Investor Morgan Stanley
13D/G Filings

This page shows a list of all the recent 13D/G filings made by Morgan Stanley . Schedule 13D is commonly referred to as a “beneficial ownership report.” The term "beneficial owner" is defined under SEC rules. It includes any person who directly or indirectly shares voting power or investment power (the power to sell the security).

When a person or group of persons acquires beneficial ownership of more than 5% of a voting class of a company’s equity securities, they are required to file a Schedule 13D within ten days after the purchase. Click the link icon to see the full transaction history.

Date Form Target Prev
Shares
Current
Shares
Change
(Percent)
Ownership
(Percent)
Change
(Percent)
2025-08-07 13G/A WEA / Western Asset Premier Bond Fund 1,703,059 1,855,693
2025-08-07 13G/A NML / Neuberger Berman Energy Infrastructure and Income Fund Inc. 4,190,583 3,458,002
2025-08-07 13G SMLR / Semler Scientific, Inc. 790,603
2025-08-07 13G CEVA / CEVA, Inc. 1,609,575
2025-08-07 13G ROIV / Roivant Sciences Ltd. 37,646,676
2025-08-07 13G/A JBGS / JBG SMITH Properties 6,508,972 3,633,354
2025-08-07 13G/A CRTO / Criteo S.A. - Depositary Receipt (Common Stock) 4,361,131 3,336,522
2025-08-07 13G CMMB / Chemomab Therapeutics Ltd. - Depositary Receipt (Common Stock) 32,282,680
2025-08-07 13G FDS / FactSet Research Systems Inc. 2,167,472
2025-08-07 13G/A WTM / White Mountains Insurance Group, Ltd. 185,611 159,020
2025-08-07 13G/A 5,712,128
2025-08-07 13G/A NBB / Nuveen Taxable Municipal Income Fund 1,641,466 1,944,465
2025-08-07 13G/A CCCC / C4 Therapeutics, Inc. 3,828,810 4,750,383
2025-08-07 13G FCT / First Trust Senior Floating Rate Income Fund II 820,005 1,330,493
2025-08-07 13G BBNX / Beta Bionics, Inc. 2,928,838
2025-08-07 13G BE / Bloom Energy Corporation 2,209,024 11,939,835
2025-08-07 13G NSIT / Insight Enterprises, Inc. 1,632,248
2025-08-07 13G/A PHGE / BiomX Inc. 1,854,032 0
2025-08-07 13G/A GBAB / Guggenheim Taxable Municipal Bond & Investment Grade Debt Trust 2,383,711 2,799,316
2025-08-07 13G/A CMMB / Chemomab Therapeutics Ltd. - Depositary Receipt (Common Stock) 13,213,260
2025-08-06 13G/A TAL / TAL Education Group - Depositary Receipt (Common Stock) 8,908,863 5,516,564
2025-08-06 13G/A OPP.PRB / RiverNorth/DoubleLine Strategic Opportunity Fund, Inc. - Preferred Stock 391,227 354,591
2025-08-06 13G JSPR / Jasper Therapeutics, Inc. 758,453
2025-08-06 13G IONQ / IonQ, Inc. 18,640,847
2025-08-06 13G EVH / Evolent Health, Inc. 8,210,410
2025-08-06 13G/A GROV / Grove Collaborative Holdings, Inc. 2,985,186 3,412,179
2025-08-06 13G URGN / UroGen Pharma Ltd. 752,861 2,488,299
2025-08-06 13G QXO / QXO, Inc. 17,000 41,575,652
2025-08-06 13G IOT / Samsara Inc. 10,908,670 15,342,764
2025-08-06 13G/A NCZ / Virtus Convertible & Income Fund II 9,936,242 2,156,244
2025-08-06 13G SPT / Sprout Social, Inc. 3,026,568
2025-08-06 13G/A HFRO / Highland Funds I - Highland Opportunities and Income Fund 3,376,064 3,480,324
2025-08-06 13G RGT / Royce Global Trust, Inc. 306,439 424,721
2025-08-06 13G/A TSHA / Taysha Gene Therapies, Inc. 17,629,264 16,858,644
2025-08-06 13G MAGN / Magnera Corporation 1,937,474
2025-08-06 13G PLRX / Pliant Therapeutics, Inc. 3,737,335
2025-08-06 13G/A MCR / MFS Charter Income Trust 6,451,514 6,676,108
2025-08-06 13G NCZ.PRA / Virtus Convertible & Income Fund II - Preferred Stock 302,449
2025-08-06 13G/A EFT / Eaton Vance Floating-Rate Income Trust 1,451,496 987,294
2025-08-05 13G/A CSL / Carlisle Companies Incorporated 2,455,211 2,776,355
2025-08-05 13G/A WIW / Western Asset Inflation-Linked Opportunities & Income Fund 2,487,171 5,224,323
2025-08-05 13G/A FFA / First Trust Enhanced Equity Income Fund 1,485,241 1,701,363
2025-08-05 13G PHGE / BiomX Inc. 1,854,032
2025-08-05 13G/A THTX / Theratechnologies Inc. 7,877,403 858,614
2025-08-05 13G SLQT / SelectQuote, Inc. 10,134,048
2025-08-05 13G/A RPRX / Royalty Pharma plc 36,517,159 38,907,011
2025-08-05 13G/A CNM / Core & Main, Inc. 9,919,332 15,200,309
2025-08-05 13G/A ASA / ASA Gold and Precious Metals Limited 1,420,072 1,197,203
2025-08-05 13G/A FTRE / Fortrea Holdings Inc. 5,022,736 2,036,713
2025-08-05 13G NXDT.PRA / NexPoint Diversified Real Estate Trust - Preferred Stock 205,457
2025-08-05 13G/A LB / LandBridge Company LLC 3,306,983 4,005,849
2025-08-05 13G/A IART / Integra LifeSciences Holdings Corporation 4,634,346 3,379,401
2025-08-05 13G TRMB / Trimble Inc. 13,064,278
2025-08-05 13G/A TYG / Tortoise Energy Infrastructure Corporation 960,816 1,045,172
2025-08-05 13G ANAB / AnaptysBio, Inc. 1,845,002
2025-08-05 13G/A NPFD / Nuveen Variable Rate Preferred & Income Fund 594,330 1,567,793
2025-07-08 13G/A GLNG / Golar LNG Limited 7,984,176 2,531,820
2025-07-08 13G/A GLBE / Global-E Online Ltd. 16,662,763 8,713,636
2025-06-06 13G/A XOMA / XOMA Royalty Corporation 1,111,148 1,525,497
2025-06-06 13G/A CNDA / Concord Acquisition Corp II 180,000 0
2025-06-06 13G/A TSVT / 2seventy bio, Inc. 2,813,087 0
2025-05-07 13G/A RIV / RiverNorth Opportunities Fund, Inc. 1,517,269 1,768,520
2025-05-07 13G/A OPP.PRB / RiverNorth/DoubleLine Strategic Opportunity Fund, Inc. - Preferred Stock 327,964 391,227
2025-05-07 13G OPP.PRA / RiverNorth/DoubleLine Strategic Opportunity Fund, Inc. - Preferred Stock 170,743
2025-05-07 13G/A LUNG / Pulmonx Corporation 2,965,195 3,390,737
2025-05-07 13G/A ZYME / Zymeworks Inc. 4,842,464 4,055,172
2025-05-07 13G XOMA / XOMA Royalty Corporation 1,111,148
2025-05-07 13G TERN / Terns Pharmaceuticals, Inc. 7,099,954
2025-05-07 13G/A TARS / Tarsus Pharmaceuticals, Inc. 1,943,705 1,943,453
2025-05-07 13G/A SNDX / Syndax Pharmaceuticals, Inc. 5,362,169 2,040,013
2025-05-07 13G RMT / Royce Micro-Cap Trust, Inc. 2,155,075 3,092,401
2025-05-07 13G/A NFJ / Virtus Dividend, Interest & Premium Strategy Fund 6,331,010 7,325,796
2025-05-07 13G/A MAPS / WM Technology, Inc. 6,016,658 5,647,358
2025-05-07 13G/A IOT / Samsara Inc. 20,518,749 10,908,670
2025-05-07 13G/A WEX / WEX Inc. 2,123,174 2,419,753
2025-05-07 13G/A WEA / Western Asset Premier Bond Fund 1,538,313 1,703,059
2025-05-06 13G/A KNTK / Kinetik Holdings Inc. 4,093,752 253,506
2025-05-06 13G NCA / Nuveen California Municipal Value Fund 1,727,764
2025-05-06 13G/A KRNT / Kornit Digital Ltd. 3,557,137 2,800,018
2025-05-06 13G ODD / Oddity Tech Ltd. 2,416,716
2025-05-06 13G/A NPCT / Nuveen Core Plus Impact Fund 2,109,660 2,589,303
2025-05-06 13G NKX / Nuveen California AMT-Free Quality Municipal Income Fund 2,438,070
2025-05-06 13G/A GROV / Grove Collaborative Holdings, Inc. 2,852,120 2,985,186
2025-05-06 13G NBXG / Neuberger Berman Next Generation Connectivity Fund Inc. 4,245,492
2025-05-06 13G FTF / Franklin Limited Duration Income Trust 2,553,018
2025-05-06 13G NBXG / Neuberger Berman Next Generation Connectivity Fund Inc. 4,245,492
2025-05-06 13G FTRE / Fortrea Holdings Inc. 5,022,736
2025-05-06 13G/A LB / LandBridge Company LLC 2,327,655 3,306,983
2025-05-06 13G/A DORM / Dorman Products, Inc. 1,807,267 1,343,894
2025-05-06 13G/A INDV / Indivior PLC 9,741,226 4,665,206
2025-05-06 13G/A PROK / ProKidney Corp. 13,931,026 10,058,924
2025-05-06 13G MEGI / NYLI CBRE Global Infrastructure Megatrends Term Fund 2,625,883
2025-05-06 13G KEX / Kirby Corporation 2,802,663 3,386,518
2025-05-06 13G/A GHY / PGIM Global High Yield Fund, Inc 2,877,350 2,038,535
2025-05-06 13G HFRO / Highland Funds I - Highland Opportunities and Income Fund 3,063,640 3,376,064
2025-05-05 13G CNM / Core & Main, Inc. 9,919,332
2025-05-05 13G/A CYH / Community Health Systems, Inc. 8,648,637 2,783,752
2025-05-05 13G/A PSF / Cohen & Steers Select Preferred and Income Fund, Inc. 635,940 761,831
2025-05-05 13G/A NET / Cloudflare, Inc. 23,602,808 20,170,679
2025-05-05 13G/A CACI / CACI International Inc 1,455,618 1,815,215
2025-05-05 13G/A BWG / Legg Mason BW Global Income Opportunities Fund Inc. 1,718,290 1,917,134
2025-05-05 13G BOE / BlackRock Enhanced Global Dividend Trust 4,935,817 2,891,173
2025-05-05 13G/A BMN / Blackrock 2037 Municipal Target Term Trust 727,495 799,456
2025-05-05 13G/A BLKB / Blackbaud, Inc. 4,147,877 4,512,796
2025-05-05 13G/A BYON / Beyond, Inc. 2,786,824 1,937,648
2025-05-05 13G/A AUDC / AudioCodes Ltd. 2,259,354 1,265,241
2025-05-05 13G/A ARMK / Aramark 13,560,440 16,751,433
2025-05-05 13G ERH / Allspring Utilities and High Income Fund 450,545
2025-05-05 13G/A AGL / agilon health, inc. 55,264,825 50,200,249
2025-05-05 13G/A AOD / Abrdn Total Dynamic Dividend Fund 8,910,784 10,041,703
2025-05-05 13G ASGI / Abrdn Global Infrastructure Income Fund 1,305,230 1,640,699
2025-04-07 13G/A PLYA / Playa Hotels & Resorts N.V. 8,130,463 404,268
2025-04-07 13G/A AUR / Aurora Innovation, Inc. 123,079,656 140,692,099
2025-04-07 13G/A PTON / Peloton Interactive, Inc. 38,075,066 14,441,779
2025-04-07 13G/A PHAR / Pharming Group N.V. - Depositary Receipt (Common Stock) 44,161,479 8,471,801
2025-03-06 13G/A SAGE / Sage Therapeutics, Inc. 4,542,992 1,012,337
2025-03-06 13G/A NLOP / Net Lease Office Properties 980,792 138,262
2025-03-06 13G LB / LandBridge Company LLC 2,327,655
2025-03-06 13G/A MRNS / Marinus Pharmaceuticals, Inc. 3,298,215 0
2025-02-14 13G/A 7,877,403 2,313,769
2025-02-07 13G/A APLT / Applied Therapeutics, Inc. 2,858,931
2025-02-07 13G/A NVST / Envista Holdings Corporation 15,898,867 14,141,070
2025-02-06 13G TAL / TAL Education Group - Depositary Receipt (Common Stock) 7,417,892 8,908,863
2025-02-05 13G/A ZTR / Virtus Global Dividend & Income Fund Inc. 3,440,274 1,671,707
2025-02-05 13G/A USPH / U.S. Physical Therapy, Inc. 1,039,417 889,644
2025-02-05 13G/A SPHR / Sphere Entertainment Co. 2,052,982 1,270,866
2025-02-05 13G/A RLTY / Cohen & Steers Real Estate Opportunities & Income Fund 988,587 679,684
2025-02-05 13G/A WIW / Western Asset Inflation-Linked Opportunities & Income Fund 4,358,158 2,487,171
2025-02-05 13G/A WIW / Western Asset Inflation-Linked Opportunities & Income Fund 4,358,158 4,541,024
2025-02-05 13G TSHA / Taysha Gene Therapies, Inc. 17,629,264
2025-02-05 13G SAGE / Sage Therapeutics, Inc. 4,542,992
2025-02-05 13G/A RA / Brookfield Real Assets Income Fund Inc. 3,723,705 2,455,074
2025-02-05 13G/A WEA / Western Asset Premier Bond Fund 1,404,922 1,538,313
2025-02-05 13G PRAX / Praxis Precision Medicines, Inc. 1,157,140
2025-02-05 13G/A URGN / UroGen Pharma Ltd. 2,172,327 752,861
2025-02-05 13G GAXYQ / Galaxy Next Generation, Inc. 4,836,001
2025-02-05 13G/A TYG / Tortoise Energy Infrastructure Corporation 754,892 960,816
2025-02-05 13G SNDX / Syndax Pharmaceuticals, Inc. 5,362,169
2025-02-05 13G RERE / ATRenew Inc. - Depositary Receipt (Common Stock) 4,890,678
2025-02-05 13G/A RCMT / RCM Technologies, Inc. 401,568 226,984
2025-02-04 13G/A OPP / RiverNorth/DoubleLine Strategic Opportunity Fund, Inc. 1,666,285 1,998,931
2025-02-04 13G/A NPFD / Nuveen Variable Rate Preferred & Income Fund 1,393,056 594,330
2025-02-04 13G MRNS / Marinus Pharmaceuticals, Inc. 3,298,215
2025-02-04 13G/A KTCC / Key Tronic Corporation 1,876,640 1,726,280
2025-02-04 13G/A JRI / Nuveen Real Asset Income and Growth Fund 1,827,760 1,344,008
2025-02-04 13G/A GUG / Guggenheim Active Allocation Fund 1,819,515 2,410,013
2025-02-04 13G/A GLQ / Clough Global Equity Fund 2,385,253 1,480,440
2025-02-04 13G/A KRNT / Kornit Digital Ltd. 4,279,976 3,557,137
2025-02-04 13G/A NPCE / NeuroPace, Inc. 2,460,716 2,489,391
2025-02-04 13G/A NPCT / Nuveen Core Plus Impact Fund 1,821,104 2,109,660
2025-02-04 13G NPFD / Nuveen Variable Rate Preferred & Income Fund 1,393,056 1,210,213
2025-02-04 13G/A MUE / BlackRock MuniHoldings Quality Fund II, Inc. 1,866,457 1,561,355
2025-02-04 13G/A IOT / Samsara Inc. 13,523,097 20,518,749
2025-02-04 13G/A LUNG / Pulmonx Corporation 3,652,460 2,965,195
2025-02-04 13G HIO / Western Asset High Income Opportunity Fund Inc. 3,884,711 5,482,889
2025-02-04 13G/A LSAK / Lesaka Technologies, Inc. 5,252,317 5,212,300
2025-02-04 13G/A GLO / Clough Global Opportunities Fund 3,452,684 2,407,124
2025-02-04 13G JKHY / Jack Henry & Associates, Inc. 4,249,072
2025-02-04 13G/A ETWO / E2open Parent Holdings, Inc. 16,289,065 7,471,719
2025-02-04 13G/A GBAB / Guggenheim Taxable Municipal Bond & Investment Grade Debt Trust 1,602,391 2,383,711
2025-02-03 13G/A TMCI / Treace Medical Concepts, Inc. 3,213,991 2,091,809
2025-02-03 13G/A STOK / Stoke Therapeutics, Inc. 3,358,375 3,426,739
2025-02-03 13G/A RDWR / Radware Ltd. 3,040,458 2,481,276
2025-02-03 13G/A EMD / Western Asset Emerging Markets Debt Fund Inc. 5,142,350 3,103,090
2025-02-03 13G CYH / Community Health Systems, Inc. 1,686,650 8,648,637
2025-02-03 13G BYON / Beyond, Inc. 2,786,824
2025-02-03 13G/A AXGN / Axogen, Inc. 2,859,421 2,330,406
2025-02-03 13G/A APLT / Applied Therapeutics, Inc. 9,901,213 8,815,526
2025-02-03 13G/A ABUS / Arbutus Biopharma Corporation 19,392,488 21,524,661
2025-02-03 13G/A TPB / Turning Point Brands, Inc. 1,216,204 952,023
2025-02-03 13G/A TBBB / BBB Foods Inc. 2,667,298 2,176,892
2025-02-03 13G/A EMO / ClearBridge Energy Midstream Opportunity Fund Inc 647,196 1,175,085
2025-02-03 13G/A DASH / DoorDash, Inc. 24,452,293 18,783,361
2025-02-03 13G CCCC / C4 Therapeutics, Inc. 3,828,810
2025-02-03 13G/A BGY / BlackRock Enhanced International Dividend Trust 9,693,148 8,243,916
2025-02-03 13G/A ASGI / Abrdn Global Infrastructure Income Fund 1,460,196 1,305,230
2025-02-03 13G/A ASGI / Abrdn Global Infrastructure Income Fund 1,460,196 1,305,230
2025-02-03 13G/A AFRM / Affirm Holdings, Inc. 25,920,981 22,115,546
2025-02-03 13G/A SDHY / PGIM Short Duration High Yield Opportunities Fund 1,624,390 1,153,037
2025-02-03 13G/A PLYA / Playa Hotels & Resorts N.V. 12,303,207 8,130,463
2025-02-03 13G EAD / Wells Fargo Advantage Funds - Allspring Income Opportunities Fund 3,029,159
2025-02-03 13G COUR / Coursera, Inc. 9,345,436
2025-02-03 13G/A BMN / Blackrock 2037 Municipal Target Term Trust 633,065 727,495
2025-02-03 13G/A AUR / Aurora Innovation, Inc. 82,958,037 123,079,656
2025-02-03 13G APLS / Apellis Pharmaceuticals, Inc. 9,592,751
2025-01-08 13G/A FUFU / BitFuFu Inc. 1,533,630 638
2025-01-08 13G/A IHTA / Invesco High Income 2024 Target Term Fund 747,468 0
2025-01-08 13G/A BILL / BILL Holdings, Inc. 7,625,974 1,924,282
2025-01-08 13G/A NTG / Tortoise Midstream Energy Fund, Inc. 278,526 0
2025-01-07 13G/A 3,034
2025-01-07 13G/A FINS / Angel Oak Financial Strategies Income Term Trust 2,266,895 877,414
2024-11-26 13G/A RLTY / Cohen & Steers Real Estate Opportunities & Income Fund 757,631 988,587
2024-11-26 13G WIW / Western Asset Inflation-Linked Opportunities & Income Fund 3,827,038 4,358,158
2024-11-14 13G/A FCT / First Trust Senior Floating Rate Income Fund II 2,096,492 820,005
2024-11-14 13G FUFU / BitFuFu Inc. 1,533,630
2024-11-14 13G/A AOMR / Angel Oak Mortgage REIT, Inc. 5,172,063 5,172,061
2024-11-08 13G WDI / Western Asset Diversified Income Fund 2,833,898
2024-11-08 13G/A TVTX / Travere Therapeutics, Inc. 4,152,446 1,319,809
2024-11-08 13G/A TPB / Turning Point Brands, Inc. 1,455,718 1,216,204
2024-11-08 13G/A WEA / Western Asset Premier Bond Fund 1,227,924 1,404,922
2024-11-08 13G RVT / Royce Small-Cap Trust, Inc. 4,761,016 6,058,260
2024-11-08 13G/A RBLX / Roblox Corporation 33,051,102 24,648,345
2024-11-08 13G/A JQC / Nuveen Credit Strategies Income Fund 8,064,766 5,953,390
2024-11-08 13G/A NIM / Nuveen Select Maturities Municipal Fund 702,648 587,014
2024-11-08 13G/A IOT / Samsara Inc. 14,643,954 13,523,097
2024-11-08 13G TMCI / Treace Medical Concepts, Inc. 3,213,991
2024-11-08 13G SEVN / Seven Hills Realty Trust 749,818
2024-11-08 13G TMCI / Treace Medical Concepts, Inc. 3,213,991
2024-11-08 13G RCMT / RCM Technologies, Inc. 401,568
2024-11-08 13G/A NCZ / Virtus Convertible & Income Fund II 7,683,500 9,936,242
2024-11-08 13G RA / Brookfield Real Assets Income Fund Inc. 3,723,705
2024-11-08 13G ZTR / Virtus Global Dividend & Income Fund Inc. 3,440,274
2024-11-08 13G TCMD / Tactile Systems Technology, Inc. 539,213 2,235,267
2024-11-08 13G/A RPRX / Royalty Pharma plc 41,159,749 36,517,159
2024-11-08 13G/A GROV / Grove Collaborative Holdings, Inc. 2,138,199 2,852,120
2024-11-08 13G TYG / Tortoise Energy Infrastructure Corporation 2,224,318 754,892
2024-11-08 13G/A WGHTQ / WW International, Inc. 6,945,778 3,174,899
2024-11-08 13G/A RGT / Royce Global Trust, Inc. 332,834 306,439
2024-11-08 13G PHAR / Pharming Group N.V. - Depositary Receipt (Common Stock) 44,161,479
2024-11-08 13G/A ONON / On Holding AG 16,089,024 13,332,631
2024-11-08 13G/A CPNG / Coupang, Inc. 81,988,740 67,733,538
2024-11-08 13G/A BOE / BlackRock Enhanced Global Dividend Trust 4,413,630 4,935,817
2024-11-08 13G/A OFIX / Orthofix Medical Inc. 2,057,081 1,385,663
2024-11-08 13G NTG / Tortoise Midstream Energy Fund, Inc. 2,621,214 278,526
2024-11-08 13G/A OPP.PRB / RiverNorth/DoubleLine Strategic Opportunity Fund, Inc. - Preferred Stock 242,336 327,964
2024-11-08 13G NBB / Nuveen Taxable Municipal Income Fund 1,641,466
2024-11-08 13G IDE / Voya Infrastructure, Industrials and Materials Fund 715,228 788,830
2024-11-08 13G/A NPFD / Nuveen Variable Rate Preferred & Income Fund 2,108,640 1,393,056
2024-11-08 13G/A FPF / First Trust Intermediate Duration Preferred & Income Fund 6,156,645 7,231,106
2024-11-08 13G/A NET / Cloudflare, Inc. 29,344,871 23,602,808
2024-11-08 13G/A LUNG / Pulmonx Corporation 2,061,758 3,652,460
2024-11-08 13G SPHR / Sphere Entertainment Co. 2,052,982
2024-11-08 13G/A RDWR / Radware Ltd. 3,534,162 3,040,458
2024-11-08 13G NHC / National HealthCare Corporation 853,965
2024-11-08 13G WEX / WEX Inc. 1,834,985 2,123,174
2024-11-08 13G/A PROK / ProKidney Corp. 10,775,670 13,931,026
2024-11-08 13G/A OPP / RiverNorth/DoubleLine Strategic Opportunity Fund, Inc. 1,187,757 1,666,285
2024-11-07 13G/A NRIX / Nurix Therapeutics, Inc. 3,099,198 1,758,053
2024-11-07 13G/A LSTR / Landstar System, Inc. 2,707,954 3,031,577
2024-11-07 13G/A SDHY / PGIM Short Duration High Yield Opportunities Fund 2,019,010 1,624,390
2024-11-07 13G/A NLOP / Net Lease Office Properties 759,044 980,792
2024-11-07 13G/A KEX / Kirby Corporation 4,044,933 2,802,663
2024-11-07 13G MQY / BlackRock MuniYield Quality Fund, Inc. 1,074,219 3,636,410
2024-11-07 13G/A ETWO / E2open Parent Holdings, Inc. 19,407,173 16,289,065
2024-11-07 13G/A KRNT / Kornit Digital Ltd. 3,141,172 4,279,976
2024-11-07 13G/A GRTSQ / Gritstone bio, Inc. 10,295,665 11,387
2024-11-07 13G/A FSLY / Fastly, Inc. 10,716,276 836,508
2024-11-07 13G/A DSU / BlackRock Debt Strategies Fund, Inc. 4,334,381 3,722,815
2024-11-07 13G/A DBL / DoubleLine Opportunistic Credit Fund 960,324 833,557
2024-11-07 13G GLNG / Golar LNG Limited 1,569,012 7,984,176
2024-11-07 13G HGAS / Global Gas Corporation 579,066
2024-11-07 13G/A DOCS / Doximity, Inc. 6,749,692 4,863,059
2024-11-07 13G LKQ / LKQ Corporation 14,998,869
2024-11-07 13G/A APPN / Appian Corporation 2,451,497 273,555
2024-11-07 13G/A GRAB / Grab Holdings Limited 212,463,004 122,061,802
2024-11-07 13G/A GDV / The Gabelli Dividend & Income Trust 5,808,260 6,825,012
2024-11-07 13G/A HFRO / Highland Funds I - Highland Opportunities and Income Fund 3,986,922 3,063,640
2024-11-07 13G/A BRZE / Braze, Inc. 4,892,681 3,570,023
2024-11-07 13G/A TFX / Teleflex Incorporated 2,588,653 3,183,768
2024-11-07 13G NPCT / Nuveen Core Plus Impact Fund 1,821,104
2024-11-07 13G/A MSGE / Madison Square Garden Entertainment Corp. 2,162,599 1,700,406
2024-11-07 13G/A HLF / Herbalife Ltd. 6,487,620 3,717,047
2024-11-07 13G/A GTN / Gray Media, Inc. 5,149,285 3,385,096
2024-11-07 13G/A AOD / Abrdn Total Dynamic Dividend Fund 7,212,516 8,910,784
2024-11-07 13G/A ALEC / Alector, Inc. 4,605,044 4,331,322
2024-11-07 13G/A DORM / Dorman Products, Inc. 2,288,165 1,807,267
2024-11-07 13G/A NML / Neuberger Berman Energy Infrastructure and Income Fund Inc. 6,336,606 4,190,583
2024-11-07 13G EFT / Eaton Vance Floating-Rate Income Trust 1,451,496
2024-11-07 13G DPG / Duff & Phelps Utility and Infrastructure Fund Inc. 2,173,076
2024-11-06 13G/A BBN / BlackRock Taxable Municipal Bond Trust 4,050,744 4,895,082
2024-11-06 13G/A CVNA / Carvana Co. 9,643,253 4,701,125
2024-11-06 13G/A BILL / BILL Holdings, Inc. 11,359,343 7,625,974
2024-11-06 13G/A ASA / ASA Gold and Precious Metals Limited 1,072,805 1,420,072
2024-11-06 13G/A ADVM / Adverum Biotechnologies, Inc. 5,150,496 78,862
2024-11-06 13G/A EOD / Wells Fargo Advantage Funds - Allspring Global Dividend Opportunity Fund 2,453,494 1,350,889
2024-11-06 13G/A CENT / Central Garden & Pet Company 627,423 549,426
2024-11-06 13G/A PSF / Cohen & Steers Select Preferred and Income Fund, Inc. 635,940
2024-11-06 13G/A GRTSQ / Gritstone bio, Inc. 5,519,102 10,295,665
2024-11-06 13G/A GOOS / Canada Goose Holdings Inc. 5,946,460 4,062,766
2024-11-06 13G PSF / Cohen & Steers Select Preferred and Income Fund, Inc. 635,940
2024-11-06 13G CNDA / Concord Acquisition Corp II 180,000
2024-11-06 13G/A AMG / Affiliated Managers Group, Inc. 2,358,971 2,380,121
2024-11-06 13G ACP / Abrdn Income Credit Strategies Fund 395,315 7,315,855
2024-11-06 13G/A CBZ / CBIZ, Inc. 3,448,346 2,929,047
2024-11-06 13G/A AGL / agilon health, inc. 43,816,286 55,264,825
2024-11-06 13G/A BGB / Blackstone Strategic Credit 2027 Term Fund 2,272,329 1,896,635
2024-11-06 13G APLT / Applied Therapeutics, Inc. 9,901,213
2024-11-06 13G/A DCF / BNY Mellon Alcentra Global Credit Income 2024 Target Term Fund, Inc. 884,733 586,098
2024-11-06 13G/A CMRC / Commerce.com, Inc. 6,824,007 3,848,384
2024-11-06 13G/A BCAT / BlackRock Capital Allocation Term Trust 6,098,257 3,415,587
2024-11-06 13G AMWL / American Well Corporation 1,173,291
2024-11-06 13G APPN / Appian Corporation 570,705 2,451,497
2024-11-06 13G/A CHH / Choice Hotels International, Inc. 2,869,587 4,160,858
2024-11-06 13G/A TSVT / 2seventy bio, Inc. 4,748,235 2,813,087
2024-11-06 13G/A ARQT / Arcutis Biotherapeutics, Inc. 6,093,497 3,993,787
2024-11-06 13G CSL / Carlisle Companies Incorporated 2,103,756 2,455,211
2024-11-06 13G/A AUDC / AudioCodes Ltd. 1,885,616 2,259,354
2024-11-06 13G/A ANGI / Angi Inc. 5,157,831 2,684,415
2024-11-06 13G URGN / UroGen Pharma Ltd. 2,172,327
2024-11-06 13G TBBB / BBB Foods Inc. 2,667,298
2024-11-06 13G/A SRDX / Surmodics, Inc. 1,152,945 705,884
2024-11-06 13G/A COLM / Columbia Sportswear Company 4,026,870 4,484,981
2024-11-06 13G FSLY / Fastly, Inc. 2,090,511 10,716,276
2024-10-07 13G/A CBH / Virtus Convertible & Income 2024 Target Term Fund 1,152,609 0
2024-10-07 13G/A CELC / Celcuity Inc. 2,195,026 1,391,552
2024-10-07 13G/A AFT / Apollo Senior Floating Rate Fund Inc. 841,665 0
2024-10-07 13G/A REPL / Replimune Group, Inc. 4,388,888 1,542,884
2024-10-07 13G/A FUN / Six Flags Entertainment Corporation 4,669,409 0
2024-09-10 13G/A GSL / Global Ship Lease, Inc. 2,007,078 625,457
2024-09-10 13G/A BMN / Blackrock 2037 Municipal Target Term Trust 362,981 633,065
2024-09-10 13G/A DLB / Dolby Laboratories, Inc. 4,593,133 7,043,748
2024-09-09 13G/A NTST / NETSTREIT Corp. 4,384,338 160,947
2024-09-09 13G/A OM / Outset Medical, Inc. 3,413,343 708,180
2024-08-09 13G/A FSD / First Trust High Income Long/Short Fund 1,497,036 0
2024-07-10 13G/A QXO / QXO, Inc. 17,000
2024-07-10 13G/A ACET / Adicet Bio, Inc. 2,777,725 1,108,976
2024-07-05 13G KNTK / Kinetik Holdings Inc. 4,093,752
2024-06-10 13G ABUS / Arbutus Biopharma Corporation 1,438,264 19,392,488
2024-06-10 13G/A CVNA / Carvana Co. 15,757,954 9,643,253
2024-06-10 13G/A ONL / Orion Properties Inc. 4,027,604 474,146
2024-06-10 13G/A HXL / Hexcel Corporation 4,722,128 859,234
2024-06-10 13G/A FEI / First Trust MLP and Energy Income Fund 4,048,269 0
2024-06-10 13G/A VSCO / Victoria's Secret & Co. 5,019,574 619,484
2024-06-10 13G/A WEA / Western Asset Premier Bond Fund 846,356 1,227,924
2024-05-10 13G/A CBDBY / Companhia Brasileira De Distribuicao - Depositary Receipt (Common Stock) 30,093,628 6,073,161
2024-05-06 13G/A OPP.PRB / RiverNorth/DoubleLine Strategic Opportunity Fund, Inc. - Preferred Stock 216,407 242,336
2024-04-05 13G/A SCX / The L.S. Starrett Company 394,385 25,926
2024-04-05 13G/A TDCX / TDCX Inc. - Depositary Receipt (Common Stock) 1,485,904 0
2024-04-05 13G/A JRVR / James River Group Holdings, Ltd. 2,116,487 670,349
2024-03-25 13G CBDBY / Companhia Brasileira De Distribuicao - Depositary Receipt (Common Stock) 30,093,628
2024-03-07 13G/A XPER / Xperi Inc. 3,026,375 247,707
2024-03-07 13G/A GLBE / Global-E Online Ltd. 16,380,629 16,662,763
2024-03-07 13G/A NVAX / Novavax, Inc. 7,308,033 2,454,328
2024-02-14 13G/A AOMR / Angel Oak Mortgage REIT, Inc. 5,172,061 5,172,063
2024-02-13 13G/A USPH / U.S. Physical Therapy, Inc. 656,785 1,039,417
2024-02-12 13G/A BRZE / Braze, Inc. 4,976,125 4,892,681
2024-02-12 13G/A BOE / BlackRock Enhanced Global Dividend Trust 2,476,719 4,413,630
2024-02-12 13G/A RLTY / Cohen & Steers Real Estate Opportunities & Income Fund 939,524 757,631
2024-02-12 13G/A RLTY / Cohen & Steers Real Estate Opportunities & Income Fund 939,524 1,354,612
2024-02-12 13G BMN / Blackrock 2037 Municipal Target Term Trust 362,981
2024-02-12 13G/A BLW / BlackRock Limited Duration Income Trust 3,953,245 4,413,619
2024-02-12 13G/A BLKB / Blackbaud, Inc. 3,682,701 4,147,877
2024-02-12 13G/A PTA / Cohen & Steers Tax-Advantaged Preferred Securities and Income Fund 3,242,033 3,323,360
2024-02-12 13G/A BILL / BILL Holdings, Inc. 11,147,276 11,359,343
2024-02-12 13G/A MOND / Mondee Holdings, Inc. 9,665,368 8,634,979
2024-02-12 13G/A HQH / Abrdn Healthcare Investors 3,118,800 3,021,764
2024-02-12 13G BIGC / Commerce.com, Inc. 6,824,007
2024-02-12 13G/A BGY / BlackRock Enhanced International Dividend Trust 10,332,286 9,693,148
2024-02-12 13G/A GLQ / Clough Global Equity Fund 1,980,412 2,385,253
2024-02-12 13G BGB / Blackstone Strategic Credit 2027 Term Fund 2,272,329
2024-02-12 13G/A BCAT / BlackRock Capital Allocation Term Trust 6,289,296 6,098,257
2024-02-12 13G BBN / BlackRock Taxable Municipal Bond Trust 4,050,744
2024-02-12 13G/A FOF / Cohen & Steers Closed-End Opportunity Fund, Inc. 1,514,786 1,526,891
2024-02-12 13G/A NET / Cloudflare, Inc. 30,529,371 29,344,871
2024-02-12 13G/A MUI / BlackRock Municipal Income Fund, Inc. 4,855,304 1,969,691
2024-02-12 13G AXGN / Axogen, Inc. 2,859,421
2024-02-12 13G/A CVNA / Carvana Co. 13,158,815 15,757,954
2024-02-12 13G/A CHH / Choice Hotels International, Inc. 2,859,253 2,869,587
2024-02-12 13G/A MUE / BlackRock MuniHoldings Quality Fund II, Inc. 2,189,495 1,866,457
2024-02-12 13G/A CENT / Central Garden & Pet Company 653,886 627,423
2024-02-12 13G/A CBZ / CBIZ, Inc. 3,722,133 3,448,346
2024-02-12 13G/A CACI / CACI International Inc 1,405,761 1,455,618
2024-02-12 13G/A BWG / Legg Mason BW Global Income Opportunities Fund Inc. 2,170,253 1,718,290
2024-02-12 13G/A EOD / Wells Fargo Advantage Funds - Allspring Global Dividend Opportunity Fund 2,359,996 2,453,494
2024-02-12 13G AVK / Advent Convertible and Income Fund 2,587,416 1,504,244
2024-02-12 13G/A GOOS / Canada Goose Holdings Inc. 7,041,452 5,946,460
2024-02-12 13G AUR / Aurora Innovation, Inc. 82,958,037
2024-02-12 13G/A GLO / Clough Global Opportunities Fund 2,728,129 3,452,684
2024-02-12 13G/A DCF / BNY Mellon Alcentra Global Credit Income 2024 Target Term Fund, Inc. 1,149,050 884,733
2024-02-12 13G/A CHW / Calamos Global Dynamic Income Fund 4,885,641 5,206,437
2024-02-12 13G AUDC / AudioCodes Ltd. 1,507,097 1,885,616
2024-02-12 13G/A FUN / Six Flags Entertainment Corporation 4,892,132 4,669,409
2024-02-12 13G/A CELC / Celcuity Inc. 1,091,841 2,195,026
2024-02-12 13G/A ATR / AptarGroup, Inc. 3,859,764 4,798,477
2024-02-12 13G/A CPZ / Calamos Long/Short Equity & Dynamic Income Term Trust 1,001,618 907,660
2024-02-12 13G/A CG / The Carlyle Group Inc. 23,412,646 10,485,962
2024-02-12 13G/A CEM / ClearBridge MLP and Midstream Fund Inc 685,874 624,737
2024-02-12 13G/A BSL / Blackstone Senior Floating Rate 2027 Term Fund 790,406 624,787
2024-02-12 13G EMO / ClearBridge Energy Midstream Opportunity Fund Inc 319,737 647,196
2024-02-12 13G CMAX / CareMax, Inc. 10,648,800
2024-02-12 13G/A FINS / Angel Oak Financial Strategies Income Term Trust 2,178,211 2,266,895
2024-02-12 13G ARMK / Aramark 12,637,750 13,560,440
2024-02-12 13G/A AOD / Abrdn Total Dynamic Dividend Fund 8,108,906 7,212,516
2024-02-12 13G TSVT / 2seventy bio, Inc. 4,748,235
2024-02-12 13G/A AMG / Affiliated Managers Group, Inc. 2,703,663 2,358,971
2024-02-12 13G/A AIF / Apollo Tactical Income Fund Inc. 804,387 400,715
2024-02-12 13G/A AGL / agilon health, inc. 43,556,373 43,816,286
2024-02-12 13G/A AFRM / Affirm Holdings, Inc. 25,516,934 25,920,981
2024-02-12 13G MUC / BlackRock MuniHoldings California Quality Fund, Inc. 0 5,117,850
2024-02-12 13G/A AFB / AllianceBernstein National Municipal Income Fund, Inc. 3,023,871 1,290,407
2024-02-12 13G ACET / Adicet Bio, Inc. 1,492,607 2,777,725
2024-02-12 13G IGR / CBRE Global Real Estate Income Fund 5,787,764 7,044,529
2024-02-12 13G/A ADVM / Adverum Biotechnologies, Inc. 7,135,052 5,150,496
2024-02-12 13G AFT / Apollo Senior Floating Rate Fund Inc. 841,665
2024-02-12 13G ALEC / Alector, Inc. 4,605,044
2024-02-12 13G ANGI / Angi Inc. 1,412,972 5,157,831
2024-02-12 13G/A AORT / Artivion, Inc. 2,189,557 2,375,713
2024-02-12 13G ARQT / Arcutis Biotherapeutics, Inc. 6,093,497
2024-02-12 13G ASGI / Abrdn Global Infrastructure Income Fund 1,460,196
2024-02-12 13G/A ASA / ASA Gold and Precious Metals Limited 1,120,483 1,072,805
2024-02-09 13G/A PDO / Pimco Dynamic Income Opportunities Fund 5,972,239 5,543,842
2024-02-09 13G OPP.PRB / RiverNorth/DoubleLine Strategic Opportunity Fund, Inc. - Preferred Stock 216,407
2024-02-09 13G ORGO / Organogenesis Holdings Inc. 11,505,331
2024-02-09 13G OPP / RiverNorth/DoubleLine Strategic Opportunity Fund, Inc. 1,187,757
2024-02-09 13G ONON / On Holding AG 16,089,024
2024-02-09 13G/A ONL / Orion Properties Inc. 3,514,961 4,027,604
2024-02-09 13G OM / Outset Medical, Inc. 3,413,343
2024-02-09 13G/A RPRX / Royalty Pharma plc 43,775,398 41,159,749
2024-02-09 13G/A RBLX / Roblox Corporation 35,819,697 33,051,102
2024-02-09 13G/A PTON / Peloton Interactive, Inc. 39,490,728 38,075,066
2024-02-09 13G/A PROK / ProKidney Corp. 10,775,670
2024-02-09 13G/A STOK / Stoke Therapeutics, Inc. 2,448,214 3,358,375
2024-02-09 13G/A RIV / RiverNorth Opportunities Fund, Inc. 1,402,154 1,517,269
2024-02-09 13G/A RGT / Royce Global Trust, Inc. 339,183 332,834
2024-02-09 13G/A PLYA / Playa Hotels & Resorts N.V. 11,915,235 12,303,207
2024-02-09 13G OFIX / Orthofix Medical Inc. 2,057,081
2024-02-09 13G/A PGZ / Principal Real Estate Income Fund 362,522 430,978
2024-02-09 13G/A NXDT / NexPoint Diversified Real Estate Trust 2,067,513 2,209,098
2024-02-09 13G NVAX / Novavax, Inc. 7,308,033
2024-02-09 13G NTST / NETSTREIT Corp. 1,469,877 4,384,338
2024-02-09 13G NRIX / Nurix Therapeutics, Inc. 3,099,198
2024-02-09 13G NPFD / Nuveen Variable Rate Preferred & Income Fund 2,108,640
