus ETF Advisers |Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN4-8|TXN7-8|TXN4-6|TXN2-1|1150004|||Quarterly|||||2019-02-08||VPC.NV|VPC.SO|VPC.EU|VPC.TC|VPC.IV| | | | | | | | | |1x|Index comprised of publicly traded BDCs and Closed End Funds|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|21.68|21.8442|21.71|0.0|0.0|21.71|0.0|21.87|0.0|0.0|0.0|0.0|21.8591|0.0|21.8591|21.62|22.09|21.74|21.99|21.85|21.88|21.78|21.88|0.0|0.0|21.62|22.09|22.48|19.61|1505|4879101 32884|VPG|VPG|92835K103|US92835K1034|Vishay Precision Group, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN1-5|TXN9-8|TXN2-4|TXN1-1|12510000|||NotApplicable|||||2010-06-23||||||| | | | | | | | | |||N|0|N|Y|114D|USA|US|||50|5020|502020|50202025|Industrials|Industrial Goods and Services|Electronic and Electrical Equipment|Electronic Equipment: Gauges and 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LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-8|TXN2-4|TXN8-8|TXN1-5|TXN4-8|154000|||Monthly|||||2016-12-06||BLHY.NV|BLHY.SO|BLHY.EU|BLHY.TC|BLHY.IV| | | | | | | | | ||Fixed income and Bank Loans|N|0|N|N|416A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|21.1|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|21.165|0.0|21.165|16.32|26.04|16.32|26.04|21.08|21.29|16.32|26.04|0.0|0.0|21.08|21.25|21.165|21.005|1610|2534 70435|VSLU|VSLU|26923N405|US26923N4051|ETF Opportunities Trust|Applied Finance Valuation Large Cap ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Applied Finance Advisors|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-1|TXN1-7|TXN9-8|TXN4-8|TXN1-1|2400000|||Yearly|||||2021-04-30||VSLU.NV|VSLU.SO|VSLU.EU|VSLU.TC| | | | | | | | | | ||Long-term capital appreciation generally achieved by investing in equity securities of large cap companies. Large cap companies are defined as companies with market capitalizations of $5 billion or more.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|28.62|28.47|0.0|0.0|0.0|0.0|0.0|28.46|0.0|0.0|0.0|0.0|28.5028|0.0|28.5028|0.0|0.0|0.0|0.0|28.48|28.52|28.18|28.69|0.0|0.0|28.48|28.52|28.66|23.3399|15611|2472274 76396|VSME|VSME|G9517U103|VGG9517U1030|VS MEDIA Holdings Ltd|CL A ORD NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-3|TXN5-8|TXN12-1|TXN5-2|TXN5-4|18000000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||HKG||||40|4030|403010|40301020|Consumer Discretionary|Media|Media|Media Agencies|N||N||||||N|0|Y||||||0.865|0.87|0.0|0.0|0.865|0.8791|0.88|0.88|0.0|0.0|0.8763|0.8763|0.8782|0.0|0.0|0.0|0.811|0.88|0.0|0.88|0.6888|1.04|0.6888|1.04|0.7842|0.9|0.6888|1.04|0.0|0.0|0.84|0.8753|8.64|0.65|136875|110451579 58778|VSMV|VSMV|92647N691|US92647N6913|VictoryShares US Multi-Factor Minimum Volatility ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN6-2|TXN11-2|TXN6-3|TXN6-5|3600000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|41.59|0.0|0.0|0.0|0.0|0.0|41.635|0.0|0.0|0.0|41.54|41.59|0.0|41.635|0.0|0.0|41.54|41.72|41.54|41.72|41.54|41.73|41.54|0.0|41.61|41.65|41.67|36.68|156728|1778717 30729|VSS|VSS|922042718|US9220427184|Vanguard International Equity Index Funds|Vanguard FTSE All-World ex-US Small-Cap ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Vanguard|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-5|TXN3-2|TXN4-3|TXN3-5|TXN1-3|73464110|||Quarterly|||||2009-04-06||VSS.NV|VSS.SO|VSS.EU|VSS.TC|VSS.IV| | | | | | | | | |1x|Vanguard FTSE All-World ex-US small cap ETF is an exchange-traded share class of Vanguard FTSE All-World ex-US small cap Index Fund, which employs a passive managementor indexinginvestment approach designed to track the performance of the FTSE Global small cap ex US Index. The index includes approximately 3,300 stocks of companies in more than 46 countries, from both developed and emerging markets around the world. The fund invests in a broadly diversified sampling of stocks in the index that approximates the indexs key risk factors and characteristics.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||110.82|110.82|0.0|0.0|110.83|110.85|110.82|110.82|0.0|0.0|110.84|110.82|110.84|110.86|110.79|110.87|110.495|110.83|110.495|110.83|105.64|116.58|103.27|118.45|110.8|110.86|105.64|116.58|0.0|0.0|110.8|110.86|116.2299|99.0261|370918|76845517 68805|VSSYW|VSSYW|92535P147|CA92535P1475|Versus Systems Inc|WT EXP 121725||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-1|TXN6-3|TXN10-3|TXN5-2|TXN5-7|10710000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CAN||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0197|0.0|0.0|0.0|0.0|0.0197|0.0|0.0197|0.0|0.0|0.0|0.0|0.0|0.026|0.0|0.0|0.0|0.0|0.0075|0.0197|0.15|0.0021|5037|2205876 57301|VST|VST|92840M102|US92840M1027|Vistra Corp.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|A|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-5|TXN3-5|TXN8-2|TXN1-7|TXN1-5|357550000|||Quarterly|||||2017-05-10||||||| | | | | | | | | |||N|0|Y|Y|300A|USA|US|||65|6510|651010|65101015|Utilities|Utilities|Electricity|Conventional Electricity|N||N||||||Y|0|Y||Y|1|||37.12|37.12|0.0|37.15|37.16|37.155|37.13|37.145|0.0|0.0|37.14|37.145|37.12|37.16|37.15|37.12|37.1|37.13|37.145|37.12|37.12|37.13|34.65|39.34|37.11|37.16|37.08|37.17|37.11|37.17|37.12|37.13|37.16|21.18|5748408|923652886 56736|VST WSA|VST.WS.A|92840M128|US92840M1282|Vistra Corp.|Warrants to purchase Common Stock (Expiring February 2, 2024)|Operating company|C|N|N|N|Y|Y|Y|Y|Y|6|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN9-8|TXN2-8|TXN1-5|TXN1-1|TXN2-8|362110000|||NotApplicable|||||2018-04-09|2024-02-02|||||| | | | | | | | | |||N|0|N|N|300A|USA|US|||||||||||N||N||||||N|0|Y|C|N||||0.0|0.14|0.0|0.0|0.0|0.1488|0.1385|0.0|0.0|0.0|0.0|0.1475|0.0|0.0|0.0|0.13|0.0|0.13|0.0|0.13|0.1|0.1524|0.0|0.0|0.0675|0.1525|0.0|0.0|0.0|0.0|0.1|0.1524|0.44|0.0056|148279|2696425 67120|VSTA|VSTA|G9440A109|KYG9440A1094|Vasta Platform Ltd|COM CL A USD0.00005||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN5-8|TXN11-3|TXN5-3|TXN6-7|18210000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||BRA||||40|4020|402010|40201010|Consumer Discretionary|Consumer Products and Services|Consumer Services |Education Services|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|4.15|4.1589|0.0|0.0|0.0|4.14|0.0|4.05|0.0|0.0|0.0|0.0|4.1|0.0|4.1|3.29|5.04|0.0|0.0|3.52|4.37|3.29|5.04|0.0|0.0|3.77|4.1|4.6|3.05|7699|7068962 39471|VSTM|VSTM|92337C203|US92337C2035|Verastem Inc|COM USD.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN5-7|TXN13-2|TXN6-2|TXN6-7|25270000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||7.42|7.46|0.0|0.0|7.48|7.52|7.43|7.435|0.0|0.0|7.45|0.0|7.49|7.43|7.43|7.17|0.0|7.43|0.0|7.49|7.27|7.72|5.86|9.31|7.3|7.65|7.15|7.87|7.29|7.61|7.43|7.5|13.3263|0.3225|76668|211121957 49248|VSTO|VSTO|928377100|US9283771007|Vista Outdoor Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN4-1|TXN7-4|TXN1-8|TXN1-1|58070000|||NotApplicable|||||2015-01-29||||||| | | | | | | | | |||N|0|N|Y|144C|USA|US|||40|4020|402030|40203050|Consumer Discretionary|Consumer Products and Services|Leisure Goods|Recreational Products|N||N||||||Y|0|Y||Y|2|||28.55|28.605|0.0|28.32|28.56|28.6|28.57|28.57|0.0|0.0|28.55|28.46|28.57|28.57|28.41|28.57|28.48|28.57|28.61|28.57|28.55|28.57|22.53|35.21|28.5|28.61|28.53|28.62|28.55|28.63|28.55|28.57|33.78|22.97|610426|134318359 76377|VSTS|VSTS|29430C102|US29430C1027|Vestis Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN1-1|TXN4-4|TXN1-4|TXN4-6|130730000|||Quarterly|||||2023-09-27||||||| | | | | | | | | |||N|0|Y|Y|148B|USA|US|||50|5020|502050|50205010|Industrials|Industrial Goods and Services|Industrial Support Services|Industrial Suppliers|N||N||||||Y|0|Y||Y|1|||18.79|18.79|0.0|18.83|18.8|18.79|18.785|18.79|0.0|0.0|18.78|18.79|18.79|18.79|18.8|18.78|18.85|18.79|18.79|18.78|18.78|18.79|17.62|19.94|18.76|18.79|18.75|18.82|18.74|18.83|18.78|18.79|19.31|13.83|2398184|101554700 28318|VT|VT|922042742|US9220427424|Vanguard International Equity Index Funds|Vanguard Total World Stock ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Vanguard|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-5|TXN3-7|TXN9-3|TXN3-5|TXN3-7|305654752|||Quarterly|||||2008-06-26||VT.NV|VT.SO|VT.EU|VT.TC|VT.IV| | | | | | | | | |1x|The Fund employs an indexing investment approach designed to track the performance of the FTSE Global All Cap Index, a free-float-adjusted, market-capitalization-weighted index designed to measure the market performance of large-, mid-, and small-capitalization stocks of companies located around the world. The Index includes approximately 7,240 stocks of companies located in 50 countries, including both developed and emerging markets.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||98.85|98.82|0.0|0.0|98.84|98.845|98.825|98.85|0.0|0.0|98.85|98.83|98.82|98.85|98.84|98.84|98.84|98.85|98.85|98.85|98.77|98.85|92.44|102.5|98.83|98.85|98.67|98.99|98.67|98.99|98.83|98.85|100.725|84.82|1918006|409948345 61860|VTAK|VTAK|74933X302|US74933X3026|Catheter Precision, Inc.|Common Stock|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN12-2|TXN2-6|TXN4-8|TXN3-3|TXN4-1|7010000|||NotApplicable|||||2020-12-22||||||| | | | | | | | | |||N|0|N|N|122A|USA|US|||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||N|4|Y||Y|2|||0.5|0.0|0.0|0.0|0.46|0.49|0.484|0.529|0.0|0.0|0.483|0.49|0.0|0.0|0.0|0.0|0.484|0.484|0.0|0.484|0.4541|0.5145|0.479|0.495|0.4541|0.5145|0.3904|0.5952|0.0|0.0|0.479|0.495|0.6|0.34|10864|3886027 60075|VTC|VTC|92206C573|US92206C5739|Vanguard Scottsdale Funds - Vanguard Total Corporate Bond ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN6-7|TXN14-2|TXN6-3|TXN5-7|11670000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||75.01|75.01|0.0|0.0|75.01|75.0|75.01|75.02|0.0|0.0|75.03|0.0|75.0|75.02|75.02|74.98|0.0|75.02|75.02|75.0|70.86|79.71|0.0|0.0|74.97|75.11|74.96|75.11|74.96|0.0|75.04|75.05|78.335|70.3|367697|20153125 50559|VTEB|VTEB|922907746|US9229077469|Vanguard Municipal Bond Funds|Vanguard Tax-Exempt Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Vanguard|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-1|TXN2-8|TXN6-3|TXN1-7|TXN4-6|614558192|||Monthly|||||2015-08-25||VTEB.NV|VTEB.SO|VTEB.EU|VTEB.TC|VTEB.IV| | | | | | | | | |1x|Vanguard Tax-Exempt Bond Index Fund is an exchange traded fund incorporated in the USA. The fund seeks to track the performance of the S&P National AMT-Free Muni Bond Index.|N|0|N|N|416A|USA|US|FIXED_INCOME|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||50.11|50.105|0.0|0.0|50.11|50.11|50.11|50.105|0.0|0.0|50.1|50.1|50.1|50.11|50.1|50.1|50.105|50.11|50.105|50.11|50.09|50.11|46.57|53.33|50.09|50.1|47.57|52.55|49.07|51.09|50.09|50.1|51.11|47.14|5427075|1150603003 75405|VTES|VTES|921935870|US9219358705|Vanguard Wellington Fund|Vanguard Short-Term Tax Exempt Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Vanguard|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-8|TXN2-4|TXN2-8|TXN3-8|TXN4-7|3875000|||Monthly|||||2023-03-09||VTES.NV|VTES.SO|VTES.EU|VTES.TC|VTES.IV| | | | | | | | | ||A broad, market value-weighted index designed to measure the performance of the investment-grade tax-exempt U.S. municipal bond market with maturities between one month and 7 years. Bonds issued by U.S. territories, including Puerto Rico, are excluded from the index.|N|0|N|N|416A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|1|||0.0|100.595|0.0|0.0|100.6|100.59|100.5805|100.59|0.0|0.0|100.59|100.59|100.59|100.59|0.0|100.59|0.0|100.6|0.0|100.6|0.0|0.0|0.0|0.0|100.58|100.6|0.0|0.0|0.0|0.0|100.58|100.6|101.9499|98.0|54660|8303476 71199|VTEX|VTEX|G9470A102|KYG9470A1022|VTEX|Class A Common Shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-6|TXN2-4|TXN6-5|TXN2-5|TXN1-2|81140000|||Adhoc|||||2021-07-21||||||| | | | | | | | | |||N|0|N|Y|108B|GBR|KY|||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||Y|2|||6.87|6.865|0.0|6.79|6.87|6.865|6.865|6.87|0.0|0.0|6.87|6.87|6.865|6.87|6.88|6.86|6.84|6.88|6.87|6.86|6.86|6.88|5.28|8.4|6.86|6.9|6.84|6.9|6.84|6.9|6.86|6.88|7.15|3.1193|246919|105707540 41566|VTGN|VTGN|92840H400|US92840H4002|VistaGen Therapeutics Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN6-3|TXN10-6|TXN5-6|TXN6-8|27020000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||4.16|4.16|0.0|4.12|4.15|4.16|4.15|4.165|0.0|0.0|4.17|4.1|4.15|4.13|4.17|4.14|4.17|4.15|4.11|4.15|4.03|4.25|3.21|5.13|4.06|4.23|4.11|4.17|4.12|4.16|4.13|4.15|24.71|0.09|1179118|727602087 35763|VTHR|VTHR|92206C599|US92206C5994|Vanguard Russell 3000 Index Fund|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN6-5|TXN14-3|TXN5-7|TXN5-7|9280000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||203.81|203.74|0.0|203.94|203.81|203.8|203.74|203.68|0.0|0.0|203.8|203.94|203.92|203.81|203.81|203.8|0.0|203.74|204.07|203.92|203.38|204.21|0.0|0.0|203.72|203.83|203.48|204.5|203.48|204.5|203.72|203.83|205.035|168.185|111897|6749572 10191|VTI|VTI|922908769|US9229087690|Vanguard Index Funds|Vanguard Total Stock Market ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Vanguard|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-6|TXN2-6|TXN8-4|TXN2-8|TXN1-6|1456392166|||Quarterly|||||2008-09-19||VTI.NV|VTI.SO|VTI.EU|VTI.TC|VTI.IV| | | | | | | | | |1x|Vanguard Total Stock Market ETF is an exchange-traded share class of Vanguard Total Stock Market Index Fund, which employs a passive managementor indexinginvestment approach designed to track the performance of the of the MSCI US Broad Market Index, which represents 99.5% or more of the total market capitalization of all of the U.S. common stocks regularly traded on the New York and American Stock Exchanges and the Nasdaq over-the-counter market. The fund typically holds the largest 1,2001,300 stocks in its target index (covering nearly 95% of the indexs total market capitalization) and a representative sample of the remaining stocks. The fund holds a range of securities that, in the aggregate, approximates the full index in terms of key characteristics. These key characteristics include industry weightings and market capitalization, as well as certain financial measures, such as price/earnings ratio and dividend yield.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||227.31|227.29|0.0|227.24|227.31|227.31|227.29|227.31|0.0|0.0|227.31|227.35|227.34|227.31|227.31|227.33|227.37|227.35|227.35|227.35|226.83|227.77|227.13|227.61|227.27|227.31|227.14|227.62|227.14|227.62|227.27|227.31|228.965|187.38|3837805|705539404 40860|VTIP|VTIP|922020805|US9220208055|Vanguard Short-Term Inflation-Protected Securities Index Fund|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN6-6|TXN13-2|TXN5-2|TXN6-3|281120000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||47.675|47.67|0.0|0.0|47.67|47.675|47.67|47.675|0.0|0.0|47.675|47.67|47.68|47.67|47.675|47.675|47.675|47.68|47.65|47.68|47.66|47.68|44.69|50.68|47.67|47.68|47.67|47.68|0.0|0.0|47.67|47.68|48.14|46.535|1445994|472140987 39362|VTLE|VTLE|516806205|US5168062058|Vital Energy, Inc.|Common Stock, par value $0.01 per share|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|A|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-7|TXN3-8|TXN7-8|TXN4-2|TXN4-6|27540000|||NotApplicable|||||2011-12-15||||||| | | | | | | | | |||N|0|N|Y|134A|USA|US|||60|6010|601010|60101010|Energy|Energy|Oil, Gas and Coal|Oil: Crude Producers|N||N||||||Y|0|Y||Y|2|||45.03|44.89|0.0|44.39|44.92|44.93|44.88|44.925|0.0|0.0|44.93|44.93|44.88|44.99|44.93|44.89|45.04|44.87|44.93|44.89|44.87|44.89|34.45|54.61|44.84|45.04|44.82|44.95|44.82|44.96|44.87|44.89|62.87|39.74|1995208|157573083 75955|VTMX|VTMX|92540K109|US92540K1097|Vesta Real Estate Corporation|American Depositary Shares, each representing ten (10) Common Shares|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-5|TXN1-1|TXN4-8|TXN3-7|TXN2-4|841990000|||Quarterly|||||2023-06-30||||||| | | | | | | | | |||N|0|N|Y|414A|MEX|MX|||35|3510|351010|35101010|Real Estate|Real Estate |Real Estate Investment and Services Development|Real Estate Holding and Development |N||N||||||N|0|Y||Y|2|||36.4|36.315|0.0|36.3|36.3|36.45|36.3|36.42|0.0|0.0|36.28|36.11|36.33|36.42|36.44|36.23|36.5|36.22|36.51|36.23|36.23|36.32|28.23|44.65|36.22|36.44|36.07|36.44|36.07|36.29|36.23|36.32|38.7|28.96|140487|18049672 9918|VTN|VTN|46131T101|US46131T1016|Invesco Trust For Investment Grade New York Municipals|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN3-7|TXN2-8|TXN1-4|TXN2-4|19490000|||Monthly|||||1992-05-13||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||10.115|10.12|0.0|0.0|10.1|10.1|10.1225|10.135|0.0|0.0|10.12|0.0|10.14|10.06|10.1|10.12|10.1|10.13|10.13|10.12|10.1|10.14|7.74|12.39|10.0|10.78|10.08|10.16|0.0|0.0|10.1|10.14|10.95|8.49|93500|10726992 30862|VTNR|VTNR|92534K107|US92534K1079|Vertex Energy Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN6-8|TXN14-6|TXN6-4|TXN5-6|93510000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||65|6510|651030|65103035|Utilities|Utilities|Waste and Disposal Services|Waste and Disposal Services|N||N||||||Y|0|Y||||||3.63|3.63|0.0|3.72|3.63|3.63|3.635|3.63|0.0|0.0|3.64|3.63|3.62|3.63|3.62|3.64|3.64|3.635|3.63|3.62|3.6|3.64|3.6|3.67|3.59|3.64|3.6|3.66|3.62|3.66|3.62|3.63|11.2|3.18|1939412|561417354 41327|VTOL|VTOL|11040G103|US11040G1031|Bristow Group Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN4-5|TXN1-5|TXN1-6|TXN2-2|28250000|||NotApplicable|||||2013-01-22||||||| | | | | | | | | |||N|0|N|Y|126E|USA|US|||60|6010|601010|60101030|Energy|Energy|Oil, Gas and Coal|Oil Equipment and Services|N||N||||||Y|0|Y||Y|2|||25.72|26.82|0.0|26.43|26.8|26.8|26.78|26.8|0.0|0.0|26.82|26.83|26.8|26.83|26.24|26.82|26.8|26.83|25.79|26.82|26.81|26.83|20.82|32.98|26.59|27.07|26.73|26.88|26.77|26.89|26.81|26.83|31.89|20.08|108304|26288618 9921|VTR|VTR|92276F100|US92276F1003|Ventas, Inc.|Common Stock|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|8|N|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-7|TXN4-1|TXN4-5|TXN2-2|TXN1-4|402380000|||Quarterly|||||1992-02-04||||||| | | | | | | | | |||N|5|Y|Y|412A|USA|US|||35|3510|351020|35102010|Real Estate|Real Estate |Real Estate Investment Trusts|Health Care REITs|N||N||||||Y|0|Y||Y|1|||47.17|47.17|0.0|46.58|47.17|47.18|47.17|47.18|0.0|0.0|47.185|47.185|47.17|47.19|47.07|47.18|47.18|47.16|47.17|47.18|47.16|47.18|44.15|50.1|47.14|47.2|47.15|47.23|47.16|47.25|47.16|47.18|53.15|39.33|2711109|511063137 68126|VTRS|VTRS|92556V106|US92556V1061|Viatris Inc|COM USD.5||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN5-2|TXN12-8|TXN6-1|TXN5-6|1199670000|||NotApplicable|||||||||||| | | | | | | | | |||N|5|Y|N||USA||||20|2010|201030|20103015|Health Care |Health Care |Pharmaceuticals and Biotechnology|Pharmaceuticals |N||N||||||Y|0|Y||||||9.69|9.68|0.0|9.71|9.69|9.68|9.685|9.685|0.0|0.0|9.68|9.68|9.68|9.68|9.69|9.68|9.68|9.68|9.69|9.68|9.67|9.7|9.05|10.34|9.68|9.7|9.65|9.72|0.0|0.0|9.68|9.69|12.3993|8.74|13388454|2115156892 67538|VTRU|VTRU|G9440D103|KYG9440D1034|Vitru Ltd|COM USD.00001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN5-2|TXN11-3|TXN6-6|TXN5-7|33830000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||BRA||||40|4020|402010|40201010|Consumer Discretionary|Consumer Products and Services|Consumer Services |Education Services|N||N||||||N|0|Y||||||0.0|12.5|0.0|0.0|0.0|0.0|12.28|0.0|0.0|0.0|0.0|0.0|12.37|0.0|0.0|0.0|0.0|12.28|0.0|12.37|11.68|13.09|0.0|0.0|11.35|13.28|0.0|0.0|0.0|0.0|12.2|12.39|23.99|9.8|5101|7436376 75085|VTS|VTS|92852X103|US92852X1037|Vitesse Energy, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|A|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN4-7|TXN4-8|TXN2-7|TXN1-2|28790000|||Quarterly|||||2023-01-10||||||| | | | | | | | | |||N|0|N|Y|134B|USA|US|||60|6010|601010|60101010|Energy|Energy|Oil, Gas and Coal|Oil: Crude Producers|N||N||||||Y|0|Y||Y|2|||23.05|23.11|0.0|23.15|23.09|23.1|23.09|23.095|0.0|0.0|23.07|23.1|23.09|23.08|23.12|23.07|23.53|23.11|23.09|23.07|23.07|23.11|18.22|28.5|22.89|23.17|23.03|23.15|23.07|23.16|23.07|23.11|27.39|13.9|232506|94175128 60847|VTSI|VTSI|92827K301|US92827K3014|Virtra Inc|COM USD.005||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN5-2|TXN10-3|TXN5-1|TXN6-5|11100000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502010|50201020|Industrials|Industrial Goods and Services|Aerospace and Defense|Defense|N||N||||||Y|0|Y||||||8.25|8.77|0.0|0.0|8.76|8.77|8.765|8.765|0.0|0.0|8.77|8.68|8.77|8.69|8.7|8.2|0.0|8.76|0.0|8.77|8.48|9.05|6.72|10.75|8.53|8.99|8.69|8.84|8.67|8.85|8.75|8.77|8.787|3.7|272530|14322791 9923|VTV|VTV|922908744|US9229087443|Vanguard Index Funds|Vanguard Value ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Vanguard|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-6|TXN4-7|TXN9-6|TXN2-3|TXN4-1|705006728|||Quarterly|||||2008-09-19||VTV.NV|VTV.SO|VTV.EU|VTV.TC|VTV.IV| | | | | | | | | |1x|Vanguard Value ETF is an exchange-traded share class of Vanguard Value Index Fund, which employs a passive managementor indexinginvestment approach designed to track the performance of the MSCI US Prime Market Value Index, a broadly diversified index of value stocks of predominantly large U.S. companies. The fund attempts to replicate the target index by investing all, or substantially all, of its assets in the stocks that make up the index, holding each stock in approximately the same proportion as its weighting in the index.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||144.55|144.54|0.0|0.0|144.585|144.56|144.57|144.56|0.0|0.0|144.57|144.56|144.53|144.54|144.5|144.57|144.51|144.55|144.305|144.55|144.3|144.88|134.15|153.91|144.53|144.55|144.46|144.73|144.46|144.73|144.54|173.23|147.725|130.89|2835927|542019037 50416|VTVT|VTVT|918385204|US9183852048|vTv Therapeutics Inc|CL A COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN5-8|TXN13-2|TXN5-3|TXN6-6|2040000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y|D|||||12.08|12.04|0.0|0.0|12.02|12.2|12.0101|12.41|0.0|0.0|12.01|0.0|12.07|12.03|0.0|0.0|0.0|12.08|0.0|12.08|11.63|13.09|9.3|15.26|11.82|12.89|9.3|14.4|0.0|0.0|12.06|12.64|16.2|0.35|13526|29525873 35764|VTWG|VTWG|92206C623|US92206C6232|Vanguard Russell 2000 Growth Index Fund|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN5-4|TXN11-8|TXN5-7|TXN6-8|4500000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|170.0|170.38|0.0|0.0|0.0|0.0|0.0|170.38|0.0|0.0|0.0|0.0|170.36|0.0|170.38|170.03|170.71|158.42|180.74|170.26|170.42|169.99|170.66|169.99|170.66|170.26|170.38|185.15|148.12|25301|4139111 35765|VTWO|VTWO|92206C664|US92206C6646|Vanguard Russell 2000 ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN5-6|TXN13-5|TXN6-3|TXN6-5|89580000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||75.57|75.57|0.0|0.0|75.58|75.58|75.59|75.61|0.0|0.0|75.59|75.59|75.58|75.005|75.6|75.59|75.6|75.57|75.39|75.58|75.56|75.59|75.46|75.68|75.53|75.58|75.56|75.59|75.44|75.62|75.57|75.58|80.41|65.39|2986813|353089232 35766|VTWV|VTWV|92206C649|US92206C6497|Vanguard Russell 2000 Value ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN5-3|TXN14-7|TXN5-6|TXN6-2|6000000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||127.7|127.71|0.0|0.0|127.3|127.23|127.405|126.58|0.0|0.0|127.69|0.0|127.65|127.3|127.23|127.23|0.0|127.71|0.0|127.65|126.29|128.96|118.5|135.61|126.51|127.95|126.56|127.98|126.56|127.98|127.61|127.83|137.98|109.96|31444|7083805 72101|VTYX|VTYX|92332V107|US92332V1070|Ventyx Biosciences Inc|COM USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN5-6|TXN12-1|TXN6-1|TXN5-1|59050000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||2.19|2.185|0.0|2.17|2.19|2.185|2.185|2.18|0.0|0.0|2.19|2.18|2.19|2.19|2.17|2.185|2.175|2.19|2.16|2.19|2.15|2.21|1.69|2.68|2.15|2.21|2.16|2.21|2.17|2.21|2.18|2.19|47.2508|2.06|2470844|268366654 9924|VUG|VUG|922908736|US9229087369|Vanguard Index Funds|Vanguard Growth ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Vanguard|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-4|TXN1-1|TXN8-7|TXN1-7|TXN4-3|333336729|||Quarterly|||||2008-09-19||VUG.NV|VUG.SO|VUG.EU|VUG.TC|VUG.IV| | | | | | | | | |1x|Vanguard Growth ETF is an exchange-traded share class of Vanguard Growth Index Fund, which employs a passive managementor indexinginvestment approach designed to track the performance of the MSCI US Prime Market Growth Index, a broadly diversified index of growth stocks of predominantly large U.S. companies. 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ETN|ETN||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-7|TXN3-1|TXN6-1|TXN3-3|TXN1-4|2672933|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||GBR||||||||||||N||N||||||Y|0|Y||||||15.021|14.95|0.0|0.0|15.03|15.04|14.9225|14.82|0.0|0.0|14.92|14.97|14.97|0.0|0.0|14.92|0.0|14.95|0.0|14.95|14.89|14.96|14.89|14.96|14.76|15.09|14.9|14.96|0.0|0.0|14.9|14.96|26.78|14.64|15932|11172562 51939|VYGR|VYGR|92915B106|US92915B1061|Voyager Therapeutics Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN6-3|TXN14-6|TXN5-3|TXN5-2|44000000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||7.515|7.51|0.0|7.63|7.5|7.515|7.515|7.51|0.0|0.0|7.51|0.0|7.52|7.5|0.0|7.67|7.67|7.515|0.0|7.52|7.43|7.59|5.8|9.21|7.44|7.58|7.48|7.54|7.5|7.55|7.51|7.52|14.3398|5.27|133857|94446320 9933|VYM|VYM|921946406|US9219464065|Vanguard Whitehall Funds|Vanguard High Dividend Yield ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Vanguard|Virtu Americas 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ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN6-2|TXN13-2|TXN5-7|TXN5-4|103440000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||||||64.3|64.335|0.0|0.0|64.34|64.34|64.3238|64.34|0.0|0.0|64.34|64.29|64.34|64.31|64.34|64.35|64.32|64.33|0.0|64.34|61.15|67.43|60.29|68.94|64.15|64.5|60.29|68.94|0.0|0.0|64.32|64.34|66.13|58.561|524604|98879273 60574|VYNE|VYNE|92941V308|US92941V3087|VYNE Therapeutics Inc|COM USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN6-1|TXN12-2|TXN6-8|TXN5-3|13960000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103015|Health Care |Health Care |Pharmaceuticals and Biotechnology|Pharmaceuticals |N||N||||||N|0|Y||||||3.49|3.38|0.0|0.0|0.0|3.46|3.5|3.495|0.0|0.0|3.38|3.41|3.47|3.5|3.41|3.43|0.0|3.38|0.0|3.38|3.3|3.64|2.63|4.31|3.28|3.57|3.23|3.64|0.0|0.0|3.34|3.51|8.73|0.1107|46826|138707737 8004|VYX|VYX|62886E108|US62886E1082|NCR Voyix Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|P|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-3|TXN3-2|TXN6-3|TXN2-6|TXN2-4|141200000|||Adhoc|||||1996-12-11||||||| | | | | | | | | |||N|0|Y|Y|108A|USA|US|||10|1010|101010|10101010|Technology|Technology|Software and Computer Services|Computer Services|N||N||||||Y|0|Y||Y|1|||15.54|15.54|0.0|15.94|15.54|15.54|15.531|15.53|0.0|0.0|15.54|15.55|15.535|15.55|15.56|15.53|15.55|15.53|15.57|15.53|15.53|15.54|15.5|15.57|15.52|15.54|15.51|15.57|15.51|15.54|15.53|15.54|17.25|14.54|1971335|67329980 9934|VZ|VZ|92343V104|US92343V1044|Verizon Communications Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|M|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-2|TXN1-5|TXN4-5|TXN2-4|TXN1-5|4204100000|||Quarterly|||||1983-11-21||||||| | | | | | | | | |||Y|1|Y|Y|306A|USA|US|||15|1510|151020|15102015|Telecommunications|Telecommunications|Telecommunications Service Providers |Telecommunications Services|N||N||||||Y|0|Y||Y|1|||38.03|38.035|0.0|38.04|38.03|38.035|38.04|38.03|0.0|0.0|38.04|38.04|38.04|38.04|38.04|38.04|38.05|38.04|38.05|38.04|38.04|38.05|36.01|39.5|38.04|38.05|38.01|38.07|38.01|38.05|38.04|38.05|44.73|30.135|22109241|5105051867 69914|VZIO|VZIO|92858V101|US92858V1017|VIZIO Holding Corp.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|C|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-3|TXN4-5|TXN4-3|TXN4-6|TXN2-5|121020000|||NotApplicable|||||2021-03-25||||||| | | | | | | | | |||N|0|N|Y|114D|USA|US|||40|4020|402030|40203010|Consumer Discretionary|Consumer Products and Services|Leisure Goods|Consumer Electronics|N||N||||||Y|0|Y||Y|2|||7.16|7.145|0.0|6.87|7.15|7.145|7.145|7.145|0.0|0.0|7.14|7.15|7.15|7.145|7.11|7.15|7.15|7.16|7.09|7.15|7.14|7.16|5.55|8.75|7.14|7.17|7.11|7.18|7.14|7.19|7.14|7.16|10.56|4.82|404232|143634007 73274|VZLA|VZLA|92859G202|CA92859G2027|Vizsla Silver Corp.|Common Shares|Operating company|A|N|Y|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-5|TXN4-6|TXN1-5|TXN4-7|TXN2-4|207990000|||NotApplicable|||||2022-01-21||||||| | | | | | | | | |||N|0|N|N|130C|CAN|CA|||55|5510|551020|55102000|Basic Materials|Basic Resources|Industrial Metals and Mining|General Mining|N||N||||||N|0|Y||Y|2|||1.22|1.24|0.0|0.0|1.24|1.235|1.24|1.215|0.0|0.0|1.24|1.23|1.24|0.0|1.23|1.23|1.24|1.24|1.24|1.24|1.22|1.29|1.22|1.24|1.22|1.29|1.2|1.27|1.19|1.28|1.22|1.24|1.6501|0.935|325861|41332164 46100|W|W|94419L101|US94419L1017|Wayfair Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|P|GTS Securities 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LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-3|TXN3-6|TXN5-6|TXN4-4|TXN1-8|179160000|||Quarterly|||||1995-06-16||||||| | | | | | | | | |||N|5|Y|Y|180A|USA|US|||50|5020|502060|50206025|Industrials|Industrial Goods and Services|Industrial Transportation|Railroad Equipment|N||N||||||Y|0|Y||Y|1|||119.98|119.97|0.0|119.99|119.85|119.97|119.96|119.975|0.0|0.0|119.97|119.95|119.93|119.845|119.97|119.95|119.57|119.95|119.97|119.95|119.94|119.95|111.6|127.5|119.87|120.05|119.84|120.07|119.81|120.1|119.94|119.95|120.53|91.89|966393|214007890 4349|WABC|WABC|957090103|US9570901036|Westamerica Bancorporation|COM 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63498|WAFU|WAFU|G94184101|VGG941841014|Wah Fu Education Group Ltd|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN5-7|TXN11-3|TXN5-6|TXN6-3|4410000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||40|4020|402010|40201010|Consumer Discretionary|Consumer Products and Services|Consumer Services |Education Services|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|1.78|1.815|1.74|0.0|0.0|0.0|0.0|1.72|0.0|0.0|0.0|0.0|1.78|0.0|1.78|1.63|1.88|0.0|0.0|1.61|1.87|1.4|2.23|0.0|0.0|1.72|1.79|4.88|1.575|24398|17561537 9939|WAL|WAL|957638109|US9576381092|Western Alliance Bancorporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|A|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-5|TXN4-4|TXN5-4|TXN1-1|TXN2-1|109470000|||Quarterly|||||2005-06-30||||||| | | | | | | | | |||N|0|Y|Y|402B|USA|US|||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||Y|1|||55.1|55.13|0.0|55.15|55.14|55.14|55.14|55.13|0.0|0.0|55.12|55.12|55.14|55.13|55.12|55.15|55.14|55.14|55.15|55.15|55.13|55.15|51.13|55.14|55.01|55.26|55.05|55.24|55.04|55.25|55.13|55.15|81.17|7.46|1488829|1033235448 71808|WAL PRA|WALpA|957638406|US9576384062|Western Alliance Bancorporation|Depositary Shares, Each Representing a 1/400th Interest in a Share of 4.250% Fixed-Rate Non-Cumulative Perpetual Preferred Stock, Series A|Operating company|B|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN1-5|TXN3-8|TXN2-2|TXN4-2|12000000|||Quarterly|||||2021-09-27||||||| | | | | | | | | |||N|0|N|N|402B|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||17.35|17.2|0.0|0.0|17.29|17.25|17.21|17.2|0.0|0.0|0.0|0.0|17.3|0.0|0.0|17.35|0.0|17.3|17.31|17.35|17.2|17.35|0.0|0.0|17.15|17.7|0.0|0.0|0.0|0.0|17.2|17.3|21.8439|6.32|24261|31397071 70546|WALD|WALD|G9503X103|JE00BPG99318|Waldencast plc|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN6-4|TXN13-8|TXN5-2|TXN5-7|101170000|||NotApplicable|||||||||||| | | | | | | 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LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-6|TXN4-2|TXN2-8|TXN3-8|TXN4-6|1338315|||Quarterly|||||2014-08-27||WBIF.NV|WBIF.SO|WBIF.EU|WBIF.TC|WBIF.IV| | | | | | | | | ||Large Cap Tactical Value Shares|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|27.22|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|27.3163|0.0|27.3163|0.0|0.0|27.21|27.4|27.24|27.46|27.19|27.41|0.0|0.0|27.24|27.46|29.5443|25.55|663|763507 44841|WBIG|WBIG|00400R700|US00400R7008|Absolute Shares Trust|WBI BullBear Yield 3000 ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||WBI Investments |Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN3-6|TXN7-8|TXN1-5|TXN4-6|2230183|||Monthly|||||2014-08-27||WBIG.NV|WBIG.SO|WBIG.EU|WBIG.TC|WBIG.IV| | | | | | | | | ||Large Cap Tactical Yield Shares|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|22.3501|0.0|0.0|0.0|0.0|0.0|22.35|22.05|0.0|0.0|0.0|22.4007|0.0|22.4007|22.35|22.42|0.0|0.0|22.37|22.59|22.41|22.64|0.0|0.0|22.37|22.59|25.44|20.9286|1192|973698 44842|WBIL|WBIL|00400R809|US00400R8097|Absolute Shares Trust|WBI BullBear Quality 3000 ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||WBI Investments |Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-7|TXN2-6|TXN9-8|TXN4-6|TXN3-6|1377182|||Quarterly|||||2014-08-27||WBIL.NV|WBIL.SO|WBIL.EU|WBIL.TC|WBIL.IV| | | | | | | | | ||Large Cap Tactical Select Shares|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|29.7037|0.0|0.0|0.0|0.0|0.0|29.7|0.0|0.0|0.0|0.0|29.8117|0.0|29.8117|0.0|0.0|29.66|29.82|29.72|29.94|29.72|29.9|0.0|0.0|29.72|29.94|30.5955|27.15|746|768814 54744|WBIY|WBIY|00400R858|US00400R8584|Absolute Shares Trust|WBI Power Factor High Dividend ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||WBI Investments |Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-2|TXN3-8|TXN8-8|TXN2-2|TXN4-6|2050000|||Quarterly|||||2016-12-20||WBIY.NV|WBIY.SO|WBIY.EU|WBIY.TC|WBIY.IC| | | | | | | | | |1x|The Underlying Index is designed to select equity securities from the Parent Index with an above-average forecasted dividend yield, scored on the basis of three fundamental value characteristics (the Power FactorsTM): Price to trailing 12-month diluted earnings from continuing operations ratio (P/E); Price to trailing 12-month free cash flow (P/CF); and Price to trailing 12-month sales ratio (P/S).