Industry List

Industry: Packaged Foods as of 02/06/2026
Industry Technical Rank: 42
Industry Technical Score: 91
Rank Symbol Company
Name
List RS
Rank
Close Vol
50 dma
1 FAX
98 15.41 179694.6
2 LFVN
Lifevantage Corporation (lfvn)
97 24.24 152860.3
3 CDXC
Chromadex Corporation (cdxc)
96 5.95 588234.72
4 ATPC
Agape Atp Corporation (atpc)
94 1.64 1904972.04
5 BOF
Branchout Food Inc. (bof)
94 2.13 203125.8
6 LSF
Laird Superfood, Inc. (lsf)
93 7 94712.22
7 RKDA
Arcadia Biosciences, Inc. (rkda)
92 5.1199 1497446.16
8 JVA
Coffee Holding Co., Inc. (jva)
89 3.7 119846.64
9 RCG
Renn Fund, Inc
89 2.82 16696.96
10 DTM
Dt Midstream, Inc. (dtm)
88 111.41 949373.92
11 EQT
Eqt Corporation (eqt)
88 53.68 7700195.82
12 FRPT
Freshpet, Inc. (frpt)
87 158.36 473669.62
13 AE
Adams Resources & Energy, Inc. (ae)
86 37.9 16485.54
14 KMI
Kinder Morgan, Inc. (kmi)
86 30.27 13196651.56
15 KSM
Dws Strategic Municipal Inco
86 30.27 13196651.56
16 CRGY
Crescent Energy Company (crgy)
85 15.99 3340148.82
17 BRBR
Bellring Brands, Inc. (brbr)
84 76 995025.64
18 TPZ
Tortoise Power And Energy Infrastructure Fund, Inc
82 21.9 126254.42
19 CEE
81 12.97 23171.24
20 CEM
Clearbridge Mlp And Midstream Fund Inc.
81 12.97 23171.24
21 KYN
Kayne Anderson Energy Infrastructure Fund, Inc.
81 13.561 503906.12
22 NXG
Nxg Nextgen Infrastructure Inco
81 52.59 36890.82
23 OIS
Oil States International, Inc. (ois)
80 5.54 513775.76
24 SENEA
Seneca Foods Corporation (senea)
79 74.41 18070.26
25 TPX
Tempur Sealy International, Inc. (tpx)
79 60.07 1360591.66
26 K
Kellanova (k)
78 81.87 1992160.9
27 EMO
77 50.75 51554.8
28 EP
Empire Petroleum Corporation (ep)
77 6.18 29927.1
29 LWAY
Lifeway Foods, Inc. (lway)
77 23.36 81875.28
30 CLNE
Clean Energy Fuels Corp. (clne)
75 3.15 2192318.74
31 MAMA
Lifeway Foods, Inc. (lway)
75 7.9 383948.46
32 NML
Neuberger Berman Energy Infrastructure And Inco
75 9.35 233846.72
33 OKE
Oneok, Inc. (oke)
75 104.53 3105656.5
34 SENEB
Seneca Foods Corporation (seneb)
75 71.7 292.72
35 SFE
Safeguard Scientifics, Inc.
75 71.7 292.72
36 BSTZ
Blackrock Science And Technology Term Trust (bstz)
74 21.98 202228.14
37 BTO
John Hancock Financial Opportunities Fund (bto)
74 36.94 45755.48
38 ECF
74 10.06 36383.22
39 EOS
74 24.56 114619.5
40 BCV
Bancroft Fund Ltd. (bcv)
73 18.46 16992.14
41 UTG
Reaves Utility Inco
73 34.42 279769.4
42 CLM
72 8.79 2068810.26
43 CTRA
Coterra Energy Inc. (ctra)
72 29.02 6550245.3
44 HESM
Hess Midstream Lp (hesm)
72 41.28 861360.32
45 USAC
Usa Compression Partners, Lp (usac)
72 26.2 293776.9
46 QQQX
Nuveen Nasdaq 100 Dynamic Overwrite Fund
71 27.74 118726.1
47 SPE
Special Opportunities Fund, Inc
71 15.34 38774.58
48 NCZ
Virtus Convertible & Inco
70 3.32 367633
49 NDP
Tortoise Energy Independence Fund, Inc.
70 3.32 367633
50 SRV
Nxg Cushing Midstream Energy Fund
70 48.92 46085.78
51 BIGZ
Blackrock Innovation And Growth Term Trust (bigz)
69 8.21 795143.48
52 CSQ
69 18.44 192747.52
53 CTR
Clearbridge Mlp And Midstream Total Return Fund In
69 18.44 192747.52
54 EOI
69 21.22 82607.7
55 SMPL
The Simply Good Foods Company (smpl)
69 37.5 1091323.36
56 SNAX
Stryve Foods, Inc.