2024-02-09 13G/A NCZ / Virtus Convertible & Income Fund II 5,817,736 7,683,500
2024-02-09 13G/A NPCE / NeuroPace, Inc. 2,188,593 2,460,716
2024-02-09 13G/A NCZ / Virtus Convertible & Income Fund II 5,817,736 7,533,818
2024-02-09 13G/A TDCX / TDCX Inc. - Depositary Receipt (Common Stock) 1,601,065 1,485,904
2024-02-09 13G/A ZYME / Zymeworks Inc. 5,579,380 4,842,464
2024-02-09 13G/A NML / Neuberger Berman Energy Infrastructure and Income Fund Inc. 6,530,843 6,336,606
2024-02-09 13G/A WTM / White Mountains Insurance Group, Ltd. 180,369 185,611
2024-02-09 13G/A VVR / Invesco Senior Income Trust 11,710,048 9,649,957
2024-02-09 13G/A NIM / Nuveen Select Maturities Municipal Fund 743,551 702,648
2024-02-09 13G/A SRV / NXG Cushing Midstream Energy Fund 129,914 63,396
2024-02-09 13G/A UBER / Uber Technologies, Inc. 147,334,351 84,742,119
2024-02-09 13G/A TTD / The Trade Desk, Inc. 31,226,856 19,726,539
2024-02-09 13G/A SDHY / PGIM Short Duration High Yield Opportunities Fund 2,615,324 2,019,010
2024-02-09 13G/A MRTX / Mirati Therapeutics, Inc. 0
2024-02-09 13G/A TFX / Teleflex Incorporated 2,525,191 2,588,653
2024-02-09 13G SRDX / Surmodics, Inc. 1,152,945
2024-02-09 13G MRTX / Mirati Therapeutics, Inc. 6,079,302
2024-02-09 13G RIGL / Rigel Pharmaceuticals, Inc. 14,490,600
2024-02-09 13G REPL / Replimune Group, Inc. 4,388,888
2024-02-09 13G/A IART / Integra LifeSciences Holdings Corporation 5,681,483 4,634,346
2024-02-09 13G RDWR / Radware Ltd. 350,916 3,534,162
2024-02-09 13G XPER / Xperi Inc. 3,026,375
2024-02-09 13G WGHTQ / WW International, Inc. 120 6,945,778
2024-02-09 13G SSNT / SilverSun Technologies, Inc. 421,827
2024-02-09 13G WIW / Western Asset Inflation-Linked Opportunities & Income Fund 3,827,038
2024-02-09 13G/A HFRO / Highland Funds I - Highland Opportunities and Income Fund 4,392,485 3,986,922
2024-02-09 13G/A FSD / First Trust High Income Long/Short Fund 1,819,359 1,497,036
2024-02-09 13G/A FSD / First Trust High Income Long/Short Fund 1,819,359 4,325,771
2024-02-09 13G FCT / First Trust Senior Floating Rate Income Fund II 2,096,492
2024-02-09 13G/A FPF / First Trust Intermediate Duration Preferred & Income Fund 6,116,020 6,156,645
2024-02-09 13G/A NFJ / Virtus Dividend, Interest & Premium Strategy Fund 6,527,555 6,331,010
2024-02-09 13G NCV / Virtus Convertible & Income Fund 5,363,123
2024-02-09 13G/A MHI / Pioneer Municipal High Income Fund, Inc. 1,491,744 1,062,094
2024-02-09 13G/A JRI / Nuveen Real Asset Income and Growth Fund 2,051,612 1,827,760
2024-02-09 13G/A FPF / First Trust Intermediate Duration Preferred & Income Fund 6,116,020 5,974,261
2024-02-09 13G/A JQC / Nuveen Credit Strategies Income Fund 11,055,996 8,064,766
2024-02-09 13G/A ISD / PGIM High Yield Bond Fund, Inc. 2,430,553 1,018,123
2024-02-09 13G WEA / Western Asset Premier Bond Fund 846,356
2024-02-09 13G/A IOT / Samsara Inc. 13,906,122 14,643,954
2024-02-09 13G/A GHY / PGIM Global High Yield Fund, Inc 3,398,533 2,877,350
2024-02-09 13G VSCO / Victoria's Secret & Co. 5,019,574
2024-02-09 13G/A EMD / Western Asset Emerging Markets Debt Fund Inc. 4,283,706 5,142,350
2024-02-09 13G TVTX / Travere Therapeutics, Inc. 4,152,446
2024-02-09 13G/A DORM / Dorman Products, Inc. 1,760,361 2,288,165
2024-02-09 13G TKO / TKO Group Holdings, Inc. 4,214,167
2024-02-09 13G MAPS / WM Technology, Inc. 6,016,658
2024-02-09 13G/A LUNG / Pulmonx Corporation 1,951,590 2,061,758
2024-02-09 13G TPB / Turning Point Brands, Inc. 1,455,718
2024-02-09 13G/A EMD / Western Asset Emerging Markets Debt Fund Inc. 4,283,706 4,607,740
2024-02-09 13G TARS / Tarsus Pharmaceuticals, Inc. 1,943,705
2024-02-09 13G/A EDF / Virtus Stone Harbor Emerging Markets Income Fund 1,135,314 620,708
2024-02-09 13G/A CWCO / Consolidated Water Co. Ltd. 882,301 882,737
2024-02-09 13G/A RFI / Cohen & Steers Total Return Realty Fund, Inc. 1,352,657 1,522,343
2024-02-09 13G/A CBH / Virtus Convertible & Income 2024 Target Term Fund 1,012,010 1,152,609
2024-02-09 13G/A BXMX / Nuveen S&P 500 Buy-Write Income Fund 11,145,552 11,325,065
2024-02-09 13G/A MCR / MFS Charter Income Trust 2,162,913 6,451,514
2024-02-08 13G/A KEX / Kirby Corporation 4,183,389 4,044,933
2024-02-08 13G JRVR / James River Group Holdings, Ltd. 2,116,487
2024-02-08 13G JBGS / JBG SMITH Properties 6,508,972
2024-02-08 13G/A GDV / The Gabelli Dividend & Income Trust 5,900,353 5,808,260
2024-02-08 13G INDV / Indivior PLC 9,741,226
2024-02-08 13G/A FTHY / First Trust High Yield Opportunities 2027 Term Fund 3,212,721 3,182,713
2024-02-08 13G/A FFA / First Trust Enhanced Equity Income Fund 1,418,925 1,485,241
2024-02-08 13G/A IHTA / Invesco High Income 2024 Target Term Fund 888,060 747,468
2024-02-08 13G/A EXG / Eaton Vance Tax-Managed Global Diversified Equity Income Fund 23,861,836 22,163,157
2024-02-08 13G/A IHIT / Invesco High Income 2023 Target Term Fund 1,904,571 0
2024-02-08 13G/A EVV / Eaton Vance Limited Duration Income Fund 8,283,020 9,189,342
2024-02-08 13G/A ETY / Eaton Vance Tax-Managed Diversified Equity Income Fund 12,194,715 11,691,878
2024-02-08 13G/A SCX / The L.S. Starrett Company 361,272 394,385
2024-02-08 13G/A FEI / First Trust MLP and Energy Income Fund 4,549,242 4,048,269
2024-02-08 13G/A NVST / Envista Holdings Corporation 13,484,631 15,898,867
2024-02-08 13G/A MNDO / MIND C.T.I. Ltd 1,085,327 1,091,018
2024-02-08 13G/A GRAB / Grab Holdings Limited 294,950,430 212,463,004
2024-02-08 13G/A GLBE / Global-E Online Ltd. 16,655,147 16,380,629
2024-02-08 13G/A HLF / Herbalife Ltd. 5,255,046 6,487,620
2024-02-08 13G/A HXL / Hexcel Corporation 6,648,134 4,722,128
2024-02-08 13G/A MMT / MFS Multimarket Income Trust 3,321,700 2,642,312
2024-02-08 13G/A LSTR / Landstar System, Inc. 2,989,750 2,707,954
2024-02-08 13G/A GUG / Guggenheim Active Allocation Fund 2,309,762 1,819,515
2024-02-08 13G/A LSAK / Lesaka Technologies, Inc. 5,187,577 5,252,317
2024-02-08 13G/A KTCC / Key Tronic Corporation 1,928,160 1,876,640
2024-02-08 13G GROV / Grove Collaborative Holdings, Inc. 2,138,199
2024-02-08 13G GTN / Gray Media, Inc. 5,149,285
2024-02-08 13G GBAB / Guggenheim Taxable Municipal Bond & Investment Grade Debt Trust 390,214 1,602,391
2024-02-08 13G FREY / FREYR Battery, Inc. 11,554,754
2024-02-08 13G/A ETWO / E2open Parent Holdings, Inc. 18,147,529 19,407,173
2024-02-08 13G/A ERJ / Embraer S.A. - Depositary Receipt (Common Stock) 36,750,206 39,373,872
2024-02-08 13G EPIX / ESSA Pharma Inc. 4,186,578
2024-02-08 13G/A GTLB / GitLab Inc. 7,418,723 5,175,251
2024-02-08 13G/A DSU / BlackRock Debt Strategies Fund, Inc. 4,229,943 4,334,381
2024-02-08 13G/A GSL / Global Ship Lease, Inc. 2,008,638 2,007,078
2024-02-08 13G NLOP / Net Lease Office Properties 759,044
2024-02-08 13G GRTSQ / Gritstone bio, Inc. 5,519,102
2024-02-08 13G MSGE / Madison Square Garden Entertainment Corp. 2,162,599
2024-02-08 13G/A DOCS / Doximity, Inc. 9,556,526 6,749,692
2024-02-08 13G/A DLB / Dolby Laboratories, Inc. 4,261,695 4,593,133
2024-02-08 13G LDP / Cohen & Steers Limited Duration Preferred and Income Fund, Inc. 1,171,662 1,829,714
2024-02-08 13G DBL / DoubleLine Opportunistic Credit Fund 960,324
2024-02-08 13G/A DASH / DoorDash, Inc. 28,026,785 24,452,293
2024-02-08 13G KYN / Kayne Anderson Energy Infrastructure Fund, Inc. 5,967,367 7,170,126
2024-02-08 13G CYRX / Cryoport, Inc. 4,141,522
2024-02-08 13G KRNT / Kornit Digital Ltd. 3,141,172
2024-02-08 13G CRTO / Criteo S.A. - Depositary Receipt (Common Stock) 2,810,521 4,361,131
2024-02-08 13G/A CRCT / Cricut, Inc. 2,906,062 1,956,436
2024-02-08 13G/A CPNG / Coupang, Inc. 123,626,153 81,988,740
2024-02-08 13G/A COLM / Columbia Sportswear Company 3,797,240 4,026,870
2024-02-08 13G/A BTO / John Hancock Financial Opportunities Fund 1,605,673 1,344,538
2023-12-28 13G ERJ / Embraer S.A. - Depositary Receipt (Common Stock) 8,140,543 36,750,206
2023-12-11 13G/A TWOU / 2U, Inc. 5,034,281 1,052,728
2023-12-11 13G/A GDO / Western Asset Global Corporate Defined Opportunity Fund Inc. 783,481 595,345
2023-12-11 13G/A SHOP / Shopify Inc. 65,432,513 48,420,624
2023-12-11 13G/A BR / Broadridge Financial Solutions, Inc. 6,577,256 5,081,333
2023-12-11 13G/A MYI / BlackRock MuniYield Quality Fund III, Inc. 4,081,539 1,087,042
2023-12-11 13G/A GLBE / Global-E Online Ltd. 9,499,576 16,655,147
2023-12-11 13G/A BOE / BlackRock Enhanced Global Dividend Trust 3,168,078 2,476,719
2023-12-11 13G/A GLRE / Greenlight Capital Re, Ltd. 1,435,427 1,406,054
2023-12-11 13G/A BRDG / Bridge Investment Group Holdings Inc. 1,920,731 1,391,267
2023-12-11 13G/A W / Wayfair Inc. 5,632,694 704,876
2023-12-08 13G/A FTAI / FTAI Aviation Ltd. 5,293,324 3,419,484
2023-12-08 13G/A DLY / DoubleLine Yield Opportunities Fund 2,650,964 2,053,774
2023-12-08 13G/A AIF / Apollo Tactical Income Fund Inc. 408,880 804,387
2023-12-08 13G/A GLOB / Globant S.A. 2,166,419 1,439,276
2023-12-08 13G/A CHWY / Chewy, Inc. 6,520,266 4,853,299
2023-12-08 13G/A TXG / 10x Genomics, Inc. 5,139,461 3,630,398
2023-12-08 13G/A FOLD / Amicus Therapeutics, Inc. 17,585,016 12,303,701
2023-12-08 13G/A AMRN / Amarin Corporation plc - Depositary Receipt (Common Stock) 22,052,095 6,427,739
2023-12-08 13G/A GHY / PGIM Global High Yield Fund, Inc 5,469,124 3,398,533
2023-12-08 13G/A MELI / MercadoLibre, Inc. 2,563,574 1,973,478
2023-12-08 13G/A HEQ / John Hancock Diversified Income Fund 994,852 508,380
2023-12-08 13G/A ALIM / Alimera Sciences, Inc. 666,246 916,246
2023-12-08 13G/A VERU / Veru Inc. 7,285,006 3,756,588
2023-11-09 13G/A NBO / Neuberger Berman New York Municipal Fund Inc 331,237 0
2023-11-09 13G/A MNP / Western Asset Municipal Partners Fund Inc 135 0
2023-10-10 13G/A PTON / Peloton Interactive, Inc. 19,183,900 39,490,728
2023-10-10 13G/A BYM / BlackRock Municipal Income Quality Trust 2,732,912 1,335,528
2023-10-10 13G/A ADUS / Addus HomeCare Corporation 847,893 317,702
2023-09-11 13G/A HUYA / HUYA Inc. - Depositary Receipt (Common Stock) 8,135,570 3,152
2023-09-08 13G/A AGL / agilon health, inc. 37,574,546 43,556,373
2023-09-08 13G/A DOCS / Doximity, Inc. 15,074,620 9,556,526
2023-08-07 13G/A CHWY / Chewy, Inc. 19,796,350 6,520,266
2023-08-07 13G/A NIQ / NIQ Global Intelligence plc 824,066 0
2023-07-10 13G/A FPF / First Trust Intermediate Duration Preferred & Income Fund 5,059,880 6,116,020
2023-07-10 13G/A TXG / 10x Genomics, Inc. 9,894,979 5,139,461
2023-07-10 13G/A CMLS / Cumulus Media Inc. 1,549,190 25,311
2023-07-10 13G/A ATEX / Anterix Inc. 1,287,399 270,914
2023-07-10 13G/A HIE / Miller/Howard High Income Equity Fund 1,111,076 268,077
2023-06-09 13G/A HUYA / HUYA Inc. - Depositary Receipt (Common Stock) 14,830,792 8,135,570
2023-06-09 13G/A EB / Eventbrite, Inc. 6,827,543 984,955
2023-06-08 13G/A AFRM / Affirm Holdings, Inc. 16,743,222 25,516,934
2023-05-10 13G/A OBLG / Oblong, Inc. 57,573
2023-05-09 13G/A BAX / Baxter International Inc. 27,835,167 3,186,104
2023-05-08 13G/A NID / Nuveen Intermediate Duration Municipal Term Fund 2,869,666 0
2023-05-05 13G/A ZI / ZoomInfo Technologies Inc. 25,523,563 7,852,804
2023-04-14 13G/A MOND / Mondee Holdings, Inc. 9,835,955 9,665,368
2023-04-10 13G/A GRPN / Groupon, Inc. 1,757,135 371,023
2023-04-10 13G/A MGU / Macquarie Global Infrastructure Total Return Fund Inc 847,268 0
2023-04-10 13G/A DDOG / Datadog, Inc. 15,556,243 5,313,647
2023-04-06 13G/A BILL / BILL Holdings, Inc. 8,526,290 11,147,276
2023-03-10 13G/A MFGP / Micro Focus International Plc - ADR 20,573,737 0
2023-03-09 13G/A CYH / Community Health Systems, Inc. 8,468,393 1,686,650
2023-03-08 13G/A IOT / Samsara Inc. 6,815,524 13,906,122
2023-02-14 13G/A NEPT / Neptune Wellness Solutions Inc 544,962
2023-02-14 13G/A MOND / Mondee Holdings, Inc. 9,690,567 9,835,955
2023-02-14 13G/A CVNA / Carvana Co. 13,113,145 13,158,815
2023-02-13 13G/A NXDT / NexPoint Diversified Real Estate Trust 2,037,005 2,067,513
2023-02-10 13G/A JQC / Nuveen Credit Strategies Income Fund 7,939,964 11,055,996
2023-02-10 13G PTON / Peloton Interactive, Inc. 1,245,293 19,183,900
2023-02-10 13G RGT / Royce Global Trust, Inc. 530,407 339,183
2023-02-10 13G/A JRI / Nuveen Real Asset Income and Growth Fund 2,359,131 2,051,612
2023-02-10 13G/A SCX / The L.S. Starrett Company 377,462 361,272
2023-02-10 13G/A RPRX / Royalty Pharma plc 56,011,010 43,775,398
2023-02-10 13G/A SDHY / PGIM Short Duration High Yield Opportunities Fund 2,755,527 2,615,324
2023-02-10 13G/A NML / Neuberger Berman Energy Infrastructure and Income Fund Inc. 6,098,358 6,530,843
2023-02-10 13G/A JCO / Nuveen Credit Opportunities 2022 Target Term Fund 2,313,337 0
2023-02-10 13G/A RIV / RiverNorth Opportunities Fund, Inc. 969,317 1,402,154
2023-02-10 13G LUNG / Pulmonx Corporation 1,951,590
2023-02-10 13G EDF / Virtus Stone Harbor Emerging Markets Income Fund 487,552 1,135,314
2023-02-10 13G/A PROK / ProKidney Corp. 10,934,182
2023-02-10 13G ONL / Orion Properties Inc. 3,514,961
2023-02-10 13G USPH / U.S. Physical Therapy, Inc. 656,785
2023-02-10 13G/A MNDO / MIND C.T.I. Ltd 1,273,975 1,085,327
2023-02-10 13G NID / Nuveen Intermediate Duration Municipal Term Fund 1,649,836 2,869,666
2023-02-10 13G/A TTD / The Trade Desk, Inc. 28,033,804 31,226,856
2023-02-10 13G ZYME / Zymeworks Inc. 5,579,380
2023-02-10 13G ZI / ZoomInfo Technologies Inc. 10,730,037 25,523,563
2023-02-10 13G NPCE / NeuroPace, Inc. 2,188,593
2023-02-10 13G/A HQH / Abrdn Healthcare Investors 3,257,060 3,118,800
2023-02-10 13G/A PGZ / Principal Real Estate Income Fund 503,919 362,522
2023-02-10 13G/A WTM / White Mountains Insurance Group, Ltd. 186,905 180,369
2023-02-10 13G NBO / Neuberger Berman New York Municipal Fund Inc 331,237
2023-02-10 13G/A PLYA / Playa Hotels & Resorts N.V. 9,640,713 11,915,235
2023-02-10 13G MHI / Pioneer Municipal High Income Fund, Inc. 0 1,491,744
2023-02-10 13G/A TDCX / TDCX Inc. - Depositary Receipt (Common Stock) 1,439,706 1,601,065
2023-02-10 13G/A BXMX / Nuveen S&P 500 Buy-Write Income Fund 10,431,864 11,145,552
2023-02-10 13G/A TCMD / Tactile Systems Technology, Inc. 1,731,409 539,213
2023-02-10 13G TFX / Teleflex Incorporated 2,525,191
2023-02-10 13G/A LSAK / Lesaka Technologies, Inc. 3,108,048 5,187,577
2023-02-10 13G STOK / Stoke Therapeutics, Inc. 2,448,214
2023-02-10 13G/A EMD / Western Asset Emerging Markets Debt Fund Inc. 6,303,095 4,283,706
2023-02-10 13G VERU / Veru Inc. 7,285,006
2023-02-10 13G SHOP / Shopify Inc. 65,432,513
2023-02-10 13G/A EMD / Western Asset Emerging Markets Debt Fund Inc. 6,303,095 6,709,216
2023-02-10 13G/A PDO / Pimco Dynamic Income Opportunities Fund 5,883,721 5,972,239
2023-02-10 13G/A HIE / Miller/Howard High Income Equity Fund 1,053,027 1,111,076
2023-02-10 13G/A SEIC / SEI Investments Company 7,095,929 6,331,586
2023-02-10 13G/A UBER / Uber Technologies, Inc. 100,129,639 147,334,351
2023-02-10 13G/A ISD / PGIM High Yield Bond Fund, Inc. 2,688,141 2,430,553
2023-02-10 13G/A MMT / MFS Multimarket Income Trust 4,299,477 3,321,700
2023-02-10 13G NCZ / Virtus Convertible & Income Fund II 5,817,736
2023-02-10 13G/A THTX / Theratechnologies Inc. 5,143,021 7,877,403
2023-02-10 13G/A NFJ / Virtus Dividend, Interest & Premium Strategy Fund 4,012,239 6,527,555
2023-02-10 13G/A MCR / MFS Charter Income Trust 3,024,011 2,162,913
2023-02-10 13G/A IOT / Samsara Inc. 1,750,737 6,815,524
2023-02-10 13G/A GHY / PGIM Global High Yield Fund, Inc 5,488,859 5,469,124
2023-02-10 13G/A CBH / Virtus Convertible & Income 2024 Target Term Fund 1,004,603 1,012,010
2023-02-10 13G/A MCR / MFS Charter Income Trust 3,024,011 5,747,136
2023-02-10 13G MFGP / Micro Focus International Plc - ADR 20,573,737
2023-02-10 13G/A W / Wayfair Inc. 8,014,586 5,632,694
2023-02-10 13G/A JEMD / Nuveen Emerging Markets Debt 2022 Target Term Fund 965,095 0
2023-02-10 13G NIM / Nuveen Select Maturities Municipal Fund 743,551
2023-02-10 13G NIQ / NIQ Global Intelligence plc 474,493 824,066
2023-02-10 13G/A GDO / Western Asset Global Corporate Defined Opportunity Fund Inc. 808,630 783,481
2023-02-09 13G/A ACMR / ACM Research, Inc. 2,773,504 390,606
2023-02-09 13G GTLB / GitLab Inc. 7,418,723
2023-02-09 13G/A GDV / The Gabelli Dividend & Income Trust 6,067,355 5,900,353
2023-02-09 13G/A NVST / Envista Holdings Corporation 13,799,776 13,484,631
2023-02-09 13G ETWO / E2open Parent Holdings, Inc. 18,147,529
2023-02-09 13G/A AFB / AllianceBernstein National Municipal Income Fund, Inc. 2,827,144 3,023,871
2023-02-09 13G/A FTCHQ / Farfetch Limited 35,146,383 1,472,819
2023-02-09 13G/A SNTI / Senti Biosciences, Inc. 249,858
2023-02-09 13G/A BYM / BlackRock Municipal Income Quality Trust 2,451,293 2,732,912
2023-02-09 13G FSD / First Trust High Income Long/Short Fund 4,498,083 1,819,359
2023-02-09 13G/A DOCS / Doximity, Inc. 7,757,914 15,074,620
2023-02-09 13G/A FSD / First Trust High Income Long/Short Fund 4,498,083 4,558,111
2023-02-09 13G/A DLY / DoubleLine Yield Opportunities Fund 2,928,435 2,650,964
2023-02-09 13G/A HUYA / HUYA Inc. - Depositary Receipt (Common Stock) 15,036,361 14,830,792
2023-02-09 13G/A IHIT / Invesco High Income 2023 Target Term Fund 1,607,720 1,904,571
2023-02-09 13G DORM / Dorman Products, Inc. 1,760,361
2023-02-09 13G/A FEI / First Trust MLP and Energy Income Fund 4,567,279 4,549,242
2023-02-09 13G/A DASH / DoorDash, Inc. 19,955,610 28,026,785
2023-02-09 13G/A FPF / First Trust Intermediate Duration Preferred & Income Fund 4,687,580 5,059,880
2023-02-09 13G/A DLB / Dolby Laboratories, Inc. 3,849,803 4,261,695
2023-02-09 13G/A IART / Integra LifeSciences Holdings Corporation 5,361,471 5,681,483
2023-02-09 13G/A DDOG / Datadog, Inc. 15,571,616 15,556,243
2023-02-09 13G/A FTHY / First Trust High Yield Opportunities 2027 Term Fund 3,327,329 3,212,721
2023-02-09 13G GSL / Global Ship Lease, Inc. 2,008,638
2023-02-09 13G/A FFA / First Trust Enhanced Equity Income Fund 1,379,870 1,418,925
2023-02-09 13G/A HFRO / Highland Funds I - Highland Opportunities and Income Fund 4,381,429 4,392,485
2023-02-09 13G/A KTCC / Key Tronic Corporation 1,738,775 1,928,160
2023-02-09 13G/A HXL / Hexcel Corporation 7,773,681 6,648,134
2023-02-09 13G/A MGU / Macquarie Global Infrastructure Total Return Fund Inc 913,504 847,268
2023-02-09 13G/A EDAP / EDAP TMS S.A. - Depositary Receipt (Common Stock) 1,951,552 3,138,680
2023-02-09 13G/A KEX / Kirby Corporation 4,351,311 4,183,389
2023-02-09 13G/A FTAI / FTAI Aviation Ltd. 6,615,390 5,293,324
2023-02-09 13G/A SRV / NXG Cushing Midstream Energy Fund 118,194 129,914
2023-02-09 13G/A ETY / Eaton Vance Tax-Managed Diversified Equity Income Fund 12,938,593 12,194,715
2023-02-09 13G/A CMLS / Cumulus Media Inc. 1,346,429 1,549,190
2023-02-09 13G/A HEQ / John Hancock Diversified Income Fund 1,097,554 994,852
2023-02-09 13G/A BTO / John Hancock Financial Opportunities Fund 1,608,130 1,605,673
2023-02-09 13G/A CRCT / Cricut, Inc. 3,657,422 2,906,062
2023-02-09 13G/A LSTR / Landstar System, Inc. 2,790,265 2,989,750
2023-02-09 13G/A AIJTY / Jianpu Technology Inc. - Depositary Receipt (Common Stock) 27,368,680 27,337,840
2023-02-09 13G CYH / Community Health Systems, Inc. 8,468,393
2023-02-09 13G CPNG / Coupang, Inc. 123,626,153
2023-02-09 13G/A GLRE / Greenlight Capital Re, Ltd. 1,727,408 1,435,427
2023-02-09 13G/A VVR / Invesco Senior Income Trust 10,869,700 11,710,048
2023-02-09 13G/A COLM / Columbia Sportswear Company 3,301,513 3,797,240
2023-02-09 13G/A GLOB / Globant S.A. 2,109,208 2,166,419
2023-02-09 13G HLF / Herbalife Ltd. 2,943,916 5,255,046
2023-02-09 13G GUG / Guggenheim Active Allocation Fund 2,309,762
2023-02-09 13G/A IHTA / Invesco High Income 2024 Target Term Fund 952,250 888,060
2023-02-09 13G/A KYN / Kayne Anderson Energy Infrastructure Fund, Inc. 6,643,183 5,967,367
2023-02-09 13G/A EVV / Eaton Vance Limited Duration Income Fund 8,066,615 8,283,020
2023-02-09 13G RFI / Cohen & Steers Total Return Realty Fund, Inc. 459,799 1,352,657
2023-02-09 13G GRPN / Groupon, Inc. 532,973 1,757,135
2023-02-09 13G MELI / MercadoLibre, Inc. 2,563,574
2023-02-09 13G PTA / Cohen & Steers Tax-Advantaged Preferred Securities and Income Fund 3,242,033
2023-02-09 13G GRAB / Grab Holdings Limited 159,255,111 294,950,430
2023-02-09 13G GLBE / Global-E Online Ltd. 9,499,576
2023-02-09 13G/A RBLX / Roblox Corporation 39,682,011 35,819,697
2023-02-09 13G/A EXG / Eaton Vance Tax-Managed Global Diversified Equity Income Fund 21,903,458 23,861,836
2023-02-09 13G RLTY / Cohen & Steers Real Estate Opportunities & Income Fund 939,524
2023-02-09 13G CWCO / Consolidated Water Co. Ltd. 706,134 882,301
2023-02-09 13G RLTY / Cohen & Steers Real Estate Opportunities & Income Fund 860,025
2023-02-09 13G EB / Eventbrite, Inc. 2,861,476 6,827,543
2023-02-09 13G/A FOF / Cohen & Steers Closed-End Opportunity Fund, Inc. 1,500,175 1,514,786
2023-02-09 13G/A GLQ / Clough Global Equity Fund 2,002,938 1,980,412
2023-02-08 13G/A NET / Cloudflare, Inc. 27,877,046 30,529,371
2023-02-08 13G/A BLKB / Blackbaud, Inc. 3,947,749 3,682,701
2023-02-08 13G/A CHH / Choice Hotels International, Inc. 3,452,273 2,859,253
2023-02-08 13G/A CHWY / Chewy, Inc. 19,837,903 19,796,350
2023-02-08 13G/A BILL / BILL Holdings, Inc. 6,678,452 8,526,290
2023-02-08 13G/A BAX / Baxter International Inc. 28,501,661 27,835,167
2023-02-08 13G/A ASA / ASA Gold and Precious Metals Limited 1,018,796 1,120,483
2023-02-08 13G AORT / Artivion, Inc. 2,189,557
2023-02-08 13G/A ARCH / Arch Resources, Inc. 1,274,674 311,676
2023-02-08 13G/A MYI / BlackRock MuniYield Quality Fund III, Inc. 3,569,746 4,081,539
2023-02-08 13G/A MUI / BlackRock Municipal Income Fund, Inc. 4,346,426 4,855,304
2023-02-08 13G/A ARMK / Aramark 18,175,784 12,637,750
2023-02-08 13G ADVM / Adverum Biotechnologies, Inc. 7,135,052
2023-02-08 13G/A ATR / AptarGroup, Inc. 3,701,634 3,859,764
2023-02-08 13G/A ALIM / Alimera Sciences, Inc. 563,324 666,246
2023-02-08 13G/A GOOS / Canada Goose Holdings Inc. 8,962,382 7,041,452
2023-02-08 13G/A BOE / BlackRock Enhanced Global Dividend Trust 4,448,545 3,168,078
2023-02-08 13G AMRN / Amarin Corporation plc - Depositary Receipt (Common Stock) 22,052,095
2023-02-08 13G/A CG / The Carlyle Group Inc. 18,224,322 23,412,646
2023-02-08 13G/A BOE / BlackRock Enhanced Global Dividend Trust 4,448,545 5,330,078
2023-02-08 13G/A BSL / Blackstone Senior Floating Rate 2027 Term Fund 940,839 790,406
2023-02-08 13G/A CPZ / Calamos Long/Short Equity & Dynamic Income Term Trust 1,196,401 1,001,618
2023-02-08 13G/A BSTZ / BlackRock Science and Technology Term Trust 5,593,278 3,737,374
2023-02-08 13G/A AIF / Apollo Tactical Income Fund Inc. 1,490,089 408,880
2023-02-08 13G/A CHW / Calamos Global Dynamic Income Fund 3,558,166 4,885,641
2023-02-08 13G/A CACI / CACI International Inc 1,373,538 1,405,761
2023-02-08 13G/A MUE / BlackRock MuniHoldings Quality Fund II, Inc. 2,304,805 2,189,495
2023-02-08 13G/A AIF / Apollo Tactical Income Fund Inc. 1,490,089 1,781,120
2023-02-08 13G ADUS / Addus HomeCare Corporation 847,893
2023-02-08 13G/A BWG / Legg Mason BW Global Income Opportunities Fund Inc. 1,870,714 2,170,253
2023-02-08 13G/A CENT / Central Garden & Pet Company 703,146 653,886
2023-02-08 13G/A DCF / BNY Mellon Alcentra Global Credit Income 2024 Target Term Fund, Inc. 1,122,041 1,149,050
2023-02-08 13G/A BYM / BlackRock Municipal Income Quality Trust 1,837,071 2,451,293
2023-02-08 13G/A ATEX / Anterix Inc. 1,429,983 1,287,399
2023-02-08 13G/A ACMR / ACM Research, Inc. 1,297,916 2,773,504
2023-02-08 13G/A EOD / Wells Fargo Advantage Funds - Allspring Global Dividend Opportunity Fund 3,166,623 2,359,996
2023-02-08 13G/A CBZ / CBIZ, Inc. 4,110,498 3,722,133
2023-02-08 13G/A SQ / Block, Inc. 24,807,873 19,563,158
2023-02-08 13G/A AOD / Abrdn Total Dynamic Dividend Fund 11,749,107 8,108,906
2023-02-08 13G FOLD / Amicus Therapeutics, Inc. 12,737,657 17,585,016
2023-02-08 13G/A CEM / ClearBridge MLP and Midstream Fund Inc 684,999 685,874
2023-02-08 13G/A BLW / BlackRock Limited Duration Income Trust 3,634,912 3,953,245
2023-02-08 13G/A FINS / Angel Oak Financial Strategies Income Term Trust 2,041,358 2,178,211
2023-02-08 13G/A FUN / Six Flags Entertainment Corporation 5,009,225 4,892,132
2023-02-08 13G/A AFB / AllianceBernstein National Municipal Income Fund, Inc. 2,998,977 2,827,144
2023-02-08 13G/A BGY / BlackRock Enhanced International Dividend Trust 10,804,924 10,332,286
2023-02-08 13G BRZE / Braze, Inc. 4,976,125
2023-02-08 13G/A QFIN / Qfin Holdings, Inc. - Depositary Receipt (Common Stock) 16,847,902 14,409,642
2023-02-08 13G BR / Broadridge Financial Solutions, Inc. 6,577,256
2023-02-08 13G AFRM / Affirm Holdings, Inc. 16,743,222
2023-02-08 13G BRDG / Bridge Investment Group Holdings Inc. 1,920,731
2023-02-08 13G/A DSU / BlackRock Debt Strategies Fund, Inc. 4,103,989 4,229,943
2023-02-08 13G/A AGL / agilon health, inc. 42,300,681 37,574,546
2023-02-08 13G/A IGR / CBRE Global Real Estate Income Fund 7,449,626 5,787,764
2023-02-08 13G TWOU / 2U, Inc. 5,034,281
2023-02-08 13G/A AMG / Affiliated Managers Group, Inc. 2,653,306 2,703,663
2023-02-08 13G/A TXG / 10x Genomics, Inc. 10,341,753 9,894,979
2023-02-08 13G BCAT / BlackRock Capital Allocation Term Trust 6,289,296
2023-02-08 13G/A AVK / Advent Convertible and Income Fund 3,898,868 2,587,416
2023-02-08 13G GLO / Clough Global Opportunities Fund 2,728,129
2023-02-08 13G CELC / Celcuity Inc. 1,091,841
2022-12-12 13G/A SNOW / Snowflake Inc. 15,453,867 14,262,468
2022-12-12 13G/A RVT / Royce Small-Cap Trust, Inc. 5,751,488 4,761,016
2022-12-12 13G/A IGD / Voya Global Equity Dividend and Premium Opportunity Fund 4,754,582 2,410,956
2022-12-12 13G/A FIF / First Trust Energy Infrastructure Fund 1,015,003 374,902
2022-12-12 13G/A SPOT / Spotify Technology S.A. 12,004,766 8,382,263
2022-12-12 13G/A CRTO / Criteo S.A. - Depositary Receipt (Common Stock) 3,373,924 2,810,521
2022-12-12 13G/A JHAA / Nuveen Corporate Income 2023 Target Term Fund 633,565 352,260
2022-12-12 13G/A BMEZ / BlackRock Health Sciences Term Trust 6,527,110 5,075,638
2022-12-12 13G/A HIO / Western Asset High Income Opportunity Fund Inc. 4,814,239 3,884,711
2022-12-12 13G/A US74738J2015 / Q and K INTERNATIONAL GROUP LTD ADR 120,000,000
2022-12-12 13G/A WRB / W. R. Berkley Corporation 9,317,556 10,335,111
2022-12-12 13G/A EFL / Eaton Vance Floating-Rate 2022 Target Term Trust 1,925,231 0
2022-12-12 13G/A TAL / TAL Education Group - Depositary Receipt (Common Stock) 8,745,652 7,417,892
2022-12-12 13G/A SIEN / Sientra, Inc. 3,412,477 398,938
2022-12-12 13G/A VGI / Virtus Global Multi-Sector Income Fund 825,294 270,573
2022-12-12 13G/A AY / Atlantica Sustainable Infrastructure plc 5,677,200 4,469,646
2022-12-12 13G/A EDU / New Oriental Education & Technology Group Inc. - Depositary Receipt (Common Stock) 39,565,824
2022-12-12 13G/A EGHT / 8x8, Inc. 5,917,017 1,340,506
2022-12-09 13G/A UMPQ / Umpqua Holdings Corp 11,421,660 9,776,083
2022-12-09 13G/A TCOM / Trip.com Group Limited - Depositary Receipt (Common Stock) 37,375,739 23,002,318
2022-12-09 13G/A WEX / WEX Inc. 2,433,798 1,834,985
2022-12-09 13G/A OLO / Olo Inc. 4,074,067 3,945,244
2022-12-09 13G/A PDI / PIMCO Dynamic Income Fund 8,464,860 9,112,490
2022-12-09 13G/A MEKA / MELI Kaszek Pioneer Corp - Class A 1,996,272 165,761
2022-12-09 13G/A CSL / Carlisle Companies Incorporated 3,409,993 2,103,756
2022-12-09 13G/A DUOL / Duolingo, Inc. 984,249 580,981
2022-12-09 13G/A GH / Guardant Health, Inc. 5,714,358 4,953,699
2022-12-07 13G/A MUE / BlackRock MuniHoldings Quality Fund II, Inc. 1,614,736 2,304,805
2022-12-07 13G/A CVNA / Carvana Co. 5,303,437 13,113,145
2022-11-10 13G/A U / Unity Software Inc. 20,095,927 260,571
2022-11-10 13G/A 08954L102 / BIG SKY GROWTH PARTNERS INC CL A 1,735,853 527,116
2022-11-10 13G/A AERI / Aerie Pharmaceuticals Inc 4,070,392 384,245
2022-11-09 13G/A VEEV / Veeva Systems Inc. 9,759,393 1,220,689
2022-10-27 13G/A ALIM / Alimera Sciences, Inc. 919,546 563,324
2022-10-11 13G/A BLW / BlackRock Limited Duration Income Trust 3,376,132 3,634,912
2022-09-12 13G GLQ / Clough Global Equity Fund 2,002,938
2022-09-12 13G/A US64966K3P60 / iShares NYSE Composite Index Fund 1,229,576 19,950
2022-09-12 13G/A TXG / 10x Genomics, Inc. 4,608,758 10,341,753
2022-09-12 13G/A FEO / First Trust-abrdn Emerging Opportunity Fund 531,863 43,038
2022-09-12 13G/A ACR / ACRES Commercial Realty Corp. 605,624 16,626
2022-09-12 13G/A GDRX / GoodRx Holdings, Inc. 18,110,421 433,902
2022-09-12 13G PROK / ProKidney Corp. 10,000,000
2022-09-12 13G/A FBRX / Forte Biosciences, Inc. 1,111,230 227,102
2022-08-31 13G AOMR / Angel Oak Mortgage REIT, Inc. 5,172,061
2022-08-23 13G MOND / Mondee Holdings, Inc. 9,690,567
2022-08-23 13G NEPT / Neptune Wellness Solutions Inc 545,185
2022-08-10 13G/A IQ / iQIYI, Inc. - Depositary Receipt (Common Stock) 164,512,845 19,840,712
2022-08-09 13G/A MIC / Macquarie Infrastructure Holdings LLC - Units 4,729,195 2,233
2022-07-11 13G/A TVTY / Tivity Health Inc 3,554,685 0
2022-07-11 13G/A ECF / Ellsworth Growth and Income Fund Ltd. 1,158,223 227,149
2022-07-11 13G/A WB / Weibo Corporation - Depositary Receipt (Common Stock) 7,204,265 1,794,340
2022-07-11 13G/A AFB / AllianceBernstein National Municipal Income Fund, Inc. 2,640,820 2,998,977
2022-06-09 13G/A HUYA / HUYA Inc. - Depositary Receipt (Common Stock) 21,417,150 15,036,361
2022-05-10 13G/A WBD / Warner Bros. Discovery, Inc. 18,127,645
2022-05-10 13G/A RDFN / Redfin Corporation 6,437,110 1,451,394
2022-05-10 13G/A MFL / BlackRock MuniHoldings Investment Quality Fund 1,993,598 0
2022-05-10 13G/A VMEO / Vimeo, Inc. 9,193,217 1,927,552
2022-05-09 13G/A FEO / First Trust-abrdn Emerging Opportunity Fund 379,228 531,863
2022-05-09 13G/A EMD / Western Asset Emerging Markets Debt Fund Inc. 3,208,174 6,303,095
2022-05-06 13G/A NRT / North European Oil Royalty Trust 461,710 157,645
2022-05-06 13G/A MYC / BlackRock MuniYield California Fund Inc 1,077,097 0
2022-04-11 13G/A GDRX / GoodRx Holdings, Inc. 11,556,961 18,110,421
2022-04-08 13G/A FSLY / Fastly, Inc. 13,128,753 2,090,511
2022-04-07 13G/A NLSN / Nielsen Holdings plc 19,518,326 2,120,841
2022-04-07 13G/A WTRH / Waitr Holdings Inc 11,369,050 1,819,820
2022-04-07 13G/A SBGI / Sinclair, Inc. 3,516,342 201,604
2022-04-07 13G/A TWLO / Twilio Inc. 9,495,787 2,234,212
2022-04-07 13G/A EPAM / EPAM Systems, Inc. 4,150,272 374,858
2022-04-07 13G/A BBBY / Bed Bath & Beyond, Inc. 7,011,265 1,266,556
2022-03-10 13G/A HEI.A / HEICO Corporation 4,168,814 141,547
2022-03-10 13G/A SONM / Sonim Technologies, Inc. 1,298,383 1,424
2022-03-10 13G/A ALIM / Alimera Sciences, Inc. 429,546 919,546
2022-03-10 13G/A CHWY / Chewy, Inc. 12,520,800 19,837,903
2022-03-09 13G/A PRTY / Party City Holdco Inc 9,101,459 1,193,608
2022-03-09 13G/A BXMX / Nuveen S&P 500 Buy-Write Income Fund 9,748,562 10,431,864
2022-03-09 13G/A FTCHF / Farfetch Limited 30,171,050 35,146,383
2022-02-14 13G 08954L102 / BIG SKY GROWTH PARTNERS INC CL A 1,735,853
2022-02-14 13G/A CTPR / CTPartners Executive Search Inc. 551,483 551,400
2022-02-14 13G/A 4,590,409 0
2022-02-11 13G IGD / Voya Global Equity Dividend and Premium Opportunity Fund 4,165,369 4,754,582
