CBSX Trader News Update CBSX to Add New Stocks for Trading

Total Page:16

File Type:pdf, Size:1020Kb

CBSX Trader News Update CBSX to Add New Stocks for Trading IC08-060 April 16, 2008 CBSX Trader News Update CBSX to Add New Stocks for Trading Overview and Effective Date Effective Thursday, April 17, CBSX will be adding the following stocks for trading: Date Symbol Name DPM Added 4/17/2008 ABCO ADVISORY BOARD COMPANY (THE) VMO 4/17/2008 ABCW ANCHOR BANCORP WIS INC VMO 4/17/2008 ACAP AMERICAN PHYSICANS CAPITAL VMO 4/17/2008 ACET ACETO CORP VMO 4/17/2008 ACFC ATLANTIC COAST FEDERAL CORP VMO 4/17/2008 ACTI ACTIVIDENTITY CORPORATION VMO 4/17/2008 ACUR ACURA PHARMACEUTICALS INC NEW VMO 4/17/2008 ADES ADA-ES INC VMO 4/17/2008 AEY ADDVANTAGE TECH GROUP INC VMO 4/17/2008 AIRT AIR T INC VMO 4/17/2008 AIXD ACCESS INTEGRATED TECHS VMO 4/17/2008 ALDN ALADDIN KNOWLEDGE SYS LTD VMO 4/17/2008 ALLT ALLOT COMMS LTD VMO 4/17/2008 ALUS ALSIUS CORP VMO 4/17/2008 AMAC AMERICAN MED ALERT CORP VMO 4/17/2008 AMFI AMCORE FIN INC VMO 4/17/2008 AMOT ALLIED MOTION TECHNOLOGIES VMO 4/17/2008 AMPH AMERICAN PHYSICIANS SVC GRP VMO 4/17/2008 AMTY AMERITYRE CORP VMO 4/17/2008 AMWD AMERICAN WOODMARK CORP VMO 4/17/2008 ANCX ACCESS NATIONAL CORP VMO 4/17/2008 ANGN ANGEION CORP VMO 4/17/2008 ANLY ANALYSTS INTL CORP VMO 4/17/2008 ANST ANSOFT CORP VMO 4/17/2008 ANSW ANSWERS CORPORATION VMO 4/17/2008 ARBX ARBINET-THEXCHANGE INC VMO 4/17/2008 AREX APPROACH RESOURCES INC VMO 4/17/2008 AROW ARROW FIN CORP VMO 4/17/2008 ARYX ARYX THERAPEUTICS, INC. VMO 4/17/2008 ASRV AMERISERV FINANCIAL INC VMO 4/17/2008 ATAC AFTERMARKET TECHNOLOGY CORP VMO 4/17/2008 ATEA ASTEA INTERNATIONAL INC VMO 1 4/17/2008 ATRC ATRICURE INC VMO 4/17/2008 ATRO ASTRONICS CORP VMO 4/17/2008 ATSI ATS MEDICAL INC VMO 4/17/2008 AVAN AVANT IMMUNOTHERAPEUTICS INC VMO 4/17/2008 AWBC AMERICANWEST BANCORP VMO 4/17/2008 BAMM BOOKS A-MILLION INC VMO 4/17/2008 BANF BANCFIRST CORP VMO 4/17/2008 BDSI BIODELIVERY SCIENCES INTL VMO 4/17/2008 BFED BEACON FEDERAL BANCORP, INC. VMO 4/17/2008 BFLYD BLUEFLY INC NEW VMO 4/17/2008 BHBC BEVERLY HILLS BANCORP (DE) VMO 4/17/2008 BHLB BERKSHIRE HILLS BANCORP INC VMO 4/17/2008 BITS BITSTREAM INC VMO 4/17/2008 BOOT LACROSSE FOOTWEAR INC VMO 4/17/2008 BPSG BROADPOINT SEC GR INC VMO 4/17/2008 BSQR BSQUARE CORP NEW VMO 4/17/2008 BUSE FIRST BUSEY CORPORATION VMO 4/17/2008 CATM CARDTRONICS INC VMO 4/17/2008 CATS CATALYST SEMICONDUCTOR INC VMO 4/17/2008 CBBO COLUMBIA BANCORP VMO 4/17/2008 CBMX COMBIMATRIX CORPORATION VMO 4/17/2008 CBTE COMMONWEALTH BIOTECHNLGY INC VMO 4/17/2008 CCBG CAPITAL CITY BANK GROUP VMO 4/17/2008 CEVA CEVA INC VMO 4/17/2008 CHCO CITY HLDGS CO VMO 4/17/2008 CHDX CHINDEX INTERNATIONAL INC VMO 4/17/2008 CHRK CHEROKEE INT'L CORP VMO 4/17/2008 CHTP CHELSEA THERAPEUTICS INTL LTD VMO 4/17/2008 CHUX O CHARLEYS INC VMO 4/17/2008 CITZ CFS BANCORP INC VMO 4/17/2008 CLFC CENTER FINANCIAL CORP VMO 4/17/2008 CLN CELSION CORPORATION VMO 4/17/2008 CLRO CLEARONE COMMUNICATIONS CORP VMO 4/17/2008 