|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|27.755|27.63|0.0|0.0|0.0|0.0|27.72|0.0|0.0|27.72|0.0|27.7138|0.0|27.7138|27.66|27.75|0.0|0.0|27.64|27.82|27.41|27.69|0.0|0.0|27.64|27.82|30.0782|23.8448|2597|1966075 61908|WBND|WBND|52468L810|US52468L8101|Legg Mason ETF Investment Trust - Western Asset Total Return ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN6-6|TXN14-6|TXN5-2|TXN5-1|2150000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|20.05|0.0|0.0|0.0|20.03|20.06|20.05|0.0|0.0|0.0|0.0|20.0413|20.05|0.0|0.0|0.0|20.05|0.0|20.0413|0.0|0.0|0.0|0.0|19.96|20.12|0.0|0.0|0.0|0.0|20.01|20.09|21.34|18.71|13559|4344649 9946|WBS|WBS|947890109|US9478901096|Webster Financial Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|A|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-1|TXN2-4|TXN4-8|TXN1-7|TXN2-6|172040000|||Quarterly|||||2002-10-17||||||| | | | | | | | | |||N|0|Y|Y|402B|USA|US|||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||Y|1|||47.47|47.48|0.0|47.47|47.48|47.46|47.45|47.46|0.0|0.0|47.47|47.49|47.46|47.46|47.5|47.48|47.49|47.48|47.46|47.48|47.45|47.48|44.4|50.11|47.26|47.72|47.41|47.53|47.45|47.48|47.45|47.48|56.0|31.03|1479907|303444817 60334|WBS PRF|WBSpF|947890505|US9478905055|Webster Financial Corporation|Depositary Shares, Each Representing 1/1,000th Interest in a Share of 5.25% Series F Non-Cumulative Perpetual Preferred Stock|Operating company|B|N|N|N|Y|Y|Y|Y|Y|8|I|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN3-8|TXN4-8|TXN3-7|TXN2-2|6000000|||Quarterly|||||2017-12-20||||||| | | | | | | | | |||N|0|N|N|402B|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||18.38|18.425|0.0|0.0|18.38|18.2|18.2|17.491875|0.0|0.0|0.0|0.0|18.2|0.0|0.0|18.22|0.0|18.22|0.0|18.22|18.22|18.44|0.0|0.0|17.86|18.76|0.0|0.0|0.0|0.0|18.22|18.44|23.1|14.5|11645|2749277 73374|WBS PRG|WBSpG|947890703|US9478907036|Webster Financial Corporation|Depositary Shares, each representing a 1/40th interest in a share of 6.50% Series G non-cumulative perpetual preferred stock|Operating company|B|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN1-3|TXN9-8|TXN2-4|TXN1-1|5400000|||Quarterly|||||2022-02-01||||||| | | | | | | | | |||N|0|N|N|402B|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||22.14|21.5|0.0|0.0|21.87|21.65|21.7399|22.16|0.0|0.0|0.0|0.0|21.68|21.43|20.77375|21.36|0.0|21.36|21.01|21.36|21.37|21.74|0.0|0.0|20.97|22.19|0.0|0.0|0.0|0.0|21.37|21.74|25.69|17.0|19818|3570428 76501|WBUY|WBUY|G9513S102|KYG9513S1021|Webuy Global Ltd|ORD USD0.000000385||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN6-6|TXN11-4|TXN6-3|TXN5-3|48010000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||SGP||||45|4520|452010|45201010|Consumer Staples |Personal Care, Drug and Grocery Stores |Personal Care, Drug and Grocery Stores |Food Retailers and Wholesalers |N||N||||||N|0|Y||||||5.83|5.9|0.0|0.0|6.01|6.03|6.03|5.83|0.0|0.0|6.01|6.01|6.04|5.83|5.84|5.93|0.0|6.0|5.83|6.04|4.59|7.36|4.59|7.36|5.62|6.45|4.59|7.36|0.0|0.0|6.0|6.03|11.11|2.9997|76461|19320456 71916|WBX|WBX|N94209108|NL0015000M91|Wallbox N.V.|Class A Ordinary Shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|8|F|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN2-8|TXN8-6|TXN2-5|TXN2-8|173170000|||NotApplicable|||||2021-10-04||||||| | | | | | | | | |||N|0|N|Y|180B|ESP|NL|||60|6010|601020|60102010|Energy|Energy|Alternative Energy|Alternative Fuels |N||N||||||Y|0|Y||Y|2|||1.75|1.75|0.0|1.68|1.75|1.74|1.7405|1.74|0.0|0.0|1.74|1.74|1.75|1.74|1.755|1.76|1.745|1.7405|1.74|1.76|1.74|1.75|1.42|2.1|1.74|1.76|1.71|1.77|1.7|1.78|1.74|1.75|6.53|1.24|2610923|164821853 71917|WBX WS|WBX.WS|N94209116|NL0015000M83|Wallbox N.V.|Warrants, each warrant to purchase one Class A Ordinary Share|Operating company|C|N|Y|N|Y|Y|Y|Y|Y|8|D|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN6-8|TXN4-2|TXN8-8|TXN2-4|TXN2-2|196720000|||NotApplicable|||||2021-10-04|2026-10-01|||||| | | | | | | | | |||N|0|N|N|180B|ESP|NL|||||||||||N||N||||||N|0|Y||N||||0.0|0.0|0.0|0.0|0.0|0.0|0.281|0.0|0.0|0.0|0.29|0.0|0.0|0.0|0.0|0.281|0.0|0.281|0.0|0.281|0.281|0.3|0.0|0.0|0.2624|0.3199|0.0|0.0|0.0|0.0|0.281|0.3|1.85|0.1126|9290|1552746 68938|WCBR|WCBR|97717Y659|US97717Y6591|WisdomTree Cybersecurity Fund|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN5-8|TXN10-4|TXN6-3|TXN5-3|1650000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||0.0|23.77|0.0|0.0|0.0|23.68|23.76|0.0|0.0|0.0|23.74|23.68|23.74|23.681|0.0|0.0|0.0|23.77|0.0|23.74|0.0|0.0|0.0|0.0|23.71|23.76|0.0|0.0|0.0|0.0|23.71|23.76|23.79|14.16|20776|2269759 9948|WCC|WCC|95082P105|US95082P1057|WESCO International, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|P|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-5|TXN3-7|TXN2-7|TXN3-3|TXN2-8|51080000|||Quarterly|||||1999-05-12||||||| | | | | | | | | |||N|0|Y|Y|112A|USA|US|||50|5020|502020|50202010|Industrials|Industrial Goods and Services|Electronic and Electrical Equipment|Electrical Components |N||N||||||Y|0|Y||Y|1|||162.62|162.46|0.0|162.08|162.63|162.68|162.67|162.7|0.0|0.0|162.67|162.64|162.68|162.62|162.3|162.65|162.41|162.65|161.25|162.65|162.65|162.66|152.33|172.26|162.5|164.42|162.31|162.82|162.25|162.89|162.65|162.66|185.23|117.12|332403|140837285 66797|WCC PRA|WCCpA|95082P303|US95082P3038|WESCO International, Inc.|Depositary Shares each representing 1/1,000th interest in a share of Series A Fixed-Rate Reset Cumulative Perpetual Preferred Stock|Operating company|B|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN3-8|TXN5-8|TXN3-5|TXN1-2|21540000|||Quarterly|||||2020-06-22||||||| | | | | | | | | |||N|0|N|N|112A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||27.02|27.05|0.0|0.0|27.02|27.03|27.01|27.02|0.0|0.0|27.05|0.0|27.05|0.0|0.0|27.01|27.04|27.02|26.88|27.01|26.98|27.07|27.04|27.07|26.87|27.56|21.5|32.58|0.0|0.0|26.46|27.07|27.7737|26.03|30737|8604372 75076|WCEO|WCEO|90214Q576|US90214Q5760|Two Roads Shared Trust|Hypatia Women CEO ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Ultimus Fund Solutions (Hypatia Capital)|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-1|TXN1-2|TXN7-8|TXN2-3|TXN4-8|110000|||Yearly|||||2023-01-09||WCEO.NV|WCEO.SO|WCEO.EU|WCEO.TC| | | | | | | | | | ||The Fund is an actively managed exchange-traded fund (ETF) that seeks to achieve its investment objective by investing, under normal circumstances, at least 80% of its net assets (including borrowings for investment purposes) in exchange-traded equity securities of U.S. companies that are led by a female Chief Executive Officer. The Fund expects to be primarily invested in components of the Hypatia Women CEO Index (the Index). The Index tracks the performance of exchange-traded equity securities of U.S. companies that have market capitalizations of at least $500 million and are led by a female Chief Executive Officer. The Fund may also invest in exchange-traded equity securities of other U.S. companies of any market capitalization that are led by a female Chief Executive Officer. In addition, the Fund may invest up to 20% of its total assets in exchange-traded equity securities of U.S. companies with an Executive Chairperson or a Chairperson who is female.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|25.78|24.395|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|26.7757|0.0|26.7757|0.0|0.0|0.0|0.0|26.74|26.81|13.29|39.84|0.0|0.0|26.74|26.81|28.15|23.2218|179|193920 64420|WCLD|WCLD|97717Y691|US97717Y6914|WisdomTree Trust - WisdomTree Cloud Computing Fund|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN6-7|TXN10-8|TXN5-8|TXN5-5|21530000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||32.57|32.74|0.0|0.0|32.73|32.745|32.745|32.745|0.0|0.0|32.73|32.6|32.76|32.57|32.61|32.75|32.75|32.74|32.54|32.76|32.66|32.81|30.72|34.44|32.72|32.75|32.65|32.8|32.65|32.79|32.72|32.75|34.93|23.2562|516263|57719400 9951|WCN|WCN|94106B101|CA94106B1013|Waste Connections, Inc.|Common Shares|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-1|TXN4-2|TXN2-2|TXN2-4|TXN3-6|257640000|||Quarterly|||||2016-06-01||||||| | | | | | | | | |||N|0|N|Y|116A|CAN|CA|||65|6510|651030|65103035|Utilities|Utilities|Waste and Disposal Services|Waste and Disposal Services|N||N||||||Y|0|Y||Y|2|||139.88|139.86|0.0|139.86|139.9|139.85|139.86|139.935|0.0|0.0|139.96|140.43|139.83|139.92|139.88|139.84|139.97|139.83|139.82|139.84|139.83|139.87|107.38|171.5|139.83|140.13|139.71|140.03|139.7|140.01|139.83|139.87|145.86|125.83|1157769|217288265 36265|WD|WD|93148P102|US93148P1021|Walker & Dunlop, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN1-3|TXN8-8|TXN4-6|TXN2-4|33450000|||Quarterly|||||2010-12-15||||||| | | | | | | | | |||N|0|N|Y|400A|USA|US|||30|3020|302010|30201025|Financials|Financial Services |Finance and Credit Services|Mortgage Finance|N||N||||||Y|0|Y||Y|2|||90.0|90.62|0.0|90.67|90.46|90.47|90.58|90.62|0.0|0.0|90.29|90.34|90.65|90.05|85.08|90.66|83.69|90.57|87.86|90.66|90.56|90.57|71.29|112.46|90.4|91.34|90.32|90.86|90.27|90.96|90.56|90.57|101.02|61.06|257011|45255859 40848|WDAY|WDAY|98138H101|US98138H1014|Workday Inc|CL A COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN5-6|TXN12-2|TXN6-2|TXN6-8|209000000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||USA||||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||||||269.14|269.13|0.0|269.22|269.17|269.2|269.24|269.19|0.0|0.0|269.14|268.63|269.22|269.15|269.15|269.14|269.21|269.22|269.27|269.22|268.9|269.38|249.44|283.51|268.76|269.44|268.96|269.39|269.11|269.28|269.15|269.24|273.63|157.85|3374991|448763755 9953|WDC|WDC|958102105|US9581021055|Western Digital Corp|COM USD.1||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN6-1|TXN12-3|TXN5-4|TXN6-4|324240000|||NotApplicable|||||||||||| | | | | | | | | |||N|5|Y|N||USA||||10|1010|101020|10102030|Technology|Technology|Technology Hardware and Equipment|Computer Hardware|N||N||||||Y|0|Y||||||47.47|47.47|0.0|47.37|47.48|47.485|47.47|47.48|0.0|0.0|47.48|47.48|47.47|47.47|47.53|47.48|47.48|47.475|47.48|47.47|47.47|47.49|44.32|50.28|47.42|47.5|47.41|47.54|0.0|47.49|47.47|47.48|48.86|29.73|3843959|988202158 4377|WDFC|WDFC|929236107|US9292361071|WD-40 Co|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN6-1|TXN13-2|TXN6-5|TXN6-1|13560000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||45|4520|452010|45201030|Consumer Staples |Personal Care, Drug and Grocery Stores |Personal Care, Drug and Grocery Stores |Nondurable Household Products|N||N||||||Y|0|Y||||||241.8|242.215|0.0|242.14|242.0|242.93|242.86|242.06|0.0|0.0|242.14|0.0|243.1|0.0|242.28|0.0|0.0|242.99|0.0|243.1|240.31|245.4|187.37|294.96|242.46|243.54|242.53|243.54|242.92|243.54|242.92|243.11|245.76|157.52|82580|23869380 70496|WDH|WDH|94132V105|US94132V1052|Waterdrop Inc.|American Depositary Shares (each representing the right to receive 10 Class A Ordinary Shares)|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|6|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN2-7|TXN5-8|TXN1-3|TXN2-5|3015120000|||Adhoc|||||2021-05-07||||||| | | | | | | | | |||N|0|N|Y|410A|CHN|KY|||30|3030|303020|30302015|Financials|Insurance|Non-life Insurance|Insurance Brokers|N||N||||||N|0|Y||Y|2|||1.16|1.16|0.0|0.0|1.15|1.18|1.1899|1.08|0.0|0.0|1.13|1.16|1.18|1.125|0.0|1.15|1.1|1.1899|0.0|1.15|1.16|1.19|0.904|1.38|1.14|1.22|1.15|1.2|1.15|1.22|1.16|1.19|3.36|0.9824|178516|132119077 70970|WDI|WDI|95790K109|US95790K1097|Western Asset Diversified Income Fund|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN2-3|TXN4-8|TXN1-7|TXN1-7|51790000|||Monthly|||||2021-06-25||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||13.46|13.46|0.0|13.44|13.44|13.425|13.455|13.43|0.0|0.0|13.44|0.0|13.47|13.43|13.22|13.52|13.43|13.47|0.0|13.52|13.45|13.47|10.42|16.53|12.53|14.34|13.44|13.49|13.46|13.48|13.45|13.47|14.5|12.16|234084|32247484 42122|WDIV|WDIV|78463X459|US78463X4593|SPDR Index Shares Funds|SPDR S&P Global Dividend ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-4|TXN3-7|TXN6-8|TXN4-2|TXN2-3|3625000|||Quarterly|||||2013-05-30||WDIV.NV|WDIV.SO|WDIV.EU|WDIV.TC|WDIV.IV| | | | | | | | | |1x|The SPDR S&P Global Dividend ETF (the Fund) seeks to provide investment results that, before fees and expenses, correspond generally to the total return of an index that tracks stocks of global companies thatoffer high dividend yields. |N|0|N|N|406C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||57.42|58.06|0.0|0.0|0.0|58.12|58.19|57.92|0.0|0.0|58.06|0.0|58.06|58.09|0.0|0.0|0.0|58.1576|58.09|58.1576|0.0|0.0|0.0|0.0|58.13|58.18|0.0|0.0|0.0|0.0|58.13|58.18|62.94|52.22|12158|4193045 70772|WDNA|WDNA|97717Y618|US97717Y6187|WisdomTree BioRevolution Fund ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-8|TXN1-8|TXN5-8|TXN3-2|TXN4-8|160000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||0.0|15.6151|0.0|0.0|0.0|0.0|15.32|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|15.6151|0.0|15.6151|15.57|15.65|0.0|0.0|15.57|15.65|0.0|0.0|0.0|0.0|15.57|15.65|18.73|13.373|887|104184 74114|WDS|WDS|980228308|US9802283088|Woodside Energy Group Ltd|American Depositary Shares, each representing one Ordinary Share|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|8|D|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-6|TXN1-3|TXN4-6|TXN1-8|TXN3-8|1898750000|||BiAnnually|||||2022-06-02||||||| | | | | | | | | |||N|0|N|Y|134B|AUS|AU|||60|6010|601010|60101010|Energy|Energy|Oil, Gas and Coal|Oil: Crude Producers|N||N||||||Y|0|Y||Y|2|||19.84|19.84|0.0|19.95|19.84|19.845|19.845|19.85|0.0|0.0|19.84|19.84|19.845|19.83|19.84|19.84|19.87|19.845|19.88|19.84|19.84|19.85|15.64|24.73|19.82|19.95|19.82|19.87|19.83|19.88|19.84|19.85|26.93|19.82|988130|121463544 9955|WEA|WEA|957664105|US9576641057|Western Asset Premier Bond Fund|Common Shares of Beneficial Interest|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN4-1|TXN2-8|TXN1-7|TXN2-2|11860000|||Monthly|||||2002-03-26||||||| | | | | | | | | |||N|0|N|N|406A|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||0.0|10.68|0.0|0.0|10.62|10.645|10.68|10.68|0.0|0.0|10.61|0.0|10.68|10.68|0.0|10.68|0.0|10.68|10.37|10.68|10.63|10.68|10.58|10.73|9.93|11.39|0.0|0.0|0.0|0.0|10.41|10.68|11.8|9.6|28382|8310686 38804|WEAT|WEAT|88166A508|US88166A5083|Teucrium Commodity Trust|Teucrium Wheat Fund|Trust|ETV|N|N|P|Y|Y|Y|Y|Y||||||||Teucrium|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-1|TXN4-1|TXN1-8|TXN2-5|TXN1-3|33125004|||NotApplicable|||||2011-09-19||WEAT.NV|WEAT.SO| | |WEAT.IV| | | | | | | | | |1x|The investment objective of the Fund is to have the daily changes in percentage terms of the Shares Net Asset Value (NAV) reflect the daily changes in percentage terms of a weighted average of the closing settlement prices for three futures contracts for wheat (Wheat Futures Contracts) that are traded on the Chicago Board of Trade (CBOT), specifically: (1) the second-to-expire CBOT Wheat Futures Contract, weighted 35%, (2) the third-to-expire CBOT Wheat Futures Contract, weighted 30%, and (3) the CBOT Wheat Futures Contract expiring in the December following the expiration month of the third-to-expire contract, weighted 35%.|N|0|N|N|416A|USA|US|COMMODITIES_AND_FUTURES|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||5.93|5.93|0.0|0.0|5.92|5.915|5.92|5.92|0.0|0.0|5.92|5.94|5.92|5.93|5.93|5.93|5.93|5.93|5.94|5.93|5.91|5.93|5.9|5.93|5.91|5.93|5.9|5.93|5.9|5.93|5.91|5.93|8.0851|5.38|1214556|208984152 72326|WEAV|WEAV|94724R108|US94724R1086|Weave Communications, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN1-8|TXN3-7|TXN4-4|TXN3-6|69470000|||NotApplicable|||||2021-11-11||||||| | | | | | | | | |||N|0|N|Y|180B|USA|US|||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||N|0|Y||Y|2|||9.975|9.875|0.0|9.88|9.89|9.885|9.895|9.855|0.0|0.0|9.85|9.86|9.89|9.85|9.9|9.9|9.88|9.9|9.975|9.9|9.89|9.9|7.6|12.06|9.77|9.97|7.6|9.92|9.84|9.92|9.89|9.9|12.45|3.75|270701|101222514 64982|WEBL|WEBL|25460E364|US25460E3642|Direxion Shares ETF Trust|Direxion Daily Dow Jones Internet Bull 3X Shares|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Direxion Shares|IMC Chicago, LLC, DBA IMC Financial Markets|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-6|TXN3-6|TXN9-7|TXN3-6|TXN1-8|13350001|||Quarterly|||||2019-11-07||WEBL.NV|WEBL.SO|WEBL.EU|WEBL.TC|WEBL.IV| | | | | | | | | |3x|The Fund seeks daily investment results, before fees and expenses, of 300% of the daily performance of the Dow Jones Internet Composite Index. 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Coal|Pipelines|N||N||||||Y|0|Y||Y|2|||29.9|29.91|0.0|29.92|29.9|29.91|29.9|29.92|0.0|0.0|29.9|29.86|29.88|29.9|29.9|29.92|29.85|29.9|29.91|29.92|29.88|29.89|22.98|36.59|29.73|30.06|29.87|29.94|29.87|29.95|29.88|29.89|30.2|23.79|502021|237412223 71827|WEST|WEST|96145W103|US96145W1036|Westrock Coffee Co|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN6-8|TXN13-7|TXN5-8|TXN5-3|88040000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||45|4510|451010|45101020|Consumer Staples |Food, Beverage and Tobacco |Beverages|Soft Drinks|N||N||||||Y|0|Y||||||9.17|9.18|0.0|9.19|9.15|9.15|9.15|9.15|0.0|0.0|9.16|9.15|9.155|9.19|9.14|9.17|9.18|9.15|9.15|9.155|9.06|9.26|7.13|11.29|9.08|9.24|9.13|9.19|9.12|9.2|9.15|9.16|14.71|6.88|375862|54568031 71828|WESTW|WESTW|96145W111|US96145W1119|Westrock Coffee Co|WRTTS||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN6-5|TXN11-8|TXN6-7|TXN6-8|88040000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||1.88|1.92|0.0|0.0|0.0|0.0|1.91|1.91|0.0|0.0|0.0|0.0|1.92|0.0|0.0|0.0|0.0|1.88|0.0|1.88|0.0|0.0|0.0|0.0|1.75|1.84|0.0|0.0|0.0|0.0|1.77|1.84|3.28|0.9|499|9244513 74292|WETG|WETG|961884202|US9618842028|WeTrade Group Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN6-5|TXN12-8|TXN6-5|TXN5-7|2630000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||N|0|Y||||||3.67|3.58|0.0|0.0|3.6|3.65|3.68|3.63|0.0|0.0|3.65|3.65|3.7|3.59|0.0|3.74|0.0|3.68|3.74|3.7|2.76|4.53|2.76|4.53|3.57|3.94|2.76|4.53|0.0|0.0|3.57|3.7|23.16|0.0331|108556|1147491593 10072|WEX|WEX|96208T104|US96208T1043|WEX Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|N|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN2-8|TXN5-8|TXN3-5|TXN4-6|42740000|||NotApplicable|||||2005-02-16||||||| | | | | | | | | |||N|0|Y|Y|104C|USA|US|||50|5020|502050|50205015|Industrials|Industrial Goods and Services|Industrial Support Services|Transaction Processing Services|N||N||||||Y|0|Y||Y|1|||180.38|181.01|0.0|180.87|180.4|180.91|180.86|181.02|0.0|0.0|180.87|180.9|181.02|181.05|180.6|181.03|180.9|181.04|181.73|181.03|180.89|181.03|170.82|193.58|180.74|181.16|180.72|181.22|180.9|181.03|180.89|181.03|204.055|157.04|262478|70952861 4389|WEYS|WEYS|962149100|US9621491003|Weyco Group Inc|COM USD1||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN5-3|TXN12-1|TXN6-8|TXN6-6|9500000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4020|402040|40204025|Consumer Discretionary|Consumer Products and Services|Personal Goods|Footwear|N||N||||||N|0|Y||||||0.0|29.99|0.0|0.0|30.03|29.98|30.08|0.0|0.0|0.0|0.0|0.0|30.06|0.0|0.0|0.0|0.0|30.02|0.0|30.06|28.99|31.13|0.0|0.0|29.34|30.65|0.0|0.0|0.0|0.0|30.01|30.04|30.08|20.3|19455|3287799 9965|WF|WF|981064108|US9810641087|Woori Financial Group Inc.|American Depositary Shares, each representing three shares of Common Stock|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|8|A|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN2-7|TXN3-8|TXN3-5|TXN1-2|751950000|||Yearly|||||2019-01-11||||||| | | | | | | | | |||N|0|N|Y|402A|KOR|KR|||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||Y|2|||29.7|29.7|0.0|0.0|29.72|29.62|29.77|29.55|0.0|0.0|29.92|29.59|29.71|0.0|0.0|29.72|0.0|29.7|0.0|29.72|29.7|29.73|29.56|29.86|29.52|29.79|0.0|0.0|29.66|29.76|29.7|29.73|33.09|24.46|35318|10231388 9967|WFC|WFC|949746101|US9497461015|Wells Fargo & Company|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|M|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-1|TXN3-4|TXN2-6|TXN3-8|TXN1-1|3631640000|||Quarterly|||||1962-12-10||||||| | | | | | | | | |||N|1|Y|Y|402B|USA|US|||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||Y|1|||45.1|45.11|0.0|45.14|45.1|45.11|45.12|45.105|0.0|0.0|45.11|45.12|45.115|45.13|45.14|45.12|45.16|45.11|45.13|45.12|45.11|45.12|42.47|48.0|45.1|45.12|45.08|45.14|45.11|45.12|45.11|45.12|48.84|35.25|13424151|4457059762 68030|WFC PRA|WFCpA|94988U128|US94988U1280|Wells Fargo & Company|Depositary Shares, each representing a 1/1,000th interest in a share of Non-Cumulative Perpetual Class A Preferred Stock, Series AA|Operating company|B|N|N|N|Y|Y|Y|Y|Y|8|I|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN2-1|TXN3-8|TXN2-8|TXN3-2|46800000|||Quarterly|||||2020-10-30||||||| | | | | | | | | |||N|0|N|N|402B|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||19.31|19.335|0.0|0.0|19.26|19.4|19.2617|19.26|0.0|0.0|0.0|19.38|19.32|19.35|0.0|19.26|19.26|19.26|19.325|19.26|19.26|19.34|14.96|23.75|18.91|19.37|14.96|23.75|0.0|0.0|19.26|19.34|22.06|17.24|65728|40002545 68993|WFC PRC|WFCpC|95002Y202|US95002Y2028|Wells Fargo & Company|Depositary Shares, each representing a 1/1,000th interest in a share of Non-Cumulative Perpetual Class A Preferred Stock, Series CC|Operating company|B|N|N|N|Y|Y|Y|Y|Y|8|I|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN2-7|TXN4-8|TXN4-3|TXN3-4|42000000|||Quarterly|||||2021-02-03||||||| | | | | | | | | |||N|0|N|N|402B|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||17.78|17.76|0.0|0.0|17.85|17.76|17.77|17.77|0.0|0.0|17.8|17.8|17.82|0.0|0.0|17.85|17.75|17.85|17.82|17.85|17.76|17.85|13.78|21.86|17.4|18.18|13.78|21.86|0.0|0.0|17.76|17.85|20.43|15.89|64889|28415495 71270|WFC PRD|WFCpD|95002Y400|US95002Y4008|Wells Fargo & Company|Depositary Shares, each representing a 1/1,000th interest in a share of Non-Cumulative Perpetual Class A Preferred Stock, Series DD|Operating company|B|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN4-1|TXN1-5|TXN1-7|TXN1-1|50000000|||Quarterly|||||2021-07-29||||||| | | | | | | | | |||N|0|N|N|402B|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||17.36|17.31|0.0|0.0|17.31|17.29|17.31|17.31|0.0|0.0|0.0|0.0|17.32|0.0|0.0|17.28|17.35|17.28|17.53|17.28|17.28|17.3|13.48|21.42|16.96|17.65|13.48|21.42|0.0|0.0|17.28|17.3|23.32|15.4701|88878|23689597 30038|WFC PRL|WFCpL|949746804|US9497468044|Wells Fargo & Company|7.50% Non-Cumulative Perpetual Convertible Class A Preferred Stock, Series L|Operating company|B|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|4|0.01|0.01|5000000|1|100|TXN9-8|TXN2-8|TXN8-8|TXN4-7|TXN2-7|3970000|||Quarterly|||||2009-01-02||||||| | | | | | | | | |||N|0|N|N|402B|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||1117.49|1119.85|0.0|0.0|1119.95|1121.0|1123.24|1119.9|0.0|0.0|1120.01|0.0|1120.22|1119.83|1061.27|1120.4|0.0|1123.24|1116.25|1120.4|1120.98|1126.98|0.0|0.0|1096.62|1145.46|0.0|0.0|0.0|0.0|1121.04|1126.97|1274.9999|1045.0|10145|2361279 43310|WFC PRR|WFCpR|949746465|US9497464654|Wells Fargo & Company|Depositary Shares, each representing a 1/1,000th interest in a share of 6.625% Fixed-to-Floating Rate Non-Cumulative Perpetual Class A Preferred Stock, Series R|Operating company|B|N|N|N|Y|Y|Y|Y|Y|8|I|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN3-3|TXN9-8|TXN3-3|TXN3-7|33600000|||Quarterly|||||2013-12-19||||||| | | | | | | | | |||N|0|N|N|402B|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|24.98|0.0|0.0|25.02|25.01|25.015|25.01|0.0|0.0|25.01|0.0|25.01|25.02|0.0|24.99|25.01|25.0|25.0|24.99|25.0|25.02|24.99|25.02|24.95|25.52|0.0|0.0|0.0|0.0|25.0|25.02|25.78|23.92|75889|31176621 57164|WFC PRY|WFCpY|94988U656|US94988U6560|Wells Fargo & Company|Depositary Shares, each representing a 1/1,000th interest in a share of Non-Cumulative Perpetual Class A Preferred Stock, Series Y of Wells Fargo & Company, no par value|Operating company|B|N|N|N|Y|Y|Y|Y|Y|8|I|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN1-2|TXN3-8|TXN1-6|TXN3-6|27600000|||Quarterly|||||2017-04-25||||||| | | | | | | | | |||N|0|N|N|402B|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|23.06|23.02|23.08|23.075|23.03|0.0|0.0|23.11|0.0|23.09|23.19|0.0|23.02|23.11|23.02|23.13844|23.02|23.0|23.15|17.85|28.4|22.56|23.52|17.85|28.4|0.0|0.0|22.7|23.75|24.89|21.081|48354|12681038 65463|WFC PRZ|WFCpZ|94988U151|US94988U1512|Wells Fargo & Company|Depositary Shares, each representing a 1/1,000th interest in a share of Non-Cumulative Perpetual Class A Preferred Stock, Series Z|Operating company|B|N|N|N|Y|Y|Y|Y|Y|8|I|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN1-5|TXN6-8|TXN1-7|TXN1-8|80500000|||Quarterly|||||2020-01-28||||||| | | | | | | | | |||N|0|N|N|402B|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||19.25|19.265|0.0|0.0|19.26|19.265|19.2602|19.29|0.0|0.0|19.265|19.265|19.265|19.2|19.265|19.29|19.22|19.28|19.26|19.29|19.21|19.28|14.88|23.56|18.88|19.66|14.88|23.56|0.0|0.0|19.21|19.28|21.54|17.33|351935|54429068 48730|WFCF|WFCF|96327X200|US96327X2009|Where Food Comes From Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN5-7|TXN11-2|TXN5-1|TXN6-5|5540000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502050|50205020|Industrials|Industrial Goods and Services|Industrial Support Services|Professional Business Support Services|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|13.1367|13.31|0.0|0.0|0.0|0.0|13.15|0.0|0.0|0.0|0.0|13.1367|0.0|13.1367|0.0|0.0|0.0|0.0|12.59|14.23|0.0|0.0|0.0|0.0|13.09|13.68|15.7|12.51|5683|1063086 68977|WFG|WFG|952845105|CA9528451052|West Fraser Timber Co. Ltd|Common Shares|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|6|P|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-5|TXN2-2|TXN3-3|TXN3-7|TXN4-6|80150000|||Quarterly|||||2021-02-01||||||| | | | | | | | | |||N|0|N|Y|180B|CAN|CA|||55|5510|551010|55101010|Basic Materials|Basic Resources|Industrial Materials|Forestry|N||N||||||Y|0|Y||Y|2|||78.17|78.96|0.0|78.88|78.99|78.76|78.98|78.92|0.0|0.0|78.81|77.3|78.99|78.71|78.88|78.89|78.84|78.89|78.99|78.89|78.89|78.97|59.8|95.8|78.76|79.11|78.8|79.06|78.89|79.09|78.89|78.97|91.44|64.11|300514|32398265 66835|WFH|WFH|25460G773|US25460G7732|Direxion Shares ETF Trust|Direxion Work From Home ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Direxion Shares|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-7|TXN4-3|TXN2-8|TXN4-3|TXN2-1|600001|||Quarterly|||||2020-06-25||WFH.NV|WFH.SO|WFH.EU|WFH.TC|WFH.IV| | | | | | | | | |1x|The Direxion Work From Home ETF seeks investment results, before fees and expenses, that track the Solactive Remote Work Index.|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|51.5712|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|51.5772|0.0|51.5772|51.07|52.17|51.55|51.67|51.55|51.67|47.9|55.15|51.4|51.8|51.55|51.67|53.005|39.11|592|650997 52969|WFHY|WFHY|97717X172|US97717X1726|WisdomTree Fundamental U.S. High Yield Corporate Bond 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Fund|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-8|TXN4-7|TXN6-8|TXN1-5|TXN1-4|200000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|43.5979|0.0|0.0|0.0|0.0|43.52|0.0|0.0|0.0|0.0|0.0|0.0|41.53|0.0|0.0|0.0|43.5979|0.0|43.5979|0.0|0.0|0.0|0.0|43.55|43.65|0.0|0.0|0.0|0.0|43.55|43.64|45.53|40.9197|783|609645 70769|WFRD|WFRD|G48833118|IE00BLNN3691|Weatherford International plc|COM USD0.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN5-4|TXN13-2|TXN6-2|TXN5-2|72120000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||60|6010|601010|60101030|Energy|Energy|Oil, Gas and Coal|Oil Equipment and Services|N||N||||||Y|0|Y||||||91.0|91.0|0.0|90.94|91.0|91.03|90.95|90.93|0.0|0.0|91.07|91.13|91.03|91.0|91.03|90.96|91.0|90.98|91.01|91.03|90.86|91.15|69.3|111.37|90.81|91.22|90.85|91.13|90.92|91.05|90.95|91.05|100.93|40.54|685488|211381750 73432|WGMI|WGMI|91917A207|US91917A2078|Valkyrie Bitcoin Miners ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN5-8|TXN11-3|TXN6-3|TXN5-6|2250000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||13.35|13.45|0.0|0.0|13.48|13.43|13.424|13.35|0.0|0.0|13.49|13.31|13.43|13.5|0.0|13.37|13.42|13.424|0.0|13.43|10.22|16.42|10.22|16.42|13.32|13.78|10.22|16.42|0.0|0.0|13.4|13.43|19.38|4.07|511953|24717451 9975|WGO|WGO|974637100|US9746371007|Winnebago Industries, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|M|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN3-4|TXN2-7|TXN4-8|TXN3-6|29910000|||Quarterly|||||1970-09-09||||||| | | | | | | | | |||N|0|N|Y|144E|USA|US|||40|4020|402030|40203055|Consumer Discretionary|Consumer Products and Services|Leisure Goods|Recreational Vehicles and Boats|N||N||||||Y|0|Y||Y|2|||68.32|68.37|0.0|68.4|68.35|68.37|68.4|68.43|0.0|0.0|68.34|68.37|68.41|68.32|68.12|68.35|68.34|68.4|68.33|68.35|68.35|68.41|53.01|83.79|67.94|68.82|68.29|68.49|68.32|68.41|68.35|68.41|70.53|51.74|531936|107073022 67974|WGS|WGS|81663L200|US81663L2007|GeneDx Holdings Corp|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN6-2|TXN12-7|TXN6-7|TXN6-5|25880000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201010|20101025|Health Care |Health Care |Health Care Providers|Health Care Services|N||N||||||Y|0|Y|D|||||1.75|1.72|0.0|0.0|1.75|1.74|1.73|1.78|0.0|0.0|1.73|1.78|1.74|1.75|1.71|1.78|0.0|1.74|1.75|1.74|1.68|1.79|1.35|2.06|1.68|1.79|1.72|1.77|1.71|1.77|1.74|1.75|9.21|0.2398|183005|345743868 67975|WGSWW|WGSWW|81663L119|US81663L1199|GeneDx Holdings Corp|WT EXP 072226||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-6|TXN6-1|TXN10-8|TXN6-1|TXN6-8|25880000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y|C|||||0.0|0.01|0.0|0.0|0.0|0.0081|0.0097|0.01|0.0|0.0|0.0098|0.0081|0.0081|0.0|0.0|0.01|0.0|0.0097|0.0|0.0097|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0081|0.0088|0.05|0.003|69991|7833343 61001|WH|WH|98311A105|US98311A1051|Wyndham Hotels & Resorts, Inc.|Common stock, $0.01 par value per share|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|M|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-6|TXN4-8|TXN5-5|TXN3-4|TXN3-3|82960000|||Quarterly|||||2018-05-17||||||| | | | | | | | | |||N|0|Y|Y|128A|USA|US|||40|4050|405010|40501025|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Hotels and Motels |N||N||||||Y|0|Y||Y|1|||78.24|78.24|0.0|78.22|78.24|78.235|78.25|78.25|0.0|0.0|78.25|78.26|78.21|78.31|78.26|78.21|78.65|78.24|78.25|78.21|78.21|78.22|73.69|83.26|77.98|78.26|78.16|78.26|78.14|78.32|78.21|78.22|81.0|63.69|766368|213434256 60656|WHD|WHD|127203107|US1272031071|Cactus, Inc.|Class A common stock, par value $0.01 per share|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|U|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-1|TXN3-3|TXN7-3|TXN4-1|TXN1-8|64610000|||Quarterly|||||2018-02-08||||||| | | | | | | | | |||N|0|N|Y|134F|USA|US|||60|6010|601010|60101030|Energy|Energy|Oil, Gas and Coal|Oil Equipment and Services|N||N||||||Y|0|Y||Y|2|||42.56|42.54|0.0|42.51|42.53|42.55|42.54|42.56|0.0|0.0|42.48|42.67|42.545|42.56|42.8|42.57|42.51|42.57|42.53|42.57|42.54|42.57|32.69|52.65|42.48|42.61|42.47|42.62|42.54|42.63|42.54|42.57|57.4|31.365|546738|128175239 41126|WHF|WHF|96524V106|US96524V1061|WhiteHorse Finance Inc|COM USD.001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN5-7|TXN10-2|TXN5-6|TXN6-7|23240000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||Y|0|Y||||||12.35|12.31|0.0|0.0|0.0|12.36|12.38|12.3|0.0|0.0|12.38|0.0|12.37|12.38|0.0|0.0|0.0|12.38|0.0|12.37|9.63|15.11|9.5|15.11|11.44|12.38|12.27|15.11|12.23|12.49|12.35|12.38|13.875|11.13|37812|11325872 76222|WHFCL|WHFCL|96524V403|US96524V4032|WhiteHorse Finance Inc 7.875 Notes due 2028|STRUCT PRODUCT||U|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN6-5|TXN14-3|TXN5-5|TXN5-2|1380000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|24.85|24.85|0.0|0.0|0.0|24.85|0.0|24.77|0.0|0.0|0.0|0.0|24.85|0.0|24.85|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|24.77|24.85|27.41|24.21|3184|619787 9978|WHG|WHG|961765104|US9617651040|Westwood Holdings Group, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|L|Citadel Securities 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Discretionary|Media|Media|Publishing|N||N||||||Y|0|Y||Y|2|||30.56|30.53|0.0|30.61|30.56|30.555|30.5525|30.555|0.0|0.0|30.56|30.55|30.56|30.57|30.55|30.56|30.57|30.56|30.59|30.56|30.55|30.56|23.96|37.53|30.36|30.72|30.5|30.6|30.5|30.61|30.55|30.56|49.58|28.835|474273|96156629 7262|WLYB|WLYB|968223305|US9682233054|John Wiley & Sons, Inc.