2022-02-11 13G IOT / Samsara Inc. 1,750,737
2022-02-11 13G TTD / The Trade Desk, Inc. 1,903,533 28,033,804
2022-02-11 13G SEIC / SEI Investments Company 7,095,929
2022-02-11 13G/A HQH / Abrdn Healthcare Investors 3,060,834 3,257,060
2022-02-11 13G/A SCX / The L.S. Starrett Company 391,731 377,462
2022-02-11 13G/A SPOT / Spotify Technology S.A. 17,293,378 12,004,766
2022-02-11 13G/A SNOW / Snowflake Inc. 16,437,478 15,453,867
2022-02-11 13G DDOG / Datadog, Inc. 1,306,951 15,571,616
2022-02-11 13G TAL / TAL Education Group - Depositary Receipt (Common Stock) 12,258 8,745,652
2022-02-11 13G U / Unity Software Inc. 20,095,927
2022-02-11 13G BOE / BlackRock Enhanced Global Dividend Trust 4,813,439 4,448,545
2022-02-11 13G PDO / Pimco Dynamic Income Opportunities Fund 5,883,721
2022-02-11 13G/A NTST / NETSTREIT Corp. 1,719,360 1,469,877
2022-02-11 13G/A GRAB / Grab Holdings Limited 7,123,677 159,255,111
2022-02-11 13G NHF / NexPoint Strategic Opportunities Fund 1,416,240 2,037,005
2022-02-11 13G/A TMX / Terminix Global Holdings Inc 11,488,923 11,096,973
2022-02-11 13G GDO / Western Asset Global Corporate Defined Opportunity Fund Inc. 808,630
2022-02-11 13G CBH / Virtus Convertible & Income 2024 Target Term Fund 1,004,603
2022-02-11 13G THTX / Theratechnologies Inc. 5,143,021
2022-02-11 13G/A RVT / Royce Small-Cap Trust, Inc. 6,069,831 5,751,488
2022-02-11 13G FBRX / Forte Biosciences, Inc. 1,111,230
2022-02-11 13G/A JCO / Nuveen Credit Opportunities 2022 Target Term Fund 2,048,871 2,313,337
2022-02-11 13G EMD / Western Asset Emerging Markets Debt Fund Inc. 5,155,713 3,208,174
2022-02-11 13G/A IHIT / Invesco High Income 2023 Target Term Fund 1,841,145 1,607,720
2022-02-11 13G/A FEI / First Trust MLP and Energy Income Fund 4,542,411 4,567,279
2022-02-11 13G/A EMD / Western Asset Emerging Markets Debt Fund Inc. 5,155,713 5,094,367
2022-02-11 13G SIEN / Sientra, Inc. 3,412,477
2022-02-11 13G SBGI / Sinclair, Inc. 525,212 3,516,342
2022-02-11 13G NUAN / Nuance Communications Inc 17,357,535
2022-02-11 13G/A ZM / Zoom Communications Inc. 11,757,739 11,409,320
2022-02-11 13G DUOL / Duolingo, Inc. 984,249
2022-02-11 13G NLSN / Nielsen Holdings plc 19,518,326
2022-02-11 13G VMEO / Vimeo, Inc. 9,193,217
2022-02-11 13G CPZ / Calamos Long/Short Equity & Dynamic Income Term Trust 1,196,401
2022-02-11 13G/A WB / Weibo Corporation - Depositary Receipt (Common Stock) 6,371,225 7,204,265
2022-02-11 13G MYC / BlackRock MuniYield California Fund Inc 686,963 1,077,097
2022-02-11 13G/A TCOM / Trip.com Group Limited - Depositary Receipt (Common Stock) 4,069,277 37,375,739
2022-02-11 13G EDU / New Oriental Education & Technology Group Inc. - Depositary Receipt (Common Stock) 278,142 107,302,699
2022-02-11 13G/A ZG / Zillow Group, Inc. 3,712,171 2,818,030
2022-02-11 13G MIC / Macquarie Infrastructure Holdings LLC - Units 2,409,664 4,729,195
2022-02-11 13G TDCX / TDCX Inc. - Depositary Receipt (Common Stock) 1,439,706
2022-02-11 13G TVTY / Tivity Health Inc 1,814,653 3,554,685
2022-02-11 13G OBLG / Oblong, Inc. 3,416,345
2022-02-11 13G/A XNET / Xunlei Limited - Depositary Receipt (Common Stock) 17,650,355 15,004,645
2022-02-11 13G JQC / Nuveen Credit Strategies Income Fund 7,939,964
2022-02-11 13G/A ZYME / Zymeworks Inc. 2,321,595 2,115,025
2022-02-11 13G OLO / Olo Inc. 4,074,067
2022-02-11 13G/A JHAA / Nuveen Corporate Income 2023 Target Term Fund 594,947 633,565
2022-02-11 13G/A NRT / North European Oil Royalty Trust 535,305 461,710
2022-02-11 13G/A MNDO / MIND C.T.I. Ltd 1,328,481 1,273,975
2022-02-11 13G/A HIE / Miller/Howard High Income Equity Fund 1,537,352 1,053,027
2022-02-11 13G US64966K3P60 / iShares NYSE Composite Index Fund 1,229,576
2022-02-11 13G IART / Integra LifeSciences Holdings Corporation 5,361,471
2022-02-11 13G/A WEX / WEX Inc. 2,603,357 2,433,798
2022-02-11 13G/A HUYA / HUYA Inc. - Depositary Receipt (Common Stock) 22,572,227 21,417,150
2022-02-11 13G/A ZGNX / Zogenix Inc 3,236,165 3,696,860
2022-02-11 13G/A IHTA / Invesco High Income 2024 Target Term Fund 907,371 952,250
2022-02-11 13G/A WTM / White Mountains Insurance Group, Ltd. 192,437 186,905
2022-02-11 13G/A FPF / First Trust Intermediate Duration Preferred & Income Fund 4,225,792 4,687,580
2022-02-11 13G UEPS / Lesaka Technologies Inc 3,108,048
2022-02-11 13G/A EPAM / EPAM Systems, Inc. 4,729,094 4,150,272
2022-02-11 13G/A EVV / Eaton Vance Limited Duration Income Fund 7,972,201 8,066,615
2022-02-11 13G/A W / Wayfair Inc. 8,094,851 8,014,586
2022-02-11 13G/A BOE / BlackRock Enhanced Global Dividend Trust 4,813,439 5,543,497
2022-02-11 13G QFIN / Qfin Holdings, Inc. - Depositary Receipt (Common Stock) 16,847,902
2022-02-11 13G/A DSU / BlackRock Debt Strategies Fund, Inc. 2,926,546 4,103,989
2022-02-11 13G/A RMT / Royce Micro-Cap Trust, Inc. 2,167,208 2,155,075
2022-02-11 13G/A MGU / Macquarie Global Infrastructure Total Return Fund Inc 729,977 913,504
2022-02-10 13G/A KTCC / Key Tronic Corporation 1,282,836 1,738,775
2022-02-10 13G/A QK / FLJ Group Ltd - ADR 120,002,250 120,000,000
2022-02-10 13G/A KYN / Kayne Anderson Energy Infrastructure Fund, Inc. 8,995,829 6,643,183
2022-02-10 13G/A RIV / RiverNorth Opportunities Fund, Inc. 1,352,536 969,317
2022-02-10 13G/A YY / JOYY Inc. - Depositary Receipt (Common Stock) 98,861,101 17,256,100
2022-02-10 13G/A PLYA / Playa Hotels & Resorts N.V. 9,700,328 9,640,713
2022-02-10 13G/A AIF / Apollo Tactical Income Fund Inc. 1,430,637 1,490,089
2022-02-10 13G/A HEQ / John Hancock Diversified Income Fund 1,518,630 1,097,554
2022-02-10 13G/A GLS / Gelesis Holdings Inc 890,181
2022-02-10 13G/A IVC / Invacare Corp. 2,170,367 1,655,286
2022-02-10 13G/A GDV / The Gabelli Dividend & Income Trust 6,081,137 6,067,355
2022-02-10 13G/A SDHY / PGIM Short Duration High Yield Opportunities Fund 2,721,749 2,755,527
2022-02-10 13G/A HFRO / Highland Funds I - Highland Opportunities and Income Fund 4,264,324 4,381,429
2022-02-10 13G/A RPRX / Royalty Pharma plc 46,144,883 56,011,010
2022-02-10 13G/A GHY / PGIM Global High Yield Fund, Inc 5,497,554 5,488,859
2022-02-10 13G/A BTO / John Hancock Financial Opportunities Fund 1,402,914 1,608,130
2022-02-10 13G/A HXL / Hexcel Corporation 7,766,245 7,773,681
2022-02-10 13G CPSR / Calamos ETF Trust - Calamos S&P 500 Structured Alt Protection ETF - March 2,000,000
2022-02-10 13G/A HEI.A / HEICO Corporation 4,852,993 4,168,814
2022-02-10 13G/A CHWY / Chewy, Inc. 8,185,387 12,520,800
2022-02-10 13G/A FINS / Angel Oak Financial Strategies Income Term Trust 2,013,602 2,041,358
2022-02-10 13G/A GLRE / Greenlight Capital Re, Ltd. 2,132,597 1,727,408
2022-02-10 13G/A LSTR / Landstar System, Inc. 2,730,145 2,790,265
2022-02-10 13G/A CRTO / Criteo S.A. - Depositary Receipt (Common Stock) 4,373,706 3,373,924
2022-02-10 13G GLOB / Globant S.A. 1,625,440 2,109,208
2022-02-10 13G MEKA / MELI Kaszek Pioneer Corp - Class A 1,996,272
2022-02-10 13G/A FUN / Six Flags Entertainment Corporation 4,705,359 5,009,225
2022-02-10 13G/A KEX / Kirby Corporation 4,722,969 4,351,311
2022-02-10 13G/A AUDC / AudioCodes Ltd. 2,049,175 1,507,097
2022-02-10 13G MCR / MFS Charter Income Trust 4,628,559 3,024,011
2022-02-10 13G/A FTDR / Frontdoor, Inc. 4,385,324 981,438
2022-02-10 13G/A AY / Atlantica Sustainable Infrastructure plc 5,918,853 5,677,200
2022-02-10 13G/A ASA / ASA Gold and Precious Metals Limited 1,076,259 1,018,796
2022-02-10 13G/A FTDR / Frontdoor, Inc. 4,385,324 981,438
2022-02-10 13G/A ARCH / Arch Resources, Inc. 1,215,646 1,274,674
2022-02-10 13G/A ALIM / Alimera Sciences, Inc. 420,712 429,546
2022-02-10 13G/A FTAI / FTAI Aviation Ltd. 7,812,440 6,615,390
2022-02-10 13G IGR / CBRE Global Real Estate Income Fund 7,449,626
2022-02-10 13G/A WTRH / Waitr Holdings Inc 6,028,353 11,369,050
2022-02-10 13G/A WRB / W. R. Berkley Corporation 9,630,829 9,317,556
2022-02-10 13G/A CBZ / CBIZ, Inc. 4,043,548 4,110,498
2022-02-10 13G/A IGA / Voya Global Advantage and Premium Opportunity Fund 1,166,353 771,567
2022-02-10 13G/A VGI / Virtus Global Multi-Sector Income Fund 616,823 825,294
2022-02-10 13G/A NFJ / Virtus Dividend, Interest & Premium Strategy Fund 4,898,819 4,012,239
2022-02-10 13G RBLX / Roblox Corporation 39,682,011
2022-02-10 13G PGZ / Principal Real Estate Income Fund 503,919
2022-02-10 13G GH / Guardant Health, Inc. 4,483,857 5,714,358
2022-02-10 13G/A FTHY / First Trust High Yield Opportunities 2027 Term Fund 1,953,385 3,327,329
2022-02-10 13G DLY / DoubleLine Yield Opportunities Fund 2,928,435
2022-02-10 13G DISCA / Discovery Inc - Class A 1,631,842 9,851,339
2022-02-10 13G/A NVST / Envista Holdings Corporation 14,000,844 13,799,776
2022-02-10 13G/A CVNA / Carvana Co. 6,563,440 5,303,437
2022-02-10 13G NFJ / Virtus Dividend, Interest & Premium Strategy Fund 4,898,819 7,856,902
2022-02-10 13G/A DYNS / Dynamics Special Purpose Corp Class A 3,001,537 2,890,650
2022-02-10 13G AIF / Apollo Tactical Income Fund Inc. 1,430,637 793,109
2022-02-10 13G RDFN / Redfin Corporation 6,437,110
2022-02-10 13G/A ECF / Ellsworth Growth and Income Fund Ltd. 1,201,134 1,158,223
2022-02-10 13G/A VEEV / Veeva Systems Inc. 13,478,919 9,759,393
2022-02-10 13G/A EFL / Eaton Vance Floating-Rate 2022 Target Term Trust 1,506,552 1,925,231
2022-02-10 13G DLB / Dolby Laboratories, Inc. 3,849,803
2022-02-10 13G/A UMPQ / Umpqua Holdings Corp 11,600,910 11,421,660
2022-02-10 13G/A CRCT / Cricut, Inc. 1,923,157 3,657,422
2022-02-10 13G/A CVET / Covetrus Inc 10,480,615 3,679,256
2022-02-10 13G EDAP / EDAP TMS S.A. - Depositary Receipt (Common Stock) 1,951,552
2022-02-10 13G/A COUP / Coupa Software Inc 6,058,541 3,489,143
2022-02-10 13G/A BLKB / Blackbaud, Inc. 4,029,920 3,947,749
2022-02-10 13G/A ARMK / Aramark 17,827,123 18,175,784
2022-02-10 13G/A UBER / Uber Technologies, Inc. 109,787,239 100,129,639
2022-02-10 13G/A PRTS / CarParts.com, Inc. 2,534,680 2,181,840
2022-02-10 13G/A TWLO / Twilio Inc. 8,531,934 9,495,787
2022-02-10 13G/A ATR / AptarGroup, Inc. 3,842,670 3,701,634
2022-02-10 13G CG / The Carlyle Group Inc. 18,224,322
2022-02-10 13G/A TWTR / Twitter Inc 64,287,588 67,033,579
2022-02-09 13G BBBY / Bed Bath & Beyond, Inc. 7,011,265
2022-02-09 13G/A PVG / Pretium Resources Inc 11,690,898 2,127,420
2022-02-09 13G EGHT / 8x8, Inc. 5,917,017
2022-02-09 13G DASH / DoorDash, Inc. 19,955,610
2022-02-09 13G/A JT / Jianpu Technology Inc. - Depositary Receipt (Common Stock) 27,334,580 27,368,680
2022-02-09 13G/A JRJC / China Finance Online Co. Ltd. - ADR 6,144,550 5,836,600
2022-02-09 13G/A JAKK / JAKKS Pacific, Inc. 249,102 250,692
2022-02-09 13G/A FIF / First Trust Energy Infrastructure Fund 950,849 1,015,003
2022-02-09 13G/A IQ / iQIYI, Inc. - Depositary Receipt (Common Stock) 133,490,234 164,512,845
2022-02-09 13G/A MUI / BlackRock Municipal Income Fund, Inc. 4,383,951 4,346,426
2022-02-09 13G HIO / Western Asset High Income Opportunity Fund Inc. 5,797,520 4,814,239
2022-02-09 13G/A FSLY / Fastly, Inc. 10,250,897 13,128,753
2022-02-09 13G/A 2,220,869 0
2022-02-09 13G/A EXG / Eaton Vance Tax-Managed Global Diversified Equity Income Fund 20,783,190 21,903,458
2022-02-09 13G/A FTCH / Farfetch Limited 449,717 30,171,050
2022-02-09 13G/A CHW / Calamos Global Dynamic Income Fund 4,080,615 3,558,166
2022-02-09 13G/A JEMD / Nuveen Emerging Markets Debt 2022 Target Term Fund 720,413 965,095
2022-02-09 13G/A DCF / BNY Mellon Alcentra Global Credit Income 2024 Target Term Fund, Inc. 1,298,206 1,122,041
2022-02-09 13G/A ETY / Eaton Vance Tax-Managed Diversified Equity Income Fund 11,892,623 12,938,593
2022-02-09 13G/A BGY / BlackRock Enhanced International Dividend Trust 10,735,097 10,804,924
2022-02-09 13G/A FEO / First Trust-abrdn Emerging Opportunity Fund 294,314 379,228
2022-02-09 13G TCMD / Tactile Systems Technology, Inc. 1,731,409
2022-02-09 13G/A AMR / Alpha Metallurgical Resources, Inc. 1,021,597 594,189
2022-02-09 13G/A FFA / First Trust Enhanced Equity Income Fund 1,346,218 1,379,870
2022-02-09 13G SRV / NXG Cushing Midstream Energy Fund 78,647 118,194
2022-02-09 13G/A ACMR / ACM Research, Inc. 1,020,758 1,297,916
2022-02-09 13G SONM / Sonim Technologies, Inc. 1,298,383
2022-02-09 13G ISD / PGIM High Yield Bond Fund, Inc. 2,688,141
2022-02-09 13G COLM / Columbia Sportswear Company 3,301,513
2022-02-09 13G/A GOOS / Canada Goose Holdings Inc. 11,184,572 8,962,382
2022-02-09 13G/A BYM / BlackRock Municipal Income Quality Trust 2,382,828 1,837,071
2022-02-09 13G/A CACI / CACI International Inc 1,374,534 1,373,538
2022-02-09 13G/A SQ / Block, Inc. 24,316,533 24,807,873
2022-02-09 13G/A BXMX / Nuveen S&P 500 Buy-Write Income Fund 8,129,976 9,748,562
2022-02-09 13G CEM / ClearBridge MLP and Midstream Fund Inc 538,827 684,999
2022-02-09 13G/A BWG / Legg Mason BW Global Income Opportunities Fund Inc. 1,867,536 1,870,714
2022-02-09 13G/A PRTY / Party City Holdco Inc 9,183,381 9,101,459
2022-02-09 13G MMT / MFS Multimarket Income Trust 4,299,477
2022-02-09 13G JRI / Nuveen Real Asset Income and Growth Fund 2,359,131
2022-02-09 13G/A WE / WeWork Inc - Class A 8,706,113 10,656,260
2022-02-09 13G/A BSL / Blackstone Senior Floating Rate 2027 Term Fund 1,436,266 940,839
2022-02-09 13G MYI / BlackRock MuniYield Quality Fund III, Inc. 3,569,746
2022-02-09 13G/A VVR / Invesco Senior Income Trust 9,553,722 10,869,700
2022-02-09 13G/A ATEX / Anterix Inc. 1,238,186 1,429,983
2022-02-09 13G MFL / BlackRock MuniHoldings Investment Quality Fund 1,874,746 1,993,598
2022-02-09 13G/A OSTK / Overstock.com Inc 4,359,411 1,545,359
2022-02-09 13G/A AFB / AllianceBernstein National Municipal Income Fund, Inc. 2,674,481 2,640,820
2022-02-09 13G/A FSD / First Trust High Income Long/Short Fund 3,366,666 4,498,083
2022-02-09 13G/A AMG / Affiliated Managers Group, Inc. 2,618,721 2,653,306
2022-02-09 13G/A AVK / Advent Convertible and Income Fund 3,889,630 3,898,868
2022-02-09 13G/A BLW / BlackRock Limited Duration Income Trust 3,253,588 3,376,132
2022-02-09 13G/A AOD / Abrdn Total Dynamic Dividend Fund 11,783,077 11,749,107
2022-02-09 13G/A MUE / BlackRock MuniHoldings Quality Fund II, Inc. 1,391,354 1,614,736
2022-02-09 13G/A BSTZ / BlackRock Science and Technology Term Trust 5,653,079 5,593,278
2022-02-09 13G/A CSL / Carlisle Companies Incorporated 3,479,633 3,409,993
2022-02-09 13G/A NET / Cloudflare, Inc. 26,939,749 27,877,046
2022-02-09 13G/A BGIO / BlackRock 2022 Global Income Opportunity Trust 1,865,694 0
2022-02-09 13G/A EOD / Wells Fargo Advantage Funds - Allspring Global Dividend Opportunity Fund 2,703,015 3,166,623
2022-02-09 13G/A CHH / Choice Hotels International, Inc. 4,072,520 3,452,273
2022-02-09 13G BILL / BILL Holdings, Inc. 6,678,452
2022-02-09 13G AERI / Aerie Pharmaceuticals Inc 4,070,392
2022-02-09 13G BAX / Baxter International Inc. 28,501,661
2022-02-09 13G/A CENT / Central Garden & Pet Company 705,269 703,146
2022-02-09 13G/A FOF / Cohen & Steers Closed-End Opportunity Fund, Inc. 1,419,828 1,500,175
2022-02-09 13G/A BMEZ / BlackRock Health Sciences Term Trust 5,719,149 6,527,110
2022-02-09 13G/A ACR / ACRES Commercial Realty Corp. 605,624
2022-02-09 13G/A TXG / 10x Genomics, Inc. 5,915,534 4,608,758
2022-02-08 13G/A PVG / Pretium Resources Inc 9,391,729 11,690,898
2022-02-08 13G/A CHWY / Chewy, Inc. 11,777,816 8,185,387
2022-02-08 13G/A AIF / Apollo Tactical Income Fund Inc. 1,421,093 1,430,637
2022-02-08 13G/A FINS / Angel Oak Financial Strategies Income Term Trust 1,593,551 2,013,602
2022-01-10 13G/A NML / Neuberger Berman Energy Infrastructure and Income Fund Inc. 4,719,024 6,098,358
2022-01-07 13G/A MCR / MFS Charter Income Trust 3,688,088 4,628,559
2022-01-07 13G DOCS / Doximity, Inc. 7,757,914
2022-01-07 13G AGL / agilon health, inc. 42,300,681
2022-01-07 13G PDI / PIMCO Dynamic Income Fund 8,464,860
2022-01-07 13G GDRX / GoodRx Holdings, Inc. 11,556,961
2021-12-10 13G/A GHY / PGIM Global High Yield Fund, Inc 1,767,945 5,497,554
2021-12-10 13G/A CARG / CarGurus, Inc. 4,984,375 243,224
2021-12-10 13G/A VTA / Invesco Dynamic Credit Opportunities Fund 4,342,255 0
2021-12-10 13G/A BWG / Legg Mason BW Global Income Opportunities Fund Inc. 1,015,413 1,867,536
2021-12-10 13G/A MUI / BlackRock Municipal Income Fund, Inc. 4,383,951
2021-12-10 13G/A FEI / First Trust MLP and Energy Income Fund 3,544,597 4,542,411
2021-12-10 13G/A AVK / Advent Convertible and Income Fund 3,889,630
2021-12-10 13G/A AOD / Abrdn Total Dynamic Dividend Fund 11,783,077
2021-12-10 13G/A LSTR / Landstar System, Inc. 2,730,145
2021-12-10 13G/A KEX / Kirby Corporation 4,722,969
2021-12-10 13G/A HXL / Hexcel Corporation 7,766,245
2021-12-10 13G/A FTDR / Frontdoor, Inc. 4,385,324
2021-12-10 13G/A TMX / Terminix Global Holdings Inc 11,488,923
2021-12-10 13G/A NVST / Envista Holdings Corporation 14,000,844
2021-12-10 13G/A CMLS / Cumulus Media Inc. 1,346,429
2021-12-10 13G/A UMPQ / Umpqua Holdings Corp 11,600,910
2021-12-10 13G/A WTM / White Mountains Insurance Group, Ltd. 192,437
2021-12-10 13G/A CENT / Central Garden & Pet Company 705,269
2021-12-10 13G/A CBZ / CBIZ, Inc. 4,043,548
2021-12-10 13G/A CACI / CACI International Inc 1,374,534
2021-12-10 13G/A CHH / Choice Hotels International, Inc. 4,072,520
2021-12-10 13G/A BLKB / Blackbaud, Inc. 4,029,920
2021-12-10 13G/A CSL / Carlisle Companies Incorporated 3,479,633
2021-12-10 13G/A ARMK / Aramark 17,827,123
2021-12-10 13G/A WRB / W. R. Berkley Corporation 9,630,829
2021-12-10 13G/A ATR / AptarGroup, Inc. 3,842,670
2021-12-10 13G/A EMD / Western Asset Emerging Markets Debt Fund Inc. 2,999,108 5,155,713
2021-12-10 13G/A AIF / Apollo Tactical Income Fund Inc. 318,885 1,421,093
2021-12-10 13G/A AFB / AllianceBernstein National Municipal Income Fund, Inc. 2,674,481
2021-12-10 13G/A AMG / Affiliated Managers Group, Inc. 2,618,721
2021-12-10 13G/A WEX / WEX Inc. 2,603,357
2021-11-10 13G/A OKTA / Okta, Inc. 8,940,589 3,413,084
2021-11-10 13G/A MX / Magnachip Semiconductor Corporation 2,587,317 932,921
2021-11-10 13G/A REDU / RISE Education Cayman Ltd - ADR 6,406,818 10,102
2021-11-10 13G/A WTRH / Waitr Holdings Inc 12,127,760 6,028,353
2021-11-10 13G/A RIV / RiverNorth Opportunities Fund, Inc. 800,226 1,352,536
2021-11-09 13G/A GSKY / GreenSky Inc - Class A 4,166,130 1,494,310
2021-11-09 13G/A RDWR / Radware Ltd. 2,661,708 350,916
2021-11-09 13G/A UTZ / Utz Brands, Inc. 4,284,777 41,114
2021-11-09 13G/A NSTG / NanoString Technologies, Inc. 3,753,230 1,009,930
2021-11-09 13G/A LTCH / Latch, Inc. 3,650,051
2021-10-12 13G/A IHD / Voya Emerging Markets High Dividend Equity Fund 1,064,627 328,708
2021-10-12 13G/A GRPN / Groupon, Inc. 1,503,814 532,973
2021-10-12 13G/A GRAY / Graybug Vision Inc 1,081,115 305,948
2021-10-12 13G/A APRE / Aprea Therapeutics, Inc. 1,072,411 184,964
2021-10-12 13G/A APRN / Blue Apron Holdings Inc - Class A 959,584 109,774
2021-10-12 13G FINS / Angel Oak Financial Strategies Income Term Trust 1,593,551
2021-10-12 13G WTRH / Waitr Holdings Inc 12,127,760
2021-10-12 13G/A WE / WeWork Inc - Class A 5,294,891 8,706,113
2021-09-10 13G/A GOTU / Gaotu Techedu Inc. - Depositary Receipt (Common Stock) 9,775,834 1,861,280
2021-09-10 13G/A MSTR / Strategy Inc 792,627 138,345
2021-09-10 13G/A GLNG / Golar LNG Limited 6,938,936 1,569,012
2021-09-10 13G/A TCDA / Tricida Inc 4,535,138 619,459
2021-09-10 13G/A EVFM / Evofem Biosciences, Inc. 7,631,470 196,829
2021-09-10 13G/A SKLZ / Skillz Inc. 32,411,985 4,715,783
2021-09-10 13G/A IHTA / Invesco High Income 2024 Target Term Fund 782,017 907,371
2021-09-10 13G/A HUYA / HUYA Inc. - Depositary Receipt (Common Stock) 26,777,866 22,572,227
2021-09-10 13G W / Wayfair Inc. 162,315 8,094,851
2021-09-10 13G/A SNOW / Snowflake Inc. 8,987,317 16,437,478
2021-08-19 13G GRPN / Groupon, Inc. 20,215,677 1,503,814
2021-08-19 13G ACMR / ACM Research, Inc. 1,020,758
2021-08-10 13G/A VSTA / Vasta Platform Limited 1,434,230 138,311
2021-08-10 13G/A TAL / TAL Education Group - Depositary Receipt (Common Stock) 16,822,384 12,258
2021-08-10 13G/A OMAB / Grupo Aeroportuario del Centro Norte, S.A.B. de C.V. - Depositary Receipt (Common Stock) 17,904,425 4,274,018
2021-08-10 13G/A PLAY / Dave & Buster's Entertainment, Inc. 3,219,760 1,793,066
2021-07-12 13G CRCT / Cricut, Inc. 1,923,157
2021-07-12 13G/A BGY / BlackRock Enhanced International Dividend Trust 9,060,939 10,735,097
2021-07-12 13G/A GRUB / Just Eat Takeaway.com NV 2,410,252
2021-07-09 13G/A VNET / VNET Group, Inc. - Depositary Receipt (Common Stock) 36,471,576 11,636,617
2021-07-09 13G/A US53619W1018 / Linx S.A. 14,101,915 478
2021-07-09 13G/A OIBRQ / Oi S.A. - Depositary Receipt (Common Stock) 324,117,320 84,488,262
2021-06-28 13G IQ / iQIYI, Inc. - Depositary Receipt (Common Stock) 30,174,977 133,490,234
2021-06-28 13G GRUB / Just Eat Takeaway.com NV 12,152,919
2021-06-24 13G/A GRUB / Just Eat Takeaway.com N.V. - ADR (New) 1,384,139 0
2021-06-24 13G GRUB / Just Eat Takeaway.com N.V. - ADR (New) 1,384,139 7,508,690
2021-06-21 13G 14161H108 / Cardtronics PLC 2,266,879
2021-06-10 13G DYNS / Dynamics Special Purpose Corp Class A 4,304,037 3,001,537
2021-06-10 13G NET / Cloudflare, Inc. 26,939,749
2021-06-10 13G/A DBVT / DBV Technologies S.A. - Depositary Receipt (Common Stock) 2,855,825 1,009,819
2021-06-10 13G/A MYO / Myomo, Inc. 238,229 100,995
2021-06-09 13G/A OSTK / Overstock.com Inc 4,110,066 4,359,411
2021-06-09 13G/A YTEN / Yield10 Bioscience, Inc. 169,627 96,095
2021-06-08 13G PVG / Pretium Resources Inc 9,130,287 9,391,729
2021-06-07 13G WB / Weibo Corporation - Depositary Receipt (Common Stock) 6,371,225
2021-06-07 13G IVC / Invacare Corp. 2,170,367
2021-06-04 13G EVFM / Evofem Biosciences, Inc. 7,631,470
2021-05-12 13G ZYME / Zymeworks Inc. 2,321,595
2021-05-10 13G GRAB / Grab Holdings Limited 7,123,677
2021-05-10 13G WE / WeWork Inc - Class A 5,294,891
2021-05-10 13G/A WHLR / Wheeler Real Estate Investment Trust, Inc. 717,950 44,025
2021-05-10 13G/A SFET / Safe-T Group Ltd - ADR 41,240,840 4,182,400
2021-05-10 13G/A NXTC / NextCure, Inc. 2,181,618 399,919
2021-05-10 13G/A CETX / Cemtrex, Inc. 937,690 113,524
2021-04-15 13G GRAY / Graybug Vision Inc 1,081,115
2021-04-12 13G/A HUYA / HUYA Inc. - Depositary Receipt (Common Stock) 21,748,026 26,777,866
2021-04-12 13G/A SKLZ / Skillz Inc. 20,522,078 32,411,985
2021-04-12 13G/A BNTC / Benitec Biopharma Inc. 249,174 84,725
2021-04-12 13G/A VIPS / Vipshop Holdings Limited - Depositary Receipt (Common Stock) 8,921,124 1,468,484
2021-04-12 13G/A DISCA / Discovery Inc - Class A 9,488,008 1,631,842
2021-04-12 13G/A BIDU / Baidu, Inc. - Depositary Receipt (Common Stock) 115,126,744 20,342,667
2021-04-12 13G/A IQ / iQIYI, Inc. - Depositary Receipt (Common Stock) 263,754,526 30,174,977
2021-04-12 13G SDHY / PGIM Short Duration High Yield Opportunities Fund 2,721,749
2021-04-12 13G/A SBGI / Sinclair, Inc. 2,649,109 525,212
2021-04-09 13G/A PIXY / ShiftPixy, Inc. 1,096,710 0
2021-04-09 13G/A 859319303 / Sterling Financial Corp 993,623 577,022
2021-04-09 13G/A PPBT / Purple Biotech Ltd - Depositary Receipt (Common Stock) 8,611,750 1,678,040
2021-04-09 13G/A ZI / ZoomInfo Technologies Inc. 4,532,857 10,730,037
2021-04-09 13G/A TME / Tencent Music Entertainment Group - Depositary Receipt (Common Stock) 147,262,796 12,655,780
2021-04-09 13G/A FTCH / Farfetch Limited 15,321,412 449,717
2021-04-08 13G/A TCBI / Texas Capital Bancshares, Inc. 2,511,027
2021-04-08 13G TCBI / Texas Capital Bancshares, Inc. 3,288,319
2021-03-29 13G BIDU / Baidu, Inc. - Depositary Receipt (Common Stock) 115,126,744
2021-03-24 13G APRE / Aprea Therapeutics, Inc. 1,072,411
2021-03-22 13G/A TME / Tencent Music Entertainment Group - Depositary Receipt (Common Stock) 96,229,448 147,262,796
2021-03-22 13G BNTC / Benitec Biopharma Inc. 249,174
2021-03-10 13G/A EG1 / Virtusa Corp 1,558,848 0
2021-03-10 13G/A BSL / Blackstone Senior Floating Rate 2027 Term Fund 1,283,846 1,436,266
2021-03-10 13G/A JAN / JanOne Inc. 94,414 100
2021-03-10 13G/A FUBO / fuboTV Inc. 3,893,831 1,439,681
2021-03-09 13G/A SNOW / Snowflake Inc. 6,284,128 8,987,317
2021-03-09 13G US87284T1007 / TS Innovation Acquisitions Corp., Class A 3,048,334
2021-03-08 13G FTCH / Farfetch Limited 29,927,765 15,321,412
2021-02-22 13G JAKK / JAKKS Pacific, Inc. 512,028 249,102
2021-02-19 13G/A IQ / iQIYI, Inc. - Depositary Receipt (Common Stock) 228,117,547 263,754,526
2021-02-16 13G MYO / Myomo, Inc. 238,229
2021-02-16 13G SFET / Safe-T Group Ltd - ADR 41,240,840
2021-02-16 13G CETX / Cemtrex, Inc. 937,690
2021-02-12 13G/A IHD / Voya Emerging Markets High Dividend Equity Fund 1,191,220 1,064,627
2021-02-12 13G/A VEEV / Veeva Systems Inc. 9,091,108 13,478,919
2021-02-12 13G/A 859319303 / Sterling Financial Corp 881,438 993,623
2021-02-12 13G/A SNOW / Snowflake Inc. 5,195,909 6,284,128
2021-02-12 13G/A 67424L100 / Obalon Therapeutics Inc 456,216 120
2021-02-12 13G/A BXMX / Nuveen S&P 500 Buy-Write Income Fund 8,941,022 8,129,976
2021-02-12 13G/A OSTK / Overstock.com Inc 4,850,204 4,110,066
2021-02-12 13G/A TWLO / Twilio Inc. 8,119,827 8,531,934
2021-02-12 13G/A TAL / TAL Education Group - Depositary Receipt (Common Stock) 1,623,865 16,822,384
2021-02-12 13G/A ZM / Zoom Communications Inc. 13,693,771 11,757,739
2021-02-12 13G UTZ / Utz Brands, Inc. 4,284,777
2021-02-12 13G/A ZGNX / Zogenix Inc 2,804,286 3,236,165
2021-02-12 13G/A XNET / Xunlei Limited - Depositary Receipt (Common Stock) 16,755,250 17,650,355
2021-02-12 13G/A EMD / Western Asset Emerging Markets Debt Fund Inc. 1,076,016 2,999,108
2021-02-12 13G IGA / Voya Global Advantage and Premium Opportunity Fund 825,291 1,166,353
2021-02-12 13G VGI / Virtus Global Multi-Sector Income Fund 120,612 616,823
2021-02-12 13G/A ZG / Zillow Group, Inc. 3,102,158 3,712,171
2021-02-12 13G RVT / Royce Small-Cap Trust, Inc. 4,135,960 6,069,831
2021-02-12 13G UBER / Uber Technologies, Inc. 109,787,239
2021-02-12 13G/A TWTR / Twitter Inc 46,005,326 64,287,588
2021-02-12 13G/A VIOT / Viomi Technology Co., Ltd - Depositary Receipt (Common Stock) 5,364,933 1,976,856
2021-02-12 13G/A TVTY / Tivity Health Inc 2,491,510 1,814,653
2021-02-12 13G/A WWE / World Wrestling Entertainment, Inc. - Class A 2,605,277 1,781,279
2021-02-12 13G/A HQH / Abrdn Healthcare Investors 3,112,549 3,060,834
2021-02-12 13G/A PCI / PGIM ETF Trust - PGIM Corporate Bond 5-10 Year ETF 7,217,596 7,053,750
2021-02-12 13G SQ / Block, Inc. 24,316,533
2021-02-12 13G ZI / ZoomInfo Technologies Inc. 4,532,857
2021-02-12 13G/A JCO / Nuveen Credit Opportunities 2022 Target Term Fund 2,040,632 2,048,871
2021-02-12 13G VSTA / Vasta Platform Limited 1,434,230
2021-02-12 13G/A 4,186,753 4,590,409
2021-02-12 13G/A SPOT / Spotify Technology S.A. 13,385,493 17,293,378
2021-02-12 13G/A TTD / The Trade Desk, Inc. 2,679,581 1,903,533
2021-02-12 13G/A EOD / Wells Fargo Advantage Funds - Allspring Global Dividend Opportunity Fund 2,264,172 2,703,015
2021-02-12 13G/A SLG / SL Green Realty Corp. 4,033,087 1,402,313
2021-02-12 13G/A SBGI / Sinclair, Inc. 4,049,478 2,649,109
2021-02-12 13G/A / Sina Corp. 3,061,460 74,276
2021-02-12 13G/A WVE / Wave Life Sciences Ltd. 1,948,232 1,245,226
2021-02-12 13G/A RIV / RiverNorth Opportunities Fund, Inc. 1,042,032 800,226
2021-02-12 13G/A PVG / Pretium Resources Inc 10,604,201 9,130,287
2021-02-12 13G/A VIPS / Vipshop Holdings Limited - Depositary Receipt (Common Stock) 5,945,617 8,921,124
2021-02-12 13G/A PMT / PennyMac Mortgage Investment Trust 5,133,145 1,510,911
2021-02-12 13G TCOM / Trip.com Group Limited - Depositary Receipt (Common Stock) 197,330 4,069,277
2021-02-12 13G/A TME / Tencent Music Entertainment Group - Depositary Receipt (Common Stock) 68,072,820 96,229,448
2021-02-12 13G RMT / Royce Micro-Cap Trust, Inc. 2,001,260 2,167,208
2021-02-12 13G PRTY / Party City Holdco Inc 9,183,381
2021-02-12 13G/A PLYA / Playa Hotels & Resorts N.V. 7,020,050 9,700,328
2021-02-12 13G/A REDU / RISE Education Cayman Ltd - ADR 6,943,470 6,406,818
2021-02-12 13G/A OKTA / Okta, Inc. 12,541,162 8,940,589
2021-02-12 13G/A WHLR / Wheeler Real Estate Investment Trust, Inc. 718,457 717,950
2021-02-12 13G/A TCDA / Tricida Inc 2,830,962 4,535,138
2021-02-12 13G/A OIBRQ / Oi S.A. - Depositary Receipt (Common Stock) 290,122,896 324,117,320
2021-02-12 13G/A QK / FLJ Group Ltd - ADR 120,000,000 120,002,250
2021-02-12 13G/A JEMD / Nuveen Emerging Markets Debt 2022 Target Term Fund 884,832 720,413
2021-02-11 13G/A HUYA / HUYA Inc. - Depositary Receipt (Common Stock) 18,967,331 21,748,026
2021-02-11 13G/A RDWR / Radware Ltd. 2,099,044 2,661,708
2021-02-11 13G RDWR / Radware Ltd. 2,099,044 2,323,994
2021-02-11 13G/A BTO / John Hancock Financial Opportunities Fund 1,342,692 1,402,914
2021-02-11 13G/A GLRE / Greenlight Capital Re, Ltd. 1,889,289 2,132,597
2021-02-11 13G/A JT / Jianpu Technology Inc. - Depositary Receipt (Common Stock) 26,976,007 27,334,580
2021-02-11 13G/A MX / Magnachip Semiconductor Corporation 2,519,511 2,587,317
2021-02-11 13G/A IQ / iQIYI, Inc. - Depositary Receipt (Common Stock) 226,551,917 228,117,547
2021-02-11 13G/A IHTA / Invesco High Income 2024 Target Term Fund 897,497 782,017
2021-02-11 13G/A NML / Neuberger Berman Energy Infrastructure and Income Fund Inc. 6,373,657 4,719,024
2021-02-11 13G/A NRT / North European Oil Royalty Trust 519,559 535,305
2021-02-11 13G/A JHAA / Nuveen Corporate Income 2023 Target Term Fund 604,715 594,947
2021-02-11 13G/A KTCC / Key Tronic Corporation 1,107,158 1,282,836
2021-02-11 13G/A VTA / Invesco Dynamic Credit Opportunities Fund 5,138,699 4,342,255
2021-02-11 13G/A NXTC / NextCure, Inc. 1,878,980 2,181,618
2021-02-11 13G NTST / NETSTREIT Corp. 1,719,360
2021-02-11 13G/A MCR / MFS Charter Income Trust 3,473,661 3,688,088
2021-02-11 13G/A MNDO / MIND C.T.I. Ltd 1,154,774 1,328,481
2021-02-11 13G/A KYN / Kayne Anderson Energy Infrastructure Fund, Inc. 8,082,015 8,995,829
2021-02-11 13G/A MCS / The Marcus Corporation 1,157,472 675,360
2021-02-11 13G/A YY / JOYY Inc. - Depositary Receipt (Common Stock) 70,472,015 98,861,101
2021-02-11 13G FEO / First Trust-abrdn Emerging Opportunity Fund 1,235,127 294,314
2021-02-11 13G/A HIE / Miller/Howard High Income Equity Fund 987,534 1,537,352
2021-02-11 13G/A HFRO / Highland Funds I - Highland Opportunities and Income Fund 3,922,751 4,264,324
2021-02-11 13G/A NSTG / NanoString Technologies, Inc. 4,128,646 3,753,230
2021-02-11 13G/A MMU / Western Asset Managed Municipals Fund Inc. 2,170,907 2,132,979
2021-02-11 13G/A GOTU / Gaotu Techedu Inc. - Depositary Receipt (Common Stock) 9,602,852 9,775,834
2021-02-11 13G/A MGU / Macquarie Global Infrastructure Total Return Fund Inc 990,077 729,977
2021-02-11 13G/A US53619W1018 / Linx S.A. 13,260,874 14,101,915
2021-02-11 13G/A GSKY / GreenSky Inc - Class A 3,327,544 4,166,130
2021-02-11 13G/A LC / LendingClub Corporation 5,266,656 4,183,123
2021-02-11 13G/A GDV / The Gabelli Dividend & Income Trust 6,336,191 6,081,137
2021-02-11 13G/A SCX / The L.S. Starrett Company 407,976 391,731
2021-02-11 13G/A FUBO / fuboTV Inc. 3,317,333 3,893,831