69 37.5 1091323.36
57 VIOT
Viomi Technology Co., Ltd (viot)
69 1.443 211052.42
58 CRF
68 8.8 1024367.84
59 DPG
68 11.88 96788.6
60 FSCO
68 6.96 815700.7
61 FSD
68 6.96 815700.7
62 SPXX
Nuveen S&p 500 Dynamic Ov
68 17.99 34252.44
63 BST
Blackrock Science And Technology Trust (bst)
67 38.84 110870.44
64 ETY
67 15.34 232190.42
65 FGB
67 4.39 37210.64
66 FIF
67 4.39 37210.64
67 FTLF
Fitlife Brands, Inc. (ftlf)
67 31.67 12835.54
68 MCI
Barings Corporate Investors
67 20.94 39012.5
69 NIE
Virtus Equity & Convertible Inco
67 25.01 64294.7
70 RVT
Royce Small-cap Trust, Inc.
67 16.61 301346.14
71 CII
66 21.08 110946.32
72 ETB
66 15.27 54369.16
73 JCE
Nuveen Core Equity Alpha Fund
66 16.02 30997.48
74 JCTCF
66 16.02 30997.48
75 NAZ
Nuveen Arizona Quality Municipal Inco
66 12.3 32842.52
76 PPC
Pilgrim's Pride Corporation (ppc)
66 45.57 993670.36
77 RMT
Royce Micro-cap Trust, Inc.
66 10.21 109240.16
78 SCD
Lmp Capital And Inco
66 17.6 33241.78
79 SCU
Sculptor Capital Management, Inc.
66 17.6 33241.78
80 VTOL
Bristow Group Inc. (vtol)
66 35.17 121408.02
81 ASG
Liberty All-star Growth Fund, Inc. (asg)
65 5.88 299820.32
82 ERH
65 11.195 28107.46
83 NCV
Virtus Convertible & Inco
65 3.62 558625.96
84 NOA
North American Construction Group Ltd. (noa)
65 20.32 51863.42
85 OII
Oceaneering International, Inc. (oii)
65 26.45 770830.72
86 STEW
Srh Total Return Fund, Inc.
65 16.52 86946.06
87 ACV
Virtus Diversified Income & Convertible Fund (acv)
64 22.92 28459.14
88 BRID
Bridgford Foods Corporation (brid)
64 10.51 4834.1
89 CCD
64 24.51 55012.12
90 CHN
64 11.87 30949.6
91 DIAX
64 15.55 61067.06
92 ETV
64 14.47 213066.86
93 GHY
64 13.24 225173
94 GIM
Templeton Global Inco
64 13.24 225173
95 INGR
Ingredion Incorporated (ingr)
64 135.76 497405.22
96 BGH
Barings Global Short Duration High Yield Fund (bgh
63 15.84 64258.02
97 FCO
63 6.28 68207.78
98 FFA
63 20.975 25720.96
99 GCV
63 3.91 51453.2
100 GDV
63 25.12 141221.74
101 HYB
New America High Inco
63 8.2 75989.24
102 MSD
Morgan Stanley Emerging Markets Debt Fund, Inc.
63 7.979 85951.52
103 BRW
Saba Capital Income & Opportunities Fund (brw)
62 7.75 270385.48
104 BXMX
Nuveen S&p 500 Buy-write Income Fund (bxmx)
62 14.15 175458.46
105 NOM
Nuveen Missouri Quality Municipal Inco
62 11.1 6683.14
106 VCV
Invesco California Value Municipal Inco
62 10.8 157871.3
107 DHF
61 2.63 225811.74
108 FT
61 7.52 42282.34
109 NPV
Nuveen Virginia Quality Municipal Inco
61 12.61 32090.66
110 AVK
Advent Convertible And Income Fund (avk)
60 12.24 193084.78
111 AVTA
Avantax, Inc.
