|
|
dlit |
d '
lites of america |
233224
10 4 |
|
| |
|
d ' lites of
america |
23322d 10 4 |
|
| |
|
d & e
communications inc com |
232860 10 6 |
|
| |
|
d & k healthcare
res inc com |
232861 10 4 |
|
| |
|
d & k healthcare
res inc put |
232861 95 4 |
|
| |
|
d & l industries
inc |
y1973t 10 0 |
phy1973t1008 |
| |
dlndy |
d & l industries
inc u/adr/25:1 |
23340x 10 8 |
us23340x1081 |
| |
|
d & n financial
corporation com |
232864 10 8 |
|
| |
|
d & n financial
corporation warrants exp 12/31/96 |
232864 12 4 |
|
| |
|
d 7 enterprises inc |
23343p 10 2 |
us23343p1021 |
| |
|
d 8 holdings
corporation call |
g2614k 90 0 |
|
| |
|
d 8 holdings
corporation put |
g2614k 95 0 |
|
| |
|
d 8 holdings
corporation shares class a |
g2614k 11 0 |
|
| |
|
d 8 holdings
corporation unit |
g2614k 10 2 |
|
| |
|
d 8 holdings
corporation warrants exp 08/05/202 |
g2614k 12 8 |
|
| |
|
d a 32 life science
tec acquisition c class a com |
23312m 10 6 |
|
| |
|
d a b industries
inc |
233025 10 5 |
|
| |
|
d a b investments
ltd |
233026 20 2 |
|
| |
daat |
d a c technologies
group international inc |
23302r 10 7 |
us23302r1077 |
| |
dacg |
d a consulting
group inc com |
233027 10 1 |
|
| |
dlyt |
d a i s analytic
corp |
23302x 10 4 |
us23302x1046 |
| |
daln |
d a l international
ltd |
23302t 10 3 |
us23302t1034 |
| |
|
d a p |
|
kr7033310004 |
| |
dlndy |
d and l industries
inc |
23340x108 |
|
| |
|
d and z media
acquisition co com class a |
23305q 10 6 |
|
| |
|
d and z media
acquisition co unit exp 01/27/202 |
23305q 20 5 |
|
| |
|
d and z media
acquisition co warrants exp
01/27/202 |
23305q 11 4 |
|
| |
|
d b a system inc
com |
233031 10 3 |
|
| |
|
d b a system inc sb
db cv 8.25%10 |
233031 aa 1 |
|
| |
|
d b hitek co ltd |
|
ine271c01023 |
| |
|
d b realty limited |
|
fr0010357079 |
| |
dbsdf |
d b s group
holdings ltd |
|
tw0002332004 |
| |
|
d b s group
holdings ltd |
23304y 20 9 |
|
| |
|
d b s group
holdings ltd |
23304y 30 8 |
|
| |
dbsdy |
d b s group
holdings ltd sp/adr/4:1 |
23304y 10 0 |
us23304y1001 |
| |
|
d b s industries
inc |
233041 30 0 |
us2330413004 |
| |
|
d b s land limited |
23304q 10 7 |
|
| |
|
d b t online inc
com |
233044 10 6 |
|
| |
|
d b u b group inc |
23306v 20 3 |
us23306v2034 |
| |
|
d b v technologies
s a call |
23306j 90 1 |
|
| |
|
d b v technologies
s a call |
23306j 90 0 |
|
| |
|
d b v technologies
s a put |
23306j 95 1 |
|
| |
|
d b v technologies
s a sp/ads |
23306j 30 9 |
|
| |
|
d b v technologies
sa |
23306j 20 0 |
us23306j2006 |
| |
dbvt |
d b v
technologiessa sp/adr/1:2 |
23306j 10 1 |
us23306j1016 |
| |
tdn |
d b x etf trust b x
etf trust x trackers 2030 target
date etf |
233052 30 7 |
us2330523075 |
| |
|
d b x etf trust
call |
233051 90 0 |
|
| |
|
d b x etf trust
call |
233051 90 1 |
|
| |
|
d b x etf trust
call |
233051 90 2 |
|
| |
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d b x etf trust
call |
233051 90 3 |
|
|
|
|
d b x
etf trust call |
233051
90 4 |
|
| |
|
d b x etf trust
call |
233051 90 6 |
|
| |
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d b x etf trust
call |
233051 90 7 |
|
| |
|
d b x etf trust
call |
233051 90 9 |
|
| |
|
d b x etf trust
call |
23306x 90 0 |
|
| |
|
d b x etf trust
call |
23306x 90 3 |
|
| |
|
d b x etf trust
call |
23306x 90 4 |
|
| |
|
d b x etf trust
call |
23306x 90 6 |
|
| |
|
d b x etf trust
call |
23306x 90 9 |
|
| |
dbgr |
d b x etf trust dx
trackr germany hedged equity |
233051 40 8 |
us2330514082 |
| |
ihiy |
d b x etf trust
international high yield hedged |
233051 45 7 |
us2330514579 |
| |
|
d b x etf trust put |
233051 95 1 |
|
| |
|
d b x etf trust put |
233051 95 2 |
|
| |
|
d b x etf trust put |
233051 95 3 |
|
| |
|
d b x etf trust put |
233051 95 4 |
|
| |
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d b x etf trust put |
233051 95 6 |
|
| |
|
d b x etf trust put |
233051 95 7 |
|
| |
|
d b x etf trust put |
233051 95 0 |
|
| |
|
