Industry List

Industry: Asset Management as of 02/24/2024
Industry Technical Rank: 21
Industry Technical Score: 95
Rank Symbol Company
Name
List RS
Rank
Close Vol
50 dma
1 SCOR
Comscore, Inc.
99 18.5 149230.92
2 MAX
Mediaalpha, Inc.
96 20.02 199455.1
3 CRGOW
Freightos Limited
95 0.13 11291
4 FTAI
Ftai Aviation Ltd.
94 57.9 757269.52
5 AWI
Armstrong World Industries Inc
92 122.37 582525.58
6 NXGLW
Nexgel, Inc
92 0.40225 452.6
7 KKR
Kkr & Co. Inc.
91 95.8 3750390.78
8 AMWD
American Woodmark Corporation
90 95.17 106804.44
9 EOLS
Evolus, Inc.
90 13.72 574073.32
10 NVMI
Nova Ltd.
90 161.82 121795
11 APO
Apollo Global Management, Inc.
89 111.61 2422041.46
12 CG
The Carlyle Group Inc.
89 44.64 2570372.28
13 CGC
Canopy Growth Corporation
89 3.36 16592739.26
14 HLNE
Hamilton Lane Inco
89 119.05 222734.56
15 KLAC
Kla Corporation
89 668.82 950415.5
16 MG
Mistras Group Inc
89 8.53 77921.16
17 OWL
Blue Owl Capital Inc.
89 18 5128743.18
18 TPG
Tpg Inc.
CWH 89 42.82 680256.12
19 ARES
Ares Management Corporation Class A
88 131.9 922811.58
20 AWH
Alliancebernstein Global High Inco
88 4.46 47492.74
21 PUYI
Puyi Inc.
88 7.1 11262.22
22 STEP
Stepstone Group Inc.
87 35.49 317593.54
23 TDG
Transdigm Group Inco
87 1199.89 212864.26
24 AFYA
Afya Limited
86 19.99 132844.86
25 CLMB
Climb Global Solutions, Inc.
86 59.97 10525.66
26 EME
Emcor Group, Inc.
86 269.72 315836.16
27 CRBG
Corebridge Financial Inc.
85 25.11 3741036.98
28 EML
Eastern Company (the)
85 24.56 7114.9
29 BX
Blackstone Inc.
CWH 84 125.11 3817076.22
30 GFAIW
Guardforce Ai Co., Limited
84 0.324151 2034.04
31 NXGL
Nexgel, Inc
84 2.35 15439.28
32 PGR
Progressive Corporation (the)
84 191.3 2173101.46
33 BUR
Burford Capital Limited O
83 15.62 852356.68
34 NOA
North American Construction Group Ltd.
CWH 83 24.69 55192.52
35 TWN
Taiwan Fund, Inc.
83 38.91 15530.18
36 BBUC
Brookfield Business Corpo
82 23.18 45193.28
37 HOFT
Hooker Furnishings Corporation
SQZ 82 24.23 47323.5
38 HUBB
Hubbell Inc
82 365.79 397932.5
39 DMA
Destra Mult
81 7.75 43151.56
40 IFN
India Fund, Inc.
81 20.52 115231.8
41 TPX
Tempur Sealy International, Inc.
81 51.92 1852681
42 APOG
Apogee Enterprises, Inc.
80 56.01 139045.32
43 BAM
Brookfield Asset Management Inc
80 41.17 1383310.72
44 BN
Brookfield Corporation Cl
80 41.25 2415972.18
45 FBIN
Fortune Brands Innovations, Inc.
80 80.76 1143018.54
46 STG
Sunlands Technology Group
80 9 3739.42
47 AMK
Assetmark Financial Holdings, Inc.
79 33.65 131300.44
48 AMP
Ameriprise Financial, Inc.
79 407.12 457649.66
49 BK
The Bank Of New York Mellon Corporation
78 55.64 4029264.36
50 PR
Permian Resources Corporation Class A
78 15.05 9112850.02
51 CEM
Clearbridge Mlp And Midstream Fund Inc.
77 42.475 51385.56
52 CTR
Clearbridge Mlp And Midstream Total Return Fund In
77 38.68 21784.76
53 VVV
Valvoline Inc.
77 41.67 1379614.88
54 CNS
Cohen & Steers Inc
76 71.79 193254.32
55 EMO
Clearbridge Energy Midstream Opportunity Fund Inc.
76 37.3 36948.8
56 MCI
Barings Corporate Investors
76 18.71 42207.16
57 VLTO
Veralto Corp
76 86.71 1623351.38
58 VRTS
Virtus Investment Partners, Inc.
76 235.51 44849.1
59 AMKR
Amkor Technology, Inc.
75 30.59 1004222.98
60 APAM
Artisan Partners Asset Management Inc.
DB 75 42.16 565289.88
61 HTGC
Hercules Capital, Inc.
75 18.63 916418
62 JHG
Janus Henderson Group Plc
75 31.33 996668.58
63 KTOS
Kratos Defense & Security Solutions, Inc.
75 18.05 1229391.64
64 ACA
Arcosa, Inc.
74 81.31 222628.18
65 ACV
Virtus Diversified Income & Convertible Fund
74 22.81 40466.24
66 AIF
Apollo Tactical Income Fund Inc.
74 14.81 174589.42
67 BBSI
Barrett Business Services, Inc.
74 114.76 29703.96
68 BLK
Blackrock, Inc.
74 813.59 632448.94
69 IQV
Iqvia Holdings, Inc.
74 247.26 1087892.92
70 PFX
Phenixfin Corporation
74 44.295 4944.06
71 VCTR
Victory Capital Holdings, Inc.
74 38 404937.1
72 VRA
Vera Bradley, Inc.
74 7.47 329845.6
73 ADX
Adams Diversified Equity Fund, Inc.
73 19.04 177659
74 ETON
Eton Pharmaceuticals, Inc.
73 4.47 75985.7
75 L
Loews Corporation
73 75.19 859895.22
76 WT
Wisdomtree, Inc.
73 7.64 1264089.02
77 BWMN
Bowman Consulting Group Ltd.
72 32.96 59816.72
78 CSWC
Capital Southwest Corporation
72 23.77 437983.82
79 FAZEW
Faze Holdings Inc.
72 0.014 94366.96
80 GD
General Dynamics Corporation
72 273.75 1077946.32
81 HESM
Hess Midstream Lp Class A
72 34.64 919279.64
82 RGT
Royce Global Value Trust, Inc.
