Trading Conditions

Total Page:16

File Type:pdf, Size:1020Kb

Trading Conditions Trading Conditions FINANCING FEE COMMISSION OVERNIGHT MARGIN TICKER COMPANY STOP OUT LEVERGE CALL LONG SHORT PER STOCK MINIMUM AAME Atlantic American Corp -9 % -7 % 0.02 USD 2 USD up to 1 : 4 120 % 100 % AAON Aaon Inc -9 % -7 % 0.02 USD 2 USD up to 1 : 4 120 % 100 % AAPL Apple Inc -9 % -7 % 0.02 USD 2 USD up to 1 : 4 120 % 100 % AAWW Atlas Air Worldwide Holdings -9 % -7 % 0.02 USD 2 USD up to 1 : 4 120 % 100 % AAXJ All Country Asia Ex Jpn Idx MSCI Ishares -9 % -7 % 0.02 USD 2 USD up to 1 : 4 120 % 100 % ABAX Abaxis Inc -9 % -7 % 0.02 USD 2 USD up to 1 : 4 120 % 100 % ABCB Ameris Bancorp -9 % -7 % 0.02 USD 2 USD up to 1 : 4 120 % 100 % ABCD Cambium Learning Group -9 % -7 % 0.02 USD 2 USD up to 1 : 4 120 % 100 % ABCO The Advisory Board Company -9 % -7 % 0.02 USD 2 USD up to 1 : 4 120 % 100 % ABIO Arca Biopharma -9 % -7 % 0.02 USD 2 USD up to 1 : 4 120 % 100 % ABMD Abiomed -9 % -7 % 0.02 USD 2 USD up to 1 : 4 120 % 100 % ABTL Autobytel Inc -9 % -7 % 0.02 USD 2 USD up to 1 : 4 120 % 100 % ACAD Acadia Pharmaceuticals Inc -9 % -7 % 0.02 USD 2 USD up to 1 : 4 120 % 100 % ACAS American Capital -9 % -7 % 0.02 USD 2 USD up to 1 : 4 120 % 100 % ACAT Arctic Cat Inc -9 % -7 % 0.02 USD 2 USD up to 1 : 4 120 % 100 % ACET Aceto Corp -9 % -7 % 0.02 USD 2 USD up to 1 : 4 120 % 100 % ACFC Atlantic Coast Federal Corp -9 % -7 % 0.02 USD 2 USD up to 1 : 4 120 % 100 % ACGL Arch Capital Group Ltd -9 % -7 % 0.02 USD 2 USD up to 1 : 4 120 % 100 % ACHC Acadia Healthcare Company Inc -9 % -7 % 0.02 USD 2 USD up to 1 : 4 120 % 100 % ACHN Achillion Pharmaceuticals -9 % -7 % 0.02 USD 2 USD up to 1 : 4 120 % 100 % ACIW Aci Worldwide -9 % -7 % 0.02 USD 2 USD up to 1 : 4 120 % 100 % ACLS Axcelis Technologies -9 % -7 % 0.02 USD 2 USD up to 1 : 4 120 % 100 % ACNB Acnb Corp -9 % -7 % 0.02 USD 2 USD up to 1 : 4 120 % 100 % ACOR Acorda Therapeutics -9 % -7 % 0.02 USD 2 USD up to 1 : 4 120 % 100 % ACPW Active Power -9 % -7 % 0.02 USD 2 USD up to 1 : 4 120 % 100 % ACRX Acelrx Pharmaceuticals -9 % -7 % 0.02 USD 2 USD up to 1 : 4 120 % 100 % ACTG Acacia Research Corp -9 % -7 % 0.02 USD 2 USD up to 1 : 4 120 % 100 % ACTS Actions Semiconductor Co -9 % -7 % 0.02 USD 2 USD up to 1 : 4 120 % 100 % ACUR Acura Pharmaceuticals -9 % -7 % 0.02 USD 2 USD up to 1 : 4 120 % 100 % ACWI ACWI Index MSCI Ishares -9 % -7 % 0.02 USD 2 USD up to 1 : 4 120 % 100 % ACWX ACWI Ex-US Index MSCI Ishares -9 % -7 % 0.02 USD 2 USD up to 1 : 4 120 % 100 % ACXM Acxiom Corp -9 % -7 % 