d b x etf trust put |
233051 95 9 |
|
| |
|
d b x etf trust put |
23306x 95 0 |
|
| |
|
d b x etf trust put |
23306x 95 3 |
|
| |
|
d b x etf trust put |
23306x 95 4 |
|
| |
|
d b x etf trust put |
23306x 95 6 |
|
| |
|
d b x etf trust put |
23306x 95 9 |
|
| |
tdd |
d b x etf trust x
trackers 2010 target date etf |
233052 10 9 |
us2330521095 |
| |
tdh |
d b x etf trust x
trackers 2020 target date etf |
233052 20 8 |
us2330522085 |
| |
tdv |
d b x etf trust x
trackers 2040 target date etf |
233052 40 6 |
us2330524065 |
| |
ashx |
d b x etf trust x
trackers csi 300 china a shares
hedged equity etf |
233051 52 3 |
us2330515238 |
| |
dbre |
d b x etf trust x
trackers dow jones hedged
international real estate etf |
233051 68 9 |
us2330516897 |
| |
emih |
d b x etf trust x
trackers emerging markets bond
interest rate hedged etf |
233051 71 3 |
us2330517135 |
| |
deef |
d b x etf trust x
trackers ftse developed ex us
enhanced beta etf |
233051 51 5 |
us2330515154 |
| |
ashr |
d b x etf trust x
trackers harvest csi 300 china a
shares etf |
233051 87 9 |
us2330518794 |
| |
ashs |
d b x etf trust x
trackers harvest csi 500 china a
shares small capital etf |
233051 75 4 |
us2330517549 |
| |
hyih |
d b x etf trust x
trackers high yield corporate bond
interest rate hedged etf |
233051 74 7 |
us2330517473 |
| |
tdx |
d b x etf trust x
trackers in target date etf |
233052 50 5 |
us2330525054 |
| |
igih |
d b x etf trust x
trackers investment grade bond
interest rate hedged etf |
233051 73 9 |
us2330517390 |
| |
jpn |
d b x etf trust x
trackers japan jpx nikkei 400 equity
etf |
233051 66 3 |
us2330516632 |
| |
jpnh |
d b x etf trust x
trackers japan jpx nikkei 400 hedged
equity etf |
233051 65 5 |
us2330516558 |
| |
dbap |
d b x etf trust x
trackers msci ac asia pacific ex
japan hedged equity etf |
233051 84 6 |
us2330518463 |
| |
cn |
d b x etf trust x
trackers msci all china equity etf
of dbx etf trust |
233051 76 2 |
us2330517622 |
| |
dbaw |
d b x etf trust x
trackers msci all world ex us hedged
equity etf |
233051 82 0 |
us2330518208 |
| |
hdaw |
d b x etf trust x
trackers msci all world ex us high
dividend yield hedged equity etf |
233051 59 8 |
us2330515980 |
| |
dbau |
d b x etf trust x
trackers msci australia hedged
equity etf |
233051 57 2 |
us2330515725 |
| |
hdef |
d b x etf trust x
trackers msci eafe high dividend
yield hedged equity etf |
233051 63 0 |
us2330516301 |
| |
dbes |
d b x etf trust x
trackers msci eafe small capital
hedged equity etf |
233051 58 0 |
us2330515808 |
| |
hdee |
d b x etf trust x
trackers msci emerging markets high
dividend yield hedged equity etf |
233051 62 2 |
us2330516228 |
| |
dbeu |
d b x etf trust x
trackers msci europe hedged equity
etf |
233051 85 3 |
us2330518539 |
| |
dbez |
d b x etf trust x
trackers msci eurozone hedged equity
etf of dbx etf trust |
233051 69 7 |
us2330516970 |
| |
hdez |
d b x etf trust x
trackers msci eurozone high dividend
yield hedged equity etf |
233051 61 4 |
us2330516145 |
| |
dbit |
d b x etf trust x
trackers msci italy hedged equity
etf |
233051 55 6 |
us2330515568 |
|
|
dbjp |
d b
x etf trust x trackers msci
japan hedged equity etf |
233051 50 7 |
us2330515071 |
| |
dbmx |
d b x etf trust
x trackers msci mexico hedged
equity etf |
233051 79 6 |
us2330517960 |
| |
dbko |
d b x etf trust
x trackers msci south korea
hedged equity etf |
233051 81 2 |
us2330518125 |
| |
dbse |
d b x etf trust
x trackers msci southern europe
hedged equity etf |
233051 56 4 |
us2330515642 |
| |
dbuk |
d b x etf trust
x trackers msci united kingdom
hedged equity etf |
233051 86 1 |
us2330518612 |
| |
rvnu |
d b x etf trust
x trackers municipal
infrastructure revenue bond etf |
233051 70 5 |
us2330517051 |
| |
|
d b x etf trust
x trackers reg utility id |
233051 60 6 |
|
| |
dbif |
d b x etf trust
x trackers s&p hedged global
infrastructure etf |
233051 67 1 |
us2330516715 |
| |
acsg |
d b x etf trust
xtkr msci acwi |
