|
Biodesix
BDSX
|
$ 1.3
|
$ 107 M
|
$ -31.4 M
|
∙ |
∙ |
∙ |
|
|
5:01 Acquisition Corp.
FVAM
|
$ 10.01
|
$ 107 M
|
$ -1.22 M
|
-111.2
|
∙ |
$ -0.1
|
|
|
MV Oil Trust
MVO
|
$ 9.26
|
$ 106 M
|
$ -43.6 M
|
∙ |
∙ |
∙ |
|
|
Vertical Capital Income Fund
VCIF
|
$ 7.86
|
$ 106 M
|
$ -16.2 M
|
∙ |
∙ |
∙ |
|
|
Tastemaker Acquisition Corp.
TMKRU
|
$ 10.8
|
$ 106 M
|
$ -3.04 M
|
∙ |
∙ |
∙ |
|
|
Lantronix
LTRX
|
$ 2.83
|
$ 106 M
|
$ -1.86 M
|
-14.2
|
0.7
|
$ -0.2
|
|
|
Siebert Financial Corp.
SIEB
|
$ 2.85
|
$ 106 M
|
$ 21 M
|
∙ |
∙ |
∙ |
|
|
Coherus BioSciences
CHRS
|
$ 1.12
|
$ 105 M
|
$ -99.1 M
|
∙ |
∙ |
∙ |
|
|
LIV Capital Acquisition Corp.
LIVK
|
$ 10.4
|
$ 105 M
|
$ 44.6 M
|
∙ |
∙ |
∙ |
|
|
RMR Mortgage Trust
RMRM
|
$ 10.31
|
$ 105 M
|
$ 80.1 M
|
∙ |
∙ |
∙ |
|
|
ADC Therapeutics SA
ADCT
|
$ 1.97
|
$ 105 M
|
$ -239 M
|
-1.0
|
12.5
|
$ -2.8
|
|
|
Nuveen Georgia Quality Municipal Income Fund
NKG
|
$ 10.1
|
$ 105 M
|
$ 1.07 B
|
∙ |
∙ |
∙ |
|
|
Sustainable Development Acquisition I Corp.
SDACU
|
$ 10.38
|
$ 105 M
|
$ -2.92 M
|
∙ |
∙ |
∙ |
|
|
Entasis Therapeutics Holdings
ETTX
|
$ 2.19
|
$ 105 M
|
$ -55.5 M
|
-1.9
|
-21.8
|
$ -1.2
|
|
|
Rhinebeck Bancorp
RBKB
|
$ 9.71
|
$ 105 M
|
$ 82 K
|
∙ |
∙ |
∙ |
|
|
Biofrontera AG
BFRA
|
$ 3.45
|
$ 105 M
|
$ -196 M
|
∙ |
∙ |
∙ |
|
|
Aerpio Pharmaceuticals, Inc.
ARPO
|
$ 2.2
|
$ 104 M
|
$ 12.1 M
|
∙ |
∙ |
∙ |
|
|
Genius Brands International
GNUS
|
$ 3.24
|
$ 104 M
|
$ -25.2 M
|
∙ |
∙ |
∙ |
|
|
Principal Real Estate Income Fund
PGZ
|
$ 10.61
|
$ 104 M
|
$ 135 M
|
∙ |
∙ |
∙ |
|
|
Big Rock Partners Acquisition Corp.
BRPAU
|
$ 38.0
|
$ 103 M
|
$ -8.96 M
|
∙ |
∙ |
∙ |
|
|
MediciNova
MNOV
|
$ 2.11
|
$ 103 M
|
$ -14.1 M
|
∙ |
∙ |
∙ |
|
|
Alto Ingredients
ALTO
|
$ 1.41
|
$ 103 M
|
$ 6.72 M
|
∙ |
∙ |
∙ |
|
|
Coda Octopus Group
CODA
|
$ 9.28
|
$ 103 M
|
$ 4.86 M
|
∙ |
∙ |
∙ |
|
|
Bogota Financial Corp.
BSBK
|
$ 8.0
|
$ 103 M
|
$ 252 K
|
∙ |
∙ |
∙ |
|
|
Digital Media Solutions
DMS
|
$ 2.69
|
$ 103 M
|
$ -13.4 M
|
-0.2
|
0.3
|
$ -16.8
|
|
|
Friedman Industries, Incorporated
FRD
|
$ 14.7
|
$ 102 M
|
$ 12.9 M
|
8.3
|
0.2
|
$ 1.8
|
|
|
Pioneer Diversified High Income Trust
HNW
|
$ 12.27
|
$ 102 M
|
$ 28.1 M
|
∙ |
∙ |
∙ |
|
|
Western Asset Municipal Partners Fund Inc.
MNP
|
$ 10.58
|
$ 102 M
|
$ -11.5 M
|
∙ |
∙ |
∙ |
|
|
Personalis
PSNL
|
$ 2.17
|
$ 102 M
|
$ -69.7 M
|
∙ |
∙ |
∙ |
|
|
IG Acquisition Corp.
IGAC
|
$ 10.12
|
$ 102 M
|
$ -1.72 M
|
8.0
|
∙ |
$ 1.3
|
|
|
PTK Acquisition Corp.