|Class B Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|P|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN3-1|TXN9-8|TXN2-7|TXN4-4|9020000|||Quarterly|||||1995-07-12||||||| | | | | | | | | |||N|0|N|Y|142C|USA|US|||40|4030|403010|40301030|Consumer Discretionary|Media|Media|Publishing|N||N||||||N|0|Y||Y|2|||0.0|29.26|0.0|0.0|0.0|0.0|30.6783|0.0|0.0|0.0|0.0|0.0|31.2|0.0|0.0|0.0|0.0|0.0|0.0|31.13|28.04|30.88|0.0|0.0|29.67|32.27|0.0|0.0|0.0|0.0|30.49|30.87|49.19|28.35|36|74683 10013|WM|WM|94106L109|US94106L1098|Waste Management, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-2|TXN3-6|TXN3-8|TXN2-4|TXN3-8|402780000|||Quarterly|||||1993-07-20||||||| | | | | | | | | |||N|5|Y|Y|116A|USA|US|||65|6510|651030|65103035|Utilities|Utilities|Waste and Disposal Services|Waste and Disposal Services|N||N||||||Y|0|Y||Y|1|||174.46|174.4|0.0|174.45|174.43|174.43|174.4149|174.44|0.0|0.0|174.45|174.42|174.4|174.31|174.44|174.39|174.41|174.39|174.42|174.39|174.38|174.39|161.88|183.73|174.35|174.5|174.27|174.54|174.35|174.56|174.38|174.39|174.47|148.31|1701887|366703450 10008|WMB|WMB|969457100|US9694571004|The Williams Companies, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|A|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-6|TXN2-8|TXN3-5|TXN3-4|TXN3-8|1216500000|||Quarterly|||||1967-12-04||||||| | | | | | | | | |||N|5|Y|Y|106B|USA|US|||60|6010|601010|60101035|Energy|Energy|Oil, Gas and Coal|Pipelines|N||N||||||Y|0|Y||Y|1|||36.99|36.99|0.0|37.0|36.99|36.985|36.985|36.98|0.0|0.0|36.99|36.99|36.99|36.995|36.99|36.99|36.99|36.99|37.0|36.99|36.98|36.99|34.68|39.37|36.97|36.99|36.96|37.01|36.96|37.02|36.98|36.99|37.45|26.94|5203867|1557727739 40000|WMC|WMC|95790D204|US95790D2045|Western Asset Mortgage Capital Corporation|Common Stock|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN2-5|TXN6-8|TXN2-3|TXN3-7|6050000|||Quarterly|||||2012-05-10||||||| | | | | | | | | |||N|0|N|Y|414A|USA|US|||30|3020|302030|30203000|Financials|Financial Services |Mortgage Real Estate Investment Trusts|Mortgage REITs: Diversified|N||N||||||N|0|Y||Y|2|||8.31|8.795|0.0|8.77|8.8|8.8|8.67|8.8|0.0|0.0|8.8|0.0|8.78|0.0|9.95|8.79|0.0|8.67|8.49|8.79|8.65|8.81|8.71|8.79|8.65|9.03|6.62|11.06|0.0|0.0|8.65|8.81|11.64|7.82|25856|6568558 66599|WMG|WMG|934550203|US9345502036|Warner Music Group Corp|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN5-2|TXN12-8|TXN5-2|TXN5-4|138350000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4030|403010|40301010|Consumer Discretionary|Media|Media|Entertainment|N||N||||||Y|0|Y||||||34.27|34.28|0.0|34.39|34.28|34.28|34.28|34.275|0.0|0.0|34.28|34.28|34.26|34.27|34.29|34.25|34.35|34.26|34.27|34.26|34.25|34.32|26.56|42.09|34.24|34.34|34.22|34.33|34.21|34.34|34.26|34.27|38.755|23.62|2253751|360587630 10014|WMK|WMK|948849104|US9488491047|Weis Markets, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|C|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN3-5|TXN7-8|TXN1-1|TXN1-4|26900000|||Quarterly|||||1965-06-04||||||| | | | | | | | | |||N|0|N|Y|146D|USA|US|||45|4520|452010|45201010|Consumer Staples |Personal Care, Drug and Grocery Stores |Personal Care, Drug and Grocery Stores |Food Retailers and Wholesalers |N||N||||||Y|0|Y||Y|2|||62.5|62.33|0.0|61.98|62.22|62.36|62.28|62.28|0.0|0.0|61.52|60.97|62.28|62.16|61.37|62.27|0.0|62.28|62.23|62.27|62.21|62.27|48.3|76.53|62.0|62.81|62.05|62.4|62.21|62.45|62.21|62.27|89.22|58.75|76201|21381239 27978|WMPN|WMPN|96927A105|US96927A1051|William Penn Bancorp|COM USD0.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN6-7|TXN14-2|TXN6-1|TXN6-6|10070000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||||||12.44|0.0|0.0|0.0|12.37|12.38|12.345|12.395|0.0|0.0|0.0|12.42|12.3|0.0|0.0|0.0|0.0|12.34|0.0|12.3|12.12|12.6|0.0|0.0|12.15|12.55|0.0|0.0|0.0|0.0|12.24|12.37|12.695|8.77|28479|10856376 44685|WMS|WMS|00790R104|US00790R1041|Advanced Drainage Systems, Inc.|Common Stock, $0.01 par value per share|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|M|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN2-6|TXN8-7|TXN3-6|TXN1-6|77910000|||Quarterly|||||2014-07-25||||||| | | | | | | | | |||N|0|Y|Y|110E|USA|US|||50|5010|501010|50101020|Industrials|Construction and Materials|Construction and Materials |Building, Roofing/Wallboard and Plumbing|N||N||||||Y|0|Y||Y|1|||125.86|125.88|0.0|125.95|125.92|125.895|125.74|125.79|0.0|0.0|125.86|124.93|125.795|125.86|125.23|125.78|126.0|125.75|125.22|125.78|125.75|125.76|116.69|133.34|125.24|126.02|125.57|126.03|125.56|126.0|125.75|125.76|134.94|75.02|429294|171716403 10016|WMT|WMT|931142103|US9311421039|Walmart Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|N|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-5|TXN2-1|TXN5-7|TXN4-1|TXN4-6|2692230000|||Quarterly|||||1972-08-25||||||| | | | | | | | | |||Y|1|Y|Y|146B|USA|US|||40|4040|404010|40401010|Consumer Discretionary|Retail |Retailers |Diversified Retailers|N||N||||||Y|0|Y||Y|1|||154.25|154.29|0.0|154.29|154.23|154.29|154.27|154.285|0.0|0.0|154.28|154.27|154.29|154.25|154.24|154.3|154.32|154.3|154.265|154.3|154.27|154.3|154.17|154.41|154.27|154.32|154.16|154.38|154.14|154.45|154.27|154.3|169.94|136.09|8294396|1419127540 10018|WNC|WNC|929566107|US9295661071|Wabash National Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-3|TXN3-6|TXN1-8|TXN3-2|TXN3-5|46090000|||Quarterly|||||1991-11-08||||||| | | | | | | | | |||N|0|N|Y|132B|USA|US|||50|5020|502060|50206015|Industrials|Industrial Goods and Services|Industrial Transportation|Commercial Vehicles and Parts|N||N||||||Y|0|Y||Y|2|||23.28|23.28|0.0|23.3|23.3|23.3|23.29|23.3|0.0|0.0|23.31|23.3|23.29|23.3|23.36|23.29|23.36|23.29|23.3|23.29|23.29|23.3|17.82|28.77|23.2|23.44|23.27|23.33|23.27|23.33|23.29|23.3|30.096|20.09|498773|125084171 71615|WNDY|WNDY|37960A800|US37960A8009|Global X Wind Energy ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN5-1|TXN10-2|TXN6-6|TXN6-4|210000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|12.85|0.0|12.9|0.0|0.0|0.0|0.0|12.85|0.0|12.9|0.0|0.0|12.29|13.44|12.74|13.02|12.28|13.44|12.28|13.44|12.85|12.9|19.57|11.71|483|2910943 9968|WNEB|WNEB|958892101|US9588921018|Western New England Bancorp Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN5-6|TXN14-5|TXN6-5|TXN5-8|21710000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||||||8.14|8.15|0.0|0.0|8.11|8.15|8.15|8.15|0.0|0.0|0.0|0.0|8.11|8.1|0.0|0.0|8.135|8.11|0.0|8.11|8.03|8.24|0.0|0.0|8.06|8.21|8.08|8.17|8.07|8.18|8.11|8.15|10.2|5.58|36791|12371754 73619|WNNR|WNNR|G26735103|KYG267351032|Andretti Acquisition Corp.|Class A Ordinary Shares|Special purpose acquisition company|A|N|N|N|Y|Y|Y|Y|Y|6|O|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN4-8|TXN8-8|TXN3-6|TXN2-7|7900000|||NotApplicable|||||2022-03-07||||||| | | | | | | | | |||N|0|N|N|408A|USA|KY|||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|10.82|0.0|0.0|0.0|10.85|10.83|10.86|0.0|0.0|0.0|0.0|10.83|0.0|0.0|10.83|0.0|10.83|0.0|10.83|10.82|10.84|10.82|10.86|10.8|11.53|0.0|0.0|0.0|0.0|10.82|10.84|10.915|10.24|2955|30716607 73623|WNNR WS|WNNR.WS|G26735129|KYG267351297|Andretti Acquisition Corp.|Redeemable public warrants, each whole warrant exercisable for one Class A Ordinary Share at an exercise price of $11.50 per share|Special purpose acquisition company|C|N|N|N|Y|Y|Y|Y|Y|6|O|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN9-8|TXN4-4|TXN3-8|TXN1-8|TXN4-4|0|||NotApplicable|||||2022-03-07||||||| | | | | | | | | |||N|0|N|N|408A|USA|KY|||||||||||N||N||||||N|0|Y||N||||0.1672|0.24|0.0|0.0|0.0|0.22|0.2699|0.2544|0.0|0.0|0.25|0.26|0.25|0.0|0.0|0.26|0.0|0.26|0.0|0.26|0.23|0.275|0.0|0.0|0.2106|0.7495|0.0|0.0|0.0|0.0|0.2135|0.28|0.4694|0.0284|28473|8582857 73191|WNNR U|WNNR.U|G26735111|KYG267351115|Andretti Acquisition Corp.|Units, each consisting of one Class A Ordinary Share and one-half of one redeemable public warrant|Special purpose acquisition company|R|N|N|N|Y|Y|Y|Y|Y|6|O|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN2-4|TXN3-8|TXN1-2|TXN3-7|0|||NotApplicable|||||2022-01-13||||||| | | | | | | | | |||N|0|N|N|408A|USA|KY|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|11.0|10.94|10.9|0.0|0.0|0.0|0.0|0.0|0.0|0.0|11.0|0.0|11.0|0.0|11.0|10.89|12.06|0.0|0.0|10.17|12.06|8.72|14.47|0.0|0.0|10.92|12.06|12.54|10.23|200|179248 16905|WNS|WNS|92932M101|US92932M1018|WNS (Holdings) Limited|American Depositary Shares (Each representing one ordinary share, 10 pence par value)|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN2-2|TXN3-8|TXN1-2|TXN3-1|47520000|||NotApplicable|||||2006-07-26||||||| | | | | | | | | |||N|0|N|Y|104C|IND|GB|||50|5020|502050|50205020|Industrials|Industrial Goods and Services|Industrial Support Services|Professional Business Support Services|N||N||||||Y|0|Y||Y|2|||59.61|59.77|0.0|59.69|59.75|59.71|59.69|59.77|0.0|0.0|59.83|59.69|59.77|59.16|59.23|59.77|0.0|59.77|59.16|59.77|59.63|59.77|45.35|72.82|58.32|60.69|59.59|59.87|59.69|59.86|59.63|59.77|94.96|51.8406|162082|60399570 68504|WNW|WNW|G9604C107|VGG9604C1077|Meiwu Technology Company Limited|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-1|TXN5-2|TXN14-7|TXN5-4|TXN5-8|60950000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||45|4520|452010|45201010|Consumer Staples |Personal Care, Drug and Grocery Stores |Personal Care, Drug and Grocery Stores |Food Retailers and Wholesalers |N||N||||||N|0|Y|C|||||0.0719|0.0719|0.0|0.078|0.0709|0.071|0.074|0.0709|0.0|0.0|0.0721|0.0751|0.072|0.077|0.0|0.0714|0.071|0.072|0.074|0.072|0.0563|0.0735|0.067|0.0896|0.0671|0.0735|0.0563|0.083|0.0|0.0|0.0715|0.0735|2.7|0.0665|6129361|399713368 71921|WOLF|WOLF|977852102|US9778521024|Wolfspeed, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-7|TXN3-3|TXN1-3|TXN1-5|TXN1-1|125330000|||NotApplicable|||||2021-10-04||||||| | | | | | | | | |||N|0|Y|Y|112A|USA|US|||10|1010|101020|10102010|Technology|Technology|Technology Hardware and Equipment|Semiconductors|N||N||||||Y|0|Y||Y|1|||40.43|40.45|0.0|39.9|40.43|40.445|40.44|40.44|0.0|0.0|40.43|40.52|40.46|40.48|40.43|40.45|40.45|40.43|40.45|40.45|40.43|40.44|37.67|42.73|40.36|40.8|40.37|40.52|40.35|40.53|40.43|40.44|87.93|27.35|5117278|699154673 61504|WOMN|WOMN|45259A100|US45259A1007|Impact Shares Trust I|Impact Shares YWCA Womens Empowerment ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Impact Shares|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-6|TXN4-7|TXN7-8|TXN1-3|TXN4-2|1350001|||Quarterly|||||2018-08-27||WOMN.NV|WOMN.SO|WOMN.EU|WOMN.TC|WOMN.IV| | | | | | | | | |1x|WOMN tracks the Morningstar Womens Empowerment Index, which is designed to provide exposure to companies worldwide with strong policies and practices in support of womens empowerment and gender equality.|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|32.3299|31.75|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|32.39|0.0|32.39|0.0|0.0|0.0|0.0|32.24|32.39|0.0|0.0|0.0|0.0|32.24|32.39|32.54|26.08|3995|785300 28312|WOOD|WOOD|464288174|US4642881746|iShares Global Timber & Forestry ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN5-5|TXN12-1|TXN6-2|TXN5-2|2640000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|77.2701|0.0|0.0|0.0|0.0|0.0|77.32|0.0|0.0|0.0|0.0|77.2701|0.0|77.32|0.0|0.0|0.0|0.0|76.86|78.08|0.0|0.0|0.0|0.0|77.29|77.65|80.41|68.7452|4423|2940017 68783|WOOF|WOOF|71601V105|US71601V1052|Petco Health & Wellness Co Inc|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN6-1|TXN11-5|TXN6-4|TXN6-1|229970000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||USA||||40|4040|404010|40401030|Consumer Discretionary|Retail |Retailers |Specialty Retailers |N||N||||||Y|0|Y||||||3.62|3.615|0.0|3.61|3.62|3.62|3.62|3.62|0.0|0.0|3.62|3.62|3.62|3.61|3.62|3.61|3.62|3.62|3.615|3.62|3.6|3.64|3.39|3.85|3.6|3.64|3.59|3.64|3.61|3.65|3.61|3.62|12.575|2.63|7360396|857377759 10022|WOR|WOR|981811102|US9818111026|Worthington Enterprises, Inc.|Common Shares|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|O|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-7|TXN1-1|TXN3-6|TXN3-1|TXN3-2|49970000|||Quarterly|||||2000-04-19||||||| | | | | | | | | |||N|0|N|Y|130D|USA|US|||55|5510|551020|55102010|Basic Materials|Basic Resources|Industrial Metals and Mining|Iron and Steel|N||N||||||Y|0|Y||Y|2|||49.87|50.15|0.0|50.15|50.16|50.19|50.12|50.14|0.0|0.0|50.3|50.3|50.15|49.51|50.15|50.15|50.28|50.2|50.23|50.15|50.15|50.21|38.61|61.87|50.11|50.29|50.05|50.27|50.13|50.21|50.15|50.21|77.42|45.26|738072|52637880 62944|WORX|WORX|78396V208|US78396V2088|SCWorx Corp|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN6-7|TXN14-6|TXN5-7|TXN5-3|1210000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201010|20101025|Health Care |Health Care |Health Care Providers|Health Care Services|N||N||||||N|0|Y||||||2.26|0.0|0.0|0.0|2.26|2.25|2.28|2.32|0.0|0.0|2.25|2.33|2.27|2.318|0.0|0.0|0.0|2.295|0.0|2.295|2.16|2.4|1.77|2.84|2.15|2.42|1.77|2.52|0.0|0.0|2.26|2.33|2.9043|0.18|38339|499199434 17034|WOW|WOW|96758W101|US96758W1018|WideOpenWest, Inc.|Common Stock, $0.01 par value per share|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|P|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-6|TXN4-4|TXN3-6|TXN2-1|TXN2-6|83630000|||NotApplicable|||||2017-05-25||||||| | | | | | | | | |||N|0|N|Y|306A|USA|US|||15|1510|151020|15102015|Telecommunications|Telecommunications|Telecommunications Service Providers |Telecommunications Services|N||N||||||N|0|Y||Y|2|||4.24|4.23|0.0|4.27|4.23|4.235|4.23|4.22|0.0|0.0|4.23|4.2|4.24|4.23|4.16|4.23|4.23|4.24|4.2|4.23|4.23|4.24|3.3|5.12|4.19|4.27|4.2|4.26|4.22|4.27|4.23|4.24|12.45|2.81|613108|91894767 10024|WPC|WPC|92936U109|US92936U1097|W. P. Carey Inc.|Common Stock|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|6|Q|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-4|TXN4-4|TXN8-3|TXN4-8|TXN4-8|218670000|||Quarterly|||||2012-10-01||||||| | | | | | | | | |||N|0|Y|Y|412A|USA|US|||35|3510|351020|35102000|Real Estate|Real Estate |Real Estate Investment Trusts|Diversified REITs|N||N||||||Y|0|Y||Y|1|||64.87|64.875|0.0|64.89|64.85|64.89|64.855|64.89|0.0|0.0|64.82|64.84|64.87|64.85|64.87|64.87|64.87|64.85|64.83|64.87|64.85|64.87|60.69|68.94|64.8|64.89|64.81|64.94|64.8|64.96|64.85|64.87|85.94|51.36|2231704|313655010 9216|WPM|WPM|962879102|CA9628791027|Wheaton Precious Metals Corp.|Common Stock|Operating company|A|N|Y|N|Y|Y|Y|Y|Y|6|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-4|TXN4-3|TXN1-6|TXN2-6|TXN1-6|453000000|||Quarterly|||||2006-05-09||||||| | | | | | | | | |||N|0|N|Y|130C|CAN|CA|||55|5510|551030|55103025|Basic Materials|Basic Resources|Precious Metals and Mining|Gold Mining|N||N||||||Y|0|Y||Y|2|||48.9|48.905|0.0|48.61|48.89|48.91|48.9|48.9|0.0|0.0|48.89|48.94|48.91|48.9|48.91|48.9|48.92|48.9|48.92|48.9|48.9|48.91|37.38|59.41|48.83|48.92|48.86|48.94|48.86|48.95|48.9|48.91|52.76|38.1|2197940|453835422 4428|WPP|WPP|92937A102|US92937A1025|WPP plc|American Depositary Shares, each representing five Ordinary Shares|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-6|TXN2-2|TXN6-3|TXN2-7|TXN1-3|1074840000|||Adhoc|||||2017-11-28||||||| | | | | | | | | |||N|0|N|Y|180B|GBR|GB|||40|4030|403010|40301020|Consumer Discretionary|Media|Media|Media Agencies|N||N||||||Y|0|Y||Y|2|||45.52|45.57|0.0|45.54|45.57|45.56|45.59|45.57|0.0|0.0|45.57|45.8|45.59|45.19|45.83|45.56|45.2|45.59|45.88|45.56|45.55|45.59|34.97|55.32|45.36|45.82|45.54|45.62|45.53|45.63|45.55|45.59|64.07|41.13|168320|25066097 28659|WPRT|WPRT|960908507|CA9609085076|Westport Fuel Systems Inc|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN5-7|TXN13-8|TXN5-5|TXN6-6|17180000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CAN||||50|5020|502060|50206015|Industrials|Industrial Goods and Services|Industrial Transportation|Commercial Vehicles and Parts|N||N||||||Y|0|Y||||||7.83|7.79|0.0|0.0|7.62|7.62|7.6332|7.67|0.0|0.0|7.76|0.0|7.69|7.679|0.0|7.62|0.0|7.61|7.61|7.69|7.34|8.04|6.04|9.37|7.54|7.7|7.34|8.04|0.0|0.0|7.6|7.7|12.0|0.6533|47609|56637657 25252|WPS|WPS|464288422|US4642884229|iShares Trust|iShares International Developed Property ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BlackRock Fund Advisors|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-2|TXN2-3|TXN2-8|TXN4-6|TXN4-6|1400000|||Quarterly|||||2007-12-06||WPS.NV|WPS.SO|WPS.EU|WPS.TC|WPS.IV| | | | | | | | | |1x|The iShares S&P Developed ex-U.S. Property Index Fund seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the S&P Developed ex US Property Index. The Underlying Index is a free float-adjusted, market capitalization weighted index that defines and measures the investable universe of publicly-traded real estate companies domiciled in developed countries outside of the United States. The companies in the Underlying Index are engaged in real estate related activities, such as property ownership, management, development, rental and investment. As of May 29, 2009, the Underlying Index was comprised of stocks of companies in the following markets: Australia, Austria, Belgium, Canada, Denmark, Finland, France, Germany, Greece, Hong Kong, Ireland, Italy, Japan, Luxembourg, the Netherlands, New Zealand, Norway, Singapore, Spain, Sweden, Switzerland and the United Kingdom. As of May 29, 2009, the Underlying Index had a total market capitalization of approximately $474 billion.|N|0|N|N|412C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|26.7413|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|26.8081|0.0|26.8081|21.35|32.16|0.0|0.0|26.75|26.86|21.35|32.16|0.0|0.0|26.75|26.86|30.31|23.44|608|1094809 71703|WRAC|WRAC|96951B102|US96951B1026|Williams Rowland Acquisition Corp.|Common Stock|Special purpose acquisition company|A|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-3|TXN2-3|TXN5-8|TXN4-2|TXN4-3|8350000|||NotApplicable|||||2023-02-17||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.48|0.0|0.0|10.48|0.0|0.0|10.48|10.56|10.27|10.56|0.0|0.0|0.0|0.0|10.48|10.56|10.85|9.92|3|1944816 71247|WRAC U|WRAC.U|96951B201|US96951B2016|Williams Rowland Acquisition Corp.|Units, each consisting of one share of common stock and one-half of one redeemable warrant|Special purpose acquisition company|R|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-7|TXN4-5|TXN2-8|TXN2-5|TXN1-2|20000000|||NotApplicable|||||2023-02-17||||||| | | | | | | | | |||N|0|N|N|408A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.47|0.0|0.0|10.47|8.38|13.81|10.47|11.51|8.38|13.81|8.38|13.81|0.0|0.0|8.38|13.81|15.47|9.99|17|68392 62160|WRAP|WRAP|98212N107|US98212N1072|Wrap Technologies Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN5-7|TXN10-2|TXN6-3|TXN5-3|44210000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502010|50201020|Industrials|Industrial Goods and Services|Aerospace and Defense|Defense|N||N||||||Y|0|Y||||||2.86|2.85|0.0|0.0|2.81|2.84|2.83|2.9|0.0|0.0|2.825|2.86|2.83|0.0|2.95|2.86|2.9|2.83|2.88|2.83|2.75|2.9|2.21|3.47|2.76|2.89|2.37|3.37|0.0|0.0|2.8|2.83|3.2198|0.95|184126|32674266 5027|WRB|WRB|084423102|US0844231029|W.R. Berkley Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-4|TXN4-7|TXN2-5|TXN2-6|TXN4-5|257870000|||Quarterly|||||2001-05-09||||||| | | | | | | | | |||N|5|Y|Y|410A|USA|US|||30|3030|303020|30302025|Financials|Insurance|Non-life Insurance|Property and Casualty Insurance|N||N||||||Y|0|Y||Y|1|||73.64|73.64|0.0|74.14|73.65|73.65|73.63|73.64|0.0|0.0|73.64|73.64|73.63|73.65|73.68|73.65|73.67|73.65|73.68|73.65|73.63|73.65|69.42|78.09|73.6|73.66|73.59|73.67|73.58|73.69|73.63|73.65|75.68|55.5|1536817|327617852 60849|WRB PRE|WRBpE|084423706|US0844237067|W.R. Berkley Corporation|5.70% Subordinated Debentures due 2058|Operating company|G|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN4-6|TXN6-8|TXN2-1|TXN2-2|7400000|||Quarterly|||||2018-04-02|2058-03-30|||||| | | | | | | | | |||N|0|N|N|410A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||23.34|23.43|0.0|0.0|23.49|23.61|23.38|23.52|0.0|0.0|23.6|23.6|23.61|0.0|0.0|23.38|23.6|23.38|0.0|23.38|23.4|23.61|23.52|23.61|22.93|24.08|0.0|0.0|0.0|0.0|23.4|23.61|24.93|20.3|13056|3110828 65264|WRB PRF|WRBpF|084423805|US0844238057|W.R. Berkley Corporation|5.10% Subordinated Debentures due 2059|Operating company|B|N|N|N|Y|Y|Y|Y|Y|8|I|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-8|TXN3-8|TXN9-8|TXN2-1|TXN3-3|12000000|||Quarterly|||||2019-12-19|2059-12-30|||||| | | | | | | | | |||N|0|N|N|410A|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||22.34|22.27|0.0|0.0|22.34|22.25|22.265|22.34|0.0|0.0|22.2|22.2|22.25|22.17|19.58|22.37|0.0|22.37|21.21|22.37|22.27|22.37|22.16|22.3|21.81|22.75|0.0|0.0|0.0|0.0|22.27|22.37|23.18|18.79|47152|5453671 67628|WRB PRG|WRBpG|084423888|US0844238883|W.R. Berkley Corporation|4.25% Subordinated Debentures due 2060|Operating company|G|N|N|N|Y|Y|Y|Y|Y|8|I|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN3-6|TXN2-8|TXN1-2|TXN1-6|10000000|||Quarterly|||||2020-09-24|2060-09-30|||||| | | | | | | | | |||N|0|N|N|410A||US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|19.69|0.0|0.0|0.0|20.1|20.14|19.935|0.0|0.0|19.66|0.0|20.2|0.0|0.0|20.14|20.09|20.14|0.0|20.14|20.08|20.2|20.09|20.2|19.64|20.6|0.0|0.0|0.0|0.0|18.72|21.73|20.43|17.24|12026|3689657 69263|WRB PRH|WRBpH|084423870||W.R. Berkley Corporation|4.125% Subordinated Debentures due 2061|Operating company|G|N|N|N|Y|Y|Y|Y|Y|8|I|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN4-6|TXN7-8|TXN3-3|TXN2-4|0|||Quarterly|||||2021-02-19|2061-03-30|||||| | | | | | | | | |||N|0|N|N|410A||US|||50|5020|502040|50204000|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Industrial|N||N||||||N|0|Y||Y|2|||18.02|17.6|0.0|0.0|18.44|18.31|18.2701|18.31|0.0|0.0|0.0|0.0|18.33|18.42|0.0|18.32|0.0|18.2701|16.11|18.32|18.32|18.39|18.23|18.33|17.92|18.7|0.0|0.0|0.0|0.0|18.32|18.39|19.41|15.4|11388|10358096 71817|WRBY|WRBY|93403J106|US93403J1060|Warby Parker Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|F|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-6|TXN3-3|TXN3-6|TXN4-7|TXN1-2|97930000|||NotApplicable|||||2021-09-29||||||| | | | | | | | | |||N|0|N|Y|146F|USA|US|||20|2010|201020|20102015|Health Care |Health Care |Medical Equipment and Services|Medical Supplies|N||N||||||Y|0|Y||Y|2|||11.11|11.11|0.0|11.14|11.13|11.125|11.111|11.125|0.0|0.0|11.12|11.12|11.115|11.11|11.15|11.11|11.15|11.111|11.145|11.11|11.11|11.12|8.71|13.6|11.11|11.16|11.08|11.15|11.1|11.16|11.11|11.12|18.67|9.5|1034536|254995607 8940|WRK|WRK|96145D105|US96145D1054|WestRock Company|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|R|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-2|TXN4-1|TXN5-1|TXN4-8|TXN2-8|256470000|||Quarterly|||||2015-06-24||||||| | | | | | | | | |||N|5|Y|Y|138A|USA|US|||50|5020|502030|50203030|Industrials|Industrial Goods and Services|General Industrials|Containers and Packaging|N||N||||||Y|0|Y||Y|1|||41.54|41.55|0.0|41.54|41.56|41.545|41.55|41.56|0.0|0.0|41.55|41.55|41.545|41.54|41.57|41.55|41.6|41.55|41.55|41.55|41.55|41.57|38.91|44.16|41.53|41.58|41.52|41.58|41.55|41.58|41.55|41.57|42.455|26.84|3637609|608689983 4433|WRLD|WRLD|981419104|US9814191048|World Acceptance Corp|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN5-2|TXN13-2|TXN6-6|TXN6-4|6230000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302010|30201020|Financials|Financial Services |Finance and Credit Services|Consumer Lending|N||N||||||N|0|Y||||||120.36|119.21|0.0|0.0|118.9|119.86|119.22|119.63|0.0|0.0|0.0|0.0|119.37|118.68|0.0|0.0|0.0|119.22|119.0|119.37|116.94|122.29|91.42|147.01|117.3|121.94|118.53|120.4|118.25|120.65|119.2|119.46|160.075|58.44|40325|13732976 36533|WRN|WRN|95805V108|CA95805V1085|Western Copper and Gold Corporation|Common Shares|Operating company|A|N|Y|A|Y|Y|Y|Y|Y|||J. Streicher & Co. L.L.C.|JSCO|3856|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-3|TXN1-4|TXN5-8|TXN1-6|TXN3-1|162620000|||NotApplicable|||||2011-10-18||||||| | | | | | | | | |||N|0|N|N|416A|CAN|CA|||55|5510|551020|55102050|Basic Materials|Basic Resources|Industrial Metals and Mining|Nonferrous Metals|N||N||||||N|0|Y||Y|2|||1.32|1.28|0.0|0.0|0.0|1.275|1.28|0.0|0.0|0.0|1.29|0.0|1.29|1.34|1.29|1.28|1.28|1.28|0.0|1.28|1.23|1.35|1.27|1.28|1.25|1.34|1.25|1.31|1.25|1.31|1.27|1.29|1.98|1.17|117930|25640922 73430|WRND|WRND|45409B255|US45409B2557|IQ Global Equity R&D Leaders ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN6-8|TXN12-3|TXN6-8|TXN6-8|275000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|25.03|0.0|0.0|0.0|0.0|0.0|0.0|25.03|0.0|0.0|0.0|0.0|24.82|25.17|0.0|0.0|0.0|0.0|24.97|25.03|25.9133|19.5844|2|1024341 76033|WRNT|WRNT|93465C106|US93465C1062|Warrantee Inc|ADS||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-8|TXN5-1|TXN13-6|TXN6-6|TXN6-2|20000000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||JPN||||40|4030|403010|40301020|Consumer Discretionary|Media|Media|Media Agencies|N||N||||||N|0|Y||||||0.341|0.34|0.0|0.0|0.342|0.34|0.342|0.0|0.0|0.0|0.335|0.0|0.3409|0.0|0.0|0.0|0.0|0.342|0.0|0.342|0.0|0.0|0.0|0.0|0.3174|0.3923|0.0|0.0|0.0|0.0|0.342|0.37|5.85|0.257|44956|51625581 76683|WS|WS|982104101|US9821041012|Worthington Steel, Inc.|Common Shares|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|O|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-8|TXN1-5|TXN7-8|TXN2-1|TXN4-2|50030000|||NotApplicable|||||2023-11-28||||||| | | | | | | | | |||N|0|N|Y|130D|USA|US|||55|5510|551020|55102010|Basic Materials|Basic Resources|Industrial Metals and Mining|Iron and Steel|N||N||||||N|0|Y|D|Y|2|||24.2|24.24|0.0|22.2|24.18|24.225|24.2|24.21|0.0|0.0|23.79|23.65|24.225|24.18|23.84|24.2|24.24|24.2|23.83|24.2|24.2|24.25|18.79|29.73|23.15|25.06|18.79|29.73|0.0|0.0|24.2|24.25|24.99|21.0|1188846|2227225 4440|WSBC|WSBC|950810101|US9508101014|WesBanco Inc|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN5-7|TXN14-8|TXN6-7|TXN6-3|59370000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||||||28.35|28.67|0.0|28.65|28.66|28.65|28.64|28.61|0.0|0.0|28.66|28.61|28.64|28.61|28.35|28.63|28.67|28.64|0.0|28.64|28.58|28.71|21.7|34.91|28.56|28.73|28.57|28.72|28.62|28.73|28.62|28.66|39.99|19.84|156400|48781316 67207|WSBCP|WSBCP|950810705|US9508107052|WesBanco Inc|6.75% DP PFD A||B|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN5-3|TXN11-8|TXN5-7|TXN5-4|6000000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|23.64|0.0|0.0|0.0|23.65|23.65|23.53|0.0|0.0|23.65|0.0|23.63|0.0|0.0|0.0|0.0|23.65|0.0|23.65|0.0|0.0|0.0|0.0|23.12|24.12|0.0|0.0|0.0|0.0|23.63|23.65|25.8381|17.35|7085|2735605 4354|WSBF|WSBF|94188P101|US94188P1012|Waterstone Financial Inc|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-4|TXN6-6|TXN12-4|TXN6-3|TXN6-4|20580000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||||||0.0|12.6|0.0|0.0|12.59|12.59|12.6|12.595|0.0|0.0|12.5|12.59|12.6|12.6|0.0|12.5|0.0|12.595|12.51|12.6|12.46|12.73|9.53|15.54|12.48|12.64|12.55|12.64|12.58|12.64|12.6|12.61|17.6999|9.62|61402|17113447 51713|WSC|WSC|971378104|US9713781048|WillScot Mobile Mini Holdings Corp|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN5-4|TXN10-3|TXN5-1|TXN6-5|191630000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||USA||||50|5020|502060|50206050|Industrials|Industrial Goods and Services|Industrial Transportation|Commercial Vehicle-Equipment Leasing|N||N||||||Y|0|Y||||||41.86|41.86|0.0|41.54|41.87|41.88|41.85|41.87|0.0|0.0|41.84|41.87|41.87|41.83|41.76|41.85|41.89|41.85|41.77|41.87|41.85|41.89|39.13|44.18|41.79|41.88|41.83|41.89|41.83|41.92|41.85|41.87|53.46|34.3975|2411603|441246332 4446|WSFS|WSFS|929328102|US9293281021|WSFS Financial Corp|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN5-7|TXN10-2|TXN5-8|TXN6-6|60730000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||||||41.63|41.63|0.0|41.66|41.63|41.59|41.64|41.63|0.0|0.0|41.75|41.68|41.65|41.69|41.65|41.71|41.66|41.65|41.61|41.65|41.56|42.05|41.59|41.74|41.55|41.75|41.59|41.74|41.58|41.7|41.64|41.7|51.77|29.5859|402521|59725858 10051|WSM|WSM|969904101|US9699041011|Williams-Sonoma, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|A|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN1-6|TXN5-5|TXN3-1|TXN3-3|64150000|||Quarterly|||||1998-06-01||||||| | | | | | | | | |||N|0|Y|Y|146E|USA|US|||40|4040|404010|40401030|Consumer Discretionary|Retail |Retailers |Specialty Retailers |N||N||||||Y|0|Y||Y|1|||198.44|198.42|0.0|198.21|198.38|198.55|198.36|198.285|0.0|0.0|198.6|198.54|198.29|198.43|198.25|198.3|197.75|198.26|198.47|198.3|198.26|198.3|186.55|209.62|197.42|199.62|198.04|198.61|198.01|198.63|198.26|198.3|199.32|109.44|1165145|245411790 10052|WSO|WSO|942622200|US9426222009|Watsco, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN2-1|TXN3-7|TXN1-7|TXN3-1|33870000|||Quarterly|||||1994-06-16||||||| | | | | | | | | |||N|0|Y|Y|170A|USA|US|||50|5010|501010|50101025|Industrials|Construction and Materials|Construction and Materials |Building: Climate Control|N||N||||||Y|0|Y||Y|1|||396.29|396.51|0.0|396.79|396.41|396.53|396.585|395.925|0.0|0.0|396.73|394.91|396.98|396.29|392.76|396.95|395.3|396.96|394.43|396.95|396.64|396.65|367.97|421.64|396.46|399.7|396.46|397.35|396.64|397.58|396.64|396.65|406.08|243.38|258151|75489217 10053|WSO B|WSO.B|942622101|US9426221019|Watsco, Inc.|Class B Common Stock, $0.50 par value|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|E|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-8|TXN2-4|TXN8-8|TXN4-3|TXN2-5|5530000|||Quarterly|||||2013-02-01||||||| | | | | | | | | |||N|0|N|Y|170A|USA|US|||50|5010|501010|50101025|Industrials|Construction and Materials|Construction and Materials |Building: Climate Control|N||N||||||N|0|Y||Y|2|||0.0|375.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|375.0|0.0|0.0|0.0|375.0|394.91|397.76|0.0|0.0|378.49|413.81|0.0|0.0|0.0|0.0|378.49|413.81|388.5|250.43|4|17838 35662|WSR|WSR|966084204|US9660842041|Whitestone REIT|Common Shares|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN2-6|TXN1-2|TXN3-4|TXN4-4|TXN1-2|49590000|||Monthly|||||2012-06-29||||||| | | | | | | | | |||N|0|N|Y|414A|USA|US|||35|3510|351020|35102000|Real Estate|Real Estate |Real Estate Investment Trusts|Diversified REITs|N||N||||||N|0|Y||Y|2|||11.34|11.4|0.0|0.0|11.4|11.395|11.4|11.395|0.0|0.0|11.395|11.4|11.4|11.39|11.32|11.39|11.4|11.4|11.4|11.39|11.39|11.4|8.6|13.73|11.36|11.43|11.36|11.43|11.36|11.43|11.39|11.4|11.4|8.21|328509|81894981 10054|WST|WST|955306105|US9553061055|West Pharmaceutical Services, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN1-7|TXN5-7|TXN1-8|TXN4-8|73990000|||Quarterly|||||1980-10-27||||||| | | | | | | | | |||N|5|Y|Y|136D|USA|US|||20|2010|201020|20102015|Health Care |Health Care |Medical Equipment and Services|Medical Supplies|N||N||||||Y|0|Y||Y|1|||351.29|351.05|0.0|351.33|350.65|351.21|350.88|351.305|0.0|0.0|351.08|351.4|350.71|351.29|350.56|350.88|352.12|350.72|350.86|350.88|350.72|350.9|330.0|373.1|350.57|351.05|350.41|368.66|350.38|351.47|350.72|350.9|415.73|224.1546|435693|102234542 27337|WT|WT|97717P104|US97717P1049|WisdomTree, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-4|TXN3-2|TXN1-8|TXN1-8|TXN2-8|150340000|||Quarterly|||||2022-11-07||||||| | | | | | | | | |||N|0|N|Y|408A|USA|US|||30|3020|302020|30202010|Financials|Financial Services |Investment Banking and Brokerage Services |Asset Managers and Custodians|N||N||||||Y|0|Y||Y|2|||6.67|6.68|0.0|6.65|6.67|6.68|6.68|6.675|0.0|0.0|6.68|6.675|6.675|6.67|6.66|6.68|6.66|6.68|6.65|6.68|6.67|6.68|5.06|8.15|6.67|6.69|6.64|6.71|6.67|6.71|6.67|6.68|7.545|5.22|1682588|269342794 72825|WTAI|WTAI|97717Y543|US97717Y5437|WisdomTree Artificial Intelligence and Innovation Fund|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-7|TXN2-6|TXN8-6|TXN3-1|TXN3-4|8950000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||18.91|19.12|0.0|0.0|19.11|19.12|19.12|19.0|0.0|0.0|19.12|18.91|19.13|18.91|19.06|19.02|19.11|19.12|19.14|19.12|14.64|23.34|19.01|19.13|19.12|19.13|19.05|19.13|19.05|19.13|19.09|19.13|20.52|13.6689|739333|30303170 4454|WTBA|WTBA|95123P106|US95123P1066|West Bancorporation Inc|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN6-5|TXN11-5|TXN6-2|TXN5-5|16730000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||||||0.0|19.315|0.0|0.0|0.0|19.28|19.42|0.0|0.0|0.0|19.07|0.0|19.45|0.0|19.26|0.0|0.0|19.42|0.0|19.45|18.53|19.93|0.0|0.0|18.52|19.87|0.0|0.0|0.0|0.0|19.07|19.45|25.8|15.0357|29126|6274517 15559|WTER|WTER|01643A306|US01643A3068|Alkaline Water Co Inc (The)|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-7|TXN6-4|TXN13-3|TXN5-2|TXN6-1|13020000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||45|4510|451010|45101020|Consumer Staples |Food, Beverage and Tobacco |Beverages|Soft Drinks|N||N||||||N|0|Y||||||0.3|0.2911|0.0|0.0|0.291|0.3|0.2951|0.2911|0.0|0.0|0.3|0.3|0.3|0.0|0.0|0.0|0.0|0.3|0.0|0.3|0.2755|0.3129|0.2317|0.356|0.2755|0.3112|0.2755|0.3129|0.0|0.0|0.2911|0.3|2.64|0.1101|155460|137173210 4457|WTFC|WTFC|97650W108|US97650W1080|Wintrust Financial Corp.