CMKG COACTIVE MKTING GRP INC VMO 4/17/2008 CNBC CENTER BANCORP INC VMO 4/17/2008 CNST CONSTAR INTERNATIONAL INC VMO 4/17/2008 COBR COBRA ELECTRONICS CORP VMO 4/17/2008 COBZ COBIZ FINANCIAL INC. VMO 4/17/2008 COHR COHERENT INC VMO 4/17/2008 CORE CORE MARK HOLDINGS CO INC VMO 4/17/2008 CPLP CAPITAL PRODUCT PARTNERS VMO 4/17/2008 CPSI COMPUTER PROGRAMS & SYS INC VMO 4/17/2008 CRAI CRA INT'L INC VMO 4/17/2008 CRDC CARDICA INC VMO 4/17/2008 CRRC COURIER CORP VMO 4/17/2008 CRWN CROWN MEDIA HLDGS INC VMO 4/17/2008 CRWS CROWN CRAFTS VMO 4/17/2008 CSBC CITIZENS SOUTH BANKING CORP VMO 4/17/2008 CTWS CONNECTICUT WTR SVC INC VMO 4/17/2008 CVGW CALAVO GROWERS INC VMO 4/17/2008 CVV CVD EQUIPMENT CORP VMO 4/17/2008 CYAN CYANOTECH CORP NEW VMO 4/17/2008 CYBE CYBEROPTICS CORP VMO 2 4/17/2008 CYCC CYCLACEL PHARMA INC VMO 4/17/2008 DAIO DATA I O CORP VMO 4/17/2008 DCAI DIALYSIS CORP OF AMERICA VMO 4/17/2008 DCTH DELCATH SYSTEMS INC VMO 4/17/2008 DDIC DDI CORP NEW VMO 4/17/2008 DEAR DEARBORN BANCORP INC VMO 4/17/2008 DGICA DONEGAL GROUP INC VMO 4/17/2008 DGLY DIGITAL ALLY VMO 4/17/2008 DHFT DIAMOND HILL FIN TRENDS FUND VMO 4/17/2008 DMRC DIGIMARC CORPORATION VMO 4/17/2008 DORM DORMAN PRODUCTS INC VMO 4/17/2008 DSCP DATASCOPE CORP VMO 4/17/2008 DSWL DESWELL INDUSTRIES INC VMO 4/17/2008 DUCK DUCKWALL ALCO STORES INC VMO 4/17/2008 DWTT MERRILL LYNCH & CO INC. VMO 4/17/2008 DXYN DIXIE GROUP INC VMO 4/17/2008 ECMV E COM VENTURES INC VMO 4/17/2008 ECTX ECTEL LTD VMO 4/17/2008 EDAC EDAC TECHNOLOGIES CORP VMO 4/17/2008 EFSC ENTERPRISE FINANCIAL SERVICES VMO 4/17/2008 EHTH EHEALTH INC VMO 4/17/2008 ELOY ELOYALTY CORP VMO 4/17/2008 EPG ENVIRONMENTAL PWR CORP VMO 4/17/2008 ESBF ESB FINANCIAL CORP VMO 4/17/2008 ESSA ESSA BANCORP INC VMO 4/17/2008 EUBK EUROBANCSHARES INC VMO 4/17/2008 FARM FARMER BROS CO VMO 4/17/2008 FEIM FREQUENCY ELECTRONICS INC VMO 4/17/2008 FFEX FROZEN FOOD EXPRESS INDS INC VMO 4/17/2008 FFIC FLUSHING FINCL CORP VMO 4/17/2008 FFNW FIRST FIN NORTHWEST INC VMO 4/17/2008 FGXI FGX INTERNATIONAL HOLDINGS VMO 4/17/2008 FNDT FUNDTECH LTD VMO 4/17/2008 FONR FONAR CORP VMO 4/17/2008 FRBK REPUBLIC FIRST BANCORP INC VMO 4/17/2008 FREEW FREESEAS INC VMO 4/17/2008 FREEZ FREESEAS INC VMO 4/17/2008 FSCI FISHER COMMUNICATIONS INC VMO 4/17/2008 FSII FSI INTL INC VMO 4/17/2008 FTGX FIBERNET TELECOM GROUP INC NE VMO 4/17/2008 FXCB FOX CHASE BANCORP INC VMO 4/17/2008 GAIT LANGER INCORPORATED VMO 4/17/2008 GASS STEALTH GAS VMO 4/17/2008 GBTS GATEWAY FINANCIAL HLDINGS VMO 4/17/2008 GEHL GEHL COMPANY VMO 4/17/2008 GENT GENTIUM SPA VMO 4/17/2008 GILT GILAT SATELLITE NETWORKS LTD VMO 4/17/2008 GLOI GLOBALOPTIONS GROUP INC VMO 4/17/2008 GMET GEOMET INC VMO 4/17/2008 GOLF GOLFSMITH INT'L HOLDINGS INC VMO 4/17/2008 HCCI HERITAGE CRYSTAL-CLEAN INC VMO 4/17/2008 HGIC HARLEYSVILLE GRP INC VMO 4/17/2008 HIFN HI/FN INC VMO 3 4/17/2008 HIRE HIRERIGHT INC VMO 4/17/2008 HITK HI TECH PHARMACAL INC VMO 4/17/2008 HLCS HELICOS BIOSCIENCES VMO 4/17/2008 HOLL HOLLYWOOD MEDIA CORP VMO 4/17/2008 