PTK
|
$ 7.74
|
$ 101 M
|
$ -1.23 M
|
∙ |
∙ |
∙ |
|
|
KVH Industries
KVHI
|
$ 5.28
|
$ 101 M
|
$ -601 K
|
∙ |
∙ |
∙ |
|
|
Midwest Holding
MDWT
|
$ 26.99
|
$ 101 M
|
$ 249 K
|
12.5
|
0.9
|
$ 2.1
|
|
|
MFS High Yield Municipal Trust
CMU
|
$ 3.56
|
$ 101 M
|
$ -16.8 M
|
∙ |
∙ |
∙ |
|
|
Unifi
UFI
|
$ 5.58
|
$ 101 M
|
$ -32.5 M
|
∙ |
∙ |
∙ |
|
|
Cohen & Steers MLP Income and Energy Opportunity Fund, Inc.
MIE
|
$ 3.85
|
$ 100 M
|
$ 654 M
|
∙ |
∙ |
∙ |
|
|
RiverNorth Opportunistic Municipal Income Fund, Inc.
RMI
|
$ 15.74
|
$ 100 M
|
$ -2.2 M
|
∙ |
∙ |
∙ |
|
|
MFS Government Markets Income Trust
MGF
|
$ 3.08
|
$ 100 M
|
$ 142 M
|
∙ |
∙ |
∙ |
|
|
Ellington Residential Mortgage REIT
EARN
|
$ 6.73
|
$ 100 M
|
∙ |
∙ |
3.2
|
∙ |
|
|
Heat Biologics, Inc.
HTBX
|
$ 3.93
|
$ 99.8 M
|
$ 2.9 M
|
∙ |
∙ |
∙ |
|
|
Nuveen Mortgage and Income Fund
JLS
|
$ 18.23
|
$ 99.8 M
|
$ 988 M
|
∙ |
∙ |
∙ |
|
|
First Northwest Bancorp
FNWB
|
$ 11.18
|
$ 99.7 M
|
$ 1.49 M
|
∙ |
∙ |
∙ |
|
|
Wells Fargo Advantage Utilities and High Income Fund
ERH
|
$ 11.09
|
$ 99.7 M
|
∙ |
∙ |
∙ |
∙ |
|
|
Brainsway Ltd.
BWAY
|
$ 9.91
|
$ 99.4 M
|
∙ |
∙ |
∙ |
∙ |
|
|
Golden Falcon Acquisition Corp.
GFX
|
$ 10.23
|
$ 99.2 M
|
$ -2.9 M
|
∙ |
∙ |
∙ |
|
|
Veritone
VERI
|
$ 2.75
|
$ 99.1 M
|
$ -89.6 M
|
∙ |
∙ |
∙ |
|
|
Seres Therapeutics
MCRB
|
$ 0.77
|
$ 98.6 M
|
$ -139 M
|
∙ |
∙ |
∙ |
|
|
Five Star Senior Living Inc.
FVE
|
$ 3.1
|
$ 98.4 M
|
$ 799 K
|
∙ |
∙ |
∙ |
|
|
Jounce Therapeutics
JNCE
|
$ 1.88
|
$ 98.4 M
|
$ -98.6 M
|
-0.6
|
0.3
|
$ -2.0
|
|
|
Canterbury Park Holding Corporation
CPHC
|
$ 19.99
|
$ 98.4 M
|
$ 17.5 M
|
∙ |
∙ |
∙ |
|
|
Hancock Jaffe Laboratories, Inc.
HJLI
|
$ 10.38
|
$ 98.3 M
|
$ 796 M
|
∙ |
∙ |
∙ |
|
|
Karyopharm Therapeutics
KPTI
|
$ 0.86
|
$ 98.2 M
|
$ -138 M
|
∙ |
∙ |
∙ |
|
|
The Korea Fund, Inc.
KF
|
$ 20.15
|
$ 97.4 M
|
$ 1.24 B
|
∙ |
∙ |
∙ |
|
|
Shineco, Inc.
TYHT
|
$ 11.09
|
$ 97.2 M
|
$ 654 M
|
∙ |
∙ |
∙ |
|
|
GAMCO Natural Resources, Gold & Income Trust
GNT
|
$ 5.81
|
$ 97.1 M
|
$ 890 K
|
∙ |
∙ |
∙ |
|
|
PetMed Express
PETS
|
$ 4.76
|
$ 97.1 M
|
$ 9.6 M
|
∙ |
∙ |
∙ |
|
|
Eledon Pharmaceuticals
ELDN
|
$ 3.94
|
$ 97 M
|
$ -40.2 M
|
∙ |
∙ |
∙ |
|
|
Harvard Bioscience
HBIO
|
$ 2.28
|
$ 96.7 M
|
$ -2.72 M
|
∙ |
∙ |
∙ |
|
|
BlackRock New York Municipal Income Quality Trust
BSE
|
$ 14.79
|
$ 96.4 M
|
∙ |
∙ |
∙ |
∙ |
|
|
Silicom Ltd.
SILC
|
$ 14.37
|
$ 96.3 M
|
$ 14.2 M
|
22.4
|
2.3
|
$ 1.7
|
|
|
Lee Enterprises, Incorporated
LEE
|
$ 16.4
|
$ 96.2 M
|
$ 49.3 M
|
-4.0
|
0.1
|
$ -2.4
|
|
|
Kandi Technologies Group
KNDI
|
$ 1.22
|
$ 96.1 M
|
$ 2.35 M
|
33.5
|
1.9
|
$ 0.1
|
|
|
Blink Charging Co.