0.02 USD 2 USD up to 1 : 4 120 % 100 % ADAT Authentidate Holding -9 % -7 % 0.02 USD 2 USD up to 1 : 4 120 % 100 % ADBE Adobe Systems Incorporated -9 % -7 % 0.02 USD 2 USD up to 1 : 4 120 % 100 % ADEP Adept Technology -9 % -7 % 0.02 USD 2 USD up to 1 : 4 120 % 100 % ADI Analog Devices -9 % -7 % 0.02 USD 2 USD up to 1 : 4 120 % 100 % ADP Automatic Data Processing -9 % -7 % 0.02 USD 2 USD up to 1 : 4 120 % 100 % ADRA Asia 50 ADR Index Bldrs -9 % -7 % 0.02 USD 2 USD up to 1 : 4 120 % 100 % ADRD Dev Mkts 100 ADR Index Bldrs -9 % -7 % 0.02 USD 2 USD up to 1 : 4 120 % 100 % ADRE Emrg Mkts 50 ADR Index Bldrs -9 % -7 % 0.02 USD 2 USD up to 1 : 4 120 % 100 % ADRU Europe 100 ADR Index Bldrs -9 % -7 % 0.02 USD 2 USD up to 1 : 4 120 % 100 % ADSK Autodesk Inc -9 % -7 % 0.02 USD 2 USD up to 1 : 4 120 % 100 % ADTN Adtran Inc -9 % -7 % 0.02 USD 2 USD up to 1 : 4 120 % 100 % ADUS Addus Homecare Corp -9 % -7 % 0.02 USD 2 USD up to 1 : 4 120 % 100 % AEGN Aegoin Corp -9 % -7 % 0.02 USD 2 USD up to 1 : 4 120 % 100 % AEGR Aegerion Pharmaceuticals -9 % -7 % 0.02 USD 2 USD up to 1 : 4 120 % 100 % AEHR Aehr Test Systems -9 % -7 % 0.02 USD 2 USD up to 1 : 4 120 % 100 % AEIS Advanced Energy Industries -9 % -7 % 0.02 USD 2 USD up to 1 : 4 120 % 100 % AEPI AEP Industries Inc -9 % -7 % 0.02 USD 2 USD up to 1 : 4 120 % 100 % AETI American Electric Technologies -9 % -7 % 0.02 USD 2 USD up to 1 : 4 120 % 100 % AEY Addvantage Technologies Group -9 % -7 % 0.02 USD 2 USD up to 1 : 4 120 % 100 % AEZS Aeterna Zentaris -9 % -7 % 0.02 USD 2 USD up to 1 : 4 120 % 100 % AFAM Almost Family Inc -9 % -7 % 0.02 USD 2 USD up to 1 : 4 120 % 100 % AFCB Athens Bancshares Corp -9 % -7 % 0.02 USD 2 USD up to 1 : 4 120 % 100 % AFFX Affymetrix -9 % -7 % 0.02 USD 2 USD up to 1 : 4 120 % 100 % AFOP Alliance Fiber Optic Products -9 % -7 % 0.02 USD 2 USD up to 1 : 4 120 % 100 % AFSI Amtrust Financial Services -9 % -7 % 0.02 USD 2 USD up to 1 : 4 120 % 100 % AGEN Agenus Inc -9 % -7 % 0.02 USD 2 USD up to 1 : 4 120 % 100 % AGII Argo Group International Holdings Ltd -9 % -7 % 0.02 USD 2 USD up to 1 : 4 120 % 100 % AGNC American Capital Agency -9 % -7 % 0.02 USD 2 USD up to 1 : 4 120 % 100 % AGNCP American Capital -9 % -7 % 0.02 USD 2 USD up to 1 : 4 120 % 100 % AGYS Agilysys Inc -9 % -7 % 0.02 USD 2 USD up to 1 : 4 120 % 100 % AHGP Alliance Holdings Gp L.P. -9 % -7 % 0.02 USD 2 USD up to 1 : 4 120 % 100 % !1 FINANCING FEE COMMISSION OVERNIGHT MARGIN TICKER COMPANY STOP OUT LEVERGE CALL LONG SHORT PER STOCK MINIMUM AHPI Allied Healthcare Products -9 % -7 % 0.02 USD 2 USD up to 1 : 4 120 % 100 % AIMC Altra Holdings -9 % -7 % 0.02 USD 2 USD up to 1 : 4 120 % 100 % AINV Apollo Investment Corp -9 % -7 % 0.02 USD 2 USD up to 1 : 4 120 % 100 % AIQ Alliance Healthcare Services -9 % -7 % 0.02 USD 2 USD up to 1 : 4 120 % 100 % AIRM Air Methods Corp -9 % -7 % 0.02 USD 2 USD up to 1 : 4 120 % 100 % AIRT Air T Inc -9 % -7 % 0.02 USD 2 USD up to 1 : 4 120 % 100 % AIXG Aixtron Se -9 % -7 % 0.02 USD 2 USD up to 1 : 4 120 % 100 % AKAM Akamai Technologies -9 % -7 % 0.02 USD 2 USD up to 1 : 4 120 % 100 % AKRX Akorn Inc -9 % -7 % 0.02 USD 2 USD up to 1 : 4 120 % 100 % ALCO Alico Inc -9 % -7 % 0.02 USD 2 USD up to 1 : 4 120 % 100 % ALGN Align Technology -9 % -7 % 0.02 USD 2 USD up to 1 : 4 120 % 100 % ALGT Allegiant Travel Company -9 % -7 % 0.02 USD 2 USD up to 1 : 4 120 % 100 % ALIM Alimera Sciences -9 % -7 % 0.02 USD 2 USD up to 1 : 4 120 % 100 % ALKS Alkermes Plc -9 % -7 % 0.02 USD 2 USD up to 1 : 4 120 % 100 % ALLB Alliance Bank -9 % -7 % 0.02 USD 2 USD up to 1 : 4 120 % 100 % ALLT Allot Communications Ltd -9 % -7 % 0.02 USD 2 USD up to 1 : 4 120 % 100 % ALNY Alnylam Pharmaceuticals -9 % -7 % 0.02 USD 2 USD up to 1 : 4 120 % 100 % ALOG Analogic Corp -9 % -7 % 0.02 USD 2 USD up to 1 : 4 120 % 100 % ALOT Astro-Med -9 % -7 % 0.02 USD 2 USD up to 1 : 4 120 % 100 % ALSK Alaska Communications Systems -9 % -7 % 0.02 USD 2 USD up to 1 : 4 120 % 100 % ALTR Altera Corp -9 % -7 % 0.02 USD 2 USD up to 1 : 4 120 % 100 % ALXA Alexza Pharmaceuticals -9 % -7 % 0.02 USD 2 USD up to 1 : 4 120 % 100 % ALXN Alexion Pharmaceuticals -9 % -7 % 0.02 USD 2 USD up to 1 : 4 120 % 100 % AMAG Amag Pharmaceuticals -9 % -7 % 0.02 USD 2 USD up to 1 : 4 120 % 100 % AMAT Applied Materials -9 % -7 % 0.02 USD 2 USD up to 1 : 4 120 % 100 % AMCC Applied Micro Circuits Corp -9 % -7 % 0.02 USD 2 USD up to 1 : 4 120 % 100 % AMCN Airmedia Group Inc -9 % -7 % 0.02 USD 2 USD up to 1 : 4 120 % 100 % AMCX Amc Networks Inc -9 % -7 % 0.02 USD 2 USD up to 1 : 4 120 % 100 % AMD Advanced Micro Devices -9 % -7 % 0.02 USD 2 USD up to 1 : 4 120 % 100 % AMED Amedisys Inc -9 % -7 % 0.02 USD 2 USD up to 1 : 4 120 % 100 % AMGN Amgen Inc -9 % -7 % 0.02 USD 2 USD up to 1 : 4 120 % 100 % AMIC American Independence -9 % -7 % 0.02 USD 2 USD up to 1 : 4 120 % 100 % AMKR Amkor Technology -9 % -7 % 0.02 USD 2 USD up to 1 : 4 120 % 100 % AMNB American National Bankshares -9 % -7 % 0.02 USD 2 USD up to 1 : 4 120 % 100 % AMOT Allied Motion Technologies -9 % -7 % 0.02 USD 2 USD up to 1 : 4 120 % 100 % AMOV America Movil S.A.B.