|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN6-3|TXN13-5|TXN6-8|TXN6-6|61240000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||N|0|Y||||||0.0|90.98|0.0|91.12|90.95|91.08|91.11|91.135|0.0|0.0|90.7|91.02|91.1|91.07|0.0|90.48|89.88|91.135|91.1|91.1|90.55|91.65|84.56|96.78|90.56|91.57|90.96|91.26|91.11|0.0|91.11|91.16|95.97|57.48|390281|111630441 50276|WTFCM|WTFCM|97650W405|US97650W4050|Wintrust Financial Corp.|PFD-D FIX/FLT||B|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN5-8|TXN12-2|TXN6-1|TXN5-8|5000000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|22.47|0.0|0.0|0.0|22.17|22.35|0.0|0.0|0.0|22.35|0.0|22.29|22.17|0.0|0.0|22.3|22.22|0.0|22.29|0.0|0.0|0.0|0.0|21.73|23.09|0.0|0.0|0.0|0.0|22.17|22.64|26.2399|18.4|31771|2442555 66575|WTFCP|WTFCP|97650W504|US97650W5040|Wintrust Financial Corp.|DEP REPSTG SR E||B|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN6-7|TXN13-5|TXN6-2|TXN6-4|11500000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|24.5|0.0|0.0|0.0|24.69|24.64|0.0|0.0|0.0|0.0|0.0|24.54|0.0|0.0|0.0|24.6|24.75|0.0|24.75|0.0|0.0|0.0|0.0|24.11|25.33|0.0|0.0|0.0|0.0|24.49|24.75|26.76|19.39|17276|8831208 10056|WTI|WTI|92922P106|US92922P1066|W&T Offshore, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN4-1|TXN1-7|TXN4-6|TXN3-8|146570000|||Quarterly|||||2005-01-28||||||| | | | | | | | | |||N|0|N|Y|134B|USA|US|||60|6010|601010|60101010|Energy|Energy|Oil, Gas and Coal|Oil: Crude Producers|N||N||||||Y|0|Y||Y|2|||3.28|3.28|0.0|0.0|3.27|3.28|3.28|3.275|0.0|0.0|3.28|3.28|3.28|3.27|3.265|3.28|3.28|3.28|3.27|3.28|3.27|3.28|2.56|4.07|3.27|3.29|3.24|3.31|3.23|3.29|3.27|3.28|6.74|3.25|2118107|570007393 75267|WTID|WTID|06368L403|US06368L4032|Bank of Montreal|MicroSectors Energy 3X Inverse Leveraged ETNs due January 29, 2043|Operating company|ETN|N|N|P|Y|Y|Y|Y|Y||||||||Bank of Montreal|Old Mission Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN4-1|TXN2-7|TXN2-5|TXN4-8|160000|||NotApplicable|||||2023-02-15|2043-01-29|WTID.NV|WTID.SO|WTID.EU|WTID.TC|WTID.IV| | | | | | | | | |-3x|The Solactive MicroSectors Energy Index is a total return index that tracks the performance of highly liquid U.S. stocks from the energy and oil sector.|N|0|N|N|416A||CA|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|19.03|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|23.262|0.0|23.262|0.0|0.0|0.0|0.0|23.24|23.35|9.16|36.6|0.0|0.0|23.24|23.35|40.44|18.05|3|110867 75266|WTIU|WTIU|06368L304|US06368L3042|Bank of Montreal|MicroSectors Energy 3X Leveraged ETNs due January 29, 2043|Operating company|ETN|N|N|P|Y|Y|Y|Y|Y||||||||Bank of Montreal|Old Mission Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-8|TXN2-5|TXN2-8|TXN1-2|TXN4-8|160000|||NotApplicable|||||2023-02-15|2043-01-29|WTIU.NV|WTIU.SO|WTIU.EU|WTIU.TC|WTIU.IV| | | | | | | | | |3x|The Solactive MicroSectors Energy Index is a total return index that tracks the performance of highly liquid U.S. stocks from the energy and oil sector.|N|0|N|N|416A||CA|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|16.32|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|16.32|0.0|16.32|0.0|0.0|0.0|0.0|16.31|16.37|6.67|26.65|0.0|0.0|16.31|16.37|23.37|13.58|715|424535 10057|WTM|WTM|G9618E107|BMG9618E1075|White Mountains Insurance Group, Ltd.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|4|0.01|0.01|5000000|1|100|TXN9-8|TXN1-8|TXN4-8|TXN3-1|TXN3-6|2560000|||Yearly|||||1985-10-23||||||| | | | | | | | | |||N|0|Y|Y|410B|BMU|BM|||30|3030|303020|30302025|Financials|Insurance|Non-life Insurance|Property and Casualty Insurance|N||N||||||N|0|Y||Y|1|||1498.09|1521.7|0.0|1502.5|1498.74|1480.5|1529.99|1480.0|0.0|0.0|1522.5|1444.25|1519.87|1430.5|1501.04|1522.9|1521.5|1520.0|1516.89|1522.9|1512.9|1522.9|1490.9|1541.4|1481.2|1547.95|1514.9|1616.89|1514.61|1535.44|1514.9|1616.89|1617.0|1278.5945|10819|2267206 73286|WTMA|WTMA|950415109|US9504151096|Welsbach Technology Metals Acquisition Corp|COM USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN5-7|TXN11-4|TXN6-6|TXN6-6|4460000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|10.7|0.0|0.0|0.0|0.0|0.0|0.0|10.66|0.0|0.0|0.0|0.0|10.65|0.0|10.65|0.0|0.0|0.0|0.0|10.01|11.44|0.0|0.0|0.0|0.0|10.65|10.7|11.68|10.05|2363|4274875 73287|WTMAR|WTMAR|950415117||Welsbach Technology Metals Acquisition Corp. one right to receive 1/10th of a share of common stock|||D|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-5|TXN6-3|TXN10-7|TXN5-4|TXN6-4|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||50|5020|502040|50204000|Industrials|Industrial Goods and Services|Industrial Engineering|Machinery: Industrial|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.1351|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.1351|0.0|0.1351|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.08|0.1488|0.2699|0.0413|100|3503241 73008|WTMAU|WTMAU|950415208|US9504152086|Welsbach Technology Metals Acquisition Corp|UNITS||R|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN6-5|TXN12-5|TXN6-5|TXN6-3|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.72|11.0|10.83|10.13|0|15444 36320|WTMF|WTMF|97717W125|US97717W1255|WisdomTree Trust|WisdomTree Managed Futures Strategy Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||WisdomTree|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-7|TXN1-6|TXN6-8|TXN3-3|TXN1-5|4700000|||Yearly|||||2011-01-05||WDTI.NV|WDTI.SO|WDTI.EU|WDTI.TC|WDTI.IV| | | | | | | | | ||The WisdomTree Managed Futures Strategy Fund seeks to achieve positive total returns in rising or falling markets that are not directly correlated to broad market equity or fixed income returns. The Fund is managed using a quantitative, rules-based strategy designed to provide returns that correspond to the performance of the Diversified Trends Indicator ( DTI Index or Benchmark) by investing in U.S. Treasury Futures, Currency Futures, Non-deliverable Currency Forwards, Commodity Futures and Swaps, U.S. Government and Money Market Securities. The Benchmark is a widely-used indicator designed to capture the economic benefit derived from rising or declining price trends in the markets for commodity, currency and U.S. Treasury futures.|N|0|N|N|406C|USA|US|COMMODITIES_AND_FUTURES|ACTIVE|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||34.66|34.58|0.0|0.0|34.66|34.59|34.66|34.65|0.0|0.0|34.63|0.0|34.66|34.63|34.65|34.63|0.0|34.55|0.0|34.55|26.73|42.59|34.38|34.83|34.61|34.66|34.53|34.83|34.38|34.83|34.61|34.66|35.63|31.03|200352|7712490 70144|WTO|WTO|G9411M108|KYG9411M1087|UTime Ltd|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-3|TXN5-7|TXN11-8|TXN5-7|TXN6-1|13570000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||15|1510|151010|15101010|Telecommunications|Telecommunications|Telecommunications Equipment|Telecommunications Equipment|N||N||||||N|0|Y||||||0.24|0.24|0.0|0.0|0.24|0.24|0.2509|0.0|0.0|0.0|0.24|0.24|0.2481|0.0|0.0|0.0|0.0|0.2481|0.2527|0.2481|0.2|0.288|0.1984|0.3044|0.2297|0.2687|0.2|0.288|0.0|0.0|0.248|0.252|0.6367|0.1272|125393|19745139 24717|WTRE|WTRE|97717W331|US97717W3319|WisdomTree Trust|WisdomTree New Economy Real Estate Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||WisdomTree|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-4|TXN2-6|TXN1-5|TXN2-7|TXN3-1|1200000|||Quarterly|||||2008-11-19||DRW.NV|DRW.SO|DRW.EU|DRW.TC|DRW.IV| | | | | | | | | |1x|WisdomTree International Real Estate Fund seeks investment results that correspond to the price and yield performance, before fees and expenses, of the WisdomTree International Real Estate Index. The WisdomTree International Real Estate Index is a fundamentally weighted index that measures the performance of companies in developed markets outside of the U.S. and Canada that pay regular cash dividends and that WisdomTree Investments classifies as being part of the International Real Estate sector. Companies are weighted in the Index based on regular cash dividends paid. The Index includes the following types of companies: real estate operating companies; real estate development companies; and diversified REITs. The Index also includes companies that may be classified as Passive Foreign Investment Companies (PFICs). The Index was established with a base value of 300 on June 1, 2007 and is calculated in US dollars and is updated every 15 seconds between 9:30 a.m. and 4:00 p.m. to reflect market prices and exchange rates. Closing or last-sale prices are used when non-U.S. markets are closed.|N|0|N|N|406C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|17.355|16.28|0.0|0.0|0.0|0.0|17.32|0.0|0.0|0.0|0.0|17.35|0.0|17.35|0.0|0.0|0.0|0.0|17.33|17.42|0.0|0.0|0.0|0.0|17.33|17.42|19.08|14.54|8518|1132857 10058|WTRG|WTRG|29670G102|US29670G1022|Essential Utilities, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|A|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-1|TXN2-3|TXN4-6|TXN3-7|TXN3-1|273170000|||Quarterly|||||1971-07-26||||||| | | | | | | | | |||N|0|Y|Y|308A|USA|US|||65|6510|651020|65102030|Utilities|Utilities|Gas, Water and Multi-utilities |Water|N||N||||||Y|0|Y||Y|1|||36.25|36.245|0.0|35.88|36.24|36.245|36.24|36.25|0.0|0.0|36.25|36.25|36.25|36.26|36.33|36.26|36.24|36.26|36.26|36.26|36.24|36.26|33.99|38.65|36.21|36.29|36.22|36.28|36.22|36.28|36.24|36.26|49.89|32.07|1396195|288161437 10059|WTS|WTS|942749102|US9427491025|Watts Water Technologies, Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|H|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-8|TXN2-1|TXN6-8|TXN4-5|TXN4-6|27370000|||Quarterly|||||1995-07-05||||||| | | | | | | | | |||N|0|N|Y|126C|USA|US|||50|5020|502020|50202020|Industrials|Industrial Goods and Services|Electronic and Electrical Equipment|Electronic Equipment: Control and Filter|N||N||||||N|0|Y||Y|2|||197.45|197.45|0.0|197.69|192.11|197.36|197.72|197.465|0.0|0.0|196.97|197.31|197.54|197.5|196.21|197.58|197.23|197.67|196.46|197.58|197.49|197.66|150.5|240.1|195.86|198.32|196.8|198.15|197.49|198.36|197.49|197.66|199.21|141.7|86845|27664351 57153|WTTR|WTTR|81617J301|US81617J3014|Select Water Solutions, Inc.|Class A common stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|P|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-3|TXN1-5|TXN6-3|TXN4-4|TXN1-8|103920000|||Quarterly|||||2017-04-21||||||| | | | | | | | | |||N|0|N|Y|134B|USA|US|||60|6010|601010|60101030|Energy|Energy|Oil, Gas and Coal|Oil Equipment and Services|N||N||||||Y|0|Y||Y|2|||7.4|7.39|0.0|7.42|7.39|7.39|7.39|7.39|0.0|0.0|7.395|7.4|7.39|7.38|7.4|7.39|7.4|7.38|7.4|7.39|7.38|7.4|5.69|9.1|7.37|7.42|7.36|7.43|7.37|7.42|7.38|7.4|9.56|5.515|629556|197030207 19095|WTV|WTV|97717W547|US97717W5470|WisdomTree Trust|WisdomTree U.S. Value Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||WisdomTree|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-7|TXN1-1|TXN8-5|TXN1-2|TXN1-3|2760000|||Quarterly|||||2008-11-20||QSY.NV|QSY.SO|QSY.EU|QSY.TC|QSY.IV| | | | | | | | | ||WisdomTree LargeCap Value Fund seeks investment results that correspond to the price and yield performance, before fees and expenses, of the WisdomTree LargeCap Value Index. Prior to June 19, 2009, the WisdomTree LargeCap Value Fund was named the WisdomTree Low P/E Fund. The WisdomTree LargeCap Value Index is a fundamentally weighted index that measures the performance of large-cap value companies. The Index consists of U.S. companies that have positive cumulative earnings over the past four fiscal quarters and that meet WisdomTrees market capitalization, liquidity, and other requirements as of the Index measurement date. For these purposes, earnings are determined using a companys reported net income, excluding special items, applicable to common shareholders. WisdomTree creates a value score for each company based on the companys Price to Earnings Ratio, Price to Sales Ratio, and Price to Book Value and 1-year change in stock price. The top 30% of companies with the highest value scores within the 1000 largest companies by market capitalization are included in the Index. Companies are weighted in the Index annually based on earnings.|N|0|N|N|406C|USA|US|EQUITY|ACTIVE|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|65.21|0.0|65.32|64.49|0.0|0.0|0.0|0.0|0.0|64.49|0.0|0.0|0.0|65.3223|63.7|65.3223|65.31|65.38|65.28|65.39|65.3|65.36|65.27|65.39|65.28|65.39|65.3|65.36|65.3957|54.92|5389|3614736 10065|WTW|WTW|G96629103|IE00BDB6Q211|Willis Towers Watson plc|COM USD.000115||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN6-7|TXN13-1|TXN6-2|TXN5-6|103260000|||NotApplicable|||||||||||| | | | | | | | | |||N|5|Y|N||GBR||||30|3030|303020|30302015|Financials|Insurance|Non-life Insurance|Insurance Brokers|N||N||||||Y|0|Y||||||243.88|244.01|0.0|244.18|244.06|244.04|243.94|243.94|0.0|0.0|243.76|244.2|244.0|244.12|243.69|244.08|243.96|243.94|0.0|244.0|243.73|244.12|229.14|258.82|243.78|244.1|243.67|244.13|243.85|244.04|243.93|244.0|258.93|195.29|475044|137571492 17205|WU|WU|959802109|US9598021098|The Western Union Company|Common Stock, par value $0.01 per share|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|N|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-3|TXN2-1|TXN2-8|TXN1-1|TXN4-6|364360000|||Quarterly|||||2006-09-20||||||| | | | | | | | | |||N|0|Y|Y|408A|USA|US|||50|5020|502050|50205015|Industrials|Industrial Goods and Services|Industrial Support Services|Transaction Processing Services|N||N||||||Y|0|Y||Y|1|||11.62|11.625|0.0|11.74|11.63|11.625|11.625|11.625|0.0|0.0|11.63|11.63|11.625|11.62|11.625|11.64|11.63|11.63|11.62|11.64|11.62|11.63|10.92|12.36|11.62|11.63|11.6|11.65|11.59|11.64|11.62|11.63|14.79|10.07|4961869|1407906371 75460|WUCT|WUCT|90278V222|US90278V2227|UBS AG|ETRACS Whitney U.S. Critical Technologies ETN|Operating company|ETN|N|N|P|Y|Y|Y|Y|Y||||||||UBS||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN2-6|TXN8-8|TXN2-2|TXN4-3|2000000|||NotApplicable|||||2023-03-27|2053-03-13|WUCT.NV|WUCT.SO|WUCT.EU|WUCT.TC|WUCT.IV| | | | | | | | | |1x|ETRACS Whitney US Critical Technologies ETN is an exchange-traded note issued in the USA. It provides exposure to the performance of the Solactive Whitney U.S. Critical Technologies CNTR Index. The underlying Index tracks large and mid-cap developed market equities that satisfy two key criteria related to their association with critical technology sectors and their geopolitical risk rating. The Securities are senior unsecured debt securites.|N|0|N|N|416A||CH|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|27.45|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|28.2302|0.0|28.2302|0.0|0.0|0.0|0.0|28.16|28.28|14.19|42.57|0.0|0.0|28.16|28.28|28.38|25.0442|100|13461 65981|WUGI|WUGI|46144X495|US46144X4951|AXS Esoterica NextG Economy ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-8|TXN1-5|TXN9-8|TXN2-6|TXN1-7|480000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|47.54|0.0|0.0|0.0|0.0|47.54|0.0|0.0|0.0|0.0|0.0|47.6|0.0|0.0|0.0|0.0|47.54|0.0|47.54|37.6|59.62|0.0|0.0|47.53|47.73|38.01|57.39|0.0|0.0|47.53|47.73|51.0|30.79|3073|477483 2011|WULF|WULF|88080T104|US88080T1043|Terawulf 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LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-4|TXN1-4|TXN4-8|TXN2-3|TXN1-6|8200000|||Quarterly|||||2019-10-01||WWJD.NV|WWJD.SO|WWJD.EU|WWJD.TC|WWJD.IV| | | | | | | | | |1x|Inspire Global Hope ex-US Index (index provider selects foreign including emerging markets) and domestic equity securities using the index providers Inspire Impact Score)|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|27.87|27.88|27.9161|0.0|0.0|0.0|0.0|0.0|27.855|27.849|0.0|0.0|0.0|27.9101|0.0|27.9101|0.0|0.0|0.0|0.0|27.87|27.92|0.0|0.0|0.0|0.0|27.87|27.92|29.18|25.101|20088|9365921 16337|WWR|WWR|961684206|US9616842061|Westwater Resources, Inc.|Common Stock|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Brendan E. Cryan and Company, L.L.C.|CRYN|0235|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN10-7|TXN2-7|TXN3-8|TXN3-5|TXN2-8|54840000|||NotApplicable|||||2021-03-19||||||| | | | | | | | | |||N|0|N|N|100A|USA|US|||55|5510|551030|55103030|Basic Materials|Basic Resources|Precious Metals and Mining|Platinum and Precious Metals|N||N||||||N|0|Y||Y|2|||0.6|0.6|0.0|0.0|0.615|0.61|0.6|0.601|0.0|0.0|0.6125|0.6101|0.6001|0.0|0.6025|0.0|0.601|0.601|0.61|0.601|0.5845|0.6225|0.601|0.614|0.6|0.62|0.5846|0.634|0.5732|0.6418|0.5999|0.6251|1.4|0.48|176044|66553880 10067|WWW|WWW|978097103|US9780971035|Wolverine World Wide, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-3|TXN4-6|TXN5-4|TXN1-7|TXN4-5|79530000|||Quarterly|||||1965-07-20||||||| | | | | | | | | |||N|0|N|Y|148C|USA|US|||40|4020|402040|40204025|Consumer Discretionary|Consumer Products and Services|Personal Goods|Footwear|N||N||||||Y|0|Y||Y|2|||9.42|9.405|0.0|9.39|9.41|9.415|9.4|9.41|0.0|0.0|9.405|9.405|9.405|9.445|9.45|9.4|9.41|9.4|9.41|9.4|9.4|9.41|7.24|11.6|9.38|9.41|9.38|9.44|9.36|9.45|9.4|9.41|17.85|7.21|1033946|267447826 10073|WY|WY|962166104|US9621661043|Weyerhaeuser Company|Common Shares|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-1|TXN4-7|TXN1-6|TXN4-7|TXN3-7|730000000|||Quarterly|||||1963-12-06||||||| | | | | | | | | |||N|5|Y|Y|110D|USA|US|||35|3510|351020|35102060|Real Estate|Real Estate |Real Estate Investment Trusts|Timber REITs|N||N||||||Y|0|Y||Y|1|||31.59|31.58|0.0|31.59|31.59|31.585|31.57|31.59|0.0|0.0|31.57|31.59|31.57|31.58|31.58|31.58|31.57|31.58|31.56|31.58|31.57|31.58|29.54|33.17|31.56|31.59|31.55|33.01|31.55|31.62|31.57|31.58|36.0|27.65|3908684|905960843 4469|WYNN|WYNN|983134107|US9831341071|Wynn Resorts Ltd|COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN5-5|TXN12-6|TXN5-7|TXN6-7|112950000|||NotApplicable|||||||||||| | | | | | | | | |||N|5|Y|N||USA||||40|4050|405010|40501020|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Casinos and Gambling|N||N||||||Y|0|Y||||||83.85|83.87|0.0|83.87|83.89|83.94|83.8798|83.89|0.0|0.0|83.87|83.96|83.89|83.935|83.85|83.92|83.91|83.88|83.97|83.89|83.82|83.96|78.83|89.65|83.84|83.92|83.78|83.92|0.0|0.0|83.87|83.89|117.86|79.33|1997799|536441387 17255|WYY|WYY|967590209|US9675902095|WidePoint Corporation|Common Stock|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-7|TXN2-6|TXN8-8|TXN3-1|TXN3-4|8840000|||NotApplicable|||||2006-09-26||||||| | | | | | | | | |||N|0|N|N|108A|USA|US|||10|1010|101010|10101010|Technology|Technology|Software and Computer Services|Computer Services|N||N||||||Y|0|Y||Y|2|||1.93|1.91|0.0|0.0|0.0|1.96|1.9699|1.93|0.0|0.0|1.93|1.93|1.95|0.0|0.0|0.0|1.98|1.98|0.0|1.98|1.85|2.08|1.95|1.97|1.95|2.0|1.47|2.24|0.0|0.0|1.83|2.05|2.2814|1.6|76812|5115426 10077|X|X|912909108|US9129091081|United States Steel Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|N|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-3|TXN3-7|TXN8-6|TXN2-5|TXN2-8|223040000|||Quarterly|||||1991-04-12||||||| | | | | | | | | |||N|0|Y|Y|130D|USA|US|||55|5510|551020|55102010|Basic Materials|Basic Resources|Industrial Metals and Mining|Iron and Steel|N||N||||||Y|0|Y||Y|1|||36.54|36.53|0.0|36.39|36.53|36.53|36.54|36.525|0.0|0.0|36.53|36.53|36.525|36.54|36.58|36.53|36.59|36.54|36.52|36.53|36.53|36.55|34.21|38.88|36.53|36.55|36.5|36.58|36.49|36.57|36.53|36.55|36.64|20.4|5387019|1688156938 55671|XAIR|XAIR|08862L103|US08862L1035|Beyond Air Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN6-1|TXN14-8|TXN5-3|TXN6-1|31970000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||Y|0|Y||||||0.0|1.55|0.0|0.0|1.56|1.56|1.55|1.56|0.0|0.0|1.555|1.56|1.55|0.0|1.56|1.56|1.56|1.55|1.56|1.55|1.53|1.59|1.28|1.87|1.53|1.59|1.54|1.58|1.53|1.59|1.55|1.57|7.74|1.17|295232|91366509 38875|XAR|XAR|78464A631|US78464A6313|SPDR Series Trust|SPDR S&P Aerospace & Defense ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN3-8|TXN6-5|TXN1-7|TXN1-2|14375000|||Quarterly|||||2011-09-29||XAR.NV|XAR.SO|XAR.EU|XAR.TC|XAR.IV| | | | | | | | | |1x|The SPDR S&P Aerospace & Defense ETF seeks to replicate as closely as possible, before expenses, the performance of an index derived from the aerospace and defense segment of a U.S. total market composite index. The Index represents the aerospace and defense sub-industries of the S&P Total Stock Market Index (S&P TMI). The Index is one of twenty five (25) S&P Select Industry Indices (the Select Industry Indices), each designed to measure the performance of a narrow sub-industry or group of sub-industries as defined by the Global Industry Classification Standards (GICS). Membership in the Select Industry Indices is determined by a stocks GICS classification, as well as by liquidity and market cap requirements. Companies in the Select Industry Indices are classified based primarily on revenues; however, earnings and market perception are also considered. The Index consists of the S&P TMI constituents belonging to a particular GICS sub-industry or group of sub-industries that satisfy the following criteria: (i) have a float-adjusted market capitalization above $500 million (market capitalization threshold) with a liquidity ratio (defined by dollar value traded over the previous 12 months divided by average market capitalization over the previous 12 months) greater than or equal to 90% (the liquidity threshold) or have a float-adjusted market capitalization above $400 million (market capitalization threshold) with a liquidity ratio (defined by dollar value traded over the previous 12 months divided by average market capitalization over the previous 12 months) greater than or equal to 150% (the liquidity threshold); (ii) represent 100% of the float-adjusted market capitalization of the relevant GICS sub-industry(ies); (iii) are U.S.-based companies; and (iv) the length of time to evaluate liquidity is reduced to the available trading period for initial public offerings or spin-offs that do not have 12 months of trading history. S&P has separated the inclusion and exclusion criteria such that existing index constituents may satisfy a lower market capitalization and trading volume requirement than those not included in the index as of the index rebalancing reference date. Existing index members must have a float-adjusted market capitalization above $300 million with a liquidity ratio greater or equal to 50%. Rebalancing occurs on the third Friday of the quarter-ending month. The S&P TMI tracks all the U.S. common stocks listed on the NYSE (including NYSE Arca and NYSE Amex), the NASDAQ Global Select Market, the NASDAQ Select Market and the NASDAQ Capital Market. The index is an equal weighted market cap index.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||127.909|130.43|0.0|0.0|130.68|130.64|130.63|130.64|0.0|0.0|127.47|0.0|130.64|129.81|130.64|126.22|0.0|130.69|130.4|130.69|130.4|135.56|130.3|131.02|130.65|130.7|130.3|131.03|130.31|131.03|130.65|130.7|130.69|106.3146|92623|18559615 76181|XAUG|XAUG|33740F391|US33740F3910|FT Cboe Vest US Equity Enhance & Moderate Buffer ETF - August|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-7|TXN3-1|TXN1-5|TXN1-8|TXN3-7|1350000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|30.7797|0.0|0.0|0.0|0.0|30.76|0.0|0.0|0.0|30.75|0.0|0.0|30.75|0.0|0.0|0.0|30.7797|0.0|30.7797|30.73|30.81|30.73|30.85|30.73|30.82|30.72|30.87|30.73|30.89|30.73|30.82|30.89|29.05|2252|2951164 74089|XB|XB|09789C804|US09789C8047|BondBloxx ETF Trust|BondBloxx B-Rated USD High Yield Corporate Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BondBloxx Investment Management|Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-1|TXN3-8|TXN6-8|TXN1-3|TXN4-8|350000|||Monthly|||||2022-05-26||XB.NV|XB.SO|XB.EU|XB.TC|XB.IV| | | | | | | | | |1x|ICE BofA Single-B US Cash Pay High Yield Constrained Index|N|0|N|N|416A|USA|US|FIXED_INCOME|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|38.8584|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|38.7267|0.0|38.7267|0.0|0.0|0.0|0.0|38.59|38.86|0.0|0.0|0.0|0.0|38.59|38.86|39.7207|36.94|45|114185 70076|XBAP|XBAP|45783Y301|US45783Y3018|Innovator U.S. Equity Accelerated 9 Buffer ETF - April|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN1-6|TXN3-8|TXN4-1|TXN1-7|2550000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|30.1492|0.0|0.0|0.0|0.0|30.0908|30.15|0.0|0.0|30.17|0.0|0.0|0.0|30.05|0.0|30.17|30.1492|0.0|30.1492|0.0|0.0|30.08|30.17|30.09|30.19|0.0|0.0|0.0|0.0|30.11|30.19|30.24|25.09|11207|3985833 74088|XBB|XBB|09789C705|US09789C7056|BondBloxx ETF Trust|BondBloxx BB-Rated USD High Yield Corporate Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BondBloxx Investment Management|Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-8|TXN2-8|TXN9-8|TXN1-1|TXN4-8|1350000|||Monthly|||||2022-05-26||XBB.NV|XBB.SO|XBB.EU|XBB.TC|XBB.IV| | | | | | | | | ||ICE BofA BB US Cash Pay High Yield Constrained Index|N|0|N|N|416A|USA|US|FIXED_INCOME|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|39.5|0.0|0.0|0.0|0.0|0.0|39.5|0.0|0.0|39.5|0.0|39.4884|0.0|39.4884|0.0|0.0|0.0|0.0|39.22|39.51|0.0|0.0|0.0|0.0|39.22|39.51|40.2533|37.2814|497|624654 16062|XBI|XBI|78464A870|US78464A8707|SPDR Series Trust|SPDR S&P Biotech ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-4|TXN1-3|TXN4-2|TXN2-1|TXN3-1|81775000|||Quarterly|||||2008-11-07||XBI.NV|XBI.SO|XBI.EU|XBI.TC|XBI.IV| | | | | | | | | |1x|The SPDR S&P Biotech ETF, before expenses, seeks to closely match the returns and characteristics of the S&P Biotechnology Select Industry Index (ticker: SPSIBITR). The S&P Biotechnology Select Industry Index represents the biotechnology sub-industry portion of the S&P Total Markets Index. The S&P TMI tracks all the U.S. common stocks listed on the NYSE, AMEX, NASDAQ National Market and NASDAQ small cap exchanges. The Biotech Index is an equal weighted market cap index.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||79.14|79.155|0.0|78.35|79.13|79.155|79.15|79.135|0.0|0.0|79.15|79.13|79.15|79.15|79.14|79.125|79.12|79.19|79.12|79.19|78.99|79.3|73.59|84.33|79.14|79.15|78.35|79.96|78.96|79.32|79.14|79.15|92.6|63.8|12906951|1990232779 75396|XBIL|XBIL|74933W460|US74933W4603|US Treasury 6 Month Bill ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN5-5|TXN12-8|TXN5-4|TXN6-7|11520000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||49.97|49.96|0.0|0.0|49.96|49.965|49.96|49.96|0.0|0.0|49.96|49.965|49.97|49.975|49.96|49.96|0.0|49.97|0.0|49.97|49.96|49.97|46.85|53.16|49.96|49.97|49.95|49.97|0.0|0.0|49.96|49.97|50.3|49.88|193092|22401711 54295|XBIO|XBIO|984015602|US9840156023|Xenetic Biosciences Inc|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN5-5|TXN14-2|TXN6-1|TXN6-8|1540000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|3.53|0.0|0.0|0.0|0.0|0.0|3.87|0.0|0.0|0.0|0.0|3.53|0.0|3.53|3.42|4.09|0.0|0.0|3.46|4.03|3.42|4.09|0.0|0.0|3.65|3.9|5.97|0.240101|857|7827445 64112|XBIOW|XBIOW|984015131|US9840151313|Xenetic Biosciences Inc|WT EXP 071124||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN5-8|TXN10-7|TXN5-4|TXN6-4|23740000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|1.5|0.0|0.0|0.0|0.0|0.0|1.5|11.5|23.16|0.0037|43|120805 49646|XBIT|XBIT|98400H102|CA98400H1029|XBiotech Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN6-1|TXN13-1|TXN6-6|TXN5-1|30440000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||3.87|3.83|0.0|0.0|0.0|3.79|3.935|0.0|0.0|0.0|3.8|0.0|3.93|0.0|3.86|3.86|0.0|3.935|3.88|3.93|3.61|4.09|0.0|0.0|3.74|3.98|3.61|4.09|0.0|0.0|3.82|3.93|6.69|3.0|15903|9767438 73096|XBJA|XBJA|45783Y780|US45783Y7803|Innovator US Equity Accelerated 9 Buffer ETF - January|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-5|TXN4-1|TXN9-8|TXN2-3|TXN3-7|2880000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||25.62|25.64|0.0|0.0|25.62|25.61|25.6309|25.55|0.0|0.0|25.65|0.0|0.0|25.62|0.0|25.65|25.65|25.64|25.62|25.64|25.57|25.65|25.57|25.65|25.56|25.65|0.0|0.0|0.0|0.0|25.63|25.65|25.65|21.6323|12567|5843900 71042|XBJL|XBJL|45783Y889|US45783Y8892|Innovator US Equity Accelerated 9 Buffer ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-3|TXN2-5|TXN8-8|TXN4-4|TXN1-1|2880000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||29.87|29.8686|0.0|0.0|29.87|29.87|29.855|29.87|0.0|0.0|29.87|0.0|29.87|29.87|29.75|0.0|29.87|29.8686|0.0|29.8686|29.81|29.9|29.81|29.88|29.82|29.91|0.0|0.0|0.0|0.0|29.83|29.91|29.99|25.26|17336|4960367 71890|XBOC|XBOC|45783Y848|US45783Y8488|Innovator U.S. Equity Accelerated 9 Buffer ETF - October|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-4|TXN2-5|TXN2-8|TXN1-4|TXN1-6|2500000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||27.3|27.39|0.0|0.0|0.0|27.3|27.3|27.3|0.0|0.0|27.3|0.0|27.3|27.3|27.3|0.0|0.0|27.39|27.39|27.39|0.0|0.0|27.29|27.36|27.27|27.41|0.0|0.0|0.0|0.0|27.23|27.44|27.43|22.98|10868|3288409 70458|XBP|XBP|98400V101|US98400V1017|XBP Europe Holdings Inc|COM USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN5-6|TXN10-6|TXN5-6|TXN5-8|6250000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y|D|||||37.98|36.5|0.0|0.0|27.77|38.075|37.33|37.61|0.0|0.0|35.0|32.05|38.0|31.45|0.0|0.0|0.0|36.5|32.1|38.0|29.14|46.85|29.14|46.85|34.78|38.25|36.0|46.85|0.0|0.0|37.0|38.25|38.38|11.39|170350|376169 70459|XBPEW|XBPEW|98400V119|US98400V1199|XBP Europe Holdings Inc|WT EXP 113028||C|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-7|TXN5-3|TXN13-8|TXN5-6|TXN6-8|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y|D|||||0.15|0.16|0.0|0.0|0.14|0.1527|0.25|0.253|0.0|0.0|0.16|0.16|0.2|0.14|0.1512|0.1512|0.1512|0.2|0.14|0.2|0.128|0.24|0.128|0.24|0.145|0.24|0.128|0.24|0.0|0.0|0.16|0.2|0.27|0.0411|187406|470455 72384|XBTF|XBTF|92189Y303|US92189Y3036|VanEck Bitcoin Strategy ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN3-6|TXN4-6|TXN4-2|TXN2-8|1800000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|39.14|0.0|0.0|0.0|37.0|39.14|38.86|0.0|0.0|38.6|0.0|38.93|38.93|0.0|39.001|0.0|39.14|0.0|39.14|38.65|39.27|38.66|39.27|38.65|39.27|38.65|39.27|38.65|39.27|38.66|39.17|39.3|16.3228|29466|4315634 74658|XC|XC|97717Y535|US97717Y5353|WisdomTree Trust|WisdomTree Emerging Markets Ex-China Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||WisdomTree|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN4-8|TXN3-8|TXN3-4|TXN4-8|900000|||Quarterly|||||2022-09-22||XC.NV|XC.SO|XC.EU|XC.TC| | | | | | | | | | |1x|The Fund seeks to hold a portfolio of broad based emerging markets equities excluding those issued by Chinese companies or with significant state ownership.|N|0|N|N|406C|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||27.84|27.94|0.0|0.0|0.0|0.0|27.94|27.5|0.0|0.0|27.94|0.0|27.94|0.0|0.0|27.94|0.0|27.9197|0.0|27.9197|22.32|33.61|0.0|0.0|27.86|27.97|22.32|33.61|0.0|0.0|27.86|27.97|29.76|24.23|13018|1896229 74090|XCCC|XCCC|09789C887|US09789C8872|BondBloxx ETF Trust|BondBloxx CCC-Rated USD High Yield Corporate Bond ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BondBloxx Investment Management|Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-3|TXN1-6|TXN8-8|TXN4-5|TXN4-4|600000|||Monthly|||||2022-05-26||XCCC.NV|XCCC.SO|XCCC.EU|XCCC.TC|XCCC.IV| | | | | | | | | |1x|ICE CCC US Cash Pay High Yield Constrained Index|N|0|N|N|416A|USA|US|FIXED_INCOME|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|37.2|37.05|36.97|0.0|0.0|0.0|0.0|37.17|0.0|0.0|0.0|0.0|37.1723|0.0|37.1723|0.0|0.0|0.0|0.0|37.1|37.25|0.0|0.0|0.0|0.0|37.1|37.25|38.99|35.56|1780|1155676 50583|XCEM|XCEM|19762B202|US19762B2025|Columbia ETF Trust II|Columbia EM Core ex-China ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Columbia Management Investment Advisers|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN3-6|TXN6-8|TXN3-7|TXN2-4|21100000|||Yearly|||||2015-09-01||XCEM.NV|XCEM.SO|XCEM.EU|XCEM.TC|XCEM.IV| | | | | | | | | |1x|The Fund seeks investment results that correspond (before fees and expenses) to the price and yield performance of the EGAI Emerging Markets ex-China Index. 