233051 19 2 |
us2330511922 |
| |
emsg |
d b x etf trust
xtkr msci emrg |
233051 22 6 |
us2330512268 |
| |
dbbr |
d b x etf trust
xtrack msci brazil hedged equity |
233051 30 9 |
us2330513092 |
| |
desc |
d b x etf trust
xtrack russell 2000 compreh |
233051 44 0 |
us2330514405 |
| |
hylb |
d b x etf trust
xtrack usd high yield corp |
233051 43 2 |
us2330514322 |
| |
|
d b x etf trust
xtrackers artifi |
23306x 82 9 |
|
| |
|
d b x etf trust
xtrackers calif |
23306x 85 2 |
|
| |
|
d b x etf trust
xtrackers cyber |
23306x 80 3 |
|
| |
|
d b x etf trust
xtrackers europe |
23306x 77 9 |
|
| |
demg |
d b x etf trust
xtrackers ftse emerging compre |
233051 49 9 |
us2330514991 |
| |
hyup |
d b x etf trust
xtrackers high yield bond |
233051 25 9 |
us2330512599 |
| |
hydw |
d b x etf trust
xtrackers low beta high yield
bond |
233051 26 7 |
us2330512672 |
| |
easg |
d b x etf trust
xtrackers msci |
233051 21 8 |
us2330512185 |
| |
|
d b x etf trust
xtrackers msci |
233051 13 5 |
us2330511351 |
| |
|
d b x etf trust
xtrackers msci |
23306x 60 5 |
|
| |
|
d b x etf trust
xtrackers net ze |
23306x 20 9 |
|
| |
|
d b x etf trust
xtrackers nifty |
23306x 78 7 |
|
| |
|
d b x etf trust
xtrackers risk m |
23306x 10 0 |
|
| |
|
d b x etf trust
xtrackers rreef |
23306x 83 7 |
|
| |
deus |
d b x etf trust
xtrackers russell 1000 enhanced
beta |
233051 48 1 |
us2330514819 |
| |
|
d b x etf trust
xtrackers s&p |
233051 14 3 |
us2330511435 |
| |
|
d b x etf trust
xtrackers s&p |
23306x 79 5 |
|
| |
|
d b x etf trust
xtrackers s&p md |
233051 12 7 |
us2330511278 |
| |
|
d b x etf trust
xtrackers s&p sm |
233051 11 9 |
us2330511195 |
| |
|
d b x etf trust
xtrackers semico |
23306x 88 6 |
|
| |
shyl |
d b x etf trust
xtrackers short duration high
yield bond |
233051 28 3 |
us2330512839 |
| |
|
d b x etf trust
xtrackers us |
23306x 70 4 |
|
| |
|
d b x etf trust
xtrackers us 0 1 |
23306x 81 1 |
|
| |
|
d b x etf trust
xtrackers us nat |
23306x 86 0 |
|
| |
|
d b x etf trust
xtrackers usd hg |
23306x 87 8 |
|
| |
|
d b x etf trust
xtrackrs msci |
233051 53 1 |
|
| |
|
d b x etf trust
xtrackrs s&p 500 |
23306x 30 8 |
|
| |
|
d b x etf trust
xtrackrs s&p esg |
23306x 40 7 |
|
| |
|
d b x etf trust
xtrackrs s&p esg |
23306x 50 6 |
|
| |
dbef |
d b x etf trust
xtrak msci eafe |
233051 20 0 |
us2330512003 |
| |
ifix |
d b x etf trust
xtrck barclays international |
233051 46 5 |
us2330514652 |
| |
igvt |
d b x etf trust
xtrck barclays international
treasury |
233051 47 3 |
us2330514736 |
| |
|
d b x etf trust
xtrckr msci us |
233051 15 0 |
us2330511500 |
| |
qarp |
d b x etf trust
xtrckr rusl 1000 |
233051 24 2 |
us2330512425 |
| |
dbem |
d b x trackers
msci emerging markets hedged
equity etf |
233051 10 1 |
us2330511013 |
| |
|
d boral arc acq
i corp. shares class a |
g2616f 10 1 |
|
| |
|
d boral arc acq
i corp. unit 07/23/2030 |
g2616f 12 7 |
|
|
|
|
d boral
arc acq i corp. warrants exp
07/23/203 |
g2616f
11 9 |
|
| |
dboxf |
d box technologies
inc |
23305p 10 8 |
ca23305p1080 |
| |
|
d bv technologies s
a put |
23306j 95 0 |
|
| |
|
d c a development
corp |
233045 10 3 |
|
| |
|
d c a p group inc
com |
233065 20 0 |
|
| |
|
d c a total return
fund com |
233066 10 9 |
|
| |
dcbb |
d c b bancshares |
23307l 10 5 |
us23307l1052 |
| |
|
d c b bank ltd |
|
jp3548590003 |
| |
dcbf |
d c b financial
corp |
233075 10 0 |
us2330751007 |
| |
hrdn |
d c brands
international inc |
233078 60 9 |
us2330786094 |
| |
|
d c brands
international inc |
233078 30 2 |
us2330783026 |
| |
|
d c brands
international inc |
233078 70 8 |
us2330787084 |
| |
dccj |
d c c compact
classics inc |
233083 40 1 |
us2330834019 |
| |
dccpy |
d c c plc u/adr/1:2 |
23308m 10 2 |
us23308m1027 |
| |
|
d c h technology
inc com |
233092 10 5 |
|
| |
dctc |
d c i
telecommunications inc |
233094 20 0 |
us2330942002 |
| |
dciu |
d c i usa inc |
23309p 10 4 |
us23309p1049 |
| |
dciue |
d c i usa inc |
23309p 10 4 |