60 12.24 193084.78
112 BOE
Blackrock Enhanced Global Dividend Trust (boe)
60 11.39 143908.02
113 FLC
60 17.01 30847.48
114 GLQ
60 7.015 83263.84
115 STK
Columbia Seligman Premium Technology Growth Fund I
60 33.88 43474.16
116 BDJ
Blackrock Enhanced Equity Dividend Trust (bdj)
59 8.78 540631.18
117 BRLS
Borealis Foods Inc. (brls)
59 5.915 5278.58
118 BXSL
Blackstone Secured Lending Fund (bxsl)
59 32.7 978742.44
119 CHW
59 6.92 153326.9
120 DMA
59 8.6 23357.6
121 EOD
59 5.02 136116.44
122 ETJ
59 9.26 122156.2
123 FFC
59 15.93 136754.14
124 GAB
59 5.65 598101.88
125 GAM
59 53.02 28182.94
126 HTD
59 22.62 70408.9
127 HTY
John Hancock Ta
59 22.62 70408.9
128 NFJ
Virtus Dividend, Interest & Premium Strategy Fund
59 13.1 234882.08
129 PDT
John Hancock Premium Divi
59 12.84 123981.24
130 DFP
58 20.42 50296.72
131 EAD
58 7.02 159455.38
132 ETO
58 26.21 24263.34
133 ETW
58 8.6 314916.82
134 JLS
Nuveen Mortgage And Inco
58 18.64 16464.94
135 JPC
Nuveen Preferred & Inco
58 7.98 1041360.5
136 NVGS
Navigator Holdings Ltd. (nvgs)
58 16.36 166087.62
137 RA
Brookfield Real Assets Inco
58 13.5 226585.48
138 BUI
Blackrock Utilities, Infrastructure & Power Opport
57 23.6 50920.58
139 CGO
57 11.34 25628.36
140 EOG
Eog Resources, Inc. (eog)
57 131.82 3182254.58
141 EVT
57 24.6 122893.28
142 JGH
Nuveen Global High Inco
57 13.16 49313.28
143 JRS
Nuveen Real Estate Inco
57 8.65 72170.02
144 PFO
Flaherty & Crumrine Preferred And Inco
57 9.14 33282.26
145 PHT
Pioneer High Inco
57 7.88 59847.8
146 TY
Tri Continental Corporation
57 32.91 49319.16
147 USA
Liberty Al
57 7.17 692953.58
148 ARDC
Ares Dynamic Credit Allocation Fund, Inc. (ardc)
56 15.12 77818.6
149 ARGO
Argo Group International
56 15.12 77818.6
150 BGB
Blackstone Strategic Credit 2027 Term Fund (bgb)
56 12.395 202658.82
151 BMN
Blackrock 2037 Municipal Target Term Trust (bmn)
56 25.3535 16714.48
152 ERC
56 9.34 141547.52
153 ERF
56 9.34 141547.52
154 ETG
56 19.05 130728.02
155 EXG
56 8.54 559798.82
156 FAM
56 8.54 559798.82
157 FAMI
Farmmi, Inc. (fami)
56 8.54 559798.82
158 GGZ
56 12.315 21318.6
159 GLO
56 5.37 182277.34
160 ISD
Pgim High Yield Bond Fund, Inc.
56 13.8 134765.66
161 MHI
Pioneer Municipal High Inco
56 9.37 52882.16
162 NMT
Nuveen Massachusetts Quality Municipal Inco
56 11.54 29544.46
163 SWZ
Swiss Helvetia Fund, Inc.
56 8.52 46570.24
164 AEF
Abrdn Emerging Markets Equity Income Fund Inc (aef
55 5.425 130256.58
165 EMD
55 9.83 194249.84
166 FOF
55 12.63 47937.96
167 FTF
55 6.62 198917.84
168 GNT
55 5.81 34762.68
169 JHI
John Hancock Investors Trust
55 14.05 17973.86
170 NMZ
Nuveen Municipal High Inco
55 11.05 352667.04
171 NPFD
Nuveen Variable Rate Preferred & Inco
55 18.9 94054.22
172 PGP
Pimco Global Stocksplus & Inco
55 7.94 38936.34
173 BGX
Blackstone / Gso Long-short Credit Income Fund (bg
54 12.78 70051.92
174 DMF
54 7.19 40517.18
175 EFT
54 13.55 79524.22
176 GDL
54 8.212 12861.04
177 MAV
Pioneer Municipal High Inco
54 8.52 54823.88
178 NAN
Nuveen New York Quality Municipal Inco
54 11.45 98539.52
179 NXP
Nuveen Select Tax Free Inco
54 14.89 92446.52
180 TDF
Templeton Dragon Fund, Inc.
54 8.61 86461.26
181 ADX
Adams Diversified Equity Fund, Inc. (adx)
53 21.28 340805.54
182 AWF
Alliancebernstein Global High Income Fund (awf)
53 10.87 243743.86
183 BLW
Blackrock Limited Duration Income Trust (blw)
53 14.23 88823.12
184 DBL
53 15.6 63258.84
185 EFR
53 13.18 63911.82
186 EGF
53 9.8617 2080
187 GUT
53 5.55 294750.32
188 JOF
Japan Smaller Capitalization Fund Inc
53 7.77 58737.26
189 PTY
Pimco Corporate & Inco
53 14.58 632231.7
190 PUYI
Puyi Inc.
53 14.58 632231.7
191 PXD
Pioneer Natural Resources Company
53 14.58 632231.7
192 BGR
Blackrock Energy And Resources Trust (bgr)
52 13.33 83399.1
193 BSL
Blackstone Senior Floating Rate 2027 Term Fund (bs
52 14.34 57252.4
194 CAF
52 12.55 38033.44
195 CIF
52 1.75 61397.62
196 CMU
52 3.505 56670.7
197 CXH
52 7.96 19134.26
198 DTF
52 11.25 30612.18
199 EVV
52 10.12 314784.12
200 IAF
Abrdn Australia Equity Fund, Inc.