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LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-1|TXN3-7|TXN6-8|TXN1-6|TXN4-6|90000|||BiAnnually|||||2021-08-26||XCLR.NV|XCLR.SO|XCLR.EU|XCLR.TC|XCLR.IV| | | | | | | | | |1x|The Global X S&P 500 Collar 95-110 ETF (Fund) seeks to provide investment results that correspond generally to the price and yield performance, before fees and expenses, of the Cboe S&P 500 3-Month Collar 95-110 Index (Underlying Index).|N|0|N|N|416A|USA|US|HYBRID|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|26.0201|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|26.2799|0.0|26.2799|0.0|0.0|0.0|0.0|26.18|26.33|26.18|26.33|26.18|26.33|18.78|33.63|26.4754|23.6941|39|113138 74759|XCOR|XCOR|360876809|US3608768095|FundX Investment Trust|FundX ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||FundX|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN2-5|TXN1-5|TXN4-3|TXN1-2|2592140|||Yearly|||||2022-10-17||XCOR.NV|XCOR.SO|XCOR.EU|XCOR.TC| | | | | | | | | | ||Fund of ETFs using momentum|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|53.7519|47.78|0.0|0.0|53.15|0.0|0.0|0.0|0.0|0.0|0.0|53.2779|0.0|53.2779|0.0|0.0|52.96|53.2|53.23|53.29|50.62|56.73|0.0|0.0|53.23|53.29|53.7809|45.18|1590|982767 61232|XCUR|XCUR|30205M200|US30205M2008|Exicure Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-1|TXN6-3|TXN10-2|TXN5-6|TXN6-3|8650000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y|C|||||0.405|0.4089|0.0|0.0|0.405|0.4109|0.408499|0.41|0.0|0.0|0.41|0.4051|0.4|0.0|0.0|0.4099|0.0|0.4|0.0|0.4|0.38|0.4385|0.0|0.0|0.4|0.4343|0.3215|0.48|0.0|0.0|0.4|0.4176|1.78|0.3943|68225|6555976 70077|XDAP|XDAP|45783Y202|US45783Y2028|Innovator U.S. Equity Accelerated ETF - April|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-6|TXN3-7|TXN9-8|TXN3-1|TXN3-6|200000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|30.05|0.0|0.0|30.03|0.0|30.03|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|30.05|0.0|30.05|29.98|30.08|30.0|30.08|30.01|30.12|0.0|0.0|0.0|0.0|30.01|30.12|30.17|24.3598|372|496282 68772|XDAT|XDAT|35473P470|US35473P4708|Franklin Exponential Data ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-6|TXN4-4|TXN5-8|TXN2-1|TXN4-8|200000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||0.0|20.9065|0.0|0.0|0.0|0.0|20.9199|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|20.9065|0.0|20.9065|16.51|25.2|0.0|0.0|20.86|20.95|16.51|25.2|0.0|0.0|20.89|20.92|21.0365|14.11|1193|214312 72979|XDEC|XDEC|33740U786|US33740U7862|FT Cboe Vest US Equity Enhance Moderate Buffer ETF - December|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-4|TXN4-5|TXN1-5|TXN2-1|TXN3-3|9580000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||33.82|33.82|0.0|0.0|33.81|33.82|33.82|33.82|0.0|0.0|33.81|0.0|33.85|33.82|33.81|33.81|0.0|33.82|33.81|33.82|33.8|33.9|33.8|33.9|33.8|33.9|33.81|33.9|33.77|33.94|33.81|33.92|33.9|29.4|135728|15533973 73097|XDJA|XDJA|45783Y764|US45783Y7647|Innovator US Equity Accelerated ETF - January|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-8|TXN2-8|TXN9-8|TXN1-2|TXN4-8|230000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|24.315|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|24.315|0.0|24.315|0.0|0.0|0.0|0.0|24.29|24.39|0.0|0.0|0.0|0.0|24.29|24.34|24.3405|19.37|18|1374424 71043|XDJL|XDJL|45783Y707|US45783Y7076|Innovator US Equity Accelerated ETF - July|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-6|TXN2-6|TXN3-8|TXN2-5|TXN4-4|330000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|29.0506|0.0|0.0|0.0|0.0|29.01|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|29.0506|0.0|29.0506|28.97|29.06|28.95|29.04|29.0|29.1|0.0|0.0|0.0|0.0|29.01|29.14|29.22|23.0259|490|408384 71891|XDOC|XDOC|45782C110|US45782C1100|Innovator U.S. Equity Accelerated ETF - October|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-3|TXN1-4|TXN4-8|TXN4-2|TXN4-3|150000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|26.5697|0.0|0.0|0.0|0.0|26.65|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|26.5697|0.0|26.5697|26.51|26.61|26.49|26.58|26.51|26.62|0.0|0.0|0.0|0.0|26.51|26.62|26.6566|20.91|169|2155697 70078|XDQQ|XDQQ|45783Y608|US45783Y6086|Innovator Growth Accelerated ETF - Quarterly|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-8|TXN4-2|TXN3-8|TXN1-7|TXN4-5|1580000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|26.065|0.0|0.0|26.01|0.0|26.0267|26.07|0.0|0.0|25.93|0.0|26.09|26.01|0.0|0.0|0.0|26.065|0.0|26.065|26.02|26.09|25.99|26.06|26.01|26.13|0.0|0.0|0.0|0.0|26.03|26.1|26.16|19.8501|15159|3277277 70079|XDSQ|XDSQ|45783Y103|US45783Y1038|Innovator U.S. Equity Accelerated ETF - Quarterly|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-5|TXN1-2|TXN4-8|TXN3-6|TXN4-6|2830000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|29.32|0.0|0.0|29.35|29.35|29.34|0.0|0.0|0.0|0.0|0.0|29.35|29.35|29.35|0.0|0.0|29.32|0.0|29.32|0.0|0.0|0.0|0.0|29.3|29.34|0.0|0.0|0.0|0.0|29.3|29.34|29.45|23.35|47737|4853567 10084|XEL|XEL|98389B100|US98389B1008|Xcel Energy Inc.|COM 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LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN2-5|TXN7-8|TXN3-4|TXN2-1|1600000|||Quarterly|||||2021-04-05|2026-03-31|||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|24.31|24.4499|24.53|0.0|0.0|0.0|0.0|24.53|0.0|0.0|24.53|0.0|24.53|0.0|24.53|24.33|24.54|24.33|24.53|22.71|26.17|0.0|0.0|0.0|0.0|24.33|24.54|25.36|24.21|342|547896 76453|XFLX|XFLX|360876866|US3608768665|FundX Investment Trust|FundX Flexible ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||FundX|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-4|TXN1-4|TXN5-8|TXN1-3|TXN4-8|2374059|||Yearly|||||2023-10-09||XFLX.NV|XFLX.SO|XFLX.EU|XFLX.TC| | | | | | | | | | ||The FundX Conservative ETF is an active, balanced approach that seeks growth and stability. 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The S&P Homebuilders Select Industry Index represents the homebuilding sub-industry portion of the S&P Total Markets Index. The S&P TMI tracks all the U.S. common stocks listed on the NYSE, AMEX, NASDAQ National Market and NASDAQ small cap exchanges. The Homebuilders Index is an equal weighted market cap index|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||86.02|86.01|0.0|86.02|86.01|86.05|86.015|86.05|0.0|0.0|86.02|86.05|86.02|86.055|85.91|86.02|86.06|86.03|86.01|86.03|86.0|86.03|80.72|90.86|86.01|86.03|85.98|86.06|85.8|86.24|86.01|86.03|86.31|59.44|2739289|765340064 36431|XHE|XHE|78464A581|US78464A5810|SPDR Series Trust|SPDR S&P Health Care Equipment ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN1-3|TXN5-4|TXN4-8|TXN3-5|4100000|||Quarterly|||||2011-01-27||XHE.NV|XHE.SO|XHE.EU|XHE.TC|XHE.IV| | | | | | | | | |1x|The SPDR S&P Health Care Equipment ETF seeks to replicate as closely as possible, before expenses, the performance of an index derived from the health care equipment and supplies segment of a U.S. total market composite index. The Index represents the health care equipment industry group of the S&P Total Market Index (S&P TMI). The Index is one of twenty-five (25) of the S&P Select Industry Indices (the Select Industry Indices), each designed to measure the performance of a narrow sub-industry or group of sub-industries determined based on the Global Industry Classification Standards (GICS). Membership in the Select Industry Indices is based on the GICS classification, as well as liquidity and market cap requirements. Companies in the Select Industry Indices are classified based primarily on revenues; however,earnings and market perception are also considered. The Index consists of the S&P TMI constituents belonging to the particular GICS sub-industry or group of sub-industries that satisfy the following criteria: (i) have a float-adjusted market capitalization above $500 million with a float-adjusted liquidity ratio (defined by dollar value traded over the previous 12 months divided by the float-adjusted market capitalization as of the index rebalancing reference date) above 90% or have a float-adjusted market capitalization above $400 million with a float-adjusted liquidity ratio (as defined above) above 150%;and (ii) are U.S. based companies.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||77.07|77.14|0.0|0.0|76.14|77.0|77.093|77.06|0.0|0.0|76.89|76.73|76.89|76.84|76.78|0.0|75.27|77.14|76.74|77.14|77.04|81.4|71.82|77.33|77.04|77.18|73.3|77.34|76.88|77.33|77.04|77.34|101.44|66.2|39412|14744800 74615|XHLF|XHLF|09789C788|US09789C7882|BondBloxx ETF Trust|BondBloxx Bloomberg Six Month Target Duration US Treasury ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BondBloxx Investment Management|Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-3|TXN4-6|TXN7-8|TXN4-4|TXN1-8|23290000|||Monthly|||||2022-09-15||XHLF.NV|XHLF.SO|XHLF.EU|XHLF.TC| | | | | | | | | | |1x|Bloomberg US Treasury Six Month Duration Index|N|0|N|N|416A|USA|US|FIXED_INCOME|INDEX|||||||||N||N||||||N|0|Y||Y|1|||50.18|50.17|0.0|0.0|50.18|50.175|50.17|50.175|0.0|0.0|0.0|50.17|50.175|50.18|50.18|50.175|0.0|50.17|0.0|50.17|50.17|50.18|47.06|53.36|50.17|50.18|50.16|50.18|0.0|0.0|50.17|50.18|50.37|49.94|158245|47279152 49301|XHR|XHR|984017103|US9840171030|Xenia Hotels & Resorts, Inc.|Common Stock|Real estate investment trust|A|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-5|TXN4-7|TXN3-8|TXN1-2|TXN2-1|105200000|||Quarterly|||||2015-02-04||||||| | | | | | | | | |||N|0|N|Y|412A|USA|US|||35|3510|351020|35102015|Real Estate|Real Estate |Real Estate Investment Trusts|Hotel and Lodging REITs|N||N||||||Y|0|Y||Y|2|||12.63|12.62|0.0|12.66|12.62|12.625|12.63|12.63|0.0|0.0|12.63|12.64|12.625|12.63|12.63|12.63|12.63|12.63|12.62|12.63|12.62|12.63|9.61|15.36|12.62|12.65|12.59|12.65|12.58|12.63|12.62|12.63|16.1|10.9|701373|181988043 38874|XHS|XHS|78464A573|US78464A5737|SPDR Series Trust|SPDR S&P Health Care Services ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-8|TXN2-5|TXN4-8|TXN3-2|TXN4-6|1050000|||Quarterly|||||2011-09-29||XHS.NV|XHS.SO|XHS.EU|XHS.TC|XHS.IV| | | | | | | | | |1x|The SPDR S&P Health Care Services ETF seeks to replicate as closely as possible, before expenses, the performance of an index derived from the health care services segment of a U.S. total market composite index. The Index represents the health care providers and services sub-industries of the S&P Total Stock Market Index (S&P TMI). The Index is one of twenty five (25) S&P Select Industry Indices (the Select Industry Indices), each designed to measure the performance of a narrow sub-industry or group of sub-industries as defined by the Global Industry Classification Standards (GICS). Membership in the Select Industry Indices is determined by a stocks GICS classification, as well as by liquidity and market cap requirements. Companies in the Select Industry Indices are classified based primarily on revenues; however, earnings and market perception are also considered. The Index consists of the S&P TMI constituents belonging to a particular GICS sub-industry or group of sub-industries that satisfy the following criteria: (i) have a float-adjusted market capitalization above $500 million (market capitalization threshold) with a liquidity ratio (defined by dollar value traded over the previous 12 months divided by average market capitalization over the previous 12 months) greater than or equal to 90% (the liquidity threshold) or have a float-adjusted market capitalization above $400 million (market capitalization threshold) with a liquidity ratio (defined by dollar value traded over the previous 12 months divided by average market capitalization over the previous 12 months) greater than or equal to 150% (the liquidity threshold); (ii) represent 100% of the float-adjusted market capitalization of the relevant GICS sub-industry(ies); (iii) are U.S.-based companies; and (iv) the length of time to evaluate liquidity is reduced to the available trading period for initial public offerings or spin-offs that do not have 12 months of trading history. S&P has separated the inclusion and exclusion criteria such that existing index constituents may satisfy a lower market capitalization and trading volume requirement than those not included in the index as of the index rebalancing reference date. Existing index members must have a float-adjusted market capitalization above $300 million with a liquidity ratio greater or equal to 50%. Rebalancing occurs on the third Friday of the quarter-ending month. The S&P TMI tracks all the U.S. common stocks listed on the NYSE (including NYSE Arca and NYSE Amex), the NASDAQ Global Select Market, the NASDAQ Select Market and the NASDAQ Capital Market. The index is an equal weighted market cap index.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||0.0|84.5|0.0|0.0|0.0|0.0|87.408|87.13|0.0|0.0|0.0|0.0|87.69|87.35|0.0|0.0|0.0|87.6726|0.0|87.6726|87.5|87.86|0.0|0.0|87.62|87.71|87.58|87.73|87.15|88.15|87.62|87.7|95.78|77.76|5371|2051413 73506|XHYC|XHYC|09789C101|US09789C1018|BondBloxx ETF Trust|BondBloxx USD High Yield Bond Consumer Cyclicals Sector ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BondBloxx Investment Management|Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-8|TXN1-3|TXN4-8|TXN1-7|TXN4-8|650000|||Monthly|||||2022-02-17||XHYC.NV|XHYC.SO|XHYC.EU|XHYC.TC|XHYC.IV| | | | | | | | | |1x|Fixed Income HY Sector|N|0|N|N|416A|USA|US|FIXED_INCOME|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|36.2758|0.0|36.2758|0.0|0.0|0.0|0.0|36.12|36.43|0.0|0.0|0.0|0.0|36.12|36.43|36.51|34.0669|0|645332 73507|XHYD|XHYD|09789C200|US09789C2008|BondBloxx ETF Trust|BondBloxx USD High Yield Bond Consumer Non-Cyclicals Sector ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BondBloxx Investment Management|Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-6|TXN1-6|TXN4-8|TXN3-5|TXN4-8|300000|||Monthly|||||2022-02-17||XHYD.NV|XHYD.SO|XHYD.EU|XHYD.TC|XHYD.IV| | | | | | | | | |1x|Fixed Income HY Sector|N|0|N|N|416A|USA|US|FIXED_INCOME|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|37.0501|0.0|37.0501|0.0|0.0|0.0|0.0|36.88|37.19|0.0|0.0|0.0|0.0|36.88|37.19|37.2292|35.0351|0|295251 73509|XHYE|XHYE|097890107|US0978901074|BondBloxx ETF Trust|BondBloxx USD High Yield Bond Energy Sector ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BondBloxx Investment Management|Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-3|TXN2-2|TXN3-8|TXN2-1|TXN4-5|552500|||Monthly|||||2022-02-17||XHYE.NV|XHYE.SO|XHYE.EU|XHYE.TC|XHYE.IV| | | | | | | | | |1x|Fixed Income HY Sector|N|0|N|N|416A|USA|US|FIXED_INCOME|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|36.80125|38.3299|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|38.2051|0.0|38.2051|0.0|0.0|0.0|0.0|38.03|38.35|0.0|0.0|0.0|0.0|38.03|38.35|38.37|36.49|109|593264 73510|XHYF|XHYF|09789C309|US09789C3097|BondBloxx ETF Trust|BondBloxx USD High Yield Bond Financial & REIT Sector ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BondBloxx Investment Management|Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-7|TXN2-3|TXN4-8|TXN1-2|TXN4-8|850000|||Monthly|||||2022-02-17||XHYF.NV|XHYF.SO|XHYF.EU|XHYF.TC|XHYF.IV| | | | | | | | | |1x|Fixed Income HY Sector|N|0|N|N|416A|USA|US|FIXED_INCOME|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|36.09|36.09|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|36.1764|0.0|36.1764|0.0|0.0|0.0|0.0|36.02|36.32|0.0|0.0|0.0|0.0|36.02|36.32|36.8|34.06|91|902110 73511|XHYH|XHYH|09789C408|US09789C4087|BondBloxx ETF Trust|BondBloxx USD High Yield Bond Healthcare Sector ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BondBloxx Investment Management|Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN2-8|TXN2-8|TXN1-8|TXN4-8|350000|||Monthly|||||2022-02-17||XHYH.NV|XHYH.SO|XHYH.EU|XHYH.TC|XHYH.IV| | | | | | | | | |1x|Fixed Income HY Sector|N|0|N|N|416A|USA|US|FIXED_INCOME|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|32.87459|31.09267|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|33.0354|0.0|33.0354|0.0|0.0|0.0|0.0|32.9|33.17|0.0|0.0|0.0|0.0|32.9|33.17|34.4|31.0801|49|434148 73508|XHYI|XHYI|09789C606|US09789C6066|BondBloxx ETF Trust|BondBloxx USD High Yield Bond Industrial Sector ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BondBloxx Investment Management|Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-4|TXN4-3|TXN2-8|TXN3-3|TXN4-8|1150000|||Monthly|||||2022-02-17||XHYI.NV|XHYI.SO|XHYI.EU|XHYI.TC|XHYI.IV| | | | | | | | | |1x|Fixed Income HY Sector|N|0|N|N|416A|USA|US|FIXED_INCOME|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|36.89|36.26298|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|37.0201|0.0|37.0201|0.0|0.0|0.0|0.0|36.9|37.13|0.0|0.0|0.0|0.0|36.9|37.13|37.505|35.13|87|1219544 73512|XHYT|XHYT|09789C507|US09789C5076|BondBloxx ETF Trust|BondBloxx USD High Yield Bond Telecom, Media & Technology Sector ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BondBloxx Investment Management|Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-4|TXN2-6|TXN5-8|TXN2-5|TXN4-8|900000|||Monthly|||||2022-02-17||XHYT.NV|XHYT.SO|XHYT.EU|XHYT.TC|XHYT.IV| | | | | | | | | |1x|Fixed Income HY Sector|N|0|N|N|416A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|33.1495|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|33.9301|0.0|33.9301|0.0|0.0|0.0|0.0|33.78|34.06|0.0|0.0|0.0|0.0|33.78|34.06|35.75|32.6289|41|902921 26517|XIN|XIN|98417P204|US98417P2048|Xinyuan Real Estate Co., Ltd.|American Depositary Shares (each Representing twenty Common Shares)|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|8|Q|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-8|TXN4-7|TXN4-8|TXN3-7|TXN1-5|108030000|||Quarterly|||||2007-12-12||||||| | | | | | | | | |||N|0|N|Y|414A|CHN|KY|||35|3510|351010|35101010|Real Estate|Real Estate |Real Estate Investment and Services Development|Real Estate Holding and Development |N||N||||||N|0|Y||Y|2|||0.0|2.76|0.0|0.0|0.0|2.76|2.81|2.81|0.0|0.0|0.0|0.0|0.0|0.0|0.0|2.81|0.0|2.81|0.0|2.81|2.73|2.9|0.0|0.0|2.55|3.09|2.12|3.38|0.0|0.0|2.73|2.9|7.545|2.0|4388|12871728 76317|XISE|XISE|33740F375|US33740F3753|Ft Cboe Vest U.S. Equity Buffer and Prem Inc Etf - September|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-8|TXN2-5|TXN8-8|TXN3-7|TXN2-8|1080000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||30.44|30.4308|0.0|0.0|30.44|30.44|30.455|30.44|0.0|0.0|30.44|0.0|30.46|30.44|30.44|0.0|0.0|30.4308|30.44|30.4308|30.37|30.45|30.37|30.45|30.37|30.53|30.38|30.48|30.37|30.54|30.37|30.53|30.86|29.7857|9962|1611916 52295|XITK|XITK|78464A110|US78464A1108|SPDR Series Trust|SPDR FactSet Innovative Technology ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN1-5|TXN6-5|TXN4-5|TXN4-7|700000|||Quarterly|||||2016-01-14||XITK.NV|XITK.SO|XITK.EU|XITK.TC|XITK.IV| | | | | | | | | |1x|The SPDR FactSet Innovative Technology ETF seeks to provide investment results that, before fees and expenses, correspond generally to the total return performance the FactSet Innovative Technology Index. The Index is designed to represent the performance of U.S.-listed stock and American Depository Receipts (ADRs) of Technology companies and Technology-related companies (including Electronic Media companies) within the most innovative segments of the Technology sector and the Electronic Media sub-sector of the Media sector, as defined by FactSet Research Systems, Inc. (FactSet). The Index Provider considers the most innovative segments of the Technology sector and the Electronic Media sector to be those with the highest revenue growth, as described below. In addition to traditional Technology companies, Electronic Media companies are included in the Index because of their core focus on technology and the integral role technology plays in determining how such companies operate, innovate and compete within their industry. FactSet defines the Technology sector to include Information Technology Services providers, Hardware manufacturers, Software manufacturers, Electronic Components manufacturers, and Manufacturing Equipment and Services providers. FactSet defines the Electronic Media sub-sector to include companies that produce media content in digital format and deliver, distribute and monetize their content via an electronic medium such as the Internet.FactSet sector determinations are based on a comprehensive, structured taxonomy designed to seek to offer precise industry classification of global companies according to the products and services sold by such companies (the FactSet Revere Hierarchy). The FactSet Revere Hierarchy has a variable depth structure that ranges from four to twelve levels of increasingly detailed Technology or Electronic Media sub-sectors. A company is mapped to the most detailed (i.e., lowest level) sub-sector from which it derives 50% or more of its revenues. A company will be eligible for inclusion in the Index if it satisfies the following criteria: (i) is mapped to a Technology or Electronic Media sub-sector at the fourth level or lower in the FactSet Revere Hierarchy; (ii) is mapped to a sub-sector in the top quartile of FactSets composite revenue growth scoring system for the Technology sector or Electronic Media sub-sector (the revenue growth scoring system); (iii) has a market capitalization of shares publicly available to investors (i.e., a float-adjusted market capitalization) above $500 million with a float-adjusted liquidity ratio (defined by dollar value traded over the previous 12 months divided by the float-adjusted market capitalization as of the index rebalancing reference date) above 90% or have a float-adjusted market capitalization above $400 million with a float-adjusted liquidity ratio (as defined above) above 150%; (iv) is a U.S.-listed stock or ADR; and (v) has not had an initial public offering of shares within three months of the Review Selection Day (defined below). The Index is equal-weighted to ensure that each of its component securities is represented in approximate equal dollar value at each reconstitution. If there are fewer than 50 stocks suitable for inclusion based on the eligibility criteria, stocks from the next highest growth sectors that otherwise satisfy the eligibility criteria will be added until the minimum number of Index constituents is met or exceeded. To ensure that each component stock continues to represent approximate equal market value in the Index, adjustments, if necessary, are made annually after the close of trading on the third Friday of December (the Reconstitution Day) based on information as of the last business day two weeks before the Reconstitution Day (the Review Selection Day).|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|135.0|134.81|0.0|0.0|0.0|0.0|0.0|135.12|133.38|0.0|0.0|0.0|135.2054|0.0|135.2054|106.7|161.88|0.0|0.0|135.11|135.3|134.45|136.14|134.45|136.13|135.11|135.32|144.51|95.22|2645|971892 67631|XJH|XJH|46436E551|US46436E5511|Ishares Esg Screened S&P Mid-Cap ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-5|TXN3-4|TXN9-8|TXN2-6|TXN4-2|3500000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||35.82|35.86|0.0|0.0|35.82|35.82|35.86|35.82|0.0|0.0|35.82|0.0|35.9|35.82|35.89|35.89|0.0|35.86|0.0|35.86|26.88|44.32|26.88|44.32|35.58|36.14|26.88|44.32|0.0|0.0|25.53|45.72|37.11|31.245|25982|3638192 67632|XJR|XJR|46436E544|US46436E5446|Ishares Esg Screened S&P Small-Cap ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN4-8|TXN1-5|TXN1-6|TXN2-3|1650000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||35.21|35.32|0.0|0.0|0.0|35.21|35.29|35.27|0.0|0.0|0.0|0.0|35.21|0.0|0.0|0.0|0.0|35.32|35.2|35.32|0.0|0.0|0.0|0.0|34.99|35.6|35.17|35.32|0.0|0.0|35.26|35.38|37.93|30.69|6308|1509835 76039|XJUL|XJUL|33740F425|US33740F4256|FT Cboe Vest U.S. Equity Enhance & Moderate Buffer ETF - July|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-6|TXN4-1|TXN9-8|TXN4-3|TXN4-5|1830000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|31.45|0.0|0.0|0.0|0.0|31.39|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|31.45|0.0|31.45|0.0|0.0|31.36|31.48|31.36|31.46|31.35|31.52|31.36|31.52|31.36|31.45|32.23|29.49|2382|2555100 71117|XJUN|XJUN|33740U844|US33740U8449|FT Cboe Vest US Equity Enhance & Moderate Buffer ETF - June|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-8|TXN4-1|TXN4-8|TXN3-8|TXN2-5|9230000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|34.4902|0.0|0.0|0.0|0.0|34.5071|0.0|0.0|0.0|0.0|0.0|0.0|34.58|0.0|0.0|0.0|34.4902|0.0|34.4902|34.43|34.5|34.43|34.5|34.44|34.54|34.39|34.6|34.39|34.54|34.46|34.54|34.6|30.27|6852|17557760 10125|XLB|XLB|81369Y100|US81369Y1001|Select Sector SPDR Trust|The Materials Select Sector SPDR Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-4|TXN4-3|TXN7-7|TXN2-4|TXN2-7|66073725|||Quarterly|||||2008-11-07||XLB.NV|XLB.SO|XLB.EU|XLB.TC|XLB.IV| | | | | | | | | |1x|The Materials Select Sector SPDR Fund, before expenses, seeks to closely match the returns and characteristics of the Materials Select Sector Index (ticker: IXB). The companies included in each Select Sector Index are selected on the basis of general industry classification from a universe of companies defined by the Standard & Poors 500 Composite Stock Index (S&P 500). The nine Select Sector Indexes (each a Select Sector Index) upon which the Select Sector SPDR Funds are based together comprise all of the companies in the S&P 500. The Materials Select Sector Index includes companies from the following industries: chemicals; metals & mining; paper & forest products; containers & packaging; and construction materials.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||82.35|82.35|0.0|82.44|82.35|82.355|82.365|82.35|0.0|0.0|82.36|82.36|82.36|82.35|82.36|82.35|82.36|82.38|82.35|82.38|82.34|82.37|77.61|88.25|82.36|82.37|82.33|82.38|82.12|82.6|82.36|82.37|85.9|74.33|10615098|1395437314 61136|XLC|XLC|81369Y852|US81369Y8527|Select Sector SPDR Trust|The Communication Services Select Sector SPDR Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-5|TXN3-7|TXN2-5|TXN4-6|TXN1-7|212300000|||Quarterly|||||2018-06-19||XLC.NV|XLC.SO|XLC.EU|XLC.TC|XLC.IV| | | | | | | | | |1x|The Communication Services Select Sector SPDR Fund (the Fund) seeks to provide investment results that, before expenses, correspond generally to the price and yield performance of publicly traded equity securities of companies in the Communication Services Select Sector Index (the Index).|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||69.21|69.22|0.0|68.81|69.22|69.22|69.21|69.21|0.0|0.0|69.22|69.22|69.22|69.21|69.24|69.22|69.245|69.21|69.22|69.21|69.22|69.23|64.69|73.42|69.22|69.23|69.2|69.25|69.12|69.33|69.22|69.23|71.495|46.475|6609501|1440694606 10126|XLE|XLE|81369Y506|US81369Y5069|Select Sector SPDR Trust|The Energy Select Sector SPDR Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-2|TXN4-4|TXN5-1|TXN4-5|TXN3-4|443924200|||Quarterly|||||2008-11-07||XLE.NV|XLE.SO|XLE.EU|XLE.TC|XLE.IV| | | | | | | | | |1x|The Energy Select Sector SPDR Fund, before expenses, seeks to closely match the returns and characteristics of the Energy Select Sector Index (ticker: IXE). The companies included in each Select Sector Index are selected on the basis of general industry classification from a universe of companies defined by the Standard & Poors 500 Composite Stock Index (S&P 500). The nine Select Sector Indexes (each a Select Sector Index) upon which the Select Sector SPDR Funds are based together comprise all of the companies in the S&P 500. The Energy Select Sector Index includes companies from the following industries: oil, gas & consumable fuels and energy equipment & services.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||84.6|84.62|0.0|84.6|84.6|84.6|84.6|84.6|0.0|0.0|84.6|84.6|84.62|84.61|84.65|84.61|84.63|84.63|84.61|84.63|84.61|84.63|79.29|89.96|84.61|84.62|80.29|88.82|84.48|84.76|84.61|84.62|93.685|75.355|18535141|4635362903 10127|XLF|XLF|81369Y605|US81369Y6059|Select Sector SPDR Trust|The Financial Select Sector SPDR Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-7|TXN2-7|TXN3-7|TXN2-2|TXN3-5|893195427|||Quarterly|||||2008-11-07||XLF.NV|XLF.SO|XLF.EU|XLF.TC|XLF.IV| | | | | | | | | |1x|The Financial Select Sector SPDR Fund, before expenses, seeks to closely match the returns and characteristics of the Financial Select Sector Index (ticker: IXM). The companies included in each Select Sector Index are selected on the basis of general industry classification from a universe of companies defined by the Standard & Poors 500 Composite Stock Index (S&P 500). The nine Select Sector Indexes (each a Select Sector Index) upon which the Select Sector SPDR Funds are based together comprise all of the companies in the S&P 500. The Financial Select Sector Index includes companies from the following industries: diversified financial services; insurance; commercial banks; capital markets; real estate investment trusts (REITs); thrift & mortgage finance; consumer finance; and real estate management & development.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||36.14|36.13|0.0|36.15|36.14|36.13|36.135|36.14|0.0|0.0|36.14|36.14|36.13|36.13|36.14|36.14|36.135|36.13|36.14|36.13|36.13|36.14|33.73|38.22|36.13|36.14|36.12|36.15|36.04|36.24|36.13|36.14|37.1052|30.39|41366616|10745891195 10128|XLG|XLG|46137V233|US46137V2337|Invesco Exchange-Traded Fund Trust|Invesco S&P 500® Top 50 ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Invesco|IMC Chicago, LLC, DBA IMC Financial Markets|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-3|TXN4-8|TXN9-1|TXN4-3|TXN1-2|81057850|||Quarterly|||||2018-04-09||XLG.NV|XLG.SO|XLG.EU|XLG.TC|XLG.IV| | | | | | | | | |1x|The Guggenheim S&P 500 Top 50 ETF is composed of component stocks, each of which is a member of the S&P 500 Top 50 Index. The S&P 500 Top 50 Index reflects the mega-cap members of the S&P 500 Index and is composed of 50 of the largest companies included in the S&P 500 Index, which are selected by float-adjusted market capitalization from the S&P 500 Index. The S&P 500 Index is a capitalization-weighted index composed of 500 common stocks, which are chosen by the Standard & Poors Corporation (S&P) on a statistical basis, and which generally represent large-capitalization companies with capitalizations ranging from $3.3 billion to $722.7 billion as of June 30, 2015.|N|0|N|N|406C|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|1|||36.31|36.29|0.0|36.22|36.31|36.305|36.3158|36.315|0.0|0.0|36.32|36.31|36.31|36.315|36.31|36.33|36.33|36.31|36.22|36.31|36.29|36.38|36.24|36.36|36.3|36.31|36.24|36.33|36.26|36.35|36.3|36.31|356.73|32.74|1796963|59315947 10129|XLI|XLI|81369Y704|US81369Y7040|Select Sector SPDR Trust|The Industrial Select Sector SPDR Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-7|TXN4-8|TXN3-3|TXN1-6|TXN4-4|134976000|||Quarterly|||||2008-11-07||XLI.NV|XLI.SO|XLI.EU|XLI.TC|XLI.IV| | | | | | | | | |1x|The Industrial Select Sector SPDR Fund, before expenses, seeks to closely match the returns and characteristics of the Industrial Select Sector Index (ticker: IXI). The companies included in each Select Sector Index are selected on the basis of general industry classification from a universe of companies defined by the Standard & Poors 500 Composite Stock Index (S&P 500). The nine Select Sector Indexes (each a Select Sector Index) upon which the Select Sector SPDR Funds are based together comprise all of the companies in the S&P 500. The Industrial Select Sector Index includes companies from the following industries: industrial conglomerates; aerospace & defense; machinery; air freight & logistics; road & rail; commercial services & supplies; electrical equipment; construction & engineering; building products; airlines; and trading companies & distributors.