BLNK
|
$ 1.51
|
$ 95.8 M
|
$ -79.8 M
|
∙ |
∙ |
∙ |
|
|
GWG Holdings, Inc.
GWGH
|
$ 2.89
|
$ 95.7 M
|
$ -6.39 M
|
∙ |
∙ |
∙ |
|
|
Aequi Acquisition Corp.
ARBG
|
$ 10.24
|
$ 95.6 M
|
$ -789 K
|
∙ |
∙ |
∙ |
|
|
CuriosityStream
CURI
|
$ 1.8
|
$ 95.5 M
|
$ -30.6 M
|
∙ |
∙ |
∙ |
|
|
The GDL Fund
GDL
|
$ 8.1
|
$ 95.5 M
|
$ 271 M
|
∙ |
∙ |
∙ |
|
|
Territorial Bancorp
TBNK
|
$ 11.03
|
$ 95.3 M
|
$ 2.16 M
|
∙ |
∙ |
∙ |
|
|
Smart Sand
SND
|
$ 2.43
|
$ 94.6 M
|
$ 13.5 M
|
∙ |
∙ |
∙ |
|
|
QuickLogic Corporation
QUIK
|
$ 7.5
|
$ 94.4 M
|
$ -826 K
|
∙ |
∙ |
∙ |
|
|
Adams Resources & Energy
AE
|
$ 37.2
|
$ 94.3 M
|
$ 20.8 M
|
∙ |
∙ |
∙ |
|
|
Oramed Pharmaceuticals
ORMP
|
$ 2.33
|
$ 93.9 M
|
$ -27.6 M
|
∙ |
∙ |
∙ |
|
|
Airgain
AIRG
|
$ 9.01
|
$ 93.6 M
|
$ -8.31 M
|
∙ |
∙ |
∙ |
|
|
Comtech Telecommunications Corp.
CMTL
|
$ 3.25
|
$ 93.6 M
|
$ -22.2 M
|
-8.2
|
0.6
|
$ -1.5
|
|
|
Eaton Vance Tax-Advantaged Bond and Option Strategies Fund
EXD
|
$ 9.58
|
$ 93.6 M
|
$ 8.81 B
|
∙ |
∙ |
∙ |
|
|
Research Solutions
RSSS
|
$ 3.24
|
$ 93.5 M
|
$ 52.8 K
|
∙ |
∙ |
∙ |
|
|
RiverNorth Flexible Municipal Income Fund, Inc.
RFM
|
$ 15.29
|
$ 93.5 M
|
$ -65.5 M
|
∙ |
∙ |
∙ |
|
|
Synchronoss Technologies
SNCR
|
$ 9.5
|
$ 93.3 M
|
$ 27.9 M
|
∙ |
∙ |
∙ |
|
|
Petra Acquisition, Inc.
PAIC
|
$ 10.2
|
$ 92.8 M
|
$ 133 M
|
∙ |
∙ |
∙ |
|
|
PCM Fund Inc.
PCM
|
$ 8.04
|
$ 92.7 M
|
$ 793 M
|
∙ |
∙ |
∙ |
|
|
Clough Global Dividend and Income Fund
GLV
|
$ 7.77
|
$ 92.4 M
|
$ -55.7 M
|
∙ |
∙ |
∙ |
|
|
Yunhong International
ZGYH
|
$ 10.31
|
$ 92.2 M
|
$ 23.7 M
|
∙ |
∙ |
∙ |
|
|
PIMCO Global StocksPLUS & Income Fund
PGP
|
$ 8.03
|
$ 91.9 M
|
$ 20.8 M
|
∙ |
∙ |
∙ |
|
|
Purple Innovation
PRPL
|
$ 0.88
|
$ 91.2 M
|
$ -87.1 M
|
∙ |
0.2
|
∙ |
|
|
Inovio Pharmaceuticals
INO
|
$ 4.11
|
$ 91.1 M
|
$ -210 M
|
∙ |
∙ |
∙ |
|
|
GreenPower Motor Company
GP
|
$ 2.76
|
$ 91.1 M
|
∙ |
∙ |
∙ |
∙ |
|
|
U.S. Well Services
USWS
|
$ 7.08
|
$ 91 M
|
$ -29.7 M
|
-1.4
|
0.4
|
$ -4.9
|
|
|
Orchard Therapeutics plc
ORTX
|
$ 4.93
|
$ 90.8 M
|
$ -94.9 M
|
-6.9
|
4.4
|
$ -0.7
|
|
|
Kaleyra
KLR
|
$ 7.24
|
$ 90.8 M
|
$ -845 K
|
-1.2
|
0.1
|
$ -3.0
|
|
|
Chardan Healthcare Acquisition 2 Corp.
CHAQ
|
$ 8.41
|
$ 90.6 M
|
$ 354 M
|
∙ |
∙ |
∙ |
|
|
inTEST Corporation
INTT
|
$ 7.56
|
$ 90.4 M
|
$ 7.42 M
|
25.0
|
0.7
|
$ 0.3
|
|
|
SuRo Capital Corp.
SSSS
|
$ 5.08
|
$ 90.4 M
|
$ 358 M
|
∙ |
∙ |
∙ |
|
|
LifeSci Acquisition II Corp.
LSAQ
|
$ 9.01
|
$ 90.2 M
|
$ 240 M
|
∙ |
∙ |
∙ |
|
|
Magal Security Systems Ltd.