52 4.46 64423.02
201 JRI
Nuveen Real Asset Inco
52 12.59 138243.18
202 LGI
Lazard Global Total Return And Inco
52 16.77 51795.1
203 OCCIN
Ofs Credit Company, Inc.
52 23.8398 1782.96
204 OCCIO
Ofs Credit Company, Inc.
52 24.88 911.9
205 OXLCP
Oxford Lane Capital Corp.
52 24.1549 4324.5
206 PIM
Putnam Master Intermediate Inco
52 3.285 55993.64
207 AOD
Abrdn Total Dynamic Dividend Fund (aod)
51 8.68 614468.52
208 ARCE
Arco Platform Limited
51 8.68 614468.52
209 DHY
51 2.14 389422.1
210 EVG
51 11.075 42889.8
211 FCT
51 10.405 140916.9
212 FDEU
First Trust Dynamic Europe Equity Inco
51 10.405 140916.9
213 FEI
51 10.405 140916.9
214 FEN
51 10.405 140916.9
215 HYI
Western Asset High Yield Defined Opportunity Fund
51 12.02 57045.14
216 IGA
Voya Global Advantage And Premium Opportunity Fund
51 9.401 47438.8
217 IGD
Voya Global Equity Divide
51 5.525 279144.04
218 NVG
Nuveen Amt-free Municipal Credit Inco
51 12.46 677737.68
219 OXLCN
Oxford Lane Capital Corp.
51 24.37 3178.86
220 PCF
High Inco
51 6.64 146671.3
221 PFD
Flaherty & Crumrine Preferred And Inco
51 11.25 25817.6
222 RQI
Cohen & Steers Quality Inco
51 12.82 369342.94
223 WEA
Western Asset Bond Fund S
51 11.05 31551.54
224 CLMT
Calumet, Inc. (clmt)
50 16.68 921500.76
225 DSL
50 12.57 405427.38
226 GLU
50 15.45 15304.38
227 MCR
Mfs Charter Inco
50 6.34 100845
228 MFD
50 6.34 100845
229 OXLCO
Oxford Lane Capital Corp.
50 22.9499 2950.06
230 PFN
Pimco Inco
50 7.42 302578.82
231 CHI
49 11.43 151274.04
232 CHK
Expand Energy Corporation (exe)
49 11.43 151274.04
233 FPF
49 18.55 156256.4
234 FPL
49 18.55 156256.4
235 HIO
49 3.92 502004.64
236 MFM
Mfs Municipal Inco
49 5.41 105554.68
237 MFV
Mfs Special Value Trust
49 5.41 105554.68
238 NMS
Nuveen Minnesota Quality Municipal Inco
49 12.28 14279
239 PAXS
Pimco Access Inco
49 15.9 301457.36
240 PPT
Putnam Premier Inco
49 3.59 198489.5
241 BGY
Blackrock Enhanced International Dividend Trust (b
48 5.54 265785.8
242 BTZ
Blackrock Credit Allocation Income Trust (btz)
48 10.64 273786.62
243 DNP
48 9.27 733967.52
244 ENX
48 9.631 46561.76
245 EVM
48 9.4 84953.04
246 GRF
48 9.7583 7080.18
247 JEQ
Abrdn Japan Equity Fund, Inc.
48 5.86 38741.48
248 MHF
Western Asset Municipal High Inco
48 7.01 69069.06
249 MIN
Mfs Intermediate Inco
48 2.68 227359.3
250 MINDP
Mind Technology, Inc.
48 2.68 227359.3
251 MVF
Blackrock Munivest Fund, Inc.
48 7.17 124301.06
252 NZF
Nuveen Municipal Credit Inco
48 12.35 690802.04
253 PMM
Putnam Managed Municipal Inco
48 6.15 155987.28
254 PMO
Putnam Municipal Opportunities Trust (pmo)
48 10.3 112647.12
255 PSF
Cohen & Steers Select Preferred And Income Fund, I
48 20.1 37857.98
256 VKI
Invesco Advantage Municipal Inco
48 8.74 166500.12
257 ECCC
47 22.9999 3093.4
258 FTAIN
47 25.41 11679.3
259 HNW
47 11.96 28520.04
260 HYT
Blackrock Corporate High Yield Fund, Inc.
47 9.8 554420.24
261 HYW
47 9.8 554420.24
262 NAD
Nuveen Quality Municipal Inco
47 11.64 887429.16
263 OCCI
Ofs Credit Company, Inc.
47 7.08 269883.08
264 PAI
Western Asset Investment Grade Inco
47 12.31 13903.66
265 PAVS
47 12.31 13903.66
266 PCN
Pimco Corporate & Inco
47 13.49 217410.56
267 PFL
Pimco Inco
47 8.41 157780.6
268 RLTY
Cohen & Steers Real Estate Opportunities And Inco
47 15.42 92538.22
269 VGM
Invesco Trust For Investment Grade Municipals
47 10.07 184822.62
270 VKQ
Invesco Municipal Trust
47 9.78 161263.66
271 VLT
Invesco High Inco
47 10.95 23052.76
272 HQH
46 17.77 261896.9
273 MHD
Blackrock Muniholdings Fund, Inc.