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||108.94|108.93|0.0|108.8|108.92|108.92|108.94|108.92|0.0|0.0|108.92|108.92|108.93|108.94|108.95|108.92|108.955|108.92|108.93|108.92|108.73|108.95|101.32|115.03|108.94|108.95|108.9|108.97|108.72|109.16|108.94|108.95|111.12|95.19|11010881|2494751661 10130|XLK|XLK|81369Y803|US81369Y8030|Select Sector SPDR Trust|The Technology Select Sector SPDR Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN4-1|TXN6-1|TXN4-4|TXN4-1|299505897|||Quarterly|||||2008-11-07||XLK.NV|XLK.SO|XLK.EU|XLK.TC|XLK.IV| | | | | | | | | |1x|The Technology Select Sector SPDR Fund, before expenses, seeks to closely match the returns and characteristics of the Technology Select Sector Index (ticker: IXT). The companies included in each Select Sector Index are selected on the basis of general industry classification from a universe of companies defined by the Standard & Poors 500 Composite Stock Index (S&P 500 ). The nine Select Sector Indexes (each a Select Sector Index) upon which the Select Sector SPDR Funds are based together comprise all of the companies in the S&P 500. The Technology Select Sector Index includes companies from the following industries: computers & peripherals; software; diversified telecommunication services; communications equipment; semiconductor & semiconductor equipment; internet software & services; IT services; wireless telecommunication services; electronic equipment & instruments; and office electronics.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||183.3|183.32|0.0|182.84|183.35|183.315|183.31|183.32|0.0|0.0|183.33|183.33|183.34|183.38|183.38|183.31|183.37|183.32|183.38|183.32|182.95|183.65|172.23|192.98|183.34|183.36|183.02|183.63|183.1|183.45|183.34|183.35|186.9|120.81|9110927|1548494415 72117|XLO|XLO|98422T100|US98422T1007|Xilio Therapeutics Inc|COM USD0.0001||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-4|TXN6-7|TXN10-6|TXN6-2|TXN6-8|27540000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y|C|||||0.0|1.02|0.0|0.0|1.0|0.9412|0.925|1.0|0.0|0.0|0.0|0.0|0.92|0.0|0.0|0.0|0.9706|0.92|0.0|0.92|0.8809|1.03|0.0|0.0|0.9016|1.01|0.0|0.0|0.0|0.0|0.92|0.99|4.92|0.85|52873|6436031 10131|XLP|XLP|81369Y308|US81369Y3080|Select Sector SPDR Trust|The Consumer Staples Select Sector SPDR Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|IMC Chicago, LLC, DBA IMC Financial Markets|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-8|TXN4-7|TXN9-7|TXN2-7|TXN2-3|222321809|||Quarterly|||||2008-11-07||XLP.NV|XLP.SO|XLP.EU|XLP.TC|XLP.IV| | | | | | | | | |1x|The Consumer Staples Select Sector SPDR Fund, before expenses, seeks to closely match the returns and characteristics of the Consumer Staples Select Sector Index (ticker: IXR). The companies included in each Select Sector Index are selected on the basis of general industry classification from a universe of companies defined by the Standard & Poors 500 Composite Stock Index (S&P 500). The nine Select Sector Indexes (each a Select Sector Index) upon which the Select Sector SPDR Funds are based together comprise all of the companies in the S&P 500. The Consumer Staples Select Sector Index includes companies from the following industries: food & staples retailing; household products; food products; beverages; tobacco; and personal products.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||71.05|71.04|0.0|70.91|71.04|71.045|71.045|71.045|0.0|0.0|71.045|71.05|71.05|71.06|71.04|71.05|71.035|71.04|71.06|71.04|71.04|71.06|66.22|75.19|71.05|71.06|71.03|71.07|70.84|71.28|71.05|71.06|77.82|65.18|11386333|2746120720 51485|XLRE|XLRE|81369Y860|US81369Y8600|Select Sector SPDR Trust|The Real Estate Select Sector SPDR Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-2|TXN1-1|TXN2-6|TXN2-3|TXN4-1|130050000|||Quarterly|||||2015-10-08||XLRE.NV|XLRE.SO|XLRE.EU|XLRE.TC|XLRE.IV| | | | | | | | | |1x|TheReal EstateSelect Sector SPDR Fund (the Fund) seeks to provide investment results that, before expenses, correspond generally to the price and yield performance of publicly traded equity securities of companies inThe Real EstateSelect Sector Index (the Index).|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||38.24|38.23|0.0|37.89|38.22|38.23|38.225|38.225|0.0|0.0|38.23|38.22|38.23|38.23|38.22|38.23|38.23|38.22|38.235|38.22|38.22|38.23|35.44|40.32|38.22|38.23|38.21|38.24|38.15|38.28|38.22|38.23|42.21|31.99|10359453|1306583592 63367|XLSR|XLSR|78470P408|US78470P4081|SSGA Active Trust|SPDR SSGA US Sector Rotation ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-4|TXN4-5|TXN6-8|TXN4-4|TXN1-8|8880000|||Quarterly|||||2019-04-03||XLSR.NV|XLSR.SO|XLSR.EU|XLSR.TC|XLSR.IV| | | | | | | | | ||The SPDR SSGA U.S. Sector Rotation ETF (the Fund) seeks to provide capital appreciation.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||43.81|43.86|0.0|0.0|43.86|43.83|43.88|43.67|0.0|0.0|43.86|0.0|43.89|43.62|43.84|43.81|0.0|43.86|43.63|43.86|43.47|44.35|43.82|43.92|43.86|43.92|43.86|43.92|43.78|43.92|43.86|43.92|44.6799|37.64|117509|10780254 10134|XLU|XLU|81369Y886|US81369Y8865|Select Sector SPDR Trust|The Utilities Select Sector SPDR Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-3|TXN2-7|TXN5-5|TXN4-5|TXN4-4|219274160|||Quarterly|||||2008-11-07||XLU.NV|XLU.SO|XLU.EU|XLU.TC|XLU.IV| | | | | | | | | |1x|The Utilities Select Sector SPDR Fund, before expenses, seeks to closely match the returns and characteristics of the Utilities Select Sector Index (ticker: IXU). The companies included in each Select Sector Index are selected on the basis of general industry classification from a universe of companies defined by the Standard & Poors 500 Composite Stock Index (S&P 500). The nine Select Sector Indexes (each a Select Sector Index) upon which the Select Sector SPDR Funds are based together comprise all of the companies in the S&P 500. The Utilities Select Sector Index includes companies from the following industries: electric utilities; multi-utilities; independent power producers & energy traders; and gas utilities.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||63.3|63.28|0.0|63.315|63.28|63.285|63.28|63.305|0.0|0.0|63.29|63.3|63.28|63.29|63.31|63.28|63.3|63.28|63.29|63.28|63.28|63.3|59.26|67.35|63.28|63.3|63.27|63.31|63.08|63.52|63.28|63.3|73.79|54.77|15257906|3482746068 10135|XLV|XLV|81369Y209|US81369Y2090|Select Sector SPDR Trust|The Health Care Select Sector SPDR Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-8|TXN4-6|TXN2-2|TXN4-3|TXN1-5|287115324|||Quarterly|||||2008-11-07||XLV.NV|XLV.SO|XLV.EU|XLV.TC|XLV.IV| | | | | | | | | |1x|The Health Care Select Sector SPDR Fund, before expenses, seeks to closely match the returns and characteristics of the Health Care Select Sector Index (ticker: IXV). The companies included in each Select Sector Index are selected on the basis of general industry classification from a universe of companies defined by the Standard & Poors 500 Composite Stock Index (S&P 500). The nine Select Sector Indexes (each a Select Sector Index) upon which the Select Sector SPDR Funds are based together comprise all of the companies in the S&P 500. The Health Care Select Sector Index includes companies from the following industries: pharmaceuticals; health care providers & services; health care equipment & supplies; biotechnology; life sciences tools & services; and health care technology.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||132.07|132.08|0.0|132.11|132.08|132.07|132.07|132.07|0.0|0.0|132.07|132.09|132.08|132.07|132.08|132.07|132.08|132.08|132.09|132.08|131.86|132.36|123.08|139.58|132.08|132.09|125.49|138.0|131.9|132.3|132.08|132.09|141.77|122.59|6943917|2162532961 10136|XLY|XLY|81369Y407|US81369Y4070|Select Sector SPDR Trust|The Consumer Discretionary Select Sector SPDR Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-1|TXN3-2|TXN4-1|TXN3-2|TXN3-2|104353252|||Quarterly|||||2008-11-07||XLY.NV|XLY.SO|XLY.EU|XLY.TC|XLY.IV| | | | | | | | | |1x|The Consumer Discretionary Select Sector SPDR Fund, before expenses, seeks to closely match the returns and characteristics of the Consumer Discretionary Select Sector Index (ticker: IXY). The companies included in each Select Sector Index are selected on the basis of general industry classification from a universe of companies defined by the Standard & Poors 500 Composite Stock Index (S&P 500). The nine Select Sector Indexes (each a Select Sector Index) upon which the Select Sector SPDR Funds are based together comprise all of the companies in the S&P 500. The Consumer Discretionary Select Sector Index includes companies from the following industries: retail (specialty, multi-line, internet and catalog); media; hotels, restaurants & leisure; household durables; textiles, apparel & luxury goods; automobiles, auto components and distributors; leisure equipment & products; and diversified consumer services.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||170.44|170.42|0.0|170.31|170.46|170.42|170.42|170.47|0.0|0.0|170.47|170.47|170.47|170.46|170.69|170.44|170.51|170.44|170.43|170.44|170.17|170.78|159.0|180.6|170.46|170.49|162.12|178.58|170.2|170.68|170.46|204.52|177.8|126.0|9238805|1195618749 75459|XMAR|XMAR|33740F474|US33740F4744|FT Cboe Vest U.S. Equity Enhance & Moderate Buffer ETF - March|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-4|TXN1-3|TXN4-8|TXN3-6|TXN4-6|7030000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|32.6079|0.0|0.0|0.0|0.0|32.6079|32.51|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|32.6079|0.0|32.6079|32.52|32.61|32.52|32.61|32.51|32.62|32.48|32.68|32.48|32.62|32.52|32.62|33.06|29.6899|9406|16497615 16720|XME|XME|78464A755|US78464A7550|SPDR Series Trust|SPDR S&P Metals & Mining ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-3|TXN3-3|TXN8-1|TXN4-8|TXN4-3|32400230|||Quarterly|||||2008-11-07||XME.NV|XME.SO|XME.EU|XME.TC|XME.IV| | | | | | | | | |1x|The SPDR S&P Metals and Mining ETF seeks to replicate as closely as possible, before expenses, the total return performance of the S&P Metals and Mining Select Industry Index (ticker:SPSIMMTR). The S&P Metals & Mining Select Industry Index represents the metals and mining sub-industry portion of the S&P Total Market Index. The S&P TMI tracks all the U.S. common stocks listed on the NYSE, American Stock Exchange, NASDAQ National Market and the NASDAQ small cap exchanges. The Metals & Mining Index is an equal weighted market cap index.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||55.7|55.7|0.0|0.0|55.7|55.7|55.7|55.715|0.0|0.0|55.7|55.7|55.7|55.715|55.72|55.685|55.7|55.71|55.7|55.71|55.65|55.72|52.02|59.48|55.67|55.7|55.65|55.73|55.48|55.88|55.67|55.7|59.24|44.17|2967905|755515522 18373|XMHQ|XMHQ|46137V472|US46137V4721|Invesco Exchange-Traded Fund Trust|Invesco S&P Midcap Quality ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Invesco|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-5|TXN4-5|TXN1-8|TXN2-7|TXN2-4|24900000|||Quarterly|||||2008-11-03||XMHQ.NV|XMHQ.SO|XMHQ.EU|XMHQ.TC|XMHQ.IV| | | | | | | | | |1x|The Invesco S&P MidCap Quality ETF (Fund) is based on the Dynamic Mid Cap Intellidex Index (Index). The Fund will normally invest at least 90% of its total assets in common stocks that comprise the Index. The Index is designed to objectively identify those stocks within a particular market segment that have the greatest potential for capital appreciation. The Intellidex methodology thoroughly evaluates the investment merit of the 2,000 largest U.S. companies by analyzing numerous unique financial characteristics from four broad financial perspectives: fundamental, valuation, timeliness and risk.|N|0|N|N|406C|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|1|||84.47|84.47|0.0|0.0|84.47|84.47|84.4131|84.56|0.0|0.0|84.47|82.52|84.48|84.47|84.47|84.5|0.0|84.51|0.0|84.51|79.08|89.6|79.08|89.6|84.4|84.46|79.08|89.6|0.0|0.0|84.4|84.46|85.195|68.0|170941|30648478 41505|XMLV|XMLV|46138E198|US46138E1982|Invesco Exchange-Traded Fund Trust II|Invesco S&P MidCap Low Volatility ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Invesco|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-4|TXN2-4|TXN9-8|TXN4-4|TXN3-2|16460000|||Quarterly|||||2013-02-15||XMLV.NV|XMLV.SO|XMLV.EU|XMLV.TC|XMLV.IV| | | | | | | | | |1x|The S&P MidCap 400 Low Volatility Index is a subset of the S&P MidCap 400 Index, which is comprised of U.S.-listed equity securities of 400 mid-sized companies based on market capitalization (historically, companies with market capitalizations between $1 billion and $4.4 billion). S&P measures the volatility that every security in the S&P MidCap 400 Index realized over the trailing 12 months and then selects the 80 securities with the lowest volatility to comprise the Underlying Index. S&P weights all 80 securities in the Underlying Index based upon the inverse of each securitys volatility, with the least volatile securities receiving the highest weights in the Underlying Index. S&P rebalances the Underlying Index quarterly in February, May, August and November and makes additions to the Underlying Index only during that quarterly rebalancing. Constituents are only eligible for inclusion in the Underlying Index if they have been listed for trading for an entire year prior to a quarterly rebalancing date. Constituents that are removed from the S&P MidCap 400 Index are removed from the Underlying Index simultaneously, and S&P will adjust the weights of the remaining securities in the Underlying Index accordingly.|N|0|N|N|406C|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|1|||52.25|52.21|0.0|0.0|52.23|52.22|52.29|51.52|0.0|0.0|51.52|0.0|52.28|52.12|0.0|51.52|49.66|52.26|0.0|52.26|52.26|52.81|52.17|52.25|52.26|52.34|49.33|54.65|0.0|0.0|52.26|52.81|56.9619|47.35|22476|13933052 8775|XMMO|XMMO|46137V464|US46137V4648|Invesco Exchange-Traded Fund Trust|Invesco S&P MidCap Momentum ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Invesco|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-6|TXN2-6|TXN7-8|TXN1-7|TXN1-5|12940000|||Quarterly|||||2008-11-03||XMMO.NV|XMMO.SO|XMMO.EU|XMMO.TC|XMMO.IV| | | | | | | | | |1x|The Invesco S&P MidCap Momentum ETF (Fund) is based on the Dynamic Mid Cap Growth Intellidex Index (Index). The Fund will normally invest at least 90% of its total assets in common stocks that comprise the Index. The Index is designed to provide capital appreciation while maintaining consistent stylistically accurate exposure. The Style Intellidexes apply a rigorous ten factor style isolation process to objectively segregate companies into their appropriate investment style and size universe.|N|0|N|N|406C|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|1|||84.95|85.01|0.0|81.051|84.95|85.2|85.075|85.04|0.0|0.0|84.88|79.0|84.84|84.95|84.87|84.28|0.0|85.12|0.0|85.12|79.61|89.07|79.56|90.7|84.85|85.12|79.56|90.7|0.0|0.0|84.85|85.12|85.2699|70.78|77051|14028648 38501|XMPT|XMPT|92189F460|US92189F4607|VanEck CEF Muni Income ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-7|TXN2-1|TXN9-8|TXN4-4|TXN1-6|10850000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||20.74|20.74|0.0|20.74|20.75|20.69|20.75|20.74|0.0|0.0|20.74|20.74|20.74|20.75|20.74|20.74|0.0|20.74|20.75|20.74|20.47|20.92|16.01|25.43|20.62|20.79|20.64|20.81|20.64|20.79|20.7|20.76|22.77|18.0|127498|14025625 71029|XMTR|XMTR|98423F109|US98423F1093|Xometry Inc|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN5-4|TXN14-4|TXN5-4|TXN6-3|45400000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101010|10101020|Technology|Technology|Software and Computer Services|Consumer Digital Services |N||N||||||Y|0|Y||||||25.9|25.95|0.0|25.47|25.9|25.91|25.91|25.92|0.0|0.0|25.9|25.48|25.92|25.92|25.37|25.92|0.0|25.9|25.92|25.92|25.69|25.92|19.72|31.6|25.68|25.92|25.84|25.98|25.86|25.99|25.9|25.92|47.06|12.45|828779|142398779 8777|XMVM|XMVM|46137V456|US46137V4564|Invesco Exchange-Traded Fund Trust|Invesco S&P MidCap Value with Momentum ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Invesco|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-7|TXN2-4|TXN1-5|TXN3-3|TXN3-6|3870000|||Quarterly|||||2008-11-03||XMVM.NV|XMVM.SO|XMVM.EU|XMVM.TC|XMVM.IV| | | | | | | | | |1x|The Invesco S&P MidCapValue with Momentum ETF (Fund) is based on the Dynamic Mid Cap Value Intellidex Index (Index). The Fund will normally invest at least 90% of its total assets in common stocks that comprise the Index. The Index is designed to provide capital appreciation while maintaining consistent stylistically accurate exposure. 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The Technology Index was the first listed broad-market technology barometer dedicated exclusively to the electronics-based technology industry. The Technology Index comprises companies drawn from the following technology sub-sectors: computer services; design software; server software, PC software and new media; networking and telecom equipment; server hardware, PC hardware and peripherals; specialized systems; and semiconductors.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||150.36|153.83|0.0|0.0|153.14|152.95|153.2433|152.065|0.0|0.0|155.04|0.0|153.09|152.96|0.0|0.0|153.06|153.1416|0.0|153.1416|152.9|153.16|152.83|153.44|153.08|153.18|152.97|153.44|152.96|153.44|153.08|153.18|156.756|94.135|13774|2688269 76504|XOCT|XOCT|33740F367|US33740F3670|FT Cboe Vest U.S. Equity Enhance & Moderate Buffer ETF - October|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-4|TXN1-7|TXN6-8|TXN1-6|TXN2-3|1050000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||31.49|31.54|0.0|0.0|0.0|0.0|31.44|31.51|0.0|0.0|0.0|0.0|31.47|0.0|0.0|0.0|0.0|31.54|0.0|31.54|31.45|31.54|31.44|31.53|31.45|31.54|31.41|31.6|31.41|31.6|31.45|31.54|32.91|29.9866|11226|1325271 10139|XOM|XOM|30231G102|US30231G1022|Exxon Mobil Corporation|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|P|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-1|TXN4-2|TXN3-2|TXN1-5|TXN3-1|4006130000|||Quarterly|||||1920-03-25||||||| | | | | | | | | |||N|1|Y|Y|134D|USA|US|||60|6010|601010|60101000|Energy|Energy|Oil, Gas and Coal|Integrated Oil and Gas|N||N||||||Y|0|Y||Y|1|||102.39|102.4|0.0|102.47|102.39|102.4|102.43|102.48|0.0|0.0|102.43|102.42|102.45|102.39|102.4|102.43|102.47|102.43|102.44|102.43|102.43|102.44|96.7|109.42|102.43|102.45|102.37|102.47|102.33|102.48|102.43|102.44|120.7|98.02|21523942|3957251034 4487|XOMA|XOMA|98419J206|US98419J2069|XOMA Corp|COM USD.0005||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-2|TXN6-7|TXN11-4|TXN5-5|TXN6-3|11490000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||0.0|16.0|0.0|0.0|16.44|16.01|16.2503|16.53|0.0|0.0|0.0|0.0|16.33|0.0|0.0|16.25|0.0|16.25|0.0|16.33|15.79|16.98|12.44|20.21|15.92|16.82|12.8|19.26|0.0|0.0|16.27|16.48|23.5099|13.48|40784|7771181 70185|XOMAO|XOMAO|98419J404|US98419J4040|XOMA Corp|8.375% DEP PFD B||U|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-2|TXN6-4|TXN13-6|TXN6-5|TXN6-3|1600000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|22.7|22.62|0.0|0.0|0.0|0.0|0.0|22.62|0.0|0.0|0.0|0.0|22.62|0.0|22.62|0.0|0.0|0.0|0.0|21.2|24.42|0.0|0.0|0.0|0.0|22.62|22.7|25.37|20.43|1946|999179 68520|XOMAP|XOMAP|98419J305|US98419J3059|XOMA Corp|8.625% CUM PFD A||B|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN6-1|TXN13-7|TXN5-1|TXN6-8|980000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|22.9|0.0|0.0|0.0|0.0|0.0|0.0|22.78|0.0|0.0|0.0|0.0|22.9|0.0|22.9|0.0|0.0|0.0|0.0|21.38|24.63|0.0|0.0|0.0|0.0|22.75|22.9|25.48|21.4|1183|475300 76229|XOMO|XOMO|88634T410|US88634T4105|Tidal Trust II|YieldMax XOM Option Income Strategy ETF|Trust|ETS|N|N|P|Y|Y|Y|Y|Y||||||||Tidal ETF Services |Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-2|TXN2-5|TXN9-7|TXN2-1|TXN3-6|475000|||Monthly|||||2023-08-31||XOMO.NV|XOMO.SO|XOMO.EU|XOMO.TC| | | | | | | | | | ||the Fund uses a synthetic covered call strategy to provide income and exposure to the share price returns of XOM, subject to a limit on potential investment gains as a result of the nature of the options strategy it employs.|N|0|N|N|416A|USA|US|HYBRID|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|17.81|0.0|0.0|0.0|17.81|17.81|17.84|0.0|0.0|17.8|0.0|17.81|0.0|0.0|17.8|17.8|17.81|17.82|17.81|17.82|17.84|17.7|17.89|17.76|17.8|0.0|0.0|0.0|0.0|17.74|17.8|23.38|17.4715|28243|1436195 74616|XONE|XONE|09789C861|US09789C8617|BondBloxx ETF Trust|BondBloxx Bloomberg One Year Target Duration US Treasury ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BondBloxx Investment Management|Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-2|TXN1-3|TXN6-8|TXN3-8|TXN1-6|11630000|||Monthly|||||2022-09-15||XONE.NV|XONE.SO|XONE.EU|XONE.TC| | | | | | | | | | |1x|Bloomberg US Treasury One Year Duration 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|||N|0|N|N||USA||||40|4010|401010|40101025|Consumer Discretionary|Automobiles and Parts|Automobiles and Parts|Auto Parts|N||N||||||Y|0|Y||||||48.29|48.195|0.0|0.0|48.22|48.13|48.18|48.24|0.0|0.0|48.14|0.0|48.2|0.0|0.0|48.15|47.37|48.18|0.0|48.2|47.75|48.78|36.92|59.29|47.73|48.72|48.05|48.33|48.16|48.36|48.16|48.23|87.46|40.77|90752|39369415 74646|XPER|XPER|98423J101|US98423J1016|Xperi Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-8|TXN2-2|TXN4-8|TXN1-7|TXN1-5|43470000|||Quarterly|||||2022-09-20||||||| | | | | | | | | |||N|0|N|Y|114D|USA|US|||15|1510|151020|15102010|Telecommunications|Telecommunications|Telecommunications Service Providers |Cable Television Services|N||N||||||Y|0|Y||Y|2|||10.46|10.46|0.0|10.21|10.46|10.465|10.46|10.46|0.0|0.0|10.46|10.38|10.47|10.46|10.44|10.47|10.44|10.47|10.44|10.47|10.45|10.47|7.94|12.61|10.45|10.56|10.44|10.48|10.43|10.49|10.45|10.47|13.62|7.91|557604|64665602 67366|XPEV|XPEV|98422D105|US98422D1054|XPeng Inc.|American depositary shares, each representing two Class A ordinary shares|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|8|A|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN5-2|TXN4-2|TXN1-2|TXN3-8|TXN3-3|1442580000|||NotApplicable|||||2020-08-27||||||| | | | | | | | | |||N|0|N|Y|132A|CHN|KY|||40|4010|401010|40101020|Consumer Discretionary|Automobiles and Parts|Automobiles and Parts|Automobiles|N||N||||||Y|0|Y||Y|2|||16.04|16.03|0.0|16.07|16.035|16.03|16.035|16.035|0.0|0.0|16.04|16.04|16.03|16.035|16.04|16.02|16.04|16.07|16.035|16.02|16.03|16.04|12.44|17.3|16.03|16.04|15.97|16.11|16.03|16.11|16.03|16.04|23.62|7.505|10682269|3601644092 16719|XPH|XPH|78464A722|US78464A7220|SPDR Series Trust|SPDR S&P Pharmaceuticals ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-8|TXN2-3|TXN4-4|TXN4-1|TXN2-7|5050270|||Quarterly|||||2008-11-07||XPH.NV|XPH.SO|XPH.EU|XPH.TC|XPH.IV| | | | | | | | | |1x|The SPDR S&P Pharmaceuticals ETF seeks to replicate as closely as possible, before expenses, the total return performance of the S&P Pharmaceuticals Select Industry Index (ticker: SPSIPHTR). The S&P Pharmaceuticals Select Industry Index represents the pharmaceuticals sub-industry portion of the S&P Total Markets Index. The S&P TMI tracks all the U.S. common stocks listed on the NYSE, AMEX, NASDAQ National Market and NASDAQ small cap exchanges. The Pharmaceuticals Index is an equal weighted market cap index.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||37.0|38.26|0.0|0.0|38.27|38.3|38.29|38.24|0.0|0.0|38.33|0.0|38.29|38.32|0.0|0.0|0.0|38.29|0.0|38.29|36.4|39.59|38.19|38.43|38.26|38.29|38.19|38.44|38.21|38.44|38.26|38.29|44.3109|34.6704|99837|10948768 16990|XPL|XPL|8342EP107|US8342EP1070|Solitario Resources Corp.|Common Stock|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Brendan E. Cryan and Company, L.L.C.|CRYN|0235|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN10-7|TXN1-5|TXN5-8|TXN4-8|TXN1-2|79090000|||NotApplicable|||||2006-08-11||||||| | | | | | | | | |||N|0|N|N|134A|USA|US|||55|5510|551020|55102000|Basic Materials|Basic Resources|Industrial Metals and Mining|General Mining|N||N||||||N|0|Y||Y|2|||0.5387|0.5387|0.0|0.0|0.5387|0.5388|0.5398|0.5387|0.0|0.0|0.5407|0.5398|0.5407|0.0|0.0|0.0|0.5407|0.5407|0.0|0.5407|0.5244|0.5546|0.5389|0.5407|0.5262|0.5529|0.5111|0.5738|0.0|0.0|0.5389|0.5407|0.7739|0.4812|43079|12561715 70859|XPND|XPND|33740U851|US33740U8514|First Trust Exchange-Traded Fund VIII|First Trust Expanded Technology ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||First Trust|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-6|TXN4-8|TXN5-8|TXN3-2|TXN4-8|500002|||Quarterly|||||2021-06-15||XPND.NV|XPND.SO|XPND.EU|XPND.TC| | | | | | | | | | |1x|The First Trust Expanded Technology ETF (the Fund) seeks to provide long-term capital appreciation.|N|0|N|N|412C|USA|US|EQUITY|ACTIVE|||||||||N||N||||||Y|0|Y||Y|2|||0.0|22.55|0.0|0.0|0.0|0.0|22.2863|0.0|0.0|0.0|0.0|0.0|22.25|0.0|0.0|0.0|0.0|22.2796|0.0|22.2796|17.84|26.9|0.0|0.0|22.27|22.29|17.84|26.89|0.0|0.0|22.27|22.29|22.64|15.72|989|1565675 16615|XPO|XPO|983793100|US9837931008|XPO, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|11|Q|Virtu Americas LLC|NITC|295|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-7|TXN2-5|TXN4-6|TXN4-6|TXN3-1|115970000|||Adhoc|||||2012-06-14||||||| | | | | | | | | |||N|0|Y|Y|200A|USA|US|||50|5020|502060|50206010|Industrials|Industrial Goods and Services|Industrial Transportation|Trucking|N||N||||||Y|0|Y||Y|1|||88.87|88.77|0.0|88.84|88.81|88.77|88.76|88.78|0.0|0.0|88.76|88.91|88.78|88.86|88.78|88.78|88.84|88.79|88.81|88.78|88.79|88.83|83.16|94.62|88.7|88.93|88.69|88.86|88.74|88.87|88.79|88.83|90.78|29.02|1355665|423295317 71225|XPOF|XPOF|98422X101|US98422X1019|Xponential Fitness, Inc.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|P|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-5|TXN4-3|TXN9-5|TXN1-8|TXN4-6|30890000|||NotApplicable|||||2021-07-23||||||| | | | | | | | | |||N|0|N|Y|122B|USA|US|||40|4050|405010|40501030|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Recreational Services|N||N||||||Y|0|Y||Y|2|||14.21|14.22|0.0|14.23|14.21|14.215|14.22|14.22|0.0|0.0|14.2|14.2|14.215|14.23|14.2|14.23|14.21|14.23|14.21|14.23|14.21|14.23|11.11|17.55|14.18|14.34|14.17|14.25|14.16|14.25|14.21|14.23|33.58|11.31|373772|168417207 73809|XPON|XPON|30218B100|US30218B1008|Expion360 Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-6|TXN5-5|TXN12-3|TXN6-8|TXN5-8|6910000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||50|5020|502020|50202010|Industrials|Industrial Goods and Services|Electronic and Electrical Equipment|Electrical Components |N||N||||||N|0|Y||||||5.65|5.65|0.0|0.0|5.69|5.64|5.5601|5.83|0.0|0.0|5.8|5.8|5.72|0.0|0.0|0.0|0.0|5.5601|0.0|5.5601|4.48|6.72|0.0|0.0|5.42|6.03|4.48|6.72|0.0|0.0|5.42|5.82|7.15|0.9|88287|154932216 31032|XPP|XPP|74347X880|US74347X8801|ProShares Trust|ProShares Ultra FTSE China 50|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ProShares Advisors |Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-5|TXN4-7|TXN3-8|TXN3-7|TXN1-5|555000|||Quarterly|||||2009-06-04||XPP.NV|XPP.SO|XPP.EU|XPP.TC|XPP.IV| | | | | | | | | |2x|ProShares Ultra FTSE China 25 seeks daily investment results, before fees and expenses, that correspond to twice (200%) the daily performance of the FTSE China 25 Index. The FTSE China 25 Index is comprised of 25 of the largest and most liquid Chinese stocks listed on the Hong Kong Stock Exchange (HKEX). This free float-adjusted index caps the weight of any of constituent stock at 10% to ensure broad representation of the Chinese economy.|N|0|N|N|416A|USA|US|EQUITY|LEVERAGED|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||13.72|14.67|0.0|0.0|0.0|13.7|13.71|0.0|0.0|0.0|13.86|14.8|13.77|13.69|0.0|14.309|0.0|13.72|0.0|13.72|13.11|14.61|0.0|0.0|13.67|13.72|12.72|14.68|13.6|13.76|13.67|13.72|29.55|13.6704|16560|3349080 42483|XPRO|XPRO|N3144W105|NL0010556684|Expro Group Holdings N.V.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|I|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-4|TXN4-6|TXN1-7|TXN1-4|TXN1-2|110670000|||NotApplicable|||||2013-08-09||||||| | | | | | | | | |||N|0|N|Y|134F|GBR|NL|||60|6010|601010|60101030|Energy|Energy|Oil, Gas and Coal|Oil Equipment and Services|N||N||||||Y|0|Y||Y|2|||15.93|15.94|0.0|15.72|15.93|15.94|15.94|15.94|0.0|0.0|15.935|15.91|15.94|15.93|15.91|15.95|15.91|15.95|15.91|15.95|15.94|15.95|12.0|19.3|15.87|15.96|15.89|15.99|15.92|15.98|15.94|15.95|25.04|14.3348|536300|188927896 4491|XRAY|XRAY|24906P109|US24906P1093|DENTSPLY SIRONA Inc|COM USD1||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN6-5|TXN12-7|TXN6-8|TXN6-3|211860000|||NotApplicable|||||||||||| | | | | | | | | |||N|5|Y|N||USA||||20|2010|201020|20102015|Health Care |Health Care |Medical Equipment and Services|Medical Supplies|N||N||||||Y|0|Y||||||32.73|32.725|0.0|32.83|32.73|32.735|32.735|32.73|0.0|0.0|32.72|32.73|32.73|32.72|32.715|32.735|32.735|32.74|32.73|32.73|32.73|32.76|30.63|34.98|32.73|32.75|32.7|34.18|0.0|0.0|32.73|32.75|43.24|26.27|2691536|513191855 49618|XRLV|XRLV|46138E388|US46138E3889|Invesco Exchange-Traded Fund Trust II|Invesco S&P 500® ex-Rate Sensitive Low Volatility ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Invesco|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-7|TXN3-6|TXN2-8|TXN4-7|TXN3-8|980001|||Monthly|||||2015-04-09||XRLV.NV|XRLV.SO|XRLV.EU|XRLV.TC|XRLV.IV| | | | | | | | | |1x|The Fund generally will invest at least 90% of its total assets in common stocks that comprise the Underlying Index.Strictly in accordance with its guidelines and mandated procedures, S&P Dow Jones Indices LLC (the Index Provider) compiles, maintains and calculates the Underlying Index, which is designed to provide exposure to the 100 constituents of S&P 500 Index that exhibit both low volatility and low interest rate risk. The Underlying Index is designed to include stocks exhibiting low volatility characteristics, after removing stocks that historically have performed poorly in rising interest rate environments. Volatility is a statistical measurement of the magnitude of up and down asset price fluctuations (increases or decreases in a stocks price) over time. The Index Provider determines a stocks rate sensitivity by performing a regression of the stocks returns over a five-year period to changes in interest rates over that same period. The Fund generally invests in all of the securities comprising the Underlying Index in proportion to their weightings in the Underlying Index.Concentration Policy. The Fund will concentrate its investments (i.e., invest more than 25% of the value of its net assets) in securities of issuers in any one industry or group of industries only to the extent that the Underlying Index reflects a concentration in that industry or group of industries. The Fund will not otherwise concentrate its investments in securities of issuers in any one industry or group of industries.|N|0|N|N|406C|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|46.9|46.9|0.0|0.0|46.86|0.0|46.79|0.0|0.0|0.0|0.0|46.9011|0.0|46.9011|0.0|0.0|0.0|0.0|46.83|46.93|46.83|47.0|46.83|47.0|46.83|46.93|50.39|43.56|753|656759 76452|XRLX|XRLX|360876874|US3608768749|FundX Investment Trust|FundX Conservative ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||FundX|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-8|TXN4-4|TXN7-8|TXN2-4|TXN4-8|1500823|||Yearly|||||2023-10-09||XRLX.NV|XRLX.SO|XRLX.EU|XRLX.TC| | | | | | | | | | ||Equity Fund of Funds|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|37.2|37.4001|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|37.2492|0.0|37.2492|0.0|0.0|37.17|37.22|37.22|37.27|18.72|56.15|0.0|0.0|37.22|37.27|37.59|34.59|395|177948 71534|XRMI|XRMI|37960A206|US37960A2069|Global X Funds|Global X S&P 500 Risk Managed Income ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Global X|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-8|TXN2-1|TXN9-8|TXN1-8|TXN3-2|1450000|||Monthly|||||2021-08-26||XRMI.NV|XRMI.SO|XRMI.EU|XRMI.TC|XRMI.IV| | | | | | | | | |1x|The Global X S&P 500 Risk Managed Income ETF (Fund) seeks to provide investment results that correspond generally to the price and yield performance, before fees and expenses, of the Cboe S&P 500 Risk Managed Income Index (Underlying Index).|N|0|N|N|416A|USA|US|HYBRID|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|18.8|18.8292|18.82|0.0|0.0|0.0|0.0|18.78|0.0|0.0|0.0|18.79|18.8146|0.0|18.8146|0.0|0.0|18.78|18.83|18.78|18.85|18.73|18.9|18.74|18.9|18.78|18.9|21.17|18.38|1377|1717843 16721|XRT|XRT|78464A714|US78464A7147|SPDR Series Trust|SPDR S&P Retail ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|IMC Chicago, LLC, DBA IMC Financial Markets|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-8|TXN3-7|TXN9-3|TXN2-2|TXN2-5|6550226|||Quarterly|||||2008-11-07||XRT.NV|XRT.SO|XRT.EU|XRT.TC|XRT.IV| | | | | | | | | |1x|The SPDR S&P Retail ETF seeks to replicate as closely as possible, before expenses, the total return performance of the S&P Retail Select Industry Index (ticker: SPSIRETR). The S&P Retail Select Industry Index represents the retail sub-industry portion of the S&P TMI. The S&P TMI tracks all the U.S. common stocks listed on the NYSE, AMEX, NASDAQ National Market and NASDAQ small cap exchanges. 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The S&P Semiconductor Select Industry Index represents the Semiconductor sub-industry portion of the S&P Total Markets Index. The S&P TMI tracks all the U.S. common stocks listed on the NYSE, AMEX, NASDAQ National Market and NASDAQ small cap exchanges. The Semiconductor Index is an equal weighted market cap index.