MAGS
|
$ 3.89
|
$ 90.2 M
|
∙ |
∙ |
∙ |
∙ |
|
|
International Tower Hill Mines Ltd.
THM
|
$ 0.46
|
$ 90 M
|
$ 1.25 K
|
∙ |
∙ |
∙ |
|
|
Osmotica Pharmaceuticals plc
OSMT
|
$ 1.08
|
$ 89.9 M
|
$ 488 M
|
∙ |
∙ |
∙ |
|
|
Verastem
VSTM
|
$ 4.07
|
$ 89.8 M
|
$ -86.3 M
|
∙ |
∙ |
∙ |
|
|
American Resources Corporation
AREC
|
$ 1.19
|
$ 89.8 M
|
$ -19.3 M
|
∙ |
∙ |
∙ |
|
|
RiverNorth Specialty Finance Corporation
RSF
|
$ 15.15
|
$ 89.6 M
|
$ 2.33 B
|
∙ |
∙ |
∙ |
|
|
Bancroft Fund Ltd.
BCV
|
$ 18.18
|
$ 89.5 M
|
$ -13.8 M
|
∙ |
∙ |
∙ |
|
|
Houston Wire & Cable Company
HWCC
|
$ 5.3
|
$ 89.5 M
|
$ 22.6 M
|
∙ |
∙ |
∙ |
|
|
FAT Brands
FAT
|
$ 5.39
|
$ 89.5 M
|
$ 31.9 M
|
∙ |
∙ |
∙ |
|
|
Red Lion Hotels Corporation
RLH
|
$ 3.49
|
$ 89 M
|
$ 203 M
|
∙ |
∙ |
∙ |
|
|
Generation Bio Co.
GBIO
|
$ 1.37
|
$ 88.3 M
|
$ -145 M
|
∙ |
∙ |
∙ |
|
|
Lineage Cell Therapeutics
LCTX
|
$ 0.51
|
$ 88.1 M
|
$ -22.5 M
|
∙ |
∙ |
∙ |
|
|
PLBY Group
PLBY
|
$ 1.23
|
$ 87.7 M
|
$ -41.7 M
|
∙ |
∙ |
∙ |
|
|
Forum Energy Technologies
FET
|
$ 15.25
|
$ 87.6 M
|
$ 40.1 M
|
-7.7
|
0.1
|
$ -1.8
|
|
|
Comstock Holding Companies
CHCI
|
$ 9.1
|
$ 87.6 M
|
$ 10.8 M
|
10.7
|
1.9
|
$ 0.9
|
|
|
Capstone Turbine Corporation
CPST
|
$ 7.48
|
$ 87.6 M
|
$ 1.67 M
|
∙ |
∙ |
∙ |
|
|
Noble Rock Acquisition Corporation
NRACU
|
$ 10.93
|
$ 87.5 M
|
$ -1.18 M
|
23.4
|
∙ |
$ 0.4
|
|
|
INmune Bio
INMB
|
$ 4.85
|
$ 87.2 M
|
$ -37.1 M
|
∙ |
∙ |
∙ |
|
|
Synacor, Inc.
SYNC
|
$ 2.19
|
$ 87.2 M
|
$ 357 M
|
∙ |
∙ |
∙ |
|
|
Berkeley Lights
BLI
|
$ 1.21
|
$ 87 M
|
$ -108 M
|
-0.8
|
1.2
|
$ -1.5
|
|
|
Vaxart
VXRT
|
$ 0.6
|
$ 86.9 M
|
$ -67.5 M
|
∙ |
∙ |
∙ |
|
|
Invesco High Income 2024 Target Term Fund
IHTA
|
$ 7.54
|
$ 86.8 M
|
$ 1.09 M
|
∙ |
∙ |
∙ |
|
|
Emclaire Financial Corp
EMCF
|
$ 31.6
|
$ 86.4 M
|
$ 3 M
|
7.9
|
27.7
|
$ 4.0
|
|
|
Lightbridge Corporation
LTBR
|
$ 6.3
|
$ 86.3 M
|
$ -7.61 M
|
∙ |
∙ |
∙ |
|
|
Altitude Acquisition Corp.
ALTU
|
$ 10.12
|
$ 85.8 M
|
$ -5.38 M
|
∙ |
∙ |
∙ |
|
|
TPI Composites
TPIC
|
$ 2.0
|
$ 85.3 M
|
$ -15.6 M
|
∙ |
∙ |
∙ |
|
|
Pathfinder Bancorp
PBHC
|
$ 18.05
|
$ 85.2 M
|
$ 2.6 M
|
∙ |
∙ |
∙ |
|
|
Magyar Bancorp
MGYR
|
$ 13.25
|
$ 85.1 M
|
$ 1.26 M
|
∙ |
∙ |
∙ |
|
|
Nuveen California Select Tax-Free Income Portfolio
NXC
|
$ 13.37
|
$ 85.1 M
|
$ 130 M
|
∙ |
∙ |
∙ |
|
|
ACE Convergence Acquisition Corp.