us23309p1049 |
| |
|
d c l inc |
233108 10 9 |
|
| |
dcmjf |
d c m japan
holdings co ltd |
|
no0010031479 |
| |
|
d c p midstream llc
sr unsecured 144a |
23311r ad 8 |
us23311rad89 |
| |
dcp |
d c p midstream lp
com |
23311p 10 0 |
us23311p1003 |
| |
dpm |
d c p midstream
partners |
23311p 10 0 |
us23311p1003 |
| |
|
d c p midstream
partners lp call |
23311p 90 0 |
|
| |
|
d c p midstream
partners lp put |
23311p 95 0 |
|
| |
dcp.pb |
d c p midstream
pref 7.875% 06/15/23 b |
23311p 20 9 |
us23311p2092 |
| |
dcp.pr.b |
d c p midstream
pref 7.875% 06/15/23 b |
23311p 20 9 |
us23311p2092 |
| |
|
d c t industrial
trust inc call |
233153 90 5 |
|
| |
dct |
d c t industrial
trust inc com |
233153 10 5 |
us2331531051 |
| |
dct |
d c t industrial
trust inc com new |
233153 20 4 |
us2331532042 |
| |
|
d c t industrial
trust inc put |
233153 95 5 |
|
| |
|
d c trading & dev
corp |
233159 10 2 |
|
| |
|
d c w total return
fund com |
23317c 10 3 |
|
| |
dcxi |
d c x inc com |
233161 10 8 |
|
| |
|
d c x inc com new |
233161 30 6 |
|
| |
cmre.p |
d
costamare inc pref share cmre 8.75
p12/31/49 d |
y1771g
13 6 |
mhy1771g1364 |
| |
|
d d 3 acquisition
corporation ii com class a |
23318m 10 0 |
|
| |
|
d d 3 acquisition
corporation ii unit |
23318m 20 9 |
|
| |
|
d d 3 acquisition
corporation ii warrants exp
12/10/202 |
23318m 11 8 |
|
| |
dddgy |
d d d group sp/adr |
23317k 10 5 |
us23317k1051 |
| |
|
d d i corporation
call |
233162 90 6 |
|
| |
ddic |
d d i corporation
com |
233162 10 6 |
|
| |
|
d d i corporation
com 0.0001 new |
233162 50 2 |
us2331625028 |
| |
|
d d i corporation
com par $ .001 |
233162 30 4 |
|
| |
|
d d i corporation
note 6.250% 4/0 |
233162 aa 4 |
|
| |
|
d d i corporation
put |
233162 95 6 |
|
| |
|
d d i corporation
sub note cv 5.25%08 |
233162 aa 4 |
|
| |
|
d d l electronics
inc com |
233167 10 5 |
|
| |
ddr |
d d r corp |
23317h 10 2 |
us23317h1023 |
| |
ddr |
d d r corp |
23317h 85 4 |
us23317h8549 |
|
|
ddr.pr.a |
d d r
corp |
23317h
87 0 |
us23317h8705 |
| |
ddrc |
d d r corp |
23317h 60 7 |
us23317h6071 |
| |
ddrkl |
d d r corp |
23317h 80 5 |
us23317h8051 |
| |
ddrp |
d d r corp |
23317h 87 0 |
us23317h8705 |
| |
ddrpra |
d d r corp |
23317h 87 0 |
us23317h8705 |
| |
ddrprj |
d d r corp |
23317h 60 7 |
us23317h6071 |
| |
ddrprk |
d d r corp |
23317h 80 5 |
us23317h8051 |
| |
|
d d r corporation
call |
23317h 90 2 |
|
| |
|
d d r corporation
dep h |
23317h 50 8 |
us23317h5081 |
| |
|
d d r corporation
dep i |
23317h 20 1 |
us23317h2013 |
| |
ddr.pr.k |
d d r corporation
pref share ddr 6.25 p12/31/49 k |
23317h 80 5 |
us23317h8051 |
| |
ddr.pr.j |
d d r corporation
pref share ddr 6.5 p12/31/49 j |
23317h 60 7 |
us23317h6071 |
| |
|
d d r corporation
put |
23317h 95 2 |
|
| |
ddsu |
d d s technologies
usa inc |
23316w 10 0 |
us23316w1009 |
| |
|
d d s wireless
international |
23317a 10 7 |
ca23317a1075 |
| |
deix |
d e i holdings inc |
23319e 20 6 |
us23319e2063 |
| |
|
d e i holdings inc
new com |
23319e 10 7 |
|
| |
|
d e m inc com |
233201 10 2 |
|
| |
depc |
d e p corporation |
233202 10 0 |
|
| |
|
d e p corporation
class a |
233202 20 9 |
|
| |
|
d e p corporation
class b |
233202 30 8 |
|
| |
|
d e p corporation
com new |
233202 40 7 |
|
| |
deqsf |
d e q systems corp |
233206 10 1 |
ca2332061019 |
| |
dfnr |
d f & r restaurants
inc |
23320p 10 9 |
|
| |
dfbhu |
d f b healthcare
acquisitions corporation unit
01/30/2023 |
23291e 20 8 |
us23291e2081 |
| |
dfbhw |
d f b healthcare
acquisitions corporation warrants
exp 04/11/2023 |
23291e 11 7 |
us23291e1174 |
| |
dfbh |
d f b healthcare
acquistions co com |
23291e 10 9 |
us23291e1091 |
| |
|
d f c global
corporation call |
23324t 90 7 |
|
| |
|
d f c global
corporation com |
23324t 10 7 |
us23324t1079 |
| |
|
d f c global
corporation note 3.250% 4/1 |
23324t ab 3 |
|
| |
|
d f c global
corporation put |
23324t 95 7 |
|
| |
dfddf |
d f d s |
|
no0003921009 |
| |
|