HOMB HOME BANCSHARES INC VMO 4/17/2008 HOOK REDHOOK ALE BREWERY INC VMO 4/17/2008 HOVNP HOVNANIAN ENTERPRISES INC VMO 4/17/2008 HRSH HIRSCH INTL CORP VMO 4/17/2008 HTCO HICKORY TECH CORP VMO 4/17/2008 HTLF HEARTLAND FINL USA INC VMO 4/17/2008 HUSA HOUSTON AMERICAN ENERGY VMO 4/17/2008 IBNK INTEGRA BANK CORP VMO 4/17/2008 ICOP ICOP DIGITAL INC NEW VMO 4/17/2008 IDGR INDUSTRIAL DISTRIBUTION GRP VMO 4/17/2008 IGLD INTERNET GOLD GOLDEN LINES VMO 4/17/2008 IIN INTRICON CORP VMO 4/17/2008 IMNY I-MANY INCORPORATED VMO 4/17/2008 INBP INTERGRATED BIOPHARMA INC VMO 4/17/2008 INFI INFINITY PHARMACEUTICALS INC VMO 4/17/2008 INOC INNOTRAC CORPORATION VMO 4/17/2008 INPH INTERPHASE CORP VMO 4/17/2008 INTT INTEST CORP VMO 4/17/2008 INTX INTERSECTIONS, INC. VMO 4/17/2008 IPAR INTER PARFUMS INC VMO 4/17/2008 IPCM IPC THE HOSPITALIST CO INC VMO 4/17/2008 IPCS IPCS INC VMO 4/17/2008 IRETS INVESTORS R.E. TR SBI VMO 4/17/2008 ISCA INTERNATIONAL SPEEDWAY CORP VMO 4/17/2008 ITLN INTELLON CORPORATION VMO 4/17/2008 IVVI IVIVI TECHNOLOGIES INC VMO 4/17/2008 KAMN KAMAN CORP VMO 4/17/2008 KBALB KIMBALL INTL INC VMO 4/17/2008 KEQU KEWAUNEE SCIENTIFIC CORP VMO 4/17/2008 KMGB KMG CHEMICALS INC VMO 4/17/2008 KNDL KENDLE INTL INC VMO 4/17/2008 KPPC KAPSTONE PAPER AND PACKAGING VMO 4/17/2008 KTEC KEY TECH INC VMO 4/17/2008 LACO LAKES ENTERTAINMENT INC VMO 4/17/2008 LBCP LIBERTY BANCORP INC VMO 4/17/2008 LCRY LECROY CORPORATION VMO 4/17/2008 LINC LINCOLN EDUCATIONAL SVCS VMO 4/17/2008 LMLP LML PAYMENT SYSTEMS INC VMO 4/17/2008 LMNX LUMINEX CORP VMO 4/17/2008 LNCE LANCE INC VMO 4/17/2008 LOOK LOOKSMART LIMITED VMO 4/17/2008 LPHI LIFE PARTNERS HLDGS INC VMO 4/17/2008 LWAY LIFEWAY FOODS INC VMO 4/17/2008 MACC MACC PRIVATE EQUITIES INC VMO 4/17/2008 MAGS MAGAL SECURITY SYSTEMS LTD VMO 4/17/2008 MAIL INCREDIMAIL LTD VMO 4/17/2008 MAIN MAIN STREET CAPITAL CORP VMO 4/17/2008 MBTF M B T FINANCIAL CORP VMO 4/17/2008 MBVA MILLENIUM BANKSHARES CORP VMO 4 4/17/2008 MBWM MERCANTILE BANK CORP VMO 4/17/2008 MEDW MEDIWARE INFORMATION INC VMO 4/17/2008 MELA ELECTRO-OPTICAL SCIENCES INC VMO 4/17/2008 MFSF MUTUALFIRST FINCL INC VMO 4/17/2008 MIND MITCHAM INDUSTRIES VMO 4/17/2008 MITI MICROMET INC VMO 4/17/2008 MMPI MERUELO MADDUX PROPERTIES VMO 4/17/2008 MNRTA MONMOUTH REAL ESTATE VMO 4/17/2008 MOLXA MOLEX INC VMO 4/17/2008 MSFG MAINSOURCE FINANCIAL GROUP IN VMO 4/17/2008 MSII MEDIA SCIENCES INTL INC VMO 4/17/2008 MTSC MTS SYS CORP VMO 4/17/2008 MWRK MOTHERS WORK INC VMO 4/17/2008 NATH NATHAN'S FAMOUS INC VMO 4/17/2008 NATL NATIONAL INTERSTATE CORP VMO 4/17/2008 NAVG NAVIGATORS GRP INC VMO 4/17/2008 NAVI NAVISITE INC VMO 4/17/2008 NCBC NEW CENTRY BANCORP INC VMO 4/17/2008 NEBS NEW ENGLAND BANCSHARES INC VMO 4/17/2008 NEXS NEXXUS LIGHTING INC VMO 4/17/2008 NGPC NGP CAPITAL RESOURCES CO VMO 4/17/2008 NICK NICHOLAS FINANCIAL INC VMO 4/17/2008 NMRX NUMEREX CORP VMO 4/17/2008 NOVA NOVAMED INC VMO 4/17/2008 NOVB NORTH VALLEY BANCORP VMO 4/17/2008 NRCI NATIONAL RESEARCH CORP VMO 4/17/2008 NRGY INERGY L.P.
