|
Metropolitan Bank Holding Corp.
MCB
|
$ 42.14
|
$ 466 M
|
$ 5.22 M
|
∙ |
∙ |
∙ |
|
|
AEA-Bridges Impact Corp.
IMPX
|
$ 9.3
|
$ 465 M
|
$ -5.81 M
|
∙ |
∙ |
∙ |
|
|
PIMCO Income Strategy Fund II
PFN
|
$ 7.44
|
$ 465 M
|
$ -1.22 M
|
∙ |
∙ |
∙ |
|
|
MultiPlan Corporation
MPLN
|
$ 0.72
|
$ 464 M
|
$ 232 M
|
∙ |
1.0
|
∙ |
|
|
Barings BDC, Inc.
BBDC
|
$ 9.67
|
$ 464 M
|
∙ |
∙ |
∙ |
∙ |
|
|
Highland Funds I - Highland Income Fund
HFRO
|
$ 6.46
|
$ 463 M
|
$ 44.9 M
|
∙ |
∙ |
∙ |
|
|
Regis Corporation
RGS
|
$ 10.0
|
$ 462 M
|
$ 22.5 M
|
∙ |
∙ |
∙ |
|
|
Royce Micro-Cap Trust, Inc.
RMT
|
$ 9.47
|
$ 461 M
|
$ 80.1 M
|
∙ |
∙ |
∙ |
|
|
BlackRock MuniVest Fund, Inc.
MVF
|
$ 7.07
|
$ 460 M
|
$ 4.32 M
|
∙ |
∙ |
∙ |
|
|
Brookfield Real Assets Income Fund Inc.
RA
|
$ 12.63
|
$ 460 M
|
$ 3.5 B
|
∙ |
∙ |
∙ |
|
|
Nesco Holdings, Inc.
NSCO
|
$ 9.35
|
$ 460 M
|
$ 5.59 B
|
∙ |
∙ |
∙ |
|
|
Gannett Co.
GCI
|
$ 3.29
|
$ 459 M
|
$ 181 M
|
∙ |
∙ |
∙ |
|
|
Oppenheimer Holdings
OPY
|
$ 42.68
|
$ 458 M
|
$ 65.2 M
|
9.5
|
0.3
|
$ 4.3
|
|
|
H.I.G. Acquisition Corp.
HIGA
|
$ 10.05
|
$ 457 M
|
$ -1.91 M
|
∙ |
∙ |
∙ |
|
|
GrafTech International Ltd.
EAF
|
$ 1.77
|
$ 455 M
|
$ 1.27 M
|
∙ |
∙ |
∙ |
|
|
BlackRock Municipal Income Trust
BFK
|
$ 10.13
|
$ 455 M
|
$ 3.16 M
|
∙ |
∙ |
∙ |
|
|
The Gabelli Utility Trust
GUT
|
$ 6.06
|
$ 452 M
|
$ 18.7 M
|
∙ |
∙ |
∙ |
|
|
Osprey Technology Acquisition Corp.
SFTW
|
$ 11.41
|
$ 451 M
|
$ -172 M
|
∙ |
∙ |
∙ |
|
|
Tortoise Energy Infrastructure Corporation
TYG
|
$ 33.53
|
$ 450 M
|
$ 654 M
|
∙ |
∙ |
∙ |
|
|
Forest Road Acquisition Corp.
FRX
|
$ 12.0
|
$ 450 M
|
$ 607 M
|
∙ |
∙ |
∙ |
|
|
BlackRock MuniHoldings Investment Quality Fund
MFL
|
$ 11.84
|
$ 449 M
|
$ 3.12 M
|
∙ |
∙ |
∙ |
|
|
MainStay MacKay DefinedTerm Municipal Opportunities Fund
MMD
|
$ 16.3
|
$ 446 M
|
$ 5.15 B
|
∙ |
∙ |
∙ |
|
|
John Hancock Preferred Income Fund
HPI
|
$ 16.77
|
$ 446 M
|
$ 3.84 B
|
∙ |
∙ |
∙ |
|
|
Periphas Capital Partnering Corporation
PCPC
|
$ 25.09
|
$ 445 M
|
∙ |
∙ |
∙ |
∙ |
|
|
Fortress Value Acquisition Corp. II
FAII
|
$ 10.28
|
$ 443 M
|
$ 159 M
|
∙ |
∙ |
∙ |
|
|
Supernova Partners Acquisition Company, Inc.
SPNV
|
$ 8.8
|
$ 443 M
|
∙ |
∙ |
∙ |
∙ |
|
|
Chatham Lodging Trust
CLDT
|
$ 9.06
|
$ 443 M
|
$ 91.2 M
|
∙ |
∙ |
∙ |
|
|
GasLog Partners LP
GLOP
|
$ 8.63
|
$ 441 M
|
$ 136 M
|
∙ |
1.3
|
∙ |
|
|
Silvercorp Metals
SVM
|
$ 3.59
|
$ 441 M
|
∙ |
∙ |
∙ |
∙ |
|
|
Stoneridge
SRI
|
$ 16.05
|
$ 440 M
|
$ 40.9 M
|
∙ |
∙ |
∙ |
|
|
Nuveen Pennsylvania Quality Municipal Income Fund
NQP
|
$ 11.82
|
$ 440 M
|
$ -21.1 M
|
∙ |
∙ |
∙ |
|
|
TPG Pace Beneficial Finance Corp.