d f p healthcare
acquisitions co com class a |
23343q 10 0 |
|
| |
|
d f p healthcare
acquisitions co unit 03/31/2025 |
23343q 20 9 |
|
| |
|
d f p healthcare
acquisitions co warrants exp
03/31/2025 |
23343q 11 8 |
|
| |
dfse |
d f southeastern
inc |
232915 10 8 |
|
| |
|
d fense capital |
23339n 10 3 |
ca23339n1033 |
| |
dgbff |
d g b financial
group co ltd |
|
jp3548510001 |
| |
|
d g fastchannel inc
call |
23326r 90 9 |
|
| |
|
d g fastchannel inc
com |
23326r 10 9 |
|
| |
|
d g fastchannel inc
put |
23326r 95 9 |
|
| |
dgjlf |
d g jewellery of
canada ltd |
23321u 10 7 |
ca23321u1075 |
| |
dgjlq |
d g jewellery of
canada ltd com |
23321u 10 7 |
ca23321u1075 |
| |
|
d g jewellery of
canada ltd warrants exp 03/27/03 |
23321u 11 5 |
|
| |
|
d g jewellery of
canada ltd warrants exp 04/16/02 |
23321u 11 5 |
|
| |
|
d g m minerals |
23331b 10 7 |
ca23331b1076 |
| |
dgse |
d g s e companies
inc com |
23323g 10 6 |
us23323g1067 |
| |
cdqfd |
d g s minerals inc |
23290k 20 5 |
ca23290k2056 |
| |
dgtc |
d g t holdings corp |
23328r 20 6 |
us23328r2067 |
| |
|
d g t l holdings
inc |
23343t 10 4 |
ca23343t1049 |
|
|
|
d h b
capital corporation class a com |
23291w
10 9 |
|
| |
|
d h b capital
corporation unit 03/31/2028 |
23291w 20 8 |
|
| |
|
d h b capital
corporation warrants exp 03/31/2028 |
23291w 11 7 |
|
| |
|
d h b industries
inc call |
23321e 90 3 |
|
| |
|
d h b industries
inc com |
23321e 10 3 |
|
| |
|
d h b industries
inc put |
23321e 95 3 |
|
| |
|
d h c acquisition
corporation class a ord shares |
g2758t 10 9 |
|
| |
|
d h c acquisition
corporation unit 02/25/2026 |
g2758t 12 5 |
|
| |
|
d h c acquisition
corporation warrants exp 02/25/2026 |
g2758t 11 7 |
|
| |
dhiff |
d h corp |
23290r 10 1 |
ca23290r1010 |
| |
|
d h i group inc
call |
23331s 90 0 |
|
| |
dhx |
d h i group inc com |
23331s 10 0 |
us23331s1006 |
| |
|
d h i group inc put |
23331s 95 0 |
|
| |
|
d h j industries
inc |
233212 10 9 |
|
| |
dhsm |
d h s holding co |
23330g 10 7 |
us23330g1076 |
| |
|
d h t holdings inc
call |
y2065g 90 1 |
|
| |
|
d h t holdings inc
com |
y2065g 10 5 |
mhy2065g1052 |
| |
|
d h t holdings inc
debt 4.500%10/0 |
23335s ab 2 |
|
| |
|
d h t holdings inc
note 4.500% 8/1 |
23335s ad 8 |
|
| |
|
d h t holdings inc
put |
y2065g 95 1 |
|
| |
dht |
d h t holdings inc
shares new |
y2065g 12 1 |
mhy2065g1219 |
| |
dhtk |
d h technology inc
com |
232906 10 7 |
|
| |
ddccf |
d i c asset ag |
|
aedfxa0m6v00 |
| |
|
d i d i global inc
call |
23292e 90 8 |
|
| |
|
d i d i global inc
put |
23292e 95 8 |
|
| |
didi |
d i d i global inc
sp/ads |
23292e 10 8 |
|
| |
|
d i h holding us
inc class a |
23290b 10 6 |
|
| |
|
d i h holding us
inc warrants exp 04/20/202 |
23290b 11 4 |
|
| |
|
d i i group inc
call |
232949 90 7 |
|
| |
|
d i i group inc com |
232949 10 7 |
|
| |
|
d i i group inc put |
232949 95 7 |
|
| |
|
d i industries inc
com |
232909 10 1 |
|
| |
dimi |
d i m i telematics
international |
23331r 30 0 |
us23331r3003 |
| |
|
d i m i telematics
international |
23331r 20 1 |
us23331r2013 |
| |
|
d i o corporation |
|
gb0002502580 |
| |
dprtf |
d i p corporation |
|
th0835010r17 |
| |
|
d i s c inc com |
23321a 10 1 |
us23321a1016 |
| |
|
d i s c inc
warrants exp 12/07/97 |
23321a 11 9 |
|
| |
diyh |
d i y home
warehouse inc com |
23321d 10 5 |
|
| |
|
d j o finance llc /
dow joneso finance |
23327b aq 6 |
us23327baq68 |
| |
|
d j o finco inc/dow
joneso finance 144a |
23291a aa 5 |
us23291aaa51 |
| |
|
d j orthopedics inc
call |
23325g 90 4 |
|
| |
djo |
d j orthopedics inc
com |
23325g 10 4 |
|
| |
|
d j orthopedics inc
put |
23325g 95 4 |
|
| |
|
d k d&i co ltd |
|
dk0060083210 |
| |
dkgh |
d k g capital inc |
23341n 10 9 |
us23341n1090 |
| |
|
d k investors inc |
233213 10 7 |
|
| |
dlbi |
d l b oil & gas inc
com |
23322j 10 1 |
|
| |
dlc |
d l c realty trust
inc |
23327u 10 1 |
us23327u1016 |
| |
dldg |
d l d group inc |
23324s 20 8 |
us23324s2086 |