Recommended publications
  • List of Marginable OTC Stocks
    List of Marginable OTC Stocks @ENTERTAINMENT, INC. ABACAN RESOURCE CORPORATION ACE CASH EXPRESS, INC. $.01 par common No par common $.01 par common 1ST BANCORP (Indiana) ABACUS DIRECT CORPORATION ACE*COMM CORPORATION $1.00 par common $.001 par common $.01 par common 1ST BERGEN BANCORP ABAXIS, INC. ACETO CORPORATION No par common No par common $.01 par common 1ST SOURCE CORPORATION ABC BANCORP (Georgia) ACMAT CORPORATION $1.00 par common $1.00 par common Class A, no par common Fixed rate cumulative trust preferred securities of 1st Source Capital ABC DISPENSING TECHNOLOGIES, INC. ACORN PRODUCTS, INC. Floating rate cumulative trust preferred $.01 par common $.001 par common securities of 1st Source ABC RAIL PRODUCTS CORPORATION ACRES GAMING INCORPORATED 3-D GEOPHYSICAL, INC. $.01 par common $.01 par common $.01 par common ABER RESOURCES LTD. ACRODYNE COMMUNICATIONS, INC. 3-D SYSTEMS CORPORATION No par common $.01 par common $.001 par common ABIGAIL ADAMS NATIONAL BANCORP, INC. †ACSYS, INC. 3COM CORPORATION $.01 par common No par common No par common ABINGTON BANCORP, INC. (Massachusetts) ACT MANUFACTURING, INC. 3D LABS INC. LIMITED $.10 par common $.01 par common $.01 par common ABIOMED, INC. ACT NETWORKS, INC. 3DFX INTERACTIVE, INC. $.01 par common $.01 par common No par common ABLE TELCOM HOLDING CORPORATION ACT TELECONFERENCING, INC. 3DO COMPANY, THE $.001 par common No par common $.01 par common ABR INFORMATION SERVICES INC. ACTEL CORPORATION 3DX TECHNOLOGIES, INC. $.01 par common $.001 par common $.01 par common ABRAMS INDUSTRIES, INC. ACTION PERFORMANCE COMPANIES, INC. 4 KIDS ENTERTAINMENT, INC. $1.00 par common $.01 par common $.01 par common 4FRONT TECHNOLOGIES, INC.
    [Show full text]
  • Market Cap Close ADV 1598 67Th Pctl 745,214,477.91 $ 23.96
    Market Cap Close ADV 1598 67th Pctl $ 745,214,477.91 $ 23.96 225,966.94 801 33rd Pctl $ 199,581,478.89 $ 10.09 53,054.83 2399 Ticker_ Listing_ Effective_ Revised Symbol Security_Name Exchange Date Mkt Cap Close ADV Stratum Stratum AAC AAC Holdings, Inc. N 20160906 M M M M-M-M M-M-M AAMC Altisource Asset Management Corp A 20160906 L M L L-M-L L-M-L AAN Aarons Inc N 20160906 H H H H-H-H H-H-H AAV Advantage Oil & Gas Ltd N 20160906 H L M H-L-M H-M-M AB Alliance Bernstein Holding L P N 20160906 H M M H-M-M H-M-M ABG Asbury Automotive Group Inc N 20160906 H H H H-H-H H-H-H ABM ABM Industries Inc. N 20160906 H H H H-H-H H-H-H AC Associated Capital Group, Inc. N 20160906 H H L H-H-L H-H-L ACCO ACCO Brand Corp. N 20160906 H L H H-L-H H-L-H ACU Acme United A 20160906 L M L L-M-L L-M-L ACY AeroCentury Corp A 20160906 L L L L-L-L L-L-L ADK Adcare Health System A 20160906 L L L L-L-L L-L-L ADPT Adeptus Health Inc. N 20160906 M H H M-H-H M-H-H AE Adams Res Energy Inc A 20160906 L H L L-H-L L-H-L AEL American Equity Inv Life Hldg Co N 20160906 H M H H-M-H H-M-H AF Astoria Financial Corporation N 20160906 H M H H-M-H H-M-H AGM Fed Agricul Mtg Clc Non Voting N 20160906 M H M M-H-M M-H-M AGM A Fed Agricultural Mtg Cla Voting N 20160906 L H L L-H-L L-H-L AGRO Adecoagro S A N 20160906 H L H H-L-H H-L-H AGX Argan Inc N 20160906 M H M M-H-M M-H-M AHC A H Belo Corp N 20160906 L L L L-L-L L-L-L AHL ASPEN Insurance Holding Limited N 20160906 H H H H-H-H H-H-H AHS AMN Healthcare Services Inc.