46 11.95 109566.64
274 MUE
Blackrock Muniholdings Quality Fund Ii, Inc.
46 10.1601 83450.92
275 VVR
Invesco Senior Inco
46 4.07 1055317.02
276 EVF
43 6.26 52845.82
277 IMG
Nocera, Inc. (ncra)
43 0.75 4400096.8
278 MKC.V
Western Asset Inflation-linked Opportunities & Inc
43 8.55 246002.56
279 NMI
Nuveen Municipal Inco
43 9.64 33402.8
280 PHK
Pimco High Inco
43 4.92 652469.68
281 WIW
Western Asset Inflation-linked Opportunities & Inc
43 8.55 246002.56
282 AFB
Alliancebernstein National Municipal Income Fund,
42 11.01 69172.22
283 AFT
42 11.01 69172.22
284 AIF
42 11.01 69172.22
285 AINC
42 11.01 69172.22
286 AMK
Assetmark Financial Holdings, Inc.
42 11.01 69172.22
287 BLE
Blackrock Municipal Income Trust Ii (ble)
42 10.67 133258.54
288 BTT
Blackrock Municipal 2030 Target Term Trust (btt)
42 20.92 202710.12
289 CUBA
42 2.4405 48962.62
290 CXE
42 3.7 92368.52
291 EHI
42 6.83 117957.5
292 EVN
42 10.36 134840.96
293 IQI
Invesco Quality Municipal Inco
42 9.78 189186.08
294 JQC
Nuveen Credit Strategies Inco
42 5.62 684711.2
295 MIY
Blackrock Muniyield Michigan Quality Fund, Inc.
42 11.4 78092.4
296 MMU
Western Asset Managed Municipals Fund, Inc.
42 10.26 178918.06
297 MNP
Western Asset Municipal Partners Fund, Inc.
42 10.26 178918.06
298 MUI
Blackrock Municipal Inco
42 12.12 482587.48
299 NUV
Nuveen Municipal Value Fund, Inc.
42 8.7 592119.02
300 TEAF
Tortoise Sustainable And Social Impact Term Fund
42 12.28 34106.52
301 VGI
Virtus Global Multi-sector Inco
42 7.67 39845.38
302 VMO
Invesco Municipal Opportunity Trust
42 9.69 298964.8
303 WIA
Western Asset Inflation-linked Inco
42 8.08 37741.74
304 BBN
Blackrock Taxable Municipal Bond Trust (bbn)
41 16.29 202597.78
305 BFK
Blackrock Municipal Income Trust (bfk)
41 10.07 123581.08
306 BHV
Blackrock Virginia Municipal Bond Trust (bhv)
41 10.89 4565.74
307 BSM
Black Stone Minerals, L.p. (bsm)
41 15.24 532852
308 CIK
41 2.96 526036.62
309 DSU
41 10.75 251512.12
310 EDD
41 4.69 266900.44
311 FTAIO
41 25.37 33921.52
312 FTAIP
Ftai Aviation Ltd.
41 25.37 33921.52
313 HEQ
41 10.485 36426.14
314 LEO
Bny Mellon Strategic Municipals, Inc.
41 6.12 187610.7
315 MMT
Mfs Multimarket Inco
41 4.63 98052.54
316 MQT
Blackrock Muniyield Quality Fund Ii, Inc.
41 10.145 75736.34
317 RGT
Royce Global Trust, Inc.
41 11.13 16112.64
318 UTF
Cohen & Steers Infrastructure Fund, Inc
41 24.41 198896.56
319 VFL
Abrdn National Municipal Inco
41 10.37 40369.22
320 EDF
40 5.1 141625.74
321 EDI
Virtus Stone Harbor Emerging Markets Total Inco
40 5.1 141625.74
322 GOF
40 15.14 907677.88
323 GRX
40 10.11 28967.28
324 HES
Hess Corporation (hes)
40 144.4 1824951.16
325 JPI
Nuveen Preferred Securities & Inco
40 20.1 26579.2
326 JPS
Nuveen Preferred & Inco
40 20.1 26579.2
327 NAC
Nuveen California Quality Municipal Inco
40 11.18 504319.44
328 NBB
Nuveen Taxable Municipal Inco
40 15.47 96136.24
329 NEA
Nuveen Amt-free Quality Municipal Inco
40 11.21 1151590.38
330 NIM
Nuveen Select Maturities Municipal Fund
40 8.98 56091.02
331 NKX
Nuveen California Amt-free Quality Municipal Inco
40 12.67 120366.72
332 BIT
Blackrock Multi-sector Income Trust (bit)
39 14.68 173190.58
333 BKCC
Blackrock Capital Investment Corporation
39 14.68 173190.58
334 BME
Blackrock Health Sciences Trust (bme)
39 40.19 67604.58
335 BWG
Legg Mason Bw Global Income Opportunities Fund Inc
39 8.28 74622.44
336 DHT
Dht Holdings, Inc. (dht)
39 10.8 1928229.34
337 DMB
39 10.38 81677.74
338 DSM
39 5.81 142834.86
339 FMY
39 11.84 4171.58
340 FUND
39 7.65 43231.14
341 GGT
39 4.835 101054.32
342 JHS
John Hancock Inco
39 11.1608 9786.34
343 MVT
Blackrock Munivest Fund Ii, Inc.