|
|
dldgd |
d l d
group inc |
23324s
10 9 |
us23324s1096 |
| |
|
d l f limited |
|
dk0060079531 |
| |
dsfoy |
d l f ltd u/ adr |
23290w 10 0 |
us23290w1009 |
| |
|
d l h holdings
corporation call |
23335q 90 0 |
|
| |
dlhc |
d l h holdings
corporation com |
23335q 10 0 |
us23335q1004 |
| |
|
d l h holdings
corporation put |
23335q 95 0 |
|
| |
dhy |
d l j high yield
bond fund |
23322y 10 8 |
|
| |
|
d l r fundings inc |
23326q 10 1 |
us23326q1013 |
| |
|
d l software |
|
jp3548500002 |
| |
dlti |
d l t resolution
inc |
23342u 10 2 |
us23342u1025 |
| |
dvrrf |
d l v resources ltd |
23342t 10 5 |
ca23342t1057 |
| |
|
d link corp |
23323a 60 4 |
|
| |
dlinf |
d link corporation |
|
jp3548740004 |
| |
|
d link corporation |
23323a 10 9 |
|
| |
|
d m c global inc
call |
23291c 90 3 |
|
| |
boom |
d m c global inc
com |
23291c 10 3 |
us23291c1036 |
| |
|
d m c global inc
put |
23291c 95 3 |
|
| |
dmcif |
d m c i holdings
inc |
y2088f 10 0 |
phy2088f1004 |
| |
|
d m c stratex
networks inc call |
23322l 90 6 |
|
| |
|
d m c stratex
networks inc com |
23322l 10 6 |
|
| |
|
d m c stratex
networks inc put |
23322l 95 6 |
|
| |
aptof |
d m d digital
health connections group inc |
23290d 10 2 |
ca23290d1024 |
| |
dmei |
d m e interactive
holdings inc |
23327k 10 3 |
us23327k1034 |
| |
dmggf |
d m g blockchain
solutions |
23345b 20 0 |
ca23345b2003 |
| |
mrsky |
d m g mori co ltd
sp/adr/1:1 |
23330s 10 1 |
us23330s1015 |
| |
|
d m h corp |
233223 10 6 |
|
| |
dmhi |
d m h international
inc |
233225 20 0 |
us2332252004 |
| |
|
d m i furniture inc
com |
233230 10 1 |
|
| |
|
d m i inc |
233232 30 5 |
|
| |
|
d m management co
call |
233233 90 5 |
|
| |
dmmc |
d m management co
com |
233233 10 5 |
|
| |
|
d m management co
put |
z33233 95 5 |
|
| |
|
d m r resources ltd |
232963 10 8 |
ca2329631089 |
| |
|
d m t energy inc |
233266 10 5 |
us2332661055 |
| |
|
d m x inc com |
23323q 10 4 |
|
| |
dmxty |
d m x technologies
group ltd sp/adr |
233274 10 9 |
us2332741097 |
| |
|
d m y squared
technology group class a com |
233276 10 4 |
|
| |
|
d m y squared
technology group unit holdings |
233276 20 3 |
|
| |
|
d m y squared
technology group warrants exp |
233276 11 2 |
|
| |
|
d m y technology
group inc |
233253 10 3 |
|
| |
|
d m y technology
group inc |
233253 11 1 |
|
| |
|
d m y technology
group inc |
233253 90 3 |
|
| |
|
d m y technology
group inc |
233253 95 3 |
|
| |
|
d m y technology
group inc ii call |
233277 90 2 |
|
| |
|
d m y technology
group inc ii com class a |
233277 10 2 |
|
| |
|
d m y technology
group inc ii put |
233277 95 2 |
|
| |
|
d m y technology
group inc ii unit |
233277 20 1 |
|
| |
|
d m y technology
group inc ii warrants exp 07/29/202 |
233277 11 0 |
|
| |
|
d m y technology
group inc iii call |
233278 90 0 |
|
| |
|
d m y technology
group inc iii com class a |
233278 10 0 |
|
|
|
|
d m y
technology group inc iii put |
233278
95 0 |
|
| |
|
d m y technology
group inc iii unit |
233278 20 9 |
|
| |
|
d m y technology
group inc iii warrants exp |
233278 11 8 |
|
| |
|
d m y technology
group inc iv com class a |
23344k 10 2 |
|
| |
|
d m y technology
group inc iv unit |
23344k 20 1 |
|
| |
|
d m y technology
group inc iv warrants exp 03/04/202 |
23344k 11 0 |
|
| |
|
d m y technology
group inc unit |
233253 20 2 |
|
| |
|
d m y
technology group inc vi class a com |
233247
10 5 |
|
| |
|
d m y technology
group inc vi unit |
233247 20 4 |
|
| |
|
d m y technology
group inc vi warrants exp |
233247
11 3 |
|
| |
|
d market elec trust
services & tradi call |
23292b 90 4 |
|
| |
|
d market elec trust
services & tradi put |
23292b 95 4 |
|
| |
|
d market electronic
services & trading sp/ads |
23292b 10 4 |
|
| |
dmta |
d mecatronics inc |
233279 20 7 |
us2332792074 |
| |
|
d medical
industries ltd shares |
m28091 10 2 |
|
| |
dnax |
d n a brands inc |
23328q 10 9 |
us23328q1094 |
| |
|
d n a brands inc |
23328q 20 8 |
us23328q2084 |
| |
|