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||199.31|201.38|0.0|0.0|198.12|200.46|201.46|201.38|0.0|0.0|201.0|197.9|201.42|199.78|199.33|197.75|0.0|201.46|202.0|201.46|201.06|201.85|186.54|213.45|201.41|201.52|189.61|208.42|0.0|0.0|201.41|201.52|233.01|161.0|57520|18785891 74659|XSEP|XSEP|33740U810|US33740U8100|FT Cboe Vest US Equity Enhance and Moderate Buffer ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-5|TXN4-2|TXN8-8|TXN1-2|TXN4-6|4130000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|35.24|0.0|0.0|35.21|0.0|35.24|0.0|0.0|0.0|35.16|0.0|35.26|0.0|0.0|0.0|0.0|35.24|0.0|35.24|28.15|42.26|35.2|35.31|35.21|35.26|28.15|35.35|35.16|35.32|35.16|35.26|35.36|30.52|18388|10625403 54555|XSHD|XSHD|46138E131|US46138E1313|Invesco S&P SmallCap High Dividend Low Volatility ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN2-2|TXN9-8|TXN3-7|TXN4-6|1380001|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||0.0|15.62|0.0|0.0|0.0|15.61|15.61|15.07|0.0|0.0|0.0|0.0|15.58|0.0|0.0|0.0|0.0|15.62|0.0|15.62|15.61|15.66|0.0|0.0|15.61|15.63|14.12|15.74|0.0|0.0|15.61|15.63|20.09|13.58|28777|2830895 56982|XSHQ|XSHQ|46138G300|US46138G3002|Invesco S&P SmallCap Quality ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-7|TXN4-2|TXN3-8|TXN3-1|TXN4-8|2270001|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||37.28|37.6|0.0|0.0|37.16|37.2|37.57|37.07|0.0|0.0|37.41|0.0|37.58|37.58|0.0|0.0|0.0|37.6|0.0|37.6|37.52|37.94|0.0|0.0|37.52|37.61|37.52|37.61|0.0|0.0|37.52|37.6|38.28|31.76|20165|2989566 41504|XSLV|XSLV|46138G102|US46138G1022|Invesco Exchange-Traded Fund Trust II|Invesco S&P SmallCap Low Volatility ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Invesco|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-5|TXN1-4|TXN1-5|TXN2-5|TXN3-2|9400000|||Quarterly|||||2013-02-15||XSLV.NV|XSLV.SO|XSLV.EU|XSLV.TC|XSLV.IV| | | | | | | | | |1x|The S&P SmallCap 600 Low Volatility Index is a subset of the S&P SmallCap 600 Index, which is comprised of U.S.-listed equity securities of 600 smaller companies based on market capitalization (historically, companies with market capitalizations between $300 million and $1.4 billion). S&P measures the volatility that every security in the S&P SmallCap 600 Index realized over the trailing 12 months and then selects the 120 securities with the lowest volatility to comprise the Underlying Index. S&P weights all 120 securities in the Underlying Index based upon the inverse of each securitys volatility, with the least volatile securities receiving the highest weights in the Underlying Index. S&P rebalances the Underlying Index quarterly in February, May, August and November, and makes additions to the Underlying Index only during that quarterly rebalancing. Constituents are only eligible for inclusion in the Underlying Index if they have been listed for trading for an entire year prior to a quarterly rebalancing date. Constituents that are removed from the S&P SmallCap 600 Index are removed from the Underlying Index simultaneously, and S&P will adjust the weights of the remaining securities in the Underlying Index accordingly.|N|0|N|N|406C|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|1|||0.0|42.23|0.0|0.0|41.91|42.2|42.2|42.07|0.0|0.0|42.2|0.0|42.26|42.25|0.0|41.91|0.0|42.23|0.0|42.23|41.82|42.69|42.13|42.38|42.23|42.3|42.13|42.38|42.13|42.38|42.23|42.3|48.2306|37.69|26400|15787859 8779|XSMO|XSMO|46137V498|US46137V4986|Invesco Exchange-Traded Fund Trust|Invesco S&P SmallCap Momentum ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Invesco|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-4|TXN4-6|TXN5-8|TXN2-1|TXN3-5|3760000|||Quarterly|||||2008-11-03||XSMO.NV|XSMO.SO|XSMO.EU|XSMO.TC|XSMO.IV| | | | | | | | | |1x|The Invesco S&P SmallCap Momentum ETF (Fund) is based on the Dynamic small cap Growth Intellidex Index (Index). The Fund will normally invest at least 90% of its total assets in common stocks that comprise the Index. The Index is designed to provide capital appreciation while maintaining consistent stylistically accurate exposure. The Style Intellidexes apply a rigorous 10-factor style isolation process to objectively segregate companies into their appropriate investment style and size universe.|N|0|N|N|406C|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||52.23|51.73|0.0|0.0|51.74|51.73|52.2525|51.73|0.0|0.0|51.73|0.0|51.73|52.03|0.0|51.73|0.0|52.2525|0.0|52.2525|52.17|52.74|52.03|52.47|52.17|52.33|52.02|52.47|52.03|52.47|52.17|52.33|52.2525|43.205|34111|6237627 49064|XSOE|XSOE|97717X578|US97717X5784|WisdomTree Trust|WisdomTree Emerging Markets ex-State-Owned Enterprises Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||WisdomTree|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-8|TXN2-4|TXN1-8|TXN1-5|TXN4-2|72700000|||Quarterly|||||2014-12-10||XSOE.NV|XSOE.SO|XSOE.EU|XSOE.TC|XSOE.IV| | | | | | | | | |1x|The WisdomTree Emerging Markets ex-State-Owned Enterprises Fund (XSOE) seeks to track the price and yield performance, before fees and expenses, of the WisdomTree Emerging Markets ex-State-Owned Enterprises Index.|N|0|N|N|406C|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||27.58|27.61|0.0|0.0|27.58|27.59|27.59|27.59|0.0|0.0|27.59|27.6|27.62|27.58|27.59|27.591|0.0|27.62|0.0|27.62|26.0|29.24|26.0|29.36|27.59|27.64|26.0|29.36|0.0|0.0|27.59|27.64|30.08|25.5199|385806|96097881 8782|XSVM|XSVM|46137V480|US46137V4804|Invesco Exchange-Traded Fund Trust|Invesco S&P SmallCap Value with Momentum ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Invesco|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-5|TXN3-8|TXN9-8|TXN3-8|TXN3-2|12740000|||Quarterly|||||2008-11-03||XSVM.NV|XSVM.SO|XSVM.EU|XSVM.TC|XSVM.IV| | | | | | | | | |1x|The Invesco S&P SmallCap Value with Momentum ETF (Fund) is based on the Dynamic small cap Value Intellidex Index (Index). The Fund will normally invest at least 90% of its total assets in common stocks that comprise the Index. The Index is designed to provide capital appreciation while maintaining consistent stylistically accurate exposure. The Style Intellidexes apply a rigorous ten factor style isolation process to objectively segregate companies into their appropriate investment style and size universe.|N|0|N|N|406C|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|1|||50.73|51.11|0.0|0.0|50.96|51.0|51.1217|51.11|0.0|0.0|50.71|0.0|50.96|50.93|51.06|51.06|0.0|51.11|48.91|51.11|50.55|51.6|51.0|51.23|51.0|51.14|51.0|51.22|51.0|51.21|51.0|51.14|52.7096|41.79|65519|18701896 74620|XSVN|XSVN|09789C820|US09789C8203|BondBloxx ETF Trust|BondBloxx Bloomberg Seven Year Target Duration US Treasury ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BondBloxx Investment Management|Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-6|TXN3-7|TXN9-8|TXN2-7|TXN4-4|1390000|||Monthly|||||2022-09-15||XSVN.NV|XSVN.SO|XSVN.EU|XSVN.TC| | | | | | | | | | |1x|Bloomberg US Treasury Seven Year Duration Index|N|0|N|N|416A|USA|US|FIXED_INCOME|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|47.0688|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|47.084|0.0|47.084|47.06|47.09|0.0|0.0|47.06|47.09|47.06|47.11|0.0|0.0|47.06|47.09|50.41|44.79|23563|1111443 38873|XSW|XSW|78464A599|US78464A5992|SPDR Series Trust|SPDR S&P Software & Services ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN1-8|TXN5-3|TXN3-4|TXN4-5|2350000|||Quarterly|||||2011-09-29||XSW.NV|XSW.SO|XSW.EU|XSW.TC|XSW.IV| | | | | | | | | |1x|The SPDR S&P Software & Services ETF seeks to replicate as closely as possible, before expenses, the performance of an index derived from the application software, data processing and outsourced services, home entertainment software, internet software and services, IT consulting, and systems software segment of a U.S. total market composite index.The Index represents the application software, data processing and outsourced services, home entertainment software, internet software and services, IT consulting, and systems software sub-industries of the S&P Total Stock Market Index (S&P TMI). The Index is one of twenty five (25) S&P Select Industry Indices (the Select Industry Indices), each designed to measure the performance of a narrow sub-industry or group of sub-industries as defined by the Global Industry Classification Standards (GICS). Membership in the Select Industry Indices is determined by a stocks GICS classification, as well as by liquidity and market cap requirements. Companies in the Select Industry Indices are classified based primarily on revenues; however, earnings and market perception are also considered. The Index consists of the S&P TMI constituents belonging to a particular GICS sub-industry or group of sub-industries that satisfy the following criteria: (i) have a float-adjusted market capitalization above $500 million (market capitalization threshold) with a liquidity ratio (defined by dollar value traded over the previous 12 months divided by average market capitalization over the previous 12 months) greater than or equal to 90% (the liquidity threshold) or have a float-adjusted market capitalization above $400 million (market capitalization threshold) with a liquidity ratio (defined by dollar value traded over the previous 12 months divided by average market capitalization over the previous 12 months) greater than or equal to 150% (the liquidity threshold); (ii) represent 100% of the float-adjusted market capitalization of the relevant GICS sub-industry(ies); (iii) are U.S.-based companies; and (iv) the length of time to evaluate liquidity is reduced to the available trading period for initial public offerings or spin-offs that do not have 12 months of trading history. S&P has separated the inclusion and exclusion criteria such that existing index constituents may satisfy a lower market capitalization and trading volume requirement than those not included in the index as of the index rebalancing reference date. Existing index members must have a float-adjusted market capitalization above $300 million with a liquidity ratio greater or equal to 50%. Rebalancing occurs on the third Friday of the quarter-ending month. The S&P TMI tracks all the U.S. common stocks listed on the NYSE (including NYSE Arca and NYSE Amex), the NASDAQ Global Select Market, the NASDAQ Select Market and the NASDAQ Capital Market. The index is an equal weighted market cap index.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||142.35|140.89|0.0|141.26|142.35|141.1|142.16|142.2|0.0|0.0|142.2|137.3|142.185|142.03|142.2|140.87|0.0|142.19|142.35|142.19|0.0|0.0|0.0|0.0|142.02|142.18|142.0|142.31|142.01|142.31|142.02|142.18|143.89|104.295|51428|3477066 49569|XT|XT|46434V381|US46434V3814|iShares Exponential Technologies ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN5-5|TXN12-4|TXN5-7|TXN5-3|58850000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||||||56.11|56.12|0.0|0.0|56.07|56.11|56.1|56.07|0.0|0.0|56.07|56.05|56.14|56.07|56.08|56.11|0.0|56.1|0.0|56.14|52.82|59.08|55.98|56.35|55.93|56.3|55.98|56.35|55.98|56.35|56.07|56.13|58.63|46.1273|265549|28806678 70080|XTAP|XTAP|45783Y400|US45783Y4008|Innovator U.S. Equity Accelerated Plus ETF - April|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-3|TXN4-1|TXN9-8|TXN2-4|TXN2-4|380000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|29.755|0.0|0.0|29.39|0.0|29.765|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|29.755|0.0|29.755|0.0|0.0|29.7|29.75|29.67|29.86|29.7|29.81|29.67|29.86|29.67|29.86|29.8134|24.08|1917|551617 74621|XTEN|XTEN|09789C812|US09789C8120|BondBloxx ETF Trust|BondBloxx Bloomberg Ten Year Target Duration US Treasury ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BondBloxx Investment Management|Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-6|TXN1-6|TXN9-8|TXN3-7|TXN1-4|1040000|||Monthly|||||2022-09-15||XTEN.NV|XTEN.SO|XTEN.EU|XTEN.TC| | | | | | | | | | |1x|Bloomberg US Treasury Ten Year Duration Index|N|0|N|N|416A|USA|US|FIXED_INCOME|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|45.62|0.0|45.6715|0.0|0.0|0.0|45.82|45.93|45.65|0.0|0.0|0.0|0.0|45.752|0.0|45.752|45.72|45.75|0.0|0.0|45.72|45.76|45.72|45.77|0.0|0.0|45.72|45.76|53.83|42.65|3896|967551 73098|XTJA|XTJA|45783Y772|US45783Y7720|Innovator US Equity Accelerated Plus ETF - January|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-1|TXN1-3|TXN7-8|TXN4-4|TXN3-2|600000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|24.025|0.0|0.0|0.0|24.0|24.0699|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|24.025|0.0|24.025|0.0|0.0|0.0|0.0|23.96|24.11|23.98|24.07|23.98|24.07|23.96|24.12|24.0699|19.4438|3434|1494683 71044|XTJL|XTJL|45783Y806|US45783Y8066|Innovator US Equity Accelerated Plus ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-1|TXN3-3|TXN1-5|TXN2-7|TXN1-3|600000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||28.56|28.5699|0.0|0.0|0.0|28.55|28.54|0.0|0.0|0.0|0.0|0.0|28.56|28.56|28.56|0.0|0.0|28.5699|0.0|28.5699|0.0|0.0|28.48|28.57|28.46|28.68|28.46|28.68|28.51|28.63|28.46|28.68|28.6793|22.95|2269|1113962 36433|XTL|XTL|78464A540|US78464A5406|SPDR Series Trust|SPDR S&P Telecom ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|IMC Chicago, LLC, DBA IMC Financial Markets|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-3|TXN4-2|TXN6-4|TXN3-3|TXN2-2|750000|||Quarterly|||||2011-01-27||XTL.NV|XTL.SO|XTL.EU|XTL.TC|XTL.IV| | | | | | | | | |1x|The SPDR S&P Telecom ETF (the Fund) seeks to provide investment results that, before fees and expenses, correspond generally to the total return performance of an index derived from the telecommunications segment of a U.S. total market composite index.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||66.96|0.0|0.0|0.0|73.47|72.48|73.37|66.32|0.0|0.0|0.0|0.0|73.49|73.29|0.0|0.0|0.0|73.47|0.0|73.47|69.68|77.68|73.42|73.5|73.38|73.48|73.11|73.75|73.17|73.67|73.11|73.75|89.45|64.09|1832|1642478 4495|XTLB|XTLB|98386D307|US98386D3070|XTL Biopharmaceuticals|ADR||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-7|TXN5-1|TXN14-5|TXN5-6|TXN5-4|544910000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||ISR||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|1.111|0.0|0.0|0.0|0.0|0.0|1.13|0.0|0.0|0.0|0.0|1.13|0.0|1.13|0.0|0.0|0.0|0.0|0.0|1.88|0.0|0.0|0.0|0.0|1.11|1.13|1.54|0.75|4211|1676195 36432|XTN|XTN|78464A532|US78464A5323|SPDR Series Trust|SPDR S&P Transportation ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||State Street Global Advisors|IMC Chicago, LLC, DBA IMC Financial Markets|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-2|TXN2-7|TXN7-7|TXN4-7|TXN3-1|2480000|||Quarterly|||||2011-01-27||XTN.NV|XTN.SO|XTN.EU|XTN.TC|XTN.IV| | | | | | | | | |1x|The SPDR S&P Transportation ETF (the Fund) seeks to provide investment results that, before fees and expenses, correspond generally to the total return performance of an index derived from the transportation segment of a U.S. total market composite index.|N|0|N|N|416A|USA|US|EQUITY|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|1|||0.0|77.09|0.0|0.0|77.26|79.92|80.06|80.02|0.0|0.0|79.88|0.0|79.87|79.87|0.0|0.0|0.0|80.14|0.0|80.14|76.22|84.0|0.0|0.0|80.13|80.2|79.95|80.39|79.95|80.39|80.13|80.2|88.1414|65.66|16475|8792868 51739|XTNT|XTNT|98420P308|US98420P3082|Xtant Medical Holdings Inc.|Common Stock par value $0.000001 per share|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Brendan E. Cryan and Company, L.L.C.|CRYN|0235|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-1|TXN1-8|TXN6-8|TXN3-6|TXN4-5|130110000|||Adhoc|||||2018-02-14||||||| | | | | | | | | |||N|0|N|N|140A|USA|US|||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||N|0|Y||Y|2|||1.31|1.31|0.0|0.0|1.29|1.31|1.31|1.305|0.0|0.0|1.32|1.3|1.31|1.32|0.0|1.31|1.31|1.31|0.0|1.31|1.25|1.36|1.3|1.31|1.25|1.35|1.26|1.35|1.25|1.36|1.3|1.31|1.45|0.48|135014|16818538 71892|XTOC|XTOC|45783Y830|US45783Y8306|Innovator U.S. Equity Accelerated Plus ETF - October|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-5|TXN3-5|TXN1-5|TXN3-3|TXN1-6|750000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||25.92|25.9852|0.0|26.01|25.92|25.92|25.9347|25.92|0.0|0.0|25.92|0.0|26.01|25.92|0.0|0.0|26.01|25.9852|25.92|25.9852|0.0|0.0|25.91|26.02|25.89|26.09|25.89|26.09|25.93|26.04|25.89|26.09|26.0669|20.9852|9271|1634938 71533|XTR|XTR|37960A107|US37960A1079|Global X Funds|Global X S&P 500 Tail Risk ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Global X|Susquehanna Securities, 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ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BondBloxx Investment Management|Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-6|TXN2-5|TXN8-8|TXN3-6|TXN3-5|670000|||Monthly|||||2022-09-15||XTRE.NV|XTRE.SO|XTRE.EU|XTRE.TC| | | | | | | | | | |1x|Bloomberg US Treasury Three Year Duration Index|N|0|N|N|416A|USA|US|FIXED_INCOME|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|48.48891|48.86|0.0|0.0|0.0|0.0|0.0|48.85|0.0|0.0|0.0|0.0|48.845|0.0|48.845|48.83|48.86|0.0|0.0|48.83|48.86|48.83|48.86|0.0|0.0|48.83|48.86|50.305|47.94|2627|408024 74617|XTWO|XTWO|09789C853|US09789C8534|BondBloxx ETF Trust|BondBloxx Bloomberg Two Year Target Duration US Treasury ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BondBloxx Investment Management|Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-5|TXN4-6|TXN8-7|TXN2-6|TXN1-7|2050000|||Monthly|||||2022-09-15||XTWO.NV|XTWO.SO|XTWO.EU|XTWO.TC| | | | | | | | | | |1x|Bloomberg US Treasury Two Year Duration Index|N|0|N|N|416A|USA|US|FIXED_INCOME|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|49.1144|49.105|0.0|0.0|49.04813|0.0|0.0|0.0|0.0|49.15|0.0|49.115|0.0|49.115|49.11|49.13|0.0|0.0|49.11|49.12|49.11|49.13|0.0|0.0|49.11|49.13|50.28|48.61|4268|4278531 74622|XTWY|XTWY|09789C796|US09789C7965|BondBloxx ETF Trust|BondBloxx Bloomberg Twenty Year Target Duration US Treasury ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||BondBloxx Investment Management|Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-1|TXN2-2|TXN6-7|TXN1-3|TXN2-6|690000|||Monthly|||||2022-09-15||XTWY.NV|XTWY.SO|XTWY.EU|XTWY.TC| | | | | | | | | | |1x|Bloomberg US Treasury Twenty Year Duration Index|N|0|N|N|416A|USA|US|FIXED_INCOME|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|41.5473|0.0|0.0|0.0|0.0|40.06297|41.51|0.0|0.0|0.0|0.0|41.569|0.0|41.569|41.5|41.57|0.0|0.0|41.5|41.58|41.5|41.57|0.0|0.0|41.5|41.58|50.6651|36.34|351|970452 74418|XUSP|XUSP|45783Y699|US45783Y6995|Innovator Uncapped Accelerated U.S. Equity ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-7|TXN2-8|TXN9-8|TXN4-3|TXN4-8|550000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|28.9204|0.0|0.0|0.0|28.88|29.1|0.0|0.0|0.0|0.0|0.0|28.86|0.0|0.0|0.0|0.0|28.9204|0.0|28.9204|23.01|34.62|0.0|0.0|28.87|28.96|23.01|34.62|0.0|0.0|28.87|28.96|29.67|23.9541|6007|947785 70314|XVOL|XVOL|886364744|US8863647447|Acruence Active Hedge US Equity ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN1-3|TXN5-8|TXN4-8|TXN4-8|1580000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||Y|0|Y||||||18.04|17.9597|0.0|0.0|0.0|0.0|17.9471|0.0|0.0|0.0|18.05|0.0|0.0|0.0|0.0|0.0|0.0|17.9597|18.05|17.9597|17.86|18.04|17.88|18.05|17.73|18.04|17.05|18.44|0.0|0.0|17.73|18.04|19.43|16.52|16450|1255717 67633|XVV|XVV|46436E569|US46436E5693|iShares Trust - iShares ESG Screened S&P 500 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36578|XXII|XXII|90137F202|US90137F2020|22nd Century Group Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-2|TXN5-7|TXN10-2|TXN5-6|TXN6-4|30880000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||45|4510|451030|45103010|Consumer Staples |Food, Beverage and Tobacco |Tobacco|Tobacco|N||N||||||Y|0|Y|C|||||0.2345|0.235|0.0|0.0|0.239|0.2359|0.232501|0.2325|0.0|0.0|0.23555|0.2357|0.2325|0.2359|0.0|0.2326|0.2398|0.23555|0.239|0.2325|0.2208|0.2478|0.1901|0.2853|0.2319|0.2386|0.2208|0.2478|0.0|0.0|0.2325|0.2386|6.89|0.201|1873354|363867372 76723|XXXX|XXXX|063679567||Bank of Montreal|MAX S&P 500 4X Leveraged ETNs due October 30, 2043|Operating company|ETN|N|N|P|Y|Y|Y|Y|Y|||||||||Old Mission Capital, 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LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN3-7|TXN9-8|TXN2-2|TXN1-1|191300000|||Adhoc|||||2018-09-19||||||| | | | | | | | | |||N|0|N|Y|180B|CHN|KY|||30|3020|302010|30201020|Financials|Financial Services |Finance and Credit Services|Consumer Lending|N||N||||||N|0|Y||Y|2|||0.0|4.0|0.0|0.0|0.0|3.97|3.97|4.0|0.0|0.0|3.97|4.01|3.97|0.0|0.0|3.96|0.0|3.97|0.0|3.96|3.94|4.01|0.0|0.0|3.8|4.01|3.8|4.2|0.0|0.0|3.94|8.2|5.0|2.1|28282|9358457 38919|XYL|XYL|98419M100|US98419M1009|Xylem Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|A|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-7|TXN2-2|TXN4-8|TXN2-1|TXN3-4|241080000|||Quarterly|||||2011-10-13||||||| | | | | | | | | |||N|5|Y|Y|102A|USA|US|||50|5020|502020|50202030|Industrials|Industrial Goods and Services|Electronic and Electrical Equipment|Electronic Equipment: Pollution Control|N||N||||||Y|0|Y||Y|1|||106.47|106.46|0.0|106.25|106.47|106.48|106.47|106.48|0.0|0.0|106.48|106.49|106.48|106.49|106.48|106.47|106.49|106.47|106.48|106.47|106.46|106.48|98.57|112.35|106.42|106.54|106.36|106.53|106.36|106.59|106.46|106.48|118.58|87.59|1128599|400648976 42262|XYLD|XYLD|37954Y475|US37954Y4750|Global X Funds|Global X S&P 500 Covered Call ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Global X|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-5|TXN4-3|TXN1-8|TXN3-1|TXN3-4|71950000|||Monthly|||||2018-12-24||XYLD.NV|XYLD.SO|XYLD.EU|XYLD.TC|XYLD.IV| | | | | | | | | |1x|The Fund is an index fund that employs a passive management investment strategy in seeking to achieve its objective of providing investment results that generally correspond to the performance of the S&P 500 Stock Covered Call Index (the Underlying Index). The Underlying Index is comprised of all the equity securities in the S&P 500 Index (the Reference Index) in substantially similar weight as the Reference Index and short (written) call options on up to 100% of each of the option eligible securities in the Reference Index that meet, among others, the stock and option price criteria of the Underlying Index methodology. The Fund invests at least 80% of its total assets in securities that comprise its Underlying Index.|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|1|||39.02|39.02|0.0|38.95|39.01|39.01|39.02|39.02|0.0|0.0|39.01|39.02|39.025|39.0|39.01|39.025|39.01|39.02|39.01|39.02|39.01|39.06|36.55|41.43|39.02|39.03|39.01|39.06|39.01|39.06|39.02|39.03|41.54|37.49|510968|128617576 75292|XYLE|XYLE|37960A628|US37960A6284|Global X Funds|Global X S&P 500 ESG Covered Call ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Global X|Old Mission Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-7|TXN3-8|TXN5-8|TXN3-6|TXN4-8|90000|||Monthly|||||2023-02-22||XYLE.NV|XYLE.SO|XYLE.EU|XYLE.TC|XYLE.IV| | | | | | | | | |1x|The Global X S&P 500 ESG Covered Call ETF (Fund) seeks to provide investment results that correspond generally to the price and yield performance, before fees and expenses, of the Cboe S&P 500 ESG BuyWrite Index (Underlying Index).|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|24.0633|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|24.4949|0.0|24.4949|0.0|0.0|24.41|24.53|24.43|24.55|12.28|36.81|0.0|0.0|24.43|24.55|25.8447|23.03|3|100291 67569|XYLG|XYLG|37954Y277|US37954Y2770|Global X Funds|Global X S&P 500 Covered Call & Growth ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Global X|Susquehanna Securities, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-7|TXN3-5|TXN5-8|TXN3-6|TXN4-2|2340000|||Monthly|||||2020-09-21||XYLG.NV|XYLG.SO|XYLG.EU|XYLG.TC|XYLG.IV| | | | | | | | | |1x|The Global X S&P 500 Covered Call & Growth ETF seeks to provide investment results that correspond generally to the price and yield performance, before fees and expenses, of the Cboe S&P 500 Half BuyWrite Index. The Cboe S&P 500 Half BuyWrite Index measures the performance of a theoretical portfolio that holds a portfolio of the stocks included in the S&P 500Index (the Reference Index), and writes (or sells) a succession of one-month at-the-money covered call options on the Reference Index. The written covered call options on the Reference Index correspond to approximately 50% of the value of the portfolio of stocks in the Reference Index. The written covered call options on the Reference Index are held until expiration. The Reference Index is a float-adjusted market capitalization weighted index which measures the performance of the equity securities of 500 industrial, information technology, utility and financial companies amongst other GICSsectors, regarded as generally representative of the U.S. stock market.|N|0|N|N|416A|USA|US|EQUITY|INDEX|||||||||N||N||||||Y|0|Y||Y|2|||27.54|27.54|0.0|0.0|0.0|27.59|27.5919|27.54|0.0|0.0|27.61|27.61|27.6|0.0|0.0|0.0|0.0|27.6055|0.0|27.6055|0.0|0.0|27.54|27.62|27.51|27.6|27.45|27.67|27.45|27.66|27.51|27.6|28.48|24.89|17038|3231786 67690|YALA|YALA|98459U103|US98459U1034|Yalla Group Limited|American Depositary Shares, each representing one Class A Ordinary Share|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|5|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN4-7|TXN7-8|TXN3-8|TXN3-2|131510000|||Adhoc|||||2020-09-30||||||| | | | | | | | | |||N|0|N|Y|144B|ARE|KY|||10|1010|101010|10101020|Technology|Technology|Software and Computer Services|Consumer Digital Services |N||N||||||Y|0|Y||Y|2|||6.28|6.275|0.0|5.99|6.27|6.27|6.2875|6.275|0.0|0.0|6.275|6.28|6.27|6.235|6.235|6.28|6.055|6.27|6.28|6.28|6.26|6.28|4.83|7.69|6.12|6.29|6.23|6.31|6.26|6.28|6.26|6.28|6.3777|3.4|820425|47660263 74735|YALL|YALL|886364462|US8863644626|Tidal ETF Trust|God Bless America ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Tidal ETF Services |GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-8|TXN2-8|TXN8-6|TXN2-2|TXN4-8|1835000|||Yearly|||||2022-10-11||YALL.NV|YALL.SO|YALL.EU|YALL.TC| | | | | | | | | | ||God Bless America ETF is an actively-managed exchange traded fund that will select investments from a universe of U.S. listed equity securities with market capitalization of at least $1 billion and do not emphasize politically left and/or liberal political activism and social agendas at the expense of maximizing shareholder returns.|N|0|N|N|416A|USA|US|EQUITY|ACTIVE|||||||||N||N||||||Y|0|Y||Y|2|||0.0|28.56|0.0|0.0|0.0|28.56|28.5461|25.84|0.0|0.0|0.0|0.0|28.53|0.0|0.0|0.0|0.0|28.56|0.0|28.56|0.0|0.0|28.49|28.54|28.53|28.56|27.1|28.99|0.0|0.0|28.53|28.56|28.69|21.25|3640|1817728 31955|YANG|YANG|25460E521|US25460E5217|Direxion Shares ETF Trust|Direxion Daily FTSE China Bear 3X Shares|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Direxion Shares|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-5|TXN1-5|TXN8-5|TXN1-2|TXN4-7|8627337.01|||Quarterly|||||2009-12-02||YANG.NV|YANG.SO|YANG.EU|YANG.TC|YANG.IV| | | | | | | | | |-3x|Direxion Daily FTSE China Bear 3X Shares (CZI) seeks seeks daily investment results, before fees and expenses, of 300% of the inverse (or opposite) of the price performance of the FTSE China 50 Index. |N|0|N|N|416A|USA|US|EQUITY|INVERSE|||||||||N||N||||||Y|0|Y||Y|2|||13.67|13.66|0.0|13.69|13.65|13.66|13.6668|13.645|0.0|0.0|13.65|13.66|13.66|13.69|13.65|13.65|13.65|13.66|13.67|13.66|13.65|13.67|13.58|13.76|13.66|13.67|13.65|13.68|13.62|13.72|13.66|13.67|13.83|6.985|4315975|1161158143 60137|YCBD|YCBD|12482W309|US12482W3097|cbdMD, Inc.|Common stock|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Brendan E. Cryan and Company, L.L.C.|CRYN|0235|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN11-2|TXN1-1|TXN7-8|TXN2-2|TXN3-2|2860000|||NotApplicable|||||2017-11-17||||||| | | | | | | | | |||N|0|N|N|310A|USA|US|||20|2010|201030|20103020|Health Care |Health Care |Pharmaceuticals and Biotechnology|Cannabis Producers|N||N||||||N|0|Y||Y|2|||0.7|0.7051|0.0|0.0|0.7|0.7|0.71|0.711|0.0|0.0|0.73|0.0|0.74|0.0|0.0|0.0|0.729|0.729|0.0|0.729|0.665|0.756|0.71|0.73|0.7|0.74|0.0|0.0|0.0|0.0|0.71|0.73|6.25|0.1125|29180|29237305 64872|YCBD PRA|YCBDpA|12482W200|US12482W2008|cbdMD, Inc.|8.0% Series A Cumulative Convertible Preferred Stock|Operating company|B|N|N|A|Y|Y|Y|Y|Y|||Brendan E. Cryan and Company, L.L.C.|CRYN|0235|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN10-1|TXN1-8|TXN1-5|TXN2-2|TXN1-6|5000000|||Monthly|||||2019-10-21||||||| | | | | | | | | |||N|0|N|N|310A|USA|US|||20|2010|201030|20103020|Health Care |Health Care |Pharmaceuticals and Biotechnology|Cannabis Producers|N||N||||||N|0|Y|D|Y|2|||0.0|0.0|0.0|0.0|0.0|0.79|0.79|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.79|0.79|0.0|0.79|0.0|0.0|0.7|0.7837|0.6628|0.7998|0.0|0.0|0.0|0.0|0.68|0.81|4.68|0.6799|1994|3698427 29580|YCL|YCL|74347W270|US74347W2706|ProShares Trust II|ProShares Ultra Yen|Trust|ETV|N|N|P|Y|Y|Y|Y|Y||||||||ProShares Advisors |Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-6|TXN1-8|TXN2-6|TXN2-7|TXN2-4|949970|||NotApplicable|||||2008-11-25|2099-05-31|YCL.NV|YCL.SO|YCL.EU|YCL.TC|YCL.IV| | | | | | | | | |2x|ProShares Ultra Yen seeks daily investment results, before fees and expenses, that correspond to twice (200%) the U.S. Dollar price of the Yen. ProShares Ultra Yen is not an investment company registered under the Investment Company Act of 1940. Please read the prospectus carefully before investing. This ETF seeks a return of 200% of the return of a benchmark (target) for a single day. Due to the compounding of daily returns, returns over periods other than one day will likely differ in amount and possibly direction from the target return for the same period. Investors should monitor their ProShares holdings consistent with their strategies, as frequent as daily. For more on correlation, leverage and other risks, please read the prospectus. The Yen benchmark is the 4 pm ET Japanese Yen in U.S. Dollar terms (JPY/USD cross rate) as published in The Wall Street Journal and will be tracked to 7 decimal places. The JPY/USD cross rate is determined by dividing one by the US dollar to Yen exchange rate, or 1/(YEN/$). The result shows the value of the yen in dollar terms. The Yen benchmark quote is published daily in the Money & Investing section of The Wall Street Journal in the currencies chart. |N|0|N|N|416A|USA|US|CURRENCY|LEVERAGED|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|2|||25.41|25.39|0.0|0.0|25.42|25.39|25.3931|25.455|0.0|0.0|25.39|25.11|25.39|25.56|25.45|25.39|25.39|25.41|0.0|25.41|25.15|25.57|25.15|25.57|25.36|25.43|25.15|25.57|0.0|0.0|25.36|25.43|36.48|24.015|104964|7079373 29581|YCS|YCS|74347W569|US74347W5691|ProShares Trust II|ProShares UltraShort Yen|Trust|ETV|N|N|P|Y|Y|Y|Y|Y||||||||ProShares Advisors |Pundion LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-8|TXN3-6|TXN4-3|TXN2-5|TXN1-6|398580|||Adhoc|||||2008-11-24|2099-05-31|YCS.NV|YCS.SO|YCS.EU|YCS.TC|YCS.IV| | | | | | | | | |-2x|ProShares UltraShort Yen seeks daily investment results, before fees and expenses, that correspond to twice (200%) the inverse (opposite) of the U.S. Dollar price of the Yen. ProShares UltraShort Yen is not an investment company registered under the Investment Company Act of 1940. Please read the prospectus carefully before investing. This ETF seeks a return of -200% of the return of a benchmark (target) for a single day. Due to the compounding of daily returns, returns over periods other than one day will likely differ in amount and possibly direction from the target return for the same period. Investors should monitor their ProShares holdings consistent with their strategies, as frequent as daily. For more on correlation, leverage and other risks, please read the prospectus. The Yen benchmark is the 4 pm ET Japanese Yen in U.S. Dollar terms (JPY/USD cross rate) as published in The Wall Street Journal and will be tracked to 7 decimal places. The JPY/USD cross rate is determined by dividing one by the US dollar to Yen exchange rate, or 1/(YEN/$). The result shows the value of the yen in dollar terms. The Yen benchmark quote is published daily in the Money & Investing section of The Wall Street Journal in the currencies chart. |N|0|N|N|416A|USA|US|CURRENCY|INVERSE|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||0.0|74.71|0.0|0.0|0.0|74.67|74.58|74.6|0.0|0.0|74.08|74.93|74.58|74.43|0.0|0.0|0.0|74.579|0.0|74.579|74.06|75.26|74.06|75.26|74.55|74.65|74.06|75.26|0.0|0.0|74.55|74.66|78.9|50.4|12858|4805733 68561|YDEC|YDEC|33740F656|US33740F6566|Ft Cboe Vest InternatiIonal Equity Buffer ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-8|TXN1-6|TXN7-8|TXN2-6|TXN4-8|1650000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|21.9251|0.0|0.0|0.0|0.0|21.89|21.89|0.0|0.0|21.89|0.0|21.89|0.0|0.0|0.0|21.88|21.9251|0.0|21.9251|0.0|0.0|21.76|21.96|21.85|21.99|21.89|21.97|21.84|21.99|21.89|21.99|22.46|19.74|36355|6036650 74608|YEAR|YEAR|00039J103|US00039J1034|AB Active ETFs, Inc.