    [Show full text]
  • NASDAQ Stock Market
    Nasdaq Stock Market Friday, December 28, 2018 Name Symbol Close 1st Constitution Bancorp FCCY 19.75 1st Source SRCE 40.25 2U TWOU 48.31 21st Century Fox Cl A FOXA 47.97 21st Century Fox Cl B FOX 47.62 21Vianet Group ADR VNET 8.63 51job ADR JOBS 61.7 111 ADR YI 6.05 360 Finance ADR QFIN 15.74 1347 Property Insurance Holdings PIH 4.05 1-800-FLOWERS.COM Cl A FLWS 11.92 AAON AAON 34.85 Abiomed ABMD 318.17 Acacia Communications ACIA 37.69 Acacia Research - Acacia ACTG 3 Technologies Acadia Healthcare ACHC 25.56 ACADIA Pharmaceuticals ACAD 15.65 Acceleron Pharma XLRN 44.13 Access National ANCX 21.31 Accuray ARAY 3.45 AcelRx Pharmaceuticals ACRX 2.34 Aceto ACET 0.82 Achaogen AKAO 1.31 Achillion Pharmaceuticals ACHN 1.48 AC Immune ACIU 9.78 ACI Worldwide ACIW 27.25 Aclaris Therapeutics ACRS 7.31 ACM Research Cl A ACMR 10.47 Acorda Therapeutics ACOR 14.98 Activision Blizzard ATVI 46.8 Adamas Pharmaceuticals ADMS 8.45 Adaptimmune Therapeutics ADR ADAP 5.15 Addus HomeCare ADUS 67.27 ADDvantage Technologies Group AEY 1.43 Adobe ADBE 223.13 Adtran ADTN 10.82 Aduro Biotech ADRO 2.65 Advanced Emissions Solutions ADES 10.07 Advanced Energy Industries AEIS 42.71 Advanced Micro Devices AMD 17.82 Advaxis ADXS 0.19 Adverum Biotechnologies ADVM 3.2 Aegion AEGN 16.24 Aeglea BioTherapeutics AGLE 7.67 Aemetis AMTX 0.57 Aerie Pharmaceuticals AERI 35.52 AeroVironment AVAV 67.57 Aevi Genomic Medicine GNMX 0.67 Affimed AFMD 3.11 Agile Therapeutics AGRX 0.61 Agilysys AGYS 14.59 Agios Pharmaceuticals AGIO 45.3 AGNC Investment AGNC 17.73 AgroFresh Solutions AGFS 3.85
    [Show full text]
  • Fresno County Employees' Retirement Association Performance Review Summary Period Ending: June 30, 2005
    Fresno County Employees' Retirement Association Performance Review Summary Period Ending: June 30, 2005 Performance & Risk Measures Quarter One Year Three Years Five Years Standard Deviation Sharpe Ratio Beta Return Rank Return Rank Return Rank Return Rank 3-Years 5-Years 3-Years 5-Years 3-Years 5-Years BRANDYWINE 4.6 36 16.5 39 15.4 54 21.6 13 23.2 22.3 0.6 0.8 1.0 1.0 RUSSELL 2000 VALUE 5.1 23 14.4 62 14.2 77 16.1 78 22.7 20.8 0.6 0.7 Equity Style - Small Value 4.2 15.8 15.6 18.1 22.2 21.9 0.6 0.7 Ten Largest Holdings Sector Weights Portfolio Characteristics Security Market Value Weight Sector Portfolio Benchmark Portfolio Benchmark WPS RESOURCES CORP. 1,620,000 1.31 Materials 3.5 6.1 Average Market Cap $ 1,224 $ 980 AMERUS GROUP COMPANY 1,478,114 1.20 Industrials 5.2 14.4 Median Market Cap $ 445 $ 570 BORDERS GROUP, INC. 1,470,511 1.19 Telecommunications Services 0.7 1.7 P/E 14.4 14.7 WESTERN DIGITAL CORPORATION 1,403,732 1.14 Consumer Discretionary 30.5 15.1 INDYMAC BANCORP, INCORPORATED 1,372,601 1.11 Consumer Staples 7.5 3.8 P/B 2.0 1.9 COMMERCE GROUP, INCORPORATED 1,341,576 1.09 Energy 7.2 4.1 Dividend Yield 1.6 1.8 BJ'S WHOLESALE CLUB INC 1,306,098 1.06 Financials 25.8 33.6 Health Care 1.9 4.6 Earnings Growth 6.7 5.9 UICI 1,271,179 1.03 Information Technology 7.8 11.2 DOWNEY FINANCIAL CORPORATION 1,266,360 1.03 Miscellaneous 0.1 Benchmark: RUSSELL 2000 VALUE AGL RESOURCES, INCORPORATED.
    [Show full text]
  • Market Cap Close ADV
    Market Cap Close ADV 1598 67th Pctl $745,214,477.91 $23.96 225,966.94 801 33rd Pctl $199,581,478.89 $10.09 53,054.83 2399 Listing_ Revised Ticker_Symbol Security_Name Exchange Effective_Date Mkt Cap Close ADV Stratum Stratum AAC AAC Holdings, Inc. N 20160906 M M M M-M-M M-M-M Altisource Asset Management AAMC Corp A 20160906 L M L L-M-L L-M-L AAN Aarons Inc N 20160906 H H H H-H-H H-H-H AAV Advantage Oil & Gas Ltd N 20160906 H L M H-L-M H-M-M AB Alliance Bernstein Holding L P N 20160906 H M M H-M-M H-M-M ABG Asbury Automotive Group Inc N 20160906 H H H H-H-H H-H-H ABM ABM Industries Inc. N 20160906 H H H H-H-H H-H-H AC Associated Capital Group, Inc. N 20160906 H H L H-H-L H-H-L ACCO ACCO Brand Corp. N 20160906 H L H H-L-H H-L-H ACU Acme United A 20160906 L M L L-M-L L-M-L ACY AeroCentury Corp A 20160906 L L L L-L-L L-L-L ADK Adcare Health System A 20160906 L L L L-L-L L-L-L ADPT Adeptus Health Inc. N 20160906 M H H M-H-H M-H-H AE Adams Res Energy Inc A 20160906 L H L L-H-L L-H-L American Equity Inv Life Hldg AEL Co N 20160906 H M H H-M-H H-M-H AF Astoria Financial Corporation N 20160906 H M H H-M-H H-M-H AGM Fed Agricul Mtg Clc Non Voting N 20160906 M H M M-H-M M-H-M AGM A Fed Agricultural Mtg Cla Voting N 20160906 L H L L-H-L L-H-L AGRO Adecoagro S A N 20160906 H L H H-L-H H-L-H AGX Argan Inc N 20160906 M H M M-H-M M-H-M AHC A H Belo Corp N 20160906 L L L L-L-L L-L-L ASPEN Insurance Holding AHL Limited N 20160906 H H H H-H-H H-H-H AHS AMN Healthcare Services Inc.