TPGY
|
$ 10.04
|
$ 439 M
|
$ 287 M
|
∙ |
∙ |
∙ |
|
|
Neuberger Berman MLP and Energy Income Fund Inc.
NML
|
$ 7.77
|
$ 438 M
|
$ 18.1 M
|
∙ |
∙ |
∙ |
|
|
Western Asset Managed Municipals Fund Inc.
MMU
|
$ 10.26
|
$ 438 M
|
$ 121 M
|
∙ |
∙ |
∙ |
|
|
Fusion Acquisition Corp.
FUSE
|
$ 10.0
|
$ 438 M
|
$ 1.69 M
|
∙ |
∙ |
∙ |
|
|
Vishay Precision Group
VPG
|
$ 32.17
|
$ 437 M
|
$ 66.2 M
|
16.6
|
1.3
|
$ 2.0
|
|
|
Nuveen Preferred and Income Term Fund
JPI
|
$ 19.18
|
$ 437 M
|
∙ |
∙ |
∙ |
∙ |
|
|
Bioceres Crop Solutions Corp.
BIOX
|
$ 13.18
|
$ 435 M
|
$ 67.8 M
|
19.3
|
3.6
|
$ 0.6
|
|
|
Tejon Ranch Co.
TRC
|
$ 16.28
|
$ 435 M
|
$ 10.5 M
|
∙ |
∙ |
∙ |
|
|
Phoenix Tree Holdings Limited
DNK
|
$ 2.37
|
$ 433 M
|
$ 612 M
|
∙ |
∙ |
∙ |
|
|
PlayAGS
AGS
|
$ 11.34
|
$ 433 M
|
$ 126 M
|
∙ |
0.9
|
∙ |
|
|
Eneti
NETI
|
$ 11.33
|
$ 431 M
|
$ -21.5 M
|
15.7
|
1.6
|
$ 0.7
|
|
|
BlackRock MuniYield California Quality Fund, Inc.
MCA
|
$ 12.51
|
$ 430 M
|
$ 439 M
|
∙ |
∙ |
∙ |
|
|
SelectQuote
SLQT
|
$ 2.59
|
$ 430 M
|
$ 202 M
|
7.0
|
0.3
|
$ 0.4
|
|
|
The Manitowoc Company
MTW
|
$ 12.26
|
$ 430 M
|
$ 154 M
|
∙ |
∙ |
∙ |
|
|
Yucaipa Acquisition Corporation
YAC
|
$ 9.96
|
$ 429 M
|
$ 277 M
|
∙ |
∙ |
∙ |
|
|
Community Health Systems
CYH
|
$ 3.26
|
$ 425 M
|
$ 1.36 B
|
∙ |
∙ |
∙ |
|
|
Live Oak Acquisition Corp. II
LOKB
|
$ 13.38
|
$ 423 M
|
$ 1.85 B
|
∙ |
∙ |
∙ |
|
|
CBRE Acquisition Holdings, Inc.
CBAH
|
$ 10.0
|
$ 423 M
|
$ 287 M
|
∙ |
∙ |
∙ |
|
|
Build-A-Bear Workshop
BBW
|
$ 29.37
|
$ 421 M
|
$ 12.4 M
|
11.7
|
0.8
|
$ 2.0
|
|
|
Peridot Acquisition Corp.
PDAC
|
$ 11.23
|
$ 421 M
|
$ -91.2 M
|
∙ |
∙ |
∙ |
|
|
NL Industries
NL
|
$ 8.61
|
$ 420 M
|
$ 17.9 M
|
∙ |
2.7
|
∙ |
|
|
Advent Convertible and Income Fund
AVK
|
$ 12.15
|
$ 420 M
|
$ -25 M
|
∙ |
∙ |
∙ |
|
|
Wells Fargo Advantage Funds - Wells Fargo Income Opportunities Fund
EAD
|
$ 6.64
|
$ 419 M
|
$ -2.14 M
|
∙ |
∙ |
∙ |
|
|
Climate Change Crisis Real Impact I Acquisition Corporation
CLII
|
$ 14.36
|
$ 413 M
|
$ 652 M
|
∙ |
∙ |
∙ |
|
|
Nuveen Real Asset Income and Growth Fund
JRI
|
$ 11.72
|
$ 413 M
|
$ 14.7 B
|
∙ |
∙ |
∙ |
|
|
Solaris Oilfield Infrastructure
SOI
|
$ 9.37
|
$ 412 M
|
$ 51.2 M
|
∙ |
1.6
|
∙ |
|
|
Eaton Vance Tax-Advantaged Global Dividend Opportunities Fund
ETO
|
$ 24.91
|
$ 408 M
|
$ -88.6 M
|
∙ |
∙ |
∙ |
|
|
Spartan Acquisition Corp. II
SPRQ
|
$ 9.46
|
$ 408 M
|
$ -90.3 M
|
∙ |
∙ |
∙ |
|
|
Invesco Mortgage Capital
IVR
|
$ 9.25
|
$ 408 M
|
∙ |
∙ |
441.2
|
∙ |
|
|
BlackRock MuniAssets Fund, Inc.
MUA
|
$ 11.25
|
$ 406 M
|
$ 17.8 B
|
∙ |
∙ |
∙ |
|
|
Natural Grocers by Vitamin Cottage
NGVC
|
$ 17.83
|
$ 405 M
|
$ 63.6 M
|
∙ |
∙ |
∙ |
|
|
Bar Harbor Bankshares
BHB
|
$ 26.75
|
$ 405 M
|
$ 932 K
|
∙ |
∙ |
∙ |
|
|
Emerald Holding
EEX
|
$ 5.87
|
$ 405 M
|
$ 81.4 M
|
∙ |
∙ |
∙ |
|
|
InterPrivate Acquisition Corp.