2021-02-11 13G/A IHIT / Invesco High Income 2023 Target Term Fund 1,697,051 1,841,145
2021-02-11 13G/A JKS / JinkoSolar Holding Co., Ltd. - Depositary Receipt (Common Stock) 9,306,260 3,159,472
2021-02-11 13G/A FFA / First Trust Enhanced Equity Income Fund 1,041,092 1,346,218
2021-02-11 13G HEI.A / HEICO Corporation 4,852,993
2021-02-11 13G OMAB / Grupo Aeroportuario del Centro Norte, S.A.B. de C.V. - Depositary Receipt (Common Stock) 17,904,425
2021-02-11 13G VVR / Invesco Senior Income Trust 8,682,711 9,553,722
2021-02-11 13G/A FPL / First Trust New Opportunities MLP & Energy Fund 1,392,837 1,219,502
2021-02-11 13G/A GH / Guardant Health, Inc. 5,012,733 4,483,857
2021-02-11 13G/A GLNG / Golar LNG Limited 5,040,994 6,938,936
2021-02-11 13G/A GGZ / The Gabelli Global Small and Mid Cap Value Trust 546,087 266,658
2021-02-11 13G/A FIF / First Trust Energy Infrastructure Fund 962,603 950,849
2021-02-11 13G/A US34407D1090 / Fly Leasing Ltd. 2,242,234 1,901,809
2021-02-11 13G/A FNKO / Funko, Inc. 1,778,935 270,149
2021-02-11 13G/A FEI / First Trust MLP and Energy Income Fund 4,787,690 3,544,597
2021-02-11 13G/A FSD / First Trust High Income Long/Short Fund 3,432,045 3,366,666
2021-02-11 13G/A FTAI / FTAI Aviation Ltd. 4,260,267 7,812,440
2021-02-11 13G/A FPF / First Trust Intermediate Duration Preferred & Income Fund 3,985,176 4,225,792
2021-02-11 13G/A FSLY / Fastly, Inc. 11,540,304 10,250,897
2021-02-11 13G/A 2,689,210 2,220,869
2021-02-11 13G/A FTCH / Farfetch Limited 30,473,173 29,927,765
2021-02-11 13G FTHY / First Trust High Yield Opportunities 2027 Term Fund 1,953,385
2021-02-11 13G US30068N1054 / Exantas Capital Corp. 1,864,102
2021-02-11 13G/A EB / Eventbrite, Inc. 3,511,578 2,861,476
2021-02-10 13G/A ETI.PR / Entergy Texas, Inc. - Preferred Stock 64,436
2021-02-10 13G/A ETI.PR / Entergy Texas, Inc. - Preferred Stock 64,436
2021-02-10 13G BSL / Blackstone Senior Floating Rate 2027 Term Fund 722,334 1,283,846
2021-02-10 13G/A EXD / Eaton Vance Tax-Managed Buy-Write Strategy Fund 611,091 415,990
2021-02-10 13G/A APPN / Appian Corporation 1,990,032 570,705
2021-02-10 13G JRJC / China Finance Online Co. Ltd. - ADR 6,144,550
2021-02-10 13G/A PLAY / Dave & Buster's Entertainment, Inc. 2,413,493 3,219,760
2021-02-10 13G/A RPRX / Royalty Pharma plc 23,597,287 46,144,883
2021-02-10 13G/A CYBR / CyberArk Software Ltd. 2,013,300 1,827,446
2021-02-10 13G/A EVV / Eaton Vance Limited Duration Income Fund 7,094,238 7,972,201
2021-02-10 13G/A DISCA / Discovery Inc - Class A 10,179,534 9,488,008
2021-02-10 13G/A ECF / Ellsworth Growth and Income Fund Ltd. 1,004,590 1,201,134
2021-02-10 13G/A DOMO / Domo, Inc. 1,316,461 906,528
2021-02-10 13G/A CRTO / Criteo S.A. - Depositary Receipt (Common Stock) 3,671,411 4,373,706
2021-02-10 13G/A CTPR / CTPartners Executive Search Inc. 551,083 551,483
2021-02-10 13G/A AZRE / Azure Power Global Ltd 2,653,045 1,312,928
2021-02-10 13G/A EPAM / EPAM Systems, Inc. 5,125,610 4,729,094
2021-02-10 13G/A CD / Chindata Group Holdings Limited - Depositary Receipt (Common Stock) 21,945,700 23,596
2021-02-10 13G/A EXG / Eaton Vance Tax-Managed Global Diversified Equity Income Fund 21,631,650 20,783,190
2021-02-10 13G/A DCF / BNY Mellon Alcentra Global Credit Income 2024 Target Term Fund, Inc. 1,122,158 1,298,206
2021-02-10 13G APRN / Blue Apron Holdings Inc - Class A 431,980 959,584
2021-02-10 13G BMEZ / BlackRock Health Sciences Term Trust 5,719,149
2021-02-10 13G/A AMR / Alpha Metallurgical Resources, Inc. 1,325,022 1,021,597
2021-02-10 13G FOF / Cohen & Steers Closed-End Opportunity Fund, Inc. 1,351,401 1,419,828
2021-02-10 13G/A AUDC / AudioCodes Ltd. 1,988,584 2,049,175
2021-02-10 13G/A AY / Atlantica Sustainable Infrastructure plc 2,776,538 5,918,853
2021-02-10 13G/A CARG / CarGurus, Inc. 4,853,228 4,984,375
2021-02-10 13G/A CBB / Cincinnati Bell, Inc. 2,676,799 2,814,783
2021-02-10 13G BSTZ / BlackRock Science and Technology Term Trust 5,653,079
2021-02-10 13G/A BGY / BlackRock Enhanced International Dividend Trust 9,689,148 9,060,939
2021-02-10 13G/A CMCT / Creative Media & Community Trust Corporation 817,781 396,549
2021-02-10 13G/A BLW / BlackRock Limited Duration Income Trust 2,628,060 3,253,588
2021-02-10 13G/A CVNA / Carvana Co. 7,092,838 6,563,440
2021-02-10 13G/A EFL / Eaton Vance Floating-Rate 2022 Target Term Trust 1,755,672 1,506,552
2021-02-10 13G MUE / BlackRock MuniHoldings Quality Fund II, Inc. 1,391,354
2021-02-10 13G/A BOE / BlackRock Enhanced Global Dividend Trust 3,963,682 4,813,439
2021-02-10 13G/A FUN / Six Flags Entertainment Corporation 3,518,820 4,705,359
2021-02-10 13G DSU / BlackRock Debt Strategies Fund, Inc. 2,441,284 2,926,546
2021-02-10 13G/A CHW / Calamos Global Dynamic Income Fund 3,861,354 4,080,615
2021-02-10 13G/A BYM / BlackRock Municipal Income Quality Trust 2,363,124 2,382,828
2021-02-10 13G/A FOLD / Amicus Therapeutics, Inc. 14,663,451 12,737,657
2021-02-10 13G/A BGIO / BlackRock 2022 Global Income Opportunity Trust 1,861,773 1,865,694
2021-02-10 13G/A COUP / Coupa Software Inc 7,072,292 6,058,541
2021-02-10 13G/A ABUS / Arbutus Biopharma Corporation 3,497,578 1,438,264
2021-02-10 13G/A ABG / Asbury Automotive Group, Inc. 1,015,343 901,901
2021-02-10 13G/A ASA / ASA Gold and Precious Metals Limited 1,097,826 1,076,259
2021-02-10 13G/A CVET / Covetrus Inc 12,003,710 10,480,615
2021-02-10 13G/A ARCH / Arch Resources, Inc. 921,531 1,215,646
2021-02-10 13G NFJ / Virtus Dividend, Interest & Premium Strategy Fund 4,240,483 4,898,819
2021-02-10 13G/A PLAN / Anaplan Inc 7,050,171 6,570,141
2021-02-10 13G/A ETI.PR / Entergy Texas, Inc. - Preferred Stock 78,669 64,436
2021-02-10 13G/A CHWY / Chewy, Inc. 15,606,293 11,777,816
2021-02-10 13G/A ETY / Eaton Vance Tax-Managed Diversified Equity Income Fund 12,753,001 11,892,623
2021-02-10 13G/A VNET / VNET Group, Inc. - Depositary Receipt (Common Stock) 40,443,816 36,471,576
2021-02-10 13G/A ALIM / Alimera Sciences, Inc. 420,738 420,712
2021-02-10 13G/A AFMD / Affimed N.V. 4,767,018 4,653,503
2021-02-10 13G ATEX / Anterix Inc. 1,238,186
2021-02-10 13G/A TXG / 10x Genomics, Inc. 6,792,818 5,915,534
2021-02-09 13G RPRX / Royalty Pharma plc 23,597,287
2021-02-08 13G JAN / JanOne Inc. 94,414
2021-02-08 13G PRTS / CarParts.com, Inc. 2,534,680
2021-02-04 13G APPN / Appian Corporation 1,990,032
2021-02-04 13G PPBT / Purple Biotech Ltd - Depositary Receipt (Common Stock) 8,611,750
2021-02-03 13G EG1 / Virtusa Corp 1,428,259 1,558,848
2021-02-03 13G/A GOOS / Canada Goose Holdings Inc. 8,347,981 11,184,572
2021-02-02 13G/A EG1 / Virtusa Corp 1,523,686 1,428,259
2021-02-01 13G YTEN / Yield10 Bioscience, Inc. 169,627
2021-01-25 13G DBVT / DBV Technologies S.A. - Depositary Receipt (Common Stock) 1,992,677 2,855,825
2021-01-15 13G PIXY / ShiftPixy, Inc. 1,096,710
2021-01-11 13G/A MDB / MongoDB, Inc. 4,949,976 2,101,893
2021-01-11 13G/A US83088V1026 / Slack Technologies Inc 34,854,399 42,842
2021-01-08 13G/A SKLZ / Skillz Inc. 20,522,078
2021-01-08 13G MSTR / Strategy Inc 792,627
2021-01-07 13G HEQ / John Hancock Diversified Income Fund 381,361 1,518,630
2020-12-31 13G XNET / Xunlei Limited - Depositary Receipt (Common Stock) 10,348,510 16,755,250
2020-12-28 13G CD / Chindata Group Holdings Limited - Depositary Receipt (Common Stock) 21,945,700
2020-12-18 13G 859319303 / Sterling Financial Corp 881,438
2020-12-18 13G AFMD / Affimed N.V. 4,767,018
2020-12-18 13G EB / Eventbrite, Inc. 3,511,578
2020-12-10 13G/A HUYA / HUYA Inc. - Depositary Receipt (Common Stock) 10,991,926 18,967,331
2020-12-10 13G/A GLOB / Globant S.A. 2,915,562 1,625,440
2020-12-10 13G/A FTCH / Farfetch Limited 24,402,725 30,473,173
2020-12-10 13G DISCA / Discovery Inc - Class A 10,179,534
2020-12-10 13G OIBRQ / Oi S.A. - Depositary Receipt (Common Stock) 7,470,107 290,122,896
2020-12-10 13G/A EMO / ClearBridge Energy Midstream Opportunity Fund Inc 3,861,813 319,737
2020-12-10 13G ZGNX / Zogenix Inc 2,804,286
2020-12-10 13G PLYA / Playa Hotels & Resorts N.V. 7,020,050
2020-12-09 13G/A WDAY / Workday, Inc. 8,629,730 3,399,222
2020-12-09 13G / Flying Eagle Acquisition Corp. 12,487,436
2020-12-09 13G SNOW / Snowflake Inc. 5,195,909
2020-12-09 13G/A CEM / ClearBridge MLP and Midstream Fund Inc 538,827
2020-12-09 13G/A / Nuveen High Income 2020 Target Term Fund 1,275,065 0
2020-12-08 13G/A SRV / NXG Cushing Midstream Energy Fund 386,518 78,647
2020-11-20 13G PLAN / Anaplan Inc 7,050,171
2020-11-20 13G EG1 / Virtusa Corp 1,523,686
2020-11-20 13G GLNG / Golar LNG Limited 3,883,395 5,040,994
2020-11-13 13G MCS / The Marcus Corporation 1,157,472
2020-11-12 13G/A IQ / iQIYI, Inc. - Depositary Receipt (Common Stock) 128,275,285 226,551,917
2020-11-10 13G/A HUYA / HUYA Inc. - Depositary Receipt (Common Stock) 7,100,194 10,991,926
2020-11-10 13G/A RIV / RiverNorth Opportunities Fund, Inc. 713,672 1,042,032
2020-11-10 13G FSLY / Fastly, Inc. 1,281,549 11,540,304
2020-11-10 13G/A GILT / Gilat Satellite Networks Ltd. 2,794,391 755,851
2020-11-10 13G/A TLGT / Teligent Inc 771
2020-11-10 13G/A / CRH Medical Corp. 3,702,007 1,315,345
2020-11-09 13G ALIM / Alimera Sciences, Inc. 420,738
2020-11-09 13G TCDA / Tricida Inc 2,830,962
2020-11-05 13G PVG / Pretium Resources Inc 10,604,201
2020-11-03 13G FUBO / fuboTV Inc. 3,317,333
2020-11-03 13G DOMO / Domo, Inc. 299,192 1,316,461
2020-11-03 13G CBB / Cincinnati Bell, Inc. 890,072 2,676,799
2020-10-28 13G/A GOTU / Gaotu Techedu Inc. - Depositary Receipt (Common Stock) 4,581,393 9,602,852
2020-10-27 13G ABG / Asbury Automotive Group, Inc. 376,794 1,015,343
2020-10-26 13G TVTY / Tivity Health Inc 220,665 2,491,510
2020-10-26 13G NXTC / NextCure, Inc. 1,878,980
2020-10-23 13G / Sina Corp. 1,735,023 3,061,460
2020-10-22 13G FOLD / Amicus Therapeutics, Inc. 1,681,401 14,663,451
2020-10-19 13G PMT / PennyMac Mortgage Investment Trust 5,133,145
2020-10-19 13G SBGI / Sinclair, Inc. 4,049,478
2020-10-09 13G/A CHWY / Chewy, Inc. 12,413,136 15,606,293
2020-10-09 13G/A OKTA / Okta, Inc. 10,383,867 12,541,162
2020-10-09 13G/A SMM / Salient Midstream & MLP Fund 1,532,151 311,052
2020-10-09 13G/A FTCH / Farfetch Limited 38,984,008 24,402,725
2020-10-05 13G ARCH / Arch Resources, Inc. 258,018 921,531
2020-10-05 13G GILT / Gilat Satellite Networks Ltd. 2,794,391
2020-09-30 13G VIPS / Vipshop Holdings Limited - Depositary Receipt (Common Stock) 1,785,317 5,945,617
2020-09-30 13G TME / Tencent Music Entertainment Group - Depositary Receipt (Common Stock) 68,072,820
2020-09-10 13G/A FSLY / Fastly, Inc. 2,169,508 1,281,549
2020-09-10 13G/A HUYA / HUYA Inc. - Depositary Receipt (Common Stock) 6,279,333 7,100,194
2020-09-10 13G/A PYX / Pyxus International, Inc. 459,933 0
2020-09-10 13G/A ANGI / Angi Inc. 4,640,610 1,412,972
2020-09-10 13G/A ERJ / Embraer S.A. - Depositary Receipt (Common Stock) 41,679,715 8,140,543
2020-09-10 13G/A FSD / First Trust High Income Long/Short Fund 3,014,455 3,432,045
2020-08-31 13G 67424L100 / Obalon Therapeutics Inc 456,216
2020-08-28 13G US53619W1018 / Linx S.A. 13,260,874
2020-08-24 13G WVE / Wave Life Sciences Ltd. 1,948,232
2020-08-10 13G/A TRPX / Therapix Biosciences Ltd 11,646,560 68,120
2020-08-10 13G/A BXC / BlueLinx Holdings Inc. 473,712 177,330
2020-08-10 13G/A ARCH / Arch Resources, Inc. 258,018
2020-08-10 13G/A LPI / Laredo Petroleum Inc. 12,229,283 204,788
2020-08-10 13G/A / Briggs & Stratton Corp. 2,236,720 89,798
2020-07-27 13G FTAI / FTAI Aviation Ltd. 1,719,030 4,260,267
2020-07-16 13G ABUS / Arbutus Biopharma Corporation 3,497,578
2020-07-09 13G/A OSTK / Overstock.com Inc 3,604,686 4,850,204
2020-07-08 13G/A 177,680 0
2020-07-08 13G/A XOG / Extraction Oil & Gas Inc - New 11,670,022 1,754,636
2020-07-06 13G CARG / CarGurus, Inc. 1,643,321 4,853,228
2020-06-19 13G IQ / iQIYI, Inc. - Depositary Receipt (Common Stock) 128,275,285
2020-06-19 13G CYBR / CyberArk Software Ltd. 1,759,736 2,013,300
2020-06-15 13G / Briggs & Stratton Corp. 2,236,720
2020-06-12 13G GSKY / GreenSky Inc - Class A 3,327,544
2020-06-10 13G/A CARG / CarGurus, Inc. 4,742,550 1,643,321
2020-06-10 13G/A PLCE / The Children's Place, Inc. 751,400 234,353
2020-06-09 13G/A PTON / Peloton Interactive, Inc. 2,408,662 1,245,293
2020-06-09 13G/A UMC / United Microelectronics Corporation - Depositary Receipt (Common Stock) 726,498,428 223,036,350
2020-06-09 13G/A FOLD / Amicus Therapeutics, Inc. 12,912,665 1,681,401
2020-06-08 13G ERJ / Embraer S.A. - Depositary Receipt (Common Stock) 41,679,715
2020-05-26 13G PLCE / The Children's Place, Inc. 261,493 751,400
2020-05-19 13G/A CHWY / Chewy, Inc. 12,413,136 12,413,136
2020-05-14 13G PYX / Pyxus International, Inc. 49,687 459,933
2020-05-14 13G BXC / BlueLinx Holdings Inc. 473,712
2020-05-11 13G/A MTOR / Meritor Inc 4,935,650 585,036
2020-05-11 13G/A GER / GE Capital Global Holdings, LLC - Preferred Security 5,698,796 206,233
2020-05-11 13G/A DDOG / Datadog, Inc. 2,607,109 1,306,951
2020-05-11 13G/A TRIL / Trillium Therapeutics Inc 1,870,004 1,243,313
2020-05-11 13G/A CLB / Core Laboratories Inc. 2,293,612 39,151
2020-05-08 13G/A TXG / 10x Genomics, Inc. 5,018,246 6,792,818
2020-05-08 13G ZM / Zoom Communications Inc. 13,693,771
2020-05-07 13G/A PLCE / The Children's Place, Inc. 745,250 261,493
2020-05-07 13G/A OAS / Oasis Petroleum Inc. - New 19,543,800 803,196
2020-05-07 13G/A MNKKQ / Mallinckrodt Plc 4,297,007 732,227
2020-05-07 13G/A US3723091043 / GenMark Diagnostics, Inc 5,153,330 7,412
2020-05-07 13G/A 00769G477 / Atlantic Power Corp. 9,032,270 538,864
2020-05-07 13G/A ALNA / Allena Pharmaceuticals Inc 1,253,847 191,938
2020-05-07 13G/A IRBT / iRobot Corporation 1,926,399 367,946
2020-05-06 13G LPI / Laredo Petroleum Inc. 12,229,283
2020-05-06 13G FNKO / Funko, Inc. 1,778,935
2020-05-01 13G CARG / CarGurus, Inc. 4,742,550
2020-04-30 13G TRPX / Therapix Biosciences Ltd 11,646,560
2020-04-23 13G PLAY / Dave & Buster's Entertainment, Inc. 2,413,493
2020-04-21 13G ARCH / Arch Resources, Inc. 949,726
2020-04-09 13G/A IHTA / Invesco High Income 2024 Target Term Fund 776,979 897,497
2020-04-09 13G/A TXG / 10x Genomics, Inc. 1,070,491 5,018,246
2020-04-09 13G/A MDB / MongoDB, Inc. 3,650,068 4,949,976
2020-04-09 13G GOOS / Canada Goose Holdings Inc. 8,347,981
2020-04-09 13G/A TOPS / Top Ships Inc. 1,685,555 0
2020-04-09 13G/A CVNA / Carvana Co. 2,725,804 7,092,838
2020-04-06 13G TOPS / Top Ships Inc. 1,685,555
2020-03-30 13G PLCE / The Children's Place, Inc. 745,250
2020-03-30 13G ALNA / Allena Pharmaceuticals Inc 418,076 1,253,847
2020-03-24 13G CLB / Core Laboratories Inc. 2,293,612
2020-03-24 13G LC / LendingClub Corporation 5,883,507 5,266,656
2020-03-20 13G OAS / Oasis Petroleum Inc. - New 19,543,800
2020-03-18 13G IRBT / iRobot Corporation 1,926,399
2020-03-16 13G INST / Instructure Holdings, Inc. 2,087,408
2020-03-09 13G/A ACRS / Aclaris Therapeutics, Inc. 2,518,882 23,767
2020-03-09 13G PTON / Peloton Interactive, Inc. 2,408,662
2020-03-09 13G/A OCN / Ocwen Financial Corporation 10,235,491 2,412,475
2020-03-06 13G/A US36268W1009 / Gain Capital Holdings, Inc. 1,945,763 35,013
2020-03-06 13G FSLY / Fastly, Inc. 2,169,508
2020-03-06 13G/A INSP / Inspire Medical Systems, Inc. 1,635,178 410,988
2020-02-24 13G MNKKQ / Mallinckrodt Plc 3,791,799 4,297,007
2020-02-14 13G/A WDAY / Workday, Inc. 9,513,951 8,629,730
2020-02-14 13G/A Z / Zillow Group, Inc. 3,102,158 4,743,693
2020-02-14 13G HUYA / HUYA Inc. - Depositary Receipt (Common Stock) 6,279,333
2020-02-14 13G/A GOTU / Gaotu Techedu Inc. - Depositary Receipt (Common Stock) 4,523,626 4,581,393
2020-02-14 13G/A EPAM / EPAM Systems, Inc. 4,197,998 5,125,610
2020-02-14 13G/A US36268W1009 / Gain Capital Holdings, Inc. 2,225,893 1,945,763
2020-02-14 13G/A TAL / TAL Education Group - Depositary Receipt (Common Stock) 5,940,776 1,623,865
2020-02-14 13G/A FTCH / Farfetch Limited 25,403,907 38,984,008
2020-02-14 13G/A GLOB / Globant S.A. 3,096,363 2,915,562
2020-02-14 13G/A LK / Luckin Coffee Inc. 18,757,008 6,585,928
2020-02-14 13G SPOT / Spotify Technology S.A. 13,385,493
2020-02-14 13G/A NSTG / NanoString Technologies, Inc. 3,949,461 4,128,646
2020-02-13 13G/A SMM / Salient Midstream & MLP Fund 1,532,151
2020-02-13 13G/A MNKKQ / Mallinckrodt Plc 4,282,049 3,791,799
2020-02-13 13G/A SLG / SL Green Realty Corp. 4,539,688 4,033,087
2020-02-13 13G/A BXMX / Nuveen S&P 500 Buy-Write Income Fund 8,684,507 8,941,022
2020-02-13 13G/A MCR / MFS Charter Income Trust 3,978,294 3,473,661
2020-02-13 13G/A HIE / Miller/Howard High Income Equity Fund 1,016,820 987,534
2020-02-13 13G/A HQH / Abrdn Healthcare Investors 3,270,077 3,112,549
2020-02-13 13G/A CYBR / CyberArk Software Ltd. 1,888,012 1,759,736
2020-02-13 13G/A XOG / Extraction Oil & Gas Inc - New 8,204,319 11,670,022
2020-02-13 13G/A YY / JOYY Inc. - Depositary Receipt (Common Stock) 70,472,015
2020-02-13 13G JEMD / Nuveen Emerging Markets Debt 2022 Target Term Fund 884,832
2020-02-13 13G/A VEEV / Veeva Systems Inc. 10,894,349 9,091,108
2020-02-13 13G/A TLGT / Teligent Inc 5,239,961 5,238,904
2020-02-13 13G/A HEAR / Turtle Beach Corporation 730,984 245,166
2020-02-13 13G/A OSTK / Overstock.com Inc 3,477,750 3,604,686
2020-02-13 13G/A TWTR / Twitter Inc 43,313,009 46,005,326
2020-02-13 13G UMC / United Microelectronics Corporation - Depositary Receipt (Common Stock) 726,498,428
2020-02-13 13G/A VNTR / Venator Materials PLC 5,692,316 4,080,438
2020-02-13 13G/A US3723091043 / GenMark Diagnostics, Inc 3,055,921 5,153,330
2020-02-13 13G/A HALC / Halcon Resources Corporation NEW 130,961
2020-02-13 13G/A GDV / The Gabelli Dividend & Income Trust 6,282,869 6,336,191
2020-02-13 13G/A US87403A1079 / Tailored Brands, Inc. 2,426,088 2,207,661
2020-02-13 13G/A TRIL / Trillium Therapeutics Inc 1,649,478 1,870,004
2020-02-13 13G/A BTO / John Hancock Financial Opportunities Fund 1,419,564 1,342,692
2020-02-13 13G/A VTA / Invesco Dynamic Credit Opportunities Fund 5,062,450 5,138,699
2020-02-13 13G/A MGU / Macquarie Global Infrastructure Total Return Fund Inc 935,748 990,077
2020-02-13 13G/A KTCC / Key Tronic Corporation 1,076,497 1,107,158
2020-02-13 13G JHAA / Nuveen Corporate Income 2023 Target Term Fund 604,715
2020-02-13 13G/A OCN / Ocwen Financial Corporation 10,127,001 10,235,491
2020-02-13 13G IHD / Voya Emerging Markets High Dividend Equity Fund 1,191,220
2020-02-13 13G/A MX / Magnachip Semiconductor Corporation 1,712,737 2,519,511
2020-02-13 13G/A ACET / Adicet Bio, Inc. 3,214,730 1,492,607
2020-02-13 13G/A VIOT / Viomi Technology Co., Ltd - Depositary Receipt (Common Stock) 5,366,901 5,364,933
2020-02-13 13G/A HFRO / Highland Funds I - Highland Opportunities and Income Fund 4,807,121 3,922,751
2020-02-13 13G/A JT / Jianpu Technology Inc. - Depositary Receipt (Common Stock) 26,821,702 26,976,007
2020-02-13 13G/A TRUE / TrueCar, Inc. 5,842,732 2,795,972
2020-02-13 13G/A EOD / Wells Fargo Advantage Funds - Allspring Global Dividend Opportunity Fund 2,464,530 2,264,172
2020-02-13 13G/A 17K / Self Storage Group ASA 1,823,105 1,742,315
2020-02-13 13G/A DSU / BlackRock Debt Strategies Fund, Inc. 2,678,148 2,441,284
2020-02-13 13G/A FPL / First Trust New Opportunities MLP & Energy Fund 1,322,613 1,392,837
2020-02-13 13G/A REDU / RISE Education Cayman Ltd - ADR 6,325,200 6,943,470
2020-02-13 13G/A FFA / First Trust Enhanced Equity Income Fund 1,099,703 1,235,127
2020-02-13 13G/A 2,689,210
2020-02-13 13G/A GER / GE Capital Global Holdings, LLC - Preferred Security 4,868,623 5,698,796
2020-02-13 13G/A WWE / World Wrestling Entertainment, Inc. - Class A 2,564,201 2,605,277
2020-02-13 13G/A MNDO / MIND C.T.I. Ltd 967,301 1,154,774
2020-02-13 13G/A JKS / JinkoSolar Holding Co., Ltd. - Depositary Receipt (Common Stock) 8,941,508 9,306,260
2020-02-13 13G INSP / Inspire Medical Systems, Inc. 1,635,178
2020-02-13 13G GH / Guardant Health, Inc. 5,012,733
2020-02-13 13G/A ETY / Eaton Vance Tax-Managed Diversified Equity Income Fund 12,222,506 12,753,001
2020-02-13 13G/A AY / Atlantica Sustainable Infrastructure plc 7,321,982 2,776,538
2020-02-13 13G/A CLI / Mack-Cali Realty Corp. 5,794,257 3,017,064
2020-02-13 13G ETI.PR / Entergy Texas, Inc. - Preferred Stock 78,669
2020-02-13 13G/A 00769G477 / Atlantic Power Corp. 9,933,769 9,032,270
2020-02-13 13G/A AAOI / Applied Optoelectronics, Inc. 1,011,337 867,730
2020-02-13 13G/A ABG / Asbury Automotive Group, Inc. 1,206,915 376,794
2020-02-13 13G TWLO / Twilio Inc. 1,015,716 8,119,827
2020-02-13 13G/A ANGI / Angi Inc. 4,414,755 4,640,610
2020-02-13 13G/A AMBA / Ambarella, Inc. 2,099,462 1,079,085
2020-02-13 13G/A ACRS / Aclaris Therapeutics, Inc. 2,077,242 2,518,882
2020-02-12 13G/A AMR / Alpha Metallurgical Resources, Inc. 971,394 1,325,022
2020-02-12 13G/A AUDC / AudioCodes Ltd. 2,293,111 1,988,584
2020-02-12 13G/A FUN / Six Flags Entertainment Corporation 2,951,118 3,518,820
2020-02-12 13G/A CEM / ClearBridge MLP and Midstream Fund Inc 5,012,940 5,485,706
2020-02-12 13G/A BYM / BlackRock Municipal Income Quality Trust 1,682,044 2,363,124
2020-02-12 13G/A 177,680
2020-02-12 13G/A DDOG / Datadog, Inc. 2,607,109
2020-02-12 13G/A FPF / First Trust Intermediate Duration Preferred & Income Fund 3,894,938 3,985,176
2020-02-12 13G/A EFL / Eaton Vance Floating-Rate 2022 Target Term Trust 1,916,271 1,755,672
2020-02-12 13G/A JHD / Nuveen High Inc Dec 2019 Tgt Fnd 1,712,936 0
2020-02-12 13G/A FIF / First Trust Energy Infrastructure Fund 1,125,402 962,603
2020-02-12 13G CVNA / Carvana Co. 2,725,804
2020-02-12 13G TXG / 10x Genomics, Inc. 1,070,491
2020-02-12 13G QK / FLJ Group Ltd - ADR 120,000,000
2020-02-12 13G CRTO / Criteo S.A. - Depositary Receipt (Common Stock) 3,671,411
2020-02-12 13G/A CWCO / Consolidated Water Co. Ltd. 755,307 706,134
2020-02-12 13G/A US34407D1090 / Fly Leasing Ltd. 1,770,913 2,242,234
2020-02-12 13G RIV / RiverNorth Opportunities Fund, Inc. 713,672
2020-02-12 13G/A US36197T1034 / GW Pharmaceuticals Plc. 18,904,590 14,385,918
2020-02-12 13G/A ESD / Western Asset Emerging Market Debt Fund, Inc. 3,511,350 3,653,409
2020-02-12 13G MMU / Western Asset Managed Municipals Fund Inc. 2,159,916 2,170,907
2020-02-12 13G/A WHLR / Wheeler Real Estate Investment Trust, Inc. 535,162 718,457
2020-02-12 13G/A ECF / Ellsworth Growth and Income Fund Ltd. 1,072,279 1,004,590
2020-02-12 13G/A VNET / VNET Group, Inc. - Depositary Receipt (Common Stock) 29,812,998 40,443,816
2020-02-12 13G KYN / Kayne Anderson Energy Infrastructure Fund, Inc. 6,216,356 8,082,015
2020-02-12 13G/A DCF / BNY Mellon Alcentra Global Credit Income 2024 Target Term Fund, Inc. 922,532 1,122,158
2020-02-12 13G/A SCX / The L.S. Starrett Company 358,751 407,976
2020-02-12 13G/A BGIO / BlackRock 2022 Global Income Opportunity Trust 1,607,054 1,861,773
2020-02-12 13G/A MTOR / Meritor Inc 6,003,882 4,935,650
2020-02-12 13G/A EXG / Eaton Vance Tax-Managed Global Diversified Equity Income Fund 20,923,393 21,631,650
2020-02-12 13G/A IHIT / Invesco High Income 2023 Target Term Fund 2,299,032 1,697,051
2020-02-12 13G NRT / North European Oil Royalty Trust 519,559
2020-02-12 13G/A JCO / Nuveen Credit Opportunities 2022 Target Term Fund 1,470,621 2,040,632
2020-02-12 13G/A NFJ / Virtus Dividend, Interest & Premium Strategy Fund 5,076,948 4,240,483
2020-02-12 13G/A GLRE / Greenlight Capital Re, Ltd. 2,107,696 1,889,289
2020-02-12 13G PCI / PGIM ETF Trust - PGIM Corporate Bond 5-10 Year ETF 5,787,692 7,217,596
2020-02-12 13G/A / Nuveen High Income 2020 Target Term Fund 1,253,491 1,275,065
2020-02-12 13G/A DBVT / DBV Technologies S.A. - Depositary Receipt (Common Stock) 1,555,082 1,992,677
2020-02-12 13G OKTA / Okta, Inc. 10,383,867
2020-02-12 13G TTD / The Trade Desk, Inc. 2,679,581
2020-02-12 13G/A 226,992 177,680
2020-02-12 13G/A BLW / BlackRock Limited Duration Income Trust 2,652,760 2,628,060
2020-02-12 13G/A NIQ / NIQ Global Intelligence plc 684,600 474,493
2020-02-12 13G EMO / ClearBridge Energy Midstream Opportunity Fund Inc 3,222,518 3,861,813
2020-02-12 13G/A EXD / Eaton Vance Tax-Managed Buy-Write Strategy Fund 715,968 611,091
2020-02-12 13G/A FSD / First Trust High Income Long/Short Fund 2,901,151 3,014,455
2020-02-12 13G/A 2,957,616 4,186,753
2020-02-12 13G/A EVV / Eaton Vance Limited Duration Income Fund 6,606,310 7,094,238
2020-02-12 13G/A SRV / NXG Cushing Midstream Energy Fund 401,327 386,518
2020-02-12 13G ASA / ASA Gold and Precious Metals Limited 1,097,826
2020-02-12 13G/A DXCM / DexCom, Inc. 4,773,488 3,725,652
2020-02-12 13G/A FDEU / First Trust Dynamic Europe Equity Income Fund 833,529
2020-02-12 13G/A US83088V1026 / Slack Technologies Inc 19,467,966 34,854,399
2020-02-12 13G/A DPLO / Diplomat Pharmacy, Inc. 5,006,570 340,120
2020-02-12 13G/A GGZ / The Gabelli Global Small and Mid Cap Value Trust 822,789 546,087
2020-02-12 13G/A IHTA / Invesco High Income 2024 Target Term Fund 548,298 776,979
2020-02-12 13G/A BOE / BlackRock Enhanced Global Dividend Trust 3,886,101 3,963,682
2020-02-12 13G/A CVET / Covetrus Inc 11,223,781 12,003,710
2020-02-12 13G/A AY / Atlantica Sustainable Infrastructure plc 5,038,593 7,321,982
2020-02-12 13G/A / CRH Medical Corp. 3,592,652 3,702,007
2020-02-12 13G/A CSIQ / Canadian Solar Inc. 3,217,335 1,858,358
2020-02-12 13G/A BE / Bloom Energy Corporation 3,871,209 2,209,024
2020-02-12 13G CHW / Calamos Global Dynamic Income Fund 2,426,365 3,861,354
2020-02-12 13G AZRE / Azure Power Global Ltd 2,653,045
2020-02-12 13G/A COUP / Coupa Software Inc 6,478,303 7,072,292
2020-02-12 13G/A CLVS / Clovis Oncology Inc 3,157,130 801,463
2020-02-12 13G/A FOF / Cohen & Steers Closed-End Opportunity Fund, Inc. 1,406,015 1,351,401
2020-02-12 13G/A BGY / BlackRock Enhanced International Dividend Trust 8,113,389 9,689,148
2020-02-07 13G/A FTCH / Farfetch Limited 26,080,359 25,403,907
2020-02-07 13G/A CRWD / CrowdStrike Holdings, Inc. 2,420,666 1,972,925
2020-02-07 13G/A MMSI / Merit Medical Systems, Inc. 260,307
2020-02-07 13G MMSI / Merit Medical Systems, Inc. 3,319,503
2020-02-04 13G/A RGT / Royce Global Trust, Inc. 562,745 530,407
2020-01-30 13G CMCT / Creative Media & Community Trust Corporation 817,781
2020-01-30 13G FOLD / Amicus Therapeutics, Inc. 12,390,314 12,912,665
2020-01-29 13G/A FOLD / Amicus Therapeutics, Inc. 14,169,269 12,390,314
2020-01-15 13G CRWD / CrowdStrike Holdings, Inc. 755,010 2,420,666
2020-01-14 13G/A CRWD / CrowdStrike Holdings, Inc. 1,240,466 755,010
2020-01-10 13G/A NML / Neuberger Berman Energy Infrastructure and Income Fund Inc. 4,886,574 6,373,657
2020-01-10 13G/A CHWY / Chewy, Inc. 5,426,498 12,413,136
2020-01-10 13G/A MDB / MongoDB, Inc. 4,924,650 3,650,068
2020-01-10 13G/A FEI / First Trust MLP and Energy Income Fund 4,105,580 4,787,690
2020-01-09 13G/A FTR / Frontier Communications Corp. 4,298,635
2019-12-31 13G TRIL / Trillium Therapeutics Inc 523,155 1,649,478
2019-12-30 13G JKS / JinkoSolar Holding Co., Ltd. - Depositary Receipt (Common Stock) 8,941,508
2019-12-30 13G ACET / Adicet Bio, Inc. 3,214,730
2019-12-26 13G US87403A1079 / Tailored Brands, Inc. 2,426,088
2019-12-26 13G TLGT / Teligent Inc 5,239,961
2019-12-11 13G REDU / RISE Education Cayman Ltd - ADR 6,325,200
2019-12-10 13G/A ESV / Ensco plc 10,021,188 1,137,340
2019-12-10 13G/A US92913C1062 / Voya Natural Resources Equity Income Fnd 1,658,276 300,956
2019-12-10 13G/A 024237020 / Dean Foods Co 4,703,018 233,709
2019-12-09 13G/A TVTY / Tivity Health Inc 3,184,489 220,665
2019-12-09 13G/A US1182301010 / Buckeye Partners, L.P. 8,030,558 0
2019-12-09 13G/A ALNA / Allena Pharmaceuticals Inc 1,828,729 418,076
2019-12-09 13G US36197T1034 / GW Pharmaceuticals Plc. 18,904,590
2019-12-09 13G JT / Jianpu Technology Inc. - Depositary Receipt (Common Stock) 26,821,702
2019-12-09 13G WHLR / Wheeler Real Estate Investment Trust, Inc. 535,162
2019-12-02 13G LK / Luckin Coffee Inc. 18,757,008
2019-11-25 13G WWE / World Wrestling Entertainment, Inc. - Class A 307,763 2,564,201
2019-11-21 13G DPLO / Diplomat Pharmacy, Inc. 5,006,570
2019-11-14 13G/A YY / JOYY Inc. - Depositary Receipt (Common Stock) 49,384,380 76,213,895
2019-11-04 13G CRWD / CrowdStrike Holdings, Inc. 1,240,466
2019-10-25 13G DDOG / Datadog, Inc. 1,811,842
2019-10-24 13G HEAR / Turtle Beach Corporation 423,483 730,984
2019-10-16 13G TVTY / Tivity Health Inc 462,779 3,184,489
2019-10-15 13D/A CXDC / China XD Plastics Co Ltd 16,004,101 16,002,100
2019-10-08 13G/A OAK / Oaktree Capital Group, LLC 4,067,326 855,944
2019-10-03 13G VIOT / Viomi Technology Co., Ltd - Depositary Receipt (Common Stock) 2,869,668 5,366,901
2019-09-27 13G CLVS / Clovis Oncology Inc 324,047 3,157,130
2019-09-27 13G TRUE / TrueCar, Inc. 1,588,336 5,842,732
2019-09-26 13G US1182301010 / Buckeye Partners, L.P. 8,030,558
2019-09-25 13G ANGI / Angi Inc. 4,001,305 4,414,755
2019-09-23 13G OAK / Oaktree Capital Group, LLC 4,067,326
2019-09-10 13G CHWY / Chewy, Inc. 5,426,498
2019-09-09 13G CYBR / CyberArk Software Ltd. 386,594 1,888,012
2019-08-29 13G ACRS / Aclaris Therapeutics, Inc. 2,077,242
2019-08-29 13G GOTU / Gaotu Techedu Inc. - Depositary Receipt (Common Stock) 4,523,626
2019-08-27 13G FOLD / Amicus Therapeutics, Inc. 4,736,692 14,169,269
2019-08-16 13G FUN / Six Flags Entertainment Corporation 2,951,118
2019-08-12 13G NSTG / NanoString Technologies, Inc. 416,674 3,949,461
2019-08-09 13G/A TVTY / Tivity Health Inc 2,616,487 462,779
2019-08-08 13G FTCH / Farfetch Limited 26,080,359
2019-08-08 13G/A PETS / PetMed Express, Inc. 1,033,860 348,470
2019-08-08 13G/A SMAR / Smartsheet Inc. 2,889,658 1,626,468
2019-08-08 13G US3723091043 / GenMark Diagnostics, Inc 2,316,487 3,055,921
2019-08-05 13G ESV / Ensco plc 10,021,188
2019-08-01 13G MX / Magnachip Semiconductor Corporation 1,712,737
2019-07-23 13G MNKKQ / Mallinckrodt Plc 4,282,049
2019-07-19 13G / CRH Medical Corp. 3,396,804 3,592,652
2019-07-17 13G XOG / Extraction Oil & Gas Inc - New 8,727,997 8,204,319
2019-07-12 13G OZM / OCH-Ziff Capital Management Group LLC 8,071,311 1,105,584
2019-07-10 13G US83088V1026 / Slack Technologies Inc 19,467,966
2019-07-09 13G/A JPI / Nuveen Preferred Securities & Income Opportunities Fund 1,194,836 430,012
2019-07-09 13G/A GFA / Gafisa S.A. 2,193,397 1,175,099
2019-07-09 13G/A HQY / HealthEquity, Inc. 6,282,079 1,076,216
2019-07-09 13G/A KTCC / Key Tronic Corporation 967,099 1,076,497
2019-07-08 13G TVTY / Tivity Health Inc 2,616,487
2019-06-27 13G AAOI / Applied Optoelectronics, Inc. 303,883 1,011,337
2019-06-10 13G/A PYX / Pyxus International, Inc. 459,738 49,687
2019-06-10 13G/A COUP / Coupa Software Inc 3,689,148 6,478,303
2019-05-13 13G 024237020 / Dean Foods Co 4,703,018
2019-05-09 13G/A IMGN / ImmunoGen, Inc. 8,026,699 2,760,341
2019-05-09 13G/A GRUB / Just Eat Takeaway.com N.V. - ADR (New) 4,816,408 1,384,139
2019-05-09 13G/A IAC / IAC Inc. 4,165,310 823,808
2019-05-09 13G CVET / Covetrus Inc 11,223,781
2019-05-09 13G/A DOMO / Domo, Inc. 1,232,398 299,192
2019-04-18 13G PYX / Pyxus International, Inc. 459,738
2019-04-11 13G AMR / Alpha Metallurgical Resources, Inc. 971,394
2019-04-11 13G HKRS / Halcon Resources Corp. 8,452,073