72 10.48 31743.22
83 SSSS
Suro Capital Corp.
72 4.31 122097.44
84 EOS
Eaton Vance Enhance Equity Inco
71 20 88816.48
85 MCO
Madison Covered Call & Equity Strategy Fund
71 385.51 785436.34
86 SEIC
Sei Investments Company
71 67.29 587022.6
87 SII
Sprott Inc.
71 37.36 78109.16
88 CSQ
Calamos Strategic Total Return Fund
70 15.94 244654.18
89 GHC
Graham Holdings Company
70 705.13 15828.54
90 MPV
Barings Participation Investors
70 15.57 21319.7
91 OFS
Ofs Capital Corporation
70 11.54 55733.52
92 RCS
Pimco Strategic Inco
70 6.3 143575.94
93 AMG
Affiliated Managers Group, Inc.
69 157.66 233482.46
94 GECC
Great Elm Capital Corp.
69 10.62 17692.16
95 JEQ
Abrdn Japan Equity Fund, Inc.
69 6.09 33050.7
96 SCD
Lmp Capital And Inco
69 14.31 54890.84
97 BST
Blackrock Science And Technology Trust
68 36.57 117510.96
98 MAIN
Main Street Capital Corporation
68 45.35 372780.3
99 MFIC
Midcap Financial Investment Corporation
68 14.27 214316.74
100 STEW
Srh Total Return Fund, Inc.
68 14.73 79119.38
101 THQ
Abrdn Healthcare Opportun
68 19.92 150284.16
102 BXSL
Blackstone Secured Lending Fund
67 29.77 1034116.26
103 CEE
The Central And Eastern Europe Fund, Inc.
67 9.78 24856.28
104 EFT
Eaton Vance Floating Rate Inco
67 13.18 108292.32
105 EIC
Eagle Point Inco
67 15.95 115866.2
106 EOI
Eaton Vance Enhance Equity Inco
67 17.68 78231.52
107 GAM
General American Investors, Inc.
67 45.1 25081.34
108 GRF
Eagle Capital Growth Fund, Inc.
67 9.2809 3918.7
109 HPS
John Hancock Preferred Inco
67 15.04 74450.36
110 BBDC
Barings Bdc, Inc.
HST 66 9.63 507725.96
111 BGT
Blackrock Floating Rate Inco
66 12.84 113645.32
112 CIK
Credit Suisse Asset Management Inco
66 3.01 127076.18
113 ETG
Eaton Vance Tax-advantaged Global Dividend Inco
66 17.91 143331.06
114 ETY
Eaton Vance Tax-managed Diversified Equity Inco
66 12.96 265049.52
115 GBDC
Golub Capital Bdc, Inc.
66 15.92 888431.16
116 MXE
Mexico Equity And Inco
66 11.1 7709.34
117 NRO
Neuberger Berman Real Estate Securities Inco
66 3.31 220035.76
118 BSTZ
Blackrock Science And Technology Term Trust
65 18.76 369241.6
119 DSU
Blackrock Debt Strategies Fund, Inc.
65 11.04 155689.76
120 EFR
Eaton Vance Senior Floatin
65 13.01 93328.36
121 ENX
Eaton Vance New York Municipal Bond Fund
65 9.91 31454.12
122 ETD
Ethan Allen Interiors Inc.
65 31.64 219496.1
123 ETO
Eaton Vance Ta
65 24.65 26589.08
124 OKE
Oneok, Inc.
65 72.97 3581275.78
125 RMD
Resmed Inc.
65 184.04 850956.52
126 STK
Columbia Seligman Premium Technology Growth Fund I
65 32.25 35075.52
127 VINP
Vinci
65 10.6 113974.86
128 BCSF
Bain Capital Specialty Finance, Inc.
64 15.48 264558.4
129 BIGZ
Blackrock Innovation And Growth Term Trust
64 8.04 1078979.36
130 BSIG
Brightsphere Investment Group Inc.
64 22.47 374124.96
131 CNA
Cna Financial Corporation
64 44.5 248208.22
132 FMN
Federated Hermes Premier Municipal Inco
64 11.19 33729.28
133 HTY
John Hancock Ta
64 5.18 54698.88
134 JGH
Nuveen Global High Inco
64 12.54 80773.72
135 KIO
Kkr Inco
64 12.95 140019.98
136 MUA
Blackrock Muniassets Fund, Inc
64 11.06 121672.7
137 TPZ
Tortoise Power And Energy Infrastructure Fund, Inc
64 14.6 15392.34
138 USAC
Usa Compression Partners, Lp
64 24.5 796775.48
139 ACVA
Acv Auctions Inc.
63 16.52 1139064.58
140 ARDC
Ares Dynamic Credit Allocation Fund, Inc.
63 13.54 125740.74
141 BSL
Blackstone Senior Floating Rate 2027 Term Fund
63 14.04 74617.52
142 ERF
Enerplus Corporation
63 17.59 2757122.16
143 EVF
Eaton Vance Senior Inco
63 6.39 94012.48
144 FPF
First Trust Intermediate Duration Preferred & Inco
63 17.42 231573.72
145 FSCO
Fs Credit Opportunities Corp.
63 5.7 695826.5
146 FTAIN
Ftai Aviation Ltd.
63 25.17 6817.88
147 HQL
Abrdn Life Sciences Inves
63 13.82 147940.54
148 HYT
Blackrock Corporate High Yield Fund, Inc.
63 9.56 509280.6
149 KSM
Dws Strategic Municipal Inco
63 8.85 35657.12
150 MYD
Blackrock Muniyield Fund, Inc.
63 11.08 257749.44
151 NRK
Nuveen New York Amt-free Quality Municipal Inco
63 10.84 235996.82
152 PNNT
Pennantpark Investment Corporation
63 6.81 479397.38
153 AB
Alliancebernstein Holding L.p.
62 33.95 407039.98
154 AFT
Apollo Senior Floating Rate Fund Inc.