IPV
|
$ 13.04
|
$ 405 M
|
$ 93 M
|
∙ |
∙ |
∙ |
|
|
Sequans Communications S.A.
SQNS
|
$ 0.47
|
$ 405 M
|
∙ |
∙ |
∙ |
∙ |
|
|
J.Jill
JILL
|
$ 28.42
|
$ 402 M
|
$ 104 M
|
6.8
|
0.6
|
$ 3.8
|
|
|
Star Group, L.P.
SGU
|
$ 11.25
|
$ 402 M
|
$ 216 M
|
4.4
|
0.2
|
$ 2.6
|
|
|
Tortoise Acquisition Corp. II
SNPR
|
$ 9.3
|
$ 401 M
|
∙ |
∙ |
∙ |
∙ |
|
|
Sustainable Opportunities Acquisition Corp.
SOAC
|
$ 10.62
|
$ 398 M
|
$ 7.39 B
|
∙ |
∙ |
∙ |
|
|
Maui Land & Pineapple Company
MLP
|
$ 20.31
|
$ 398 M
|
$ -4.45 M
|
∙ |
∙ |
∙ |
|
|
BlackRock MuniYield New York Quality Fund, Inc.
MYN
|
$ 10.39
|
$ 398 M
|
$ -110 M
|
∙ |
∙ |
∙ |
|
|
Cedar Realty Trust
CDR
|
$ 29.15
|
$ 398 M
|
$ 20.7 M
|
∙ |
∙ |
∙ |
|
|
Hersha Hospitality Trust
HT
|
$ 9.99
|
$ 395 M
|
$ 77.4 M
|
4.0
|
1.1
|
$ 2.5
|
|
|
Diamond S Shipping Inc.
DSSI
|
$ 9.69
|
$ 394 M
|
$ -17.4 M
|
∙ |
∙ |
∙ |
|
|
First Trust High Income Long/Short Fund
FSD
|
$ 11.82
|
$ 393 M
|
$ 9.81 M
|
∙ |
∙ |
∙ |
|
|
Genie Energy Ltd.
GNE
|
$ 15.33
|
$ 392 M
|
$ 68.1 M
|
9.5
|
1.4
|
$ 2.4
|
|
|
GAMCO Investors
GBL
|
$ 14.78
|
$ 390 M
|
$ 120 M
|
4.8
|
1.4
|
$ 3.1
|
|
|
Carriage Services
CSV
|
$ 26.31
|
$ 389 M
|
$ 94.3 M
|
∙ |
∙ |
∙ |
|
|
Tekla World Healthcare Fund
THW
|
$ 12.9
|
$ 389 M
|
∙ |
∙ |
∙ |
∙ |
|
|
CTO Realty Growth
CTO
|
$ 17.25
|
$ 389 M
|
$ 74.6 M
|
∙ |
∙ |
∙ |
|
|
Tiga Acquisition Corp.
TINV
|
$ 11.26
|
$ 388 M
|
$ 73.9 M
|
∙ |
1.6
|
∙ |
|
|
Eaton Vance Senior Floating-Rate Trust
EFR
|
$ 13.15
|
$ 384 M
|
$ -8.82 M
|
∙ |
∙ |
∙ |
|
|
Orchid Island Capital
ORC
|
$ 8.58
|
$ 383 M
|
∙ |
∙ |
∙ |
∙ |
|
|
Guggenheim Taxable Municipal Bond & Investment Grade Debt Trust
GBAB
|
$ 15.89
|
$ 383 M
|
∙ |
∙ |
∙ |
∙ |
|
|
WideOpenWest
WOW
|
$ 4.67
|
$ 381 M
|
$ -80.2 M
|
∙ |
∙ |
∙ |
|
|
Broadstone Acquisition Corp.
BSN
|
$ 9.95
|
$ 380 M
|
∙ |
∙ |
∙ |
∙ |
|
|
BNY Mellon Strategic Municipals, Inc.
LEO
|
$ 6.09
|
$ 379 M
|
$ 5.47 B
|
∙ |
∙ |
∙ |
|
|
Invesco Advantage Municipal Income Trust II
VKI
|
$ 8.54
|
$ 379 M
|
$ -9.17 M
|
∙ |
∙ |
∙ |
|
|
Eaton Vance Municipal Income Trust
EVN
|
$ 10.22
|
$ 379 M
|
$ -114 M
|
∙ |
∙ |
∙ |
|
|
Nevro Corp.
NVRO
|
$ 10.51
|
$ 378 M
|
$ -116 M
|
∙ |
∙ |
∙ |
|
|
Duff & Phelps Utility and Infrastructure Fund Inc.
DPG
|
$ 9.95
|
$ 377 M
|
∙ |
∙ |
∙ |
∙ |
|
|
First Trust Enhanced Equity Income Fund
FFA
|
$ 18.79
|
$ 376 M
|
$ -13.3 M
|
∙ |
∙ |
∙ |
|
|
Eastman Kodak Company
KODK
|
$ 4.73
|
$ 376 M
|
$ 57 M
|
∙ |
∙ |
∙ |
|
|
Vectrus
VEC
|
$ 31.73
|
$ 375 M
|
$ 104 M
|
∙ |
∙ |
∙ |
|
|
BlackRock MuniYield Quality Fund, Inc.