d n a brands inc |
23328q 30 7 |
us23328q3074 |
| |
|
d n a chip research |
|
tw0006177009 |
| |
dnat |
d n a medical
technologies inc |
23324c 10 4 |
us23324c1045 |
| |
|
d n a oyj |
23290a 10 8 |
|
| |
|
d n a p holding
corporation com |
23323k 10 7 |
|
| |
dnap |
d n a plant
technology corporation com |
233236 10 8 |
|
| |
|
d n a plt
technology corporation pfd cv
exchange $ |
233236 30 6 |
|
| |
dnag |
d n a print
genomics inc |
23324q 20 2 |
us23324q2021 |
| |
dnbhf |
d n b asa |
|
vn000000ddn5 |
| |
|
d n b asa |
23341c 10 3 |
|
| |
dnhby |
d n b asa
sp/adr/1:1 |
23328e 10 6 |
us23328e1064 |
| |
dnbf |
d n b financial
corporation com |
233237 10 6 |
us2332371069 |
| |
dndt |
d n d technologies
inc |
23325k 20 4 |
us23325k2042 |
| |
bindq |
d n i b unwind inc |
233242 10 6 |
us2332421062 |
| |
dmnkf |
d n i metals inc |
23327v 20 8 |
ca23327v2084 |
| |
|
d n i metals inc |
23327v 10 9 |
ca23327v1094 |
| |
dtnof |
d n o asa |
|
de0005072300 |
| |
dtnoy |
d n o asa |
23290p 10 5 |
|
| |
|
d n o asa |
23327r 10 8 |
|
| |
dtnoy |
d n o asa
u/adr/10:1 |
23290p 10 5 |
us23290p1057 |
| |
dnp |
d n p select income
fund inc com |
23325p 10 4 |
us23325p1049 |
| |
dnxx |
d n x corporation
com |
233239 10 2 |
|
| |
|
d o c optics corp |
233240 10 0 |
|
| |
|
d p a c
technologies corporation com |
233269 10 9 |
|
| |
|
d p c m capital inc
call |
23344p 90 1 |
|
| |
|
d p c m capital inc
com class a |
23344p 10 1 |
|
| |
|
d p c m capital inc
put |
23344p 95 1 |
|
| |
|
d p c m capital inc
unit |
23344p 20 0 |
|
| |
|
d p c m capital inc
warrants exp 10/14/202 |
23344p 11 9 |
|
| |
|
d p g holdings |
|
ine016a01026 |
| |
|
d p l inc call |
233293 90 9 |
|
| |
|
d p l inc com |
233293 10 9 |
|
| |
|
d p l inc put |
233293 95 9 |
|
|
|
dpwrf |
d p
world ltd |
|
au000000dcn6 |
| |
|
d q e inc call |
23329j 90 4 |
|
| |
|
d q e inc com |
23329j 10 4 |
|
| |
|
d q e inc put |
23329j 95 4 |
|
| |
cdaqp |
d r a crt
acquisition corporation reit |
23330c 20 5 |
us23330c2052 |
| |
|
d r c a medical
corporation com |
233295 10 4 |
|
| |
|
d r c res
corporation com |
233296 10 2 |
|
| |
|
d r horton inc call |
23331a 90 9 |
|
| |
dhi |
d r horton inc com |
23331a 10 9 |
us23331a1097 |
| |
drhi |
d r horton inc com |
23331a 10 9 |
us23331a1097 |
| |
|
d r horton inc note
2.000% 5/1 |
23331a bb 4 |
|
| |
|
d r horton inc note
5/1 |
23331a ah 2 |
|
| |
|
d r horton inc put |
23331a 95 9 |
|
| |
|
d r horton inc sb
nt cv6.875%02 |
23331a ab 5 |
|
| |
|
d r horton inc sr
unsec |
23331a bj 7 |
us23331abj79 |
| |
tbus |
d r i corporation
com |
23330f 10 9 |
us23330f1093 |
| |
tbusq |
d r i corporation
com |
23330f 10 9 |
us23330f1093 |
| |
|
d r s data research |
|
kr7067080002 |
| |
drsx |
d r s inc |
23331g 10 6 |
us23331g1067 |
| |
|
d r s technologies
inc call |
23330x 90 0 |
|
| |
|
d r s technologies
inc com |
23330x 10 0 |
|
| |
|
d r s technologies
inc note 2.000% 2/0 |
23330x am 2 |
|
| |
|
d r s technologies
inc put |
23330x 95 0 |
|
| |
|
d r s technologies
inc sr sb db cv 9%03 |
23330x ab 6 |
|
| |
|
d r x inc |
23331f 10 8 |
us23331f1084 |
| |
dsfn |
d s a financial
corporation |
23331w 10 1 |
us23331w1018 |
| |
|
d s bancor inc com |
232907 10 5 |
|
| |
|
d s c
communications corporation call |
233311 90 9 |
|
| |
|
d s c
communications corporation com |
233311 10 9 |
|
| |
|
d s c
communications corporation put |
233311 95 9 |
|
| |
dsgt |
d s g global inc |
23340c 10 4 |
us23340c1045 |
| |
dsglf |
d s g international
th |
|
kr7078140001 |
| |
dskx |
d s healthcare
group inc com |
23336q 10 9 |
us23336q1094 |
| |
|
d s i corp |
233312 10 7 |
|
| |
|
d s i datotech
systems inc |
232954 10 7 |
ca2329541072 |
| |
dsdi |
d s i direct sales
inc |
23332x 30 6 |
us23332x3061 |
| |
dsdr |
d s i direct sales
inc |
23332x 30 6 |
us23332x3061 |
| |
dsds |
d s i direct sales
inc |
23332x 30 6 |
us23332x3061 |
| |
|
d s i industries
inc com |
233317 10 6 |
|
| |
|