2019-04-08 13G/A CYBR / CyberArk Software Ltd. 1,811,502 386,594
2019-04-08 13G/A JONE / Jones Energy, Inc. 338,400 48,075
2019-04-01 13G DOMO / Domo, Inc. 1,232,398
2019-03-27 13G VNET / VNET Group, Inc. - Depositary Receipt (Common Stock) 29,812,998
2019-03-27 13G/A VNET / VNET Group, Inc. - Depositary Receipt (Common Stock) 30,797,514
2019-03-07 13G/A HQY / HealthEquity, Inc. 6,040,583 6,282,079
2019-03-07 13G SMAR / Smartsheet Inc. 2,889,658
2019-02-28 13G AY / Atlantica Sustainable Infrastructure plc 6,582,577 5,038,593
2019-02-22 13G GFA / Gafisa S.A. 1,729,419 2,193,397
2019-02-14 13G SAEXW / SAExploration Holdings, Inc. 309,037
2019-02-14 13G/A AAMC / Altisource Asset Management Corporation 82,246 79,026
2019-02-13 13G/A / Voya Prime Rate Trust 5,765,330
2019-02-13 13G SCX / The L.S. Starrett Company 358,751
2019-02-13 13G IAC / IAC Inc. 4,165,310
2019-02-13 13G/A MMU / Western Asset Managed Municipals Fund Inc. 3,424,593 2,159,916
2019-02-13 13G/A GCV / The Gabelli Convertible and Income Securities Fund Inc. 717,048 577,054
2019-02-13 13G/A / Voya Prime Rate Trust 5,765,330
2019-02-13 13G/A HQH / Abrdn Healthcare Investors 4,702,105 3,270,077
2019-02-13 13G/A ECF / Ellsworth Growth and Income Fund Ltd. 1,167,270 1,072,279
2019-02-13 13G/A VNTR / Venator Materials PLC 5,331,195 5,692,316
2019-02-13 13G/A IHTA / Invesco High Income 2024 Target Term Fund 912,719 548,298
2019-02-13 13G/A IHIT / Invesco High Income 2023 Target Term Fund 3,284,795 2,299,032
2019-02-13 13G/A JHD / Nuveen High Inc Dec 2019 Tgt Fnd 2,710,863 1,712,936
2019-02-13 13G/A BST / BlackRock Science and Technology Trust 1,423,656 697,359
2019-02-13 13G/A GER / GE Capital Global Holdings, LLC - Preferred Security 4,626,693 4,868,623
2019-02-13 13G/A US38147W1036 / Goldman Sachs MLP Income Opportunities Fund 2,499,812 1,617,677
2019-02-13 13G/A / Cohen & Steers MLP Income and Energy Opportunity Fund, Inc. 1,377,580 1,310,507
2019-02-13 13G/A NML / Neuberger Berman Energy Infrastructure and Income Fund Inc. 6,186,343 4,886,574
2019-02-13 13G/A SMM / Salient Midstream & MLP Fund 1,113,157 1,436,030
2019-02-13 13G/A BUI / BlackRock Utilities, Infrastructure & Power Opportunities Trust 954,971 512,183
2019-02-13 13G/A FIF / First Trust Energy Infrastructure Fund 1,768,085 1,125,402
2019-02-13 13G/A CHW / Calamos Global Dynamic Income Fund 5,787,034 2,426,365
2019-02-13 13G/A GFA / Gafisa S.A. 1,460,237 1,729,419
2019-02-13 13G/A US92913C1062 / Voya Natural Resources Equity Income Fnd 2,372,666 1,658,276
2019-02-13 13G/A NHF / NexPoint Strategic Opportunities Fund 1,224,573 1,416,240
2019-02-13 13G/A IGA / Voya Global Advantage and Premium Opportunity Fund 825,291
2019-02-13 13G/A BGR / BlackRock Energy and Resources Trust 2,296,650 1,381,242
2019-02-13 13G/A TYG / Tortoise Energy Infrastructure Corporation 2,597,201 2,224,318
2019-02-13 13G/A GDV / The Gabelli Dividend & Income Trust 8,782,684 6,282,869
2019-02-13 13G/A ESD / Western Asset Emerging Market Debt Fund, Inc. 4,057,935 3,511,350
2019-02-13 13G/A AUDC / AudioCodes Ltd. 1,689,115 2,293,111
2019-02-13 13G/A 351645106 / Foxby Corp. 278,050 0
2019-02-13 13G SLG / SL Green Realty Corp. 4,539,688
2019-02-13 13G/A HEQ / John Hancock Diversified Income Fund 820,868 381,361
2019-02-13 13G/A BE / Bloom Energy Corporation 4,023,346 3,871,209
2019-02-13 13G TAL / TAL Education Group - Depositary Receipt (Common Stock) 8,551,780 5,940,776
2019-02-13 13G/A SLCA / U.S. Silica Holdings, Inc. 3,901,384 882,280
2019-02-13 13G/A NID / Nuveen Intermediate Duration Municipal Term Fund 2,797,910 1,649,836
2019-02-13 13G/A TAL / TAL Education Group - Depositary Receipt (Common Stock) 8,551,780 6,108,955
2019-02-13 13G WDAY / Workday, Inc. 4,342,611 9,513,951
2019-02-13 13G ZG / Zillow Group, Inc. 1,053,245 3,102,158
2019-02-13 13G/A 226,992
2019-02-13 13G/A CEN / Center Coast Brookfield MLP & Energy Infrastructure Fund 1,679,036 1,444,790
2019-02-13 13G/A SRV / NXG Cushing Midstream Energy Fund 356,900 401,327
2019-02-13 13G/A DCF / BNY Mellon Alcentra Global Credit Income 2024 Target Term Fund, Inc. 922,532
2019-02-13 13G/A EMO / ClearBridge Energy Midstream Opportunity Fund Inc 4,738,108 3,222,518
2019-02-13 13G/A GGZ / The Gabelli Global Small and Mid Cap Value Trust 1,182,496 822,789
2019-02-13 13G/A CEM / ClearBridge MLP and Midstream Fund Inc 7,230,756 5,012,940
2019-02-13 13G/A LDP / Cohen & Steers Limited Duration Preferred and Income Fund, Inc. 1,775,302 1,171,662
2019-02-13 13G JPI / Nuveen Preferred Securities & Income Opportunities Fund 1,194,836
2019-02-13 13G/A OCN / Ocwen Financial Corporation 7,101,606 10,127,001
2019-02-13 13G NIQ / NIQ Global Intelligence plc 684,600
2019-02-13 13G EOD / Wells Fargo Advantage Funds - Allspring Global Dividend Opportunity Fund 2,464,530
2019-02-13 13G/A RVT / Royce Small-Cap Trust, Inc. 5,292,156 4,135,960
2019-02-13 13G/A PCI / PGIM ETF Trust - PGIM Corporate Bond 5-10 Year ETF 7,685,633 5,787,692
2019-02-13 13G/A BXMX / Nuveen S&P 500 Buy-Write Income Fund 11,951,414 8,684,507
2019-02-13 13G/A GOF / Guggenheim Strategic Opportunities Fund 1,362,863 1,358,943
2019-02-13 13G/A VTA / Invesco Dynamic Credit Opportunities Fund 7,461,997 5,062,450
2019-02-13 13G/A KTCC / Key Tronic Corporation 993,810 967,099
2019-02-13 13G/A JHA / Nuveen High Inc Dec 2018 Tgt Trm 0
2019-02-13 13G/A VIOT / Viomi Technology Co., Ltd - Depositary Receipt (Common Stock) 4,775,460 2,869,668
2019-02-13 13G/A JCO / Nuveen Credit Opportunities 2022 Target Term Fund 1,470,621
2019-02-13 13G/A KIO / KKR Income Opportunities Fund 945,648 387,752
2019-02-13 13G/A SCD / LMP Capital and Income Fund Inc. 1,010,514 843,579
2019-02-13 13G/A CWEN / Clearway Energy, Inc. 5,782,500 3,289,200
2019-02-13 13G/A RYAM / Rayonier Advanced Materials Inc. 2,655,334 1,029,653
2019-02-13 13G HIE / Miller/Howard High Income Equity Fund 1,016,820
2019-02-13 13G/A SFUN / Fang Holdings Ltd - ADR 4,341,624 2,538,029
2019-02-13 13G/A QQQX / Nuveen Nasdaq 100 Dynamic Overwrite Fund 1,903,554 1,345,007
2019-02-13 13G/A BSL / Blackstone Senior Floating Rate 2027 Term Fund 924,287 722,334
2019-02-13 13G/A FDEU / First Trust Dynamic Europe Equity Income Fund 1,785,524 1,330,797
2019-02-13 13G/A BCX / Blackrock Resources & Commodities Strategy Trust 5,148,541 2,684,948
2019-02-13 13G TWTR / Twitter Inc 43,313,009
2019-02-13 13G/A 2,957,616
2019-02-12 13G/A ANGI / Angi Inc. 4,001,305
2019-02-12 13G/A CRY / Artivion Inc 1,827,286 1,730,970
2019-02-12 13G/A STKL / SunOpta Inc. 7,906,575 3,151,606
2019-02-12 13G/A QHC / Quorum Health Corporation 1,585,995 1,390,299
2019-02-12 13G/A THW / Abrdn World Healthcare Fund 1,847,069 951,883
2019-02-12 13G/A DBVT / DBV Technologies S.A. - Depositary Receipt (Common Stock) 1,534,247 1,555,082
2019-02-12 13G/A GLOP.PRA / GasLog Partners LP - Preferred Stock 296,111 106,727
2019-02-12 13G/A JONE / Jones Energy, Inc. 6,094,486 338,400
2019-02-12 13G/A VGI / Virtus Global Multi-Sector Income Fund 760,619 120,612
2019-02-12 13G/A TTP / Tortoise Pipeline & Energy Fund, Inc. 557,031 223,473
2019-02-12 13G/A ACP / Abrdn Income Credit Strategies Fund 395,315
2019-02-12 13G/A NTG / Tortoise Midstream Energy Fund, Inc. 3,429,413 2,621,214
2019-02-12 13G MDB / MongoDB, Inc. 4,924,650
2019-02-12 13G/A CTPR / CTPartners Executive Search Inc. 561,761 551,083
2019-02-12 13G/A IDE / Voya Infrastructure, Industrials and Materials Fund 715,228
2019-02-12 13G/A SCU / Sculptor Capital Management Inc - Class A 9,715,670 8,071,311
2019-02-12 13G/A VEEV / Veeva Systems Inc. 12,493,806 10,894,349
2019-02-12 13G/A BOE / BlackRock Enhanced Global Dividend Trust 7,076,303 3,886,101
2019-02-12 13G/A NFJ / Virtus Dividend, Interest & Premium Strategy Fund 7,513,594 5,076,948
2019-02-12 13G/A BLW / BlackRock Limited Duration Income Trust 3,171,020 2,652,760
2019-02-12 13G/A EVV / Eaton Vance Limited Duration Income Fund 584 6,606,310
2019-02-12 13G/A HYT / BlackRock Corporate High Yield Fund, Inc. 6,543,634 1,822,665
2019-02-12 13G/A 04685W103 / athenahealth, Inc. 4,244,868 4,427,974
2019-02-12 13G/A EMI / Eaton Vance Michigan Municipal Income Trust 124,511 0
2019-02-12 13G/A DSU / BlackRock Debt Strategies Fund, Inc. 4,689,676 2,678,148
2019-02-12 13G/A MFL / BlackRock MuniHoldings Investment Quality Fund 3,081,890 1,874,746
2019-02-12 13G CWCO / Consolidated Water Co. Ltd. 755,307
2019-02-12 13G DXCM / DexCom, Inc. 4,773,488
2019-02-12 13G/A FEO / First Trust-abrdn Emerging Opportunity Fund 1,296,815 1,099,703
2019-02-12 13G/A AIF / Apollo Tactical Income Fund Inc. 825,679 318,885
2019-02-12 13G GRUB / Just Eat Takeaway.com N.V. - ADR (New) 1,660,402 4,816,408
2019-02-12 13G HQY / HealthEquity, Inc. 6,040,583
2019-02-12 13G/A FPF / First Trust Intermediate Duration Preferred & Income Fund 6,606,141 3,894,938
2019-02-12 13G/A 3,899,535 3,390,978
2019-02-12 13G/A MGU / Macquarie Global Infrastructure Total Return Fund Inc 950,163 935,748
2019-02-12 13G/A MCR / MFS Charter Income Trust 5,358,126 3,978,294
2019-02-12 13G/A BGIO / BlackRock 2022 Global Income Opportunity Trust 2,355,091 1,607,054
2019-02-12 13G/A THQ / Abrdn Healthcare Opportunities Fund 2,964,227 1,885,658
2019-02-12 13G/A ETY / Eaton Vance Tax-Managed Diversified Equity Income Fund 17,087,276 12,222,506
2019-02-12 13G/A EXG / Eaton Vance Tax-Managed Global Diversified Equity Income Fund 30,768,946 20,923,393
2019-02-12 13G COUP / Coupa Software Inc 3,689,148
2019-02-12 13G/A EXD / Eaton Vance Tax-Managed Buy-Write Strategy Fund 914,366 715,968
2019-02-12 13G AY / Atlantica Sustainable Infrastructure plc 6,582,577
2019-02-12 13G/A ETJ / Eaton Vance Risk-Managed Diversified Equity Income Fund 3,313,422 1,668,203
2019-02-12 13G/A MQY / BlackRock MuniYield Quality Fund, Inc. 1,758,139 1,074,219
2019-02-12 13G/A GLOB / Globant S.A. 2,904,646 3,096,363
2019-02-12 13G/A EPAM / EPAM Systems, Inc. 5,146,679 4,197,998
2019-02-12 13G/A EFL / Eaton Vance Floating-Rate 2022 Target Term Trust 1,916,271
2019-02-12 13G/A CLI / Mack-Cali Realty Corp. 5,851,561 5,794,257
2019-02-12 13G/A LL / LL Flooring Holdings, Inc. 1,518,975 552,203
2019-02-12 13G/A IGD / Voya Global Equity Dividend and Premium Opportunity Fund 4,165,369
2019-02-12 13G/A TRIL / Trillium Therapeutics Inc 780,766 523,155
2019-02-12 13G/A ALNA / Allena Pharmaceuticals Inc 1,165,580 1,828,729
2019-02-12 13G/A HEAR / Turtle Beach Corporation 707,597 423,483
2019-02-12 13G/A XNET / Xunlei Limited - Depositary Receipt (Common Stock) 18,524,375 10,348,510
2019-02-12 13G/A 17K / Self Storage Group ASA 2,177,287 1,823,105
2019-02-12 13G/A CSIQ / Canadian Solar Inc. 2,959,560 3,217,335
2019-02-12 13G/A ATRA / Atara Biotherapeutics, Inc. 1,739,038 1,830,547
2019-02-12 13G BYM / BlackRock Municipal Income Quality Trust 1,682,044
2019-02-12 13G/A 00769G477 / Atlantic Power Corp. 9,611,094 9,933,769
2019-02-12 13G/A NAT / Nordic American Tankers Limited 7,132,477 5,343,828
2019-02-12 13G/A US36268W1009 / Gain Capital Holdings, Inc. 2,216,652 2,225,893
2019-02-12 13G/A ABG / Asbury Automotive Group, Inc. 1,484,809 1,206,915
2019-02-12 13G FOF / Cohen & Steers Closed-End Opportunity Fund, Inc. 1,207,177 1,406,015
2019-02-12 13G/A MTOR / Meritor Inc 5,854,793 6,003,882
2019-02-12 13G/A XOG / Extraction Oil & Gas Inc - New 8,829,463 8,727,997
2019-02-12 13G/A TTOO / T2 Biosystems, Inc. 1,814,714 1,804,864
2019-02-12 13G/A KYN / Kayne Anderson Energy Infrastructure Fund, Inc. 6,669,115 6,216,356
2019-02-12 13G/A US34407D1090 / Fly Leasing Ltd. 1,551,334 1,770,913
2019-02-12 13G/A / CRH Medical Corp. 3,645,010 3,396,804
2019-02-12 13G/A GLRE / Greenlight Capital Re, Ltd. 1,564,437 2,107,696
2019-02-12 13G/A CIG / Companhia Energética de Minas Gerais - CEMIG - Depositary Receipt (Common Stock) 25,814,180 7,426,266
2019-02-12 13G/A EFII / Electronics For Imaging, Inc. 2,493,537 1,330,862
2019-02-12 13G/A EVGN / Evogene Ltd. 1,380,411 1,004,675
2019-02-12 13G/A BKD / Brookdale Senior Living Inc. 13,290,192 3,607,538
2019-02-12 13G/A AMBA / Ambarella, Inc. 1,780,557 2,099,462
2019-02-12 13G/A APO / Apollo Global Management, Inc. 9,790,112 5,550,723
2019-02-08 13G YY / JOYY Inc. - Depositary Receipt (Common Stock) 49,384,380
2019-02-08 13G/A OSTK / Overstock.com Inc 2,861,813 3,477,750
2019-01-31 13G CYBR / CyberArk Software Ltd. 1,811,502
2019-01-14 13G/A HFRO / Highland Funds I - Highland Opportunities and Income Fund 4,807,121
2019-01-14 13G/A FPL / First Trust New Opportunities MLP & Energy Fund 3,462,208 1,322,613
2019-01-14 13G/A / Nuveen High Income 2020 Target Term Fund 2,225,658 1,253,491
2019-01-14 13G/A BGY / BlackRock Enhanced International Dividend Trust 15,571,524 8,113,389
2019-01-14 13G/A FSD / First Trust High Income Long/Short Fund 5,197,204 2,901,151
2019-01-14 13G/A FEI / First Trust MLP and Energy Income Fund 7,285,535 4,105,580
2019-01-14 13G/A BTO / John Hancock Financial Opportunities Fund 2,505,233 1,419,564
2019-01-14 13G/A HFRO / Highland Funds I - Highland Opportunities and Income Fund 4,807,121
2019-01-11 13G PETS / PetMed Express, Inc. 1,023,191 1,033,860
2019-01-11 13G MNDO / MIND C.T.I. Ltd 966,201 967,301
2019-01-11 13G IMGN / ImmunoGen, Inc. 8,026,699
2019-01-10 13G/A MNDO / MIND C.T.I. Ltd 964,683 966,201
2019-01-10 13G/A PETS / PetMed Express, Inc. 1,034,288 1,023,191
2019-01-04 13G DBVT / DBV Technologies S.A. - Depositary Receipt (Common Stock) 403,704 1,534,247
2019-01-04 13G VNTR / Venator Materials PLC 5,331,195
2018-12-31 13G XOG / Extraction Oil & Gas Inc - New 8,829,463
2018-12-21 13G TRIL / Trillium Therapeutics Inc 780,766
2018-12-10 13G/A / AAC Holdings, Inc. 1,245,662 353,765
2018-12-10 13G/A ROKU / Roku, Inc. 3,685,021 1,102,680
2018-12-07 13G/A CBA / ClearBridge American Energy MLP Fund Inc. 4,629,460 0
2018-12-07 13G US36268W1009 / Gain Capital Holdings, Inc. 2,216,652
2018-12-07 13G PETS / PetMed Express, Inc. 1,034,288
2018-12-07 13G/A NYRT / New York REIT, Inc. 894,978 0
2018-12-07 13G EMO / ClearBridge Energy Midstream Opportunity Fund Inc 1,325,766 4,738,108
2018-11-29 13G CSIQ / Canadian Solar Inc. 2,959,560
2018-11-29 13G BE / Bloom Energy Corporation 4,023,346
2018-11-09 13G/A NSTG / NanoString Technologies, Inc. 1,606,251 416,674
2018-11-09 13G/A US40449J1034 / The Habit Restaurants, Inc. 2,467,646 861,295
2018-11-09 13G/A 351645106 / Foxby Corp. 189,098 278,050
2018-11-09 13G LL / LL Flooring Holdings, Inc. 1,518,975
2018-11-08 13G/A ZOES / Zoe's Kitchen, Inc. 1,419,340 205
2018-11-08 13G/A NVLN / NOVELION THERAPEUTICS INC. 1,202,714 215,636
2018-11-08 13G MTOR / Meritor Inc 5,854,793
2018-11-08 13G/A PBPB / Potbelly Corporation 2,772,778 1,202,220
2018-10-31 13G OCN / Ocwen Financial Corporation 2,340,994 7,101,606
2018-10-25 13G ROKU / Roku, Inc. 547,734 3,685,021
2018-10-10 13G VIOT / Viomi Technology Co., Ltd - Depositary Receipt (Common Stock) 4,775,460 4,775,460
2018-10-09 13G/A HTY / John Hancock Investments - John Hancock Tax-Advantaged Global Shareholder Yield Fund 130,282
2018-10-09 13G VIOT / Viomi Technology Co., Ltd - Depositary Receipt (Common Stock) 4,775,460
2018-10-09 13G/A HTY / John Hancock Investments - John Hancock Tax-Advantaged Global Shareholder Yield Fund 1,206,286 130,282
2018-10-09 13G/A FIF / First Trust Energy Infrastructure Fund 1,600,560 1,768,085
2018-10-01 13G / CRH Medical Corp. 3,645,010
2018-09-28 13G NYRT / New York REIT, Inc. 894,978
2018-09-21 13G/A EVV / Eaton Vance Limited Duration Income Fund 9,374,233 584
2018-09-21 13G/A EVF / Eaton Vance Senior Income Trust
2018-09-07 13G/A VTA / Invesco Dynamic Credit Opportunities Fund 7,163,820 7,461,997
2018-09-07 13G/A JHD / Nuveen High Inc Dec 2019 Tgt Fnd 2,612,039 2,710,863
2018-08-24 13G/A CGGYY / Viridien Société anonyme - Depositary Receipt (Common Stock) 29,732,408 71,324,726
2018-08-22 13G HEAR / Turtle Beach Corporation 707,597
2018-08-22 13G EFII / Electronics For Imaging, Inc. 2,493,537
2018-08-17 13D/A CAAS / China Automotive Systems, Inc. 2,804 2,804
2018-08-10 13G/A HMNY / Helios and Matheson Analytics Inc. 158,493 122,779
2018-08-10 13G/A LC / LendingClub Corporation 24,164,719 5,883,507
2018-08-10 13G/A ETB / Eaton Vance Tax-Managed Buy-Write Income Fund 1,403,655 1,055,027
2018-08-09 13G/A DDXS / Diadexus, Inc. 252,404 0
2018-08-09 13G/A H03579101 / Auris Medical Holding Ltd 325,823 261,426
2018-08-09 13G/A DQ / Daqo New Energy Corp. - Depositary Receipt (Common Stock) 16,402,550 5,471,175
2018-08-09 13G/A SHAK / Shake Shack Inc. 3,124,261 1,243,732
2018-08-09 13G HMNY / Helios and Matheson Analytics Inc. 158,493
2018-08-09 13G IHTA / Invesco High Income 2024 Target Term Fund 912,719
2018-07-11 13G/A NBR / Nabors Industries Ltd. 20,672,993 6,355,696
2018-07-11 13G ALNA / Allena Pharmaceuticals Inc 1,165,580
2018-07-09 13G/A RCII / Upbound Group Inc 2,745,952 734,230
2018-07-09 13G/A FHY / First Trust Strategic High Income Fund II 455,209 0
2018-07-09 13G/A PVAC / Penn Virginia Corp. 757,298 40,765
2018-07-09 13G/A AAOI / Applied Optoelectronics, Inc. 1,031,110 303,883
2018-07-09 13G/A LXFT / Luxoft Holding, Inc. 1,813,056 0
2018-06-20 13G RCII / Upbound Group Inc 2,745,952
2018-06-13 13G AMBA / Ambarella, Inc. 1,780,557
2018-06-07 13G/A ROSG / Rosetta Genomics, Ltd. 376,876 706
2018-06-07 13G/A VTOL / Bristow Group Inc. 2,173,365 234,180
2018-06-07 13G/A LHO / LaSalle Hotel Properties 7,294,025 119,141
2018-06-04 13G TTOO / T2 Biosystems, Inc. 1,814,714
2018-06-04 13G CIG / Companhia Energética de Minas Gerais - CEMIG - Depositary Receipt (Common Stock) 25,814,180
2018-05-30 13G QHC / Quorum Health Corporation 1,585,995
2018-05-21 13G DQ / Daqo New Energy Corp. - Depositary Receipt (Common Stock) 16,402,550
2018-05-17 13G H03579101 / Auris Medical Holding Ltd 325,823
2018-05-16 13G/A MFL / BlackRock MuniHoldings Investment Quality Fund 3,081,890 3,081,890
2018-05-09 13G/A 3,899,535
2018-05-09 13G/A MULE / Mulesoft, Inc. 4,753,133 1,234,556
2018-05-07 13G SLCA / U.S. Silica Holdings, Inc. 1,958,556 3,901,384
2018-04-25 13G RYAM / Rayonier Advanced Materials Inc. 2,655,334
2018-04-25 13G MULE / Mulesoft, Inc. 4,753,133
2018-04-23 13G 00769G477 / Atlantic Power Corp. 9,611,094
2018-04-16 13G/A BHBK / Blue Hills Bancorp, Inc. 2,322,376 77,652
2018-04-13 13G PVAC / Penn Virginia Corp. 757,298
2018-04-09 13G/A FDEU / First Trust Dynamic Europe Equity Income Fund 1,545,299 1,785,524
2018-04-09 13G/A TDG / TransDigm Group Incorporated 2,807,133 5,045
2018-04-09 13G/A OIBRQ / Oi S.A. - Depositary Receipt (Common Stock) 32,412,449 7,470,107
2018-04-09 13G/A WBT / Welbilt Inc 8,127,480 1,408,566
2018-04-09 13G/A PHH / Park Ha Biological Technology Co., Ltd. 2,678,541 427,164
2018-03-22 13G US34407D1090 / Fly Leasing Ltd. 1,551,334
2018-03-14 13G CGGYY / Viridien Société anonyme - Depositary Receipt (Common Stock) 195,098 29,732,408
2018-03-12 13G/A OSTK / Overstock.com Inc 2,485,921 2,861,813
2018-03-12 13G/A MHI / Pioneer Municipal High Income Fund, Inc. 208 0
2018-03-09 13G/A APTI / Apptio, Inc. 1,224,823 410,887
2018-03-09 13G/A SHAK / Shake Shack Inc. 2,330,974 3,124,261
2018-03-02 13G GLRE / Greenlight Capital Re, Ltd. 1,564,437
2018-02-23 13G AAOI / Applied Optoelectronics, Inc. 527,589 1,031,110
2018-02-13 13G/A SCD / LMP Capital and Income Fund Inc. 1,010,514 1,010,514
2018-02-13 13G/A / Voya Prime Rate Trust 10,730,685
2018-02-13 13G/A JHA / Nuveen High Inc Dec 2018 Tgt Trm 2,246,454
2018-02-13 13G 4,646,630
2018-02-13 13G IDE / Voya Infrastructure, Industrials and Materials Fund 1,314,314
2018-02-13 13G ANGI / Angi Inc. 5,274,382
2018-02-13 13G/A AIF / Apollo Tactical Income Fund Inc. 735,954 825,679
2018-02-13 13G EVGN / Evogene Ltd. 1,380,411 1,380,411
2018-02-13 13G WBT / Welbilt Inc 8,127,480 8,127,480
2018-02-13 13G/A US40449J1034 / The Habit Restaurants, Inc. 2,166,286 2,467,646
2018-02-13 13G/A WDAY / Workday, Inc. 7,608,265 4,342,611
2018-02-13 13G/A IAE / Voya Asia Pacific High Dividend Equity Income Fund 1,331,267 432,548
2018-02-13 13G TYG / Tortoise Energy Infrastructure Corporation 2,597,201
2018-02-13 13G/A GGZ / The Gabelli Global Small and Mid Cap Value Trust 1,182,496
2018-02-13 13G/A MMU / Western Asset Managed Municipals Fund Inc. 3,358,129 3,424,593
2018-02-13 13G/A / Nuveen High Income 2020 Target Term Fund 1,525,177 2,225,658
2018-02-13 13G/A EPAM / EPAM Systems, Inc. 5,146,679 5,146,679
2018-02-13 13G/A XNET / Xunlei Limited - Depositary Receipt (Common Stock) 17,088,065 18,524,375
2018-02-13 13G/A NML / Neuberger Berman Energy Infrastructure and Income Fund Inc. 5,874,401 6,186,343
2018-02-13 13G/A TAL / TAL Education Group - Depositary Receipt (Common Stock) 2,065,824 8,551,780
2018-02-13 13G/A CBA / ClearBridge American Energy MLP Fund Inc. 4,346,327 4,629,460
2018-02-13 13G/A TEX / Terex Corporation 6,989,148 3,302,101
2018-02-13 13G/A NTG / Tortoise Midstream Energy Fund, Inc. 3,444,861 3,429,413
2018-02-13 13G/A THW / Abrdn World Healthcare Fund 2,016,168 1,847,069
2018-02-13 13G TDG / TransDigm Group Incorporated 2,807,133
2018-02-13 13G/A BGIO / BlackRock 2022 Global Income Opportunity Trust 2,267,215 2,355,091
2018-02-13 13G ETJ / Eaton Vance Risk-Managed Diversified Equity Income Fund 3,313,422
2018-02-13 13G/A 04685W103 / athenahealth, Inc. 4,075,574 4,244,868
2018-02-13 13G/A FPL / First Trust New Opportunities MLP & Energy Fund 3,071,378 3,462,208
2018-02-13 13G/A GDV / The Gabelli Dividend & Income Trust 8,309,380 8,782,684
2018-02-13 13G BHBK / Blue Hills Bancorp, Inc. 2,322,376
2018-02-13 13G/A INF / Brookfield Global Listed Infrastructure Income Fund 1,035,108 655,380
2018-02-13 13G/A EDF / Virtus Stone Harbor Emerging Markets Income Fund 848,965 487,552
2018-02-13 13G/A ABG / Asbury Automotive Group, Inc. 1,120,271 1,484,809
2018-02-13 13G 351645106 / Foxby Corp. 189,098
2018-02-13 13G/A ATRA / Atara Biotherapeutics, Inc. 1,530,167 1,739,038
2018-02-13 13G/A DDXS / Diadexus, Inc. 256,920 252,404
2018-02-13 13G/A PSHG / Performance Shipping Inc. 40,148 30,903
2018-02-13 13G/A NSTG / NanoString Technologies, Inc. 1,652,242 1,606,251
2018-02-13 13G/A NBR / Nabors Industries Ltd. 19,120,949 20,672,993
2018-02-13 13G/A MCR / MFS Charter Income Trust 4,240,443 5,358,126
2018-02-13 13G/A THQ / Abrdn Healthcare Opportunities Fund 2,905,189 2,964,227
2018-02-13 13G/A AUDC / AudioCodes Ltd. 1,590,285 1,689,115
2018-02-13 13G/A EVV / Eaton Vance Limited Duration Income Fund 8,367,160 9,374,233
2018-02-13 13G/A MGU / Macquarie Global Infrastructure Total Return Fund Inc 768,265 950,163
2018-02-13 13G/A NID / Nuveen Intermediate Duration Municipal Term Fund 2,526,876 2,797,910
2018-02-13 13G/A LXFT / Luxoft Holding, Inc. 1,174,061 1,813,056
2018-02-13 13G CLI / Mack-Cali Realty Corp. 4,086,807 5,851,561
2018-02-13 13G/A MQY / BlackRock MuniYield Quality Fund, Inc. 1,717,778 1,758,139
2018-02-13 13G/A VTOL / Bristow Group Inc. 1,787,932 2,173,365
2018-02-13 13G QQQX / Nuveen Nasdaq 100 Dynamic Overwrite Fund 1,903,554
2018-02-13 13G/A CHW / Calamos Global Dynamic Income Fund 3,013,935 5,787,034
2018-02-13 13G/A HQH / Abrdn Healthcare Investors 4,573,116 4,702,105
2018-02-13 13G/A TRVG / trivago N.V. - Depositary Receipt (Common Stock) 1,904,563 1,327,910
2018-02-13 13G/A APTI / Apptio, Inc. 1,212,703 1,224,823
2018-02-13 13G/A VGI / Virtus Global Multi-Sector Income Fund 818,825 760,619
2018-02-13 13G/A DSU / BlackRock Debt Strategies Fund, Inc. 5,090,334 4,689,676
2018-02-13 13G/A XPPRX / Voya Prime Rate Trust 12,066,490 10,730,685
2018-02-13 13G/A BSL / Blackstone Senior Floating Rate 2027 Term Fund 973,886 924,287
2018-02-13 13G/A MHI / Pioneer Municipal High Income Fund, Inc. 208
2018-02-13 13G/A ESD / Western Asset Emerging Market Debt Fund, Inc. 2,643,747 4,057,935
2018-02-13 13G/A PBPB / Potbelly Corporation 2,728,549 2,772,778
2018-02-13 13G/A VOD / Vodafone Group Public Limited Company - Depositary Receipt (Common Stock) 1,463,634,182 974,417,830
2018-02-13 13G/A AAOI / Applied Optoelectronics, Inc. 993,573 527,589
2018-02-13 13G/A SHAK / Shake Shack Inc. 2,290,830 2,330,974
2018-02-13 13G/A STKL / SunOpta Inc. 8,110,287 7,906,575
2018-02-13 13G/A VEEV / Veeva Systems Inc. 11,481,652 12,493,806
2018-02-13 13G CEN / Center Coast Brookfield MLP & Energy Infrastructure Fund 1,679,036
2018-02-13 13G/A ZOES / Zoe's Kitchen, Inc. 1,437,948 1,419,340
2018-02-13 13G/A FDEU / First Trust Dynamic Europe Equity Income Fund 1,008,640 1,545,299
2018-02-13 13G/A XISDX / Prudential Short Duration High 1,669,640 1,336,594
2018-02-13 13G/A RH / RH 1,082,382 798,544
2018-02-13 13G/A ROKU / Roku, Inc. 926,229 547,734
2018-02-12 13G IGD / Voya Global Equity Dividend and Premium Opportunity Fund 5,653,795
2018-02-12 13G/A IGA / Voya Global Advantage and Premium Opportunity Fund 1,095,718
2018-02-12 13G/A ACP / Abrdn Income Credit Strategies Fund 725,990
2018-02-12 13G 157,422
2018-02-12 13G/A HFRO / Highland Funds I - Highland Opportunities and Income Fund 10,246,927
2018-02-12 13G ANGI / Angi Inc. 5,274,382
2018-02-12 13G EFL / Eaton Vance Floating-Rate 2022 Target Term Trust 2,039,460
2018-02-12 13G 2,577,270
2018-02-12 13G JCO / Nuveen Credit Opportunities 2022 Target Term Fund 2,193,447
2018-02-12 13G DCF / BNY Mellon Alcentra Global Credit Income 2024 Target Term Fund, Inc. 1,048,688
2018-02-12 13G/A US09254R1041 / BlackRock MuniYield Investment Fund 801,302 610,072
2018-02-12 13G/A BST / BlackRock Science and Technology Trust 1,621,065 1,423,656
2018-02-12 13G/A US38147W1036 / Goldman Sachs MLP Income Opportunities Fund 2,594,982 2,499,812
2018-02-12 13G XSRFX / Cushing Royalty & Income Fund 157,422
2018-02-12 13G/A FSD / First Trust High Income Long/Short Fund 5,689,054 5,197,204
2018-02-12 13G SRV / NXG Cushing Midstream Energy Fund 356,900
2018-02-12 13G/A BGY / BlackRock Enhanced International Dividend Trust 11,048,292 15,571,524
2018-02-12 13G/A ROSG / Rosetta Genomics, Ltd. 376,876
2018-02-12 13G/A FHY / First Trust Strategic High Income Fund II 431,716 455,209
2018-02-12 13G/A BOE / BlackRock Enhanced Global Dividend Trust 6,915,443 7,076,303
2018-02-12 13G/A BGR / BlackRock Energy and Resources Trust 1,889,820 2,296,650
2018-02-12 13G/A BXMX / Nuveen S&P 500 Buy-Write Income Fund 10,390,566 11,951,414
2018-02-12 13G/A GLU / The Gabelli Global Utility & Income Trust 270,155 190,113
2018-02-12 13G/A HYT / BlackRock Corporate High Yield Fund, Inc. 8,360,450 6,543,634
2018-02-12 13G/A EMI / Eaton Vance Michigan Municipal Income Trust 101,695 124,511
2018-02-12 13G/A SCD / LMP Capital and Income Fund Inc. 1,048,752 1,010,514
2018-02-12 13G/A GLOB / Globant S.A. 1,751,560 2,904,646
2018-02-12 13G/A GLNG / Golar LNG Limited 5,425,484 3,883,395
2018-02-12 13G/A 17K / Self Storage Group ASA 1,934,934 2,177,287
2018-02-12 13G/A OSTK / Overstock.com Inc 2,868,605 2,485,921
2018-02-12 13G GER / GE Capital Global Holdings, LLC - Preferred Security 4,626,693
2018-02-12 13G/A VFL / abrdn National Municipal Income Fund 328,277 195,992
2018-02-12 13G GOF / Guggenheim Strategic Opportunities Fund 1,362,863
2018-02-12 13G/A AAMC / Altisource Asset Management Corporation 131,149 82,246
2018-02-12 13G/A KIO / KKR Income Opportunities Fund 902,220 945,648
2018-02-12 13G/A PFSI / PennyMac Financial Services, Inc. 1,257,102 2,241,135
2018-02-12 13G/A BTO / John Hancock Financial Opportunities Fund 2,162,298 2,505,233
2018-02-12 13G/A VTA / Invesco Dynamic Credit Opportunities Fund 7,550,910 7,163,820
2018-02-12 13G/A PHH / Park Ha Biological Technology Co., Ltd. 1,792,038 2,678,541
2018-02-12 13G LHO / LaSalle Hotel Properties 5,573,234 7,294,025
2018-02-12 13G PCI / PGIM ETF Trust - PGIM Corporate Bond 5-10 Year ETF 7,685,633
2018-02-12 13G KYN / Kayne Anderson Energy Infrastructure Fund, Inc. 6,669,115
2018-02-12 13G/A NVLN / NOVELION THERAPEUTICS INC. 971,823 1,202,714
2018-02-12 13G/A LDP / Cohen & Steers Limited Duration Preferred and Income Fund, Inc. 1,598,557 1,775,302
2018-02-12 13G/A ACP / Abrdn Income Credit Strategies Fund 802,989 725,990
2018-02-12 13G/A CORR / CorEnergy Infrastructure Trust, Inc. 650,024 562,766
2018-02-12 13G/A CWEN / Clearway Energy, Inc. 8,435,826 5,782,500
2018-02-12 13G/A KTCC / Key Tronic Corporation 720,859 993,810
2018-02-12 13G/A CRY / Artivion Inc 1,827,678 1,827,286
2018-02-12 13G/A CTPR / CTPartners Executive Search Inc. 551,983 561,761
2018-02-12 13G/A SCU / Sculptor Capital Management Inc - Class A 9,280,550 9,715,670
2018-02-12 13G/A RVT / Royce Small-Cap Trust, Inc. 4,502,989 5,292,156
2018-02-12 13G BCX / Blackrock Resources & Commodities Strategy Trust 4,571,373 5,148,541
2018-02-12 13G/A JHD / Nuveen High Inc Dec 2019 Tgt Fnd 2,090,999 2,612,039
2018-02-12 13G/A RGT / Royce Global Trust, Inc. 530,742 562,745
2018-02-12 13G SMM / Salient Midstream & MLP Fund 1,113,157
2018-02-12 13G / Cohen & Steers MLP Income and Energy Opportunity Fund, Inc. 1,377,580
2018-02-12 13G/A BLW / BlackRock Limited Duration Income Trust 3,086,016 3,171,020
2018-02-12 13G/A TTP / Tortoise Pipeline & Energy Fund, Inc. 651,439 557,031
2018-02-12 13G/A HIO / Western Asset High Income Opportunity Fund Inc. 6,590,521 5,797,520
2018-02-12 13G WBT / Welbilt Inc 8,127,480
2018-02-12 13G/A EXD / Eaton Vance Tax-Managed Buy-Write Strategy Fund 914,366
2018-02-12 13G BUI / BlackRock Utilities, Infrastructure & Power Opportunities Trust 683,728 954,971
2018-02-12 13G/A ETY / Eaton Vance Tax-Managed Diversified Equity Income Fund 15,878,352 17,087,276
2018-02-12 13G/A ECF / Ellsworth Growth and Income Fund Ltd. 1,213,467 1,167,270
2018-02-12 13G/A IHIT / Invesco High Income 2023 Target Term Fund 2,412,841 3,284,795
2018-02-12 13G/A ECA / EnCana Corp. 61,867,095 23,008,168
2018-02-12 13G/A FEO / First Trust-abrdn Emerging Opportunity Fund 1,296,815
2018-02-12 13G/A EPAM / EPAM Systems, Inc. 2,646,152 5,146,679
2018-02-12 13G EVGN / Evogene Ltd. 1,380,411
2018-02-12 13G/A CAR / Avis Budget Group, Inc. 7,516,247 1,233,395
2018-02-12 13G GCV / The Gabelli Convertible and Income Securities Fund Inc. 717,048
2018-02-12 13G/A FOLD / Amicus Therapeutics, Inc. 7,199,838 4,736,692
2018-02-12 13G/A NHF / NexPoint Strategic Opportunities Fund 1,224,573
2018-02-12 13G/A MFL / BlackRock MuniHoldings Investment Quality Fund 3,599,594 3,081,890
2018-02-12 13G/A NFJ / Virtus Dividend, Interest & Premium Strategy Fund 7,676,862 7,513,594
2018-02-12 13G/A HEQ / John Hancock Diversified Income Fund 1,061,496 820,868
2018-02-12 13G/A CMRX / Chimerix, Inc. 2,475,339 2,071,520
2018-02-12 13G SFUN / Fang Holdings Ltd - ADR 3,575,387 4,341,624
2018-02-12 13G/A FPF / First Trust Intermediate Duration Preferred & Income Fund 6,184,148 6,606,141
2018-02-12 13G/A JONE / Jones Energy, Inc. 3,942,777 6,094,486
2018-02-12 13G/A 34958B106 / Fortress Investment Group LLC 16,772,899 0
2018-02-12 13G/A FIF / First Trust Energy Infrastructure Fund 1,280,853 1,600,560
2018-02-12 13G GLOP.PRA / GasLog Partners LP - Preferred Stock 296,111
2018-02-12 13G/A CEM / ClearBridge MLP and Midstream Fund Inc 7,060,809 7,230,756