MQY
|
$ 12.21
|
$ 375 M
|
$ 35.8 M
|
∙ |
∙ |
∙ |
|
|
DWS Municipal Income Trust
KTF
|
$ 9.49
|
$ 375 M
|
$ 10.4 M
|
∙ |
∙ |
∙ |
|
|
The Marcus Corporation
MCS
|
$ 11.9
|
$ 375 M
|
$ 71.7 M
|
∙ |
0.6
|
∙ |
|
|
John Hancock Preferred Income Fund II
HPF
|
$ 17.37
|
$ 374 M
|
$ 3.84 B
|
∙ |
∙ |
∙ |
|
|
Virtus Total Return Fund Inc.
ZTR
|
$ 5.45
|
$ 374 M
|
∙ |
∙ |
∙ |
∙ |
|
|
PGIM Short Duration High Yield Opportunities Fund
SDHY
|
$ 15.1
|
$ 373 M
|
∙ |
∙ |
∙ |
∙ |
|
|
BlackRock California Municipal Income Trust
BFZ
|
$ 11.64
|
$ 371 M
|
$ 5.45 M
|
∙ |
∙ |
∙ |
|
|
Civeo Corporation
CVEO
|
$ 24.8
|
$ 370 M
|
$ 96.6 M
|
∙ |
∙ |
∙ |
|
|
American Vanguard Corporation
AVD
|
$ 12.64
|
$ 370 M
|
$ 70 M
|
21.4
|
0.7
|
$ 0.6
|
|
|
FTS International, Inc.
FTSI
|
$ 26.04
|
$ 366 M
|
$ 4.22 B
|
∙ |
∙ |
∙ |
|
|
GP Strategies Corporation
GPX
|
$ 20.85
|
$ 366 M
|
$ 855 M
|
∙ |
∙ |
∙ |
|
|
Jaws Spitfire Acquisition Corporation
SPFR
|
$ 8.44
|
$ 364 M
|
$ 11.5 M
|
∙ |
∙ |
∙ |
|
|
SC Health Corporation
SCPE
|
$ 15.84
|
$ 361 M
|
$ -16.2 M
|
∙ |
∙ |
∙ |
|
|
KKR Income Opportunities Fund
KIO
|
$ 13.32
|
$ 361 M
|
$ -1.39 M
|
∙ |
∙ |
∙ |
|
|
Eaton Vance Tax-Managed Buy-Write Income Fund
ETB
|
$ 13.59
|
$ 361 M
|
$ -1.15 M
|
∙ |
∙ |
∙ |
|
|
Western Asset High Income Opportunity Fund Inc.
HIO
|
$ 3.79
|
$ 360 M
|
∙ |
∙ |
∙ |
∙ |
|
|
Source Capital, Inc.
SOR
|
$ 42.3
|
$ 359 M
|
∙ |
∙ |
∙ |
∙ |
|
|
BlackRock MuniEnhanced Fund, Inc.
MEN
|
$ 12.08
|
$ 359 M
|
$ 681 M
|
∙ |
∙ |
∙ |
|
|
Flaherty & Crumrine Dynamic Preferred and Income Fund Inc.
DFP
|
$ 18.72
|
$ 358 M
|
$ 254 M
|
∙ |
∙ |
∙ |
|
|
Concord Acquisition Corp
CND
|
$ 10.16
|
$ 358 M
|
$ -834 K
|
17.5
|
∙ |
$ 0.6
|
|
|
Northern Star Acquisition Corp.
STIC
|
$ 11.15
|
$ 355 M
|
∙ |
∙ |
∙ |
∙ |
|
|
Eaton Vance Floating-Rate Income Trust
EFT
|
$ 13.46
|
$ 352 M
|
$ 5.74 M
|
∙ |
∙ |
∙ |
|
|
Marine Products Corporation
MPX
|
$ 10.44
|
$ 351 M
|
$ 50.1 M
|
∙ |
∙ |
∙ |
|
|
TrueBlue
TBI
|
$ 11.17
|
$ 350 M
|
$ -3.9 M
|
∙ |
∙ |
∙ |
|
|
ASA Gold and Precious Metals Limited
ASA
|
$ 18.12
|
$ 350 M
|
$ -74.5 M
|
∙ |
∙ |
∙ |
|
|
First Trust Senior Floating Rate 2022 Target Term Fund
FIV
|
$ 9.73
|
$ 349 M
|
$ 293 M
|
∙ |
∙ |
∙ |
|
|
W&T Offshore
WTI
|
$ 2.38
|
$ 349 M
|
$ 431 M
|
3.0
|
0.7
|
$ 1.2
|
|
|
Intelligent Systems Corporation
INS
|
$ 39.77
|
$ 346 M
|
$ -43.8 M
|
∙ |
∙ |
∙ |
|
|
CITIC Capital Acquisition Corp.
CCAC
|
$ 9.99
|
$ 345 M
|
$ 314 M
|
∙ |
∙ |
∙ |
|
|
Altimar Acquisition Corporation
ATAC
|
$ 10.01
|
$ 344 M
|
$ -963 K
|
∙ |
∙ |
∙ |
|
|
Ciner Resources LP
CINR
|
$ 17.37
|
$ 344 M
|
$ 156 M
|
∙ |
∙ |
∙ |
|
|
Capstar Special Purpose Acquisition Corp.