39 10.67 84463.62
344 NUW
Nuveen Am
39 13.69 56415.66
345 NXN
Nuveen New York Select Tax-free Inco
39 11.64 17796.88
346 PDI
Pimco Dynamic Inco
39 19.03 1995304.16
347 PHD
Pioneer Floating Rate Fund, Inc.
39 9.615 63332.32
348 PTA
Cohen & Steers Tax-advantaged Preferred Securities
39 19.66 182601.38
349 RIV
Rivernorth Opportunities Fund, Inc.
39 12.11 91011.34
350 TEI
Templeton Emerging Markets Inco
39 5.35 158508.04
351 TSI
Tcw Strategic Inco
39 4.81 65863.66
352 TTP
Tortoise Pipeline & Energy Fund, Inc.
39 4.81 65863.66
353 BCX
Blackrock Resources & Commodities Strategy Trust (
38 9.15 282136.96
354 BKT
Blackrock Income Trust, Inc. (bkt)
38 11.57 63400.48
355 BYM
38 11.24 104309.3
356 EMF
38 12.32 48397.82
357 GLV
38 5.57 34220.5
358 HPI
38 17.16 50915.66
359 IIM
Invesco Value Municipal Inco
38 11.94 180347.84
360 INSI
Insight Select Inco
38 16.62 35580.32
361 KTF
Dws Municipal Inco
38 9.45 113669.2
362 MGF
Mfs Government Markets Inco
38 3.08 71882.62
363 MHN
Blackrock Muniholdings New York Quality Fund, Inc.
38 10.37 76066.32
364 MPV
Barings Participation Investors
38 16.25 34452.32
365 MUJ
Blackrock Muniholdings New Jersey Quality Fund, In
38 11.3 171369.8
366 NBH
Neuberger Berman Municipal Fund Inc.
38 10.525 115644.06
367 NBO
Neuberger Berman New York Municipal Fund Inc.
38 10.525 115644.06
368 VBF
Invesco Bond Fund
38 15.66 30423.26
369 DMLP
Dorchester Minerals, L.p. (dmlp)
37 32.31 150555.14
370 DMO
37 11.65 60569.96
371 EIM
37 10.11 173493.56
372 EOT
37 16.77 57379.78
373 ETX
37 18.17 33375.9
374 MYI
Blackrock Muniyield Quality Fund Iii, Inc
37 11.04 270982.76
375 MYN
Blackrock Muniyield New York Quality Fund, Inc.
37 10.1 106075.18
376 NXC
Nuveen California Select Tax-free Inco
37 13.04 23407.62
377 OXLC
Oxford Lane Capital Corp.
37 5.12 5015659.88
378 OXLCM
Oxford Lane Capital Corp.
37 5.12 5015659.88
379 PEO
Adams Natural Resources Fund, Inc.
37 23.11 69223.18
380 SBI
Western Asset Intermediate Muni Fund Inc
37 7.75 50360.34
381 BGT
Blackrock Floating Rate Income Trust (bgt)
36 12.69 175003.32
382 BNY
Blackrock New York Municipal Income Trust (bny)
36 10.31 65711.4
383 FTAIM
36 25.65 8561.16
384 HQL
36 14.09 119975.04
385 IAE
Voya Asia Pacific High Dividend Equity Inco
36 6.21 42441.8
386 IDE
Voya Infrastructure, Industrials And Materials Fun
36 10.6 98571.12
387 IDEX
Ideanomics, Inc.
36 10.6 98571.12
388 JFR
Nuveen Floating Rate Inco
36 8.56 783917.84
389 MKC
Mccormick & Company, Incorporated (mkc)
ATR 36 74.89 1866337.38
390 MUC
Blackrock Muniholdings California Quality Fund, In
36 10.75 365884.2
391 NATR
Nature's Sunshine Products, Inc. (natr)
36 14.44 38529.24
392 NOG
Northern Oil And Gas, Inc. (nog)
36 37.94 1328196.4
393 OPP
Rivernorth/doubleline Strategic Opportunity Fund,
36 8.42 153414.18
394 OTLY
Oatly Group Ab
36 8.42 153414.18
395 SOR
Source Capital, Inc.