ACEV
|
$ 10.0
|
$ 84.9 M
|
$ -19.3 M
|
-4.7
|
12.7
|
$ -2.1
|
|
|
Relmada Therapeutics
RLMD
|
$ 2.82
|
$ 84.9 M
|
$ -165 M
|
∙ |
∙ |
∙ |
|
|
J.W. Mays
MAYS
|
$ 42.0
|
$ 84.7 M
|
$ 1.15 M
|
-216.2
|
4.0
|
$ -0.2
|
|
|
Achieve Life Sciences
ACHV
|
$ 4.26
|
$ 84.5 M
|
$ 448 K
|
∙ |
∙ |
∙ |
|
|
VirTra
VTSI
|
$ 7.68
|
$ 84.2 M
|
$ 6.41 M
|
∙ |
∙ |
∙ |
|
|
Theratechnologies
THTX
|
$ 1.2
|
$ 83.9 M
|
∙ |
∙ |
∙ |
∙ |
|
|
Aspira Women's Health
AWH
|
$ 0.72
|
$ 83.9 M
|
$ -27.4 M
|
∙ |
∙ |
∙ |
|
|
Net Element, Inc.
NETE
|
$ 13.09
|
$ 83.8 M
|
$ -60.2 M
|
∙ |
∙ |
∙ |
|
|
Village Farms International
VFF
|
$ 0.77
|
$ 83.7 M
|
$ 19 M
|
∙ |
∙ |
∙ |
|
|
Nuveen Municipal Income Fund, Inc.
NMI
|
$ 9.48
|
$ 83.6 M
|
$ 79.3 M
|
∙ |
∙ |
∙ |
|
|
Tanzanian Gold Corporation
TRX
|
$ 0.36
|
$ 83.6 M
|
∙ |
∙ |
34.2
|
∙ |
|
|
Identiv
INVE
|
$ 3.91
|
$ 83.4 M
|
$ -14.8 M
|
∙ |
∙ |
∙ |
|
|
Bridgford Foods Corporation
BRID
|
$ 9.19
|
$ 83.4 M
|
$ 132 M
|
∙ |
∙ |
∙ |
|
|
Clipper Realty
CLPR
|
$ 5.19
|
$ 83.4 M
|
$ 68.6 M
|
∙ |
∙ |
∙ |
|
|
Edify Acquisition Corp.
EACPU
|
$ 10.92
|
$ 83.3 M
|
$ -1.61 M
|
∙ |
∙ |
∙ |
|
|
TESSCO Technologies Incorporated
TESS
|
$ 8.99
|
$ 83.3 M
|
$ 7.5 M
|
10.5
|
0.0
|
$ 0.4
|
|
|
AXT
AXTI
|
$ 1.95
|
$ 83.2 M
|
$ 23.3 M
|
∙ |
∙ |
∙ |
|
|
PIMCO New York Municipal Income Fund II
PNI
|
$ 7.39
|
$ 82.9 M
|
$ 32.7 M
|
∙ |
∙ |
∙ |
|
|
Seanergy Maritime Holdings Corp.
SHIP
|
$ 4.13
|
$ 82.6 M
|
∙ |
∙ |
∙ |
∙ |
|
|
908 Devices
MASS
|
$ 2.56
|
$ 82.5 M
|
$ -62.4 M
|
∙ |
∙ |
∙ |
|
|
Red Robin Gourmet Burgers
RRGB
|
$ 5.21
|
$ 82.5 M
|
$ 38.1 M
|
∙ |
∙ |
∙ |
|
|
Angel Oak Dynamic Financial Strategies Income Term Trust
DYFN
|
$ 17.34
|
$ 82.4 M
|
$ -6.07 B
|
∙ |
∙ |
∙ |
|
|
OptimizeRx Corporation
OPRX
|
$ 4.81
|
$ 82.4 M
|
$ -17.2 M
|
∙ |
∙ |
∙ |
|
|
Amtech Systems
ASYS
|
$ 5.84
|
$ 82.1 M
|
$ -5.62 M
|
∙ |
∙ |
∙ |
|
|
Prospector Capital Corp.
PRSRU
|
$ 4.43
|
$ 82 M
|
$ -5.23 M
|
∙ |
∙ |
∙ |
|
|
Elmira Savings Bank
ESBK
|
$ 23.1
|
$ 81.9 M
|
$ 3.69 B
|
∙ |
∙ |
∙ |
|
|
Eaton Vance New York Municipal Income Trust
EVY
|
$ 15.17
|
$ 81.9 M
|
$ 210 M
|
∙ |
∙ |
∙ |
|
|
Lake Shore Bancorp
LSBK
|
$ 13.96
|
$ 81.7 M
|
∙ |
∙ |
∙ |
∙ |
|
|
GAN Limited
GAN
|
$ 1.85
|
$ 81.7 M
|
$ 1.96 M
|
∙ |
∙ |
∙ |
|
|
Auburn National Bancorporation
AUBN
|
$ 23.35
|
$ 81.7 M
|
$ 2.2 M
|
12.0
|
124.7
|
$ 1.8
|
|
|
Spark Networks SE
LOV
|
$ 3.12
|
$ 81.6 M
|
$ -29.2 M
|
-0.2
|
0.5
|
$ -19.4
|
|
|
Armata Pharmaceuticals
ARMP
|
$ 2.26
|
$ 81.5 M
|
$ -41.1 M
|
∙ |
∙ |
∙ |
|
|
WW International
WW
|
$ 1.06
|
$ 81.3 M
|
$ -201 M
|
-0.2
|
0.1
|
$ -4.1
|
|
|
ESSA Pharma
EPIX
|
$ 1.84
|
$ 81.1 M
|
∙ |
∙ |
∙ |
∙ |
|
|
Fauquier Bankshares, Inc.