CPSR
|
$ 9.95
|
$ 343 M
|
$ 34.4 M
|
∙ |
∙ |
∙ |
|
|
Capitol Investment Corp. V
CAP
|
$ 7.95
|
$ 343 M
|
∙ |
∙ |
∙ |
∙ |
|
|
Putnam Premier Income Trust
PPT
|
$ 3.54
|
$ 343 M
|
$ -3.1 M
|
∙ |
∙ |
∙ |
|
|
Alussa Energy Acquisition Corp.
ALUS
|
$ 9.5
|
$ 341 M
|
$ -6.68 M
|
∙ |
∙ |
∙ |
|
|
Ring Energy
REI
|
$ 1.79
|
$ 341 M
|
$ 230 M
|
∙ |
∙ |
∙ |
|
|
RiverNorth Flexible Municipal Income Fund II, Inc.
RFMZ
|
$ 14.0
|
$ 341 M
|
$ -65.5 M
|
∙ |
∙ |
∙ |
|
|
ION Acquisition Corp 1 Ltd.
IACA
|
$ 10.54
|
$ 341 M
|
$ -99.4 M
|
∙ |
∙ |
∙ |
|
|
Replay Acquisition Corp.
RPLA
|
$ 9.48
|
$ 341 M
|
$ -96.5 M
|
∙ |
∙ |
∙ |
|
|
Macquarie Infrastructure Corporation
MIC
|
$ 3.8
|
$ 338 M
|
$ -270 M
|
0.1
|
1.4
|
$ 30.5
|
|
|
Nuveen New York Quality Municipal Income Fund
NAN
|
$ 10.89
|
$ 336 M
|
∙ |
∙ |
∙ |
∙ |
|
|
Ares Dynamic Credit Allocation Fund, Inc.
ARDC
|
$ 14.52
|
$ 333 M
|
$ -195 M
|
∙ |
∙ |
∙ |
|
|
China Distance Education Holdings Limited
DL
|
$ 9.73
|
$ 333 M
|
$ 2.08 B
|
∙ |
∙ |
∙ |
|
|
Nuveen Maryland Quality Municipal Income Fund
NMY
|
$ 14.3
|
$ 330 M
|
$ -38.6 M
|
∙ |
∙ |
∙ |
|
|
Goodrich Petroleum Corporation
GDP
|
$ 22.93
|
$ 330 M
|
$ 153 M
|
∙ |
∙ |
∙ |
|
|
Barings Global Short Duration High Yield Fund
BGH
|
$ 14.32
|
$ 329 M
|
$ 128 M
|
∙ |
∙ |
∙ |
|
|
BlackRock MuniYield Michigan Quality Fund, Inc.
MIY
|
$ 11.35
|
$ 329 M
|
$ 45.4 M
|
∙ |
∙ |
∙ |
|
|
BRT Apartments Corp.
BRT
|
$ 18.27
|
$ 327 M
|
$ 13.2 M
|
∙ |
∙ |
∙ |
|
|
Mayville Engineering Company
MEC
|
$ 16.03
|
$ 327 M
|
$ 49.8 M
|
34.1
|
0.5
|
$ 0.4
|
|
|
PIMCO Income Strategy Fund
PFL
|
$ 8.41
|
$ 327 M
|
$ 1.59 M
|
∙ |
∙ |
∙ |
|
|
Aberdeen Global Premier Properties Fund
AWP
|
$ 3.82
|
$ 326 M
|
$ 1.37 B
|
∙ |
∙ |
∙ |
|
|
Cohen & Steers Closed-End Opportunity Fund, Inc.
FOF
|
$ 11.73
|
$ 323 M
|
$ 322 M
|
∙ |
∙ |
∙ |
|
|
Barings Corporate Investors
MCI
|
$ 18.64
|
$ 322 M
|
$ -10.3 M
|
∙ |
∙ |
∙ |
|
|
BlackRock MuniHoldings New York Quality Fund, Inc.
MHN
|
$ 10.65
|
$ 322 M
|
$ 17.4 M
|
∙ |
∙ |
∙ |
|
|
Tekla Life Sciences Investors
HQL
|
$ 13.82
|
$ 320 M
|
$ 10.4 M
|
∙ |
∙ |
∙ |
|
|
Nuveen Floating Rate Income Opportunity Fund
JRO
|
$ 7.88
|
$ 319 M
|
$ 14.7 B
|
∙ |
∙ |
∙ |
|
|
Danimer Scientific
DNMR
|
$ 3.13
|
$ 319 M
|
$ -83.6 M
|
∙ |
∙ |
∙ |
|
|
Alta Equipment Group
ALTG
|
$ 9.81
|
$ 318 M
|
$ 171 M
|
∙ |
∙ |
∙ |
|
|
Kayne Anderson NextGen Energy & Infrastructure, Inc.
KMF
|
$ 6.72
|
$ 317 M
|
$ 6.96 M
|
∙ |
∙ |
∙ |
|
|
Diana Shipping
DSX
|
$ 3.16
|
$ 317 M
|
∙ |
∙ |
∙ |
∙ |
|
|
CompX International
CIX
|
$ 25.68
|
$ 316 M
|
$ 29.3 M
|
21.4
|
2.7
|
$ 1.6
|
|
|
Graham Corporation
GHM
|
$ 29.71
|
$ 315 M
|
$ 8.52 M
|
∙ |
∙ |
∙ |
|
|
BlackRock MuniYield New Jersey Fund, Inc.