Recommended publications
  • Security Master Symbol Description a AGILENT TECHNOLOGIES INC AA
    *The information contained herein is believed to Security Master be reliable but is neither guaranteed by EQIS Capital Management, Inc. its principles nor any affiliated EQIS companies. This information is Symbol Description intended for the exclusive use of investment Adviser Representative. This list is subject to A AGILENT TECHNOLOGIES INC change. AA ALCOA CORP COM Advisor Services are offered through EQIS AAAAX DEUTSCHE ALTERNATIVE ASSET ALLOCATION FU Capital Management, Inc. an SEC Registered AAAP ADVANCED ACCELERATOR APPLIC SPONSORED AD Investment Adviser. For information purposes AAASX DEUTSCHE ALTERNATIVE ASSET ALLOCATION F only, not for public distribution. AABPX AMERICAN BEACON BALANCED INVESTOR AAC AAC HLDGS INC COM AACFX AIM CHINA A AADAX AIM GROWTH ALLOCATION CLASS A AADEX AMERICAN BEACON LARGE CAP VALUE INSTL AADR ADVISORSHARES WCM/BNY MLNFCSD GR ADR ETF AAGIY AIA GROUP LTD SPONS ADR AAGPX AMERICAN BEACON LARGE CAP VALUE INVESTOR AAIFX CROW POINT ALTERNATIVE INCOME FUND AAIPX AMERICAN BEACON INTERNATIONAL EQUITY INV AAL AMERICAN AIRLS GROUP INC COM AAMC ALTISOURCE ASSET MGMT CORP COM AAME ATLANTIC AMERN CORP AAN AARONS, INC. CL A AAOI APPLIED OPTOELECTRONICS INC COM AAON AAON INC PAR $0.004 AAP ADVANCED AUTO PARTS INC AAPC ATLANTIC ALLIANCE PARTNER CORP SHS AAPL APPLE INC COM AAT AMERICAN ASSETS TR INC COM AAU ALMADEN MINERALS LTD AAV ADVANTAGE OIL & GAS LTD AAWW ATLAS AIR WORLDWIDE HLDGS INC COM NEW AAXJ ISHARES MSCI ALL COUNTRY ASIA EX JAPAN I AB ALLIANCEBERNSTEIN HOLDING LP UNIT LTD PA ABAC AOXIN TIANLI GROUP INC NEW
    [Show full text]
  • 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]
  • Tfs Capital Investment Trust
    SECURITIES AND EXCHANGE COMMISSION FORM N-CSRS Certified semi-annual shareholder report of registered management investment companies filed on Form N-CSR Filing Date: 2012-07-02 | Period of Report: 2012-04-30 SEC Accession No. 0001398344-12-002141 (HTML Version on secdatabase.com) FILER TFS CAPITAL INVESTMENT TRUST Mailing Address Business Address 225 PICTORIA DRIVE, SUITE 1800 BAYBERRY COURT CIK:1283381| IRS No.: 200838619 | State of Incorp.:OH | Fiscal Year End: 1030 450 SUITE 103 Type: N-CSRS | Act: 40 | File No.: 811-21531 | Film No.: 12940753 CINCINNATI OH 45246 RICHMOND VA 23226 513-587-3400 Copyright © 2012 www.secdatabase.com. All Rights Reserved. Please Consider the Environment Before Printing This Document OMB APPROVAL OMB Number: 3235-0570 Expires: January 31, 2014 Estimated average burden hours per response: 20.6 UNITED STATES SECURITIES AND EXCHANGE COMMISSION Washington, D.C. 20549 FORM N-CSR CERTIFIED SHAREHOLDER REPORT OF REGISTERED MANAGEMENT INVESTMENT COMPANIES Investment Company Act file number 811-21531 TFS Capital Investment Trust (Exact name of registrant as specified in charter) 1800 Bayberry Court, Suite 103 Richmond, Virginia 23226 Address of principal executive offices) (Zip code) Wade R. Bridge, Esq. Ultimus Fund Solutions, LLC 225 Pictoria Drive, Suite 450 Cincinnati, Ohio 45246 (Name and address of agent for service) Registrant's telephone number, including area code: (804) 484-1401 Date of fiscal year end: October 31, 2012 Date of reporting period: April 30, 2012 Form N-CSR is to be used by management investment companies to file reports with the Commission not later than 10 days after the transmission to stockholders of any report that is required to be transmitted to stockholders under Rule 30e-1 under the Investment Company Act of 1940 (17 CFR 270.30e-1).