d s i realty income
fund l p |
233318 10 4 |
us2333181046 |
| |
|
d s i realty income
fund l p |
233318 20 3 |
us2333182036 |
| |
|
d s i realty income
fund l p |
233318 30 2 |
us2333183026 |
| |
|
d s i realty income
fund l p |
233318 40 1 |
us2333184016 |
| |
|
d s i realty income
fund l p |
233318 50 0 |
us2333185005 |
| |
dsit |
d s i toys inc com |
232968 10 7 |
|
| |
|
d s m nv |
23332h 20 2 |
|
| |
dpbsf |
d s norden |
|
kr7005270004 |
| |
|
d s p
communications inc call |
23332k 90 6 |
|
| |
dspc |
d s p
communications inc com |
23332k 10 6 |
|
| |
|
d s p
communications inc put |
23332k 95 6 |
|
|
|
|
d s p
group inc call |
23332b
90 6 |
|
| |
dspg |
d s p group inc com |
23332b 10 6 |
us23332b1061 |
| |
|
d s p group inc put |
23332b 95 6 |
|
| |
dspt |
d s p technology
inc com |
233321 10 8 |
|
| |
dssmy |
d s smith
u/adr/1:10 |
23335x 10 5 |
us23335x1054 |
| |
dsts |
d s t systems inc |
233325 10 9 |
|
| |
|
d s t systems inc
del call |
233326 90 7 |
|
| |
dst |
d s t systems inc
del com |
233326 10 7 |
us2333261079 |
| |
|
d s t systems inc
del dbcv 3.625% 8/1 |
233326 ad 9 |
|
| |
|
d s t systems inc
del dbcv 4.125% 8/1 |
233326 ab 3 |
|
| |
|
d s t systems inc
del put |
233326 95 7 |
|
| |
|
d s w inc call |
23334l 90 2 |
|
| |
dsw |
d s w inc class a |
23334l 10 2 |
us23334l1026 |
| |
|
d s w inc put |
23334l 95 2 |
|
| |
dsdvf |
d sv a/s |
|
kr7001130004 |
| |
cadt |
d t asia
investments limited |
g2615j 10 4 |
|
| |
cadtw |
d t asia
investments limited |
g2615j 13 8 |
vgg2615j1387 |
| |
cadtr |
d t asia
investments limited rts 09/30/16 |
g2615j 11 2 |
vgg2615j1122 |
| |
cadtu |
d t asia
investments limited unit |
g2615j 12 0 |
vgg2615j1205 |
| |
|
d t c data tech
corp |
233328 10 3 |
us2333281036 |
| |
|
d t e energy co
call |
233331 90 7 |
|
| |
|
d t e energy co put |
233331 95 7 |
|
| |
dtv |
d t e energy co
unit |
233331 88 3 |
us2333318838 |
| |
dte |
d t e energy
company |
233331 10 7 |
us2333311072 |
| |
dtj |
d t e energy
company |
233331 80 0 |
us2333318002 |
| |
dty |
d t e energy
company |
233331 86 7 |
us2333318671 |
| |
dtz |
d t e energy
company 2011 series i 6.50% junior
subordinate debentures due 2061 |
233331 60 2 |
us2333316022 |
| |
dtq |
d t e energy
company 2012 series c 5.25% 12/01/62 |
233331 70 1 |
us2333317012 |
| |
|
d t e energy
company com |
233331 11 5 |
us2333311155 |
| |
dtw |
d t e energy
company pref 5.25% 12/01/77 e |
233331 85 9 |
us2333318598 |
| |
|
d t e energy
company unit 11/01/2022s |
233331 84 2 |
us2333318424 |
| |
dtf |
d t f tax free
income 2028 ter com |
23334j 10 7 |
us23334j1079 |
| |
dtim |
d t i medical corp |
233333 10 3 |
us2333331039 |
| |
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d t industries inc
call |
23333j 90 8 |
|
| |
dtii |
d t industries inc
com |
23333j 10 8 |
us23333j1088 |
| |
|
d t industries inc
put |
23333j 95 8 |
|
| |
dtmc |
d t m corporation
com |
23333l 10 3 |
|
| |
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d t midstream inc
call |
23345m 90 7 |
|
| |
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d t midstream inc
com |
23345m 10 7 |
|
| |
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d t midstream inc
put |
23345m 95 7 |
|
| |
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d t r t health
acquisition corporation com class a |
23344t 10 3 |
|
| |
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d t r t health
acquisition corporation unit
08/31/2029 |
23344t 20 2 |
|
| |
|
d t r t health
acquisition corporation warrants exp
08/31/202 |
23344t 11 1 |
|
| |
bkct |
d t s 8 coffee
company ltd |
23338b 10 0 |
us23338b1008 |
| |
dcsmf |
d t s corp |
|
kr7054670005 |
| |
|
d t s inc call |
23335c 90 1 |
|
| |
dtsi |
d t s inc com |
23335c 10 1 |
us23335c1018 |
| |
|
d t s inc put |
23335c 95 1 |
|
| |
dtvn |
d t v n holdings
inc |
233337 10 4 |
us2333371043 |
| |
dthr |
d thera sciences |
233362 10 2 |
us2333621025 |