    [Show full text]
  • Foreign Private Issuers Lists, 1996
    u.s. Securities and Exchange Commission FOREIGN COMPANIES REGISTERED AND REPORTING WITH THE u.S. SECURITIES AND EXCHANGE COMMISSION DECEMBER 31 , 1996 Office of International Corporate Finance Division of Corporation Finance REPORTING FOREIGN ISSUERS AS OF DECEMBER 31, 1996 SUMMARY"INFORMATION REPORTING COUNTRY COMPANIES CANADA 374 UNITED KINGDOM 81 ISRAEL 71 MEXICO 30 NETHERLANDS 29 AUSTRALIA 26 BERMUDA 22 CHILE 22 JAPAN 21 FRANCE 18 ITALY 13 ARGENTINA 12 BRITISH VIRGIN ISLANDS 11 IRELAND 11 SWEDEN 10 INDONESIA 9 GERMANY 8 LUXEMBOURG 8 SPAIN 8 NETHERLANDS ANTILLES 7 NORWAY 7 BAHAMAS 6 SOUTH AFRICA 6 CHINA 5 FINLAND 5 HONG KONG 5 LIBERIA 5 BRAZIL 4 CAYMAN ISLANDS 4 COLOMBIA 4 DENMARK 4 KOREA 4 NEW ZEALAND 4 VENEZUELA 4 PERU 3 PORTUGAL 3 SINGAPORE 3 BELGIUM 2 PANAMA 2 PHILIPPINES 2 BELIZE 1 BOTSWANA 1 GHANA 1 PAPUA NEW Gl.!lNEA 1 RUSSIA 1 SWITZERLAND 1 TAIWAN 1 ZAMBIA 1 TOTAL 881 p MARKET SUMMARY BY COUNTRY NASDAQ NASDAQ COUNTRY NYSE AMEX NMS Small Cap OTC COMBINED ARGENTINA 10 0 1 0 1 12 26 AUSTRALIA 9 0 7 3 7 BAHAMAS 1 0 2 0 3 6 BELGIUM 0 0 2 0 0 2 BELIZE 0 0 1 0 0 1 BERMUDA 9 3 7 1 2 22 BOTSWANA 0 0 0 0 1 1 4 BRAZIL 2 0 1 0 1 BRIT. V.1. 0 0 8 1 2 11 CANADA 61 39 94 57 123 374 CAYMAN ISLANDS 0 2 2 0 0 4 CHILE 19 0 1 0 2 22 CHINA 5 0 0 0 0 5 COLOMBIA 2 0 0 0 2 4 DENMARK 3 0 1 0 0 4 FINLAND 3 '0 0 1 1 5 FRANCE 9 0 6 0 3 18 GERMANY 5 0 1 0 2 8 GHANA 1 0 0 0 0 1 HONG KONG 1 0 0 0 4 5 0 4 9 I INDONESIA 4 0 1 IRELAND 5 0 3 1 2 11 ISRAEL 4 5 45 11 6 71 ITALY 11 0 2 0 0 13 JAPAN 11 0 7 1 2 21 KOREA 3 0 0 0 1 4 LIBERIA 2 2 0 0 1 5 LUXEMBOURG 3 0 5 0 0 8 MEXICO 25 2 0 0 3 30 NETH.
    [Show full text]
  • 2018 Annual Report TAT Technologies
    UNITED STATES SECURITIES AND EXCHANGE COMMISSION Washington D.C. 20549 FORM 20-F ☐ REGISTRATION STATEMENT PURSUANT TO SECTION 12(b) OR (g) OF THE SECURITIES EXCHANGE ACT OF 1934 OR ☒ ANNUAL REPORT PURSUANT TO SECTION 13 OR 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934 For the fiscal year ended December 31, 2018 OR ☐ TRANSITION REPORT PURSUANT TO SECTION 13 OR 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934 For the transition period from ______________ to _____________ ☐ SHELL COMPANY REPORT PURSUANT TO SECTION 13 OR 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934 Date of event requiring this shell company report ……………….. Commission file number: 0-16050 TAT TECHNOLOGIES LTD. (Exact name of Registrant as specified in its charter and translation of Registrant’s name into English) Israel (Jurisdiction of incorporation or organization) P.O. Box 80, Gedera 7075002, Israel (Address of principal executive offices) Securities registered or to be registered pursuant to Section 12(b) of the Act: Title of each class Name of each exchange on which registered Ordinary Shares, NIS 0.90 Par Value NASDAQ Global Market Securities registered or to be registered pursuant to Section 12(g) of the Act: None Securities for which there is a reporting obligation pursuant to Section 15(d) of the Act: None Indicate the number of outstanding shares of each of the issuer’s classes of capital or Common stock as of the close of the period covered by the annual report: Ordinary Shares, par value NIS 0.90 per share…………… 8,874,696 (as of December 31, 2018) Indicate by check mark if the registrant is a well-known seasoned issuer, as defined in Rule 405 of the Securities Act.