2018-02-09 13G/A HTY / John Hancock Investments - John Hancock Tax-Advantaged Global Shareholder Yield Fund 1,206,286
2018-02-09 13G/A HTY / John Hancock Investments - John Hancock Tax-Advantaged Global Shareholder Yield Fund 832,777 1,206,286
2018-02-09 13G/A US92913C1062 / Voya Natural Resources Equity Income Fnd 2,007,687 2,372,666
2018-02-08 13G/A HTY / John Hancock Investments - John Hancock Tax-Advantaged Global Shareholder Yield Fund 832,777
2018-02-08 13G/A HTY / John Hancock Investments - John Hancock Tax-Advantaged Global Shareholder Yield Fund 1,111,706 832,777
2018-02-08 13G US92913C1062 / Voya Natural Resources Equity Income Fnd 1,010,241 2,007,687
2018-02-01 13G/A EVF / Eaton Vance Senior Income Trust 421
2018-02-01 13G/A EVF / Eaton Vance Senior Income Trust 778 421
2018-01-31 13G MNDO / MIND C.T.I. Ltd 964,683
2018-01-31 13G BKD / Brookdale Senior Living Inc. 13,290,192
2018-01-31 13G / AAC Holdings, Inc. 1,245,662
2018-01-22 13G OIBRQ / Oi S.A. - Depositary Receipt (Common Stock) 11,532,433 32,412,449
2018-01-19 13G APO / Apollo Global Management, Inc. 9,790,112
2018-01-19 13G/A OIBRQ / Oi S.A. - Depositary Receipt (Common Stock) 33,478,863 11,532,433
2018-01-12 13G NAT / Nordic American Tankers Limited 7,132,477
2018-01-12 13G GFA / Gafisa S.A. 1,460,237
2018-01-08 13G/A FEI / First Trust MLP and Energy Income Fund 4,691,730 7,285,535
2017-12-29 13G XNET / Xunlei Limited - Depositary Receipt (Common Stock) 17,088,065
2017-12-29 13G PHH / Park Ha Biological Technology Co., Ltd. 145,899 1,792,038
2017-12-22 13G ABG / Asbury Automotive Group, Inc. 271,848 1,120,271
2017-12-18 13G APTI / Apptio, Inc. 401,398 1,212,703
2017-12-18 13G ROKU / Roku, Inc. 926,229
2017-12-14 13G PSHG / Performance Shipping Inc. 40,148
2017-12-11 13G HFRO / Highland Funds I - Highland Opportunities and Income Fund 10,513,153
2017-12-08 13G/A SHSP / SharpSpring Inc 490,960 97,750
2017-12-08 13G BGIO / BlackRock 2022 Global Income Opportunity Trust 2,267,215
2017-12-08 13G OSTK / Overstock.com Inc 2,868,605
2017-12-07 13G ATRA / Atara Biotherapeutics, Inc. 1,530,167
2017-11-30 13G PFSI / PennyMac Financial Services, Inc. 1,257,102
2017-11-21 13G SCU / Sculptor Capital Management Inc - Class A 8,378,381 9,280,550
2017-11-09 13G CMRX / Chimerix, Inc. 2,475,339
2017-11-09 13G VEEV / Veeva Systems Inc. 11,481,652
2017-11-09 13G/A APTI / Apptio, Inc. 1,294,592 401,398
2017-11-09 13G/A TRUE / TrueCar, Inc. 7,115,247 1,588,336
2017-11-09 13G/A HIBB / Hibbett, Inc. 1,066,930 214,475
2017-11-03 13G TRVG / trivago N.V. - Depositary Receipt (Common Stock) 1,904,563
2017-10-10 13G/A NTNX / Nutanix, Inc. 1,447,429 1,037,998
2017-10-06 13G/A HTY / John Hancock Investments - John Hancock Tax-Advantaged Global Shareholder Yield Fund 1,111,706
2017-10-06 13G/A BOE / BlackRock Enhanced Global Dividend Trust 5,445,721 6,915,443
2017-10-06 13G/A APRN / Blue Apron Holdings Inc - Class A 431,980
2017-10-06 13G/A PHH / Park Ha Biological Technology Co., Ltd. 2,673,998 145,899
2017-10-06 13G/A BW / Babcock & Wilcox Enterprises, Inc. 2,567,181 177,713
2017-10-06 13G/A HTY / John Hancock Investments - John Hancock Tax-Advantaged Global Shareholder Yield Fund 991,297 1,111,706
2017-09-22 13G VTOL / Bristow Group Inc. 629,851 1,787,932
2017-09-22 13G NVLN / NOVELION THERAPEUTICS INC. 971,823
2017-09-08 13G/A BTCM / BIT Mining Limited - Depositary Receipt (Common Stock) 22,505,100 4,682,580
2017-09-08 13G/A H / Hyatt Hotels Corporation 2,050,506 559,014
2017-09-08 13G/A VIPS / Vipshop Holdings Limited - Depositary Receipt (Common Stock) 5,389,889 1,785,317
2017-09-08 13G/A TVIA / TerraVia Holdings, Inc. 7,243,436 122,466
2017-09-07 13G/A LXFT / Luxoft Holding, Inc. 2,435,102 1,174,061
2017-09-07 13G PBPB / Potbelly Corporation 2,728,549
2017-09-01 13D CAAS / China Automotive Systems, Inc. 2,804
2017-08-30 13G BW / Babcock & Wilcox Enterprises, Inc. 2,567,181
2017-08-25 13G HIBB / Hibbett, Inc. 1,066,930
2017-08-17 13G PHH / Park Ha Biological Technology Co., Ltd. 2,673,998
2017-08-10 13G APRN / Blue Apron Holdings Inc - Class A 1,596,467
2017-08-10 13G/A DRYS / DryShips, Inc. 553,532 157,779
2017-08-10 13G/A CONN / Conn's, Inc. 336,637
2017-08-10 13G/A ANY / Sphere 3D Corp. 312,686 79,379
2017-08-10 13G/A VTA / Invesco Dynamic Credit Opportunities Fund 6,932,432 7,550,910
2017-08-10 13G IHIT / Invesco High Income 2023 Target Term Fund 2,412,841
2017-07-27 13G ANY / Sphere 3D Corp. 312,686
2017-07-27 13G RH / RH 1,082,382
2017-07-14 13G AAOI / Applied Optoelectronics, Inc. 993,573
2017-07-10 13G/A JMBA / Jamba, Inc. 985,933 301,665
2017-07-10 13G DRYS / DryShips, Inc. 131,704 553,532
2017-07-07 13G/A VTOL / Bristow Group Inc. 1,786,447 629,851
2017-07-07 13G/A PRXL / PAREXEL International Corp. 3,326,177 266,164
2017-07-06 13G SFUN / Fang Holdings Ltd - ADR 3,231,927 3,575,387
2017-07-03 13G JONE / Jones Energy, Inc. 3,942,777
2017-06-08 13G/A FPF / First Trust Intermediate Duration Preferred & Income Fund 5,586,272 6,184,148
2017-06-08 13G/A CEM / ClearBridge MLP and Midstream Fund Inc 6,781,169 7,060,809
2017-06-07 13G/A GPRE / Green Plains Inc. 2,134,074 517,787
2017-06-07 13G/A CGGYY / Viridien Société anonyme - Depositary Receipt (Common Stock) 1,585,011 195,098
2017-06-02 13G ROSG / Rosetta Genomics, Ltd. 132,289
2017-05-22 13G APTI / Apptio, Inc. 1,294,592
2017-05-11 13G AUDC / AudioCodes Ltd. 1,590,285
2017-05-10 13G US40449J1034 / The Habit Restaurants, Inc. 841,948 2,166,286
2017-05-09 13G/A WWE / World Wrestling Entertainment, Inc. - Class A 1,934,087 307,763
2017-05-09 13G/A EEQ / Enbridge Energy Management LLC. 5,421,946 856,597
2017-05-08 13G/A GDV / The Gabelli Dividend & Income Trust 7,967,808 8,309,380
2017-05-08 13G/A FRGI / Fiesta Restaurant Group Inc 1,349,054 386,163
2017-05-08 13G/A EXG / Eaton Vance Tax-Managed Global Diversified Equity Income Fund 28,210,884 30,768,946
2017-05-05 13G/A ISEE / IVERIC bio Inc 2,195,340 316,178
2017-04-18 13G VTOL / Bristow Group Inc. 1,786,447
2017-04-07 13G/A GGE / Green Giant Inc. 269,598 0
2017-04-07 13G/A ABG / Asbury Automotive Group, Inc. 1,936,591 271,848
2017-03-13 13G FOLD / Amicus Therapeutics, Inc. 7,199,838
2017-03-08 13G ISEE / IVERIC bio Inc 2,195,340
2017-03-03 13G H / Hyatt Hotels Corporation 1,417,270 2,050,506
2017-02-28 13G/A GLU / The Gabelli Global Utility & Income Trust 270,155 270,155
2017-02-21 13G CGGYY / Viridien Société anonyme - Depositary Receipt (Common Stock) 1,072,938 1,585,011
2017-02-17 13G WWE / World Wrestling Entertainment, Inc. - Class A 1,649,514 1,934,087
2017-02-17 13D/A CXDC / China XD Plastics Co Ltd 16,004,101
2017-02-14 13G/A PRO / PROS Holdings, Inc. 663,097
2017-02-14 13G/A DVAX / Dynavax Technologies Corporation 190,963
2017-02-14 13G/A / Sina Corp. 1,735,023
2017-02-14 13G/A BLW / BlackRock Limited Duration Income Trust 3,086,016
2017-02-14 13G/A SFUN / Fang Holdings Ltd - ADR 3,231,927
2017-02-14 13G/A MFL / BlackRock MuniHoldings Investment Quality Fund 3,599,594
2017-02-14 13G/A VIPS / Vipshop Holdings Limited - Depositary Receipt (Common Stock) 5,389,889
2017-02-14 13G/A WK / Workiva Inc. 1,366,589
2017-02-14 13G/A WWE / World Wrestling Entertainment, Inc. - Class A 1,649,514
2017-02-14 13G/A ZNGA / Zynga Inc - Class A 21,460,459
2017-02-14 13G/A US3723091043 / GenMark Diagnostics, Inc 2,316,487
2017-02-14 13G/A CALL / magicJack VocalTec Ltd. 401,688
2017-02-14 13G/A 67059L102 / NuStar GP Holdings, LLC 1,424,278
2017-02-14 13G/A RDWR / Radware Ltd. 2,099,044
2017-02-14 13G/A SUBK / Suffolk Bancorp 422,985
2017-02-14 13G/A ECF / Ellsworth Growth and Income Fund Ltd. 1,213,467
2017-02-14 13G/A 34958B106 / Fortress Investment Group LLC 16,772,899
2017-02-14 13G HYT / BlackRock Corporate High Yield Fund, Inc. 8,360,450
2017-02-14 13G BGR / BlackRock Energy and Resources Trust 1,889,820
2017-02-14 13G/A INNL / Innocoll Holdings plc 4,165,858 4,162,583
2017-02-14 13G/A TWLO / Twilio Inc. 610,226 1,015,716
2017-02-14 13G NTNX / Nutanix, Inc. 1,447,429
2017-02-14 13G/A MMV / MultiMetaVerse Holdings Limited 0
2017-02-14 13G/A 465685105 / ITC Holdings Corp. 7,699,559 0
2017-02-14 13G/A NHF / NexPoint Strategic Opportunities Fund 982,618
2017-02-14 13G/A SAAS / inContact, Inc. 3,150,315 0
2017-02-14 13G/A TAL / TAL Education Group - Depositary Receipt (Common Stock) 5,960,000 2,065,824
2017-02-13 13G/A / Voya Prime Rate Trust 12,066,490
2017-02-13 13G/A HTY / John Hancock Investments - John Hancock Tax-Advantaged Global Shareholder Yield Fund 991,297
2017-02-13 13G/A IGA / Voya Global Advantage and Premium Opportunity Fund 1,529,299
2017-02-13 13G JHA / Nuveen High Inc Dec 2018 Tgt Trm 1,864,502
2017-02-13 13G/A EXD / Eaton Vance Tax-Managed Buy-Write Strategy Fund 1,035,282
2017-02-13 13G FEO / First Trust-abrdn Emerging Opportunity Fund 1,041,092
2017-02-13 13G DSU / BlackRock Debt Strategies Fund, Inc. 5,090,334
2017-02-13 13G/A CONN / Conn's, Inc. 2,467,366 1,678,848
2017-02-13 13G/A THQ / Abrdn Healthcare Opportunities Fund 2,795,332 2,905,189
2017-02-13 13G/A BXMX / Nuveen S&P 500 Buy-Write Income Fund 10,460,526 10,390,566
2017-02-13 13G/A RVT / Royce Small-Cap Trust, Inc. 5,931,657 4,502,989
2017-02-13 13G/A SHSP / SharpSpring Inc 367,001 490,960
2017-02-13 13G/A FEI / First Trust MLP and Energy Income Fund 4,578,001 4,691,730
2017-02-13 13G/A GLU / The Gabelli Global Utility & Income Trust 254,946 270,155
2017-02-13 13G/A EVV / Eaton Vance Limited Duration Income Fund 7,758,891 8,367,160
2017-02-13 13G/A EXG / Eaton Vance Tax-Managed Global Diversified Equity Income Fund 29,773,894 28,210,884
2017-02-13 13G/A 478,935 283,756
2017-02-13 13G/A BGY / BlackRock Enhanced International Dividend Trust 13,383,316 11,048,292
2017-02-13 13G BSL / Blackstone Senior Floating Rate 2027 Term Fund 975,413 973,886
2017-02-13 13G XISDX / Prudential Short Duration High 1,607,837 1,669,640
2017-02-13 13G VOD / Vodafone Group Public Limited Company - Depositary Receipt (Common Stock) 1,463,634,182
2017-02-13 13G/A NHF / NexPoint Strategic Opportunities Fund 1,119,651 982,618
2017-02-13 13G/A ZNGA / Zynga Inc - Class A 41,080,579
2017-02-13 13G/A US3723091043 / GenMark Diagnostics, Inc 2,152,793
2017-02-13 13G/A CALL / magicJack VocalTec Ltd. 816,428
2017-02-13 13G/A 67059L102 / NuStar GP Holdings, LLC 2,152,503
2017-02-13 13G/A RDWR / Radware Ltd. 2,232,954
2017-02-13 13G/A SUBK / Suffolk Bancorp 596,106
2017-02-13 13G/A ECF / Ellsworth Growth and Income Fund Ltd. 1,096,676
2017-02-13 13G/A 34958B106 / Fortress Investment Group LLC 13,452,578
2017-02-13 13G/A PRO / PROS Holdings, Inc. 1,586,447
2017-02-13 13G/A DVAX / Dynavax Technologies Corporation 2,529,618
2017-02-13 13G/A / Sina Corp. 3,809,933
2017-02-13 13G/A BLW / BlackRock Limited Duration Income Trust 2,842,047
2017-02-13 13G/A SFUN / Fang Holdings Ltd - ADR 3,299,842
2017-02-13 13G/A MFL / BlackRock MuniHoldings Investment Quality Fund 3,241,318
2017-02-13 13G HYT / BlackRock Corporate High Yield Fund, Inc.
2017-02-13 13G/A VIPS / Vipshop Holdings Limited - Depositary Receipt (Common Stock) 5,089,539
2017-02-13 13G/A WK / Workiva Inc. 1,846,275
2017-02-13 13G BGR / BlackRock Energy and Resources Trust
2017-02-13 13G/A WWE / World Wrestling Entertainment, Inc. - Class A 2,635,719
2017-02-13 13G/A XBGYX / BlackRock International Growth
2017-02-13 13G/A MIC / Macquarie Infrastructure Holdings LLC - Units 4,056,540 2,409,664
2017-02-13 13G/A SCU / Sculptor Capital Management Inc - Class A 10,647,403 8,378,381
2017-02-13 13G/A JMEI / Jumei International Holding Ltd. 4,689,408 3,553,705
2017-02-13 13G/A H / Hyatt Hotels Corporation 1,316,293 1,417,270
2017-02-13 13G/A BOE / BlackRock Enhanced Global Dividend Trust 4,181,356 5,445,721
2017-02-13 13G/A TRUE / TrueCar, Inc. 6,246,206 7,115,247
2017-02-13 13G/A GPRE / Green Plains Inc. 1,994,832 2,134,074
2017-02-13 13G/A GLNG / Golar LNG Limited 5,464,010 5,425,484
2017-02-13 13G/A FTAI / FTAI Aviation Ltd. 3,860,059 1,719,030
2017-02-13 13G JHD / Nuveen High Inc Dec 2019 Tgt Fnd 2,090,999
2017-02-13 13G/A EVC / Entravision Communications Corporation 3,240,938 2,930,495
2017-02-13 13G/A US33812L1026 / Fitbit Inc. 11,062,776 8,077,472
2017-02-13 13G/A ECA / EnCana Corp. 48,427,102 61,867,095
2017-02-13 13G SCD / LMP Capital and Income Fund Inc. 734,582 1,048,752
2017-02-13 13G TEX / Terex Corporation 6,989,148
2017-02-13 13G/A / Nuveen High Income 2020 Target Term Fund 1,497,410 1,525,177
2017-02-13 13G/A CMRE / Costamare Inc. 3,923,804 2,354,334
2017-02-13 13G PRXL / PAREXEL International Corp. 3,326,177
2017-02-13 13G/A NML / Neuberger Berman Energy Infrastructure and Income Fund Inc. 6,428,958 5,874,401
2017-02-13 13G/A NBR / Nabors Industries Ltd. 20,513,269 19,120,949
2017-02-13 13G/A CWEN / Clearway Energy, Inc. 7,075,362 8,435,826
2017-02-13 13G MGU / Macquarie Global Infrastructure Total Return Fund Inc 768,265
2017-02-13 13G/A MCR / MFS Charter Income Trust 4,474,728 4,240,443
2017-02-13 13G/A KTCC / Key Tronic Corporation 631,012 720,859
2017-02-13 13G FDEU / First Trust Dynamic Europe Equity Income Fund 1,008,640
2017-02-13 13G/A FPL / First Trust New Opportunities MLP & Energy Fund 2,990,620 3,071,378
2017-02-13 13G/A HIO / Western Asset High Income Opportunity Fund Inc. 5,292,236 6,590,521
2017-02-13 13G HEQ / John Hancock Diversified Income Fund 1,061,496
2017-02-13 13G/A FSD / First Trust High Income Long/Short Fund 4,687,113 5,689,054
2017-02-13 13G/A MMU / Western Asset Managed Municipals Fund Inc. 3,175,125 3,358,129
2017-02-13 13G ESD / Western Asset Emerging Market Debt Fund, Inc. 2,643,747
2017-02-13 13G FHY / First Trust Strategic High Income Fund II 431,716
2017-02-13 13G/A HYI / Western Asset High Yield Opportunity Fund Inc. 1,320,762 1,015,605
2017-02-13 13G/A FPF / First Trust Intermediate Duration Preferred & Income Fund 4,541,525 5,586,272
2017-02-13 13G/A HTY / John Hancock Investments - John Hancock Tax-Advantaged Global Shareholder Yield Fund 837,646 991,297
2017-02-13 13G FFA / First Trust Enhanced Equity Income Fund 1,041,092
2017-02-13 13G/A VTA / Invesco Dynamic Credit Opportunities Fund 7,101,581 6,932,432
2017-02-13 13G/A BTO / John Hancock Financial Opportunities Fund 1,961,982 2,162,298
2017-02-13 13G GGE / Green Giant Inc. 269,598
2017-02-13 13G/A EXG / Eaton Vance Tax-Managed Global Diversified Equity Income Fund
2017-02-13 13G/A US38147W1036 / Goldman Sachs MLP Income Opportunities Fund 3,069,744 2,594,982
2017-02-13 13G/A ETY / Eaton Vance Tax-Managed Diversified Equity Income Fund 15,377,850 15,878,352
2017-02-13 13G EMI / Eaton Vance Michigan Municipal Income Trust 101,695
2017-02-13 13G/A XPPRX / Voya Prime Rate Trust 12,514,207 12,066,490
2017-02-13 13G/A US92913C1062 / Voya Natural Resources Equity Income Fnd 1,156,551 1,010,241
2017-02-13 13G/A GGZ / The Gabelli Global Small and Mid Cap Value Trust 820,120
2017-02-13 13G/A IAE / Voya Asia Pacific High Dividend Equity Income Fund 1,331,267
2017-02-13 13G/A VGI / Virtus Global Multi-Sector Income Fund 809,563 818,825
2017-02-13 13G DDXS / Diadexus, Inc. 256,920
2017-02-13 13G/A CRY / Artivion Inc 1,613,988 1,827,678
2017-02-13 13G/A TTP / Tortoise Pipeline & Energy Fund, Inc. 705,060 651,439
2017-02-13 13G VFL / abrdn National Municipal Income Fund 328,277
2017-02-13 13G/A LDP / Cohen & Steers Limited Duration Preferred and Income Fund, Inc. 1,689,590 1,598,557
2017-02-13 13G THW / Abrdn World Healthcare Fund 2,016,168
2017-02-13 13G/A CTR / ClearBridge MLP and Midstream Total Return Fund Inc. 2,039,489 1,823,884
2017-02-13 13G/A NTG / Tortoise Midstream Energy Fund, Inc. 3,375,527 3,444,861
2017-02-13 13G EDF / Virtus Stone Harbor Emerging Markets Income Fund 723,244 848,965
2017-02-13 13G TVIA / TerraVia Holdings, Inc. 7,243,436
2017-02-13 13G/A GDV / The Gabelli Dividend & Income Trust 6,867,806 7,967,808
2017-02-13 13G/A EMO / ClearBridge Energy Midstream Opportunity Fund Inc 1,732,076 1,325,766
2017-02-13 13G/A CBA / ClearBridge American Energy MLP Fund Inc. 3,818,191 4,346,327
2017-02-13 13G/A EDI / Virtus Stone Harbor Emerging Markets Total Income Fund 487,485 331,695
2017-02-13 13G/A CEM / ClearBridge MLP and Midstream Fund Inc 6,622,632 6,781,169
2017-02-13 13G/A FIF / First Trust Energy Infrastructure Fund 1,017,563 1,280,853
2017-02-13 13G CHW / Calamos Global Dynamic Income Fund 3,013,935
2017-02-13 13G/A SHSP / SharpSpring Inc
2017-02-13 13G/A RGT / Royce Global Trust, Inc. 828,761 530,742
2017-02-13 13G INF / Brookfield Global Listed Infrastructure Income Fund 1,035,108
2017-02-13 13G/A BWG / Legg Mason BW Global Income Opportunities Fund Inc. 1,453,970 1,015,413
2017-02-13 13G/A BST / BlackRock Science and Technology Trust 1,413,543 1,621,065
2017-02-13 13G/A RVT / Royce Small-Cap Trust, Inc.
2017-02-13 13G/A RMRM / RMR Mortgage Trust 399,624 341,418
2017-02-13 13G ISD / PGIM High Yield Bond Fund, Inc.
2017-02-13 13G/A KIO / KKR Income Opportunities Fund 931,812 902,220
2017-02-13 13G/A BSL / Blackstone Senior Floating Rate 2027 Term Fund 975,413 605,149
2017-02-13 13G NID / Nuveen Intermediate Duration Municipal Term Fund 2,526,876
2017-02-13 13G BX / Blackstone Inc.
2017-02-13 13G/A US09254R1041 / BlackRock MuniYield Investment Fund 920,663 801,302
2017-02-13 13G MQY / BlackRock MuniYield Quality Fund, Inc. 1,717,778
2017-02-13 13G/A HQL / Abrdn Life Sciences Investors 1,086,307 938,022
2017-02-13 13G/A HQH / Abrdn Healthcare Investors 4,827,387 4,573,116
2017-02-13 13G/A STKL / SunOpta Inc. 6,725,733 8,110,287
2017-02-13 13G/A DRYS / DryShips, Inc. 69,903 131,704
2017-02-13 13G/A 17K / Self Storage Group ASA 1,640,312 1,934,934
2017-02-13 13G/A CLVS / Clovis Oncology Inc 1,997,865 324,047
2017-02-13 13G/A FSFR / Fifth Street Senior Floating Rate Corp. 1,482,239 730,682
2017-02-13 13G/A NSTG / NanoString Technologies, Inc. 1,598,178 1,652,242
2017-02-13 13G/A JMBA / Jamba, Inc. 1,198,203 985,933
2017-02-13 13G/A NFJ / Virtus Dividend, Interest & Premium Strategy Fund 7,419,556 7,676,862
2017-02-13 13G/A CAR / Avis Budget Group, Inc. 7,102,227 7,516,247
2017-02-13 13G/A CGGYY / Viridien Société anonyme - Depositary Receipt (Common Stock) 12,076,309 1,072,938
2017-02-13 13G/A CTPR / CTPartners Executive Search Inc. 550,983 551,983
2017-02-13 13G/A ABG / Asbury Automotive Group, Inc. 1,249,933 1,936,591
2017-02-13 13G/A AIF / Apollo Tactical Income Fund Inc. 798,050 735,954
2017-02-13 13G/A AAMC / Altisource Asset Management Corporation 86,732 131,149
2017-02-13 13G CORR / CorEnergy Infrastructure Trust, Inc. 650,024
2017-02-13 13G/A 006855100 / Adeptus Health Inc. 966,932 1,166,371
2017-02-13 13G DSU / BlackRock Debt Strategies Fund, Inc. 15,756,228
2017-02-13 13G/A ACSF / American Capital Senior Floating, Ltd. 689,403 409,659
2017-02-13 13G/A AGD / Abrdn Global Dynamic Dividend Fund 642,486 255,964
2017-02-13 13G/A BTCM / BIT Mining Limited - Depositary Receipt (Common Stock) 19,430,780 22,505,100
2017-02-13 13G/A CONN / Conn's, Inc. 2,467,366 1,678,848
2017-02-10 13G/A US40449J1034 / The Habit Restaurants, Inc. 876,045 841,948
2017-02-10 13G/A WDAY / Workday, Inc. 5,855,469 7,608,265
2017-02-10 13G/A 112823109 / Brookfield Canada Office Properties 1,440,797 1,547,167
2017-02-10 13G/A LXFT / Luxoft Holding, Inc. 2,346,231 2,435,102
2017-02-10 13G/A ZG / Zillow Group, Inc. 3,476,441 1,053,245
2017-02-10 13G/A CSLT / Castlight Health Inc - Class B 2,995,826 1,606,573
2017-02-10 13G/A CHSP / Chesapeake Lodging Trust 3,730,784 2,533,390
2017-02-10 13G/A US2655041000 / Dunkin' Brands Group, Inc. 4,877,376 4,483,727
2017-02-10 13G/A SHAK / Shake Shack Inc. 2,610,833 2,290,830
2017-02-10 13G/A LHO / LaSalle Hotel Properties 5,822,642 5,573,234
2017-02-10 13G ZOES / Zoe's Kitchen, Inc. 861,070 1,437,948
2017-02-10 13G GLOB / Globant S.A. 1,751,560
2017-02-10 13G DVAX / Dynavax Technologies Corporation 2,529,618
2017-02-10 13G/A SKT / Tanger Inc. 5,663,791 4,508,355
2017-02-10 13G GGZ / The Gabelli Global Small and Mid Cap Value Trust 676,861 772,677
2017-02-10 13G FRGI / Fiesta Restaurant Group Inc 673,029 1,349,054
2017-02-10 13G EPAM / EPAM Systems, Inc. 2,646,152
2017-02-10 13G EEQ / Enbridge Energy Management LLC. 5,421,946
2017-02-10 13G/A GGZ / The Gabelli Global Small and Mid Cap Value Trust 676,861 820,120
2017-02-10 13G/A 04685W103 / athenahealth, Inc. 4,102,913 4,075,574
2017-02-10 13G/A TAL / TAL Education Group - Depositary Receipt (Common Stock) 5,434,676 5,960,000
2017-01-24 13G/A AFI / Armstrong Flooring Inc 466,804 453,804
2017-01-24 13G AFI / Armstrong Flooring Inc 466,804
2017-01-20 13G OIBRQ / Oi S.A. - Depositary Receipt (Common Stock) 25,053,686 33,478,863
2017-01-17 13G/A OIBRQ / Oi S.A. - Depositary Receipt (Common Stock) 50,503,269 25,053,686
2017-01-09 13G/A ACP / Abrdn Income Credit Strategies Fund 802,989
2017-01-09 13G/A ACP / Abrdn Income Credit Strategies Fund 1,536,310 802,989
2016-12-23 13G SUBK / Suffolk Bancorp 596,106
2016-12-12 13G/A EGRX / Eagle Pharmaceuticals, Inc.
2016-12-09 13G/A STAR / iStar Inc 4,507,988 1,015,599
2016-12-09 13G/A TPUB / Tribune Publishing Company 1,721,169 381,863
2016-12-09 13G/A EGRX / Eagle Pharmaceuticals, Inc. 1,260,611 171,014
2016-12-09 13G/A TPUB / Tribune Publishing Company 1,721,169 381,863
2016-12-09 13G SHAK / Shake Shack Inc. 2,610,833
2016-12-09 13G/A 45031U901 / iStar Financial Inc.
2016-12-09 13G/A HAIN / The Hain Celestial Group, Inc. 5,280,856 1,916,303
2016-12-09 13G LXFT / Luxoft Holding, Inc. 2,346,231
2016-12-05 13G DRYS / DryShips, Inc. 69,903
2016-11-14 13G AAMC / Altisource Asset Management Corporation 70,574 86,732
2016-11-10 13G/A BXMX / Nuveen S&P 500 Buy-Write Income Fund 9,666,560 10,460,526
2016-11-10 13G GLNG / Golar LNG Limited 5,464,010
2016-11-10 13G/A 04685W103 / athenahealth, Inc. 3,812,261 4,102,913
2016-11-04 13G ECA / EnCana Corp. 48,427,102
2016-10-28 13G RDWR / Radware Ltd. 799,143 2,232,954
2016-10-21 13G TWLO / Twilio Inc. 610,226
2016-10-21 13G SAAS / inContact, Inc. 3,150,315
2016-10-17 13G 17K / Self Storage Group ASA 1,640,312
2016-10-14 13G HAIN / The Hain Celestial Group, Inc. 5,280,856
2016-10-12 13G IAE / Voya Asia Pacific High Dividend Equity Income Fund
2016-10-11 13G IAE / Voya Asia Pacific High Dividend Equity Income Fund 1,339,330
2016-10-11 13G / Nuveen High Income 2020 Target Term Fund 1,497,410
2016-10-11 13G/A GRUB / Just Eat Takeaway.com N.V. - ADR (New) 4,324,790 1,660,402
2016-09-19 13G 006855100 / Adeptus Health Inc. 966,932
2016-09-13 13G/A EXD / Eaton Vance Tax-Managed Buy-Write Strategy Fund 987,627
2016-09-12 13G/A / Madison Strategic Sector Premium Fund 526,984 113,000
2016-09-12 13G/A ETY / Eaton Vance Tax-Managed Diversified Equity Income Fund 14,385,176 15,377,850
2016-08-29 13G US3723091043 / GenMark Diagnostics, Inc 2,152,793
2016-08-18 13G LDOS / Leidos Holdings, Inc. 588,479 4,314,804
2016-08-15 13G US33812L1026 / Fitbit Inc. 1,695,452 11,062,776
2016-08-08 13G/A CWEN / Clearway Energy, Inc. 5,428,594 7,075,362
2016-08-08 13G/A NYLD.A / NRG Yield, Inc 4,302,183
2016-07-15 13G JMEI / Jumei International Holding Ltd. 4,689,408
2016-07-15 13G BTCM / BIT Mining Limited - Depositary Receipt (Common Stock) 3,492,870 19,430,780
2016-07-15 13G CLVS / Clovis Oncology Inc 1,997,865
2016-07-11 13G RLOC / ReachLocal, Inc. 2,317,110 1,923
2016-07-11 13G CMCM / Cheetah Mobile Inc. - Depositary Receipt (Common Stock) 20,923,060 555,850
2016-07-11 13G FTFT / Future FinTech Group Inc. 2,339,625 0
2016-07-11 13G LQ / La Quinta Holdings Inc. 6,443,676 1,234,958
2016-07-11 13G/A DBVT / DBV Technologies S.A. - Depositary Receipt (Common Stock) 1,342,093 403,704
2016-07-11 13G/A ATHM / Autohome Inc. - Depositary Receipt (Common Stock) 3,710,532 377,100
2016-07-11 13G/A IOC / InterOil Corporation 3,003,604 954,368
2016-07-08 13G VIPS / Vipshop Holdings Limited - Depositary Receipt (Common Stock) 5,089,539
2016-07-07 13G EVC / Entravision Communications Corporation 3,240,938
2016-06-30 13G TPUB / Tribune Publishing Company 1,721,169
2016-06-30 13G 465685105 / ITC Holdings Corp. 7,699,559
2016-06-27 13G OIBRQ / Oi S.A. - Depositary Receipt (Common Stock) 50,503,269
2016-06-23 13G AXLL / Axiall Corporation 404,267 3,640,489
2016-06-10 13G/A PTX / Pernix Therapeutics Holdings, Inc. 5,182,617 163,740
2016-06-06 13G CCEP / Coca-Cola Europacific Partners PLC 8,807,648 12,345,455
2016-05-27 13G HTS / Hatteras Financial Corp. 2,197,573 4,949,599
2016-05-09 13G/A BLOX / Tidal Trust II - Nicholas Crypto Income ETF 5,425,054 409,505
2016-05-09 13G/A NFLX / Netflix, Inc. 22,854,903 6,186,048
2016-04-25 13G/A PHF / Pacholder High Yield Fund, Inc. 0
2016-04-25 13G SNDK / Sandisk Corporation 8,105,515 10,450,037
2016-04-19 13G/A JSD / Nuveen Short Duration Credit Opportunities Fund 32,167 0
2016-04-15 13G EGRX / Eagle Pharmaceuticals, Inc. 1,260,611
2016-04-12 13G INNL / Innocoll Holdings plc 314,367 4,165,858
2016-04-11 13G/A BJRI / BJ's Restaurants, Inc. 2,275,924 458,651
2016-04-11 13G/A EVJ / Eaton Vance New Jersey Municipal Income Trust 300 0
2016-04-04 13G AMTG / Apollo Residential Mortgage, Inc. 1,664,750
2016-04-04 13G/A AMTG / Apollo Residential Mortgage, Inc. 1,664,750
2016-03-28 13G PRE / Prenetics Global Limited 2,546,586
2016-03-28 13G PRE / Prenetics Global Limited 2,546,586
2016-03-28 13G H / Hyatt Hotels Corporation 1,316,293
2016-03-14 13G ABG / Asbury Automotive Group, Inc. 1,249,933
2016-03-11 13G JSD / Nuveen Short Duration Credit Opportunities Fund 32,167
2016-03-10 13G/A FAV / First Trust Dividend and Income Fund 443,601 129,295
2016-03-10 13G/A OUTR / Outerwall Inc. 887,031 297,556
2016-03-10 13G/A BEAV / B/E Aerospace, Inc. 5,361,474 752,763
2016-03-10 13G LQ / La Quinta Holdings Inc. 6,443,676
2016-03-10 13G/A US33812L1026 / Fitbit Inc. 3,714,996 1,695,452
2016-03-10 13G GPRE / Green Plains Inc. 1,994,832
2016-03-10 13G/A CEV / Eaton Vance California Municipal Income Trust 120 0
2016-03-10 13G EVJ / Eaton Vance New Jersey Municipal Income Trust 300
2016-02-29 13G ZNGA / Zynga Inc - Class A 41,080,579
2016-02-12 13G/A US40449J1034 / The Habit Restaurants, Inc. 876,045
2016-02-12 13G/A US38147W1036 / Goldman Sachs MLP Income Opportunities Fund 3,069,744
2016-02-12 13G/A GBAB / Guggenheim Taxable Municipal Bond & Investment Grade Debt Trust 390,214
2016-02-12 13G DBVT / DBV Technologies S.A. - Depositary Receipt (Common Stock) 1,342,093
2016-02-12 13G CGGYY / Viridien Société anonyme - Depositary Receipt (Common Stock) 12,076,309
2016-02-11 13G/A / Voya Prime Rate Trust 12,514,207
2016-02-11 13G/A 2,884,631
2016-02-11 13G HTY / John Hancock Investments - John Hancock Tax-Advantaged Global Shareholder Yield Fund 837,646
2016-02-11 13G/A IGA / Voya Global Advantage and Premium Opportunity Fund 1,184,452
2016-02-11 13G/A GRX / The Gabelli Healthcare & Wellness Trust 695,078
2016-02-11 13G/A EXD / Eaton Vance Tax-Managed Buy-Write Strategy Fund 920,930
2016-02-11 13G/A IHD / Voya Emerging Markets High Dividend Equity Fund 700,898
2016-02-11 13G/A BOE / BlackRock Enhanced Global Dividend Trust 4,181,356
2016-02-11 13G/A MYC / BlackRock MuniYield California Fund Inc 686,963
2016-02-11 13G/A ETY / Eaton Vance Tax-Managed Diversified Equity Income Fund 14,385,176
2016-02-11 13G BST / BlackRock Science and Technology Trust 1,413,543
2016-02-11 13G/A XPPRX / Voya Prime Rate Trust 12,514,207
2016-02-11 13G/A HIO / Western Asset High Income Opportunity Fund Inc. 5,292,236
2016-02-11 13G/A VVR / Invesco Senior Income Trust 8,682,711
2016-02-11 13G/A ACP / Abrdn Income Credit Strategies Fund 1,536,310
2016-02-11 13G/A MCR / MFS Charter Income Trust 4,474,728
2016-02-11 13G/A BGY / BlackRock Enhanced International Dividend Trust 11,115,162 13,383,316
2016-02-11 13G/A BLW / BlackRock Limited Duration Income Trust 2,842,047
2016-02-11 13G/A NFJ / Virtus Dividend, Interest & Premium Strategy Fund 7,419,556
2016-02-11 13G/A NPP / Nuveen Performance Plus Municipal Fund, Inc. 3,144,221
2016-02-11 13G/A BXMX / Nuveen S&P 500 Buy-Write Income Fund 9,666,560
2016-02-11 13G/A XISDX / Prudential Short Duration High 1,607,837
2016-02-11 13G/A US09254R1041 / BlackRock MuniYield Investment Fund 920,663
2016-02-11 13G/A RVT / Royce Small-Cap Trust, Inc. 5,931,657
2016-02-11 13G/A BUI / BlackRock Utilities, Infrastructure & Power Opportunities Trust 683,728
2016-02-11 13G/A HQH / Abrdn Healthcare Investors 4,827,387
2016-02-11 13G/A MMU / Western Asset Managed Municipals Fund Inc. 3,175,125
2016-02-11 13G/A WETF / Wisdomtree Investments Inc 2,692,218
2016-02-11 13G/A ZOES / Zoe's Kitchen, Inc. 861,070
2016-02-11 13G/A DRTAX / BNY Mellon Municipal Bond Funds Inc - BNY Mellon Municipal Bond Fund 852,873
2016-02-11 13G/A 26433F207 / Duff & Phelps Select MLP and M Common Stock 865,971
2016-02-11 13G/A EXG / Eaton Vance Tax-Managed Global Diversified Equity Income Fund 29,773,894
2016-02-11 13G/A EVV / Eaton Vance Limited Duration Income Fund 7,758,891
2016-02-11 13G/A FAV / First Trust Dividend and Income Fund 443,601
2016-02-11 13G/A GGZ / The Gabelli Global Small and Mid Cap Value Trust 676,861
2016-02-11 13G KTCC / Key Tronic Corporation 631,012
2016-02-11 13G CWEN / Clearway Energy, Inc. 5,428,594
2016-02-11 13G SHSP / SharpSpring Inc 367,001
2016-02-11 13G THQ / Abrdn Healthcare Opportunities Fund 2,795,332
2016-02-11 13G HQL / Abrdn Life Sciences Investors 1,086,307
2016-02-11 13G ZG / Zillow Group, Inc. 3,476,441
2016-02-11 13G LDP / Cohen & Steers Limited Duration Preferred and Income Fund, Inc. 1,689,590
2016-02-11 13G CRY / Artivion Inc 1,613,988
2016-02-11 13G 478,935
2016-02-11 13G ECF / Ellsworth Growth and Income Fund Ltd. 1,096,676
2016-02-11 13G/A SKT / Tanger Inc. 5,663,791
2016-02-11 13G/A CLI / Mack-Cali Realty Corp. 4,086,807
2016-02-11 13G/A BTO / John Hancock Financial Opportunities Fund 1,866,294 1,961,982
2016-02-11 13G/A FPL / First Trust New Opportunities MLP & Energy Fund 2,440,634 2,990,620
2016-02-11 13G/A ACSF / American Capital Senior Floating, Ltd. 689,403
2016-02-11 13G FSFR / Fifth Street Senior Floating Rate Corp. 1,482,239
2016-02-11 13G/A CBA / ClearBridge American Energy MLP Fund Inc. 3,818,191
2016-02-11 13G/A IVH / Delaware Ivy High Income Opportunities Fund 385,447
2016-02-11 13G NYLD.A / NRG Yield, Inc
2016-02-11 13G/A FPF / First Trust Intermediate Duration Preferred & Income Fund 4,541,525
2016-02-11 13G/A DMB / BNY Mellon Municipal Bond Infrastructure Fund, Inc.
2016-02-11 13G/A BIT / BlackRock Multi-Sector Income Trust 1,059,017 1,383,990
2016-02-11 13G/A NML / Neuberger Berman Energy Infrastructure and Income Fund Inc. 5,729,584 6,428,958
2016-02-11 13G/A GHY / PGIM Global High Yield Fund, Inc 1,767,945
2016-02-11 13G EDI / Virtus Stone Harbor Emerging Markets Total Income Fund 487,485
2016-02-11 13G/A CTR / ClearBridge MLP and Midstream Total Return Fund Inc. 2,039,489
2016-02-11 13G 112823109 / Brookfield Canada Office Properties 1,440,797
2016-02-11 13G/A FRGI / Fiesta Restaurant Group Inc 673,029
2016-02-11 13G/A ISD / PGIM High Yield Bond Fund, Inc.