    [Show full text]
  • R Trader Instruments Cfds and Stocks
    DE SHARES Ticker Company Ticker Company Ticker Company 1COV.DE COVESTRO AG FNTN.DE FREENET AG P1Z.DE PATRIZIA IMMOBILIEN AG AAD.DE AMADEUS FIRE AG FPE.DE FUCHS PETROLUB vz PBB.DE DEUTSCHE PFANDBRIEFBANK AG ACX1.DE BET-AT-HOME.COM AG FRA.DE FRAPORT AG FRANKFURT AIRPORTPFV.DE PFEIFFER VACUUM TECHNOLOGY ADJ.DE ADO PROPERTIES FRE.DE FRESENIUS PSM.DE PROSIEBENSAT.1 MEDIA SE ADL.DE ADLER REAL ESTATE AG G1A.DE GEA PUM.DE PUMA SE ADS.DE ADIDAS AG G24.DE SCOUT24 AG QIA.DE QIAGEN N.V. ADV.DE ADVA OPTICAL NETWORKING SE GBF.DE BILFINGER SE RAA.DE RATIONAL AFX.DE CARL ZEISS MEDITEC AG - BR GFT.DE GFT TECHNOLOGIES SE RHK.DE RHOEN-KLINIKUM AG AIXA.DE AIXTRON SE GIL.DE DMG MORI RHM.DE RHEINMETALL AG ALV.DE ALLIANZ SE GLJ.DE GRENKE RIB1.DE RIB SOFTWARE SE AM3D.DE SLM SOLUTIONS GROUP AG GMM.DE GRAMMER AG RKET.DE ROCKET INTERNET SE AOX.DE ALSTRIA OFFICE REIT-AG GWI1.DE GERRY WEBER INTL AG S92.DE SMA SOLAR TECHNOLOGY AG ARL.DE AAREAL BANK AG GXI.DE GERRESHEIMER AG SAX.DE STROEER SE & CO KGAA BAS.DE BASF SE HAB.DE HAMBORNER REIT SAZ.DE STADA ARZNEIMITTEL AG BAYN.DE BAYER AG HBM.DE HORNBACH BAUMARKT AG SFQ.DE SAF HOLLAND S.A. BC8.DE BECHTLE AG HDD.DE HEIDELBERGER DRUCKMASCHINENSGL.DE SGL CARBON SE BDT.DE BERTRANDT AG HEI.DE HEIDELBERGCEMENT AG SHA.DE SCHAEFFLER AG BEI.DE BEIERSDORF AG HEN3.DE HENKEL AG & CO KGAA SIE.DE SIEMENS AG BIO4.DE BIOTEST AG HLAG.DE HAPAG-LLOYD AG SIX2.DE SIXT SE BMW.DE BAYERISCHE MOTOREN WERKE AGHLE.DE HELLA KGAA HUECK & CO SKB.DE KOENIG & BAUER AG BNR.DE BRENNTAG AG HNR1.DE HANNOVER RUECK SE SPR.DE AXEL SPRINGER SE BOSS.DE HUGO BOSS
    [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]
  • 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]
  • September 2014 M&A and Investment Summary
    September 2014 M&A and Investment Summary Expertise. Commitment. Results. Table of Contents 1 Overview of Monthly M&A and Investment Activity 3 2 Monthly M&A and Investment Activity by Industry Segment 9 3 Additional Monthly M&A and Investment Activity Data 42 4 About Petsky Prunier 57 Securities offered through Petsky Prunier Securities, LLC, member of FINRA. This M&A and Investment Summary has been prepared by and is being distributed in the United States by Petsky Prunier, a broker dealer register with the U.S. SEC and a member of FINRA. Petsky Prunier is not affiliated with Altium Capital Ltd, but has partnered with Altium to expand its international presence. Altium has not prepared or verified the information in this Summary. Persons in the United States should contact Petsky Prunier for further information or services. This M&A and Investment Summary is not being distributed by Altium Capital Ltd in the United States and Altium Capital Ltd is not offering any services to persons in the United States. 2| M&A and Investment Summary September 2014 M&A and Investment Summary for All Segments Transaction Distribution . A total of 428 deals were announced in September 2014, of which 236 were worth $37.5 billion in aggregate reported value . Software was the most active and highest reported value segment with 92 deals announced, of which 46 were reported at $13.5 billion in aggregate value . Digital Media/Commerce was another active segment with 85 transactions that were worth $4.5 billion . Strategic buyers announced 197 deals (46 percent of total volume), of which 40 were worth $24.9 billion in aggregate value .
