Danaher Corp | | | 0,64 % | 0,03 $ |
Bank of Nova Scotia | | | 5,85 % | 0,45 CA$ |
Medtronic PLC | | | 3,30 % | 0,13 $ |
Annaly Capital Management Inc | | | 14,17 % | 0,24 $ |
Lenovo Group Ltd | | | 4,14 % | 0,03 HK$ |
Sysco Corp | | | 2,88 % | 0,19 $ |
Heidelberger Druckmaschinen AG | | | 0,00 % | 0,60 € |
Canadian Imperial Bank of Commerce | | | 4,06 % | 0,39 CA$ |
abrdn Global Premier Property | | | 12,28 % | 0,13 $ |
China Life Insurance Co Ltd Class H | | | 6,24 % | 0,14 CN¥ |
Bank Bradesco SA ADR | | | 1,37 % | 0,02 $ |
Buckle Inc | | | 3,07 % | 0,20 $ |
abrdn Total Dynamic Dividend Fund | | | 12,30 % | 0,18 $ |
Realtech AG | | | 0,00 % | 0,02 £ |
Transcontinental Inc - Class A | | | 4,28 % | 0,07 CA$ |
BlackRock Energy and Resources Income Trust PLC | | | 3,90 % | 0,01 £ |
ZTE Corp Class H | | | 2,75 % | 0,04 CN¥ |
abrdn Global Dynamic Dividend Fund | | | 12,11 % | 0,17 $ |
Western Asset High Income Fund II | | | 13,64 % | 0,08 $ |
Northrim BanCorp Inc | | | 2,73 % | 0,14 $ |
Western Asset Emerging Markets Debt Fund Inc | | | 11,38 % | 0,10 $ |
Compass Diversified Holdings | | | 16,29 % | 0,30 $ |
Allspring Global Dividend Opportunity Fund | | | 9,43 % | 0,50 $ |
Haier Smart Home Co Ltd Class A | | | 3,23 % | 0,04 CN¥ |
Methode Electronics Inc | | | 5,91 % | 0,05 $ |
Western Asset Global High Income Fund | | | 12,88 % | 0,09 $ |
Premier Financial Corp | | | 4,41 % | 0,25 $ |
Genworth Financial Inc | | | 0,00 % | 0,09 $ |
Monro Inc | | | 7,63 % | 0,04 $ |
Mirvac Group | | | 4,09 % | 0,07 AU$ |
PREOS Global Office Real Estate & Technology AG | | | 0,00 % | 0,08 £ |
BNY Mellon High Yield Strategies Fund | | | 8,20 % | 0,03 $ |
Western Asset High Income Opportunity Fund Inc. | | | 10,81 % | 0,05 $ |
America Movil SAB de CV - Class B | | | 3,16 % | 0,02 MX$ |
IGM Financial Inc | | | 5,21 % | 0,43 CA$ |
America Movil SAB de CV Series L | | | 2,40 % | 0,02 MX$ |
Guangshen Railway Co Ltd Class H | | | 4,05 % | 0,08 CN¥ |
Pico Far East Holdings Ltd | | | 4,64 % | 0,04 HK$ |
TerraVest Industries Inc | | | 0,41 % | 0,08 CA$ |
Acme United Corp | | | 1,60 % | 0,04 $ |
Armanino Foods of Distinction Inc | | | 1,89 % | 0,01 $ |
Delaware Investments Dividend and Income Fund | | | 0,00 % | 0,08 $ |
abrdn National Municipal Income Fund | | | 6,24 % | 0,06 $ |
Ador Welding Ltd | | | 1,95 % | 12,00 ₹ |
Citizens Financial Services Inc | | | 3,37 % | 0,18 $ |
Cross-Harbour (Holdings) Ltd | | | 5,16 % | 0,06 HK$ |
Eclat Textile Co Ltd | | | 4,05 % | 0,52 NT$ |
Euroland Corporate SA | | | 5,54 % | 0,15 € |
Kearny Financial Corp | | | 6,80 % | 0,05 $ |
Subex Ltd | | | 0,00 % | 2,00 ₹ |
Western Asset Intermediate Municipal Fund | | | 6,73 % | 0,04 $ |
Western Asset Managed Municipals Portfolio | | | 6,61 % | 0,05 $ |
Akzo Nobel India Ltd | | | 1,76 % | 27,00 ₹ |