|AB Ultra Short Income ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||AllianceBernstein|Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-4|TXN1-1|TXN7-8|TXN2-4|TXN1-4|11651000|||Monthly|||||2022-09-14||YEAR.NV|YEAR.SO|YEAR.EU|YEAR.TC|YEAR.IV| | | | | | | | | ||AB Ultra Short Income ETF is an actively-managed exchange-traded fund. Seeks to provide current income, consistent with preservation of capital. Invests primarily in a mix of U.S. Government and investment grade corporate fixed-income securities; may also invest in mortgage-backed and other asset-backed securities, certificates of deposit and commercial paper. Will typically maintain a dollar-weighted average duration of less than one year.|N|0|N|N|416A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|1|||0.0|50.205|0.0|0.0|0.0|50.205|50.205|50.205|0.0|0.0|0.0|0.0|50.205|50.21|0.0|50.205|0.0|50.22|50.205|50.22|0.0|0.0|0.0|0.0|50.2|50.21|0.0|0.0|0.0|0.0|50.2|50.21|52.1799|49.88|111110|21523209 39695|YELP|YELP|985817105|US9858171054|Yelp Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|5|G|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-6|TXN1-6|TXN4-6|TXN2-3|TXN1-2|68470000|||NotApplicable|||||2012-03-02||||||| | | | | | | | | |||N|0|N|Y|306A|USA|US|||10|1010|101010|10101020|Technology|Technology|Software and Computer Services|Consumer Digital Services |N||N||||||Y|0|Y||Y|2|||44.44|44.43|0.0|44.53|44.39|44.44|44.4|44.415|0.0|0.0|44.45|44.44|44.41|44.44|44.47|44.41|44.07|44.41|44.43|44.41|44.4|44.42|33.53|53.93|44.36|44.49|44.35|44.45|44.35|44.44|44.4|44.42|47.59|25.3|738857|147591039 62062|YETI|YETI|98585X104|US98585X1046|YETI Holdings, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|P|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-4|TXN3-3|TXN5-7|TXN2-2|TXN2-8|86850000|||NotApplicable|||||2018-10-25||||||| | | | | | | | | |||N|0|Y|Y|146G|USA|US|||40|4020|402030|40203050|Consumer Discretionary|Consumer Products and Services|Leisure Goods|Recreational Products|N||N||||||Y|0|Y||Y|1|||46.23|46.16|0.0|46.16|46.16|46.17|46.15|46.16|0.0|0.0|46.18|46.21|46.15|46.18|46.17|46.16|46.27|46.18|46.16|46.16|46.18|46.19|43.5|49.22|46.16|46.54|46.09|46.25|46.14|46.28|46.18|46.19|51.27|34.7|1630048|296396375 57022|YEXT|YEXT|98585N106|US98585N1063|Yext, Inc.|Common Stock, par value $0.001 per share|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-4|TXN1-4|TXN4-8|TXN1-1|TXN2-6|124480000|||NotApplicable|||||2017-04-13||||||| | | | | | | | | |||N|0|N|Y|108B|USA|US|||10|1010|101010|10101010|Technology|Technology|Software and Computer Services|Computer Services|N||N||||||Y|0|Y||Y|2|||7.04|7.06|0.0|6.7|7.05|7.05|7.04|7.055|0.0|0.0|7.05|7.055|7.05|7.05|7.05|7.04|7.04|7.04|7.06|7.04|7.04|7.05|5.45|8.57|7.03|7.06|7.02|7.08|7.03|7.08|7.04|7.05|14.35|5.73|1004881|302689777 75494|YGF|YGF|G9834A103|KYG9834A1031|YanGuFang International Group Co Ltd|ORD||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN6-8|TXN13-3|TXN6-3|TXN6-4|32000000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||45|4510|451020|45102030|Consumer Staples |Food, Beverage and Tobacco |Food Producers|Fruit and Grain Processing|N||N||||||N|0|Y||||||0.0|3.0|0.0|0.0|0.0|3.02|3.021|2.99|0.0|0.0|3.03|3.01|3.06|0.0|0.0|0.0|0.0|3.021|0.0|3.06|2.91|3.16|2.29|3.76|2.93|3.17|2.29|3.76|0.0|0.0|3.02|3.06|4.56|2.33|107953|10183836 67928|YGMZ|YGMZ|G6180C105|KYG6180C1050|MingZhu Logistics Holdings Ltd|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-7|TXN5-4|TXN14-7|TXN5-3|TXN6-6|27530000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||50|5020|502060|50206060|Industrials|Industrial Goods and Services|Industrial Transportation|Transportation Services|N||N||||||N|0|Y||||||0.575|0.0|0.0|0.0|0.575|0.568|0.575|0.0|0.0|0.0|0.56|0.0|0.5749|0.575|0.0|0.0|0.0|0.56|0.575|0.56|0.466|0.708|0.466|0.708|0.5228|0.6184|0.466|0.708|0.0|0.0|0.56|0.5749|6.5|0.39|7767|78991791 1029|YHGJ|YHGJ|98873Q100|US98873Q1004|Yunhong Green CTI Ltd|COM USD.065||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-8|TXN5-4|TXN12-5|TXN5-2|TXN5-3|20100000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4020|402030|40203050|Consumer Discretionary|Consumer Products and Services|Leisure Goods|Recreational Products|N||N||||||N|0|Y||||||2.47|0.0|0.0|0.0|2.42|2.4|2.42|2.46|0.0|0.0|2.4|2.4|2.38|0.0|0.0|0.0|0.0|2.38|0.0|2.38|2.29|2.53|1.83|3.03|2.3|2.52|2.0|2.91|0.0|0.0|2.37|2.43|3.09|1.8|27433|3529532 61730|YI|YI|68247Q102|US68247Q1022|111 Inc|ADS||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-3|TXN6-2|TXN12-5|TXN6-4|TXN6-4|95990000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||45|4520|452010|45201015|Consumer Staples |Personal Care, Drug and Grocery Stores |Personal Care, Drug and Grocery Stores |Drug Retailers|N||N||||||Y|0|Y||||||0.0|1.88|0.0|0.0|1.88|1.88|1.88|1.875|0.0|0.0|1.87|1.89|1.87|1.95|1.92|0.0|1.92|1.88|0.0|1.87|1.83|1.92|1.5|2.34|1.84|1.91|1.5|2.34|0.0|0.0|1.87|1.88|4.0|1.86|53000|19578895 31954|YINN|YINN|25460G195|US25460G1958|Direxion Shares ETF Trust|Direxion Daily FTSE China Bull 3X Shares|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Direxion Shares|Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-3|TXN2-6|TXN7-2|TXN1-6|TXN1-1|26542767.05|||Quarterly|||||2009-12-02||YINN.NV|YINN.SO|YINN.EU|YINN.TC|YINN.IV| | | | | | | | | |3x|Direxion Daily FTSE China Bull 3X Shares (CZM) seeks daily investment results, before fees and expenses, of 300% of the price performance of the FTSE China 50 Index.|N|0|N|N|416A|USA|US|EQUITY|LEVERAGED|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||21.03|21.03|0.0|20.98|21.035|21.03|21.0299|21.035|0.0|0.0|21.035|21.04|21.03|21.03|21.03|21.03|21.06|21.06|20.98|21.06|20.95|21.73|20.88|21.15|21.0|21.03|19.95|21.17|20.88|21.09|21.01|21.04|73.55|20.9501|7097484|601061852 63551|YJ|YJ|98873N206|US98873N2062|Yunji Inc|ADR||H|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-6|TXN5-1|TXN10-6|TXN5-7|TXN6-3|1016130000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CHN||||10|1010|101010|10101020|Technology|Technology|Software and Computer Services|Consumer Digital Services |N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.8001|0.8|0.0|0.0|0.0|0.0|0.8|0.0|0.0|0.0|0.0|0.82|0.0|0.82|0.7505|0.8612|0.0|0.0|0.7505|0.8612|0.7505|0.8612|0.0|0.0|0.8|0.8201|2.0923|0.1504|4153|175480160 70928|YJUN|YJUN|33740U869|US33740U8696|FT Cboe Vest International Equity Buffer ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN2-4|TXN2-8|TXN1-8|TXN4-4|6600000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|20.49|0.0|0.0|20.49|0.0|20.49|0.0|0.0|0.0|0.0|0.0|20.49|0.0|20.49|20.48|20.5|20.49|0.0|20.49|20.38|20.65|0.0|0.0|20.47|20.58|20.48|20.58|20.46|20.58|20.48|20.58|20.9599|18.32|18760|9327369 50268|YLD|YLD|74255Y102|US74255Y1029|Principal Exchange-Traded Funds|Principal Active High Yield ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||Principal Funds|GTS Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-6|TXN3-8|TXN8-8|TXN3-1|TXN2-8|7350000|||Monthly|||||2015-07-09||YLD.NV|YLD.SO|YLD.EU|YLD.TC|YLD.IV| | | | | | | | | ||Principal Active Income ETF is an actively managed exchange-traded fund (ETF) that seeks to provide current income investing primarily in investment grade and non-investment grade fixed income securities and in equity securities. |N|0|N|N|416A|USA|US|HYBRID|ACTIVE|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||18.53|18.56|0.0|0.0|18.53|18.56|18.5288|18.56|0.0|0.0|18.49|18.56|18.41|18.506|0.0|18.56|0.0|18.51|18.56|18.51|14.25|22.66|14.25|22.66|18.37|18.53|14.25|22.66|0.0|0.0|18.37|18.53|20.41|17.62|114479|14197123 58494|YLDE|YLDE|524682309|US5246823091|ClearBridge Dividend Strategy ESG ETF|ETF||ETF|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-6|TXN5-7|TXN12-3|TXN5-1|TXN6-5|800000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|43.17|43.21|0.0|0.0|0.0|0.0|43.1678|0.0|0.0|43.21|0.0|43.18|0.0|43.1678|0.0|0.0|43.05|43.23|43.05|43.23|43.05|43.26|43.05|0.0|43.05|43.23|43.3352|37.5999|1709|646883 61815|YMAB|YMAB|984241109|US9842411095|Y-mAbs Therapeutics Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN5-2|TXN10-5|TXN5-7|TXN5-2|43620000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||6.31|6.31|0.0|0.0|6.3|6.27|6.3|6.3|0.0|0.0|6.29|6.29|6.32|0.0|6.37|0.0|0.0|6.31|0.0|6.32|6.22|6.37|4.78|7.71|6.23|6.36|6.26|6.35|6.29|6.36|6.29|6.32|10.95|2.7|147998|86008614 69848|YMAR|YMAR|33740F573|US33740F5733|FT CBOE Vest International Equity Buffer ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-7|TXN3-1|TXN5-8|TXN1-1|TXN1-4|4100000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||21.1|21.1258|0.0|0.0|21.1|21.12|21.115|21.09|0.0|0.0|0.0|0.0|0.0|21.1|0.0|21.11|0.0|21.1258|21.1|21.1258|0.0|0.0|21.0|21.16|21.06|21.21|21.06|21.22|21.07|21.18|20.67|21.21|21.7299|18.87|7384|7743832 70932|YMM|YMM|35969L108|US35969L1089|Full Truck Alliance Co. 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Brands, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|N|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-8|TXN4-7|TXN5-5|TXN3-3|TXN3-6|280310000|||Quarterly|||||1997-09-17||||||| | | | | | | | | |||N|5|Y|Y|128B|USA|US|||40|4050|405010|40501040|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Restaurants and Bars|N||N||||||Y|0|Y||Y|1|||125.66|125.68|0.0|125.67|125.65|125.68|125.68|125.67|0.0|125.2|125.63|125.66|125.68|125.7|125.66|125.65|124.48|125.63|125.68|125.65|125.59|125.65|117.3|133.62|125.6|125.71|125.56|125.73|125.55|125.81|125.59|125.65|143.245|115.525|2911510|366661056 54142|YUMC|YUMC|98850P109|US98850P1093|Yum China Holdings, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|A|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN1-4|TXN1-3|TXN5-4|TXN2-5|TXN4-2|413650000|||Quarterly|||||2016-10-17||||||| | | | | | | | | |||N|0|N|Y|118A|CHN|US|||40|4050|405010|40501040|Consumer Discretionary|Travel and Leisure|Travel and Leisure|Restaurants and Bars|N||N||||||Y|0|Y||Y|2|||42.05|42.05|0.0|42.05|42.05|42.04|42.06|42.06|0.0|0.0|42.05|42.03|42.07|42.06|41.92|42.07|42.03|42.07|41.94|42.07|42.06|42.07|33.34|51.82|41.98|42.08|42.02|42.1|42.0|42.11|42.06|42.07|64.7|41.21|3350352|435482770 72722|YUMY|YUMY|92189H797|US92189H7970|VanEck ETF Trust|VanEck Future of Food ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||VanEck Vectors|Citadel Securities LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-2|TXN3-6|TXN3-8|TXN2-5|TXN4-8|200000|||Yearly|||||2021-12-02||YUMY.NV|YUMY.SO|YUMY.EU|YUMY.TC|YUMY.IV| | | | | | | | | |1x|VanEck Future of Food ETF (YUMY) is an actively-managed ETF that seeks long term-capital appreciation by investing primarily in companies engaged in Agri-Food technology and innovation which encompasses industries and companies that are leading, enabling, supplying, disrupting, or benefiting from new environmentally sustainable agriculture and food products and services.|N|0|N|N|406C|USA|US|EQUITY|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|15.66|0.0|0.0|0.0|0.0|15.9799|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|15.9349|0.0|15.9349|12.68|19.16|0.0|0.0|15.91|15.96|12.68|19.16|0.0|0.0|15.91|15.97|19.6|14.6573|355|231974 32423|YXI|YXI|74347X658|US74347X6581|ProShares Trust|ProShares Short FTSE China 50|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||ProShares Advisors |Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-5|TXN1-4|TXN5-8|TXN3-1|TXN3-3|450000|||Quarterly|||||2010-03-18||YXI.NV|YXI.SO|YXI.EU|YXI.TC|YXI.IV| | | | | | | | | |-1x|The Fund seeks daily investment results that correspond to the inverse of the daily performance of the FTSE China 50 Index. 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|||N|0|N|N||||||||||||||N||N||||||Y|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|87359.95|0.0|87359.95|0.0|0.0|0.0|87359.95|0.0|87359.95|111820.73|0.0|0.0|0|0 10175|ZBH|ZBH|98956P102|US98956P1021|Zimmer Biomet Holdings, Inc.|Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|P|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN6-2|TXN4-4|TXN2-5|TXN3-8|TXN3-3|208980000|||Quarterly|||||2001-07-25||||||| | | | | | | | | |||N|5|Y|Y|140A|USA|US|||20|2010|201020|20102010|Health Care |Health Care |Medical Equipment and Services|Medical Equipment|N||N||||||Y|0|Y||Y|1|||116.88|116.985|0.0|116.89|116.88|116.89|116.895|116.9|0.0|0.0|117.0|116.99|116.89|117.05|117.0|116.89|117.14|116.89|116.96|116.89|116.89|116.9|109.89|125.34|116.85|116.94|116.82|116.95|116.8|116.97|116.89|116.9|149.25|102.0|1534033|356936387 4512|ZBRA|ZBRA|989207105|US9892071054|Zebra Technologies Corp.|CL A COM USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-1|TXN6-1|TXN13-8|TXN5-6|TXN5-1|51360000|||NotApplicable|||||||||||| | | | | | | | | |||N|5|Y|N||USA||||50|5020|502020|50202020|Industrials|Industrial Goods and Services|Electronic and Electrical Equipment|Electronic Equipment: Control and 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Symbol|||A|Y|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|3|0.01|0.01|5000000|1|100|TXN13-8|TXN5-3|TXN12-2|TXN5-4|TXN6-1|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|199999.99|0.0|199999.99|0.0|199999.99|0.0|199999.99|0.0|199999.99|0.0|199999.99|199999.99|0.0|0.0|0|0 65632|ZCMD|ZCMD|G9897X107|KYG9897X1079|Zhongchao Inc|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN14-6|TXN6-3|TXN13-3|TXN5-8|TXN6-7|20510000|||NotApplicable|||||||||||| | 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USD.01||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-7|TXN5-5|TXN14-6|TXN5-5|TXN6-6|45990000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||10|1010|101010|10101020|Technology|Technology|Software and Computer Services|Consumer Digital Services |N||N||||||Y|0|Y||||||64.55|64.56|0.0|64.59|64.62|64.63|64.6|64.59|0.0|0.0|64.47|64.4|64.55|64.62|0.0|64.61|0.0|64.61|64.62|64.55|63.96|65.13|50.49|79.18|64.5|65.09|64.44|64.75|64.4|64.78|64.55|64.62|94.06|57.965|283403|71680236 53169|ZDGE|ZDGE|98923T104|US98923T1043|Zedge Inc.|Class B common stock par value $0.01 per share|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-1|TXN3-3|TXN2-8|TXN1-1|TXN4-1|13830000|||NotApplicable|||||2016-05-26||||||| | | | | | | | | |||N|0|N|N|310A|USA|US|||10|1010|101010|10101020|Technology|Technology|Software and Computer Services|Consumer Digital Services |N||N||||||N|0|Y||Y|2|||1.91|1.98|0.0|2.24|0.0|1.99|1.9836|1.87|0.0|0.0|1.92|1.98|1.99|1.87|0.0|0.0|2.0|2.0|0.0|2.0|1.56|2.36|1.99|2.0|1.93|2.03|1.56|2.36|0.0|0.0|1.99|2.0|3.74|1.62|88973|9461179 71515|ZECP|ZECP|98888G105|US98888G1058|Zacks Earnings Consistent Portfolio ETF|ETF||ETF|N|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-1|TXN2-2|TXN3-8|TXN1-2|TXN4-3|2930000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||||||||||N||N||||||N|0|Y||||||0.0|25.51|0.0|0.0|0.0|25.51|25.4799|0.0|0.0|0.0|25.46|24.0|25.49|0.0|0.0|25.49|0.0|25.51|0.0|25.51|25.48|25.51|0.0|0.0|25.49|25.51|25.17|25.77|0.0|0.0|25.49|25.51|25.72|22.34|19673|3772173 70629|ZENV|ZENV|G9889V101|KYG9889V1014|Zenvia Inc|COM CL A||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN6-1|TXN14-2|TXN5-2|TXN5-6|18080000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||BRA||||10|1010|101010|10101020|Technology|Technology|Software and Computer Services|Consumer Digital Services |N||N||||||N|0|Y||||||1.1|1.07|0.0|1.07|0.0|1.07|1.051|1.08|0.0|0.0|1.06|1.06|1.06|0.0|0.0|1.07|1.1|1.051|0.0|1.051|0.864|1.32|0.864|1.32|0.9709|1.17|0.864|1.32|0.0|0.0|1.05|1.1|1.7|0.63|28616|19216030 60658|ZEPP|ZEPP|98945L105|US98945L1052|Zepp Health Corporation|American depositary shares, each representing four Class A ordinary shares|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|8|A|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN8-8|TXN1-2|TXN3-8|TXN3-5|TXN2-7|131820000|||Adhoc|||||2018-02-08||||||| | | | | | | | | |||N|0|N|Y|180B|CHN|KY|||40|4020|402030|40203010|Consumer Discretionary|Consumer Products and Services|Leisure Goods|Consumer Electronics|N||N||||||Y|0|Y||Y|2|||1.87|1.86|0.0|0.0|1.75|1.88|1.8|1.87|0.0|0.0|1.82|1.88|1.85|1.73|0.0|1.78|0.0|1.75|0.0|1.78|1.75|1.8|1.48|2.2|1.66|1.89|1.66|1.89|0.0|0.0|1.69|1.88|2.19|0.9644|153781|10907550 70822|ZETA|ZETA|98956A105|US98956A1051|Zeta Global Holdings Corp.|Class A Common Stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|U|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN4-7|TXN4-2|TXN1-4|TXN2-8|TXN2-5|184420000|||NotApplicable|||||2021-06-10||||||| | | | | | | | | |||N|0|N|Y|108B|USA|US|||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||Y|2|||8.42|8.41|0.0|8.04|8.42|8.42|8.41|8.415|0.0|0.0|8.42|8.42|8.41|8.42|8.4|8.41|8.42|8.41|8.42|8.41|8.41|8.42|6.62|10.47|8.4|8.43|8.39|8.45|8.37|8.46|8.41|8.42|11.28|7.24|1401645|258100107 4514|ZEUS|ZEUS|68162K106|US68162K1060|Olympic Steel Inc|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-5|TXN6-4|TXN10-8|TXN5-6|TXN5-3|11130000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||55|5510|551020|55102010|Basic Materials|Basic Resources|Industrial Metals and Mining|Iron and Steel|N||N||||||Y|0|Y||||||58.23|58.98|0.0|0.0|58.87|59.01|58.86|58.87|0.0|0.0|58.89|0.0|58.94|58.7|0.0|0.0|58.93|59.03|0.0|58.94|58.25|59.71|44.65|71.79|58.62|59.39|58.71|59.32|58.66|59.33|58.94|59.09|59.125|30.06|66159|22540053 58562|ZEXIT|ZEXIT|||IEX TEST SYMBOL|||A|Y|N|V|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN4-6|TXN1-5|TXN2-5|TXN2-8|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||||||||||N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|10.0|0.0|10.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|7.2|12.8|10.5|10.0|2000|314100 68669|ZFOX|ZFOX|98955G103|US98955G1031|ZeroFox Holdings Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN13-1|TXN5-3|TXN11-7|TXN5-4|TXN5-1|120040000|||NotApplicable|||||||||||| | | | | | | | | 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4521|ZION|ZION|989701107|US9897011071|Zions Bancorporation National Association|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-8|TXN5-5|TXN13-2|TXN6-5|TXN5-5|148150000|||NotApplicable|||||||||||| | | | | | | | | |||N|5|Y|N||USA||||30|3010|301010|30101010|Financials|Banks|Banks|Banks|N||N||||||Y|0|Y||||||38.69|38.7|0.0|38.76|38.68|38.685|38.68|38.68|0.0|0.0|38.7|38.72|38.68|38.82|38.74|38.665|38.72|38.685|38.7|38.68|38.45|38.98|36.38|41.15|38.63|38.95|38.64|38.71|0.0|38.71|38.68|38.69|55.195|18.26|2523441|936115111 42690|ZIONL|ZIONL|989701818|US9897018183|Zions Bancorporation 6.95 Fixed-to-Floating Rate Subordinated Notes due September 15 2028|STRUCT 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Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||11.53|11.55|0.0|11.55|11.57|11.57|11.57|11.56|0.0|0.0|11.55|11.54|11.56|11.55|11.53|11.545|11.54|11.57|11.53|11.56|11.52|11.59|8.74|14.23|11.44|11.65|11.52|11.58|11.54|11.6|11.55|11.57|31.46|9.56|478481|182685910 60164|ZOM|ZOM|98980M109|CA98980M1095|Zomedica Corp.|Common Shares without par value|Operating company|A|N|N|A|Y|Y|Y|Y|Y|||J. Streicher & Co. L.L.C.|JSCO|3856|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.0001|5000000|1|100|TXN11-4|TXN2-5|TXN2-8|TXN1-5|TXN2-6|979950000|||NotApplicable|||||2017-11-21||||||| | | | | | | | | |||N|0|N|N|140A|USA|US|||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||N|2|Y||Y|2|||0.1673|0.1676|0.0|0.0|0.1675|0.1673|0.1673|0.1676|0.0|0.0|0.1677|0.1689|0.1677|0.1683|0.168|0.1672|0.1673|0.1673|0.168|0.1673|0.1635|0.1732|0.1673|0.169|0.167|0.17|0.1348|0.2019|0.166|0.171|0.1673|0.169|0.335|0.15|2880720|1193200753 31766|ZROZ|ZROZ|72201R882|US72201R8824|PIMCO ETF Trust|PIMCO 25+ Year Zero Coupon U.S. Treasury Index Exchange-Traded Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||PIMCO|Flow Traders U.S. LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-5|TXN2-6|TXN3-2|TXN1-4|TXN2-8|15720000|||Quarterly|||||2009-11-02||ZROZ.NV|ZROZ.SO|ZROZ.EU|ZROZ.TC|ZROZ.IV| | | | | | | | | |1x|PIMCO 25 Year Zero Coupon U.S. Treasury Index Fund (ZROZ) seeks to provide total return that closely corresponds, before fees and expenses, to the total return of The BofA Merrill Lynch Long US Treasury Principal STRIPS Index. The Underlying Index is an unmanaged index comprised of long maturity Separate Trading of Registered Interest and Principal of Securities (STRIPS) representing the final principal payment of U.S. Treasury bonds. The principal STRIPS comprising the Underlying Index must have 25 years or more remaining term to final maturity and must be stripped from U.S. Treasury bonds having at least $1 billion in outstanding face value.|N|0|N|N|416A|USA|US|FIXED_INCOME|INDEX|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||N|0|Y||Y|1|||77.5|77.48|0.0|0.0|77.51|77.54|77.5514|77.51|0.0|0.0|77.18|77.51|77.56|77.17|77.64|77.1|77.12|77.57|77.69|77.57|73.62|81.25|72.54|82.32|77.57|77.94|77.21|81.25|77.29|77.99|77.35|77.82|102.0|64.03|243526|65148145 60781|ZS|ZS|98980G102|US98980G1022|Zscaler Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-5|TXN6-1|TXN12-6|TXN5-5|TXN5-1|148320000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|Y|N||USA||||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||||||198.51|198.25|0.0|198.35|198.44|198.29|198.21|198.21|0.0|0.0|198.47|198.49|198.26|198.48|198.6|198.49|198.46|198.19|198.84|198.26|198.1|198.53|185.96|211.04|198.05|198.29|197.93|198.55|197.91|198.57|198.19|198.29|207.7808|84.93|1599769|585275850 75094|ZSB|ZSB|90290T841|US90290T8412|USCF ETF Trust|USCF Sustainable Battery Metals Strategy Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||United States Commodity Funds |Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-7|TXN1-8|TXN7-8|TXN1-3|TXN3-2|100000|||Yearly|||||2023-01-11||ZSB.NV|ZSB.SO|ZSB.EU|ZSB.TC|ZSB.IV| | | | | | | | | ||The USCF Sustainable Battery Metals Strategy Fund (the Fund) is an actively managed exchange-traded fund. The Fund seeks to achieve its investment objective by investing primarily in metals derivative instruments (Metals Derivatives) and, to a lesser extent in the equity securities of companies (Metals Equities and, together with Metals Derivatives, Metals Investments) that are economically tied to the metals that are necessary for Electrification. The Adviser believes that demand for certain metals will increase as the global economy undergoes a process known as Electrification. During Electrification, energy derived from sustainable sources such as wind, solar, and hydroelectric power will gradually replace energy generated by fossil fuels. The infrastructure needed to produce and store that energy as electricity in batteries (Battery and Electrification Infrastructure) will require substantial amounts of certain metals. As a result, Electrification may lead to rising prices for these metals over time.|N|0|N|N|416A|USA|US|COMMODITIES_AND_FUTURES|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|16.725|0.0|16.725|16.63|16.83|16.63|16.82|16.67|16.78|16.63|16.83|16.63|16.83|16.67|16.78|26.6381|16.725|0|95490 76123|ZSC|ZSC|90290T825|US90290T8255|USCF ETF Trust|USCF Sustainable Commodity Strategy Fund|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||United States Commodity Funds |Jane Street Capital, LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN12-6|TXN3-7|TXN1-5|TXN3-3|TXN1-7|100000|||Yearly|||||2023-08-09||ZSC.NV|ZSC.SO|ZSC.EU|ZSC.TC| | | | | | | | | | ||The USCF Sustainable Commodity Strategy Fund (the Fund) is an actively managed exchange-traded Fund. The Fund seeks to achieve its investment objective by investing primarily in broad exposure to commodities across three different sustainability-focused themes: agriculture, renewable energy, and electrification. In order to provide such exposure, the Fund will invest primarily in commodities derivative instruments (Commodities Derivatives) and equity securities (Commodities Equities, together with Commodities Derivatives, Commodities Investments). As an important component of the Funds sustainable strategy, the Fund seeks to achieve a net-zero carbon footprint by purchasing carbon offset investments (Carbon Offset Investments) in an amount equal to the estimated aggregate carbon emissions of the Funds holdings. The Funds goal of achieving a net-zero carbon footprint is equally as important as achieving its investment objective.|N|0|N|N|416A|USA|US|COMMODITIES_AND_FUTURES|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|25.795|0.0|25.795|0.0|0.0|0.0|0.0|25.6|26.01|0.0|0.0|24.86|26.52|25.6|26.01|30.127|25.69|36|819 29622|ZSL|ZSL|74347Y847|US74347Y8479|ProShares Trust II|ProShares UltraShort Silver|Trust|ETV|N|N|P|Y|Y|Y|Y|Y||||||||ProShares Advisors |Virtu Americas LLC|06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN10-2|TXN2-3|TXN8-6|TXN3-5|TXN1-3|1341329|||NotApplicable|||||2011-02-23||ZSL.NV|ZSL.SO|ZSL.EU|ZSL.TC|ZSL.IV| | | | | | | | | |-2x|ProShares UltraShort Silver seeks daily investment results, before fees and expenses, that correspond to twice (200%) the inverse (opposite) of the daily performance of silver bullion as measured by the U.S. Dollar fixing price for delivery in London. This ETF seeks a return of -200% of the return of a benchmark (target) for a single day. Due to the compounding of daily returns, returns over periods other than one day will likely differ in amount and possibly direction from the target return for the same period. Investors should monitor their ProShares holdings consistent with their strategies, as frequent as daily. For more on correlation, leverage and other risks, please read the prospectus. The London Silver Price Fixing is the procedure by which the price of silver is set on the London market by the three members of the London Silver Pool. It is designed to fix a price for settling contracts between members of the London bullion market. Silver is priced in U.S. cents per troy ounce. The London Bullion Market Associations (LMBA) Silver Pool sets or fixes the price of silver once a day, at 12:00 GMT . The ProShares Silver ETFs will be benchmarked to the 12:00 GMT, or the 7 am ET, price. Daily price quotes can be viewed at the London Bullion Market Association.|N|0|N|N|416A|USA|US|COMMODITIES_AND_FUTURES|INVERSE|30|3020|302050|30205000|Financials|Financial Services |Open End and Miscellaneous Investment Vehicles|Open End and Miscellaneous Investment Vehicles|N||N||||||Y|0|Y||Y|2|||17.28|17.28|0.0|0.0|17.28|17.28|17.2852|17.29|0.0|0.0|17.3|17.29|17.28|17.32|17.27|17.29|17.3|17.27|17.26|17.27|17.28|17.29|17.25|17.29|17.28|17.29|17.25|17.29|17.24|17.32|17.28|17.29|27.676|15.75|2988544|101101663 75745|ZTAX|ZTAX|98422R104|US98422R1041|X-Square Series Trust|X-Square Municipal Income Tax Free ETF|Trust|ETF|N|N|P|Y|Y|Y|Y|Y||||||||X-Square Capital||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN11-7|TXN3-5|TXN6-8|TXN3-4|TXN4-8|20000|||Quarterly|||||2023-05-19||ZTAX.NV|ZTAX.SO|ZTAX.EU|ZTAX.TC| | | | | | | | | | ||X-Square Municipal Income Tax Free ETF (the Fund) seeks to provide income exempt from federal income tax.|N|0|N|N|416A|USA|US|FIXED_INCOME|ACTIVE|||||||||N||N||||||N|0|Y||Y|2|||0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|25.73|0.0|25.73|0.0|0.0|0.0|0.0|25.43|26.0|0.0|0.0|0.0|0.0|25.46|26.0|28.259|23.68|0|152396 73661|ZTEK|ZTEK|98942X102|CA98942X1024|Zentek Ltd|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN13-3|TXN6-3|TXN10-2|TXN5-1|TXN5-7|100880000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CAN||||55|5510|551020|55102000|Basic Materials|Basic Resources|Industrial Metals and Mining|General Mining|N||N||||||N|0|Y||||||0.0|0.0|0.0|0.0|1.19|1.23|1.2142|0.0|0.0|0.0|1.25|0.0|1.25|0.0|0.0|0.0|1.25|1.19|0.0|1.19|0.0|0.0|0.0|0.0|1.12|1.28|0.0|0.0|0.0|0.0|1.19|1.25|1.96|1.01|17309|5199467 38413|ZTEST|ZTEST|||BATS LISTED TEST STOCK FOR CTS CQS|||U|Y|N|Z|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|4|0.01|0.01|5000000|1|100|TXN12-1|TXN1-1|TXN5-8|TXN4-7|TXN1-4|0|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||||||||||||||N||N||||||N|0|Y||||||0.0|8662.955|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|8662.955|0.0|8662.955|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|0.0|6064.07|11261.84|8662.955|8662.955|0|0 54192|ZTO|ZTO|98980A105|US98980A1051|ZTO Express (Cayman) Inc.|American depositary shares, each representing one Class A ordinary share|Operating company|H|N|Y|N|Y|Y|Y|Y|Y|8|A|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN7-7|TXN2-4|TXN2-2|TXN2-1|TXN2-5|609010000|||Adhoc|||||2016-10-27||||||| | | | | | | | | |||N|0|N|Y|208A|CHN|KY|||50|5020|502060|50206040|Industrials|Industrial Goods and Services|Industrial Transportation|Delivery Services|N||N||||||Y|0|Y||Y|2|||21.92|21.93|0.0|22.21|21.93|21.93|21.93|21.92|0.0|0.0|21.935|21.925|21.93|21.92|21.96|21.93|21.93|21.93|21.93|21.93|21.93|21.94|17.01|26.95|21.92|21.95|21.83|22.03|21.83|21.95|21.93|21.94|30.05|21.44|2975619|622013833 10181|ZTR|ZTR|92835W107|US92835W1071|Virtus Total Return Fund Inc.|Common Stock|Closed end fund|P|N|N|N|Y|Y|Y|Y|Y|6|I|Citadel Securities LLC|CDRG|8430|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-8|TXN4-4|TXN7-8|TXN3-7|TXN1-6|48210000|||Monthly|||||2012-06-27||||||| | | | | | | | | |||N|0|N|N|406C|USA|US|||30|3020|302040|30204000|Financials|Financial Services |Closed End Investments|Closed End Investments|N||N||||||N|0|Y||Y|2|||5.43|5.42|0.0|0.0|5.42|5.425|5.42|5.42|0.0|0.0|5.425|5.42|5.425|5.421|0.0|5.42|0.0|5.42|5.43|5.42|5.42|5.43|4.2|6.66|5.41|5.43|5.39|5.46|5.41|5.44|5.42|5.43|7.03|4.5|138438|66168730 41387|ZTS|ZTS|98978V103|US98978V1035|Zoetis Inc.|Class A common stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|E|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN9-3|TXN2-7|TXN5-4|TXN1-3|TXN2-5|459110000|||Quarterly|||||2013-02-01||||||| | | | | | | | | |||N|5|Y|Y|140A|USA|US|||20|2010|201030|20103015|Health Care |Health Care |Pharmaceuticals and Biotechnology|Pharmaceuticals |N||N||||||Y|0|Y||Y|1|||182.14|182.25|0.0|182.1|182.29|182.17|182.08|182.24|0.0|0.0|182.08|182.33|182.09|182.15|182.14|182.12|182.16|182.12|182.33|182.12|182.12|182.13|169.1|182.13|182.02|182.15|181.94|182.3|181.92|182.31|182.12|182.13|194.99|140.76|1559537|453587008 4535|ZUMZ|ZUMZ|989817101|US9898171015|Zumiez Inc|COM NPV||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-1|TXN5-5|TXN14-4|TXN5-8|TXN6-8|19810000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||USA||||40|4040|404010|40401020|Consumer Discretionary|Retail |Retailers |Apparel Retailers|N||N||||||Y|0|Y||||||20.18|20.19|0.0|20.37|20.21|20.2|20.185|20.21|0.0|0.0|20.21|20.18|20.2|20.25|20.37|20.18|20.22|20.185|0.0|20.2|20.0|20.38|15.76|24.91|20.09|20.36|20.12|20.23|20.14|20.2|20.17|20.2|28.97|13.19|393307|96772220 60881|ZUO|ZUO|98983V106|US98983V1061|Zuora, Inc.|Class A common stock|Operating company|A|N|N|N|Y|Y|Y|Y|Y|8|B|GTS Securities LLC|G|5|||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00||07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN3-2|TXN4-1|TXN3-4|TXN1-6|TXN1-7|132400000|||NotApplicable|||||2018-04-12||||||| | | | | | | | | |||N|0|N|Y|180B|USA|US|||10|1010|101010|10101015|Technology|Technology|Software and Computer Services|Software|N||N||||||Y|0|Y||Y|2|||9.1|9.095|0.0|9.11|9.09|9.095|9.092|9.09|0.0|0.0|9.09|9.1|9.095|9.1|9.11|9.09|9.1|9.09|9.095|9.09|9.09|9.1|6.89|11.01|9.07|9.13|9.07|9.13|9.06|9.13|9.09|9.1|12.1195|5.4501|1170802|225004307 71576|ZURA|ZURA|G9TY5A101|KYG9TY5A1016|Zura Bio Limited|ORD CL 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Inc|COM||A|N|N|Q|Y|Y|Y|Y|Y||||||||||06:30:00|06:30:00|02:30:00|06:30:00|06:30:00|07:00:00|07:00:00|04:00:00|07:00:00|07:00:00|09:30:00|09:30:00|09:30:00|09:30:00|09:30:00|16:00:00|16:00:00|16:00:00|16:00:00|16:00:00||20:00:00|20:00:00|20:00:00|20:00:00|6|0.01|0.01|5000000|1|100|TXN14-4|TXN5-7|TXN11-4|TXN6-3|TXN6-8|70000000|||NotApplicable|||||||||||| | | | | | | | | |||N|0|N|N||CAN||||20|2010|201030|20103010|Health Care |Health Care |Pharmaceuticals and Biotechnology|Biotechnology|N||N||||||Y|0|Y||||||9.21|9.235|0.0|0.0|9.22|9.24|9.24|9.24|0.0|0.0|9.22|9.23|9.23|0.0|9.14|9.225|9.23|9.24|9.23|9.23|9.14|9.32|7.03|11.3|9.15|9.31|9.2|9.26|9.2|9.27|9.22|9.23|10.8|5.7601|276583|131046174 28413|ZYXI|ZYXI|98986M103|US98986M1036|Zynex Inc|COM 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