MYJ
|
$ 13.07
|
$ 315 M
|
$ -110 M
|
∙ |
∙ |
∙ |
|
|
Intrepid Potash
IPI
|
$ 24.59
|
$ 314 M
|
$ 57.9 M
|
16.6
|
∙ |
$ 1.1
|
|
|
Putnam Municipal Opportunities Trust
PMO
|
$ 10.01
|
$ 313 M
|
$ -1.44 M
|
∙ |
∙ |
∙ |
|
|
Luxfer Holdings PLC
LXFR
|
$ 11.62
|
$ 313 M
|
$ 32.6 M
|
40.1
|
0.6
|
$ 0.2
|
|
|
Nuveen Enhanced Municipal Value Fund
NEV
|
$ 12.51
|
$ 312 M
|
$ 348 M
|
∙ |
∙ |
∙ |
|
|
AllianceBernstein National Municipal Income Fund
AFB
|
$ 10.86
|
$ 312 M
|
$ -8.07 M
|
∙ |
∙ |
∙ |
|
|
First Trust Energy Income and Growth Fund
FEN
|
$ 15.99
|
$ 311 M
|
$ 211 M
|
∙ |
∙ |
∙ |
|
|
BlackRock Floating Rate Income Trust
BGT
|
$ 13.32
|
$ 309 M
|
$ 17.2 M
|
∙ |
∙ |
∙ |
|
|
Höegh LNG Partners LP
HMLP
|
$ 9.24
|
$ 308 M
|
$ 128 M
|
∙ |
2.2
|
∙ |
|
|
Gran Tierra Energy
GTE
|
$ 9.18
|
$ 307 M
|
$ 190 M
|
5.6
|
0.4
|
$ 1.2
|
|
|
Liberty All-Star Growth Fund, Inc.
ASG
|
$ 5.26
|
$ 306 M
|
$ 15.9 M
|
∙ |
∙ |
∙ |
|
|
Empower Ltd.
EMPW
|
$ 9.8
|
$ 306 M
|
$ 979 M
|
∙ |
∙ |
∙ |
|
|
Leaf Group Ltd.
LEAF
|
$ 8.49
|
$ 306 M
|
$ 1.26 B
|
∙ |
∙ |
∙ |
|
|
Morgan Stanley Emerging Markets Domestic Debt Fund, Inc.
EDD
|
$ 4.62
|
$ 306 M
|
∙ |
∙ |
∙ |
∙ |
|
|
Hamilton Beach Brands Holding Company
HBB
|
$ 21.7
|
$ 305 M
|
$ 11.4 M
|
71.0
|
0.6
|
$ 0.3
|
|
|
Rivernorth Managed Duration Municipal Income Fund Inc.
RMM
|
$ 15.4
|
$ 304 M
|
$ -2.2 M
|
∙ |
∙ |
∙ |
|
|
Cohen & Steers Total Return Realty Fund, Inc.
RFI
|
$ 11.59
|
$ 303 M
|
$ 794 M
|
∙ |
∙ |
∙ |
|
|
BNY Mellon Strategic Municipal Bond Fund, Inc.
DSM
|
$ 6.12
|
$ 303 M
|
$ 200 M
|
∙ |
∙ |
∙ |
|
|
Park Aerospace Corp.
PKE
|
$ 14.76
|
$ 302 M
|
$ 11.3 M
|
∙ |
∙ |
∙ |
|
|
Genesco
GCO
|
$ 26.86
|
$ 302 M
|
$ 52.9 M
|
351.9
|
0.2
|
$ 0.1
|
|
|
Horizon Acquisition Corporation II
HZON
|
$ 9.93
|
$ 301 M
|
$ -2.79 M
|
∙ |
∙ |
∙ |
|
|
FG New America Acquisition Corp.
FGNA
|
$ 9.97
|
$ 301 M
|
$ 38 K
|
∙ |
∙ |
∙ |
|
|
MFS Intermediate Income Trust
MIN
|
$ 2.64
|
$ 300 M
|
$ -173 M
|
∙ |
∙ |
∙ |
|
|
Western Asset High Income Fund II Inc.
HIX
|
$ 4.44
|
$ 300 M
|
$ 796 M
|
∙ |
∙ |
∙ |
|
|
Invesco Municipal Income Opportunities Trust
OIA
|
$ 6.32
|
$ 300 M
|
$ 586 M
|
∙ |
∙ |
∙ |
|
|
Nuveen Global High Income Fund
JGH
|
$ 12.89
|
$ 299 M
|
∙ |
∙ |
∙ |
∙ |
|
|
Aspirational Consumer Lifestyle Corp.
ASPL
|
$ 9.93
|
$ 298 M
|
$ -2.2 M
|
∙ |
∙ |
∙ |
|
|
BlackRock Municipal Income Quality Trust
BYM
|
$ 11.26
|
$ 297 M
|
$ 345 K
|
∙ |
∙ |
∙ |
|
|
Anworth Mortgage Asset Corporation
ANH
|
$ 2.98
|
$ 296 M
|
$ -7.8 M
|
∙ |
∙ |
∙ |
|
|
Oil States International
OIS
|
$ 4.72
|
$ 296 M
|
$ 64.6 M
|
∙ |
∙ |
∙ |
|
|
Duff & Phelps Utility and Corporate Bond Trust Inc.