36 42.1 14468.08
396 BTA
Blackrock Long-term Municipal Advantage Trust (bta
35 9.82 42243.28
397 CHY
35 11.35 193744.76
398 EEA
35 8.6 23108.9
399 FMN
35 11.06 40317.86
400 MPA
Blackrock Muniyield Pennsylvania Quality Fund (mpa
35 11.842 22921.7
401 MYD
Blackrock Muniyield Fund, Inc.
35 10.63 184734.12
402 NRK
Nuveen New York Amt-free Quality Municipal Inco
35 10.5 249581.2
403 PNI
Pimco New York Municipal Inco
35 7.13 68919.5
404 POST
Post Holdings, Inc. (post)
35 106.72 648540.66
405 RFI
Cohen & Steers Total Return Realty Fund, Inc.
35 11.87 84508.16
406 RGF
The Real Good Food Company, Inc.
35 11.87 84508.16
407 RMM
Rivernorth Managed Duration Municipal Inco
35 14.8583 78239.9
408 RNP
Cohen & Steers Reit And Preferred And Inco
35 21.41 118171.86
409 THQ
Abrdn Healthcare Opportun
35 20.41 215696.24
410 FRA
34 13.1 246342.44
411 HIX
34 4.25 506276.86
412 IGI
Western Asset Investment Grade Defined Opportunity
34 16.34 19742.72
413 IHD
Voya Emerging Markets High Inco
34 5.19 83305.78
414 IHIT
Invesco High Inco
34 5.19 83305.78
415 NCRA
Nocera, Inc. (ncra)
34 1.0007 245120.36
416 NNY
Nuveen New York Municipal Value Fund
34 8.085 83002.06
417 NXJ
Nuveen New Jersey Qualifi
34 11.99 135591.24
418 PGZ
Princi
34 10.15 39070.82
419 AWP
Abrdn Global Premier Properties Fund (awp)
33 4 346386.34
420 CCIF
33 7.76 147837.44
421 GF
33 8.17 36519.32
422 PCK
Pimco California Municipal Inco
33 5.655 143636.78
423 PNF
Pimco New York Municipal Inco
33 7.54 41140.28
424 PYN
Pimco New York Municipal Inco
33 5.7 23104.02
425 RCS
Pimco Strategic Inco
33 6.48 237419.6
426 BRFS
Brf S.a. (brfs)
32 3.7 2303111.76
427 ETD
Ethan Allen Interiors Inc. (etd)
32 28.77 188316.98
428 HPF
32 16.69 45828.72
429 HRL
Hormel Foods Corporation (hrl)
32 30.88 2530023.4
430 MQY
Blackrock Muniyield Quality Fund, Inc.
32 11.77 268923.48
431 NCA
Nuveen California Municip
32 8.5 136661.34
432 NHS
Neuberger Berman High Yie
32 7.63 197495.82
433 OIA
Invesco Municipal Inco
32 6.11 154807.54
434 PML
Pimco Municipal Inco
32 8.24 337869.5
435 VPV
Invesco Pennsylvania Value Municipal Inco
32 10.2 83126.54
436 BFZ
Blackrock California Municipal Income Trust (bfz)
31 11.26 121243.06
437 BHK
Blackrock Core Bond Trust (bhk)
31 10.44 154520.32
438 CENT
Central Garden & Pet Company (cent)
31 36.49 121055.72
439 CEV
31 10.0452 34578.5
440 HFRO
31 5.62 424398.58
441 HIE
31 5.62 424398.58
442 HPK
Highpeak Energy, Inc. (hpk)
31 14.12 255924.8
443 LANC
Lancaster Colony Corporation (lanc)
31 172 130235.02
444 MUA
Blackrock Muniassets Fund, Inc
31 10.99 96818.56
445 NQP
Nuveen Pennsylvania Quality Municipal Inco
31 11.33 107838.76
446 NR
Newpark Resources, Inc. (nr)
31 11.33 107838.76
447 NTRSO
Northern Trust Corporation
31 20.58 49281.3
448 GBAB
30 15.42 157048.22
449 GGN
30 4.03 576596.6
450 HPS
30 14.92 65197.58
451 NRO
Neuberger Berman Real Estate Securities Inco
30 3.4 225767.14
452 NTG
Tortoise Midstream Energy Fund, Inc.
30 3.4 225767.14
453 PMX
Pimco Municipal Inco
30 7.32 129842.18
454 VTN
Invesco Trust For Investment Grade New York Munici
30 10.3981 86301.18
455 VTNR
Vertex Energy, Inc
30 10.3981 86301.18
456 BENFW
29 0.009 193552.98
457 CLNN
Clene Inc. (clnn)
29 4.94 91072.98
458 KIO
Kkr Inco
29 12.96 149442.68
459 MCN
Madison Covered Call & Equity Strategy Fund
29 6.61 63990.84
460 MHK
Mohawk Industries, Inc. (mhk)
29 125.3 659662.64
461 PCQ
Pimco California Municipal Inco
29 8.91 95928.38
462 PMF
Pimco Municipal Inco
29 8.85 105234.3
463 THW
Abrdn World Healthcare Fu
29 11.94 270405.26
464 BTTR
Better Choice Company Inc. (bttr)
28 2.28 36463.14
465 CENTA
Central Garden & Pet Company (centa)
28 30.96 285569.28
466 DAR
Darling Ingredients Inc. (dar)
28 36.05 2190421.82
467 GDO
28 11.24 50972.76
468 IIF
Morgan Stanley India Investment Fund, Inc.