62 14.02 117477.88
155 BTA
Blackrock Lon
62 10.29 29193.66
156 CET
Central Securities Corporation
62 38.75 37907.24
157 DMF
Bny Mellon Municipal Inco
62 6.655 70488.64
158 FAM
First Trust/abrdn Global Opportunity Inco
62 6.42 32318.24
159 FFA
First Trust Enhanced Equity Inco
62 18.76 27218.06
160 GDV
Gabelli Dividend & Inco
62 22.34 202142.26
161 GRX
The Gabelli Healthcare & Wellness Trust
62 10.02 44545.7
162 JOF
Japan Smaller Capitalization Fund Inc
62 7.6875 45731.28
163 MQY
Blackrock Muniyield Quality Fund, Inc.
62 12.25 245458.68
164 MSD
Morgan Stanley Emerging Markets Debt Fund, Inc.
62 7.1 75276.82
165 PG
Procter & Gamble Company (the)
62 161.03 7113153.24
166 SPE
Special Opportunities Fund, Inc
62 12.2701 29337.16
167 TSLX
Sixth Street Specialty Lending, Inc.
62 21.88 342119.04
168 USA
Liberty Al
62 6.71 973461.48
169 CCAP
Crescent Capital Bdc, Inc.
61 16.86 103669.84
170 CII
Blackrock Capital And Inco
61 19.54 76777.22
171 DHR
Danaher Corporation
61 253.84 2845478.34
172 FTAIO
Ftai Aviation Ltd.
61 25.5 14263.22
173 GLQ
Clough Global Equity Fund Clough Global Equity Fun
61 6.351 78610.88
174 HNW
Pioneer Diversified High Inco
61 11.18 24671.54
175 HYB
New America High Inco
61 7.25 57207.34
176 KF
Korea Fund, Inc.
61 23.6 10974.56
177 MYN
Blackrock Muniyield New York Quality Fund, Inc.
61 10.47 99916.12
178 NIE
Virtus Equity & Convertible Inco
61 22.02 71229.04
179 RVTY
Revvity, Inc.
61 104.44 836943.54
180 TY
Tri Continental Corporation
61 29.56 48246.52
181 VFL
Abrdn National Municipal Inco
61 10.3 46237.34
182 WHG
Westwood Holdings Group Inc
61 12 21538.18
183 AVK
Advent Convertible And Inco
60 11.86 123376.82
184 BGH
Barings Global Short Duration High Yield Fund
60 13.96 58498.68
185 BKN
Blackrock Investment Quality Municipal Trust Inc.
60 12.14 71617.74
186 BLW
Blackrock Limited Duration Inco
60 13.92 100116.36
187 BME
Blackrock Health Sciences
60 42.33 40463.4
188 CHW
Calamos Global Dynamic Inco
60 6.2 206176.54
189 EIM
Eaton Vance Municipal Bond Fund
60 10.365 210049.24
190 FGB
First Trust Specialty Fin
60 3.59 54859.58
191 IIF
Morgan Stanley India Investment Fund, Inc.
60 23.18 65803
192 JCTCF
Jewet
60 5.2736 5256.74
193 JPC
Nuveen Preferred & Inco
60 7.13 1145697.08
194 KTF
Dws Municipal Inco
60 9.01 111061.6
195 MPA
Blackrock Muniyield Pennsylvania Quality Fund
60 11.92 27550.2
196 NXJ
Nuveen New Jersey Qualifi
60 12.11 94656.96
197 PAXS
Pimco Access Inco
60 15.41 244785.86
198 PGP
Pimco Global Stocksplus & Inco
60 7.56 42322.92
199 TTP
Tortoise Pipeline & Energy Fund, Inc.
60 29.28 11814.92
200 BGB
Blackstone Strategic Credit 2027 Term Fund
59 11.63 180647.44
201 BWG
Brandywineglobal Global Inco
59 8.35 61822.1
202 CEV
Eaton Vance California Municipal Inco
59 10.53 18756.1
203 CGO
Calamos Global Total Return Fund
59 9.89 26566.9
204 DSM
Bny Mellon Strategic Municipal Bond Fund, Inc.
59 5.77 167652.54
205 EVM
Eaton Vance California Municipal Bond Fund
59 9.37 71333.78
206 FPL
First Trust New Opportunities Mlp & Energy Fund
59 7 61120.92
207 MAV
Pioneer Municipal High Inco
59 8.07 78971.7
208 MXF
Mexico Fund, Inc.
59 18.32 26684.46
209 NQP
Nuveen Pennsylvania Quality Municipal Inco
59 11.685 71242.32
210 NR
Newpark Resources, Inc.
59 6.24 863136.44
211 NVGS
Navigator Holdings Ltd. O
59 15.18 188485.48
212 OII
Oceaneering International, Inc.
59 21.97 754888.42
213 PDI
Pimco Dynamic Inco
59 19.4 1700449.64
214 PHT
Pioneer High Inco
59 7.36 98898.6
215 RNP
Cohen & Steers Reit And Preferred And Inco
59 20.33 133970.5
216 VTN
Invesco Trust For Investment Grade New York Munici
59 10.58 50537.02
217 AFB
Alliancebernstein National Municipal Income Fund,
58 10.94 82635
218 ASG
Liberty All-star Growth Fund, Inc.
58 5.4 300371.74
219 AWF
Alliancebernstein Global High Inco
58 10.4 203604.2
220 BEN
Franklin Resources, Inc.
58 27.01 3359548.4
221 BFK
Blackrock Municipal Inco
58 10.36 144985.54
222 BLE
Blackrock Municipal Inco
58 10.79 125810.66
223 BNY
Blackrock New York Municipal Inco
58 10.61 61233.4
224 BYM
Blackrock Municipal Inco
58 11.43 85890.7
225 ENZ
Enzo Biochem, Inc.
58 1.38 125059.52
226 FIF
First Trust Energy Infrastructure Fund
58 16.68 63185.58
227 FTAIP
Ftai Aviation Ltd.
58 25.5099 6889.64
228 GCMG
Gcm Grosvenor Inc.
58 8.44 210495.3
229 JCE
Nuveen Core Equity Alpha Fund
58 13.87 51068.88
230 JQC
Nuveen Credit Strategies Inco
58 5.43 758906.26
231 LGI
Lazard Global Total Return And Inco
58 15.79 37697.1
232 MYI
Blackrock Muniyield Quality Fund Iii, Inc
58 11.39 301551.24
233 NTRSO
Northern Trust Corporation
58 22.46 27158.44
234 PFG
Princi
58 80.24 1061200.22
235 PHD
Pioneer Floating Rate Fund, Inc.
58 9.61 69042.86
236 RVT
Royce Value Trust, Inc.