Bombay Dyeing & Manufacturing Co Ltd | | | 0,74 % | 0,20 ₹ |
CareNet Inc | | | 3,47 % | 0 ¥ |
Clairvest Group Inc | | | 0,13 % | 0,10 CA$ |
Daekyo Co Ltd | | | 0,00 % | 70 ₩ |
DCW Ltd | | | 0,00 % | 0,10 ₹ |
Diamant Infrastructure Ltd | | | 0,00 % | 0,05 ₹ |
Everlight Chemical Industrial Corp | | | 1,82 % | 0,15 NT$ |
Excel Industries Ltd | | | 1,10 % | 0,50 ₹ |
Far East Holdings Bhd | | | 3,94 % | 0,02 MYR |
First Insurance Co Ltd | | | 7,16 % | 0,81 NT$ |
FM Global Logistics Holdings Bhd | | | 4,55 % | 0,01 MYR |
Gold Circuit Electronics Ltd | | | 2,17 % | 1,30 NT$ |
Guangshen Railway Co Ltd Class A | | | 2,40 % | 0,08 CN¥ |
Harrisons Holdings (Malaysia) Bhd | | | 4,64 % | 0,01 MYR |
Hsin Kao Gas Co Ltd | | | 5,29 % | 0,63 NT$ |
ICRA Ltd | | | 0,89 % | 4,50 ₹ |
IGB Bhd | | | 2,46 % | 0,01 MYR |
Intertech SA | | | 0,00 % | 0,12 € |
ITO EN Ltd | | | 1,48 % | 19 ¥ |
Kaluga Power Sale Co PJSC | | | 0,00 % | 0,08 RUB |
Kamdar Group (M) Bhd | | | 0,00 % | 0,04 MYR |
Kanoria Chemicals & Industries Ltd | | | 0,00 % | 1,00 ₹ |
Keck Seng (Malaysia) Bhd | | | 2,61 % | 0,03 MYR |
Lang Inc | | | 0,71 % | 1,14 NT$ |
Matsumoto Inc | | | 0,00 % | 33 ¥ |
Muda Holdings Bhd | | | 2,19 % | 0,02 MYR |
Natural Capsules Ltd Shs Dematerialised | | | 0,00 % | 0,82 ₹ |
Nihonwasou Holdings Inc | | | 6,01 % | 12 ¥ |
Paramount Corp Bhd | | | 10,95 % | 0,03 MYR |
Prudential Bancorp Inc | | | 0,00 % | 0,05 $ |
Redington Ltd | | | 2,11 % | 0,25 ₹ |
Rock Field Co Ltd | | | 1,93 % | 5 ¥ |
S-Tech Corp | | | 2,82 % | 0,71 NT$ |
Sanofi India Ltd | | | 1,89 % | 3,50 ₹ |
Seni Jaya Corp Bhd | | | 0,00 % | 0,01 MYR |
Shanghai Fudan Forward S&T Co Ltd Class A | | | 0,00 % | 0,01 CN¥ |
Shanghai Shenda Co Ltd Class A | | | 0,00 % | 0,07 CN¥ |
Shanxi Antai Group Co Ltd | | | 0,00 % | 0,03 CN¥ |
Sheng Yu Steel Co Ltd | | | 5,30 % | 3,00 NT$ |
Smartlink Holdings Ltd | | | 0,00 % | 2,00 ₹ |
Sunautas Co Ltd | | | 4,56 % | 16 ¥ |
Sundaram Finance Ltd | | | 0,69 % | 0,50 ₹ |
Super Sales India Ltd | | | 0,27 % | 7,00 ₹ |
Ta Chan Securities Co Ltd | | | 2,71 % | 0,59 NT$ |
Tah hsin Industrial Corp | | | 7,53 % | 2,22 NT$ |
Taj GVK Hotels & Resorts Ltd | | | 0,37 % | 3,00 ₹ |
Tian An Australia Ltd | | | 0,00 % | 4,85 AU$ |
Token Corp | | | 5,10 % | 60 ¥ |
Tonlin Department Store Co Ltd | | | 4,20 % | 1,20 NT$ |
Transcontinental Inc Shs -B- Conv | | | 4,36 % | 0,07 CA$ |
Tsuruha Holdings Inc | | | 2,37 % | 12 ¥ |
Unity Bancorp Inc | | | 1,18 % | 0,04 $ |
Universal Microelectronics Co Ltd | | | 1,11 % | 0,29 NT$ |
Wasco Bhd | | | 2,03 % | 0,03 MYR |
Western Asset Municipal High Income Fund Inc | | | 5,96 % | 0,03 $ |
WTK Holdings Bhd | | | 2,47 % | 0,03 MYR |
Xpro India Ltd | | | 0,17 % | 0,44 ₹ |
Zhejiang Medicine Co Ltd Class A | | | 1,04 % | 0,02 CN¥ |