28 24.23 51774.48
469 PZC
Pimco California Municipal Inco
28 6.68 96542.36
470 THS
Treehouse Foods, Inc. (ths)
28 34.82 682734.96
471 TWN
Taiwan Fund, Inc.
28 39.05 28660.24
472 ACP
Abrdn Income Credit Strategies Fund (acp)
27 6.01 1149823.12
473 JBSS
John B. Sanfilippo & Son, Inc. (jbss)
27 89.18 90868.64
474 KLG
Wk Kellogg Co (klg)
27 16.98 1016963.22
475 KMF
Kayne Anderson Nextgen Energy & Infrastructure, In
27 16.98 1016963.22
476 NOMD
Nomad Foods Limited (nomd)
27 16.51 767399.18
477 BKN
Blackrock Investment Quality Municipal Trust Inc.
26 11.34 82499.86
478 IGR
Cbre Global Real Estate Inco
26 5.15 821151.18
479 MMD
Nyli Mackay Definedterm Muni Opportunities Fund
26 15.1 165090.08
480 DTI
Drilling Tools International Corporation (dti)
25 3.42 52131.28
481 ECC
24 8.72 1181304.48
482 MXF
Mexico Fund, Inc.
23 13.85 80185.94
483 AMWD
American Woodmark Corporation (amwd)
22 81.19 154738.8
484 GIS
General Mills, Inc. (gis)
22 60.38 4397142.24
485 KF
Korea Fund, Inc.
22 20.15 22877.3
486 MXE
Mexico Equity And Inco
22 8.41 15225.34
487 SJM
The J. M. Smucker Company (sjm)
22 103.71 1230153.4
488 FLO
Flowers Foods, Inc. (flo)
21 19.99 1739007.84
489 IFN
India Fund, Inc.
21 15.85 244840.98
490 JJSF
J&j Snack Foods Corp. (jjsf)
20 137.48 90072.52
491 CAG
Conagra Brands, Inc. (cag)
19 25.78 5454352.34
492 CBH
Virtus Convertible & Inco
19 25.78 5454352.34
493 LW
Lamb Weston Holdings, Inc. (lw)
18 60.59 2613222.22
494 USNA
Usana Health Sciences, Inc. (usna)
18 34.34 106999.44
495 WEST
Westrock Coffee Company (west)
18 6.87 327618.7
496 CPB
The Campbell's Company (cpb)
17 38.98 2867411
497 KHC
The Kraft Heinz Company (khc)
17 29.31 10291981.84
498 NAII
Natural Alternatives International, Inc. (naii)
17 4.23 7965.06
499 PCM
Pcm Fund, Inc.
17 6.72 65473.72
500 MUR
Murphy Oil Corporation (mur)
15 29.74 1829651.5
501 HOFT
Hooker Furnishings Corporation (hoft)
14 13.56 40204.16
502 NBR
Nabors Industries Ltd. (nbr)
14 62.6 311469.06
503 NBW
Neuberger Berman California Municipal Fund Inc
14 62.6 311469.06
504 UTZ
Utz Brands, Inc. (utz)
14 13.25 832969.8
505 HLF
Herbalife Ltd. (hlf)
13 6.45 2254922.74
506 BGS
B&g Foods, Inc. (bgs)
12 6.63 1532799.3
507 MVO
Mv Oil Trust (mvo)
12 7.28 87898.54
508 BRCC
Brc Inc. (brcc)
11 2.85 739230.96
509 FARM
Farmer Bros. Co. (farm)
9 1.7 76193.24
510 HAIN
The Hain Celestial Group, Inc. (hain)
8 5.32 1493108.06
511 AMTX
Aemetis, Inc. (amtx)
7 2.18 750635.24
512 BYND
Beyond Meat, Inc. (bynd)
7 4.07 3790205.98
513 DDC
Ddc Enterprise Limited (ddc)
3 0.1706 1041567.06
514 STKH
Steakholder Foods Ltd. (stkh)
3 1.52 36324.8
515 ABVE
Above Food Ingredients Inc. (abve)
1 2.79 250835.72
516 COOT
Australian Oilseeds Holdings Limited (coot)
1 1.42 1983898.78
517 ORIS
Oriental Rise Holdings Limited (oris)
1 1.42 1983898.78
518 SOWG
Sow Good Inc. (sowg)
1 2.79 250835.72