DUC
|
$ 10.62
|
$ 292 M
|
$ -7.67 M
|
∙ |
∙ |
∙ |
|
|
Cascade Acquisition Corp.
CAS
|
$ 10.1
|
$ 290 M
|
$ -2.38 M
|
42.1
|
∙ |
$ 0.2
|
|
|
Trepont Acquisition Corp I
TACA
|
$ 10.1
|
$ 290 M
|
$ -3.06 M
|
∙ |
∙ |
∙ |
|
|
Natural Gas Services Group
NGS
|
$ 23.51
|
$ 290 M
|
$ 31.1 M
|
57.7
|
1.6
|
$ 0.2
|
|
|
Rayonier Advanced Materials
RYAM
|
$ 4.44
|
$ 289 M
|
$ 224 M
|
∙ |
∙ |
∙ |
|
|
DoubleLine Opportunistic Credit Fund
DBL
|
$ 15.18
|
$ 288 M
|
$ 278 M
|
∙ |
∙ |
∙ |
|
|
Ares Commercial Real Estate Corporation
ACRE
|
$ 6.78
|
$ 287 M
|
$ 2.01 M
|
13.7
|
4.1
|
$ 0.7
|
|
|
SCVX Corp.
SCVX
|
$ 9.97
|
$ 287 M
|
$ -2.73 M
|
12.2
|
∙ |
$ 0.8
|
|
|
HC2 Holdings, Inc.
HCHC
|
$ 3.68
|
$ 286 M
|
$ 6.74 M
|
∙ |
∙ |
∙ |
|
|
NavSight Holdings, Inc.
NSH
|
$ 9.93
|
$ 285 M
|
$ 495 K
|
∙ |
∙ |
∙ |
|
|
Putnam Managed Municipal Income Trust
PMM
|
$ 6.04
|
$ 285 M
|
$ -1.44 M
|
∙ |
∙ |
∙ |
|
|
RiverNorth/DoubleLine Strategic Opportunity Fund, Inc.
OPP
|
$ 8.46
|
$ 284 M
|
$ 3.72 M
|
∙ |
∙ |
∙ |
|
|
Churchill Capital Corp V
CCV
|
$ 10.4
|
$ 284 M
|
$ -3.21 M
|
∙ |
∙ |
∙ |
|
|
Mistras Group
MG
|
$ 9.33
|
$ 283 M
|
$ 36.8 M
|
∙ |
∙ |
∙ |
|
|
Clough Global Opportunities Fund
GLO
|
$ 6.84
|
$ 283 M
|
$ -25.1 M
|
∙ |
∙ |
∙ |
|
|
CRH Medical Corporation
CRHM
|
$ 3.99
|
$ 282 M
|
$ -6.25 M
|
∙ |
∙ |
∙ |
|
|
Nuveen S&P 500 Dynamic Overwrite Fund
SPXX
|
$ 15.69
|
$ 282 M
|
$ 95.8 M
|
∙ |
∙ |
∙ |
|
|
Reinvent Technology Partners Z
RTPZ
|
$ 9.79
|
$ 281 M
|
$ 219 M
|
∙ |
∙ |
∙ |
|
|
Regional Management Corp.
RM
|
$ 29.93
|
$ 281 M
|
$ 20 M
|
∙ |
∙ |
∙ |
|
|
Xinyuan Real Estate Co., Ltd.
XIN
|
$ 2.62
|
$ 281 M
|
∙ |
∙ |
∙ |
∙ |
|
|
Western Asset High Yield Defined Opportunity Fund Inc.
HYI
|
$ 11.62
|
$ 281 M
|
$ 1.87 M
|
∙ |
∙ |
∙ |
|
|
Macquarie Global Infrastructure Total Return Fund Inc.
MGU
|
$ 22.86
|
$ 281 M
|
$ -89.9 M
|
∙ |
∙ |
∙ |
|
|
TriplePoint Venture Growth BDC Corp.
TPVG
|
$ 9.17
|
$ 280 M
|
$ -233 M
|
∙ |
∙ |
∙ |
|
|
Medifast
MED
|
$ 25.72
|
$ 280 M
|
$ 173 M
|
∙ |
∙ |
∙ |
|
|
Postal Realty Trust
PSTL
|
$ 13.89
|
$ 280 M
|
$ 32.9 M
|
∙ |
4.3
|
∙ |
|
|
LMP Capital and Income Fund Inc.
SCD
|
$ 15.38
|
$ 277 M
|
$ 6.8 B
|
∙ |
∙ |
∙ |
|
|
Morgan Stanley China A Share Fund, Inc.
CAF
|
$ 12.64
|
$ 276 M
|
∙ |
∙ |
∙ |
∙ |
|
|
Stellus Capital Investment Corporation
SCM
|
$ 14.17
|
$ 276 M
|
$ -5.14 M
|
∙ |
∙ |
∙ |
|
|
The Mexico Fund, Inc.
MXF
|
$ 18.65
|
$ 275 M
|
$ 5.65 M
|
∙ |
∙ |
∙ |
|
|
ON24
ONTF
|
$ 6.32
|
$ 275 M
|
$ -57.3 M
|
∙ |
∙ |
∙ |
|
|
Pine Island Acquisition Corp.
PIPP
|
$ 10.03
|
$ 274 M
|
$ -1.75 M
|
47.8
|
∙ |
$ 0.2
|
|
|
Atlantic Power Corporation
AT
|
$ 3.02
|
$ 273 M
|
$ 7.41 M
|
∙ |
∙ |
∙ |
|
|
MFS Charter Income Trust
MCR
|
$ 6.29
|
$ 272 M
|
$ 3.24 B
|
∙ |
∙ |
∙ |
|
|
Casper Sleep Inc.