2016-02-11 13G/A VGI / Virtus Global Multi-Sector Income Fund 809,563
2016-02-11 13G/A ATHM / Autohome Inc. - Depositary Receipt (Common Stock) 69,807 3,710,532
2016-02-11 13G/A AIF / Apollo Tactical Income Fund Inc. 798,050
2016-02-11 13G/A TTP / Tortoise Pipeline & Energy Fund, Inc. 705,060
2016-02-11 13G/A SLCA / U.S. Silica Holdings, Inc. 1,357,583 1,958,556
2016-02-11 13G/A EMO / ClearBridge Energy Midstream Opportunity Fund Inc 1,732,076
2016-02-11 13G/A KIO / KKR Income Opportunities Fund 931,812
2016-02-11 13G/A RGT / Royce Global Trust, Inc. 828,761
2016-02-11 13G/A FIF / First Trust Energy Infrastructure Fund 1,017,563
2016-02-11 13G SHSP / SharpSpring Inc
2016-02-11 13G/A BCX / Blackrock Resources & Commodities Strategy Trust 4,571,373
2016-02-11 13G/A BWG / Legg Mason BW Global Income Opportunities Fund Inc. 1,453,970
2016-02-11 13G/A BSL / Blackstone Senior Floating Rate 2027 Term Fund 975,413
2016-02-11 13G/A CMRE / Costamare Inc. 3,923,804
2016-02-11 13G/A ACP / Abrdn Income Credit Strategies Fund 1,536,310
2016-02-11 13G/A EDF / Virtus Stone Harbor Emerging Markets Income Fund 723,244
2016-02-11 13G/A TAL / TAL Education Group - Depositary Receipt (Common Stock) 5,557,568 5,434,676
2016-02-11 13G HYI / Western Asset High Yield Opportunity Fund Inc. 1,320,762
2016-02-11 13G/A FSD / First Trust High Income Long/Short Fund 4,262,834 4,687,113
2016-02-11 13G/A NTG / Tortoise Midstream Energy Fund, Inc. 3,375,527
2016-02-11 13G/A CEM / ClearBridge MLP and Midstream Fund Inc 6,622,632
2016-02-11 13G/A HPP / Hudson Pacific Properties, Inc. 4,445,878
2016-02-11 13G CHSP / Chesapeake Lodging Trust 3,730,784
2016-02-11 13G/A RMRM / RMR Mortgage Trust 399,624
2016-02-11 13G US33812L1026 / Fitbit Inc. 3,714,996
2016-02-11 13G CTPR / CTPartners Executive Search Inc. 550,983
2016-02-11 13G/A CSLT / Castlight Health Inc - Class B 2,995,826
2016-02-11 13G/A BHL / BlackRock Defined Opportunity Credit Trust 176,293
2016-02-11 13G LC / LendingClub Corporation 24,164,719
2016-02-11 13G/A MSCI / MSCI Inc. 7,920,273 2,720,649
2016-02-11 13G HTY / John Hancock Investments - John Hancock Tax-Advantaged Global Shareholder Yield Fund 837,646
2016-02-11 13G/A VTA / Invesco Dynamic Credit Opportunities Fund 7,540,436 7,101,581
2016-02-11 13G/A EXG / Eaton Vance Tax-Managed Global Diversified Equity Income Fund
2016-02-11 13G/A FOF / Cohen & Steers Closed-End Opportunity Fund, Inc. 984,148 1,207,177
2016-02-11 13G US92913C1062 / Voya Natural Resources Equity Income Fnd 1,156,551
2016-02-11 13G/A JGV / Nuveen Global Equity Income Fund 557,515 793,150
2016-02-11 13G/A AGD / Abrdn Global Dynamic Dividend Fund 642,486
2016-02-11 13G/A US2655041000 / Dunkin' Brands Group, Inc. 4,877,376
2016-02-11 13G NHF / NexPoint Strategic Opportunities Fund 1,119,651
2016-02-11 13G/A SPLK / Splunk Inc. 5,902,569
2016-02-11 13G/A WDAY / Workday, Inc. 5,855,469
2016-02-11 13G/A / Madison Strategic Sector Premium Fund 526,984
2016-02-11 13G/A DCA / Virtus Total Return Fund 815,323 1,032,000
2016-02-11 13G/A ETB / Eaton Vance Tax-Managed Buy-Write Income Fund 1,403,655
2016-02-11 13G GLU / The Gabelli Global Utility & Income Trust 254,946
2016-02-11 13G/A SCD / LMP Capital and Income Fund Inc. 734,582
2016-02-11 13G/A NRO / Neuberger Berman Real Estate Securities Income Fund Inc. 713,591 1,470,133
2016-02-11 13G/A GDV / The Gabelli Dividend & Income Trust 6,867,806
2016-02-11 13G IOC / InterOil Corporation 3,003,604
2016-02-11 13G NBR / Nabors Industries Ltd. 20,513,269
2016-02-11 13G/A 04685W103 / athenahealth, Inc. 3,812,261
2016-02-11 13G/A US09175M1018 / Blue Nile, Inc. 651,689 303,475
2016-02-11 13G/A SNH / Senior Housing Properties Trust 9,592,897 7,381,434
2016-02-11 13G NFLX / Netflix, Inc. 22,854,903
2016-02-11 13G LHO / LaSalle Hotel Properties 5,822,642
2016-02-11 13G/A DSU / BlackRock Debt Strategies Fund, Inc. 15,756,228
2016-02-11 13G/A MFL / BlackRock MuniHoldings Investment Quality Fund 3,241,318
2016-02-11 13G/A ISRG / Intuitive Surgical, Inc. 1,337,656
2016-02-10 13G/A FEI / First Trust MLP and Energy Income Fund 4,498,419 4,578,001
2016-02-08 13G/A EVV / Eaton Vance Limited Duration Income Fund 1,149
2016-02-08 13G/A EVF / Eaton Vance Senior Income Trust 778
2016-02-08 13G/A EVF / Eaton Vance Senior Income Trust 778
2016-02-08 13G/A CEV / Eaton Vance California Municipal Income Trust 120
2016-02-08 13G/A FEI / First Trust MLP and Energy Income Fund 4,635,319 4,498,419
2016-02-08 13G 67059L102 / NuStar GP Holdings, LLC 2,088,205 2,152,503
2016-02-05 13G/A BJRI / BJ's Restaurants, Inc. 2,275,924
2016-02-05 13G/A CONN / Conn's, Inc. 2,467,366
2016-02-05 13G/A STAR / iStar Inc 4,507,988
2016-02-05 13G/A PFX / The Nassau Companies of New York - Preferred Security 294,812 346,907
2016-02-05 13G/A PMCS / PMC - Sierra, Inc. 10,394,538 9,321,934
2016-02-05 13G/A TSYS / TeleCommunication Systems, Inc. 3,054,895 4,233,408
2016-02-05 13G/A WWE / World Wrestling Entertainment, Inc. - Class A 2,635,719
2016-02-05 13G/A BEAV / B/E Aerospace, Inc. 5,306,735 5,361,474
2016-02-05 13G/A CAR / Avis Budget Group, Inc. 7,102,227
2016-02-05 13G/A STKL / SunOpta Inc. 4,719,734 6,725,733
2016-02-05 13G/A US04929Q1022 / Atlas Energy Group LLC 2,526,169 751,882
2016-02-05 13G/A CMCM / Cheetah Mobile Inc. - Depositary Receipt (Common Stock) 17,666,700 20,923,060
2016-02-05 13G/A AAMC / Altisource Asset Management Corporation 70,574
2016-02-05 13G/A TAL / TAL Education Group - Depositary Receipt (Common Stock) 5,557,568
2016-02-05 13G/A CCEP / Coca-Cola Europacific Partners PLC 11,574,040 8,807,648
2016-02-05 13G/A WK / Workiva Inc. 1,454,523 1,846,275
2016-02-05 13G/A 83416T100 / SolarCity Corp 5,879,057 4,586,687
2016-02-05 13G/A SCU / Sculptor Capital Management Inc - Class A 10,647,403
2016-02-05 13G/A NSTG / NanoString Technologies, Inc. 922,585 1,598,178
2016-02-05 13G/A PRO / PROS Holdings, Inc. 1,512,756 1,586,447
2016-02-05 13G/A 34958B106 / Fortress Investment Group LLC 13,452,578
2016-02-05 13G/A BDBD / Boulder Brands, Inc. 3,197,804 3,523,418
2016-02-05 13G/A TRUE / TrueCar, Inc. 5,276,045 6,246,206
2016-02-05 13G/A JMBA / Jamba, Inc. 828,762 1,198,203
2016-02-05 13G/A RLOC / ReachLocal, Inc. 2,317,110
2016-02-05 13G/A SFUN / Fang Holdings Ltd - ADR 3,165,859 3,299,842
2016-02-05 13G/A BLOX / Tidal Trust II - Nicholas Crypto Income ETF 3,041,304 5,425,054
2016-02-05 13G/A 67059L102 / NuStar GP Holdings, LLC 2,088,205
2016-02-05 13G/A 45031U901 / iStar Financial Inc.
2016-02-05 13G/A / Sina Corp. 2,921,522 3,809,933
2016-02-05 13G/A FTFT / Future FinTech Group Inc. 2,339,625
2016-02-05 13G/A PTX / Pernix Therapeutics Holdings, Inc. 5,285,038 5,182,617
2016-02-05 13G/A JAKK / JAKKS Pacific, Inc. 1,193,145 512,028
2016-02-05 13G/A CALL / magicJack VocalTec Ltd. 859,963 816,428
2016-01-29 13G MIC / Macquarie Infrastructure Holdings LLC - Units 4,056,540
2016-01-22 13G GRUB / Just Eat Takeaway.com N.V. - ADR (New) 3,515,547 4,324,790
2016-01-22 13G FTAI / FTAI Aviation Ltd. 3,771,381 3,860,059
2016-01-21 13G/A FTAI / FTAI Aviation Ltd. 3,960,631 3,771,381
2016-01-21 13G/A GRUB / Just Eat Takeaway.com N.V. - ADR (New) 4,751,696 3,515,547
2016-01-15 13G OUTR / Outerwall Inc. 887,031
2015-12-31 13G PTX / Pernix Therapeutics Holdings, Inc. 5,285,038
2015-12-24 13G PRO / PROS Holdings, Inc. 1,512,756
2015-12-21 13G/A KEM / KraneShares Trust - KraneShares Dynamic Emerging Markets Strategy ETF 804,780
2015-12-21 13G/A TVPT / Travelport Worldwide Ltd. 6,639,090 1,489,859
2015-12-14 13G TSYS / TeleCommunication Systems, Inc. 3,054,895
2015-12-04 13G PMCS / PMC - Sierra, Inc. 2,192,466 10,394,538
2015-12-04 13G BEAV / B/E Aerospace, Inc. 5,306,735
2015-12-04 13G BDBD / Boulder Brands, Inc. 1,411,333 3,197,804
2015-11-27 13G GRUB / Just Eat Takeaway.com N.V. - ADR (New) 4,751,696
2015-11-23 13G STKL / SunOpta Inc. 4,719,734
2015-11-09 13G/A PMCS / PMC - Sierra, Inc. 2,192,466
2015-11-09 13G/A FSD / First Trust High Income Long/Short Fund 4,262,834
2015-10-15 13G 83416T100 / SolarCity Corp 5,879,057
2015-10-15 13G TRUE / TrueCar, Inc. 5,276,045
2015-10-13 13G/A SNR / New Senior Investment Group Inc 866,913 901,996
2015-10-13 13G/A FPL / First Trust New Opportunities MLP & Energy Fund 2,440,634
2015-10-13 13G/A ATHM / Autohome Inc. - Depositary Receipt (Common Stock) 69,807
2015-10-13 13G/A FEYE / FireEye Inc 4,531,752 2,571,584
2015-10-13 13G/A CTRN / Citi Trends, Inc. 113,684 0
2015-10-13 13G JMBA / Jamba, Inc. 828,762
2015-10-13 13G/A NCT.PRD / Newcastle Investment Corp. 303,743
2015-10-13 13G/A US09175M1018 / Blue Nile, Inc. 651,689
2015-09-25 13G CCEP / Coca-Cola Europacific Partners PLC 11,574,040
2015-09-14 13G BLOX / Tidal Trust II - Nicholas Crypto Income ETF 3,041,304
2015-09-10 13G/A EXD / Eaton Vance Tax-Managed Buy-Write Strategy Fund 1,061,327
2015-09-10 13G/A IRWD / Ironwood Pharmaceuticals, Inc. 990,091
2015-09-10 13G/A BTO / John Hancock Financial Opportunities Fund 1,866,294
2015-09-10 13G/A PNRA / Panera Bread Co. 0
2015-09-08 13G JAKK / JAKKS Pacific, Inc. 1,193,145
2015-08-24 13G CALL / magicJack VocalTec Ltd. 859,963
2015-08-20 13G WK / Workiva Inc. 1,454,523
2015-08-14 13G HME / Home Properties, Inc. 2,914,255
2015-07-27 13G FTAI / FTAI Aviation Ltd. 3,960,631
2015-07-23 13G PFX / The Nassau Companies of New York - Preferred Security 294,812
2015-07-20 13G SFUN / Fang Holdings Ltd - ADR 3,165,859
2015-07-15 13G/A ESRX / Express Scripts Holding Co. 36,537,490 30,902,237
2015-07-14 13G/A BTCM / BIT Mining Limited - Depositary Receipt (Common Stock) 3,492,870
2015-07-14 13G/A DOOR / Masonite International Corporation 1,532,646 237,704
2015-07-14 13G/A RDWR / Radware Ltd. 799,143
2015-07-14 13G/A TCOM / Trip.com Group Limited - Depositary Receipt (Common Stock) 197,330
2015-07-14 13G/A ZPIN / Zhaopin Ltd 45,626
2015-07-13 13G/A SGNT / Sagent Pharmaceuticals, Inc. 1,749,430 0
2015-07-10 13G/A VTA / Invesco Dynamic Credit Opportunities Fund 7,540,436
2015-06-29 13G ESRX / Express Scripts Holding Co. 36,537,490
2015-06-22 13G / Sina Corp. 2,921,522
2015-06-15 13G EXCC / Excel Corporation 3,259,309
2015-06-11 13G/A US5535731062 / MSG Networks Inc 785,680
2015-06-05 13G NSTG / NanoString Technologies, Inc. 922,585
2015-06-01 13G DOOR / Masonite International Corporation 1,532,646
2015-05-29 13G CMCM / Cheetah Mobile Inc. - Depositary Receipt (Common Stock) 17,666,700
2015-05-13 13G/A OCN / Ocwen Financial Corporation 2,340,994
2015-05-13 13G/A MNI / McClatchy Co. (THE) 3,946,445 1,009,838
2015-05-13 13G/A BIF / Boulder Growth & Income Fund Inc 1,691,879 1,561,101
2015-05-08 13D/A INNL / Innocoll Holdings plc 314,367
2015-05-06 13G CSRLF / CSR Limited 17,560,059
2015-04-29 13G/A BID / Sotheby's 661,247
2015-04-10 13G/A SGNT / Sagent Pharmaceuticals, Inc. 1,749,430
2015-04-10 13G/A FEI / First Trust MLP and Energy Income Fund 4,635,319
2015-04-06 13G BIF / Boulder Growth & Income Fund Inc 1,691,879
2015-03-23 13G MNI / McClatchy Co. (THE) 3,946,445
2015-03-09 13G/A GRX / The Gabelli Healthcare & Wellness Trust 769,917
2015-03-09 13G US04929Q1022 / Atlas Energy Group LLC 2,526,169
2015-03-09 13G/A NML / Neuberger Berman Energy Infrastructure and Income Fund Inc. 5,729,584
2015-03-09 13G/A SSYS / Stratasys Ltd. 768,618
2015-03-09 13G/A BGY / BlackRock Enhanced International Dividend Trust 11,115,162
2015-02-17 13G HIO / Western Asset High Income Opportunity Fund Inc. 5,937,708
2015-02-17 13G/A HQH / Abrdn Healthcare Investors 4,263,560
2015-02-17 13G/A FAV / First Trust Dividend and Income Fund 835,631
2015-02-17 13G/A ETB / Eaton Vance Tax-Managed Buy-Write Income Fund 1,441,074
2015-02-17 13G/A ETY / Eaton Vance Tax-Managed Diversified Equity Income Fund 12,756,761
2015-02-17 13G 26433F207 / Duff & Phelps Select MLP and M Common Stock 1,391,764
2015-02-17 13G/A EVV / Eaton Vance Limited Duration Income Fund 8,719,049
2015-02-17 13G FPF / First Trust Intermediate Duration Preferred & Income Fund 4,062,282
2015-02-17 13G/A XISDX / Prudential Short Duration High 2,005,768
2015-02-17 13G/A NML / Neuberger Berman Energy Infrastructure and Income Fund Inc. 5,301,055
2015-02-17 13G/A TTP / Tortoise Pipeline & Energy Fund, Inc. 661,301
2015-02-17 13G/A / Madison Strategic Sector Premium Fund 483,657
2015-02-17 13G/A SLCA / U.S. Silica Holdings, Inc. 3,149,771
2015-02-17 13G/A DSU / BlackRock Debt Strategies Fund, Inc. 16,221,914
2015-02-17 13G/A MFL / BlackRock MuniHoldings Investment Quality Fund 3,301,807
2015-02-17 13G/A NTG / Tortoise Midstream Energy Fund, Inc. 2,803,087
2015-02-17 13G/A KIO / KKR Income Opportunities Fund 1,262,162
2015-02-17 13G/A FSD / First Trust High Income Long/Short Fund 2,918,796
2015-02-17 13G ACSF / American Capital Senior Floating, Ltd. 570,576
2015-02-17 13G/A AGD / Abrdn Global Dynamic Dividend Fund 1,246,811
2015-02-17 13G MYC / BlackRock MuniYield California Fund Inc 1,175,325
2015-02-17 13G/A GBAB / Guggenheim Taxable Municipal Bond & Investment Grade Debt Trust 1,188,710
2015-02-17 13G SCD / LMP Capital and Income Fund Inc. 949,665
2015-02-17 13G/A MCR / MFS Charter Income Trust 6,646,610
2015-02-17 13G CWEN / Clearway Energy, Inc. 1,828,361
2015-02-17 13G/A NFJ / Virtus Dividend, Interest & Premium Strategy Fund 7,945,835
2015-02-17 13G/A GHY / PGIM Global High Yield Fund, Inc 2,848,652
2015-02-17 13G/A RMRM / RMR Mortgage Trust 696,500
2015-02-17 13G/A AIF / Apollo Tactical Income Fund Inc. 1,179,537
2015-02-17 13G/A ACP / Abrdn Income Credit Strategies Fund 1,721,295
2015-02-17 13G/A ISSC / Innovative Solutions and Support, Inc. 714,314
2015-02-17 13G/A RMT / Royce Micro-Cap Trust, Inc. 2,001,260
2015-02-17 13G/A EDF / Virtus Stone Harbor Emerging Markets Income Fund 893,384
2015-02-17 13G/A GDV / The Gabelli Dividend & Income Trust 6,520,609
2015-02-17 13G/A CTF / Nuveen Long/Short Commodity Total Return Fund 729,796
2015-02-17 13G/A DCA / Virtus Total Return Fund 1,391,615
2015-02-17 13G/A NRO / Neuberger Berman Real Estate Securities Income Fund Inc. 4,274,026
2015-02-17 13G/A VGI / Virtus Global Multi-Sector Income Fund 734,252
2015-02-17 13G/A BHL / BlackRock Defined Opportunity Credit Trust 709,038
2015-02-17 13G/A MMU / Western Asset Managed Municipals Fund Inc. 3,309,638
2015-02-17 13G/A / Voya Prime Rate Trust 12,391,898
2015-02-17 13G/A BLW / BlackRock Limited Duration Income Trust 3,031,348
2015-02-17 13G/A IHD / Voya Emerging Markets High Dividend Equity Fund 1,124,418
2015-02-17 13G/A INF / Brookfield Global Listed Infrastructure Income Fund 504,084
2015-02-17 13G/A YOKU / Youku Tudou Inc. 130,298,724
2015-02-17 13G/A US09254R1041 / BlackRock MuniYield Investment Fund 922,721
2015-02-17 13G/A FOF / Cohen & Steers Closed-End Opportunity Fund, Inc. 1,801,393
2015-02-17 13G/A CTR / ClearBridge MLP and Midstream Total Return Fund Inc. 2,282,005
2015-02-17 13G/A CEM / ClearBridge MLP and Midstream Fund Inc 7,052,061
2015-02-17 13G/A DRTAX / BNY Mellon Municipal Bond Funds Inc - BNY Mellon Municipal Bond Fund 1,315,798
2015-02-17 13G/A CMRE / Costamare Inc. 4,671,981
2015-02-17 13G/A EXG / Eaton Vance Tax-Managed Global Diversified Equity Income Fund 28,387,512
2015-02-17 13G/A EXD / Eaton Vance Tax-Managed Buy-Write Strategy Fund 969,457
2015-02-17 13G BSL / Blackstone Senior Floating Rate 2027 Term Fund 688,947
2015-02-17 13G VVR / Invesco Senior Income Trust 9,157,247
2015-02-17 13G BUI / BlackRock Utilities, Infrastructure & Power Opportunities Trust 877,499
2015-02-17 13G BWG / Legg Mason BW Global Income Opportunities Fund Inc. 1,350,824
2015-02-17 13G RGT / Royce Global Trust, Inc. 549,820
2015-02-17 13G IVH / Delaware Ivy High Income Opportunities Fund 1,034,177
2015-02-17 13G BXMX / Nuveen S&P 500 Buy-Write Income Fund 6,607,089
2015-02-17 13G IGA / Voya Global Advantage and Premium Opportunity Fund 1,020,538
2015-02-17 13G NPP / Nuveen Performance Plus Municipal Fund, Inc. 3,517,532
2015-02-17 13G BCX / Blackrock Resources & Commodities Strategy Trust 5,156,505
2015-02-17 13G CBA / ClearBridge American Energy MLP Fund Inc. 4,747,008
2015-02-17 13G FPL / First Trust New Opportunities MLP & Energy Fund 1,917,828
2015-02-17 13G/A GRX / The Gabelli Healthcare & Wellness Trust 1,605,417
2015-02-17 13G GGZ / The Gabelli Global Small and Mid Cap Value Trust 565,263
2015-02-17 13G BIT / BlackRock Multi-Sector Income Trust 2,311,958
2015-02-17 13G/A 2,427,833
2015-02-17 13G RVT / Royce Small-Cap Trust, Inc. 4,969,710
2015-02-17 13G/A BTO / John Hancock Financial Opportunities Fund 1,258,158
2015-02-17 13G/A FEI / First Trust MLP and Energy Income Fund 4,485,826
2015-02-17 13G/A FSFR / Fifth Street Senior Floating Rate Corp. 1,290,227
2015-02-17 13G/A CORR / CorEnergy Infrastructure Trust, Inc. 1,240,511
2015-02-17 13G/A EMO / ClearBridge Energy Midstream Opportunity Fund Inc 2,125,072
2015-02-17 13G/A BSL / Blackstone Senior Floating Rate 2027 Term Fund 786,490
2015-02-17 13G/A VTA / Invesco Dynamic Credit Opportunities Fund 6,576,096
2015-02-17 13G BGY / BlackRock Enhanced International Dividend Trust 10,716,210
2015-02-17 13G/A JGV / Nuveen Global Equity Income Fund 1,043,897
2015-02-13 13G ZPIN / Zhaopin Ltd 840,414
2015-02-12 13G/A ABCO / Advisory Board Co. (The) 1,491,040
2015-02-12 13G/A PNRA / Panera Bread Co. 2,054,687
2015-02-12 13G/A IT / Gartner, Inc. 3,861,271
2015-02-12 13G SPLK / Splunk Inc. 8,749,232
2015-02-12 13G WDAY / Workday, Inc. 8,137,042
2015-02-12 13G/A EQR / Equity Residential 15,886,202
2015-02-12 13G/A CSLT / Castlight Health Inc - Class B 3,425,775
2015-02-12 13G/A ILMN / Illumina, Inc. 6,634,560
2015-02-12 13G/A ZU / 4,731,952
2015-02-12 13G/A MJN / Mead Johnson Nutrition Co. 10,013,231
2015-02-12 13G/A NQ / NQ Mobile Inc. 14,624,305
2015-02-12 13G/A US2655041000 / Dunkin' Brands Group, Inc. 7,939,687
2015-02-12 13G/A 04685W103 / athenahealth, Inc. 4,850,591
2015-02-12 13G/A CEB / CEB Inc. 998,703
2015-02-12 13G/A HR / Healthcare Realty Trust Incorporated 3,046,625
2015-02-12 13G/A US09175M1018 / Blue Nile, Inc. 1,380,424
2015-02-12 13G/A BNFT / Benefitfocus Inc 1,183,730
2015-02-12 13G/A LXFT / Luxoft Holding, Inc. 256,932
2015-02-12 13G/A CTRN / Citi Trends, Inc. 817,804
2015-02-12 13G/A IRWD / Ironwood Pharmaceuticals, Inc. 7,654,009
2015-02-12 13G/A REG / Regency Centers Corporation 4,368,985
2015-02-12 13G/A CLI / Mack-Cali Realty Corp. 6,951,720
2015-02-12 13G/A MSCI / MSCI Inc. 9,697,109
2015-02-12 13G ISRG / Intuitive Surgical, Inc. 2,036,834
2015-02-12 13G HPP / Hudson Pacific Properties, Inc. 3,517,406
2015-02-12 13G FEYE / FireEye Inc 9,500,966
2015-02-12 13G ATHM / Autohome Inc. - Depositary Receipt (Common Stock) 4,069,231
2015-02-12 13G/A TSLX / Sixth Street Specialty Lending, Inc. 251,847
2015-02-12 13G WETF / Wisdomtree Investments Inc 7,155,744
2015-02-12 13G SKT / Tanger Inc. 5,660,678
2015-02-12 13G SNH / Senior Housing Properties Trust 11,947,015
2015-02-12 13G ZOES / Zoe's Kitchen, Inc. 1,148,034
2015-02-12 13G ZG / Zillow Group, Inc. 3,051,945
2015-02-12 13G/A MAC / The Macerich Company 6,358,969
2015-02-10 13G/A TAL / TAL Education Group - Depositary Receipt (Common Stock) 4,882,712
2015-02-10 13G/A KTCC / Key Tronic Corporation 488,945
2015-02-10 13G/A WLTGQ / Walter Energy, Inc. 1,628,663
2015-02-10 13G/A ABC / Amerisource Bergen Corp. 7,871,450
2015-02-09 13G/A US0917271076 / Bitauto Holdings Ltd. 1,562,787
2015-02-09 13G/A TVPT / Travelport Worldwide Ltd. 7,471,343
2015-02-09 13G TCOM / Trip.com Group Limited - Depositary Receipt (Common Stock) 1,737,693
2015-02-05 13G/A AMRI / Albany Molecular Research, Inc. 684,912
2015-02-05 13G/A RLOC / ReachLocal, Inc. 1,875,327
2015-02-05 13G/A PMCS / PMC - Sierra, Inc. 18,063,348
2015-02-05 13G/A 34958B106 / Fortress Investment Group LLC 15,413,126
2015-02-05 13G/A BJRI / BJ's Restaurants, Inc. 2,188,289
2015-02-05 13G/A CAR / Avis Budget Group, Inc. 6,323,810
2015-02-05 13G/A AGOAF / Abengoa, S.A. 13,121,223
2015-02-05 13G/A ALXA / Alexza Pharmaceuticals, Inc. 860,845
2015-02-05 13G/A / Sina Corp. 2,596,013
2015-02-05 13G/A FWLT / Foster Wheeler Ag 450,090
2015-02-05 13G/A KEM / KraneShares Trust - KraneShares Dynamic Emerging Markets Strategy ETF 3,774,609
2015-02-05 13G/A SNR / New Senior Investment Group Inc 4,851,135
2015-02-05 13G/A NRF / NorthStar Realty Finance Corp. 17,746,192
2015-02-05 13G/A FTFT / Future FinTech Group Inc. 2,340,143
2015-02-05 13G/A UNTD / United Online, Inc. 697,533
2015-02-05 13G/A VC / Visteon Corporation 1,874,222
2015-02-05 13G/A WWE / World Wrestling Entertainment, Inc. - Class A 2,254,264
2015-02-05 13G/A ZG / Zillow Group, Inc. 695,917
2015-02-05 13G/A GRT.PRH / Glimcher Realty Trust 9,442,552
2015-02-05 13G/A SCU / Sculptor Capital Management Inc - Class A 9,244,403
2015-02-05 13G/A SWYDF / Stornoway Diamond Corporation 9,586,681
2015-02-05 13G/A TRLA / 1,755,614
2015-02-05 13G/A RDWR / Radware Ltd. 2,479,026
2015-02-05 13G/A 67059L102 / NuStar GP Holdings, LLC 3,731,728
2015-02-05 13G/A OCN / Ocwen Financial Corporation 9,989,557
2015-02-05 13G/A LAMR / Lamar Advertising Company 3,654,359
2015-02-05 13G/A DS / Drive Shack Inc 3,446,733
2015-02-05 13G/A GFA / Gafisa S.A. 7,759,176
2015-02-05 13G/A DDS / Dillard's, Inc. 1,338,507
2015-02-05 13G/A CLMS / Calamos Asset Management, Inc. 974,281
2015-02-05 13G/A IVR / Invesco Mortgage Capital Inc. 5,784,369
2015-02-05 13G/A HCT / American Realty Capital Healthcare Trust Inc 10,072,988
2015-02-05 13G/A AAMC / Altisource Asset Management Corporation 119,112
2015-02-05 13G/A TAL / TAL Education Group - Depositary Receipt (Common Stock) 4,551,378
2015-02-05 13G/A BTCM / BIT Mining Limited - Depositary Receipt (Common Stock) 14,337,010
2015-02-05 13G/A ATHM / Autohome Inc. - Depositary Receipt (Common Stock) 3,575,155
2015-02-05 13G/A SIR / Select Income REIT 1,787,884
2015-02-05 13G/A TOUR / Tuniu Corporation - Depositary Receipt (Common Stock) 3,055,362
2015-02-05 13G/A CONN / Conn's, Inc. 2,846,071
2015-02-02 13G/A BID / Sotheby's 2,998,642
2015-02-02 13G BID / Sotheby's 3,486,401
2015-01-26 13G/A STAR / iStar Inc 4,229,649
2015-01-26 13G STAR / iStar Inc 4,270,168
2015-01-22 13G AMRE / Amreit, Inc. 997,812
2015-01-20 13G US5535731062 / MSG Networks Inc 3,906,529
2015-01-12 13G SSYS / Stratasys Ltd. 2,700,150
2015-01-12 13G/A FRGI / Fiesta Restaurant Group Inc 1,481,691
2015-01-12 13G US38147W1036 / Goldman Sachs MLP Income Opportunities Fund 4,438,979
2015-01-02 13G OCN / Ocwen Financial Corporation 9,979,951
2015-01-02 13G RLOC / ReachLocal, Inc. 1,828,175
2014-12-22 13G IVR / Invesco Mortgage Capital Inc. 6,352,022
2014-12-11 13G/A NEFF / Neff Corp. 77,941
2014-12-08 13G/A ZU / 4,835,664
2014-12-08 13G/A US31680Q1040 / 58.com Inc. 1,058,260
2014-12-08 13G/A CSLT / Castlight Health Inc - Class B 3,781,536
2014-12-01 13G BID / Sotheby's 3,541,915
2014-12-01 13G NEFF / Neff Corp. 728,953
2014-11-28 13G DDS / Dillard's, Inc. 2,009,837
2014-11-18 13G SNR / New Senior Investment Group Inc 5,250,139
2014-11-13 13G TOUR / Tuniu Corporation - Depositary Receipt (Common Stock) 3,010,932
2014-11-12 13G/A SLH / Solera Holdings, Inc. 1,157,955
2014-11-12 13G/A W / Wayfair Inc. 162,315
2014-11-12 13G STAR / iStar Inc 4,328,399
2014-11-10 13G BTCM / BIT Mining Limited - Depositary Receipt (Common Stock) 17,064,330
2014-10-31 13G GRT.PRH / Glimcher Realty Trust 7,394,494
2014-10-31 13G WWE / World Wrestling Entertainment, Inc. - Class A 1,676,799
2014-10-30 13G/A CRI / Carter's, Inc. 1,002,365
2014-10-30 13G/A LTM / LATAM Airlines Group S.A. - Depositary Receipt (Common Stock) 858,518
2014-10-17 13G TVPT / Travelport Worldwide Ltd. 9,111,151
2014-10-10 13G/A MSI / Motorola Solutions, Inc. 30,976
2014-10-10 13G/A CSLT / Castlight Health Inc - Class B 3,480,788
2014-10-10 13G/A SLH / Solera Holdings, Inc. 3,539,804
2014-10-10 13G/A GRX / The Gabelli Healthcare & Wellness Trust 1,500,233
2014-10-10 13G/A ACGL / Arch Capital Group Ltd. 2,587,502
2014-10-10 13G/A BJRI / BJ's Restaurants, Inc. 757,459
2014-10-10 13G/A CRI / Carter's, Inc. 0
2014-10-10 13G/A BCYIF / iShares Public Limited Company - iShares Core FTSE 100 UCITS ETF 113,443,294
2014-10-10 13G W / Wayfair Inc. 659,760
2014-09-26 13G ATHM / Autohome Inc. - Depositary Receipt (Common Stock) 1,941,946
2014-09-10 13G/A FWM / Fairway Group Holdings Corp. 765,718
2014-09-10 13G/A CWGL / Crimson Wine Group, Ltd. 591
2014-09-10 13G/A US5535731062 / MSG Networks Inc 1,559,732
2014-09-05 13G HCT / American Realty Capital Healthcare Trust Inc 8,650,072
2014-08-22 13G GFA / Gafisa S.A. 22,515,612
2014-08-18 13G/A TSLX / Sixth Street Specialty Lending, Inc. 3,055,430
2014-08-14 13G AMRI / Albany Molecular Research, Inc. 1,631,067
2014-08-14 13G US0917271076 / Bitauto Holdings Ltd. 2,378,997
2014-08-13 13D/A INNL / Innocoll Holdings plc 328,018
2014-08-11 13D INNL / Innocoll Holdings plc 328,018
2014-08-08 13G/A QIHU / Qihoo 360 Technology Co. Ltd. 3,516,912
2014-08-08 13G/A PBPB / Potbelly Corporation 0
2014-08-08 13G/A WMB / The Williams Companies, Inc. 21,104,099
2014-07-28 13G CONN / Conn's, Inc. 1,824,660
2014-07-24 13G DS / Drive Shack Inc 18,518,331
2014-07-21 13G NRF / NorthStar Realty Finance Corp. 9,341,134
2014-07-10 13G/A 24,566
2014-07-10 13G/A CEM / ClearBridge MLP and Midstream Fund Inc 6,942,783
2014-07-10 13G UNTD / United Online, Inc. 714,528
2014-07-10 13G/A TXI / Texas Industries Inc 0
2014-07-10 13G TXI / Texas Industries Inc 4,168,552
2014-07-07 13D/A YONG / Yongye International, Inc. 0
2014-07-03 13D/A 89376V100 / TransMontaigne Partners LP 2,721,161
2014-06-26 13G CRI / Carter's, Inc. 2,966,232
2014-06-23 13G US5535731062 / MSG Networks Inc 3,202,186
2014-06-11 13D/A 89376V100 / TransMontaigne Partners LP 3,209,540
2014-06-11 13G QCOR / 3,067,357
2014-06-09 13G/A GRPN / Groupon, Inc. 20,215,677
2014-06-09 13G/A XPO / XPO, Inc. 1,132,985
2014-05-30 13G / Sina Corp. 3,783,959
2014-05-30 13G LOPE / Grand Canyon Education, Inc. 1,826,395
2014-05-30 13G UNS / Uns Energy Corp 2,118,116
2014-05-22 13G/A OSTK / Overstock.com Inc 351,084
2014-05-22 13G/A BID / Sotheby's 1,720,352
2014-05-16 13G ALXA / Alexza Pharmaceuticals, Inc. 871,721
2014-05-09 13G/A YNDX / Yandex N.V. 2,412,063
2014-05-09 13G/A LOPE / Grand Canyon Education, Inc. 975,972
2014-05-09 13G/A AMC / AMC Entertainment Holdings, Inc. 624,909
2014-05-09 13G FURX / Furiex Pharmaceuticals, Inc. 575,450
2014-05-07 13G ZG / Zillow Group, Inc. 2,199,154
2014-05-02 13G LTM / LATAM Airlines Group S.A. - Depositary Receipt (Common Stock) 2,269,303
2014-04-25 13G NDZ / 3,142,918
2014-04-17 13G FWLT / Foster Wheeler Ag 5,258,515
2014-04-10 13D/A YONG / Yongye International, Inc. 9,366,611
2014-04-09 13G/A GLRE / Greenlight Capital Re, Ltd. 306,508
2014-04-09 13G/A KDP / Keurig Dr Pepper Inc. 2,522,055
2014-04-09 13G/A PHT / Pioneer High Income Fund, Inc. 0
2014-04-09 13G/A HQH / Abrdn Healthcare Investors 2,889,311
2014-04-09 13G/A GTAT / GT Advanced Technologies Inc 868,778
2014-04-09 13G SWYDF / Stornoway Diamond Corporation 11,559,691
2014-04-09 13G CSLT / Castlight Health Inc - Class B 3,072,633
2014-04-04 13D/A NED / Noah Education Holdings Ltd. 2,647,743
2014-04-03 13G VC / Visteon Corporation 2,507,104
2014-03-28 13G CAR / Avis Budget Group, Inc. 5,785,946
2014-03-28 13G LTM / LATAM Airlines Group S.A. - Depositary Receipt (Common Stock) 2,558,104
2014-03-27 13G TRLA / 1,944,793
2014-03-26 13D/A YONG / Yongye International, Inc. 9,365,881
2014-03-19 13G AMC / AMC Entertainment Holdings, Inc. 1,092,409
2014-03-12 13G 4,304,037
2014-03-11 13G AGOAF / Abengoa, S.A. 43,659,898
2014-03-10 13G/A QLIK / Qlik Technologies Inc. 2,158,801
2014-03-10 13G/A TXTR / Textura Corp. 4,923
2014-03-07 13G/A SIG / Signet Jewelers Limited 319,243
2014-03-07 13G/A US2168311072 / Cooper Tire & Rubber Co 1,435,494
2014-03-07 13G/A NXST / Nexstar Media Group, Inc. 208,190
2014-03-07 13G/A MNI / McClatchy Co. (THE) 1,344,109
2014-03-07 13G AAMC / Altisource Asset Management Corporation 132,878
2014-03-05 13G LAMR / Lamar Advertising Company 4,019,443
2014-03-03 13G US31680Q1040 / 58.com Inc. 1,372,090
2014-02-24 13G JNY / Jones Group Inc 3,980,077
2014-02-14 13G BJRI / BJ's Restaurants, Inc. 1,557,471
2014-02-13 13G/A HLF / Herbalife Ltd. 2,943,916
2014-02-13 13G/A KDP / Keurig Dr Pepper Inc. 11,209,310
2014-02-12 13G/A HMIN / Homeinns Hotel Group 4,019,503
2014-02-12 13G/A SGNT / Sagent Pharmaceuticals, Inc. 3,731,292
2014-02-11 13G/A AHT / Ashford Hospitality Trust, Inc. 3,272,948
2014-02-11 13G/A ELS / Equity LifeStyle Properties, Inc. 2,859,152
2014-02-11 13G/A FSLR / First Solar, Inc. 4,059,805
2014-02-11 13G/A FCE.A / Forest City Realty Trust, Inc. 6,485,751
2014-02-11 13G/A GHL / Greenhill & Co Inc 1,172,318
2014-02-11 13G/A HPP / Hudson Pacific Properties, Inc. 2,772,651
2014-02-11 13G/A MORN / Morningstar, Inc. 0
2014-02-11 13G/A SNH / Senior Housing Properties Trust 8,405,454
2014-02-11 13G/A VRSK / Verisk Analytics, Inc. 7,937,620
2014-02-11 13G/A WDAY / Workday, Inc. 2,733,822
2014-02-11 13G/A ABCO / Advisory Board Co. (The) 2,658,837
2014-02-11 13G/A 04685W103 / athenahealth, Inc. 4,657,096
2014-02-11 13G/A US09175M1018 / Blue Nile, Inc. 1,542,228
2014-02-11 13G/A CRI / Carter's, Inc. 5,703,177
2014-02-11 13G/A CTRN / Citi Trends, Inc. 904,363
2014-02-11 13G/A CEB / CEB Inc. 2,188,442
2014-02-11 13G/A US2655041000 / Dunkin' Brands Group, Inc. 8,981,068
2014-02-11 13G/A FRGI / Fiesta Restaurant Group Inc 2,825,710
2014-02-11 13G/A IT / Gartner, Inc. 5,776,334
2014-02-11 13G/A GLRE / Greenlight Capital Re, Ltd. 1,569,185
2014-02-11 13G/A GRPN / Groupon, Inc. 53,353,968
2014-02-11 13G/A ILMN / Illumina, Inc. 9,568,586
2014-02-11 13G/A IRWD / Ironwood Pharmaceuticals, Inc. 8,254,925
2014-02-11 13G/A MSCI / MSCI Inc. 13,574,496
2014-02-11 13G/A MJN / Mead Johnson Nutrition Co. 12,074,491
2014-02-11 13G/A MSI / Motorola Solutions, Inc. 13,118,369
2014-02-11 13G/A SLH / Solera Holdings, Inc. 8,363,143
2014-02-11 13G/A XPO / XPO, Inc. 1,651,329
2014-02-11 13G/A YNDX / Yandex N.V. 14,761,698
2014-02-11 13G/A YOKU / Youku Tudou Inc. 140,057,082
2014-02-11 13G/A ZU / 2,153,538
2014-02-11 13G BNFT / Benefitfocus Inc 1,240,898
2014-02-11 13G BJRI / BJ's Restaurants, Inc. 1,682,330
2014-02-11 13G CWGL / Crimson Wine Group, Ltd. 1,237,680
2014-02-11 13G FWM / Fairway Group Holdings Corp. 1,475,676
2014-02-11 13G LXFT / Luxoft Holding, Inc. 509,683
2014-02-11 13G PNRA / Panera Bread Co. 2,275,367
2014-02-11 13G PBPB / Potbelly Corporation 2,669,932
2014-02-11 13G TXTR / Textura Corp. 1,973,500
2014-02-11 13G 233153204 / DCT Industrial Trust, Inc. 11,892,037
2014-02-11 13G/A HR / Healthcare Realty Trust Incorporated 5,223,333
2014-02-11 13G/A EQR / Equity Residential 18,628,585
2014-02-11 13G/A REG / Regency Centers Corporation 5,954,853
2014-02-11 13G MAC / The Macerich Company 7,106,353
2014-02-11 13G/A MLM / Martin Marietta Materials, Inc. 1,396,229
2014-02-11 13G/A CLI / Mack-Cali Realty Corp. 7,475,367
2014-02-11 13G ACGL / Arch Capital Group Ltd. 8,372,919
2014-02-10 13G/A ACP / Abrdn Income Credit Strategies Fund 1,607,528