    [Show full text]
  • List of Section 13F Securities
    List of Section 13F Securities First Quarter FY 2016 Copyright (c) 2016 American Bankers Association. CUSIP Numbers and descriptions are used with permission by Standard & Poors CUSIP Service Bureau, a division of The McGraw-Hill Companies, Inc. All rights reserved. No redistribution without permission from Standard & Poors CUSIP Service Bureau. Standard & Poors CUSIP Service Bureau does not guarantee the accuracy or completeness of the CUSIP Numbers and standard descriptions included herein and neither the American Bankers Association nor Standard & Poor's CUSIP Service Bureau shall be responsible for any errors, omissions or damages arising out of the use of such information. U.S. Securities and Exchange Commission OFFICIAL LIST OF SECTION 13(f) SECURITIES USER INFORMATION SHEET General This list of “Section 13(f) securities” as defined by Rule 13f-1(c) [17 CFR 240.13f-1(c)] is made available to the public pursuant to Section13 (f) (3) of the Securities Exchange Act of 1934 [15 USC 78m(f) (3)]. It is made available for use in the preparation of reports filed with the Securities and Exhange Commission pursuant to Rule 13f-1 [17 CFR 240.13f-1] under Section 13(f) of the Securities Exchange Act of 1934. An updated list is published on a quarterly basis. This list is current as of March 15, 2016, and may be relied on by institutional investment managers filing Form 13F reports for the calendar quarter ending March 31, 2016. Institutional investment managers should report holdings--number of shares and fair market value--as of the last day of the calendar quarter as required by [ Section 13(f)(1) and Rule 13f-1] thereunder.
    [Show full text]
  • Endodontics • Infection Control @Septodont USA Contact Your Septodont Rep
    A partnered publicationFor Dental with Dental Sales Professionals Sales Pro • www.dentalsalespro.com June, 2010 For Dental Sales Professionals April 2013 Selling opportunities around implants Many implants are sold direct, but there are still opportunities for dealer reps Alcohol Free. Fragrance Free. Worry Free. Introducing NEW Sani-Cloth® AF3. Protecting your patients has never been easier! • Ideal for use around patients and staff Fragrance free formulation. No harsh odors. NEW! • Quat-based disinfection against TB, HIV, HBV and HCV Effective against 44 microorganisms in 3 minutes. • Perfect for equipment and other hard surfaces sensitive to alcohol Compatible with most healthcare equipment. Providing solutions for your customers is as easy as AF3! FREE sample at pdipdi.com/AF3 © 2013 PDI. SELLTO WIN! Win a 32GB Apple® iPad mini when you sell $5000 in any combination of: • OraVerse® (Phentolamine Mesylate) • Biodentine® (15 & 5 Pack) • N’Durance® Dimer Core • N’Durance® Universal Composite • N’Durance® Cristal Composite • N’Durance® Dimer Flow Orders effective 1/1/13 - 6/30/13 Contact your Septodont Rep! Photo courtesy of Apple® Inc. •Utilize this opportunity to build your business, while helping dentists innovate their’s. Please allow 4-8 weeks for delivery. Sales of Biodentine, OraVerse and the following N’Durance products only: Dimer Core, Universal Composite and Dimer Flow will be accumulated from January 1, 2013-June 30, 2013. N’Durance Dimer Core, N’Durance Universal Composite, N’Durance Cristal, N’Durance Dimer Flow, OraVerse and Biodentine are all registered trademarks of Septodont Inc. Not to be combined with any other Septodont offer. Apple® is a registered trademark of Apple Inc.
    [Show full text]
  • List of Section 13F Securities, First Quarter, 2014
    List of Section 13F Securities First Quarter FY 2014 Copyright (c) 2014 American Bankers Association. CUSIP Numbers and descriptions are used with permission by Standard & Poors CUSIP Service Bureau, a division of The McGraw-Hill Companies, Inc. All rights reserved. No redistribution without permission from Standard & Poors CUSIP Service Bureau. Standard & Poors CUSIP Service Bureau does not guarantee the accuracy or completeness of the CUSIP Numbers and standard descriptions included herein and neither the American Bankers Association nor Standard & Poor's CUSIP Service Bureau shall be responsible for any errors, omissions or damages arising out of the use of such information. U.S. Securities and Exchange Commission OFFICIAL LIST OF SECTION 13(f) SECURITIES USER INFORMATION SHEET General This list of “Section 13(f) securities” as defined by Rule 13f-1(c) [17 CFR 240.13f-1(c)] is made available to the public pursuant to Section13 (f) (3) of the Securities Exchange Act of 1934 [15 USC 78m(f) (3)]. It is made available for use in the preparation of reports filed with the Securities and Exhange Commission pursuant to Rule 13f-1 [17 CFR 240.13f-1] under Section 13(f) of the Securities Exchange Act of 1934. An updated list is published on a quarterly basis. This list is current as of March 15, 2014, and may be relied on by institutional investment managers filing Form 13F reports for the calendar quarter ending March 31, 2014. Institutional investment managers should report holdings--number of shares and fair market value--as of the last day of the calendar quarter as required by [ Section 13(f)(1) and Rule 13f-1] thereunder.
    [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]