CSPR
|
$ 6.53
|
$ 271 M
|
$ -529 K
|
∙ |
∙ |
∙ |
|
|
First Trust Senior Floating Rate Income Fund II
FCT
|
$ 10.42
|
$ 271 M
|
$ 35.2 M
|
∙ |
∙ |
∙ |
|
|
BlackRock MuniYield California Fund, Inc.
MYC
|
$ 12.5
|
$ 268 M
|
$ 139 M
|
∙ |
∙ |
∙ |
|
|
Nuveen Select Tax-Free Income Portfolio 2
NXQ
|
$ 15.04
|
$ 266 M
|
$ 3.91 B
|
∙ |
∙ |
∙ |
|
|
MFS Multimarket Income Trust
MMT
|
$ 4.61
|
$ 266 M
|
$ 121 M
|
∙ |
∙ |
∙ |
|
|
Aberdeen Emerging Markets Equity Income Fund, Inc.
AEF
|
$ 5.21
|
$ 264 M
|
$ 2.09 B
|
∙ |
∙ |
∙ |
|
|
Transcontinental Realty Investors
TCI
|
$ 30.56
|
$ 264 M
|
$ 10.4 M
|
0.7
|
5.8
|
$ 44.8
|
|
|
Templeton Emerging Markets Income Fund
TEI
|
$ 5.5
|
$ 264 M
|
∙ |
∙ |
∙ |
∙ |
|
|
Cerberus Telecom Acquisition Corp.
CTAC
|
$ 7.81
|
$ 261 M
|
$ 6.88 B
|
∙ |
∙ |
∙ |
|
|
Angel Oak Financial Strategies Income Term Trust
FINS
|
$ 12.56
|
$ 259 M
|
$ -3.59 M
|
∙ |
∙ |
∙ |
|
|
Arlington Asset Investment Corp.
AIW
|
$ 25.0
|
$ 259 M
|
$ 70.4 M
|
∙ |
∙ |
∙ |
|
|
Western Asset Municipal Defined Opportunity Trust Inc.
MTT
|
$ 21.19
|
$ 259 M
|
$ 165 M
|
∙ |
∙ |
∙ |
|
|
Omnichannel Acquisition Corp.
OCA
|
$ 9.99
|
$ 258 M
|
$ -4.59 M
|
∙ |
∙ |
∙ |
|
|
BlackRock New York Municipal Income Trust
BNY
|
$ 10.7
|
$ 258 M
|
∙ |
∙ |
∙ |
∙ |
|
|
Ranger Energy Services
RNGR
|
$ 10.46
|
$ 257 M
|
$ 72.3 M
|
11.9
|
0.4
|
$ 0.8
|
|
|
Wells Fargo Advantage Multi-Sector Income Fund
ERC
|
$ 9.11
|
$ 256 M
|
∙ |
∙ |
∙ |
∙ |
|
|
FAST Acquisition Corp.
FST
|
$ 10.18
|
$ 255 M
|
∙ |
∙ |
∙ |
∙ |
|
|
Sandbridge Acquisition Corporation
SBG
|
$ 8.84
|
$ 254 M
|
$ 3.41 M
|
∙ |
∙ |
∙ |
|
|
Amplify Energy Corp.
AMPY
|
$ 6.62
|
$ 254 M
|
$ 40.4 M
|
∙ |
∙ |
∙ |
|
|
PIMCO Strategic Income Fund, Inc.
RCS
|
$ 5.75
|
$ 253 M
|
$ -24.8 M
|
∙ |
∙ |
∙ |
|
|
Tortoise Midstream Energy Fund, Inc.
NTG
|
$ 39.94
|
$ 252 M
|
∙ |
∙ |
∙ |
∙ |
|
|
Cooper-Standard Holdings
CPS
|
$ 14.45
|
$ 251 M
|
$ 108 M
|
∙ |
∙ |
∙ |
|
|
Radiant Logistics
RLGT
|
$ 5.18
|
$ 250 M
|
$ 18.2 M
|
∙ |
∙ |
∙ |
|
|
BlackRock Municipal Income Trust II
BLE
|
$ 10.67
|
$ 249 M
|
$ 2.97 B
|
∙ |
∙ |
∙ |
|
|
PIMCO Municipal Income Fund III
PMX
|
$ 7.53
|
$ 249 M
|
$ -58.1 M
|
∙ |
∙ |
∙ |
|
|
Orion Group Holdings
ORN
|
$ 7.67
|
$ 248 M
|
$ 8.66 M
|
∙ |
∙ |
∙ |
|
|
Nuveen California Municipal Value Fund, Inc.
NCA
|
$ 8.84
|
$ 247 M
|
$ 82.7 M
|
∙ |
∙ |
∙ |
|
|
Eaton Vance National Municipal Opportunities Trust
EOT
|
$ 16.57
|
$ 247 M
|
$ -146 M
|
∙ |
∙ |
∙ |
|
|
Manning & Napier
MN
|
$ 12.85
|
$ 246 M
|
$ 32 M
|
14.6
|
1.7
|
$ 0.9
|
|
|
FutureFuel Corp.
FF
|
$ 5.59
|
$ 245 M
|
$ 42.3 M
|
9.4
|
0.7
|
$ 0.7
|
|