2014-02-10 13G/A BLW / BlackRock Limited Duration Income Trust 1,991,297
2014-02-10 13G/A BLK / BlackRock, Inc. 2,680,348
2014-02-10 13G/A MFL / BlackRock MuniHoldings Investment Quality Fund 2,689,471
2014-02-10 13G/A BSL / Blackstone Senior Floating Rate 2027 Term Fund 879,845
2014-02-10 13G/A INF / Brookfield Global Listed Infrastructure Income Fund 426,818
2014-02-10 13G/A CEM / ClearBridge MLP and Midstream Fund Inc 6,046,605
2014-02-10 13G/A EMO / ClearBridge Energy Midstream Opportunity Fund Inc 2,195,910
2014-02-10 13G/A RFI / Cohen & Steers Total Return Realty Fund, Inc. 459,799
2014-02-10 13G/A FOF / Cohen & Steers Closed-End Opportunity Fund, Inc. 1,767,270
2014-02-10 13G/A CORR / CorEnergy Infrastructure Trust, Inc. 2,453,097
2014-02-10 13G/A CMRE / Costamare Inc. 5,697,414
2014-02-10 13G/A EVV / Eaton Vance Limited Duration Income Fund 8,249,994
2014-02-10 13G/A EXD / Eaton Vance Tax-Managed Buy-Write Strategy Fund 1,055,930
2014-02-10 13G/A EXG / Eaton Vance Tax-Managed Global Diversified Equity Income Fund 25,342,972
2014-02-10 13G/A FAV / First Trust Dividend and Income Fund 859,808
2014-02-10 13G/A FSD / First Trust High Income Long/Short Fund 2,545,342
2014-02-10 13G/A GDV / The Gabelli Dividend & Income Trust 5,880,333
2014-02-10 13G/A GNT / GAMCO Natural Resources, Gold & Income Trust 799,307
2014-02-10 13G/A HQH / Abrdn Healthcare Investors 2,654,966
2014-02-10 13G/A 473,759
2014-02-10 13G/A XPPRX / Voya Prime Rate Trust 11,476,976
2014-02-10 13G/A ISSC / Innovative Solutions and Support, Inc. 898,157
2014-02-10 13G/A IVR / Invesco Mortgage Capital Inc. 4,574,027
2014-02-10 13G/A VTA / Invesco Dynamic Credit Opportunities Fund 5,929,720
2014-02-10 13G/A MCR / MFS Charter Income Trust 8,485,762
2014-02-10 13G/A MOSY / Mosys Inc 2,171,689
2014-02-10 13G/A NHF / NexPoint Strategic Opportunities Fund 3,083,565
2014-02-10 13G/A NPP / Nuveen Performance Plus Municipal Fund, Inc. 2,943,744
2014-02-10 13G/A JGV / Nuveen Global Equity Income Fund 1,477,739
2014-02-10 13G/A RMRM / RMR Mortgage Trust 580,676
2014-02-10 13G/A DCA / Virtus Total Return Fund 2,132,735
2014-02-10 13G/A MMU / Western Asset Managed Municipals Fund Inc. 3,397,470
2014-02-10 13G/A PFLT / PennantPark Floating Rate Capital Ltd. 705,204
2014-02-10 13G/A DSU / BlackRock Debt Strategies Fund, Inc. 14,935,434
2014-02-10 13G NFJ / Virtus Dividend, Interest & Premium Strategy Fund 7,875,119
2014-02-10 13G AGD / Abrdn Global Dynamic Dividend Fund 2,371,886
2014-02-10 13G AIF / Apollo Tactical Income Fund Inc. 868,233
2014-02-10 13G US09254R1041 / BlackRock MuniYield Investment Fund 792,553
2014-02-10 13G BHL / BlackRock Defined Opportunity Credit Trust 512,713
2014-02-10 13G CTR / ClearBridge MLP and Midstream Total Return Fund Inc. 2,222,767
2014-02-10 13G DRTAX / BNY Mellon Municipal Bond Funds Inc - BNY Mellon Municipal Bond Fund 1,048,691
2014-02-10 13G ETY / Eaton Vance Tax-Managed Diversified Equity Income Fund 8,346,174
2014-02-10 13G ETB / Eaton Vance Tax-Managed Buy-Write Income Fund 1,258,735
2014-02-10 13G FSFR / Fifth Street Senior Floating Rate Corp. 556,398
2014-02-10 13G FEI / First Trust MLP and Energy Income Fund 3,149,121
2014-02-10 13G GRX / The Gabelli Healthcare & Wellness Trust 853,489
2014-02-10 13G GBAB / Guggenheim Taxable Municipal Bond & Investment Grade Debt Trust 1,272,491
2014-02-10 13G IHD / Voya Emerging Markets High Dividend Equity Fund 1,316,106
2014-02-10 13G KIO / KKR Income Opportunities Fund 980,783
2014-02-10 13G / Madison Strategic Sector Premium Fund 422,059
2014-02-10 13G NML / Neuberger Berman Energy Infrastructure and Income Fund Inc. 3,236,330
2014-02-10 13G NRO / Neuberger Berman Real Estate Securities Income Fund Inc. 3,450,328
2014-02-10 13G CTF / Nuveen Long/Short Commodity Total Return Fund 990,060
2014-02-10 13G GHY / PGIM Global High Yield Fund, Inc 2,361,098
2014-02-10 13G XISDX / Prudential Short Duration High 1,664,028
2014-02-10 13G EDF / Virtus Stone Harbor Emerging Markets Income Fund 1,173,155
2014-02-10 13G TYY / 1,134,860
2014-02-10 13G NTG / Tortoise Midstream Energy Fund, Inc. 2,548,268
2014-02-10 13G TTP / Tortoise Pipeline & Energy Fund, Inc. 613,766
2014-02-10 13G SLCA / U.S. Silica Holdings, Inc. 4,030,358
2014-02-10 13G VGI / Virtus Global Multi-Sector Income Fund 639,172
2014-02-10 13G 2,289,083
2014-02-10 13G/A 5,156,755
2014-02-10 13G/A EMD / Western Asset Emerging Markets Debt Fund Inc. 1,076,016
2014-02-10 13G/A TEI / Templeton Emerging Markets Income Fund 1,502,449
2014-02-10 13G/A RMT / Royce Micro-Cap Trust, Inc. 1,862,776
2014-02-10 13G BTO / John Hancock Financial Opportunities Fund 946,014
2014-02-07 13G/A DGI / DigitalGlobe, Inc. 65,802
2014-02-07 13G BID / Sotheby's 3,652,039
2014-02-05 13D/A MITL / Mitel Networks Corp 3,874,330
2014-01-31 13G/A TSLX / Sixth Street Specialty Lending, Inc. 5,994,646
2014-01-31 13G/A KTCC / Key Tronic Corporation 534,697
2014-01-31 13G/A QIHU / Qihoo 360 Technology Co. Ltd. 8,137,592
2014-01-31 13G ABC / Amerisource Bergen Corp. 12,833,048
2014-01-31 13G GTAT / GT Advanced Technologies Inc 6,996,002
2014-01-31 13G QLIK / Qlik Technologies Inc. 4,608,900
2014-01-31 13G WLTGQ / Walter Energy, Inc. 3,232,321
2014-01-28 13G/A AHT / Ashford Hospitality Trust, Inc. 2,353,645
2014-01-28 13G/A US0917271076 / Bitauto Holdings Ltd. 1,226,791
2014-01-28 13G/A BONTQ / The Bon-Ton Stores, Inc. 780,267
2014-01-28 13G/A CIS / Camelot Information Systems Inc. 11,928,552
2014-01-28 13G/A 34958B106 / Fortress Investment Group LLC 14,373,197
2014-01-28 13G/A US2168311072 / Cooper Tire & Rubber Co 3,727,713
2014-01-28 13G/A KFH / KKR Financial Holdings LLC 16,203,116
2014-01-28 13G/A KEM / KraneShares Trust - KraneShares Dynamic Emerging Markets Strategy ETF 3,843,938
2014-01-28 13G/A LOPE / Grand Canyon Education, Inc. 3,156,141
2014-01-28 13G/A MNI / McClatchy Co. (THE) 4,767,112
2014-01-28 13G/A NQ / NQ Mobile Inc. 9,606,276
2014-01-28 13G/A NXST / Nexstar Media Group, Inc. 2,085,133
2014-01-28 13G/A 67059L102 / NuStar GP Holdings, LLC 3,568,407
2014-01-28 13G/A NVE / Nv Energy, Inc. 200
2014-01-28 13G/A SCU / Sculptor Capital Management Inc - Class A 11,877,319
2014-01-28 13G/A OSTK / Overstock.com Inc 1,545,722
2014-01-28 13G/A PMCS / PMC - Sierra, Inc. 13,568,218
2014-01-28 13G/A PRISY / Promotora de Informaciones - ADR Representing Class A share 82,305,254
2014-01-28 13G/A RDWR / Radware Ltd. 4,263,422
2014-01-28 13G/A RH / RH 1,719,117
2014-01-28 13G/A SIR / Select Income REIT 3,434,771
2014-01-28 13G/A TAL / TAL Education Group - Depositary Receipt (Common Stock) 3,772,920
2014-01-28 13G/A FTFT / Future FinTech Group Inc. 2,340,747
2014-01-28 13G CLMS / Calamos Asset Management, Inc. 1,158,590
2014-01-28 13G/A WMB / The Williams Companies, Inc. 39,772,285
2014-01-28 13G/A HOLL / Hollywood Media Corp. 1,351,326
2014-01-17 13G/A EVV / Eaton Vance Limited Duration Income Fund 1,127
2014-01-17 13G/A PHF / Pacholder High Yield Fund, Inc. 486
2014-01-17 13G SIG / Signet Jewelers Limited 4,034,580
2013-12-31 13D NED / Noah Education Holdings Ltd. 2,647,743
2013-12-30 13G NQ / NQ Mobile Inc. 7,916,655
2013-12-23 13D/A 89376V100 / TransMontaigne Partners LP 3,216,122
2013-12-23 13G KFH / KKR Financial Holdings LLC 13,102,925
2013-12-20 13G WMB / The Williams Companies, Inc. 39,327,065
2013-12-20 13G RH / RH 1,967,421
2013-12-10 13G/A JGV / Nuveen Global Equity Income Fund 1,655,708
2013-12-10 13G/A BTZ / BlackRock Credit Allocation Income Trust 2,479,957
2013-12-09 13G/A FSLR / First Solar, Inc. 5,910,110
2013-12-09 13G/A CVA / Covanta Holding Corporation 1,506
2013-12-09 13G/A ROC / ROC Energy Acquisition Corp 0
2013-12-09 13G/A SPRD / Spreadtrum Communications Inc 3,178,371
2013-12-09 13G/A COLE / Cole Office & Industrial REIT (CCIT II) Inc - Class A 13,900,620
2013-12-09 13G ZU / 2,152,551
2013-12-09 13G/A DECK / Deckers Outdoor Corporation 467,788
2013-11-26 13D/A YONG / Yongye International, Inc. 8,908,802
2013-11-20 13G/A YY / JOYY Inc. - Depositary Receipt (Common Stock) 3,962,520
2013-11-15 13G US0917271076 / Bitauto Holdings Ltd. 2,563,573
2013-11-08 13G/A FAV / First Trust Dividend and Income Fund 847,396
2013-11-06 13G 67059L102 / NuStar GP Holdings, LLC 2,140,098
2013-11-06 13G NXST / Nexstar Media Group, Inc. 1,947,033
2013-11-01 13G COLE / Cole Office & Industrial REIT (CCIT II) Inc - Class A 24,644,464
2013-10-25 13G OSTK / Overstock.com Inc 1,203,209
2013-10-25 13G INF / Brookfield Global Listed Infrastructure Income Fund 418,691
2013-10-16 13D/A YONG / Yongye International, Inc. 8,908,502
2013-10-08 13G/A AMTG / Apollo Residential Mortgage, Inc. 808,893
2013-10-08 13G/A SOHU / Sohu.com Limited - Depositary Receipt (Common Stock) 917,920
2013-10-08 13G/A FCE.A / Forest City Realty Trust, Inc. 9,268,801
2013-10-08 13G AHT / Ashford Hospitality Trust, Inc. 4,284,148
2013-09-27 13G/A SODA / SodaStream International Ltd. 463,254
2013-09-27 13G/A ZFC / ZAIS Financial Corp. 46,062
2013-09-27 13G/A BID / Sotheby's 1,621,147
2013-09-25 13D/A YONG / Yongye International, Inc. 8,908,702
2013-09-20 13G LOPE / Grand Canyon Education, Inc. 1,686,539
2013-09-13 13G SIR / Select Income REIT 2,587,070
2013-09-09 13G CRI / Carter's, Inc. 6,066,735
2013-08-19 13G US2168311072 / Cooper Tire & Rubber Co 3,263,731
2013-08-19 13G SOHU / Sohu.com Limited - Depositary Receipt (Common Stock) 2,015,548
2013-08-15 13G SPRD / Spreadtrum Communications Inc 7,388,487
2013-08-08 13G/A CUZ / Cousins Properties Incorporated 4,779,471
2013-08-08 13G/A MTN / Vail Resorts, Inc. 16,015
2013-08-02 13G YY / JOYY Inc. - Depositary Receipt (Common Stock) 8,986,720
2013-07-18 13G OMX / American & Foreign Power, Inc. - Corporate Bond/Note 4,357,951
2013-07-17 13G BID / Sotheby's 3,479,473
2013-07-15 13G WCRX / Warner Chilcott plc 12,575,020
2013-07-10 13G/A US09175M1018 / Blue Nile, Inc. 1,540,366
2013-07-10 13G/A SGL / Strategic Global Income Fund, Inc. 483,263
2013-07-10 13G/A SCOR / comScore, Inc. 726,229
2013-07-03 13G MTN / Vail Resorts, Inc. 1,815,875
2013-07-03 13G SFD / Smithfield Foods, Inc. 7,022,056
2013-06-28 13G NVE / Nv Energy, Inc. 11,904,484
2013-06-10 13G/A EDU / New Oriental Education & Technology Group Inc. - Depositary Receipt (Common Stock) 278,142
2013-06-10 13G/A FUR / Winthrop Realty Trust, Inc. 731,248
2013-06-10 13G/A / Weight Watchers International, Inc. 120
2013-06-10 13G/A 728,455
2013-06-10 13G/A ACP / Abrdn Income Credit Strategies Fund 1,502,969
2013-05-17 13D/A YONG / Yongye International, Inc. 8,821,575
2013-05-07 13G TAL / TAL Education Group - Depositary Receipt (Common Stock) 3,487,158
2013-05-07 13G/A 04544X300 / Assisted Living Concepts Inc 577,314
2013-04-22 13G ZFC / ZAIS Financial Corp. 403,326
2013-04-12 13G RDWR / Radware Ltd. 1,487,113
2013-04-08 13G/A XPO / XPO, Inc. 1,835,760
2013-04-08 13G/A TECH / Bio-Techne Corporation 995,735
2013-04-08 13G/A UPLMQ / Ultra Petroleum Corp. 176,905
2013-04-08 13G/A IPI / Intrepid Potash, Inc. 2,311,326
2013-04-08 13G/A DCA / Virtus Total Return Fund 2,776,080
2013-04-08 13G/A CBB / Cincinnati Bell, Inc. 890,072
2013-04-08 13G/A 04544X300 / Assisted Living Concepts Inc 1,106,460
2013-03-28 13G/A BCYIF / iShares Public Limited Company - iShares Core FTSE 100 UCITS ETF 70,651,332
2013-03-22 13G AMTG / Apollo Residential Mortgage, Inc. 1,587,533
2013-03-07 13G/A 363,258
2013-03-07 13G/A GHL / Greenhill & Co Inc 2,848,818
2013-03-07 13G/A FRGI / Fiesta Restaurant Group Inc 2,554,105
2013-03-04 13D ADY / Feihe International Inc 7,878,135
2013-03-01 13G SODA / SodaStream International Ltd. 1,236,301
2013-03-01 13G/A 10,235
2013-02-27 13G 03875Q108 / Arbitron Inc 1,617,429
2013-02-20 13G NBR / Nabors Industries Ltd. 1,653,737
2013-02-14 13G/A KDP / Keurig Dr Pepper Inc. 14,571,926
2013-02-14 13G/A PFLT / PennantPark Floating Rate Capital Ltd. 585,359
2013-02-14 13G/A ACP / Abrdn Income Credit Strategies Fund 862,793
2013-02-14 13G/A BLW / BlackRock Limited Duration Income Trust 2,007,667
2013-02-14 13G/A BLK / BlackRock, Inc. 3,729,811
2013-02-14 13G/A DSU / BlackRock Debt Strategies Fund, Inc. 10,997,431
2013-02-14 13G/A BSL / Blackstone Senior Floating Rate 2027 Term Fund 833,519
2013-02-14 13G/A GDV / The Gabelli Dividend & Income Trust 5,023,689
2013-02-14 13G/A TEU / Box Ships Inc. 958,290
2013-02-14 13G/A EVV / Eaton Vance Limited Duration Income Fund 8,446,418
2013-02-14 13G/A EXG / Eaton Vance Tax-Managed Global Diversified Equity Income Fund 17,212,806
2013-02-14 13G/A XPPRX / Voya Prime Rate Trust 12,275,938
2013-02-14 13G/A HQH / Abrdn Healthcare Investors 2,454,346
2013-02-14 13G/A ISSC / Innovative Solutions and Support, Inc. 937,328
2013-02-14 13G/A NHF / NexPoint Strategic Opportunities Fund 5,736,430
2013-02-14 13G/A KTCC / Key Tronic Corporation 541,070
2013-02-14 13G/A MOSY / Mosys Inc 2,185,895
2013-02-14 13G/A MCR / MFS Charter Income Trust 10,464,106
2013-02-14 13G/A NFJ / Virtus Dividend, Interest & Premium Strategy Fund 6,793,430
2013-02-14 13G/A JGV / Nuveen Global Equity Income Fund 2,633,700
2013-02-14 13G/A DCA / Virtus Total Return Fund 2,423,202
2013-02-14 13G HLF / Herbalife Ltd. 6,729,188
2013-02-14 13G/A MMU / Western Asset Managed Municipals Fund Inc. 2,311,860
2013-02-14 13G BTZ / BlackRock Credit Allocation Income Trust 3,429,533
2013-02-14 13G MFL / BlackRock MuniHoldings Investment Quality Fund 2,372,567
2013-02-14 13G CEM / ClearBridge MLP and Midstream Fund Inc 4,342,249
2013-02-14 13G EMO / ClearBridge Energy Midstream Opportunity Fund Inc 1,894,448
2013-02-14 13G CMRE / Costamare Inc. 5,334,680
2013-02-14 13G RFI / Cohen & Steers Total Return Realty Fund, Inc. 610,399
2013-02-14 13G FOF / Cohen & Steers Closed-End Opportunity Fund, Inc. 1,689,975
2013-02-14 13G FAV / First Trust Dividend and Income Fund 454,449
2013-02-14 13G EXD / Eaton Vance Tax-Managed Buy-Write Strategy Fund 724,589
2013-02-14 13G 508,330
2013-02-14 13G FSD / First Trust High Income Long/Short Fund 2,269,783
2013-02-14 13G GNT / GAMCO Natural Resources, Gold & Income Trust 1,114,163
2013-02-14 13G IVR / Invesco Mortgage Capital Inc. 7,045,030
2013-02-14 13G VTA / Invesco Dynamic Credit Opportunities Fund 4,838,064
2013-02-14 13G NPP / Nuveen Performance Plus Municipal Fund, Inc. 3,084,707
2013-02-14 13G RMRM / RMR Mortgage Trust 683,504
2013-02-14 13G NBR / Nabors Industries Ltd. 20,304,078
2013-02-14 13G JSN / 4,132,763
2013-02-14 13G SGL / Strategic Global Income Fund, Inc. 1,019,587
2013-02-14 13G ARK / 3,438,910
2013-02-14 13G/A EMD / Western Asset Emerging Markets Debt Fund Inc. 2,572,501
2013-02-14 13G TEI / Templeton Emerging Markets Income Fund 3,154,620
2013-02-14 13G RMT / Royce Micro-Cap Trust, Inc. 1,469,267
2013-02-14 13G/A XTAIX / Transamerica Income Shares, Inc 287,073
2013-02-13 13G/A ABCO / Advisory Board Co. (The) 2,177,448
2013-02-13 13G/A AHT / Ashford Hospitality Trust, Inc. 3,545,608
2013-02-13 13G/A 04685W103 / athenahealth, Inc. 4,301,235
2013-02-13 13G/A CTRN / Citi Trends, Inc. 837,080
2013-02-13 13G/A US09175M1018 / Blue Nile, Inc. 1,041,296
2013-02-13 13G/A CEB / CEB Inc. 2,115,252
2013-02-13 13G/A CSGP / CoStar Group, Inc. 932,893
2013-02-13 13G/A CUZ / Cousins Properties Incorporated 8,478,965
2013-02-13 13G/A CVA / Covanta Holding Corporation 11,557,133
2013-02-13 13G/A US2655041000 / Dunkin' Brands Group, Inc. 7,629,309
2013-02-13 13G/A FRGI / Fiesta Restaurant Group Inc 2,164,280
2013-02-13 13G/A IT / Gartner, Inc. 5,977,885
2013-02-13 13G/A FSLR / First Solar, Inc. 9,756,834
2013-02-13 13G/A FCE.A / Forest City Realty Trust, Inc. 16,584,370
2013-02-13 13G/A GLRE / Greenlight Capital Re, Ltd. 2,033,528
2013-02-13 13G/A GHL / Greenhill & Co Inc 2,802,106
2013-02-13 13G/A ILMN / Illumina, Inc. 10,727,404
2013-02-13 13G/A HPP / Hudson Pacific Properties, Inc. 3,093,001
2013-02-13 13G/A IRWD / Ironwood Pharmaceuticals, Inc. 8,154,543
2013-02-13 13G/A IPI / Intrepid Potash, Inc. 6,837,350
2013-02-13 13G/A LCAV / Lca Vision Inc 822,681
2013-02-13 13G/A MSCI / MSCI Inc. 13,915,317
2013-02-13 13G/A MORN / Morningstar, Inc. 2,992,134
2013-02-13 13G/A OPEN / Opendoor Technologies Inc. 876,179
2013-02-13 13G/A MSI / Motorola Solutions, Inc. 14,819,347
2013-02-13 13G/A ROC / ROC Energy Acquisition Corp 4,967,329
2013-02-13 13G/A SNH / Senior Housing Properties Trust 11,105,149
2013-02-13 13G/A STWD / Starwood Property Trust, Inc. 5,392,031
2013-02-13 13G/A SLH / Solera Holdings, Inc. 9,004,084
2013-02-13 13G/A UPLMQ / Ultra Petroleum Corp. 7,702,046
2013-02-13 13G/A TECH / Bio-Techne Corporation 3,135,761
2013-02-13 13G/A / Weight Watchers International, Inc. 6,926,895
2013-02-13 13G/A VRSK / Verisk Analytics, Inc. 8,875,312
2013-02-13 13G/A ZNGA / Zynga Inc - Class A 26,670,469
2013-02-13 13G/A YNDX / Yandex N.V. 14,868,843
2013-02-13 13G/A FUR / Winthrop Realty Trust, Inc. 1,851,234
2013-02-13 13G 233153204 / DCT Industrial Trust, Inc. 16,231,573
2013-02-13 13G ELS / Equity LifeStyle Properties, Inc. 2,346,524
2013-02-13 13G GRPN / Groupon, Inc. 47,733,361
2013-02-13 13G EDU / New Oriental Education & Technology Group Inc. - Depositary Receipt (Common Stock) 9,705,107
2013-02-13 13G WDAY / Workday, Inc. 1,987,006
2013-02-13 13G XPO / XPO, Inc. 1,172,105
2013-02-13 13G/A HR / Healthcare Realty Trust Incorporated 7,964,827
2013-02-13 13G EQR / Equity Residential 17,037,440
2013-02-13 13G/A REG / Regency Centers Corporation 6,641,641
2013-02-13 13G MLM / Martin Marietta Materials, Inc. 2,576,188
2013-02-13 13G/A CLI / Mack-Cali Realty Corp. 7,659,851
2013-02-13 13G/A 04544X300 / Assisted Living Concepts Inc 3,532,963
2013-02-08 13G/A HMIN / Homeinns Hotel Group 5,428,772
2013-02-08 13G CBB / Cincinnati Bell, Inc. 12,041,332
2013-02-06 13G/A MJN / Mead Johnson Nutrition Co. 10,900,346
2013-02-06 13G/A SNDK / Sandisk Corporation 5,720,676
2013-02-06 13G QIHU / Qihoo 360 Technology Co. Ltd. 6,527,438
2013-02-05 13G/A DGI / DigitalGlobe, Inc. 7,470,359
2013-02-01 13G DECK / Deckers Outdoor Corporation 1,944,409
2013-01-30 13G/A BONTQ / The Bon-Ton Stores, Inc. 1,225,501
2013-01-30 13G/A CIS / Camelot Information Systems Inc. 12,035,280
2013-01-30 13G/A SCOR / comScore, Inc. 2,041,208
2013-01-30 13G/A 34958B106 / Fortress Investment Group LLC 11,218,017
2013-01-30 13G/A KEM / KraneShares Trust - KraneShares Dynamic Emerging Markets Strategy ETF 3,468,013
2013-01-30 13G/A MNI / McClatchy Co. (THE) 5,516,303
2013-01-30 13G/A NYMT / New York Mortgage Trust, Inc. 634,405
2013-01-30 13G/A SCU / Sculptor Capital Management Inc - Class A 10,426,300
2013-01-30 13G/A PMCS / PMC - Sierra, Inc. 10,139,912
2013-01-30 13G/A RHP / Ryman Hospitality Properties, Inc. 1,647,047
2013-01-30 13G/A BCYIF / iShares Public Limited Company - iShares Core FTSE 100 UCITS ETF 56,636,618
2013-01-30 13G/A FTFT / Future FinTech Group Inc. 2,427,180
2013-01-30 13G/A WLTGQ / Walter Energy, Inc. 1,830,741
2013-01-30 13G/A HOLL / Hollywood Media Corp. 1,413,525
2013-01-30 13G/A DGIT / Digital Generation, Inc. 1,319,525
2013-01-23 13G 401,621
2013-01-18 13G/A PHT / Pioneer High Income Fund, Inc. 1,442
2013-01-09 13G/A CORR / CorEnergy Infrastructure Trust, Inc. 2,549,683
2013-01-09 13G/A YOKU / Youku Tudou Inc. 161,357,940
2012-12-28 13D/A YONG / Yongye International, Inc. 6,851,039
2012-12-21 13G PMCS / PMC - Sierra, Inc. 10,134,128
2012-12-21 13G SCOR / comScore, Inc. 1,858,508
2012-12-14 13G/A BPP / 975
2012-12-07 13G/A MCP / 0
2012-12-07 13G/A DECK / Deckers Outdoor Corporation 874,728
2012-12-07 13G/A AIV / Apartment Investment and Management Company 3,975,544
2012-12-03 13D/A ADY / Feihe International Inc 87,972
2012-11-26 13G/A 0
2012-11-20 13G NYMT / New York Mortgage Trust, Inc. 2,601,276
2012-11-16 13G DGIT / Digital Generation, Inc. 1,424,291
2012-11-13 13G RHP / Ryman Hospitality Properties, Inc. 2,644,161
2012-11-08 13G/A LNKD / LinkedIn Corp. 3,360,611
2012-11-08 13G/A OHI / Omega Healthcare Investors, Inc. 1,557,590
2012-11-08 13G/A MCR / MFS Charter Income Trust 9,658,041
2012-11-08 13G FSLR / First Solar, Inc. 10,107,174
2012-11-08 13G/A AKR / Acadia Realty Trust 1,417,047
2012-10-16 13D/A YONG / Yongye International, Inc. 6,858,136
2012-10-11 13D ADY / Feihe International Inc 87,972
2012-10-09 13G/A CXE / MFS High Income Municipal Trust 0
2012-10-09 13G/A CCA / MFS California Municipal Fund 0
2012-10-09 13G/A CMU / MFS High Yield Municipal Trust 0
2012-10-09 13G/A CXH / MFS Investment Grade Municipal Trust 0
2012-10-09 13G/A ROIC / Retail Opportunity Investments Corp. 2,534,132
2012-10-09 13G/A WMC / Western Asset Mortgage Capital Corp 71,598
2012-10-09 13G/A DSU / BlackRock Debt Strategies Fund, Inc. 11,163,878
2012-10-05 13G DECK / Deckers Outdoor Corporation 2,112,742
2012-10-03 13G BONTQ / The Bon-Ton Stores, Inc. 896,827
2012-09-10 13G/A / BlackRock Municipal Income Investment Trust 0
2012-09-10 13G SCU / Sculptor Capital Management Inc - Class A 9,783,195
2012-08-09 13G/A ZNGA / Zynga Inc - Class A 31,838,571
2012-08-09 13G/A STAG / STAG Industrial, Inc. 335,874
2012-08-09 13G/A BIE / BlackRock Municipal Bond Investment Trust 0
2012-08-09 13G/A MNE / BlackRock Muni New York Intermediate Duration Fund, Inc. 0
2012-08-09 13G/A 345838106 / Forest Laboratories Inc 863,846
2012-08-09 13G/A CGEN / Compugen Ltd. 544,573
2012-08-09 13G/A URI / United Rentals, Inc. 2,480,619
2012-08-09 13G WLTGQ / Walter Energy, Inc. 3,211,013
2012-08-09 13G/A 0
2012-07-10 13G/A NWK / Network Equipment Technologies Inc 39,847
2012-07-10 13G/A CORR / CorEnergy Infrastructure Trust, Inc. 1,623,108
2012-07-09 13G/A SMG / The Scotts Miracle-Gro Company 937,448
2012-07-09 13G/A CEDC / 0
2012-07-09 13G/A PFCB / P F Changs China Bistro Inc 1,300
2012-07-09 13G/A ESRX / Express Scripts Holding Co. 4,094,173
2012-07-09 13G/A US09249U1051 / BlackRock New York Insured Municipal Income Quality Trust 0
2012-07-09 13G/A OPEN / Opendoor Technologies Inc. 141,885
2012-07-09 13G/A TPX / Somnigroup International Inc. 248,630
2012-07-09 13G FRGI / Fiesta Restaurant Group Inc 2,403,960
2012-07-09 13G/A 0
2012-06-08 13G/A SLH / Solera Holdings, Inc. 6,999,516
2012-06-08 13G/A COR / Cencora, Inc. 391,111
2012-06-08 13G/A MQY / BlackRock MuniYield Quality Fund, Inc. 0
2012-06-08 13G/A YOKU / Youku Tudou Inc. 173,991,240
2012-06-08 13G WMC / Western Asset Mortgage Capital Corp 550,830
2012-06-08 13G/A 0
2012-06-08 13G 34958B106 / Fortress Investment Group LLC 12,814,202
2012-06-08 13G/A JEF / Jefferies Financial Group Inc. 1,609,723
2012-05-21 13G KEM / KraneShares Trust - KraneShares Dynamic Emerging Markets Strategy ETF 2,279,772
2012-05-18 13G BPP / 923,566
2012-05-11 13G TPX / Somnigroup International Inc. 3,188,978
2012-05-07 13G/A ZNGA / Zynga Inc - Class A 32,010,911
2012-05-07 13G/A MUC / BlackRock MuniHoldings California Quality Fund, Inc. 0
2012-05-07 13G/A LSE / Leishen Energy Holding Co., Ltd. 786,318
2012-05-07 13G/A NHF / NexPoint Strategic Opportunities Fund 6,583,873
2012-04-20 13G URI / United Rentals, Inc. 3,367,576
2012-04-16 13G MNI / McClatchy Co. (THE) 3,075,135
2012-04-09 13G/A / Blackrock New York Municipal Incme Tr II 0
2012-04-09 13G/A / Weight Watchers International, Inc. 6,640,984
2012-03-23 13G OPEN / Opendoor Technologies Inc. 1,134,181
2012-03-12 13G/A / BlackRock Municipal Income Investment Trust
2012-03-12 13G US09249U1051 / BlackRock New York Insured Municipal Income Quality Trust
2012-03-08 13G/A TECH / Bio-Techne Corporation 3,718,050
2012-03-08 13G/A ZNGA / Zynga Inc - Class A 26,424,227
2012-03-08 13G MQY / BlackRock MuniYield Quality Fund, Inc. 544
2012-03-08 13G / Blackrock New York Municipal Incme Tr II 168
2012-03-08 13G MNE / BlackRock Muni New York Intermediate Duration Fund, Inc. 151
2012-03-08 13G BIE / BlackRock Municipal Bond Investment Trust
2012-03-08 13G / BlackRock Municipal Income Investment Trust 123
2012-03-05 13G/A BCYIF / iShares Public Limited Company - iShares Core FTSE 100 UCITS ETF 57,924,846
2012-02-10 13G/A SNDK / Sandisk Corporation 13,424,823
2012-02-10 13G/A KDP / Keurig Dr Pepper Inc. 15,115,461
2012-02-10 13G/A BLW / BlackRock Limited Duration Income Trust 1,926,090
2012-02-10 13G/A CGEN / Compugen Ltd. 1,912,327
2012-02-10 13G/A GDV / The Gabelli Dividend & Income Trust 5,167,691
2012-02-10 13G/A BLK / BlackRock, Inc. 3,118,339
2012-02-10 13G/A NHF / NexPoint Strategic Opportunities Fund 5,348,111
2012-02-10 13G/A SCD / LMP Capital and Income Fund Inc. 754,789
2012-02-10 13G/A XPPRX / Voya Prime Rate Trust 9,833,597
2012-02-10 13G/A MCR / MFS Charter Income Trust 6,790,478
2012-02-10 13G/A JGV / Nuveen Global Equity Income Fund 3,492,065
2012-02-10 13G/A NFJ / Virtus Dividend, Interest & Premium Strategy Fund 6,349,449
2012-02-10 13G/A MMU / Western Asset Managed Municipals Fund Inc. 2,766,365
2012-02-10 13G/A CORR / CorEnergy Infrastructure Trust, Inc. 1,130,162
2012-02-10 13G SMG / The Scotts Miracle-Gro Company 3,128,909
2012-02-10 13G ESRX / Express Scripts Holding Co. 38,073,604
2012-02-10 13G 345838106 / Forest Laboratories Inc 18,579,695
2012-02-10 13G SGNT / Sagent Pharmaceuticals, Inc. 4,288,842
2012-02-10 13G ACP / Abrdn Income Credit Strategies Fund 463,205
2012-02-10 13G DSU / BlackRock Debt Strategies Fund, Inc. 7,397,167
2012-02-10 13G BSL / Blackstone Senior Floating Rate 2027 Term Fund 766,384
2012-02-10 13G TEU / Box Ships Inc. 998,690
2012-02-10 13G EVV / Eaton Vance Limited Duration Income Fund 6,060,448
2012-02-10 13G HQH / Abrdn Healthcare Investors 1,825,538
2012-02-10 13G ISSC / Innovative Solutions and Support, Inc. 1,289,755
2012-02-10 13G NWK / Network Equipment Technologies Inc 1,657,416
2012-02-10 13G KTCC / Key Tronic Corporation 759,394
2012-02-10 13G MOSY / Mosys Inc 2,344,520
2012-02-10 13G DCA / Virtus Total Return Fund 1,693,532
2012-02-10 13G EMD / Western Asset Emerging Markets Debt Fund Inc. 1,797,426
2012-02-10 13G XTAIX / Transamerica Income Shares, Inc 330,894
2012-02-09 13G/A US09249U1051 / BlackRock New York Insured Municipal Income Quality Trust 0
2012-02-09 13G/A NAC / Nuveen California Quality Municipal Income Fund 0
2012-02-09 13G/A NVG / Nuveen AMT-Free Municipal Credit Income Fund 0
2012-02-09 13G/A MUC / BlackRock MuniHoldings California Quality Fund, Inc. 771
2012-02-09 13G/A EVV / Eaton Vance Limited Duration Income Fund 1,126
2012-02-09 13G/A / Voya Prime Rate Trust 0
2012-02-09 13G/A MNP / Western Asset Municipal Partners Fund Inc 135
2012-02-09 13G/A MHD / BlackRock MuniHoldings Fund, Inc. 0
2012-02-09 13G/A US09254T1007 / Blackrock Muniyield Investment Qlty Fund 0
2012-02-09 13G/A TCOM / Trip.com Group Limited - Depositary Receipt (Common Stock) 1,140,017
2012-02-09 13G/A MJN / Mead Johnson Nutrition Co. 12,636,390
2012-02-09 13G/A CIS / Camelot Information Systems Inc. 12,030,080
2012-02-09 13G/A LSE / Leishen Energy Holding Co., Ltd. 5,295,173
2012-02-09 13G/A DGI / DigitalGlobe, Inc. 7,465,900
2012-02-09 13G/A 168,305
2012-02-09 13G/A 34958B106 / Fortress Investment Group LLC 5,989,750
2012-02-09 13G/A SCU / Sculptor Capital Management Inc - Class A 5,293,758
2012-02-09 13G/A OPEN / Opendoor Technologies Inc. 822,591
2012-02-09 13G/A BCYIF / iShares Public Limited Company - iShares Core FTSE 100 UCITS ETF 50,390,573
2012-02-09 13G/A PFLT / PennantPark Floating Rate Capital Ltd. 429,895
2012-02-09 13G/A SOHU / Sohu.com Limited - Depositary Receipt (Common Stock) 1,590,882
2012-02-09 13G/A TIVO / TiVo Inc. 5,380,498
2012-02-09 13G/A FTFT / Future FinTech Group Inc. 1,422,972
2012-02-09 13G EXG / Eaton Vance Tax-Managed Global Diversified Equity Income Fund 15,384,349
2012-02-09 13G/A XNPT / XenoPort, Inc. 55,978
2012-02-09 13G/A 4,104,288
2012-02-09 13G/A HOLL / Hollywood Media Corp. 1,501,602
2012-02-08 13G/A ABCO / Advisory Board Co. (The) 1,499,703
2012-02-08 13G/A 04685W103 / athenahealth, Inc. 4,266,316
2012-02-08 13G/A US09175M1018 / Blue Nile, Inc. 1,436,733
2012-02-08 13G/A CEDC / 4,574,712
2012-02-08 13G/A CTRN / Citi Trends, Inc. 1,155,075
2012-02-08 13G/A CCOI / Cogent Communications Holdings, Inc. 1,438,969
2012-02-08 13G/A COR / Cencora, Inc. 1,139,121
2012-02-08 13G/A CSGP / CoStar Group, Inc. 1,777,037
2012-02-08 13G/A CEB / CEB Inc. 1,880,170
2012-02-08 13G/A CUZ / Cousins Properties Incorporated 11,719,481
2012-02-08 13G/A CVA / Covanta Holding Corporation 12,936,389
2012-02-08 13G/A ELS / Equity LifeStyle Properties, Inc. 1,997,311
2012-02-08 13G/A FCE.A / Forest City Realty Trust, Inc. 17,737,895
2012-02-08 13G/A IT / Gartner, Inc. 5,198,289
2012-02-08 13G/A GLRE / Greenlight Capital Re, Ltd. 2,566,120
2012-02-08 13G/A 1,394,366
2012-02-08 13G/A GHL / Greenhill & Co Inc 3,606,331
2012-02-08 13G/A ILMN / Illumina, Inc. 9,317,417
2012-02-08 13G/A HPP / Hudson Pacific Properties, Inc. 2,521,440
2012-02-08 13G/A IPI / Intrepid Potash, Inc. 7,531,576
2012-02-08 13G/A IRWD / Ironwood Pharmaceuticals, Inc. 9,163,034
2012-02-08 13G/A LCAV / Lca Vision Inc 1,133,676
2012-02-08 13G/A MSCI / MSCI Inc. 14,540,056
2012-02-08 13G/A MCP / 8,647,566
2012-02-08 13G/A PFCB / P F Changs China Bistro Inc 2,300,983
2012-02-08 13G/A MORN / Morningstar, Inc. 3,418,055
2012-02-08 13G/A ROIC / Retail Opportunity Investments Corp. 5,070,972
2012-02-08 13G/A ROC / ROC Energy Acquisition Corp 5,601,902
2012-02-08 13G/A SNH / Senior Housing Properties Trust 8,962,136
2012-02-08 13G/A SLH / Solera Holdings, Inc. 6,455,637
2012-02-08 13G/A TECH / Bio-Techne Corporation 3,643,788
2012-02-08 13G/A TSRA / Tessera Technologies, Inc. 2,257,195
2012-02-08 13G/A UPLMQ / Ultra Petroleum Corp. 10,782,632
2012-02-08 13G/A VRSK / Verisk Analytics, Inc. 8,868,428
2012-02-08 13G/A YNDX / Yandex N.V. 15,809,074
2012-02-08 13G AHT / Ashford Hospitality Trust, Inc. 3,666,895
2012-02-08 13G US2655041000 / Dunkin' Brands Group, Inc. 7,768,368
2012-02-08 13G MSI / Motorola Solutions, Inc. 19,448,052
2012-02-08 13G OHI / Omega Healthcare Investors, Inc. 6,232,615
2012-02-08 13G OPEN / Opendoor Technologies Inc. 1,209,118
2012-02-08 13G STAG / STAG Industrial, Inc. 998,680
2012-02-08 13G STWD / Starwood Property Trust, Inc. 6,895,356
2012-02-08 13G / Weight Watchers International, Inc. 6,393,248
2012-02-08 13G FUR / Winthrop Realty Trust, Inc. 1,850,786
2012-02-08 13G YOKU / Youku Tudou Inc. 132,932,358
2012-02-08 13G/A AKR / Acadia Realty Trust 2,878,555
2012-02-08 13G/A HR / Healthcare Realty Trust Incorporated 10,380,226
2012-02-08 13G/A EQR / Equity Residential 14,093,965
2012-02-08 13G/A CPT / Camden Property Trust 2,336,583
2012-02-08 13G/A REG / Regency Centers Corporation 8,120,650
2012-02-08 13G AIV / Apartment Investment and Management Company 9,272,524
2012-02-08 13G/A CLI / Mack-Cali Realty Corp. 5,192,368
2012-02-08 13G/A 04544X300 / Assisted Living Concepts Inc 3,705,556
2012-02-08 13G JEF / Jefferies Financial Group Inc. 12,612,218
2012-02-03 13G/A HMIN / Homeinns Hotel Group 6,435,254
2012-01-06 13G/A LNKD / LinkedIn Corp. 4,062,992
2012-01-06 13G NAC / Nuveen California Quality Municipal Income Fund 369
2012-01-06 13G ZNGA / Zynga Inc - Class A 16,006,027