58 14.48 273107.44
237 TROW
T. Rowe Price Group, Inc.
58 110.99 1539082.74
238 BANX
Arrowmark Financial Corp.
57 18.27 17483.92
239 BGX
Blackstone Long Short Credit Inco
57 11.91 73900.38
240 CXE
Mfs High Inco
57 3.59 70769.1
241 DHF
Bny Mellon High Yield Strategies Fund
57 2.36 516977.04
242 DTM
Dt Midstream, Inc.
57 57.08 736999.04
243 HPF
John Hancock Pfd Inco
57 16.31 40279.42
244 HPI
John Hancock Preferred Inco
57 16.26 77502.68
245 HQH
Abrdn Healthcare Investor
57 17.09 226356.74
246 JPI
Nuveen Preferred And Inco
57 18.74 67919.04
247 KYN
Kayne Anderson Energy Infrastructure Fund, Inc.
57 9.08 648318.52
248 MQT
Blackrock Muniyield Quality Fund Ii, Inc.
57 10.41 70599.04
249 MUI
Blackrock Municipal Inco
57 11.75 250243.68
250 NAN
Nuveen New York Quality Municipal Inco
57 10.99 87111.04
251 NPFD
Nuveen Variable Rate Preferred & Inco
57 17.42 85469.68
252 PFN
Pimco Inco
57 7.38 330937.08
253 VPV
Invesco Pennsylvania Value Municipal Inco
57 10.145 46821.72
254 AMTD
Amtd Idea Group
56 1.69 51265.04
255 BKCC
Blackrock Capital Investment Corporation
56 3.79 193556.8
256 DSL
Doubleline Inco
56 12.52 468984.84
257 ISD
Pgim High Yield Bond Fund, Inc.
56 12.75 127029.52
258 NHS
Neuberger Berman High Yie
56 8.08 148096.04
259 PCN
Pimco Corporate & Inco
56 13.47 247748.74
260 PFLT
Pennantpark Floating Rate Capital Ltd.
56 11.39 621998.34
261 VKI
Invesco Advantage Municipal Inco
56 8.57 130079.14
262 VMO
Invesco Municipal Opportunity Trust
56 9.63 330586.7
263 VVR
Invesco Senior Inco
56 4.15 755126.58
264 BFZ
Blackrock California Municipal Inco
55 11.77 77835.72
265 BHV
Blackrock Virginia Munici
55 10.95 5302.48
266 BTZ
Blackrock Credit Allocation Inco
55 10.65 325248.84
267 CGBD
Carlyle Secured Lending, Inc.
55 15.44 192544.04
268 CMU
Mfs Municipal Inco
55 3.3 99221.06
269 EDF
Virtus Stone Harbor Emerging Markets Inco
55 4.64 144491.64
270 EVN
Eaton Vance Municipal Inco
55 10.18 129829.02
271 EVV
Eaton Vance Limited Duration Inco
55 9.95 374812.66
272 FRA
Blackrock Floating Rate Inco
55 12.61 162285.88
273 HIE
Miller/howard High Inco
55 10.6595 30895.46
274 JRS
Nuveen Real Estate Inco
55 7.61 93990.46
275 LEO
Bny Mellon Strategic Municipals, Inc.
55 6.01 241034.94
276 MFM
Mfs Municipal Inco
55 5.27 134365.5
277 MFV
Mfs Special Value Trust
55 4.3 24452.44
278 MUC
Blackrock Muniholdings California Quality Fund, In
55 11.06 356823.2
279 MUJ
Blackrock Muniholdings New Jersey Quality Fund, In
55 11.55 137082.06
280 NAC
Nuveen California Quality Municipal Inco
55 11.01 378235.46
281 NBH
Neuberger Berman Municipal Fund Inc.
55 10.44 97123.68
282 NVG
Nuveen Amt-free Municipal Credit Inco
55 11.85 669630.94
283 PTA
Cohen & Steers Tax-advantaged Preferred Securities
55 19.08 221118.02
284 PZC
Pimco California Municipal Inco
55 7.74 60024.02
285 RMT
Royce Micro-cap Trust, Inc.
55 9.17 119307.2
286 VCV
Invesco California Value Municipal Inco
55 9.81 141628.22
287 CHY
Calamos Convertible And High Inco
54 12 147579.46
288 CXH
Mfs Investment Grade Municipal Trust
54 7.51 34943.78
289 ETJ
Eaton Vance Risk-managed Diversified Equity Inco
54 8.31 165330.7
290 EVG
Eaton Vance Short Diversified Inco
54 10.64 50316.4
291 EVT
Eaton Vance Tax Advantaged Dividend Inco
54 22.57 143900.2
292 FEN
First Trust Energy Inco
54 14.815 62947.56
293 GLO
Clough Global Opportunities Fund
54 4.96 189941.4
294 HRZN
Horizon Technology Finance Corporation
54 12.99 198341.92
295 IQI
Invesco Quality Municipal Inco
54 9.57 192742.2
296 JFR
Nuveen Floating Rate Inco
54 8.49 701029.44
297 LAB
Standard Biotools Inc.
54 2.45 1447945.92
298 MVF
Blackrock Munivest Fund, Inc.
54 7 176690.66
299 MVT
Blackrock Munivest Fund Ii, Inc.
54 10.82 49885.24
300 NZF
Nuveen Municipal Credit Inco
54 11.92 642720.98
301 PFL
Pimco Inco
54 8.42 119684.54
302 PNI
Pimco New York Municipal Inco
54 7.55 35984.9
303 RIV
Rivernorth Opportunities Fund, Inc.
54 11.56 94981.36
304 VKQ
Invesco Municipal Trust
54 9.58 232844.44
305 DFP
Flaherty & Crumrine Dynamic Preferred And Inco
53 18.72 60814.42
306 DHT
Dht Holdings, Inc.
53 10.75 2209806.66
307 EAD
Allspring Inco
53 6.63 191100.58
308 EOD
Allspring Global Dividend Opportunity Fund
53 4.54 114896.32
309 EXG
Eaton Vance Tax-managed Global Diversified Equity
53 7.95 596036.5
310 FEI
First Trust Mlp And Energy Inco
53 8.7 109707.16
311 FHI
Federated Hermes, Inc.