FBSS
|
$ 21.28
|
$ 81 M
|
$ -20.7 M
|
∙ |
∙ |
∙ |
|
|
LENSAR
LNSR
|
$ 7.38
|
$ 81 M
|
$ -10.4 M
|
∙ |
∙ |
∙ |
|
|
Saga Communications
SGA
|
$ 13.38
|
$ 80.7 M
|
$ 13.1 M
|
7.9
|
0.7
|
$ 1.6
|
|
|
Aberdeen Income Credit Strategies Fund
ACP
|
$ 6.41
|
$ 80.6 M
|
$ -51.7 M
|
∙ |
∙ |
∙ |
|
|
Commercial Vehicle Group
CVGI
|
$ 2.43
|
$ 80.3 M
|
$ 20.8 M
|
∙ |
∙ |
∙ |
|
|
GSI Technology
GSIT
|
$ 3.18
|
$ 80 M
|
$ -14.7 M
|
∙ |
∙ |
∙ |
|
|
Laird Superfood
LSF
|
$ 8.6
|
$ 80 M
|
$ -4.35 M
|
∙ |
∙ |
∙ |
|
|
Chimerix
CMRX
|
$ 0.9
|
$ 79.7 M
|
$ -60.2 M
|
∙ |
∙ |
∙ |
|
|
Industrial Tech Acquisitions, Inc.
ITAC
|
$ 8.2
|
$ 79.4 M
|
$ 1.1 B
|
∙ |
∙ |
∙ |
|
|
DTF Tax-Free Income Inc.
DTF
|
$ 11.26
|
$ 79.2 M
|
$ 74 M
|
∙ |
∙ |
∙ |
|
|
Allakos
ALLK
|
$ 0.91
|
$ 79 M
|
$ -165 M
|
∙ |
∙ |
∙ |
|
|
Aberdeen Japan Equity Fund, Inc.
JEQ
|
$ 5.69
|
$ 78.7 M
|
$ 345 M
|
∙ |
∙ |
∙ |
|
|
CBAK Energy Technology
CBAT
|
$ 0.88
|
$ 78.5 M
|
$ 28.2 M
|
∙ |
∙ |
∙ |
|
|
Voya Natural Resources Equity Income Fund
IRR
|
$ 3.72
|
$ 78.5 M
|
$ 1.01 M
|
∙ |
∙ |
∙ |
|
|
The Central and Eastern Europe Fund, Inc.
CEE
|
$ 12.22
|
$ 78.2 M
|
$ 19.5 M
|
∙ |
∙ |
∙ |
|
|
The Cushing MLP & Infrastructure Total Return Fund
SRV
|
$ 44.42
|
$ 78.1 M
|
$ 3.25 M
|
∙ |
∙ |
∙ |
|
|
Hennessy Advisors
HNNA
|
$ 10.43
|
$ 78.1 M
|
$ 7.56 M
|
∙ |
∙ |
∙ |
|
|
L&F Acquisition Corp.
LNFA
|
$ 10.08
|
$ 78 M
|
$ -819 M
|
-1.4
|
0.4
|
$ -7.0
|
|
|
Nuveen Corporate Income 2023 Target Term Fund
JHAA
|
$ 9.7
|
$ 77.9 M
|
∙ |
∙ |
∙ |
∙ |
|
|
Nuveen Minnesota Quality Municipal Income Fund
NMS
|
$ 13.4
|
$ 77.5 M
|
$ 1.15 B
|
∙ |
∙ |
∙ |
|
|
HV Bancorp
HVBC
|
$ 34.6
|
$ 77.4 M
|
$ 1.21 M
|
22.7
|
77.8
|
$ 1.3
|
|
|
BlackRock New York Municipal Income Trust II
BFY
|
$ 15.41
|
$ 77.1 M
|
$ 5.45 M
|
∙ |
∙ |
∙ |
|
|
The Gabelli Convertible and Income Securities Fund Inc.
GCV
|
$ 3.98
|
$ 77.1 M
|
$ -177 M
|
∙ |
∙ |
∙ |
|
|
PEDEVCO Corp.
PED
|
$ 0.9
|
$ 77 M
|
$ 20.7 M
|
∙ |
∙ |
∙ |
|
|
Tuscan Holdings Corp. II
THCA
|
$ 10.45
|
$ 76.9 M
|
$ -1.25 M
|
130.6
|
39.9
|
$ 0.1
|
|
|
PMV Pharmaceuticals
PMVP
|
$ 1.6
|
$ 76.8 M
|
$ -80.3 M
|
∙ |
∙ |
∙ |
|
|
LightJump Acquisition Corporation
LJAQU
|
$ 13.15
|
$ 76.7 M
|
$ -3.06 M
|
-65.8
|
∙ |
$ -0.2
|
|
|
Ignyte Acquisition Corp.
IGNYU
|
$ 10.0
|
$ 76.5 M
|
$ -3.84 M
|
∙ |
∙ |
∙ |
|
|
United States Antimony Corporation
UAMY
|
$ 0.71
|
$ 76.4 M
|
$ -1.06 M
|
∙ |
∙ |
∙ |
|
|
Team
TISI
|
$ 17.44
|
$ 76.2 M
|
$ 39.9 M
|
∙ |
∙ |
∙ |
|
|
Espey Mfg. & Electronics Corp.
ESP
|
$ 30.59
|
$ 76.1 M
|
$ 5.65 M
|
∙ |
∙ |
∙ |
|
|
Goal Acquisitions Corp.