    [Show full text]
  • Alphabetical Listing by Company Name
    FOREIGN COMPANIES REGISTERED AND REPORTING WITH THE U.S. SECURITIES AND EXCHANGE COMMISSION December 31, 2015 Alphabetical Listing by Company Name COMPANY COUNTRY MARKET 21 Vianet Group Inc. Cayman Islands Global Market 37 Capital Inc. Canada OTC 500.com Ltd. Cayman Islands NYSE 51Job, Inc. Cayman Islands Global Market 58.com Inc. Cayman Islands NYSE ABB Ltd. Switzerland NYSE Abbey National Treasury Services plc United Kingdom NYSE - Debt Abengoa S.A. Spain Global Market Abengoa Yield Ltd. United Kingdom Global Market Acasti Pharma Inc. Canada Capital Market Acorn International, Inc. Cayman Islands NYSE Actions Semiconductor Co. Ltd. Cayman Islands Global Market Adaptimmune Ltd. United Kingdom Global Market Adecoagro S.A. Luxembourg NYSE Adira Energy Ltd. Canada OTC Advanced Accelerator Applications SA France Global Market Advanced Semiconductor Engineering, Inc. Taiwan NYSE Advantage Oil & Gas Ltd. Canada NYSE Advantest Corp. Japan NYSE Aegean Marine Petroleum Network Inc. Marshall Islands NYSE AEGON N.V. Netherlands NYSE AerCap Holdings N.V. Netherlands NYSE Aeterna Zentaris Inc. Canada Capital Market Affimed N.V. Netherlands Global Market Agave Silver Corp. Canada OTC Agnico Eagle Mines Ltd. Canada NYSE Agria Corp. Cayman Islands NYSE Agrium Inc. Canada NYSE AirMedia Group Inc. Cayman Islands Global Market Aixtron SE Germany Global Market Alamos Gold Inc. Canada NYSE Alcatel-Lucent France NYSE Alcobra Ltd. Israel Global Market Alexandra Capital Corp. Canada OTC Alexco Resource Corp. Canada NYSE MKT Algae Dynamics Corp. Canada OTC Algonquin Power & Utilities Corp. Canada OTC Alianza Minerals Ltd. Canada OTC Alibaba Group Holding Ltd. Cayman Islands NYSE Allot Communications Ltd. Israel Global Market Almaden Minerals Ltd.
    [Show full text]
  • Fidelity® Nasdaq Composite Index® Fund
    Fidelity® Nasdaq Composite Index® Fund Semi-Annual Report May 31, 2021 Contents Note to Shareholders 3 Investment Summary 4 Schedule of Investments 6 Financial Statements 85 Notes to Financial 89 Statements Shareholder Expense 97 Example Board Approval of 98 Investment Advisory Contracts and Management Fees Liquidity Risk 106 Management Program To view a fund’s proxy voting guidelines and proxy voting record for the 12-month period ended June 30, visit http://www.fidelity.com/proxyvotingresults or visit the Securities and Exchange Commission’s (SEC) web site at http://www.sec.gov. You may also call 1-800-544-8544 to request a free copy of the proxy voting guidelines. Nasdaq®, OMX®, NASDAQ OMX®, Nasdaq Composite®, and The Nasdaq Stock Market®, Inc. are registered trademarks of The NASDAQ OMXGroup, Inc. (which with its Affiliates are the Corporations) and are licensed for use by Fidelity. The product has not been passed on by the Corporations as to its legality or suitability. The product is not issued, endorsed or sold by the Corporations. The Corporations make no warranties and bear no liability with respect to shares of the product. Standard & Poor’s, S&P and S&P 500 are registered service marks of The McGraw-Hill Companies, Inc. and have been licensed for use by Fidelity Distributors Corporation. Other third-party marks appearing herein are the property of their respective owners. All other marks appearing herein are registered or unregistered trademarks or service marks of FMR LLC or an affiliated company. © 2021 FMR LLC. All rights reserved. This report and the financial statements contained herein are submitted for the general information of the shareholders of the Fund.
    [Show full text]
  • Fidelity® Nasdaq Composite Index® Fund
    Quarterly Holdings Report for Fidelity® Nasdaq Composite Index® Fund February 28, 2021 EIF-QTLY-0421 1.814098.116 Schedule of Investments February 28, 2021 (Unaudited) Showing Percentage of Net Assets Common Stocks – 99.7% Shares Value COMMUNICATION SERVICES – 16.7% Diversified Telecommunication Services – 0.2% Alaska Communication Systems Group, Inc. 34,501 $ 112,818 Anterix, Inc. (a) 7,844 331,252 ATN International, Inc. 7,220 351,470 Bandwidth, Inc. (a) (b) 12,082 1,913,306 Cogent Communications Group, Inc. (b) 25,499 1,526,115 Consolidated Communications Holdings, Inc. (a) 21,768 114,500 Iridium Communications, Inc. (a) 77,117 2,954,352 Liberty Global PLC: Class A (a) 112,326 2,766,028 Class B (a) 327 7,521 Class C (a) 204,417 4,967,333 Liberty Latin America Ltd.: Class A (a) 17,405 190,933 Class C (a) 105,781 1,159,360 ORBCOMM, Inc. (a) 54,925 419,078 Radius Global Infrastructure, Inc. (a) (b) 37,222 460,808 Sify Technologies Ltd. sponsored ADR (a) (b) 7,275 22,916 Vonage Holdings Corp. (a) 142,421 1,882,806 19,180,596 Entertainment – 2.5% Activision Blizzard, Inc. 429,734 41,086,868 Bilibili, Inc. ADR (a) (b) 99,200 12,496,224 Blue Hat Interactive Entertainment Technology (a) (b) 13,117 16,659 Chicken Soup For The Soul Entertainment, Inc. (a) 2,009 51,370 Cinedigm Corp. (a) 73,305 102,627 CuriosityStream, Inc. Class A (a) 24,573 426,833 DouYu International Holdings Ltd. ADR (a) 82,330 1,180,612 Electronic Arts, Inc.