53 35.23 789298.76
312 LRFC
Logan Ridge Finance Corporation
53 22.595 4542.14
313 NCA
Nuveen California Municip
53 8.88 80104.36
314 NMT
Nuveen Massachusetts Quality Municipal Inco
53 10.67 19573.34
315 NMZ
Nuveen Municipal High Inco
53 10.4 441211.16
316 NTRS
Northern Trust Corporation
53 81.48 1290791.74
317 VGM
Invesco Trust For Investment Grade Municipals
53 9.86 227614.28
318 CHI
Calamos Convertible Opportunities And Inco
52 11.06 206185.08
319 ECCC
Eagle Point Credit Company Inc.
52 22.15 4983.54
320 GAIN
Gladstone Investment Corporation
52 14.28 231425.92
321 HES
Hess Corporation
52 149.11 3038657.7
322 IGI
Western Asset Investment Grade Defined Opportunity
52 16.98 26537.26
323 JHI
John Hancock Investors Trust
52 13.23 21687.18
324 JLS
Nuveen Mortgage And Inco
52 16.97 37125.08
325 NAD
Nuveen Quality Municipal Inco
52 11.32 725083.88
326 NEA
Nuveen Amt-free Quality Municipal Inco
52 10.98 1011331.8
327 NFJ
Virtus Dividend, Interest & Premium Strategy Fund
52 12.25 236489.98
328 PCK
Pimco California Municipal Inco
52 5.94 118205.64
329 PTY
Pimco Corporate & Inco
52 14.13 624856.38
330 SOR
Source Capital, Inc.
52 40.69 15709
331 TEI
Templeton Emerging Markets Inco
52 5.22 166888.1
332 VBF
Invesco Bond Fund
52 15.8 43372.04
333 ARCC
Ares Capital Corporation
51 20.11 4071176.92
334 BIT
Blackrock Multi-sector Inco
51 15.2 98108.4
335 BOE
Blackrock Enhanced Global Dividend Trust
51 10.24 186225
336 CION
Cion Investment Corporation
51 11.07 309616.88
337 DBL
Doubleline Opportunistic Credit Fund
51 15.1 75958.82
338 DMO
Western Asset Mortgage Opportunity Fund Inc.
51 11.3 50488.32
339 EEA
The European Equity Fund, Inc.
51 8.67 9654.32
340 FSD
First Trust High Inco
51 11.7 117303.44
341 GSBD
Goldman Sachs Bdc, Inc.
51 15.43 572961.6
342 HIO
Western Asset High Inco
51 3.92 314766.82
343 MUE
Blackrock Muniholdings Quality Fund Ii, Inc.
51 10.01 77454.86
344 NMS
Nuveen Minnesota Quality Municipal Inco
51 11.25 13937.02
345 NUV
Nuveen Municipal Value Fund, Inc.
51 8.78 555188.18
346 PNF
Pimco New York Municipal Inco
51 8.151 30273.52
347 RMM
Rivernorth Managed Duration Municipal Inco
51 15.265 85077.56
348 DIAX
Nuveen Dow 30sm Dynamic Overwrite Fund
50 14.67 122577.3
349 DMLP
Dorchester Minerals, L.p.
50 30.18 94079.78
350 ETB
Eaton Vance Tax-managed Buy-write Inco
50 13.38 73011.94
351 FTAIM
Ftai Aviation Ltd.
50 25.59 5880.92
352 GBAB
Guggenheim Taxable Municipal Bond & Investment Gra
50 16.33 68742.46
353 GDO
Western Asset Global Corporate Defined Opportunity
50 12.55 41337.54
354 IDE
Voya Infrastructure, Industrials And Materials Fun
50 10.04 34096.34
355 JCI
Johnson Controls Internat
50 58.44 6776025.46
356 JRI
Nuveen Real Asset Inco
50 11.53 73200.3
357 NDAQ
Nasdaq, Inc.
50 56.65 2473804.32
358 NPCT
Nuveen Core Plus Impact Fund
50 10.34 104800.76
359 NXC
Nuveen California Select Tax-free Inco
50 13.28 25405.8
360 NXP
Nuveen Select Tax Free Inco
50 14.64 83174.56
361 PDT
John Hancock Premium Divi
50 11.27 155941.04
362 PFO
Flaherty & Crumrine Preferred And Inco
50 8.27 37289.66
363 RLTY
Cohen & Steers Real Estate Opportunities And Inco
50 14.01 98506.2
364 EMD
Western Asset Emerging Markets Debt Fund Inc
49 9.04 265663.44
365 FFC
Flaherty & Crumrine Preferred And Inco
49 14.5 170717.94
366 FLC
Flaherty & Crumrine Total Return Fund Inc
49 15.06 40674.18
367 GGZ
Gabelli Global Small And Mid Cap Value Trust (the)
49 11.59 13592.28
368 GHY
Pgim Global High Yield Fund, Inc.
49 11.55 200174.52
369 IAE
Voya Asia Pacific High Dividend Equity Inco
49 6.13 41163.88
370 MYE
Myers Industries, Inc.
49 19.6 256204.18
371 NAZ
Nuveen Arizona Quality Municipal Inco
49 10.88 26141.28
372 NODK
Ni Holdings, Inc.
49 13.5 13091.38
373 OCCIN
Ofs Credit Company, Inc.
49 22.9508 7082.62
374 OCCIO
Ofs Credit Company, Inc.
49 23.8238 1850.06
375 OXLCN
Oxford Lane Capital Corp.
49 23.56 2517.32
376 PIM
Putnam Master Intermediate Inco
49 3.19 57782.5
377 PMM
Putnam Managed Municipal Inco
49 6.2 142287.52
378 PPT
Putnam Premier Inco
49 3.58 144482.88
379 QQQX
Nuveen Nasdaq 100 Dynamic Overwrite Fund
49 23.88 133631.18
380 RAND
Rand Capital Corporation
49 13.76 2353.32
381 SBI
Western Asset Intermediate Muni Fund Inc
49 7.849 41423.96
382 WEA
Western Asset Bond Fund S
49 10.97 31802.24
383 ETV
Eaton Vance Corporation Eaton Vance Ta
48 12.91 267491.02
384 MCR
Mfs Charter Inco
48 6.29 76989.3
385 NTG
Tortoise Midstream Energy Fund, Inc.