PUCKU
|
$ 10.45
|
$ 76.1 M
|
$ -3.65 M
|
∙ |
∙ |
∙ |
|
|
Stone Harbor Emerging Markets Income Fund
EDF
|
$ 5.01
|
$ 76.1 M
|
∙ |
∙ |
∙ |
∙ |
|
|
Oconee Federal Financial Corp.
OFED
|
$ 13.52
|
$ 75.8 M
|
$ 2.29 M
|
18.5
|
∙ |
$ 1.0
|
|
|
Marchex
MCHX
|
$ 1.73
|
$ 75.6 M
|
$ -8.89 M
|
-7.9
|
1.6
|
$ -0.2
|
|
|
Americas Technology Acquisition Corp.
ATA
|
$ 10.59
|
$ 75.6 M
|
$ -1.86 M
|
132.4
|
∙ |
$ 0.1
|
|
|
BioAtla
BCAB
|
$ 1.58
|
$ 75.5 M
|
$ -107 M
|
∙ |
∙ |
∙ |
|
|
DHI Group
DHX
|
$ 1.73
|
$ 75.4 M
|
$ 24 M
|
∙ |
∙ |
∙ |
|
|
Stone Harbor Emerging Markets Total Income Fund
EDI
|
$ 5.02
|
$ 75.1 M
|
∙ |
∙ |
∙ |
∙ |
|
|
Westport Fuel Systems
WPRT
|
$ 4.37
|
$ 75 M
|
∙ |
∙ |
∙ |
∙ |
|
|
Sportsman's Warehouse Holdings
SPWH
|
$ 2.0
|
$ 75 M
|
$ 56.7 M
|
∙ |
∙ |
∙ |
|
|
AMCON Distributing Company
DIT
|
$ 125.13
|
$ 75 M
|
$ 29.7 M
|
∙ |
∙ |
∙ |
|
|
U.S. Gold Corp.
USAU
|
$ 7.99
|
$ 74.8 M
|
$ -8.53 M
|
∙ |
∙ |
∙ |
|
|
First US Bancshares
FUSB
|
$ 12.5
|
$ 74.6 M
|
$ 1.62 M
|
∙ |
∙ |
∙ |
|
|
MedTech Acquisition Corporation
MTAC
|
$ 11.34
|
$ 74.2 M
|
$ -29.8 M
|
∙ |
∙ |
∙ |
|
|
Exagen
XGN
|
$ 4.14
|
$ 73.2 M
|
$ -13.4 M
|
∙ |
∙ |
∙ |
|
|
Eaton Vance California Municipal Income Trust
CEV
|
$ 10.4
|
$ 73.2 M
|
$ -10.3 M
|
∙ |
∙ |
∙ |
|
|
Virios Therapeutics, LLC
VIRI
|
$ 3.88
|
$ 72.9 M
|
$ -6.12 M
|
∙ |
∙ |
∙ |
|
|
Tectonic Financial
TECTP
|
$ 10.32
|
$ 72.8 M
|
$ 457 K
|
∙ |
∙ |
∙ |
|
|
CSP
CSPI
|
$ 16.61
|
$ 72.8 M
|
$ 81 K
|
∙ |
∙ |
∙ |
|
|
Great Ajax Corp.
AJX
|
$ 2.99
|
$ 72.6 M
|
$ 50 K
|
∙ |
∙ |
∙ |
|
|
United Bancorp
UBCP
|
$ 13.2
|
$ 72.5 M
|
$ 1.8 M
|
∙ |
∙ |
∙ |
|
|
KINS Technology Group
KINZ
|
$ 9.94
|
$ 72.4 M
|
$ -2.07 M
|
∙ |
∙ |
∙ |
|
|
Vista Gold Corp.
VGZ
|
$ 0.6
|
$ 72.3 M
|
$ 47 K
|
∙ |
∙ |
∙ |
|
|
Tuatara Capital Acquisition Corporation
TCACU
|
$ 8.68
|
$ 72.3 M
|
$ -2.86 M
|
∙ |
∙ |
∙ |
|
|
Macquarie/First Trust Global Infrastructure/Utilities Dividend & Income Fund
MFD
|
$ 8.45
|
$ 72.2 M
|
∙ |
∙ |
∙ |
∙ |
|
|
Ovid Therapeutics
OVID
|
$ 1.02
|
$ 72 M
|
$ -62.7 M
|
∙ |
∙ |
∙ |
|
|
Fiduciary/Claymore Energy Infrastructure Fund
FMO
|
$ 10.11
|
$ 71.7 M
|
$ 3.59 M
|
∙ |
∙ |
∙ |
|
|
Tiziana Life Sciences PLC
TLSA
|
$ 0.96
|
$ 71.5 M
|
∙ |
∙ |
∙ |
∙ |
|
|
Infosys Limited
INFY
|
$ 22.78
|
$ 70.9 M
|
∙ |
∙ |
∙ |
∙ |
|
|
Agrify Corporation
AGFY
|
$ 47.44
|
$ 70.7 M
|
$ -9.09 M
|
∙ |
∙ |
∙ |
|
|
Avalon GloboCare Corp.
AVCO
|
$ 0.71
|
$ 70.6 M
|
$ -5.24 M
|
∙ |
∙ |
∙ |
|
|
Checkpoint Therapeutics
CKPT
|
$ 3.76
|
$ 70.5 M
|
$ -40.3 M
|
∙ |
∙ |
∙ |
|
|
Sachem Capital Corp.