    [Show full text]
  • Index Constitutents To
    Consumer Discretionary Market Capitalization ($M) Skyline Corporation (AMEX:SKY) 50.5 Glacier Media Inc. (TSX:GVC) 51.6 Pacific Insight Electronics Corp. (TSX:PIH) 51.6 The ONE Group Hospitality, Inc. (NasdaqCM:STKS) 54.6 Full House Resorts, Inc. (NasdaqCM:FLL) 56.5 Stage Stores, Inc. (NYSE:SSI) 57.1 Peak Resorts, Inc. (NasdaqGM:SKIS) 57.3 Trans World Entertainment Corporation 57.8 EVINE Live Inc. (NasdaqGS:EVLV)(NasdaqGM:TWMC) 61.0 Sears Hometown and Outlet Stores, Inc. 61.3 Harte Hanks, Inc. (NYSE:HHS)(NasdaqCM:SHOS) 63.5 Diversified Restaurant Holdings, Inc. 69.3 The Dixie Group, Inc. (NasdaqGM:DXYN)(NasdaqCM:SAUC) 69.4 Bravo Brio Restaurant Group, Inc. 69.7 Crown Crafts, Inc. (NasdaqCM:CRWS)(NasdaqGS:BBRG) 69.9 The McClatchy Company (NYSE:MNI) 71.2 AMCON Distributing Company (AMEX:DIT) 71.6 Papa Murphy's Holdings, Inc. (NasdaqGS:FRSH) 74.1 Lincoln Educational Services Corporation 76.6 Dover Motorsports, Inc. (NYSE:DVD)(NasdaqGS:LINC) 77.5 AeroGrow International, Inc. (OTCPK:AERO) 77.7 Stein Mart, Inc. (NasdaqGS:SMRT) 80.5 Luby's, Inc. (NYSE:LUB) 81.7 Tandy Leather Factory, Inc. (NasdaqGM:TLF) 82.6 Ark Restaurants Corp. (NasdaqGM:ARKR) 83.1 Tuesday Morning Corporation (NasdaqGS:TUES) 85.7 UCP, Inc. (NYSE:UCP) 87.1 Universal Technical Institute, Inc. (NYSE:UTI) 88.3 New York & Company, Inc. (NYSE:NWY) 88.6 Cherokee Inc. (NasdaqGS:CHKE) 90.0 JAKKS Pacific, Inc. (NasdaqGS:JAKK) 91.1 Torstar Corporation (TSX:TS.B) 92.6 Unique Fabricating, Inc. (AMEX:UFAB) 92.9 Ballantyne Strong, Inc (AMEX:BTN) 95.5 Bluestem Group Inc.
    [Show full text]
  • Geographic Listing by Country of Incorporation
    FOREIGN COMPANIES REGISTERED AND REPORTING WITH THE U.S. SECURITIES AND EXCHANGE COMMISSION December 31, 2010 Geographic Listing by Country of Incorporation COMPANY COUNTRY MARKET Antigua Sinovac Biotech Ltd. Antigua Global Mkt Argentina Alto Palermo S.A. Argentina Global Mkt Banco Macro S.A. Argentina NYSE BBVA Banco Frances S.A. Argentina NYSE Cresud Sacif Argentina Global Mkt Empresa Distribuidora y Comercializadora Norte S.A. - Edenor Argentina NYSE Grupo Financiero Galicia S.A. Argentina Global Mkt IRSA Inversiones y Representacions, S.A. Argentina NYSE MetroGas S.A. Argentina OTC Nortel Inversora S.A. Argentina NYSE Pampa Energia SA Argentina NYSE Petrobras Argentina S.A. Argentina NYSE Telecom Argentina S.A. Argentina NYSE Transportadora de Gas del Sur S.A. Argentina NYSE YPF S.A. Argentina NYSE Australia Allied Gold Ltd. Australia OTC Alumina Ltd. Australia NYSE BHP Billiton Ltd. Australia NYSE Genetic Technologies Ltd. Australia Global Mkt Metal Storm Ltd. Australia OTC Novogen Ltd. Australia Global Mkt Orbital Corp Ltd. Australia OTC Prana Biotechnology Ltd. Australia Cap. Mkt Progen Pharmaceuticals Ltd. Australia OTC Rio Tinto Ltd. Australia OTC Samson Oil & Gas Ltd. Australia NYSE-Amex Sims Metal Management Ltd. Australia NYSE Westpac Banking Corp. Australia NYSE Bahamas Calpetro Tankers (Bahamas I) Ltd. Bahamas OTC - Debt Calpetro Tankers (Bahamas II) Ltd. Bahamas OTC - Debt Calpetro Tankers (Bahamas III) Ltd. Bahamas OTC - Debt Ultrapetrol (Bahamas) Ltd. Bahamas Global Mkt Belgium Anheuser-Busch Inbev SA/NV Belgium NYSE Etablissements Delhaize Freres & Cie - Le Lion Belgium NYSE Page 1 COMPANY COUNTRY MARKET Bermuda AllShips Ltd. Bermuda OTC Alpha and Omega Semiconductor Ltd. Bermuda Global Mkt Asia Pacific Wire & Cable Corp.
    [Show full text]