48 35.56 19225.64
386 NUW
Nuveen Am
48 13.82 40770.08
387 NXG
Nxg Nextgen Infrastructure Inco
48 34.77 25130.44
388 SPXX
Nuveen S&p 500 Dynamic Ov
48 15.52 55235.04
389 THW
Abrdn World Healthcare Fu
48 12.68 158155.74
390 VLT
Invesco High Inco
48 10.53 26082.56
391 AOD
Abrdn Total Dynamic Dividend Fund
47 8.13 339869.76
392 BXMX
Nuveen S&p 500 Buy-write Inco
47 13.29 216477.64
393 CIF
Mfs Intermediate High Inco
47 1.7 58941.1
394 DHY
Credit Suisse High Yield Bond Fund
47 1.94 548519.98
395 ETX
Eaton Vance Municipal Inco
47 17.95 36239.68
396 FMY
First Trust Motgage Inco
47 11.7 8921.44
397 GLV
Clough Global Dividend And Inco
47 5.5 54339.12
398 IHD
Voya Emerging Markets High Inco
47 5.22 33423.08
399 INSI
Insight Select Inco
47 15.7 13495.3
400 NKX
Nuveen California Amt-free Quality Municipal Inco
47 11.54 127595.54
401 NML
Neuberger Berman Energy Infrastructure And Inco
47 7 206353.76
402 NPK
National Presto Industries, Inc.
47 78.79 26383.12
403 OXLCO
Oxford Lane Capital Corp.
47 21.9 5740.56
404 PAI
Western Asset Investment Grade Inco
47 11.92 18736.58
405 PHK
Pimco High Inco
47 4.88 523925.26
406 PXD
Pioneer Natural Resources Company
47 232.48 2298069.64
407 BGY
Blackrock Enhanced Intern
46 5.38 242706.02
408 CHKEL
Chesapeake Energy Corporation
46 64.78 519.3
409 EOT
Eaton Vance Municipal Inco
46 16.98 42023.98
410 ETW
Eaton Vance Corporation Eaton Vance Ta
46 7.99 348468.78
411 FSK
Fs Kkr Capital Corp.
46 20.23 1694730.82
412 HYI
Western Asset High Yield Defined Opportunity Fund
46 11.93 69699.94
413 IVZ
Invesco Ltd
46 15.34 5029294.32
414 NOM
Nuveen Missouri Quality Municipal Inco
46 10.1115 8589.46
415 NXN
Nuveen New York Select Tax-free Inco
46 11.7818 10931.48
416 OXLCP
Oxford Lane Capital Corp.
46 23.31 4541.66
417 BTT
Blackrock Municipal 2030
45 21.08 215194.62
418 CCD
Calamos Dynamic Convertible & Inco
45 21 81807.74
419 EDD
Morgan Stanley Emerging Markets Domestic Debt Fund
45 4.71 251468.5
420 EICA
Eagle Point Inco
45 23.55 3335.54
421 IIM
Invesco Value Municipal Inco
45 11.82 138688.08
422 OIA
Invesco Municipal Inco
45 6.26 124287.96
423 OXSQ
Oxford Square Capital Corp.
45 3.09 240960.14
424 PML
Pimco Municipal Inco
45 8.625 256427
425 TRIN
Trinity Capital Inc.
45 14.35 457573.84
426 VTOL
Bristow Group, Inc.
45 27.32 102559.66
427 CBH
Virtus Convertible & Inco
44 8.74 47445.42
428 DMB
Bny Mellon Municipal Bond Infrastructure Fund, Inc
44 10.37 87752.42
429 FTF
Franklin Limited Duration Inco
44 6.27 161935.38
430 GGN
Gamco Global Gold, Natural Resources & Inco
44 3.73 408696.88
431 JHS
John Hancock Inco
44 10.82 21014.56
432 NDP
Tortoise Energy Independence Fund, Inc.
44 30.1526 8675.62
433 NNY
Nuveen New York Municipal Value Fund
44 8.37 62346.68
434 RQI
Cohen & Steers Quality Inco
44 11.71 464901.22
435 ACP
Abrdn Income Credit Strategies Fund
43 6.74 347366.44
436 CAF
Morgan Stanley China A Share Fund Inc.
43 13.04 62032.7
437 EHI
Western Asset Global High Inco
43 7.05 56332.12
438 FCT
First Trust Senior Floating Rate Inco
43 10.12 108784.24
439 GLAD
Gladstone Capital Corporation
43 10.12 286844.96
440 NBB
Nuveen Taxable Municipal Inco
43 15.47 88262.2
441 NMI
Nuveen Municipal Inco
43 9.24 26948.72
442 PCQ
Pimco California Municipal Inco
43 9.58 86441.04
443 RFI
Cohen & Steers Total Return Realty Fund, Inc.
43 11.67 76478.18
444 SWZ
Swiss Helvetia Fund, Inc.
43 7.94 16993.36
445 VGI
Virtus Global Multi-sector Inco
43 7.58 40536.08
446 DTF
Dtf Tax-free Inco
42 10.94 46079.9
447 IGD
Voya Global Equity Divide
42 5.12 238714.18
448 NIM
Nuveen Select Maturities Municipal Fund
42 8.96 34919.4
449 NPV
Nuveen Virginia Quality Municipal Inco
42 10.88 52386.4
450 PCF
High Inco
42 6.51 69349.24
451 PGZ
Princi
42 9.92 24877.52
452 PMF
Pimco Municipal Inco
42 9.5 85503.62
453 PSF
Cohen & Steers Select Preferred And Inco
42 19.42 28162.58
454 PYN
Pimco New York Municipal Inco
42 5.94 21078.42
455 SLRC
Slr Investment Corp.
42 14.89 226343.42
456 STT
State Street Corporation
42 73.58 2119985.98
457 TPVG
Triplepoint Venture Growth Bdc Corp.
42 11.02 258274.54
458 BBN
Blackrock Taxable Municipal Bond Trust
41 16.27 284117.52
459 BHK
Blackrock Core Bond Trust
41 10.43 206071.62
460 BTO
John Hancock Financial Opportunities Fund
41 28.46 61977.84
461 EICB
Eagle Point Inco
41 25.06 6562.8
462 FAX
Abrdn Asia-pacific Inco
41 2.67 951018.96
463 FDUS
Fidus Investment Corporation
41 19.765 278060.76
464 FDX
Fedex Corporation
41 243.46 2635415.88
465 FOF
Cohen & Steers Closed-end Opportunity Fund, Inc.