SACH
|
$ 1.59
|
$ 70.3 M
|
$ 151 K
|
∙ |
∙ |
∙ |
|
|
Urban One
UONE
|
$ 1.47
|
$ 70 M
|
$ -122 M
|
-0.6
|
0.2
|
$ -2.6
|
|
|
The Cato Corporation
CATO
|
$ 3.61
|
$ 70 M
|
$ 19.7 M
|
11.5
|
0.2
|
$ 0.5
|
|
|
Blue Water Acquisition Corp.
BLUW
|
$ 9.63
|
$ 69.8 M
|
$ -564 M
|
∙ |
∙ |
∙ |
|
|
FSD Pharma
HUGE
|
$ 5.84
|
$ 69.7 M
|
∙ |
∙ |
∙ |
∙ |
|
|
TELA Bio
TELA
|
$ 3.03
|
$ 69.3 M
|
$ -40.2 M
|
∙ |
∙ |
∙ |
|
|
The Gabelli Global Utility & Income Trust
GLU
|
$ 16.55
|
$ 69 M
|
$ -55.7 M
|
∙ |
∙ |
∙ |
|
|
Capitala Finance Corp.
CPTA
|
$ 25.4
|
$ 68.9 M
|
$ 417 M
|
∙ |
∙ |
∙ |
|
|
Lionheart Acquisition Corporation II
LCAP
|
$ 3.73
|
$ 68.8 M
|
$ 25.5 M
|
∙ |
∙ |
∙ |
|
|
Assembly Biosciences
ASMB
|
$ 14.99
|
$ 68.6 M
|
$ -77.5 M
|
∙ |
∙ |
∙ |
|
|
Brookline Capital Acquisition Corp.
BCAC
|
$ 10.17
|
$ 68.6 M
|
$ -32.2 M
|
-7.5
|
∙ |
$ -1.4
|
|
|
Gridsum Holding Inc.
GSUM
|
$ 1.95
|
$ 68.3 M
|
∙ |
∙ |
∙ |
∙ |
|
|
Voya Asia Pacific High Dividend Equity Income Fund
IAE
|
$ 6.21
|
$ 68.3 M
|
$ -99.4 M
|
∙ |
∙ |
∙ |
|
|
ICC Holdings
ICCH
|
$ 23.15
|
$ 68.2 M
|
$ 1.27 M
|
∙ |
∙ |
∙ |
|
|
FFBW
FFBW
|
$ 11.78
|
$ 68.2 M
|
$ 440 K
|
34.6
|
∙ |
$ 0.3
|
|
|
Assertio Holdings
ASRT
|
$ 0.96
|
$ 68.2 M
|
$ -233 M
|
∙ |
∙ |
∙ |
|
|
Genesis Healthcare, Inc.
GEN
|
$ 0.42
|
$ 68.1 M
|
$ 410 M
|
∙ |
∙ |
∙ |
|
|
VolitionRx Limited
VNRX
|
$ 0.83
|
$ 68 M
|
$ -31.8 M
|
∙ |
∙ |
∙ |
|
|
BlackRock MuniYield Arizona Fund, Inc.
MZA
|
$ 14.63
|
$ 67.9 M
|
∙ |
∙ |
∙ |
∙ |
|
|
Weidai Ltd.
WEI
|
$ 0.96
|
$ 67.6 M
|
$ 3.2 B
|
∙ |
∙ |
∙ |
|
|
Center Coast Brookfield MLP & Energy Infrastructure Fund
CEN
|
$ 20.71
|
$ 67.5 M
|
$ -24.6 M
|
∙ |
∙ |
∙ |
|
|
Blue Ridge Bankshares
BRBS
|
$ 3.56
|
$ 67.4 M
|
$ 1.28 M
|
∙ |
∙ |
∙ |
|
|
Gemini Therapeutics
GMTX
|
$ 1.56
|
$ 67.4 M
|
$ -57.5 M
|
∙ |
∙ |
∙ |
|
|
Cortexyme
CRTX
|
$ 1.88
|
$ 67.1 M
|
$ -47.7 M
|
∙ |
∙ |
∙ |
|
|
Delaware Investments Colorado Municipal Income Fund, Inc.
VCF
|
$ 13.81
|
$ 66.8 M
|
$ -16.2 M
|
∙ |
∙ |
∙ |
|
|
IF Bancorp
IROQ
|
$ 21.3
|
$ 66.7 M
|
$ 820 K
|
∙ |
∙ |
∙ |
|
|
Cherry Hill Mortgage Investment Corporation
CHMI
|
$ 2.54
|
$ 66.7 M
|
∙ |
∙ |
1.9
|
∙ |
|
|
Income Opportunity Realty Investors
IOR
|
$ 16.01
|
$ 66.6 M
|
$ -1.55 M
|
∙ |
∙ |
∙ |
|
|
Bank of the James Financial Group
BOTJ
|
$ 14.6
|
$ 66.6 M
|
$ 670 K
|
∙ |
∙ |
∙ |
|
|
Bank of South Carolina Corporation
BKSC
|
$ 12.0
|
$ 66.6 M
|
$ 776 K
|
12.8
|
∙ |
$ 1.1
|
|
|
Loop Industries
LOOP
|
$ 1.4
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$ 66.5 M
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$ 818 K
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