41 11.09 61182.04
466 GAB
Gabelli Equity Trust, Inc.
41 5.38 718953.82
467 IGA
Voya Global Advantage And Premium Opportunity Fund
41 8.63 40115.42
468 OXLCM
Oxford Lane Capital Corp.
41 24.93 5759.48
469 PAX
Patria Investments Limited
41 14.89 239632.7
470 PMX
Pimco Municipal Inco
41 7.54 119041.16
471 ECCF
Eagle Point Credit Company Inc.
40 25.35 0
472 IGR
Cbre Global Real Estate Inco
40 5.07 894730.84
473 JMM
Nuveen Multi-market Inco
40 5.82 18888.84
474 NMFC
New Mountain Finance Corporation
40 12.71 438940.66
475 PEO
Adams Natural Resources Fund, Inc.
40 21.22 42678.34
476 SABA
Saba Capital Inco
40 3.84 0
477 SRV
Nxg Cushing Midstream Energy Fund
40 36.6 37217.22
478 TYG
Tortoise Energy Infrastructure Corporation
40 29.21 50230.42
479 RMCO
Royalty Management Holding Corporation
39 1.1701 0
480 RMCOW
Royalty Management Holding Corporation
39 0.0393 0
481 CHK
Chesapeake Energy Corporation
37 81.93 2117811.44
482 ECF
Ellsworth Growth And Inco
37 8.02 61873.52
483 ERC
Allspring Multi-sector Inco
37 9.38 61786.3
484 AEF
Abrdn Emerging Markets Equity Income Fund Inc
36 5.08 110794.38
485 BDJ
Blackrock Enhanced Equity
36 7.99 637067.96
486 BKT
Blackrock Inco
36 11.84 73542
487 GDL
Gdl Fund, The
36 7.86 13589.06
488 GGT
Gabelli Multi-media Trust, Inc.
36 5.56 59358.36
489 NOC
Northrop Grumman Corporation
36 461.1 911547.94
490 OXLC
Oxford Lane Capital Corp.
36 5.09 1905841.64
491 OXY
Occidental Petroleum Corporation
36 60.02 10664645.76
492 PMO
Putnam Municipal Opportunities Trust
36 10.4 100784.4
493 UTF
Cohen & Steers Infrastructure Fund, Inc
36 21.72 266009.18
494 ECC
Eagle Point Credit Company Inc.
35 10.06 714446.62
495 EMF
Templeton Emerging Markets Fund
35 11.67 32873.7
496 FUND
Sprott Focus Trust, Inc.
35 7.76 38820.34
497 GLU
Gabelli Global Utility
35 13.2 14650.22
498 HEQ
John Hancock Hedged Equity & Inco
35 10.35 48564.14
499 PFD
Flaherty & Crumrine Preferred And Inco
35 10.21 39085.96
500 BGR
Blackrock Energy And Reso
34 12.31 74790.78
501 BMN
Blackrock 2037 Municipal Target Term Trust
34 24.02 46288.38
502 BUI
Blackrock Utility, Infras
34 20.79 64802.78
503 CHKEZ
Chesapeake Energy Corporation
34 68.75 394.54
504 CTRA
Coterra Energy Inc.
34 25.98 6797436.44
505 HTD
John Hancock Tax Advantaged Dividend Inco
34 19.12 100702.6
506 IAF
Abrdn Australia Equity Fund, Inc.
34 4.1 80594.12
507 OPP
Rivernorth/doubleline Strategic Opportunity Fund,
34 8.18 136934.4
508 TSI
Tcw Strategic Inco
34 4.67 96448.2
509 WIA
Western Asset Inflation-linked Inco
34 8.03 50878.88
510 AWP
Abrdn Global Premier Properties Fund
33 3.71 387547.46
511 FCO
Abrdn Global Inco
33 5.82 88102.6
512 GF
New Germany Fund, Inc.
33 8.46 31139.48
513 GNT
Gamco Natural Resources, Gold & Inco
33 4.87 42540.26
514 NCV
Virtus Convertible & Inco
33 3.26 463936.42
515 NCZ
Virtus Convertible & Inco
33 2.84 608802.06
516 PTMN
Portman Ridge Finance Corporation
33 18.39 40329.86
517 EGF
Blackrock Enhanced Government Fund, Inc.
32 9.49 3150.06
518 EQS
Equus Total Return, Inc.
32 1.49 17392.38
519 FT
Franklin Universal Trust
32 6.49 53210.96
520 HPK
Highpeak Energy, Inc.
32 16.18 390750.78
521 HPKEW
Highpeak Energy, Inc.
32 9.47 4248.24
522 MCN
Madison Covered Call & Equity Strategy Fund
32 7.15 57138.78
523 UTG
Reaves Utility Inco
32 26.06 330578.4
524 WIW
Western Asset Inflation-linked Opportunities & Inc
32 8.44 239490.24
525 CHKEW
Chesapeake Energy Corporation
31 69.9597 46.28
526 CRGO
Freightos Limited
31 2.91 17214.86
527 EQT
Eqt Corporation
31 37.01 5921301.64
528 SWKH
Swk Holdings Corporation
31 16.41 7814.52
529 TURN
180 Degree Capital Corp.
31 4.18 17743.4
530 BCV
Bancroft Fund, Ltd.
30 15.43 27965.94
531 CRF
Cornerstone Total Return Fund, Inc.
30 7.21 695095.22
532 GOF
Guggenheim Strategic Opportunities Fund
30 13.91 806607.4
533 PCM
Pcm Fund, Inc.
30 8.17 28178.68
534 RFIL
Rf Industries, Ltd.
30 3.3001 8250.3
535 ASA
Asa Gold And Precious Me
29 13.87 97437.94
536 CCIF
Carlyle Credit Inco
29 8.02 76420.6
537 HNNA
Hennessy Advisors, Inc.
29 6.7501 9368.52
538 MFD
Macquarie First Trust Global
29 7.39 41029.38
539 NMG
Nouveau Monde Graphite Inc.
29 2.78 229443.96
540 NOG
Northern Oil And Gas, Inc.
29 34.59 1391785.04
541 TCPC
Blackrock Tcp Capital Corp.
29 11.2 403070.34
542 CLMT
Calumet Specialty Products Partners, L.p.
28 16.6 109132.54
543 ERH
Allspring Utilities And High Inco
28 8.9503 27990.58
544 MRCC
Monroe Capital Corporation
28 6.99 86117.28
545 SCM
Stellus Capital Investment Corporation
28 13.02 114531.32
546 CLM
Cornerstone Strategic Value Fund, Inc.
27 7.23 1464400.58
547 GCV
Gabelli Convertible And Inco
27 3.61 67276.12
548 MUR
Murphy Oil Corporation
27 39.39 1773925.38
549 NL
Nl Industries, Inc.
27 5.22 24574.24
550 AC
Associated Capital Group, Inc.
26 33.22 4894.18
551 GROW
U.s. Global Investors, Inc.
26 2.66 35638.72
552 HIX
Western Asset High Inco
26 4.42 298205.28
553 BRW
Saba Capital Inco
25 7.215 203972
554 BSM
Black Stone Minerals, L.p.
25 15.4 612420.82
555 GEF
Greif Inc.
25 63.17 154602.02
556 GEG
Great Elm Group, Inc.
25 1.92 9148.52
557 ICMB
Investcorp Credit Management Bdc, Inc.
25 3.41 34861.92
558 MVO
Mv Oil Trust Units Of Ben
25 11.42 42840.36
559 OPRA
Opera Limited
25 10.57 774670
560 TEAF
Ecofin Sustainable And So
25 11.34 59515.32
561 BCX
Blackrock Resources
24 8.4 339728.72
562 PSEC
Prospect Capital Corporation
24 5.74 2308693.34
563 DNP
Dnp Select Inco
23 8.87 1000470.08
564 DPG
Duff & Phelps Utility And Infrastructure Fund Inc.
23 9.15 161144.78
565 EOG
Eog Resources, Inc.
23 111.86 3385008.16
566 NDRA
Endra Life Sciences Inc.
23 1.15 129418.2
567 PCRX
Pacira Biosciences, Inc.
23 30.04 579466.12
568 RA
Brookfield Real Assets Inco
23 13.02 327568.18
569 SAMG
Silvercrest Asset Management Group Inc.
23 16.29 24216.4
570 SAR
Saratoga Investment Corp
23 23.67 148167.08
571 DHIL
Diamond Hill Investment Group, Inc.
22 149.81 13868.06
572 OCCI
Ofs Credit Company, Inc.
22 6.7836 130066.04
573 RCG
Renn Fund, Inc
22 1.57 5369.84
574 ALTI
Alti Global, Inc.
21 5.91 84767.06
575 CHN
China Fund, Inc.
21 9.93 29036.02
576 PRA
Proassurance Corporation
21 13.37 277832.92
577 CUBA
The Herzfeld Caribbean Basin Fund, Inc.
20 2.62 95257.88
578 GUT
Gabelli Utility Trust (the)
18 5.41 177007.76
579 NOAH
Noah Holdings Limited Ame
18 12.07 69666.12
580 TDF
Templeton Dragon Fund, Inc.
18 7.91 96525.08
581 VVX
V2x, Inc.
18 39.24 81741.84
582 FURY
Fury Gold Mines Limited
16 0.325 111733.18
583 HYFM
Hydrofarm Holdings Group, Inc.
16 0.89 184695.8
584 PX
P10, Inc.
16 8.72 746006.26
585 AMTX
Aemetis, Inc.
15 3.66 544650.12
586 PPTA
Perpetua Resources Corp.
14 2.75 134020.48
587 VIOT
Viomi Technology Co., Ltd
13 0.75 156090.1
588 BRDG
Bridge Investment Group Holdings Inc.
12 7.26 357276.3
589 HQI
Hirequest, Inc.
11 13.4 20965.16
590 MVIS
Microvision, Inc.
11 2 2168492.34
591 OIS
Oil States International, Inc.
11 5.55 786191.5
592 CLNE
Clean Energy Fuels Corp.
10 2.97 1784212.48
593 EVO
Evotec Se
10 7.56 74667.26
594 GCMGW
Gcm Grosvenor Inc.
10 0.288 13054.34
595 GH
Guardant Health, Inc.
10 19.42 1614569.7
596 HFRO
Highland Opportunities And Inco
10 6.13 456572.56
597 LAAC
Lithium Americas (argentina) Corp.
10 4.05 1682087.52
598 MRCY
Mercury Systems Inc
10 28.33 603224.24
599 NINE
Nine Energy Service, Inc.
10 2.08 735588.66
600 EP
Empire Petroleum Corporation
8 5.83 46433.4
601 HTZWW
Hertz Global Holdings, Inc
8 4.35 282270.98
602 PWM
Prestige Wealth Inc.
8 1.49 116604
603 CWD
Calibercos Inc.
7 1.15 23330.1
604 MVST
Microvast Holdings, Inc.
7 0.7791 3908847.22
605 NB
Niocorp Developments Ltd.
7 2.44 140864.5
606 DTI
Drilling Tools International Corporation
6 3 27732.52
607 EOSE
Eos Energy Enterprises, Inc.
6 0.9395 7238326.26
608 EXK
Endeavour Silver Corporat
6 1.53 4112042.6
609 HTZ
Hertz Global Holdings, Inc
6 7.43 5580782.28
610 RMTI
Rockwell Medical, Inc.
6 1.26 244531.04
611 CHNR
China Natural Resources, Inc.
5 1.2 1453810.4
612 GDC
Gd Culture Group Limited
5 1.96 151679.08
613 GFAI
Guardforce Ai Co., Limited
5 2.54 234043.18
614 MVSTW
Microvast Holdings, Inc.
5 0.089 43054.78
615 IDEX
Ideanomics, Inc.
4 1 318267.02
616 AMLI
American Lithium Corp.
3 0.7 505477.12
617 BENFW
Beneficient
3 0.0074 27613.46
618 EOSEW
Eos Energy Enterprises, Inc.
3 0.16 36453.56
619 VWEWW
Vintage Wine Estates, Inc.
3 0.0088 80165.3
620 ABAT
American Battery Technology Company
2 2.18 827811.36
621 AINC
Ashford Inc.
2 2.45 4252.12
622 EAF
Graftech International Ltd.
2 1.35 4159985.48
623 VTNR
Vertex Energy, Inc
2 1.66 3175834.46
624 FCUV
Focus Universal Inc.
1 0.379 100184.9
625 HYW
Hywin Holdings Ltd.
1 1.3917 39275.88
626 NCL
Northann Corp.
1 0.72 903075.72